Edenfield v. Rountree

126 S.E. 731, 33 Ga. App. 444, 1925 Ga. App. LEXIS 824
CourtCourt of Appeals of Georgia
DecidedFebruary 12, 1925
Docket15610
StatusPublished
Cited by11 cases

This text of 126 S.E. 731 (Edenfield v. Rountree) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Edenfield v. Rountree, 126 S.E. 731, 33 Ga. App. 444, 1925 Ga. App. LEXIS 824 (Ga. Ct. App. 1925).

Opinion

Jenkins, P. J.

It is a well-established general rule that “the doctrine of caveat emptor applies to administrators’ sales;” and the provisions of the Civil Code (1910), § 4122, for apportionment of the purchase price on account of deficiency of acreage, or a rescission of the sale, have no application to such sales. McKinnon v. Sheffield, 149 Ga. 219 (1) (99 S. E. 855); Greer v. McDonald, 141 Ga. 309 (80 S. E. 1002); Mercer v. Sager, 129 Ga. 123 (58 S. E. 1037); Thrift v. Baker, 144 Ga. 508 (87 S. E. 676); Civil Code (1910), § 4032. Thus, it has been stated as a general rule that, “when one applies to an executor or administrator for information as to the title to land advertised for sale by such executor or administrator, or as to its quality or quantity, it is the same as if application were made to one who had no interest in the land. An -executor or administrator can not warrant the title; and this being so, his statements fix no liability upon the estate he represents nor upon himself.” Wells v. Harper, 81 Ga. 194 (6 S. E. 913, 12 Am. St. Rep. 310). But there are recognized exceptions to this rule. A fraud or misrepresentation practiced by an executor or administrator in the sale of his testator’s effects is a good defense to an action on a note given for the property on the sale [446]*446of which the fraud was practiced (Williamson v. Walker, 24 Ga. 257, 259, 260; Kirkland v. Wade, 61 Ga. 478, 480; Kingsbery v. Love, 95 Ga. 543, 22 S. E. 617; Keen v. McAfee, 116 Ga. 731, 42 S. E. 1022; Colbert v. Moore, 64 Ga. 502; Holmes v. Holmes, 140 Ga. 219, 78 S. E. 903; Jones v. Warnock, 67 Ga. 484); and the general rule stated will not charge such a purchaser “with notice as to the acreage being sold, or the boundary of the tract, where the representative of the estate fraudulently undertook to give the exact acreage” or dimensions of the property, “and to point out the boundary lines, professing to know these facts himself and not leaving the purchaser to his own resources to acquire this information. If the purchaser relied on these false representations, he would be defrauded and entitled to a rebate for the shortage in acreage” or dimensions of the property, “whether the representative of the estate knew that his representations were false or not at the time of making them.” Redfearn on Wills & Admn. of Estates, 551; 552; Folsom v. Howell, 94 Ga. 112 (2) (21 S. E. 136) (where there was no actual fraud, but the representative assumed to state exact data, selling 38-6/10 acres as 50 acres). See also Brannen v. Brannen, 135 Ga. 590 (69 S. E. 1079); Southern Cotton Mills v. Ragan, 138 Ga. 507 (75 S. E. 611).

Where an administrator of an estate applied for and was granted leave to sell a described entire brick store building, advertised it for sale as “lots 5 and 6 in block 16, said lots fronting 30 feet each on Second Street and extending 90 feet to 30-foot alley, situated in the city of Stillmore, said building being 60 feet wide,” and this advertisement was read at the public sale, and where the purchaser relied upon the truthfulness of the representations thus made as to the property being the entire building and 60 feet in width, and received a deed from the administrator, describing the lots as having such frontage, when in fact the administrator's intestate had previously sold to another 10 feet of the frontage, including the entire wall on one side of the store building, which was in the adverse possession of another, and the property and building owned by the estate actually contained only a 50-foot frontage, the general rule of caveat emptor would not prevent the purchaser from setting up the misrepresentation, in defense to an action by the administrator for the balance of the purchase price bid for the property, and obtaining an abatement or apportionment [447]*447of the purchase price on account of such misrepresentation, where the proportionate value of the deficiency was capable of determination. In assuming to state the exact frontage of the property and the building, the administrator would be bound to know of the previous sale by his intestate, and would be chargeable with the misrepresentation made, regardless of whether he actually knew of its falsity or had no actual intention to practice a fraud on the purchaser.

Section 4185 of the Civil Code (1910) declares that “a deed to lands, made while the same are held adversely to the maker of the deed, is not void.” But the contrary rule at common law, making void all conveyances of land which at the time is in the adverse possession of another, has been preserved in this State as a special rule applicable to administrators’ sales, and section 4033 of the Civil Code declares that “an administrator can not sell property held adversely to the estate by a third person; he must first recover possession.” Booth v. Young, 149 Ga. 276 (1) (99 S. E. 886); Guthrie v. Bullock, 143 Ga. 17 (84 S. E. 59); Downing Lumber Co. v. Medlin, 136 Ga. 665, 668 (73 S. E. 33); Hanesley v. Bagley, 109 Ga. 346 (34 S. E. 584); Heard v. Phillips, 101 Ga. 691 (31 S. E. 816, 44 L. R. A. 369); Thrift v. Baker, 144 Ga. 508, 509 (87 S. E. 676); Redfearn on Wills & Admn. of Estates, 540, note. While “the object of the provision contained in section 4033 of the Civil Code hs to prevent the administrator from sacrificing the value of the property by putting it up for sale under such circumstances that the purchaser would buy a lawsuit along with the land’ ” (Powell on Actions for Land, § 349; Booth v. Young, supra; Downing Lumber Co. v. Medlin, supra), the validity of such a deed is subject to attack by others than those having an interest in the estate, even including the holder of the adverse possession, and this is true even though his own lease be void as against the estate. Booth v. Young, supra. But the purchasers at administrators’ sales, as well as at other sales, must not themselves have gone into undisturbed possession; in which event the right to relief is controlled by other equitable principles. Henderson v. Fields, 143 Ga. 547, 548 (85 S. E. 741); Mathis v. Crowley, 146 Ga. 749 (3) (93 S. E. 313).

Where an administrator’s deed to lands includes both property in the possession of the estate and property “held ad-[448]*448Tersely to the estate by a third person,” and such respective proper* ties and their values are capable of exact division and determination, the deed will not be held altogether void as failing to pass the title to the property of which the administrator could deliver actual possession to the purchaser, but may be held void pro tanto as to that portion in the adverse possession of another. See Booth v. Young, supra (149 Ga. 280), where the deed was held void as to the portion not in possession, but the Supreme Court expressly withheld its opinion as to whether the instrument would operate as a-good conveyance of the remaining portion.

“While a city court has no jurisdiction to grant affirmative equitable relief, it may entertain jurisdiction of an equitable plea purely defensive in its nature.” House v. Oliver, 123 Ga.

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Bluebook (online)
126 S.E. 731, 33 Ga. App. 444, 1925 Ga. App. LEXIS 824, Counsel Stack Legal Research, https://law.counselstack.com/opinion/edenfield-v-rountree-gactapp-1925.