De Witt v. Prescott

16 N.W. 656, 51 Mich. 298, 1883 Mich. LEXIS 585
CourtMichigan Supreme Court
DecidedOctober 3, 1883
StatusPublished
Cited by6 cases

This text of 16 N.W. 656 (De Witt v. Prescott) is published on Counsel Stack Legal Research, covering Michigan Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
De Witt v. Prescott, 16 N.W. 656, 51 Mich. 298, 1883 Mich. LEXIS 585 (Mich. 1883).

Opinion

Campbell, J.

De "Witt sued defendants on a claim arising out of a breach of implied warranty of title to certain lumber sold by defendants to D. C. Welch & Co., his assignors. Welch & Co. were lumber dealers, living in Buffalo, New York, and the firm was made up of D. C. Welch and J. H. Behn. The sale was made in July, 1879, at Bay City, and the lumber was then lying at‘Hale’s dock, in Tawas, Iosco county, having been sawed by S. & C. D. Hale and their assignee, Edward W. Eames, who then held it in possession, and out of whose claim for a lien for sawing the present controversy arose.

Welch & Co. sent up a barge, named the Orontes, to bring the lumber down to Buffalo, and a load of about 537,000 feet was accordingly taken down, and after its arrival at Buffalo was replevied by Eames, who established a claim, for which judgment was given to the amount of $3477.89, and paid by De Witt. ■ This is the basis of the present action, in which the defendants prevailed. De Witt brings error.

The defense on the facts was made to rest on a denial of the existence of the lien, and a claim that if it existed it was lost by the action of Welch & Co. There was also a claim by the defense that Barnard was not bound, whether Prescott was or not. Plaintiff claimed that the lien was established by the judgment, and that defendants were in such a position as to be bound by it. There were some interlocutory questions of evidence, and some rulings on the law, assigned as error. As there is not much probability that most of the questions about evidence will arise in similar shape on a new trial, no further time will be given to them than is necessary to avoid mistake.

While one of plaintiff’s witnesses was on the stand, defendants, during cross-examination, undertook to prove by him the identity of certain documents, which counsel for plaintiff was not allowed to see, but which were afterwards read as having been proved. This was, we think, erroneous. There may be no objection to proving documents at one timé rather than another, if the opposite party consents. But there is no case where a witness proving an instrument [301]*301should not be subject to immediate cross-examination, which could never be effective without the view of the document itself, — not only to guard against forgery or substitution, but also to inform parties what issues were likely to arise concerning genuineness or any other fact which is material. Our rules in equity cases have done away with proof of instruments at the hearing, for the reason that there was always danger of surprise and imposition. But there was never any practice which deprived parties of the right to inspect and cross-examine in season.

Upon the questions of secondary evidence, we think that where parties reside at a distance from the place of trial, a notice to counsel to produce papers which will only allow time to communicate with clients by telegraph is insufficient. We need not pass upon exceptional cases where the necessity is not discovered early, and where an offer is made to bear such expenses and furnish such facilities as the exigency suggests. But, in the absence of peculiar exigencies, we think that there is no propriety in putting parties to the necessity of trusting their business to an agency which is not only uncertain, but open to difficulties of proof as well as extra expense for such full notices as are necessary for safety.

But it must also be remarked that the defendants in this ease were entitled, without notice, to the production of all papers which formed any pp-t of the contract under which the cause of action arose, and, as far as we can judge from the record, a considerable portion of the papers called for were of this character.

It does not appear to us that there was error in allowing Prescott to be asked concerning his authority to bind Barnard. That his opinion concerning his authority would not prevail over facts is no doirbt true, and it may be that the questions put were not sufficiently confined to facts rather than conclusions. But the entire facts were open to inquiry, and the legal consequences should then have been made the subject of proper requests to charge.

A similar remark will apply to the questions touching his [302]*302employment of counsel and assumption of tbe defense in Buffalo. There was one aspect of the case in which this fact might be material. Iiis answers should be strictly confined to facts, and not conclusions; but the facts themselves were pertinent. But upon this, as well as upon some other questions, there seems to have been some testimony given by persons who must have acted on hearsay. This, of course, is not admissible.

The chief questions of importance relate to the various rulings upon the merits, or bearing on them.

It therefore becomes important to know what the issue really was. The declaration rests practically upon a breach of warranty of title, and on the existence of an incumbrance in the shape of a possessory lien, which plaintiff had to pay. But the averments in the special count did not rest the cause of action on an original payment of this lien as one to be made out by ordinary testimony, but on the obligation arising out of an adjudication upon it, which precluded the necessity of any further investigation, and bound the parties. In order, therefore, to make out such an effect, it was necessary to show that, the judgment was had in a proceeding which defendants either undertook to be concerned in, or, being otherwise concerned, had proper notice to defend. There was evidence before the jury which would bear upon both of these conditions, and there was also on the other side a claim that the testimony exonerated defendants from any duty or liability. Some facts are disputed, and some are not.

It is not disputed that defendants (or Prescott, in their name) sold the lumber in question as their own lumber, and unconditionally, in the first week of July, 1879, and that "Welch & Co. were expected to send up a vessel to be loaded, and that on or before July 7, 1879, they sent up the Orontes, and gave notice to Prescott, by letter, which he received, stating how she was to be loaded, and that she was loaded accordingly. It also appears that Eames set up his claim to a lien on the lumber, but under what circumstances there seems to be some disagreement. It appears by Pres[303]*303■cott’s testimony that subsequent shipments were made by him without Earnes’ consent and against his protest. It appears by the same witness that after the cargo in question was shipped, he agreed that the purchasers might withhold a portion of the price of this and of another cargo until he had settled with Earnes; and that a few days subsequently, when the lumber had arrived in Buffalo, and Earnes was about replevying, Prescott obtained paper for the full balance. All of these transactions involve some disputed circumstances.

When Earnes replevied the lumber in Buffalo, he did so on the averment that his lien had been kept alive by the shipping agreement with Welch & Co. Immediately thereupon the testimony tends to show that counsel from Buffalo applied to Prescott, in Bay City, for indemnity, and he directed the witness to proceed and defend, and that he would indemnify and protect Welch & Co., who then went on and bonded the lumber. There was further testimony concerning the conduct of the various parties pending the replevin suit.

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Cite This Page — Counsel Stack

Bluebook (online)
16 N.W. 656, 51 Mich. 298, 1883 Mich. LEXIS 585, Counsel Stack Legal Research, https://law.counselstack.com/opinion/de-witt-v-prescott-mich-1883.