Doub v. Hauser

123 S.E.2d 821, 256 N.C. 331, 1962 N.C. LEXIS 448
CourtSupreme Court of North Carolina
DecidedFebruary 2, 1962
Docket388
StatusPublished
Cited by13 cases

This text of 123 S.E.2d 821 (Doub v. Hauser) is published on Counsel Stack Legal Research, covering Supreme Court of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Doub v. Hauser, 123 S.E.2d 821, 256 N.C. 331, 1962 N.C. LEXIS 448 (N.C. 1962).

Opinion

Moore, J.

Defendant makes fourteen assignments of error based on forty-three exceptions. We discuss several which we consider decisive.

(1) Plaintiffs’ witness, W. D. Dalton, testified on direct examination that he lived with defendant in 1949, and, over objection, stated: “Mr. Hauser was sick. ... I got to going over there to see him; and he got after me to move in and take care of him and look after him; he didn’t want to live by himself. ... I told him . . . I’d move in with him. And he said if I did he’d give me his part of his estate there, his land. . . . (h)e said a time or two afterwards he was going to fix up some papers; but he never did do it.” On cross-examination Dalton stated that he left on his own accord because of family obligations and was still on good terms with defendant. Defendant on cross-examination testified; over objection, that he made a will at one time leaving his *335 property to Mr. Strupe. In the charge the court recapitulated these items of testimony.

Defendant contends that the evidence was incompetent and prejudicial to him for that it “was entered by plaintiffs in order to characterize the defendant as an individual who goes around cheating people by promiscuously promising to leave his property to them if they will work for him.”

It does not appear from the record that plaintiffs allege or contend that defendant was guilty of any fraud. Had fraud on the part of defendant been at issue the evidence of prior dealings of a similar nature would have been competent to show intent. Insurance Co. v. Knight, 160 N.C. 592, 76 S.E. 623. We do not agree that the inference suggested by defendant could be reasonably drawn from the testimony in question. Dalton did not accuse defendant of any unfair dealing, but explained that he left of his own accord; the court repeated this explanation in the charge. There was no testimony as to what the dealings were between defendant and Strupe other than the bare statement that defendant at one time made a will leaving his property to Strupe.

Ordinarily evidence of the making of a contract with one person is incompetent to prove the making of a contract with another. Guano Co. v. Mercantile Co., 168 N.C. 223, 84 S.E. 272. The challenged testimony was not competent to prove the existence of a contract between the parties, but in our opinion it was competent for corroborative purposes. Koonce v. Motor Lines, Inc., 249 N.C. 390, 106 S.E. 2d 576. The testimony in question tends to corroborate plaintiffs’ evidence that defendant was in poor health, did not want to live alone, and wished to have someone live in the home with him. Where evidence is admissible for some purposes, but not for all, its admission will not be held for error unless appellant requested at the time of admission that its purpose be restricted. State v. Corl, 250 N.C. 252, 108 S.E. 2d 608. Here there was no request to restrict the purpose of the testimony.

(2) Defendant assigns as error the admission of testimony of plaintiffs on direct examination and defendant on cross-examination that about ten acres of defendant’s land was taken by the State Highway Commission about 1958, for which defendant received between $3050.00 and $7550.00, and that defendant sold twenty acres of his land in 1960 after plaintiffs had demanded compensation for their services. The court, in charging the jury, gave plaintiffs’ contention “that defendant was willing to go along until he got some money from the Highway Commission and felt like he could go it himself, using some of that.”

Defendant contends that the evidence and instruction were prejudicial for the reason that the measure of damages is the value of serv *336 ices rendered, not the value of defendant’s property, and evidence of the sales had a tendency to influence the amount of the verdict.

It was stated in Grantham v. Grantham, 205 N.C. 363, 171 S.E. 331, that the value of the estate, the price agreed on in the contract, is some evidence of what services were worth, “it being in the nature of an admission or declaration of the parties as to the value, and having no more effect as evidence.” But the better rule is that when services are rendered with the parol understanding that compensation is to be made in the will of the recipient by devise of real estate, or of real estate and personal property, the measure of damages, upon failure of compensation in accordance with the understanding, is the value of the services rendered, less benefits received, and evidence of the value of recipient’s estate is not competent on the issue of damages. Gales v. Smith, 251 N.C. 692, 111 S.E. 2d 854; Stewart v. Wyrick, 228 N.C. 429, 45 S.E. 2d 764. “. . . (T)he value of a given service does not depend upon the ability of the party charged to make payment.” Sawyer v. Weskett, 201 N.C. 500, 160 S.E. 575; 65 A.L.R. 2d, Anno: Evidence-Services to decedent — Value, p. 948.

Nevertheless, we think the evidence in question was admissible. The evidence did not purport to place a value on defendant’s holdings. From defendant’s own testimony it appears that he had no income of consequence before plaintiffs came to live with him, he had to raise food on his farm because he had no money to buy it with, and that his neighbors helped him on occasion. Plaintiffs’ evidence tends to show that they paid his household expenses, bought food and other necessaries. In 1958 he received a “windfall” of several thousand dollars, and a few months later ordered plaintiff away. From these circumstances the jury might reasonably infer that defendant ordered plaintiffs to leave not because of any failure on their part to keep the agreement, but because he no longer needed them. “It is not required that the evidence should bear directly on the issue, but it is competent and relevant if it is one of the circumstances surrounding the parties, and necessary to be known to properly understand their conduct or motives, or to weigh the reasonableness of their contentions.” Henley v. Holt, 214 N.C. 384, 388, 199 S.E. 383; Bank v. Stack, 179 N.C. 514, 103 S.E. 6.

As to the evidence of the sale by defendant of twenty acres of his land after plaintiffs had demanded compensation, it was clearly competent. In State v. Kincaid, 142 N.C. 657, 55 S.E. 647, it was held competent to ask defendant on cross-examination if he had not transferred his property to avoid the result of indictment. “. . . (T)he conveyance of property during litigation or just prior to it, may be evidence of the transferor’s consciousness that he ought to lose. . . .” Wigmore on *337 Evidence (3d Ed.) Vol. 2, s. 282, p. 132. See also Annotations, 65 A.L.R. 1307.

(3) Defendant maintains that the court erred in failing to submit an issue as to the three years statute of limitations and in failing to instruct the jury that in an action for services rendered under an implied contract to pay therefor the statute bars recovery for all services except those rendered within three years of the institution of the action if there is no agreement as to the time when payment is to be made.

For recovery of compensation upon implied contract or quantum meruit

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Bluebook (online)
123 S.E.2d 821, 256 N.C. 331, 1962 N.C. LEXIS 448, Counsel Stack Legal Research, https://law.counselstack.com/opinion/doub-v-hauser-nc-1962.