Connecticut Mutual Life Insurance v. Hillmon

188 U.S. 208, 23 S. Ct. 294, 47 L. Ed. 446, 1903 U.S. LEXIS 1276
CourtSupreme Court of the United States
DecidedFebruary 2, 1903
Docket94
StatusPublished
Cited by83 cases

This text of 188 U.S. 208 (Connecticut Mutual Life Insurance v. Hillmon) is published on Counsel Stack Legal Research, covering Supreme Court of the United States primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Connecticut Mutual Life Insurance v. Hillmon, 188 U.S. 208, 23 S. Ct. 294, 47 L. Ed. 446, 1903 U.S. LEXIS 1276 (1903).

Opinion

Me. Justice BeowN,

after making the foregoing statement, delivered the opinion of the court.

We shall have occasion to notice but few of the 108 assignments of errors in this case.

1. .Several of these relate to an order of consolidation, and to the ruling of the court giving to the plaintiff six peremptory challenges to the'jury, while each defendant had but three.

On June 14, 1882, the three original cases were first consolidated for trial, and so remained through all the trials which took place prior to the settlement with the New York Life. The propriety of this consolidation wras .affirmed by this court upon its first appearance here in 145 U. S. 285. A stipulation appears to have been entered into October 16, 1899, between the attorneys for the plaintiff and. the attorneys for the three defendants, to set aside the order of consolidation, and a motion was made for an order to that effect, which was overruled, and the order of consolidation was continued in force as to the two remaining defendants. It would seem that the court refused to be controlled by the stipulation. We see no reason to doubt the propriety of this order, nor does it appear to have been seriously contested. But its effect upon the number of peremptory challenges to which the defendant was entitled is made the subject of dispute. Upon the former hearing of this case it was held that the consolidation of the three cases there con *211 sidered did not impair the right of each of the three defendants to three peremptory challenges under Rév. Stat. sec. 819. But the question was left undecided whether the right of the plaintiff was multiplied, so that she became entitled on the last trial to six peremptory challenges, or only to three..

The Circuit Court was of opinion that, as under our ruling, the two defendants were under Rev. Stat. sec. 819, each entitled to three peremptory challenges, or six in the aggregate, the plaintiff was also entitled to six. This is the converse of the proposition established by this court when the case was first here. The argument of the defendent in this connection is that under the ruling of the court each defendant was treated as one party and the plaintiff as two parties; that it gave the plaintiff more challenges than she would have had in one case, treating the causes of action as distinct, and the plaintiff entitled to her three challenges in each case, with the result that each defendant, without its consent, and against its protest, was compelled to try its own cause before a jury to which it was given only one half as many peremptory challenges as were given to the plaintiff. The consequence was that each defendant was prejudiced by the fact that every additional peremptory challenge allowed to the plaintiff beyond three , makes arbitrarily a vacancy which may be filled in spite of the defendant by a juror, whom it might and would have challenged if it had an opportunity to do so. The substance of the argument is that, it having been held upon the former hearing here, that eaph defendant lost no right by the consolidation, and was entitled to as many challenges as if no such consolidation had taken place, the plaintiff was not entitled to .any more challenges than she would have been entitled to, in case .the consolidation had not taken place. Quite a number of cases are cited in support of this proposition: Savage v. State, 18 Florida, 909; Wiggins v. State, 1 Lea, (10 Tennessee) 738; Mahan v. State, 10 Ohio, 234; State v. Earle, 24 La. Ann. 38; Shoeffler v. State, 3 Wisconsin, 823; Thompson on Trials, sec. 45; Proffatt on Jury Trials, sec. 164. The case of Spies v. The People, 122 Illinois, 1, is to the contrary.

Conceding that the great weight of authority supports the *212 proposition of the defendant, we are still of opinion that it is not entitled to take advantage of it, inasmuch as it made but two peremptory challenges, waiving its right to a third, and thereby, acquiesced in the composition of the jury. The only effect of allowing the plaintiff six peremptory challenges was to put three additional men upon the jury, whom the defendant could not challenge, and if it had exhausted its peremptory challenges it might perhaps claim to have been prejudiced by the fact that three men had been put upon the jury which it was not entitled to challenge; but having failed to exhaust its peremptory challenges, it stands in no position to complain that it was deprived of the right to challenge others. Stout v. Hyatt, 13 Kansas, 232, 241; Atchison &c. R. R. Co. v. Franklin, 23 Kansas, 74; Florence &c. Railroad Company v. Ward, 29 Kansas, 354; Atlas Mining Co. v. Johnston, 23 Michigan, 36; Grand Rapids Booming Co. v. Jarvis, 30 Michigan, 308.

2. Error is charged in the refusal to instruct the jury that ■ the statement signed and sworn to by John H. Brown on the 4th day of September, 1879, having been introduced in evidence by the plaintiff, may be considered in connection with the deposition of John H. Brown as evidence of the facts stated under oath, against the. plaintiff, with like effect as the deposition of John H. Brown, and may also be considered as affecting the credibility of said Brown as a witness.”

In lieu thereof the court charged the jury that Brown’s statement, signed and sworn to by him, was not affirmative evidence' of the truth of any matter therein contained of mentioned, and that it should not be considered by the jury except as affecting the credibility of the evidence of Brown in his deposition. To determine the correctness of this construction it is necessary to consider the circuinstances under which the evidence was produced. The alleged death of Hillmon was said to have occurred in March, 1879. Upon the trial plaintiff offered and read in evidence the deposition of John H. Brown, taken on December 30, 1881, who swore generally'that he was employed by Hillmon driving a team, and afterwards in taking care of and feeding hogs; that he started with him from Lawrence for ‘Wichita for the purpose of locating a cattle ranch, and that *213 Ilillmon was accidentally killed by the discharge of a gun in the hands of Brown. To contradict this testimony William J. Buchan, a witness put upon the stand by the defendants, swore that in the spring or summer of 1879, but a few months after the alleged death, he met Brown by appointment at Lexington, and was told by him that he was' uneasy about the affaiy; that it was not Hillmon who was killed but another man, but. that Hillmon had got away and they were hunting for him ; that he wanted to get out of it himself and .to turn State’s evidence, and that he wanted witness to see the attorney for the insurance company and let up on hunting for him if he would go on the stand and tell the truth about the whole affair. Upon the cross-examination of Buchan the plaintiff

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Bluebook (online)
188 U.S. 208, 23 S. Ct. 294, 47 L. Ed. 446, 1903 U.S. LEXIS 1276, Counsel Stack Legal Research, https://law.counselstack.com/opinion/connecticut-mutual-life-insurance-v-hillmon-scotus-1903.