Harju v. SHELBY MUTUAL CASUALTY COMPANY

162 A.2d 532, 91 R.I. 294, 1960 R.I. LEXIS 79
CourtSupreme Court of Rhode Island
DecidedJuly 13, 1960
DocketEx. No. 10082
StatusPublished
Cited by3 cases

This text of 162 A.2d 532 (Harju v. SHELBY MUTUAL CASUALTY COMPANY) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Harju v. SHELBY MUTUAL CASUALTY COMPANY, 162 A.2d 532, 91 R.I. 294, 1960 R.I. LEXIS 79 (R.I. 1960).

Opinion

*295 Paolino, J.

This is an action of assumpsit to recover under an automobile liability insurance policy issued by the defendant to the plaintiff. The defendant disclaimed liability thereunder and the plaintiff brought the instant action. The case was tried before a justice of the superior court sitting with a jury and resulted in a verdict for the defendant. It is before us on the plaintiff’s exceptions to the denial of his motion for a new trial and certain rulings made during the trial.

The following facts are not in dispute. Early in 1953 plaintiff applied to Manuel B. Vierra, an insurance broker, hereinafter called the broker, for an automobile liability insurance policy covering a Dodge car then owned by plaintiff. The broker filed an application to secure such coverage under the “assigned risk” plan and subsequently the risk *296 was so assigned to defendant. Thereafter defendant issued the policy in question for the period from February 15, 1953 to February 15, 1954. In addition to' the standard provisions obligating the insurance company to pay claims and defend suits arising from ownership of the automobile described in the policy, under paragraph IV (a) (4), the policy also covered “Newly Acquired” automobiles “if the named insured notifies the company within thirty days following the date of its delivery to him * * *.”

On December 7, 1953 plaintiff purchased and accepted delivery of a newly acquired car, referred to in the evidence as a Ford sedan. It is admitted that on the same day he duly transferred the registration from the Dodge to- the Ford. It appears from the evidence that plaintiff did not thereafter register the Dodge and that he subsequently sold it, but he admits that there is no- evidence in the record indicating that it was sold prior to January 11, 1954, the date on which he became involved in a collision while operating the Ford sedan.

It further appears that as a result of the accident claims were filed against plaintiff for personal injuries and property damage; that defendant was duly notified of such claims; and that thereafter it disclaimed liability under the policy for such claims apparently on the ground that the Ford sedan was not covered by the policy because of plaintiff's failure to- notify it of the change of cars within the time prescribed in the policy. The plaintiff subsequently compromised the claims and thereafter instituted the instant action to recover from defendant as damages the moneys expended by him in defending and compromising the claims. The parties have agreed that the damages recoverable in this action, if any, are in the sum of $700 plus interest.

Under the charge given by the trial justice the main issue presented to the jury for their determination was whether plaintiff had given defendant notice of the change of cars *297 in compliance with the requirements of the policy. The plaintiff testified that he notified the broker of such change the day after he acquired the new car. The broker testified that he received such notice within three days from the time plaintiff changed the registration of his car; that he mailed a notice of such change to defendant; and that although he did not know exactly when he mailed it his best recollection was that he did so within three days of the receipt of such notification from plaintiff. After the conclusion of plaintiff's case, defendant rested without presenting any testimony in addition to that which was elicited by its cross-examination of plaintiff and his witness.

The plaintiff contends that the verdict was against the law and the evidence and the weight thereof, and that the trial justice therefore erred in denying his motion for a new trial. He also challenges the correctness of certain evidentiary rulings. Under our well-established rule we shall consider only the exceptions which he has briefed and argued. Those neither briefed nor argued are deemed to be waived. Conway v. Marsh, 79 R. I. 254.

Under exception numbered 3 plaintiff contends that the trial justice committed prejudicial error in sustaining defendant's objection and striking the answer to a question in direct examination as to whether defendant had ever offered to refund any part of the premium plaintiff had paid for the policy in question. The witness had answered the question after an objection had been made by defendant but before the trial justice had a chance to rule thereon. There is nothing in the record indicating that the policy was not in force at the time of the accident or that it had been canceled by defendant. The only issue was whether plaintiff had given proper notice to defendant which entitled him to coverage on the newly acquired car. Since the parties agree that the policy was in effect, it follows that plaintiff was clearly not entitled to a refund. The instant inquiry was therefore not material and the ruling in ques *298 tion was consequently not erroneous. The third exception is overruled.

Exception 6 is based on plaintiff’s contention that the trial justice erred in sustaining defendant’s objection to a question put by plaintiff to his witness, the broker, in direct examination. The witness had been asked whether he had made any record in his office of plaintiff’s change of cars at the time he was notified of such change by plaintiff. He replied as follows: “Well, I do not have anything to prove that but I think we did; we always do-. It is customary for us to do that.” He was next asked: “How long would you have kept such records as that kind?” The ruling of the trial justice in sustaining defendant’s objection to' the latter question is the basis of the instant contention. The plaintiff argues that the question should have been allowed in order to- enable- the witness to explain why the records were not in court.

In our opinion there is no- merit in plaintiff’s contention. The witness’ reply to the prior question was neither responsive nor positive. He did not say that he had made a record in his office of the change of cars in the instant case. The substance of his .response to- the prior question was pure speculation and not a proper foundation for the later question. In effect the witness was being asked how long he would have kept a record which he did not say he had made. In the- absence of evidence that he had made such a record, the question was clearly objectionable. The sixth exception is overruled.

The plaintiff’s exception 8 is based on his contention that the trial justice erred in granting defendant’s motion to strike certain evidence. The trial justice had admitted de bene plaintiff’s testimony concerning conversations he had with the broker in reporting the change of cars. The defendant, in the absence of the jury, moved to strike such testimony as hearsay on the ground that the evidence did not show that the broker was an agent of defendant. Dur *299 ing the discussion of the motion and in the absence of the jury the trial justice expressed his belief that the evidence failed to- show that the broker was an agent of the defendant for the purpose of accepting notice of the change of cars. At the same time he indicated that'he would grant defendant’s motion and he noted plaintiff’s exception to such ruling.

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Bluebook (online)
162 A.2d 532, 91 R.I. 294, 1960 R.I. LEXIS 79, Counsel Stack Legal Research, https://law.counselstack.com/opinion/harju-v-shelby-mutual-casualty-company-ri-1960.