Carl I. Latham, Jr. v. Crofters, Inc., Carl I. Latham, Jr. v. Crofters, Inc.

492 F.2d 913
CourtCourt of Appeals for the Fourth Circuit
DecidedFebruary 28, 1974
Docket73-1554, 73-1555
StatusPublished
Cited by12 cases

This text of 492 F.2d 913 (Carl I. Latham, Jr. v. Crofters, Inc., Carl I. Latham, Jr. v. Crofters, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals for the Fourth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Carl I. Latham, Jr. v. Crofters, Inc., Carl I. Latham, Jr. v. Crofters, Inc., 492 F.2d 913 (4th Cir. 1974).

Opinion

WINTER, Circuit Judge:

Plaintiff sued Sidney D. Griffith, Crofters, Inc. (a corporation of which Griffith was president and chief executive officer), Deegee Company (a partnership of which Griffith was a partner), and others, 1 alleging that plaintiff paid defendants $65,500 to obtain financing for two of plaintiff’s building projects but that defendants breached their contract as finders and, indeed, had entered into the contract for fraudulent purposes. The action commenced in the district court on May 7, 1971, and the case was set for trial on February 7, 1973.

On the morning of trial, Griffith, through counsel, sought a continuance on the ground that his health would not permit him to attend. The motion was denied; trial by jury proceeded; and a judgment against all defendants for $223,944.70 resulted.

We think the district court abused its discretion in denying the continuance and in failing to grant a new trial after additional evidence concerning Griffith’s non-attendance was adduced. Defendants also complain of errors in the district court’s instructions to the jury, but they neither objected nor excepted to the instructions or failure to instruct, and since we do not find any “plain error,” we do not reach these questions. We reverse the judgment entered against Griffith, Crofters and Deegee, and award them a new trial.

I.

Application of the rule in this circuit that the granting or denial of a motion for continuance is a matter within the sound discretion of the district judge and that his exercise of that discretion will be disturbed only if it appears that it has been abused 2 presents, primarily, a question of fact. We proceed to the facts:

Griffith was a member of the Ohio bar and intended to conduct his own defense. The district court’s local rules required that he associate local counsel. While Griffith was advised of the local rules on October 4, 1971, he did not associate counsel until January 25, 1973. Meanwhile, at a call of the docket conducted on January 25, 1973, at which Griffith was unrepresented, the case was set for trial on February 7, 1973.

On February 7, Griffith’s local counsel orally moved for a continuance, stating that Griffith had suffered a very serious heart attack in December, 1968, necessitating his hospitalization and confinement at home for many months and that on December 28, 1972, Griffith had “again suffered a very serious second heart attack and is confined to coronary care at the Riverside Hospital, Columbus, Ohio.” A colloquy between counsel and the court followed about why Griffith had not been deposed, during which counsel represented that Griffith had been ordered by his doctor “not to tend *915 to any work until February 12.” Counsel presented a letter from Griffith’s doctor certifying that Griffith “was confined to the coronary care unit at Riverside Hospital, Columbus, Ohio, on 20 December 1972 until January 13, 1973. I advised him not to return to work, and his next appointment with me is on February 12,1973.” 3

The district judge offered to permit counsel to proffer Griffith’s testimony to see if counsel would stipulate to what he would say if present, but no proffer was made.

The district judge did not summarize his reasons for denying the continuance when he made the ruling; but from the colloquy preceding the ruling, some of those reasons emerge. They included (a) disapproval of Griffith’s late employment of local counsel, (b) the admitted failure to present the motion in the form required by a local rule, (c) Griffith’s failure to be deposed to preserve his testimony when he had a history of heart disease, and (d) the absence of an explicit certification by Griffith’s physician that Griffith was unable to come to court or that it would be dangerous for him to do so.

The motion for new trial, filed on behalf of all defendants, was grounded solely on the district court’s denial of the continuance. It was supported by an affidavit of Griffith’s physician in which, in accord with the local rule, he certified that from December 28, 1972 until February 19, 1973, Griffith “has been in varying degrees, totally and partially disabled . . . . Griffith was not fit nor able to attend or participate in the trial of any lawsuit [or] to travel ... to Rock Hill, South Carolina . . . [and] for Sidney D. Griffith to have attended and participated in the trial of the lawsuit would have been and would now be a very serious threat to his life.”

II.

As to Griffith, we think that there was an abuse of discretion in denying the motion for a continuance. Looking at the record as a whole, we think that there was a sufficient showing of substantial danger to Griffith’s life or health had he been required to be present at the trial to mandate the grant of a continuance. It is true that the thrust of the local rule was to require a showing that the life or health of a party or a necessary witness would be jeopardized by an appearance in court and that the data presented to the district court, in support of the original motion, did not make this explicit showing. It did show that Griffith had been in a coronary care unit of a hospital until a little more than a month before the trial and that he was not supposed to return to work on the date of the trial. These statements, coupled with the known fact that Griffith lived a considerable distance from court, should have permitted the inference that the purposes of the local rule were satisfied. In any event, that data was sufficient to suggest, at least, the substantial possibility, later confirmed by the affidavit supporting the motion for a new trial, that the requisite danger existed. Under such circumstances, the district court, if it doubted the completeness of the showing, should have afforded Griffith, or his local counsel, the opportunity to substantiate the claim by additional proof. Davis v. Operation Amigo, Inc., 378 F.2d 101, 103 (10 Cir. 1967). Certainly when the facts were established beyond peradventure of doubt, in conjunction with the motion for a new trial, the district court abused its discretion in denying that motion. Having presided at the trial, the district court, then, inescapably was aware of the importance of Griffith’s testimony.

*916 The other reasons which seemed to have influenced the district court do not require a contrary conclusion. Late employment of local counsel, while a possible source of annoyance, had no relevance to whether the motion should have been granted or denied when the motion was grounded on the intervening illness of a party, rather than local counsel’s lack of preparedness to proceed to trial because of his late employment. Griffith’s failure to preserve his testimony, de bene esse, may have been a censurable omission when viewed by hindsight, but we cannot say that a party who has once had an illness must always record his testimony against the possibility that he may suffer another illness. In short, there was an insufficient basis on which to require that Griffith’s case be tried in his absence and under the circumstances where his version of the disputed transactions could not be presented to the triers of the facts.

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492 F.2d 913, Counsel Stack Legal Research, https://law.counselstack.com/opinion/carl-i-latham-jr-v-crofters-inc-carl-i-latham-jr-v-crofters-ca4-1974.