Johnson v. Schaub

867 P.2d 812, 1994 Alas. LEXIS 9, 1994 WL 41326
CourtAlaska Supreme Court
DecidedFebruary 11, 1994
DocketS-5220
StatusPublished
Cited by16 cases

This text of 867 P.2d 812 (Johnson v. Schaub) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Johnson v. Schaub, 867 P.2d 812, 1994 Alas. LEXIS 9, 1994 WL 41326 (Ala. 1994).

Opinion

OPINION

RABINOWITZ, Justice.

This appeal concerns a promissory note signed by John Johnson (“J. Johnson”) and Marjorie Ulmer (“Ulmer”) payable to H.F. Schaub (“Schaub”) and an addendum securing the note signed by J. Johnson and Rock-lyn Johnson (“R. Johnson”). At issue is whether the superior court erred in denying Ulmer and the Johnsons’ second motion for a *814 continuance, in ruling that no genuine issue of material fact existed with regard to the note’s validity, and in holding R. Johnson jointly and severally liable for payment of the note.

I. FACTS AND PROCEEDINGS

Schaub agreed to loan money to J. Johnson and Ulmer to purchase the WV ZENITH, a marine vessel, from Alaska Shipping Company (“ASC”). At the time of sale the vessel was mortgaged to First Bank of Ketchikan. J. Johnson and Ulmer borrowed $36,254.76 from Schaub to meet the 1989 mortgage payments on the ZENITH. After execution of the promissory note, Schaub paid the $36,254.76 directly to First Bank of Ketchikan.

Six months after executing the promissory note and taking possession of the ZENITH pursuant to the contract for sale, J. Johnson and R. Johnson executed an addendum to the promissory note.

Thereafter the Johnsons and Ulmer refused to make payments on the promissory note, and Schaub filed suit. The Johnsons answered and asserted several counterclaims based on promissory estoppel, misrepresentation, breach of warranty, and conversion. Trial was set for February 3, 1992. 1

On January 27, 1992 the superior court granted a continuance to Ulmer and the Johnsons because J. Johnson was scheduled for surgery due to cancer. Trial was reset to commence on March 23, 1992. Ulmer and the Johnsons moved for a second continuance in late February based on J. Johnson’s delayed recovery from surgery and on advice from his physician. J. Johnson’s surgeon, William G. Griggs, M.D., called the surgery a “major operation,” and stated that it would take “approximately three months for [J. Johnson] to fully recuperate. It will probably be the latter part of May before he will have sufficient energy level and strength to travel.”

In his response to this second motion for continuance, Schaub advised the superior court that he sustained a fall in mid-February, causing a decline in his health. As a result, Schaub stated that he also would be unable to attend the trial scheduled for March 23, 1992. 2 Although he did not oppose the second motion for a continuance, Schaub requested that the court rule on his then pending motion for summary judgment, since a favorable ruling would render moot the second motion for a continuance. After considering the summary judgment motion, the superior court ruled that the promissory note was valid, and that genuine issues of material fact precluded summary judgment only as to the Johnsons’ counterclaim for misrepresentation. In conjunction with this ruling, the superior court denied the motion for a second continuance, holding that trial would commence on March 23,1992 as scheduled. 3

On March 19, the Thursday before trial, J. Johnson indicated to his attorney that he would be able to participate telephonically at the March 23, 1992 trial. Schaub’s counsel was advised of this decision. The next day, March 20, the attorney for Ulmer and the Johnsons first learned that J. Johnson’s physician had prohibited him from participating in any court proceedings, including telephonic participation, until his blood pressure was under control. Prior to receipt of this advice, counsel had expected J. Johnson to participate telephonically. Ulmer and the Johnsons’ counsel filed a trial brief on March 20, 1992, which, in part, indicated that counsel was attempting to obtain an affidavit from J. Johnson’s physician, and that counsel expected to file the affidavit in court on March 23, with a third motion for a continuance.

*815 Ulmer and the Johnsons filed their third motion for a continuance in open court on March 23. The superior court denied this motion, citing Sehaub’s appearance for trial, 4 the late filing of the third motion for continuance, 5 the “very narrow” issues of material fact which remained for trial, and the failure to take steps to preserve J. Johnson’s testimony for trial.

Subsequently, the superior court proceeded to trial on Ulmer and the Johnsons’ misrepresentation counterclaim. Schaub was present, but J. Johnson, R. Johnson, and Ulmer were not. After arguing that “[without John Johnson’s testimony, I cannot win,” Ulmer and the Johnsons’ trial counsel waived a jury trial. Schaub’s trial counsel and the judge agreed that it would be a “charade” to select a jury if the Johnsons and Ulmer were not going to put on a case. Ulmer and the Johnsons’ trial counsel then outlined the misrepresentation counterclaim, but offered no proof. Because Ulmer and the Johnsons presented no evidence, Schaub offered no evidence. At this point the superior court entered judgment to Schaub, dismissing with prejudice Ulmer and the Johnsons’ misrepresentation counterclaim.

On May 29, 1992, the superior court entered judgment for Schaub in the principal amount of $36,254.00, plus prejudgment interest of $16,850.66, costs of $708.54, and attorney’s fees of $7,810.59, for a total judgment of $61,623.79.

II. THE SUPERIOR COURT ERRED IN ITS DENIAL OF THE SECOND MOTION FOR CONTINUANCE OF THE MARCH 23, 1992 TRIAL.

“Generally, a trial court’s refusal to grant a continuance will not be disturbed on appeal unless an abuse of discretion is demonstrated.” Gregoire v. National Bank of Alaska, 413 P.2d 27, 33 (Alaska), cert. denied, 385 U.S. 923, 87 S.Ct. 238, 17 L.Ed.2d 147 (1966). The trial court’s decision to deny a continuance will be reviewed in light of the particular facts and circumstances of each individual case to determine whether the denial was so unreasonable or so prejudicial as to amount to an abuse of discretion. Siggelkow v. Siggelkow, 643 P.2d 985, 987 (Alaska 1982).

In Siggelkow, we recognized that “the trial court’s legitimate concern for preventing delay should not prejudice the substantial rights of parties by forcing them to go to trial without being able to fairly present their case.” Id. We also noted that “[generally, the denial of a continuance requested on the ground of ill health will be held reversible error only when the applicant suffered prejudice as a result of the denial.” Id.

Schaub was eighty-nine years old at the time of trial and had a heart condition. J. Johnson was recovering from kidney surgery, which was complicated by cancer and severe high blood pressure. In order to appear in person at trial both Schaub and J. Johnson needed to travel significant distances — Schaub from Ketchikan and J. Johnson from Washington.

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Cite This Page — Counsel Stack

Bluebook (online)
867 P.2d 812, 1994 Alas. LEXIS 9, 1994 WL 41326, Counsel Stack Legal Research, https://law.counselstack.com/opinion/johnson-v-schaub-alaska-1994.