Caygill v. Ipsen

135 N.W.2d 284, 27 Wis. 2d 578, 1965 Wisc. LEXIS 942
CourtWisconsin Supreme Court
DecidedJune 1, 1965
StatusPublished
Cited by47 cases

This text of 135 N.W.2d 284 (Caygill v. Ipsen) is published on Counsel Stack Legal Research, covering Wisconsin Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Caygill v. Ipsen, 135 N.W.2d 284, 27 Wis. 2d 578, 1965 Wisc. LEXIS 942 (Wis. 1965).

Opinion

Heffernan, J.

We conclude that the complaint improperly joins two separate causes of action in that they do not affect both parties who have been joined as defendants. They require different places of trial, and are not stated separately. We rely on sec. 263.04, Stats., which provides:

“Uniting causes of action. The plaintiff may unite in the same complaint several causes of action, whether they be such as were formerly denominated legal or equitable or both. But the causes of action so united must affect all the parties to the action and not require different places of trial, and must be stated separately.”

If there is but a single cause of action stated by the plaintiff, the question of misjoinder does not arise. The plaintiff *582 alleges but one cause of action. If, however, more than one cause of action is in fact stated, the question of misjoinder of causes must be considered.

Judge Charles E. Clark 3 has defined a cause of action as, "... a group of facts, but limited as a lay onlooker would to a single occurrence or affair, without particular reference to the resulting legal right or rights.” 4 This definition Clark finds to be that most nearly approaching the. code ideal. Looking at the facts alleged by the plaintiff in light of this definition of a cause of action, there is little doubt that two separate “occurrences or affairs” as a lay onlooker would view them, are alleged in the plaintiff’s complaint.

Clark further defines a cause of action as, “a factual unit, whose limits are determined by the time and sequence and unity of the happenings, rather than . . . potential judicial action.” 5

The operative facts, not the consequences, are determinative of a cause of action. “It is the wrongful act, and not the injury, that creates liability.” 6

Applying these concepts, a cause of action must be viewed as a grouping of facts falling into a single unit or occurrence as a lay person would view them. This grouping of facts consists of “the defendant’s wrongful act.” It is apparent that here there are two such groupings or two distinct wrongful acts alleged, one by each defendant. There is no doubt, however artfully plaintiff’s counsel has sought to *583 denominate it, 7 that the plaintiffs claim against Ipsen and Thompson are two separate and distinct causes of action irrespective of how the consequences have merged in the resultant injuries. In Rogers v. Oconomowoc (1962), 16 Wis. (2d) 621, 115 N. W. (2d) 635, this court concluded that “the accident” was the subject of the controversy that constituted a single cause of action.

The plaintiff resorts to the much used and quoted “primary right” definition of Professor Pomeroy and insists that but a single such right is asserted, the right to recover damages for an indivisible injury. However, the “primary right” of the plaintiff here is to be free from the tortious invasion of her person. What the plaintiff denominates as a “primary right” is the remedy or relief itself. Professor Pomeroy makes it clear that there are separate and distinct elements giving rise to judicial relief. The elements are:

“. . . a primary right possessed by the plaintiff, and a corresponding primary duty devolving upon the defendant; a delict or wrong done by the defendant which consisted in a breach of such primary right and duty; a remedial right in favor of the plaintiff, and a remedial duty resting on the defendant springing from this delict, and finally the remedy or relief itself.” 8

The conduct of the defendants, Thompson and Ipsen, are two separate invasions of the right to be free from bodily harm; and, as a consequence, the accidents give rise to two separate causes of action.

*584 Having reached this conclusion, we must now proceed to determine whether the causes are improperly joined. This court has previously determined that our statutes permit the joinder of causes when the following appears:

“The causes (1) must affect all the parties to the action; (2) must not require different places of trial; (3) must be separately stated.” 9

The plaintiff has violated the third requirement by not separately stating the causes of action. This, however, is not to be deemed a fatal defect subject to demurrer if the causes are in fact otherwise properly joined. 10

Having found that separate causes of action had been pleaded, it follows that the action against Thompson cannot be tried in Dane county since the Thompson accident occurred in Grant county and Thompson is a resident of Dodge county, but the cause of action against Ipsen is properly brought in Dane county, where the accident occurred. 11 Hence, they require separate places of trial, and a joinder would violate the final requirement of sec. 263.04, Stats.

Moreover, the complaint violates the provisions of sec. 263.04, Stats., in that the defendant, Thompson, is not affected by the cause against Ipsen, or Ipsen by the cause against Thompson. The cause of action for the accident of August 21, 1961, affects only the defendant, Ipsen, while *585 the cause of action arising from the accident of January 9, 1962, affects only Thompson.

Our case law is replete with instances of judicial restatements of the simple statutory rule that each cause of action is to affect all parties to the action. In Jordan v. Koerth (1933), 212 Wis. 109, 248 N. W. 918, the plaintiff brought an action for false arrest. He subsequently amended his complaint to add an additional claim for damages against the original defendant and another person for a subsequent arrest. The court stated the rule (p. 112) :

“There was thus united upon plaintiff’s motion in one complaint a cause of action against one individual with a cause of action against that individual and another. The amendment was objected to and offends against the rule as fixed by the legislature in sec. 263.04, Stats., . . .”

This court in Kamke v. Clark (1955), 268 Wis. 465, 67 N. W. (2d) 841, 68 N. W. (2d) 727, pointed out that various defendants who had created a nuisance by the dumping of noxious refuse could not be joined in a single action at law since they were not joint tortfeasors. Unless the parties are joint tortfeasors, the cause of action against one is not a cause of action against the other, and each defendant is unaffected by the other asserted claims.

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Bluebook (online)
135 N.W.2d 284, 27 Wis. 2d 578, 1965 Wisc. LEXIS 942, Counsel Stack Legal Research, https://law.counselstack.com/opinion/caygill-v-ipsen-wis-1965.