Ferguson v. Dent

29 F. 1, 1886 U.S. App. LEXIS 2416
CourtUnited States Circuit Court
DecidedSeptember 30, 1886
StatusPublished
Cited by8 cases

This text of 29 F. 1 (Ferguson v. Dent) is published on Counsel Stack Legal Research, covering United States Circuit Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Ferguson v. Dent, 29 F. 1, 1886 U.S. App. LEXIS 2416 (uscirct 1886).

Opinion

Hammond, J.

The affidavits here show, what is well known to the court, that it was intended by the defendants and the court that this bond should be a supersedeas bond. The penalty was sufficiently large to cover any damages likely to come within the liability pending the appeal. Kountze v. Omaha Hotel Co., 107 U. S. 378; S. C. 2 Sup. Ct. Rep. 911; Roberts v. Cooper, 19 How. 373.

I cannot think, as suggested by the plaintiffs’ counsel, that the words necessary to make it in form a supersedeas bond were designedly omitted in order to evade that responsibility. The surety understood the full extent of it, as well as the defendants; for wdien he came to sign the bond he inquired of me, and it was fully explained to him, as it had been to Mr. Frazer when he drew the bond. I must protest, good-naturedly of course, against the inaccuracies of Mr. Frazer’s affidavit. He is mistaken when he states that I undertook to see that “the appeal was perfected as affiant desired.” I read to him the statute, the twenty-ninth rule of the supreme court, and certain passages in Phillips’ Practice, and warned him of the strictness of the practice. I subsequently saw in the clerk’s office the soiled form of bond mentioned in the affidavits as in his hand-writ[3]*3ing, but did not inspect it, and do not know whether it contained the words “and damages” or not; but lie left my chambers to write a bond which would be sure to have those words in it. He is altogether mistaken when lie says in his affidavit that, “under the direction of the court, the clerk made out the bond as filed.” I gave no directions about it, and had nothing to do with it, except to justify the surety and approve it, which I did, as I always do, without the least scrutiny of the bond; for it is the business of counsel to see that it is in the form they wish it, and it is a matter about which I should not and do not meddle at all.

Eat, in my own view, it is wholly .immaterial how this mistake in the bond occurred. It is not in form a supersedeas bond. Yet it operated defacto as a supersedeas bond for seven months from September 29, 188b, the date it was filed, until April 23, 1886, when counsel for the plaintiffs first discovered the omission, and applied to the clerk for a writ of possession to oust the receiver. I was then absent at Cleveland, Ohio, holding court, and, upon my i*eturn, sua sponie revoked the action of the clerk, and restored the possession to the receiver, because it was not, in my judgment, a case for action by the clerk, and the receiver could not or properly should not be dispossessed except upon the order of the court, and possibly not without an application to the supreme court itself.

It is true that the opinion in the case, and the decree following it, directs that “the receiver deliver possession to the plaintiffs, for which purpose a writ, of possession should issue to place them in the quiet possession of the property, freed from all tenants of the receiver and their effects,” (Ferguson v. Dent, 24 Fed. Rep. 426;) but this was merely a mode of declaring tho right of the plaintiff to the property, and was not intended, at least, to direct that the receiver be dispossessed without a further order of tho court to that end. Strictly speaking, there is no such thing in our equity practice as a writ of possession, and certainly none is ever needed to dispossess a receiver of the court. If a receiver should refuse to obey an order of the court, possibly a writ of assistance might bo issued by the clerk, under equity rule 9; but even that is doubtful, for it seems to provide rather for that writ as against the parties to the suit without an application to the court which otherwise would have to be made. 2 Daniell, Ch. Pr. (1st Ed.) 724; 1 Daniell, Ch. Pr. 643. We have, in Tennessee chancery practice, a writ of possession in analogy to that writ in ejectment at law; hut that, of course, has no application here, though- it was used in Wallen v. Williams, 7 Cranch, 278. At all events, this decree meant no more than would have been implied if it had not contained tho directions as to a writ of possession against the receiver. Mr. Daniell says:

“The appointment of a receiver, made previous to a decree, will be superseded by it, unless tlie receiver is expressly continued. A receiver, however, Is never discharged by decree, but the application for his discharge must be [4]*4made by petition,” etc. 3 Daniell, Ch. Pr. (1st. Ed.) 408; 2 Daniell, Ch. Pr. (5th Ed.) 1765.

Naturally enough this final decree was treated as a direct order of the court to dispossess the receiver; and, strictly, there should have been an order continuing his possession after the decree, and pending the appeal; so while, under the circumstances, neither the plaintiffs nor the clerk would be guilty of willful contempt in dispossessing him, yet, since he had been, without any special order, continuously in possession since the appeal, and repeated orders had been given for his direction in the management of the property, it seemed to me that, whether the bond justified that continued possession or not, the application to the court, which is now made, should have been then made, before turning him out, notwithstanding the command of the final decree. Just as if the final decree, or one subsequently made, had contained specific directions for continuing the receiver pending the appeal, the clerk would not have issued the writ; so that, possession having been continued, in fact, he should not have issued it without a further order to that effect. For these reasons the motion to vacate the order of revocation is denied. I cannot sanction any interference with the receiver’s possession without the special order of the court whose receiver he is; and, under the circumstances stated, the final decree cannot be treated as such sanction, whether the bond be a supersedeas bond or not.

It does not .follow, even at law, that the court will either issue an execution, or refuse-to quash one issued by the clerk, simply because the bail in error is fatally defective. The text writers, abridgments, and cases show that it is very much a matter of sound discretion in the court; and one of the chief influences in controlling that discretion is the desirability of preserving the existing status until the appellate court can exercise its undoubted power of determining whether there be in fact a fatal defect or not. Undoubtedly, the plaintiff, the clerk, and the sheriff—indeed, all the officials concerned—may be called on to determine, each for himself, just as the clerk did here, whether the judgment or decree has been superseded or not by the writ of error or appeal; and each for himself must act at his peril, for there is no tangible writ of supersedeas to guide them. It is done by implication of law from the existing facts, and the matter to be determined is whether there can be any action towards executing the judgment or decree,—whether there be any supersedeas. Still, the court can always revise that action of the officials, and the fallacy is in supposing that the matter is to be always determined by either the officials or the court solely and exactly upon the face of the bail-piece, be it recognizance or bond. Often the court below will not proceed, notwithstanding the defects; and just as often it will refuse to interfere where execution has in fact issued under equivocal circumstances, although there may be in fact no defect, and.

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Cite This Page — Counsel Stack

Bluebook (online)
29 F. 1, 1886 U.S. App. LEXIS 2416, Counsel Stack Legal Research, https://law.counselstack.com/opinion/ferguson-v-dent-uscirct-1886.