King v. McMillan

169 S.W.2d 10, 293 Ky. 399, 1943 Ky. LEXIS 623
CourtCourt of Appeals of Kentucky (pre-1976)
DecidedFebruary 26, 1943
StatusPublished
Cited by11 cases

This text of 169 S.W.2d 10 (King v. McMillan) is published on Counsel Stack Legal Research, covering Court of Appeals of Kentucky (pre-1976) primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
King v. McMillan, 169 S.W.2d 10, 293 Ky. 399, 1943 Ky. LEXIS 623 (Ky. 1943).

Opinion

*400 Opinion op the Court by

Judge Thomas

Affirming.

Prior to April, 1936, F. O. McMillan was engaged in the sawmill business in Harlan County, Kentucky, one area of land from which he obtained saw logs for the manufacture of lumber at his mill site is referred to in this record as the “Cawood” job. F. O. McMillan died in April, 1936, leaving unfinished a contract between him and appellant and plaintiff below, H. R. King, whereby the latter agreed to convert the timber on the •Cawood job into sawlogs and deliver them to McMillan’s mill yard where they could be sawed into lumber — the ■appellant to receive therefor compensation at the rate of $7 per thousand feet sawmill measure.

After F. O. McMillan’s death a brother (the appellee and defendant below) A. Dale McMillan, purchased his brother’s interest at the mill site referred to at public auction,, made and consented to by those interested in .his brother’s estate. After that purchase defendant operated the plant, as his brother had theretofore done, under the assumed name of “McMillan Hardwood Company,” but he was the sole owner. Plaintiff and appellant continued for some time thereafter to perform his contract with the deceased brother, with the approval and consent of appellee, defendant below. When plaintiff ceased working the Cawood job, under his contract referred to, he left that vicinity and did similar work elsewhere for another concern engaged in the same business. In the meantime appellee and defendant obtained timber rights on two other areas located in accessible distances from his sawmill site, and which are referred to in this record as the “Long Branch” and the “Short Branch” timber tracts. After he had so acquired them plaintiff sought re-employment by defendant to “log the timber” from the two latter tracts, and which is referred to in the record as the “Poor Fork” job. Between the two tracts forming that job was another timbered tract of land, referred to in this record as the “Metcalf” tract, the timber on which was not acquired, nor in any manner owned, by defendant at any time involved in the controversial questions presented by this record.

Terms were agreed upon by appellant and appellee, whereby the former contracted to log the timber from the Poor Fork job, as he had theretofore done with reference to the Cawood job, with slight alterations, among which was an increased price per thousand feet for the *401 labor. Plaintiff began the performance of the latter contract and continued at it for more than a year and then quit, but whether his ceasing to further prosecute the work was because of completing the job, or before it was completed, is not made clear from the evidence^ At any rate, some two years after he quit that job he filed this action in the Harlan circuit court against defendant, alleging in his petition that he had furnished more logs to defendant’s mill than the amount he had been paid for by defendant, and which applied to both the Cawood job'and the Poor Fork job — the petition setting out the amount of logs delivered at the mill and the payments he had received, which were not equal to what he was entitled to under his contracts.

He furthermore alleged that the timber from the Poor Fork job also embraced the timber on the Metcalf' tract, which, as we have said, was located between the two tracts forming the Poor Fork job and that defendant (who at that time did not own the Metcalf timber) also agreed as a part of the same contract for plaintiff to log” the timber on the Metcalf tract, but that he had refused to permit plaintiff to do so, and he sought to recover $2,400 as damages he sustained on account of such refusal. The grand total of the amount sought to be recovered from the defendant was $6,754.85. The answer of defendant denied all of the claims attempted to be asserted against him in the petition, and then counterclaimed for overpayments made to plaintiff, with some other items of indebtedness to defendant, in the aggregate sum of $3,353.65, for which judgment was prayed against plaintiff. Following pleadings made the issues; but in the meantime defendant moved to transfer the cause to the equity docket, since the controversial issues involved many transactions, accounts, payments and other items of dispute involved in the respective claims asserted by both parties. The court sustained that motion and transferred the case to the equity docket. After evidence taken by depositions, the cause was submitted to the court and it dismissed the petition of plaintiff, axld disallowed defendant’s counterclaim, from which plaintiff prosecutes this appeal.

The first question, of which complaint is made by counsel for plaintiff and appellant, is the alleged error of the court in transferring the cause to the equity docket; but we fail to find any motion for any issue of fact to' *402 be submitted to the jury after the transfer was made. Subsection 4 of section 10 of the Civil Code of Practice authorizes the court in the proper exercise of its discretion to transfer an ordinary action to the equity docket of the court in instances therein enumerated “whenever the court, before which the action is pending, shall be of the opinion that such transfer is necessary because of the peculiar questions involved, or because the case involves accounts so complicated, or such great detail of facts, as to render it impracticable for a jury to intelligently try the case. ’ ’

The same question of practice was before this court in the case of Coy v. King, 199 Ky. 65, 250 S. W. 503, wherein the facts, with reference to the complications of the issue submitted for trial, were not so great as is true in this case. The court transferred the action — which was brought in ordinary — to the equity docket, and in our opinion we overruled the objection that the court erred in doing so. In the notes to the section of the Code referred to many other cases to the same effect are listed, among which is that of Brown and Millard v. Crescent Stave Company, 207 Ky. 470, 269 S. W. 739, involving many contested accounts and other items between a stave manufacturer and a distilling company which contracted for them. This court sustained the action of the trial court in making the transfer. In neither of the cited cases did the facts authorizing the transfer measure up to those appearing in this case for the.exercise of the same authority. We, therefore, conclude that this alleged error is without merit — leaving for determination only questions of fact.

With the various depositions taken, bundles of exhibits were filed, composed of checks, accounts paid by defendant for plaintiff at his request and consent while logging the timber contracted for, various lists of the quantity of logs delivered periodically and covering the space of time devoted by plaintiff in performing all of his logging contracts, and also various other items and matters, which altogether, formed a bundle too large to be copied in the record, and which was brought to this court, by agreement of parties, in a separate package from the one containing the record of the trial. It will, therefore, be impossible for us to take up in detail each contested item in an effort to justify or refute the general conclusion of the court as embodied in its judgment.

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Cite This Page — Counsel Stack

Bluebook (online)
169 S.W.2d 10, 293 Ky. 399, 1943 Ky. LEXIS 623, Counsel Stack Legal Research, https://law.counselstack.com/opinion/king-v-mcmillan-kyctapphigh-1943.