E. River Bottom Water Co. v. Dunford, Dist. Judge

167 P.2d 693, 109 Utah 510, 1946 Utah LEXIS 97
CourtUtah Supreme Court
DecidedApril 4, 1946
DocketNo. 6837.
StatusPublished
Cited by3 cases

This text of 167 P.2d 693 (E. River Bottom Water Co. v. Dunford, Dist. Judge) is published on Counsel Stack Legal Research, covering Utah Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
E. River Bottom Water Co. v. Dunford, Dist. Judge, 167 P.2d 693, 109 Utah 510, 1946 Utah LEXIS 97 (Utah 1946).

Opinion

HOYT, District Judge.

This is an original proceeding for a writ of mandate. An alternative writ was issued and the defendants have appeared and filed demurrers and answers. The case grows out of a suit tried in the District Court of the Fourth District before the defendant district judge, which case was appealed to this court, the judgment reversed and the case remanded for further proceedings in conformity to the opinion. The opinion is reported in East River Bottom Water Co. v. Boyce, 102 Utah 149, 128 P. 2d 277. The petitioner herein asserts that the defendant district judge has failed to comply with the mandate of this court in that he has refused to sign findings of fact, conclusions of law and decree which were proposed by plaintiff and has permitted the defendant bank to file an amended counterclaim which petitioner asserts presents new issues.

*512 In the case referred to the petitioner herein was plaintiff and one George L. Boyce and the State Bank of Provo were defendants. The suit was brought by the plaintiff, an incorporated water company, to obtain a decree cancelling in part certain certificates purporting to represent 14 shares of its stock held by the defendant bank. The plaintiff alleged that the certificates represented a duplicate issue as to seven shares and were void to that extent. It was alleged in the complaint that in 1917 one Peter Boyce, the then owner and holder of Certificate No. 7 representing seven shares of stock of the plaintiff corporation, fraudulently represented to T. E. Foote, secretary of the company, that said certificate had been lost and destroyed and, without surrender of the certificate said Boyce fraudulently persuaded the secretary to issue to him a new certificate, No. 56, for seven shares; that thereafter, in 1921, said Boyce fraudulently presented to H. R. Booth, then secretary of the plaintiff company, Certificate No. 7, and demanded issuance of a new certificate in lieu thereof; that said Booth, who then had no knowledge of the issuance of certificate No. 56 in lieu of said Certificate No. 7, issued to said. Boyce a new certificate, No. 68, for seven shares of stock; that thereafter, in Í928, George L. Boyce, one of the defendants in the action, with full knowledge of the facts, fraudulently presented to the company secretary, H. R. Booth, said certificates No. 56 and 68, and demanded issuance to him of a new certificate for fourteen shares; that said Booth was ignorant of the fact that said certificates 56 and 68 were duplicate issues and thereupon issued a new certificate No. 96 to said George L. Boyce, for fourteen shares; that thereafter, on the 11th day of February, 1939, said George L. Boyce, fraudulantly and with full knowledge of the foregoing facts, transferred to the defendant State Bank of Provo said certificate No. 96, which certificate said bank thereafter presented to the secretary of the plaintiff corporation for transfer, and said secretary issued in lieu thereof a new certificate, No. 142, for fourteen shares; that thereafter said bank presented to the corporation secretary said *513 certificate No. 142 and received in lieu thereof nine certificates Nos. 156, 157, 158, 159, 160, 161, 162, 163 and 164, representing a total of fourteen shares; that the plaintiff corporation was wholly ignorant of the duplicate issue of stock above mentioned until after the issuance to the defendant bank of the certificates last above mentioned; that plaintiff corporation did not, at the time of the duplicate issues of stock originally evidenced by certificate No. 7, nor at any time since, have any treasury stock that it was authorized to issue; and that seven shares of the stock represented by certificates Nos. 96 and 142 were issued without authority of law and were void. The plaintiff prayed judgment that seven shares of the stock represented by certificates No. 96, 142, and by the certificates issued in lieu of No, 142 to the defendant bank, be declared void and that the bank be required to surrender said certificates for cancellation:

To the foregoing complaint the defendant bank filed an “answer and cross-complaint” in which it admitted the transfers of stock and issuance of certificates mentioned, denied plaintiff’s allegations of fraud, and affirmatively alleged that on the 28th day of September, 1937, it loaned to the defendant George L. Boyce $3,640 to secure which said Boyce pledged to the bank four certificates of stock representing 40% shares of the plaintiff corporation, including certificate No. 96 above mentioned; that on the 5th of December, 1938, the defendant bank, to protect its security, paid to the plaintiff $16, being a balance owing on assessment on said 40% shares; that on said date there was owing to the defendant bank on the loan made to said Boyce $3,983.62, and on said date it purchased said 40% shares of stock and thereafter presented to the secretary of the plaintiff corporation the certificates referred to and received new certificates in lieu thereof, signed by the officers of the plaintiff. The defendant bank further alleged that the stock alleged by plaintiff to be a duplicate issue had been issued by the proper officials of the plaintiff company for more than twenty-two years and that the plaintiff had negligently allowed the same to stand *514 as stock of said corporation and had issued water turns thereon for more than twenty years. As a “further answer and by way of cross-complaint” the defendant bank further alleged that it acquired the stock in question as set out in its answer; that on or about the 8th of February, 1939, the defendant bank surrendered to the plaintiff said certificates for 40% shares; that the plaintiff issue to the defendant bank certificates for 39% shares but refused to issue a certificate for one share of said stock; that said stock is of a value of $100 per share; that thereafter the defendant bank demanded water of the plaintiff for the stock so issued to it but the plaintiff refused to deliver water for seven of the shares during the season of 1939; that the reasonable value of water represented by said stock is $10 per annum per share; that by reason of the refusal of the plaintiff to issue said share of stock aforesaid the defendant was damaged in the sum of $100 and, by reason of plaintiff’s refusal to furnish water for seven shares of stock issued to it, the defendant bank has been damaged in the sum of $70; that the full capital stock of the plaintiff corporation had not been issued; that the defendant bank had no knowledge of any defect or fraud in the issuance of said 40% shares of stock. The defendant bank prayed: (1) that the plaintiff be required to issue to it one share of stock or pay it $100 damages; (2) that plaintiff be required to furnish to defendant and its assignees water in proportional parts for each share issued to defendant or on failure thereof to pay to defendant damages in the sum of $100 per share of stock for which water was not issued to defendant; (3) for $70' damages for failure to issue to defendant water turns for seven shares during the 1939 season; (4) that plaintiff take nothing by its complaint and for such other relief as to the court may seem meet and just.

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Cite This Page — Counsel Stack

Bluebook (online)
167 P.2d 693, 109 Utah 510, 1946 Utah LEXIS 97, Counsel Stack Legal Research, https://law.counselstack.com/opinion/e-river-bottom-water-co-v-dunford-dist-judge-utah-1946.