Frame v. Plumb

118 N.W. 997, 138 Wis. 179, 1909 Wisc. LEXIS 40
CourtWisconsin Supreme Court
DecidedMarch 9, 1909
StatusPublished
Cited by35 cases

This text of 118 N.W. 997 (Frame v. Plumb) is published on Counsel Stack Legal Research, covering Wisconsin Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Frame v. Plumb, 118 N.W. 997, 138 Wis. 179, 1909 Wisc. LEXIS 40 (Wis. 1909).

Opinions

The following opinion was filed December 15, 1908:

Marshall, J.

As indicated in the statement, Mr. Frame was not an officer of the college when he testified. So he was a competent witness respecting what occurred between himself and the testatrix, as regards the disability of corporate officers to testify under ch. 197, Laws of 1907.

The statute deals with the condition when a witness is offered. Though Mr. Frame was competent respecting the transaction he testified to till after the commencement of the litigation, it did not prevent him being rendered incompetent before the trial by a statute passed in the meantime, but he could thereafter restore his competency by surrendering that which interfered therewith, as he did. One cannot acquire a vested right in a judicial remedy unless it is of the contract so that the invasion of the remedial element necessarily impairs the contract (Second Ward Sav. Bank v. Schranck, 97 Wis. 250, 73 N. W. 31; Peninsular L. & C. Works v. Union O. & P. Co. 100 Wis. 488, 76 N. W. 359; Eau Claire Nat. Bank v. Macauley, 101 Wis. 304, 77 N. W. 176), or otherwise divest vested rights (Rich v. Flanders, 39 N. H. 304).

The first two cited eases are within the first exception. So it was held that a law injuriously affecting the remedial element affected the value of the principal thing, contrary to the [189]*189inhibition of the national constitution (sec. 10, art. I) as to any state passing a law impairing tbe obligation of contracts. That is distinguishable from a mere change in rules of evidence, not necessarily affecting any property right, although rendering a right more difficult of establishment, or incapable of being established at all because of the parties being without competent evidence, there, however, being left ample rules-by which such right could be established if competent witnesses were at hand. Besson v. Cox, 35 N. J. Eq. 87; Karney v. Paisley, 13 Iowa, 89; Westerman v. Westerman, 25 Ohio St. 500; Rich v. Flanders, supra; Southwick v. Southwick, 49 N. Y. 510; Talladega Ins. Co. v. Landers, 43 Ala. 115; Calderwood v. Calderwood’s Estate, 38 Vt. 171; Wood v. Kaufman, 135 Mich. 5, 97 N. W. 47; Clark v. Harper, 215 Ill. 24, 74 N. E. 61; Mitchell v. Haggenmeyer, 51 Cal. 108; Kenney Presbyterian Home v. Kenney, 45 Wash. 106, 88 Pac. 108; Crawford v. Halsted, 20 Grat. 211.

The plain applicability of the citations is indicated by the following:

“The statute does not relate to or impair contractual rights or vested property rights, but it relates to the remedy and declares a rule of evidence. There appears to be no vested right in any mere rule of evidence.” Kenney Presbyterian Home v. Kenney, supra.

Rules of evidence “are at all times subject to the modification and control of the legislature . . . and the changes which are enacted may be made applicable to existing catines of action, even . . . where retroactive laws are forbidden.” Crawford v. Halsted, supra.

In relation to a law affecting qualification of a witness which was passed pending the suit, “it is enough that the witness is competent when offered.” Talladega Ins. Co. v. Landers, supra.

A statute may change mere rules of evidence, and although it applies to cases in which the cause of action accrued and [190]*190the rights became vested prior to its passage, it is constitutional, though a statute affecting rules of evidence, and in fact divesting vested rights, would be unconstitutional. Rich v. Flanders, supra.

We now pass to the dominant subject on contestants’ appeal, it being understood that we give such weight to Frame’s ■evidence as we severally consider it is entitled to, regarding it as having been properly received.

With due regard, it is thought, for the conclusions of the trial judge on questions of fact, we have reached here conflicting results. The most careful consideration, which it seems could be well given to the matter by each, has not enabled a majority to arrive at harmony respecting the two principal assignments of error, as to facts, presented for consideration. The Chief Justice, Justice Dodge, and the writer are not able to see that clear preponderance of evidence against the trial court’s conclusion on either the subject of testamentary capacity of the deceased at the time the alleged will was made or that of undue influence in -producing the will, justifying a disturbance of the findings complained of. Justices KeewiN and TimxiN are able to see such clear preponderance on both questions. Justice Siebecxeb agrees with them on the last but not the first, while Justice BaeNes agrees with them on the first but not the lash A situation so extraordinary rarely occurs in judicial work. That it should move judicial minds to exhaust all reasonable efforts for harmony, as it has in this case, is most natural. The situation, while peculiar in a high degree, is nevertheless not new, as the following citations will show: Legal Tender Cases, 52 Pa. St. 9, 101; Browning v. State, 33 Miss. 47, 87, 88; Cook v. Drew, 3 Stew. & P. 392; Bell v. Morrison, 27 Miss. 68. The rule adopted in the most pronounced of those cases and highly commended as sound in Lipscomb v. State, 75 Miss. 559, 624, 23 South. 210, 230, seems to be the only logical one, though one case found in the books (Smith v. U. S. [191]*1915 Pet. 292, 303) proclaims a different doctrine, but without assigning any reason therefor or its having been subsequently followed by the federal court, so far as we can discover. The -view which we adopt is that a majority must agree on some •one specific ground of error fatal to the judgment or it must be affirmed. Otherwise there would be a reversal without any guide for the trial court upon a new hearing. Unless the trial judge changed his mind, the result would be the same as before and a like result as formerly would happen on a second appeal, and, as said by HaNdy, J., in his opinion in Browning v. State, supra, and highly commended, as before indi•cated, in Lipscomb v. State, supra, “such would be the strange and anomalous attitude of the case, ad infinitum, as •often as it should be tried below and brought here on the same state of facts.”

The foregoing does not leave anything which need be said ■on contestants’ appeal.

We have left to consider the objection raised by proponents to the allowance of $3,000 as compensation for the .guardian ad litem and $454.54 for his disbursements, all to be charged against the body of the estate, except $200. If authority to make such allowance at all exists it is by virtue •of ch. 267, Laws of 1907. Generally speaking, it must be conceded that no inherent power exists in courts to take the property of one person and devote it to the benefit of another, •and that the legislature cannot, legitimately, authorize such proceeding, as by taking the property of the successful party in litigation to pay the expenses incurred by his adversary in ■the controversy.

This corn’t, in harmony with general authority, has said with reference to judicial dealing with a trust fund, that no part thereof belonging to one should be used to defray the expenses of another; that in case of compensating a guardian •ad litem

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Bluebook (online)
118 N.W. 997, 138 Wis. 179, 1909 Wisc. LEXIS 40, Counsel Stack Legal Research, https://law.counselstack.com/opinion/frame-v-plumb-wis-1909.