Kilbourne v. McAllister

1936 OK 489, 65 P.2d 516, 179 Okla. 267, 1936 Okla. LEXIS 778
CourtSupreme Court of Oklahoma
DecidedSeptember 8, 1936
DocketNo. 26636.
StatusPublished
Cited by4 cases

This text of 1936 OK 489 (Kilbourne v. McAllister) 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
Kilbourne v. McAllister, 1936 OK 489, 65 P.2d 516, 179 Okla. 267, 1936 Okla. LEXIS 778 (Okla. 1936).

Opinion

PHELPS, J.

In an action prior to the present one the defendant in this ease sued one Mitchell and therein attached certain corporate stock which she alleged belonged to Mitchell, though it had been reissued to plaintiff and was listed in plaintiff’s name on the books of the corporation. In that action the present plaintiff filed a motion to discharge the attachment, on the ground that the stock was her property and not Mitchell’s, but the motion was not heard until after the trial of the main action, in which Mitchell prevailed, whereupon the attachment was perforce discharged. The stock had beeen held in attachment for about six months.

The plaintiff then filed this action against the former plaintiff in the other action, for damages by reason of wrongful attachment. The plaintiff recovered a verdict and judgment, and defendant appeals.

Over the objection' of the defendant the trial court permitted the plaintiff to show in evidence an offer by a third party to purchase the stock, near the beginning of the period of attachment. It is urged by the defendant that such evidence was not admissible under the pleadings in this case, on the issue of the extent of damages. The proper approach to this question demands that we first examine the pleadings, to determine on what theory the action was brought. After alleging facts constituting wrongful attachment, the plaintiff set forth her allegations of damage, wherein she incorporated expenses incurred in attorney’s fees, traveling expenses, and loss of time from employment, and then that the shares of stock “* * * were of the reasonable market value at the time of the attachment and seizure thereof, in the sum of $4,000, and that at the time of the discharge of said attachment and the release of said property, the same was of *268 the reasonable market value of $1,000, and that plaintiff has sustained an actual damage in the value of said stock in the sum of $3,000.”

Thus, if wo should read into the petition the inference that the wrongful attachment caused the depreciation in value of the stock, we nevertheless have here a complaint founded upon damage caused by depreciation in market value,, and no facts were alleged in the petition from which it could be inferred that defendant was charged in damages for the result of breaking up or preventing a contemplated sale by plaintiff, to her profit or benefit.

In the following eases we clearly expressed our adherence to the almost universal rule that on the issue of market value evidence of offers of purchase of the property in suit is inadmissible and it is unnecessary to repeat the oft-quoted reasons therefor: Page v. Oklahoma City, 129 Okla. 28, 263 P. 448; Quinn v. State ex rel., 173 Okla. 536, 49 P. (2d) 98; Cook v. First Nat. Bank, 110 Okla. 111, 236 P. 883; Blincoe v. Choctaw, O. & W. Ry. Co., 16 Okla. 286, 83 P. 903, 4 L. R. A. (N. S.) 890, 8 Ann. Cas. 689.

The question here seems simple enough. It is clearly a ease for application of the familiar rule that if special damages are sought, they must be alleged. If such results as the prevention of an advantageous sale, even above the market value, or loss of profits, are caused by the wrongful attachment, the resultant damage may be recovered, but this does not mean that the owner may base his allegations on loss in market value, and then recover for loss from the preventing of a sale, thus keeping the defendant in ignorance of the real theory of recovery. That would manifestly be very unfair. The defendant would have no notice whatsoever of the intended proof, or the general nature thereof, but would, on the contrary, be led to preparation of a defense based on refutation of the allegations concerning market value. On the contrary, if the petition were so worded as to place the defendant on notice of the alleged prevention or breaking up of a sale, he would have his rightful opportunity to investigate before trial all of the pertinent angles of the alleged special damage. This is not a slight variance between the allegations and the proof; it is so substantial that the proof produced an entirely different elass of detriment from that alleged.

It was specifically stated in Smith v. Autry, 69 Okla. 28, 169 P. 623, cited by plaintiff, that:

“The gravamen or gist of the plaintiffs’ cause of action is that the act of the defendants wrongfully prevented the plaintiffs from making a sale * * *”

—and in that case it was so stated in the petition, which is not the case here. Similarly, in the following eases cited by plaintiff, such special damages were expressly alleged in the petition: Wellington v. Spencer, 37 Okla. 461, 132 P. 675; Leasure v. Hughes, 72 Okla. 75, 178 P. 696.

In First National Bank of Mounds v. Cox, 82 Okla. 129, 198 P. 579, the plaintiff sued to recover for wrongful attachment of certain personal property, and the petition alleged that he was “thereby damaged in the sum of $500.” This court reversed the judgment for plaintiff therein, holding that the admission of evidence to establish special damages under such an allegation was reversible error. We quote from that decision :

“In an action * * * for wrongful levy of attachment upon property not the property of the defendant in the attachment action, where the allegations of the petition fail to plead special damages, general damages only may be recovered. General damages are defined to be such as the law implies or presumes to have occurred from the wrong complained of, or such damages as the law holds to be the necessary result of the action of the defendant. Special damages are such as actually result from the action of the defendant but are not such a necessary result that will be implied by law. * * * The authorities appear uniformly to hold that evidence of special damages cannot be introduced unless pleaded.”

It was said in Bradley v. Borin, 53 Kan. 628, 36 P. 977:

“Where an action is for any tortious act or omission, involving injury or loss of property, the law infers an injury measured by its value, and the injured party may recover that standard under the general averment of damage, but, if a plaintiff seeks to recover other damages, they are special and exceptional, and must be alleged and proved.”

The reason for the rule, as explained in Hamilton v. Kilpatrick (Tex. Civ. App.) 29 S. W. 819, is that such damages are not necessary results from an attachment, and should be pleaded in order that the opposite party may be prepared, if he can, to meet the evidence offered to establish such contingent injury. See, also, 2 R. C. L. 908; 6 C. J. 519.

It is contended by plaintiff that defendant should not be heard to urge the admission of this evidence as error, because defendant failed to specifically point out, in *269 her objection to its admission, that it was a departure from the pleadings. We do not agree. The grounds given for the objection were that such evidence is incompetent, irrelevant, and immaterial and not the proper method of proving damages, if any, in the case. This was sufficient. The testimony was elicited from plaintiff’s first witness, in the beginning of the trial, at a time when defendant had no notice that the evidence was being offered for any purpose other than the establishing of market value, in accordance with plaintiff’s pleadings.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

McAlester Urban Renewal Authority v. Lorince
1973 OK 148 (Supreme Court of Oklahoma, 1973)
McAlester Urban Renewal Authority v. Watts
1973 OK 120 (Supreme Court of Oklahoma, 1973)
Stekoll v. Prevett
1961 OK 29 (Supreme Court of Oklahoma, 1961)
McClanahan v. Hughes
1949 OK 261 (Supreme Court of Oklahoma, 1949)

Cite This Page — Counsel Stack

Bluebook (online)
1936 OK 489, 65 P.2d 516, 179 Okla. 267, 1936 Okla. LEXIS 778, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kilbourne-v-mcallister-okla-1936.