Hennes v. Shaw

725 S.E.2d 501, 397 S.C. 391, 2012 WL 652452, 2012 S.C. App. LEXIS 59
CourtCourt of Appeals of South Carolina
DecidedFebruary 29, 2012
Docket4948
StatusPublished
Cited by18 cases

This text of 725 S.E.2d 501 (Hennes v. Shaw) is published on Counsel Stack Legal Research, covering Court of Appeals of South Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hennes v. Shaw, 725 S.E.2d 501, 397 S.C. 391, 2012 WL 652452, 2012 S.C. App. LEXIS 59 (S.C. Ct. App. 2012).

Opinion

WILLIAMS, J.

This appeal stems from a previously-litigated dispute between two upstate realtors over the sale and commission of a parcel of real estate on Lake Keowee. John Shaw (Mr. Shaw) claims the circuit court committed reversible error when it denied his motion for directed verdict on Adrienne Hennes’ (Ms. Hennes) claim for breach of contract and when it granted Ms. Hennes’ motion for directed verdict on Mr. Shaw’s claim for violation of the South Carolina Unfair Trade Practices Act (UTPA). Mr. Shaw also contends the circuit court erred in excluding evidence of attorney’s fees he incurred from the prior related litigation with Ms. Hennes. He argues the fees were an element of damages in his tortious interference with a contract claim against Ms. Hennes in the current litigation. Finally, Mr. Shaw claims the circuit court erred when it sua sponte charged the jury on conversion. We affirm in part, reverse in part, and remand in part.

FACTS

Ms. Hennes and Mr. Shaw are licensed realtors in the upstate of South Carolina. The parties first met in April 2005 and decided to co-list approximately nine or ten real estate *396 properties in both the commercial and residential sectors. According to Mr. Shaw, the parties’ relationship began to deteriorate at the end of 2005 when Ms. Hennes systematically replaced his contracts on properties with those of her own, specifically a contract for the purchase of a piece of property on Lake Keowee (the Pelfrey Property). The owners of the Pelfrey Property brought a declaratory judgment action to determine whether Mr. Shaw’s or Ms. Hennes’ contract was the superior contract for purposes of purchasing the owners’ property. After a bench trial, the master-in-equity issued an order dated March 7, 2007, in which it held that Mr. Shaw had a fully enforceable contract to purchase the Pelfrey Property for $460,000.

Subsequent to Mr. Shaw’s purchase of the Pelfrey Property, Ms. Hennes filed suit against Mr. Shaw in circuit court alleging Mr. Shaw breached a loan agreement between the parties and owed Ms. Hennes $27,662.15. In response, Mr. Shaw answered and counterclaimed against Ms. Hennes, asserting claims for tortious interference with contract, violation of the UTPA, fraud, conspiracy, and breach of fiduciary duty. During trial, Ms. Hennes claimed she issued three checks to Mr. Shaw in the amounts of $20,000, $3,800, and $3,862.15 in anticipation of them “working together to expand real estate.” To the contrary, Mr. Shaw testified Ms. Hennes endorsed three checks in those amounts to him as a partial advance for commissions on properties they had co-listed. Once their relationship began to deteriorate, Ms. Hennes testified she requested Mr. Shaw return the money she gave to him for “the expansion of real estate” because the money was not a gift. Despite these requests, Ms. Hennes claimed Mr. Shaw refused to return the money, which prompted the present suit. In contrast, Mr. Shaw claimed he was entitled to keep these monies because Ms. Hennes and her realty company solely received the remainder of the commissions on several of the properties they co-listed.

At the conclusion of Mr. Shaw’s case, the court directed a verdict in favor of Ms. Hennes on Mr. Shaw’s claims for unfair trade practices and fraud. Mr. Shaw conceded his breach of contract claim against Ms. Hennes, but Ms. Hennes maintained her sole claim for breach of contract against Mr. Shaw. Mr. Shaw’s remaining claims for tortious interference with *397 contract, conspiracy, and breach of fiduciary duty went to the jury. At the conclusion of closing arguments, the court charged the jury on conversion, tortious interference with contract, conspiracy, and breach of fiduciary duty. The circuit court, however, failed to charge breach of contract to the jury.

The jury charge on conversion, which is before this court on appeal, was as follows:

Now, the plaintiff alleges that defendant assumed and exercised an unauthorized right of ownership or dominion over personal property belonging to the plaintiff to the exclusion of the owner’s rights. This may arise by some illegal use or misuse or by illegal detention of another’s personal property. It is a wrongful act which may arise from either a wrongful taking or a wrongful detention. It cannot arise from the defendant’s exercise of a legal right over property. Any act of the defendant inconsistent with the plaintiffs right of possession or subversive of her right to the property is conversion. The gist of conversion is the interference with control of the property. To recover in an action for conversion, the plaintiff must prove by the preponderance or greater weight of the evidence an interest by the plaintiff in the thing converted, the defendant converted the property to his own use and that the use was without the plaintiffs permission.

As soon as the jury exited the courtroom, Mr. Shaw objected to the jury charge on conversion on two grounds, stating, “[Ms. Hennes] never moved to amend under Rule 15(b) to add conversion. Their cause of action was breach of contract. I never hear [sic] the court instruct the jury that ... [Ms. Hennes] must show that [Mr. Shaw] did this without [Ms. Hennes’] permission.... ” The circuit court overruled Mr. Shaw’s objection and stated,

I think that I did charge without permission, wrongful detention. It’s noted. I looked very carefully [at] plaintiffs claim or cause of action, and although it uses the word “loan agreement,” he does not allege a contract that was given according to a contract [sic]. And the law of conversion really is nothing more than the wrongful detention of someone else’s property when requested that it be returned. So *398 I note your objection and request and I deny it for the record.

The jury subsequently returned a verdict for Ms. Hennes in the amount of $27,662.15 and a verdict for Mr. Shaw in the amount of $8,750. 1 Mr. Shaw moved for additur to his verdict based on the attorney’s fees incurred in litigating his claim against Ms. Hennes in the previous action. Mr. Shaw also moved for judgment notwithstanding the verdict on the conversion claim. The court permitted ten days for the filing of post-trial motions. On December 12, 2008, the circuit court formally denied Mr. Shaw’s motion for JNOV and new trial nisi additur as well as Ms. Hennes’ motion to alter or amend the judgment pursuant to Rule 59(e), SCRCP. This appeal followed.

LAW/ANALYSIS

I. Directed Verdict

When reviewing a motion for directed verdict or judgment notwithstanding the verdict, the appellate court applies the same standard as the circuit court. Elam v. S.C. Dep’t of Transp., 361 S.C. 9, 27-28, 602 S.E.2d 772, 782 (2004). Accordingly, “[i]n deciding a motion for directed verdict, the evidence and all reasonable inferences must be viewed in the light most favorable to the nonmoving party.” Minter v. GOCT, Inc., 322 S.C. 525, 527, 473 S.E.2d 67, 69 (Ct.App.1996). “If more than one inference can be drawn from the evidence, the case must be submitted to the jury.”

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Cite This Page — Counsel Stack

Bluebook (online)
725 S.E.2d 501, 397 S.C. 391, 2012 WL 652452, 2012 S.C. App. LEXIS 59, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hennes-v-shaw-scctapp-2012.