Jackson v. Hedlund

1932 OK 19, 10 P.2d 385, 157 Okla. 14, 1932 Okla. LEXIS 776
CourtSupreme Court of Oklahoma
DecidedJanuary 19, 1932
Docket21339
StatusPublished
Cited by5 cases

This text of 1932 OK 19 (Jackson v. Hedlund) 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
Jackson v. Hedlund, 1932 OK 19, 10 P.2d 385, 157 Okla. 14, 1932 Okla. LEXIS 776 (Okla. 1932).

Opinion

*15 CULLISON, J.

The parties will be referred to as they appear in the lower court. Plaintiff was the owner of 160 acres of land located in Caddo county, Okla., in the Cement oil field.

The lease on the southeast 40 acres was owned and operated by Jackson, Moran & Roome, copartners and defendants herein. Plaintiff had not leased the northeast 40 acres adjoining defendants’ 40 acres and had drilled a producing well thereon. She entered into negotiations with Mr. Roome, a member of the copartnership, relative to defendants’ pumping her well at $50 per month, and claimed that a contract was entered into on that basis. Immediately thereafter, Edwards, the foreman of defendants in the Cement oil field, with other employees of defendants, went to the well of plaintiff to pull the rods out of said well and repair the cups so as to make the pump work efficiently. They commenced pulling the rods and after removing a few joints of the rods the same stuck in. the tubing", necessitating the pulling of both the tubing and the rods. They continued to pull the tubing and rods, and after removing slightly over 200 feet of the same an accident occurred, resulting in the balance of the tubing and rods, in the amount of approximately 2,200 feet, being dropped into the well.

Plaintiff claimed that defendants were negligent in pulling said rods and tubing, and that their negligence was the cause of said accident, and brought suit for the loss "■f said well, the expense she had been to in attempting to clear the same, and for the loss of production of oil.

Defendants contend that they did not make any contract with her relative to the operation of said oil well, but that any contract entered into by her was entered into individually by Mr. Edwards, and that they were not responsible in any respect whatsoever. ■

The case was tried to a jury, which returned a verdict in favor of plaintiff.

Defendants appeal to this court and present as error for the reversal of the lower court that the court erred in overruling the separate demurrers of each of the defendants to the evidence.

Plaintiff" xfieaded in her amended petition that the defendants were copartners doing business under the firm name of Jackson, Moran & Roome, and were engaged in operating oil property in Caddo -county, Okla., and a certain verbal agreement by and between plaintiff and defendants, a copartnership, under the terms of which defendants engaged and bound themselves to operate her oil well for $50 per month. Plaintiff sufficiently pleaded the partnership existing between the three defendants mentioned, and defendants in their answer did not deny the existence of said partnership under oath, but in their answer denied that a contract was entered into between defendants and plaintiff, but failed to deny under oath that the partnership existed. ,

Under the terms of our statute (section 287, C. O. S. 1921), where the allegation of the existence of a partnership is not denied under oath, the same shall be taken as true.

Section 287, C. O. S. 1921, reads as follows :

“In all actions, allegations of the execution of written instruments and indorsements thereon, of the existence of a corporation or partnership, or of any appointment of authority, or the correctness of any* account duly verified by the affidavit of the party, his agent or attorney, shall be taken as true unless the denial of the same be verified by the affidavit of the party, his agent or attorney.”

While defendants swore to paragraphs 2 to 9, inclusive, of their answer, the necessary allegation relative to denying the existence of partnership was not contained in that portion of the answer under oath, and the allegations of plaintiff’s petition therein would be taken as true.

The second specification of error raised by defendants is that the evidence is insufficient to support the verdict in favor of plaintiff, and the court should have granted the motion of defendants for a directed verdict.

The evidence introduced in the trial of said cause was hopelessly conflicting. Plaintiff and the witnesses that testified for plaintiff testified to one state of facts and the witnesses testifying for defendants testified to a contrary state of facts, each side supporting their theory of the case.

Under the law of this state, the trial court could not direct a verdict for defendants when there is competent evidence before the court sustaining the plaintiff’s cause of action. It would not be the duty of the court to weigh the evidence before it, where there is a large amount of conflicting evidence before the court and to determine which had a greater weight and' direct a verdict in accordance therewith.

This would be invading thq_ province of the jury, and in the case at bar the request of defendants for a directed verdict was rightly denied by the trial court, because there was competent evidence before the court offered by plaintiff, sustaining plaintiff’s cause of action.

*16 In the case of Florence v. Russell, 105 Okla. 20, 231 P. 301, this court held:

“If there is any competent evidence in the record which would reasonably support a verdict in favor of a party againslt whom a motion for a directed verdict is leveled, it is not error to overrule the motion for a direction.”

In regard to defendants’ other contention, that there was not sufficient evidence to justify a verdict for .plaintiff, we will say that after a careful examination of the record, we find that the witnesses testifying for both sides testified to a different state of facts; plaintiff’s witnesses testifying to A' state of facts substantiating the contention of plaintiff, and the defendants’ witnesses testifying to a state of facts substantiating the contention of defendants. There was conflicting testimony on either side, and it was a question for the jury to determine upon which was the greater weight of the evidence under proper instructions from the court.

We consider the rule to be that the credibility of a witness and the effect and weight to be given to inconsistent or contradictory testimony are questions of fact to be determined by the triers of facts, to wit, the jury, and not questions of law for the court. It is peculiarly within their province to weigh the testimony of the witnesses, as well as all the facts and circumstances tending to corroborate or discredit them, and to determine a case according to the preponderance of the evidence.

In the case of Arbuthnot v. Boren, 102 Okla. 21, 225 P. 965, this court held:

“The jurors are the triers of the facts and the sole and exclusive judges of the evidence and the credibility of the witnesses, and, where there is evidence reasonably supporting the verdict of the jury, such verdict will not be disturbed on appeal.”

Also, in the case of Kelley v. McKay, 120 Okla. 215, 251 P. 82, this court said:

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Related

Smith v. Yoho
1958 OK 80 (Supreme Court of Oklahoma, 1958)
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1939 OK 230 (Supreme Court of Oklahoma, 1939)
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Codapony v. State
1936 OK 629 (Supreme Court of Oklahoma, 1936)
Margay Oil Corp. v. Jamison
59 P.2d 790 (Supreme Court of Oklahoma, 1936)

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Bluebook (online)
1932 OK 19, 10 P.2d 385, 157 Okla. 14, 1932 Okla. LEXIS 776, Counsel Stack Legal Research, https://law.counselstack.com/opinion/jackson-v-hedlund-okla-1932.