Cowie v. Central Trust Co.

28 Ohio Law. Abs. 536, 14 Ohio Op. 185, 1939 Ohio Misc. LEXIS 1098
CourtCourt of Common Pleas of Ohio, Hamilton County
DecidedMarch 29, 1939
StatusPublished
Cited by4 cases

This text of 28 Ohio Law. Abs. 536 (Cowie v. Central Trust Co.) is published on Counsel Stack Legal Research, covering Court of Common Pleas of Ohio, Hamilton County primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Cowie v. Central Trust Co., 28 Ohio Law. Abs. 536, 14 Ohio Op. 185, 1939 Ohio Misc. LEXIS 1098 (Ohio Super. Ct. 1939).

Opinion

OPINION

By MORROW, J.

The petition in substance states that the defendant is executor of the estate of Margaret Cowie, and that Margaret Cowie was indebted to plantiff in the sum of $17,000, by reason of breach of contract. Her claim has been refused by the executor, though properly filed. Plaintiff states that at the request of Margaret Cowie she entered into a verbal contract with said Margaret Cowie in 1930, whereby plaintiff agreed to abandon her home and build, with the assist-, anee of Margaret Cowie. a new home in location approved by Margaret Cowie.

Plaintiff also agreed to provide a room for Margaret Cowie and give her board and nursing care the rest of her life. In return therefor Margaret Cowie agreed to leave at her death, in favor of plaintiff a last will whereby all her personal property would go to plaintiff, except two one thousand dollar bequests.

Plaintiff 'states that relying upon said agreement, she left her home and performed all these things she agreed upon, including the continuous employment of a maid, but that said Margaret Cowie failed to leave her said personal property as agreed upon, having left a will with numerous bequests and legacies.

Therefore, plaintiff asks for $17,000 damages.

Briefly, the demurrer to petition sets forth that the provisions of §8621, GC apply, and also §10504-3a applies. Has plain-,i. stated a cause of action?

The claim that §8621, GC, applies in this case, we feel can be disposed of readily. The portion of the section relied upon reads as follows:

“No action shall be brought whereby to charge the defendant * * * upon a contract or sale of lands, tenements and hereditaments, or interest in or concerning them, nor upon any agreement not to be performed in one year from the making thereof.”

It will be noted that we are not concerned here with a charge against the defendant upon a contract as to lands, etc. as it is alleged in the petition only that the testatrix agreed to turn over all her personal property to the plaintiff herein.

It also might be urged that there has been complete performance of her part of the contract by the plaintiff herein, and the complete performance included services so peculiar and unique in their nature as to render this a defense of part performance with reference to any claim that the statute of frauds covered this situation. I take it that complete performance is certainly, in equity, as potent a defense to a statute of frauds claims as part performance, and in fact, technically should be called part performance.

So if this is a contract or sale concerning lands, etc., there is a part performance to take it out of the statute.

However, it is our contention that under the terms of the statute the same does not cover the contract set forth in the petition, as stated above.

More difficult, however, is the question as to §10504-3a. It is true that until the passage of this new section of the code, a verbal contract whereby one person agreed, to leave property, by will, to another was valid in Ohio, but §10504-3a is a new statute of frauds. It was effective September 2, 1935, more than five years after this alleged contract was made and over two years before testatrix 'n this case died. This section provides as follows:

[538]*538“No agreement to make a will or to make a devise or bequest by will shall be enforceable unless such agreement is in writing, signed by the party making it or by some other person by his express direction, in which latter case the instrument must be subscribed by two or more competent witnesses who heard such party acknowledge that it was so signed by his direction.”

In this case, therefore, we have this situation: An alleged oral contract, good, although oral, as of the time of its execution; a statute requiring said contract to be in writing enacted _ive years later; a testatrix stated as a party to said contract who died two years after the statute was passed, and a suit on the contract filed against the estate of the testatrix six months later.

We are concerned with a constitutional question.

Article II, Section 28, of the Constitution of the state of Ohio provides:

“The general assembly shall have no power to pass retroactive laws, or laws impairing the obligation of contracts; but may, by general laws, authorize courts to carry into effect, upon such terms as shall be just and equitable, the manifest intention of parties and officers, by curing omissions, defects and errors, in 'instruments and proceedings, a,rising out of their want of conformity with the laws of this 'State.”

The defendant here has cited Smith v New York Central Rd Co, 122 Oh St, 45, 170 N. E., 637, as authority for the demurrer. This case states:

“A statute which relates exclusively to remedial rights is not within the constitutional inhibitions against legislative enactments of retroactive laws. §11224, GC, is remedial in its nature, and applies to all causes coming within its terms upon which actions have not been commenced in any of the trial courts of this state on or before August 2, 1927.”

This concerns the law which reduced the statute of limitations from four years to two years as to certain torts. Neither this section, nor the section under consideration now, have saving clauses, that is to say, provisions in the law itself stating that it shall not apply to pending causes of action. The court in the Smith case says: '

“On the theory that a right to sue once existing, becomes a vested right, and can not be taken away altogether, it does not conclusively follow that the time within which the right may be asserted and maintained may not be limited to a shorter period than that which prevailed at the time the right arose, provided such limitation still leaves the claimant a reasonable time within which to enforce .he right.”

This process of reasoning can not be applied to the instant case, for the reason that §10504-3a by its terms extinguishes the former right in this state to maintain an action upon an oral contract to dispose of property by last will and .estament. Such right had been established by decisions for many years past, and §lG50i-3a is in effect a new statute of frauds, as above stated and as its terms clearly indicate.

The plaintiff, in the Smith v R. R. case had one year to file his suit, instead of three, after the passage of the statute of limitations, act m question in that case.

There is much said in text books and decisions about remedial legislation, and the fact that it does not generally constitute retroactive legislation, which, generally speaking, is prohibited in Great Britain, as well as the United States.

Pomeroy’s Equity Jurisprudence, Vol. 5, page 5002, Section 2239, in referring to the fourth section of the statute of frauds, states:

“It is established both in law and equity that the fourth section of the statute of frauds does not avoid parol contracts, but establishes a rule of evidence.”

In Wade on Retroactive Laws, it is stated at page 270, paragraph 233:

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Cite This Page — Counsel Stack

Bluebook (online)
28 Ohio Law. Abs. 536, 14 Ohio Op. 185, 1939 Ohio Misc. LEXIS 1098, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cowie-v-central-trust-co-ohctcomplhamilt-1939.