Epinger, Admx. v. Wade

52 N.E.2d 852, 142 Ohio St. 460, 142 Ohio St. (N.S.) 460, 27 Ohio Op. 397, 1944 Ohio LEXIS 468
CourtOhio Supreme Court
DecidedJanuary 26, 1944
Docket29552
StatusPublished
Cited by1 cases

This text of 52 N.E.2d 852 (Epinger, Admx. v. Wade) is published on Counsel Stack Legal Research, covering Ohio Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Epinger, Admx. v. Wade, 52 N.E.2d 852, 142 Ohio St. 460, 142 Ohio St. (N.S.) 460, 27 Ohio Op. 397, 1944 Ohio LEXIS 468 (Ohio 1944).

Opinion

*462 Hart, J.

The principal question presented by the record is whether, in a wrongful death action brought by the personal representative of the decedent who was killed in a collision between decedent’s automobile and that of the defendant, such defendant has a right to prosecute in the same suit a cross-action for his own personal injuries sustained in the same collision. An incidental question is whether the action of the Common Pleas Court in striking such cross-petition from the original action and docketing it as a separate' and independent action constitutes a final order from which an appeal may be taken.

The appellant claims the right to maintain her cross-action in the original suit because it tends to simplify procedure and to curtail the expense of litigation in that it would avoid a multiplicity of suits and the possibility of inconsistent results in the two actions. She insists that her claim in this respect is incidentally and indirectly recognized by the courts in permitting an administrator to join in one action a claim for personal injuries to his decedent with one for wrongful death of such decedent. See Wellston Iron Furnace Co. v. Rinehart, Admr., 108 Ohio St., 117, 140 N. E., 623. But in the case here cited and relied upon by the defendant, the joinder of the two causes of action was not questioned and the right of joinder in such cases does not seem to have been heretofore decided by this court.

Upon this subject, 16 American Jurisprudence, 193, Section 277-, says: “Although there is some authority to the contrary, the courts generally hold that in jurisdictions in which two separate and distinct causes of action are created by the wrongful death statute and the survival statute, the two actions may be joined, notwithstanding the fact that the elements of damages are different and the amount of damages must be:separately assessed by a special verdict, and go into sep *463 arate funds.” See annotations, 7 A. L. R., 1321; and L. R. A. 1915E, 1138, 1139.

The plaintiff, as personal representative in such a case, acts in a dual capacity as to the two causes of action asserted against the defendant. There must be a separate verdict returned as to each cause of action. If a recovery is granted in the wrongful death action it is for the sole benefit of the surviving spouse and next of kin, and is not subject to claims against the estate of the decedent. On the other hand, if a recovery is granted for personal injuries to the decedent, it is an asset of the estate and subject to the claims of creditors. The net result of such procedure is that two separate and distinct actions are litigated, though they are tried at the same time. Gibson v. Solomon, 136 Ohio St., 101, 108, 23 N. E. (2d), 996. The question occurs as to whether this procedure is a matter of right upon the part of the plaintiff as personal representative or is merely permissible1?

In the case at bar a somewhat different question arises. There is no mutuality between the claim of the plaintiff for the wrongful death of her decedent and the claim of the defendant for her personal injuries. The claim of the latter cannot be treated as a counterclaim to reduce the damages, if any, recoverable by the plaintiff. The claim of the defendant, if established, would make her a creditor of the estate of the decedent, but it could not affect the rights of the surviving spouse and next of kin of the decedent in any judgment in the action in favor of the plaintiff. There is no legal relationship between the cause of action of the plaintiff and that of the defendant as set out in her cross-petition. In other words, ‘ ‘ it is generally held that, in order to warrant a setoff or counterclaim in an action by an executor or administrator, the debts must be mutual, and the principle of mutuality requires not only that the debts should be due to and from the same person, *464 but also to and from the same person .in the same capacity.” 34 Corpus Juris Secundum, 704, 718; Stuart, Admr., v. Lott, 304 Ill., 170, 136 N. E., 454; Mahon v. Harney County National Bank, 104 Ore., 323, 206 P., 224; Hampton Roads Fire & Marine Ins. Co. v. Coburn Motor Car Co., Inc., 158 Va., 675, 164 S. E., 723, 84 A. L. R., 731.

Of course, if plaintiff’s action had been one for the benefit of decedent’s estate to recover for personal injuries suffered by the decedent in his lifetime, there could be little question as to the right of the defendant to assert her counterclaim by way of cfoss-petition in this action. Under such circumstances, there would be mutuality of parties as well as mutuality of claims.

In support of the claim made by the defendant in this case, counsel suggest, as an analogy, that where a claimant brings an action for personal injuries against the administrator of one who caused such injuries, such administrator maj7 cross-petition against the claimant for the wrongful death of his decedent, and cite, as sustaining this proposition, 34 Corpus Juris Secundum, 714, Section 724. The text is as follows : “Counterclaim for wrongful death. In an action brought against decedent in his lifetime for damages arising out of an automobile accident, the personal representative may, on decedent’s death as a result of injuries received in the accident, file a cross-action or counterclaim for the wrongful death of decedent.”

But an examination of the text above quoted and the authority supporting it (Johnson, Admx., v. Smith, 215 N. C., 322, 1 S. E. [2d], 834), discloses that the term “wrongful death” as there used refers to a tortious act causing death which gives rise to a claim for personal injuries in favor of decedent’s estate, and not to an fiction technically known as a wrongful death action on behalf of decedent’s dependents. The court in the above-cited cases says: “The administratrix *465 succeeded to all the rights and assets of her intestate and is subjected to all of his debts and liabilities, and the right to maintain an action for the wrongful death of her intestate is but a statutory continuation, extension and enlargement, of the right that existed prior to his death in favor of her intestate to maintain a cross-action or counterclaim for personal injuries in the action instituted against him * * * .” This authority, therefore, does not seem to support the claim of the defendant.

In our view, the defendant’s cross-action in this case clearly does not qualify as a proper setoff or counterclaim to the action of the plaintiff. Moreover, in the trial of the two separate actions, represented by the petition of the plaintiff and the cross-petition of the • defendant, evidence competent in one action may be incompetent in the other. In the wrongful death action of the plaintiff both the administrator and the defendant would be competent to testify; but as to the cross-action of the defendant neither could testify. The court would be obliged not,only to carefully instruct the jury as to the proper application of such testimony, but would, in the charge, be obliged to apply the law to these conflicting claims.

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Bluebook (online)
52 N.E.2d 852, 142 Ohio St. 460, 142 Ohio St. (N.S.) 460, 27 Ohio Op. 397, 1944 Ohio LEXIS 468, Counsel Stack Legal Research, https://law.counselstack.com/opinion/epinger-admx-v-wade-ohio-1944.