Deere & Co. v. Wolf

41 N.W. 588, 77 Iowa 115, 1889 Iowa Sup. LEXIS 129
CourtSupreme Court of Iowa
DecidedFebruary 1, 1889
StatusPublished
Cited by5 cases

This text of 41 N.W. 588 (Deere & Co. v. Wolf) is published on Counsel Stack Legal Research, covering Supreme Court of Iowa primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Deere & Co. v. Wolf, 41 N.W. 588, 77 Iowa 115, 1889 Iowa Sup. LEXIS 129 (iowa 1889).

Opinion

Beck, J.

The cause may be more conveniently disposed of by considering the objections to the judgment as nearly as possible in the order of their discussion by the counsel of intervenor.

I. The intervenor claims to be the absolute and unqualified owner of certain personal property which plaintiff caused to be seized upon an attachment in this case. This claim of ownership is based upon a transfer by the defendant to the intervenor of property of considerable value, in payment of an indebtedness from defendant to the intervenor. Plaintiffs claim that this transfer is void, for the reason that it was made in pursuance of a contract to “stifle, hinder and prevent a prosecution against defendant for the crime of forgery,” and for the further reason that it was made with the intention of defendant, and all persons participating therein, to hinder, delay and defraud the creditors of the defendant, among whom were plaintiffs. The intervenor claims to have purchased the personal property of defendant Wolf in payment and satisfaction of all claims held by it against him.

[117]*1171. „ , chattels'3 evidence. II. The president of the intervenor was examined as a witness, and testified to the transactions of the bank in connection with the claim it held against Wolf, and the transfer of property jn payment therefor. His statement is not clear, and need not be repeated. He states, among other things, that in the transaction he issued a certificate of deposit for five thousand dollars, which, as he says, was given to represent the difference of certain accounts. Thereupon he was asked this question : “ How did you make your deposit account balance?” His answer is in thése words: “I cannot explain to you the bookkeeping. That balances itself. If you take off five thousand dollars bills receivable, and write a certificate of deposit for five thousand dollars, that balances.” Counsel now insist that the evidence was erroneously admitted. The issue involved the good faith of the alleged payments made by defendant, and whether the transaction was, on the part of the intervenor, with the purpose of delaying and defeating creditors. It was proper for the plaintiff to demand a full disclosure of all the transactions, to the end that it might be determined whether they were honest and fair, whether there was an actual payment of the intervenor’s claim, and the purpose with which it was paid. It appears to us the answer tended to throw some light upon these matters. The evidence was therefore rightly admitted.

2. THE SAME. III. Certain conversations were had by a witness with the president of the bank after the' alleged transfer of the property, in which he, in effect, jj-ij-i.i, " , iii . stated that the property was held as security. To this evidence objections were made. We think they were rightly overruled. It was proper to determine just what interest the bank claimed to have in the property. This statement of its chief officer, who was authorized to sppak for the bank, is competent as tending to sb ow that interest.

IV. A witness testified that an attorney, who had taken a mortgage to secure another bank, testified that he had no authority to do so. The evidence was [118]*118objected to on the ground of irrelevancy and immateriality. The attorney had before testified in this case, upon his cross-examination, that he had not testified as stated. The evidence was properly received to contradict and discredit his testimony, if it was competent for no other purpose. Objection is made to a question asked another witness, but the abstract fails to show that the question was answered. No error is therefore shown.

3. the same. V. Other testimony as to the statements of the president of the intervenor, advising a creditor of the defendant to garnish the bank, was admissible, on the ground that it tended to show that the intervenor did not purchase the property.

4. the same. VI. Evidence was admitted, against the intervenor’s objection, tending to show she amount realized from the sale of the property. This evidence tended to show the value of the property, which might have some bearing in determining the bonajides of the transaction.

5. Insttujctton em.rin VII. The court, in an instruction, directed the jury that, before they could find the sale fraudulent, it should be made to appear that the price „ ,. by the intervenor was m excess or the real value of the property. This instruction is now complained of. It was doubtless given through mistake, into which the court may have been led by an instruction asked by the intervenor conveying the same thought. But the error of the instruction is plainly to the advantage of the intervenor. He cannot, therefore, complain of it.

VIII. Objections are made to one or more of the instructions on the ground that there was no evidence to which they are applicable. We think the objections not well taken. One of these instructions was to the effect that, if the intervenor held possession of the property as agent of defendant, he cannot defeat the attachment. An inference may be drawn from the declarations of the president of the bank that a garnishment process would avail a creditor, and that the bank did not hold the property claiming it as an owner, but [119]*119ratlier as an agent. The question whether the property was held by the bank as an owner or bailee is raised by the pleadings.

6. _.TOT1st be ' considered IX. An instruction (the eleventh) directed the jury, among other things, that an intention, by withdrawing property from the reach of creditors, to defeat the recovery of their debts, is fraudulent. Counsel for the intervenor complain that the instruction does not present the rules allowing a vigilant creditor to take property in payment or security of his debt; but these rules are sufficiently presented in succeeding instructions. It cannot be expected that all the rules upon a subject can be given in one instruction.

7. asked for by appellant. X. Objections to another instruction (the fourteenth ) are based upon the ground that it fails to present the rule that the bank cannot be bound by the acts or knowledge of its agents, unless _ , , . _ , , . - ... done and obtained while acting within the scope of their authority. We think it was not necessary, for the .correct determination of the case, to present this rule to the jury. If the intervenor’s counsel so thought, they should have asked for an instruction presenting the rule. As they failed to do this, they cannot now complain.

8. fraiJ<i. !' XI. A paragraph of the answer of plaintiff to the intervenor’s petition alleges that “ the purchase of the ProPerfcy is void, as to plaintiff, for the reason that the same was made with the intent of Wolf and the intervenor, and all parties participating therein, thereby to hinder, delay and defraud the then existing creditors of Wolf> of whom plaintiff was at that time one.”

XII. The court, in an instruction, informed the jury that, as there was no evidence of a conspiracy, the questions relating thereto were withdrawn from their consideration. Counsel now insist that after the last instruction no issue of fraud remained for the determination of the jury, and therefore instructions relating to that issue were erronously given. But it will be [120]*120observed that plaintiff’s answer, above quoted, does plead fraud.

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Bluebook (online)
41 N.W. 588, 77 Iowa 115, 1889 Iowa Sup. LEXIS 129, Counsel Stack Legal Research, https://law.counselstack.com/opinion/deere-co-v-wolf-iowa-1889.