Chapman v. St. Louis County Bank

649 S.W.2d 920, 1983 Mo. App. LEXIS 3180
CourtMissouri Court of Appeals
DecidedFebruary 22, 1983
Docket44726
StatusPublished
Cited by17 cases

This text of 649 S.W.2d 920 (Chapman v. St. Louis County Bank) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Chapman v. St. Louis County Bank, 649 S.W.2d 920, 1983 Mo. App. LEXIS 3180 (Mo. Ct. App. 1983).

Opinion

PUDLOWSKI, Presiding Judge.

Appellants Fred A. and Carol Chapman initiated a lawsuit against respondent St. Louis County Bank to prevent its foreclosure upon certain real estate. The trial court subsequently dismissed their petition for failure to prosecute and entered judgment in behalf of the bank and against the Chapmans on the Bank’s counter-claim. The Chapmans now appeal the trial court’s order of dismissal. We affirm.

The Chapmans filed their original lawsuit against St. Louis County Bank on December 19, 1978, seeking a temporary restraining order to prevent a foreclosure sale on December 20, 1978, on property held by them. The show cause hearing was delayed on numerous occasions for several reasons. The day before the scheduled hearing on February 7,1979, the Chapmans’ first attorney withdrew. The Chapmans’ second attorney entered his appearance but requested a legislative continuance. In April 1979, the Bank set the hearing for August 13, 1979, but the parties agreed in July 1979 to reset the hearing for November 19,1979, so as to permit them to file amended pleadings. The Chapmans filed an eight count amended petition in August 1979 to which the Bank filed in the same month its four *922 count counter-claim and answer. Extensive discovery, including numerous depositions, ensued from late August to the hearing of November 1979, at which time the court entered its temporary injunction preventing the foreclosure sale.

The Bank set its motion to dissolve the temporary injunction for hearing in February 1980 but the Chapmans’ attorney postponed the hearing for a legislative continuance. On May 7, 1980, the Bank reset its motion for hearing on July 7, 1980. The Chapmans’ second attorney withdrew two days later, notifying the Chapmans of his withdrawal, the hearing for July 1980 and the need for them to secure counsel immediately.

The Chapmans failed to appear at the hearing date in July 1980. They later denied any prior knowledge or notice of the hearing for that day. The Chapmans did attend the resulting foreclosure sale in November 1980, but did not answer interrogatories sent them in December 1980 by the Bank. The Chapmans sat on their lawsuit from the time of their second attorney’s withdrawal in May 1980 until March 23, 1981, when threatened with the sanction of dismissal of their amended petition. Their third attorney entered on March 23, 1981. A peremptory setting for July 1981 was agreed to by the parties in April 1981, and the Chapmans were on notice that no continuances would be forthcoming. Less than one month later, the Chapmans filed their motion to vacate the peremptory trial setting and for continuance stating that they needed to add new defendants, consolidate other pending cases and add a new count of fraud to their cause of action. The Chap-mans learned of the need to amend their petition following the settlement on May 18, 1981, of an apparently related lawsuit, the nature of which this court is not apprised.

Upon the trial court’s denial of their motion for a continuance at the pre-trial conference in June 1981, the Chapmans third attorney withdrew. Several weeks later, but prior to the trial date, the Chapmans filed their answers to interrogatories and produced documents pro se. On the date of the peremptory trial setting, Fred Chapman arrived without counsel and with a copy of his pro se motion to vacate the trial setting and for continuance which the trial court denied. The Chapmans refused to proceed to trial whereupon the trial court dismissed their eight count petition for failure to prosecute. Chapman then left the courtroom. The trial court heard evidence and found in favor of the Bank on its counterclaim. Following the trial court’s entry of judgment against them, the Chapmans secured most competent counsel for pursuing their appeal.

The first issue raised by appellants is whether the trial court committed reversible error in overruling their motion to vacate the pre-trial conference, peremptory trial setting and for continuance. The grant or denial of a continuance lies within the legitimate discretion of the trial court and every intendment is in favor of the trial court’s decision. In re Marriage of Koehler, 633 S.W.2d 169, 171[1] (Mo.App. 1982). Our determination is not whether we would have exercised our discretion in the same way, but whether the trial court abused its discretion. Moslander v. Dayton Tire & Rubber Co., 628 S.W.2d 899, 902[1, 2] (Mo.App.1981). We cannot make such a finding here. The parties had agreed to a peremptory setting; the court had advised appellants in early June to be prepared for the trial setting in July 1981. The record indicates a singular lack of interest on the Chapmans’ part to prosecute their claim. We find no abuse of judicial discretion in denying the continuance and in requiring the Chapmans to go to trial on July 7,1981.

Appellants also contend that their motion was, in substance, a motion for leave to amend and that the trial court should have granted leave to amend even though not so requested. If a plaintiff desires to file an amended petition it is up to him to ask leave to do so. Cady v. Hartford Accident and Indemnity Co., 439 S.W.2d 483, 486 (Mo.1969); Jones v. Williams, 357 Mo. 531, 209 S.W.2d 907, 911 (1948). In this case, the first mention of *923 this issue was not captioned in the form of a request to amend, but was denominated a motion to vacate pre-trial conference, peremptory setting and for continuance. No motion for leave to amend was ever presented to the trial court. This point is denied.

Even accepting plaintiffs’ argument that the motion to vacate and for continuance was, in substance, a motion requesting leave to amend, we find no abuse of discretion by the trial court in its denial of appellants’ motion, either at the pre-trial conference in June 1981 or at the trial in July 1981. The spirit of our rules is to permit amendments when justice so requires. Rule 55.33(a). Though the rules stress liberality in allowing amendments to pleadings, granting such leave is not mandatory. Smith v. St. Louis County Softball Assoc., 623 S.W.2d 38, 40[5] (Mo.App.1981). The trial court has wide discretion in granting or denying leave to amend which discretion will not be overturned on appeal unless there is an obvious and palpable abuse thereof. Brazell v. St. Louis Southwestern Railway, 632 S.W.2d 277, 281[2] (Mo.App.1982). Determination of whether the trial court abused its discretion in granting or denying leave to a party to amend his pleading in a given case is best measured in terms of whether “justice” is subserved or subverted by the course taken. If justice is subserved it is difficult to envision an abuse of discretion. Conversely, if “justice” is subverted an abuse of discretion is readily discernable. Clayton Brokerage Co. of St.

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Bluebook (online)
649 S.W.2d 920, 1983 Mo. App. LEXIS 3180, Counsel Stack Legal Research, https://law.counselstack.com/opinion/chapman-v-st-louis-county-bank-moctapp-1983.