Goodrich v. Williamson

1901 OK 12, 63 P. 974, 10 Okla. 617, 1901 Okla. LEXIS 48
CourtSupreme Court of Oklahoma
DecidedFebruary 8, 1901
StatusPublished
Cited by13 cases

This text of 1901 OK 12 (Goodrich v. Williamson) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Goodrich v. Williamson, 1901 OK 12, 63 P. 974, 10 Okla. 617, 1901 Okla. LEXIS 48 (Okla. 1901).

Opinion

Opinion of the court by

McAtee, J.:

A rehearing has been allowed by the court in this cause, upon Eule No. 19, which provides that:

“An application for a rehearing of any cause 'Shall * * * particularly set forth the grounds thereof and showing either that some question decisive of the case and duly submitted by counsel has been overlooked by the court, or that the decision is in conflict with an express statute or controlling decision, to which the attention of the court was not called, either in brief or oral argument, or -which has been overlooked by the court, * *

Upon this rule the defendant in error proceeds to re-argue the question of the right of a party to interven 2 under the circumstances of this case, for the purpose of setting up an equitable claim to the matter in litigation. And it is now arfued that there are two lines of decisions one of which is represented by the courts of New York, Missouri and Wisconsin, while the other is upheld by the courts of Indiana, California, Iowa and Kansas. And the defendant proceeds to restate Summers v. Hutson, 48 Ind. 288; Stich v. Goldner, 38 Cal. 608; Talor v. Adair, 22 Iowa, 279, and Ludes v. Hood et al., 29 Kan. 49.

Ludes v. Hood et al., 29 Kan. 49, was cited in the.original brief of defendant in error, and expressly treated in the opinion of the court. Summers v. Hutson, 48 Ind. 228 was presented in the original brief of the defendant in error, and considered by the court. It was a case in which A placed personal property in the hands of B, as his agent, to sell, and in which B, having sold the property to C, wrongfully took for it a note, not governed by the *619 law merchant, to himself or to D. The note was assigned by the payee to an innocent assignee for a valuable consideration. The assignee of the note brought suit against the maker. A was permitted in that action to show that he was the legal owner of the note; that the property after it had been given, was his property, and that he had the right to be substituted to the rights and interests claimed by the assignee, and to recover on that note. It was a case in which A was the legal owner of the note.

The cases of Stich v. Goldner, 38 Cal. 608, and Talor v. Adair, 22 Iowa, 279, are somewhat similar, upon ihe facts, to Ludes v. Hood, in the former of which the intervenor was “the rightful owner of the note,” and in the latter of which the intervnor was “the equitable owner” of the promissory note sued upon.

The other citation is not calculated to aid the court here in the correct solution of the question presented to us in the case at bar, since the statutes of intervention of the states of California and Iowa, which regulates the subject of intervention, provide that:

“Any person who has an interest in the matter of litigation, in the success of either of the parties to the action, or against both, may become a party to an action between other persons, either by joining the plaintiff in claiming what is sought by the petition, or by uniting with the defendant in resisting the claims of the plaintiff, or by demanding anything. adversely to both the plaintiff and defendant, either before or after the issue has been joined in the cause, and before the trial commences.” (Pomeroy on Remdies and Remedial Rights, paragraph 413.)

It will be seen that the statutes upon which these authorities cited upon the" application for rehearing are founded are totally dissimilar to those upon which the solution of the questions proposed here depend.

*620 Upon the ground, however, that the decision heretofore made is in conflict with a “controlling decision, to which the attention of the court was not called” or “which has been overlooked by” it, it is contended that the determination of the supreme court of Kansas in Gerson v. Hanson, 34 Kans. 590, is controlling, since it is an interpretation of the statutes of Kansas relating to new parties before the Code of Civil Procedure of Kansas was adopted as the law of this Territory. In this case Wilson had an attachment bond against Lightbody. The attachment undertaking was executed by Wilson, as principal, and Hanson et al., as sureties. The attachment failed. Gerson, the assignee of Lightbody, brought suit on the attachment bond against Hanson and Lehman, omitting to make Wilson a party defendant. Hanson and Lehman applied to the court to have Wilson brought in as a party defendant, and Wilson also filed his application to be made a party defendant, each of these applications setting up that Wilson had obtained a personal judgment in the attachment case against Lightbody, and that the amount of that judgment would be a proper subject of off-set by Wilson against the claim of Gerson. Manifestly Hanson, the assignee of Lightbody, had, on that account, omitted to make Wilson a party defendant in the suit on the attachment undertaking, and he accordingly resisted the application of Wilson and his sureties to have Wilson made a party defendant in that action. Since the action was upon an attachment bond, upon which Wilson was principal, and the controversy was one in which his interest, in so far as it was not only identical with that of Hanson et al., as against ’ the plaintiff, was one in which his liability was prior to theirs, he had, as provided in sec. 36 of the code, “an interest in the contro *621 versy adverse to the plaintiff, and was a necessary party to a complete determination or settlement of the question involved therein.” And the question was one in which, under sec. 41 of the Code, the determination of the controversy between the parties could be had “without prejudice to the rights of others or by saving their rights.” And the court properly permitted them to be brought in.

In the case here considered, G-erson could have sued and ought to have sued Wilson, because he was a party to the attachment undertaking sued upon. It expressly appeared in the case that Lightbody was insolvent. The case came expressly under secs. 36 and 41 of the Code of Civil Procedure, but there is no analogy in the case to the case now being considered.

In addition to the authorities heretofore cited upon the proposition upon the right of intervention, it was said in Cosgriff v. Savings Inst., 52 N. Y. S. p. 189, that:

“The rule is well settled that the plaintiff in an action at law that seeks nothing but a money judgment, cannot be compelled to bring in other parties than those he has chosen to make defendants.”

And it was said in Wescott v. Patton, 10 Colo. 544, 51 Pac. 1021, that:

“In a suit upon a promissory note by an assignee of the note, a judgment creditor of the payee of the note has no such interest in the matter in litigation as to entitle him to interevene, on the ground that the payee was insolvent and transferred the note to the plaintiff without consideration, and for the purpose of hindering and defrauding his creditors.”

And it is said in Pomeroy’s Remedies and Remedial Rights, sec.

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Cite This Page — Counsel Stack

Bluebook (online)
1901 OK 12, 63 P. 974, 10 Okla. 617, 1901 Okla. LEXIS 48, Counsel Stack Legal Research, https://law.counselstack.com/opinion/goodrich-v-williamson-okla-1901.