Lamont v. . Cheshire

65 N.Y. 30
CourtNew York Court of Appeals
DecidedJanuary 5, 1875
StatusPublished
Cited by47 cases

This text of 65 N.Y. 30 (Lamont v. . Cheshire) is published on Counsel Stack Legal Research, covering New York Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Lamont v. . Cheshire, 65 N.Y. 30 (N.Y. 1875).

Opinion

Dwight, C.

The question to be decided in this cause concerns the true construction of the one hundred and thirty-second section of the Code, as it stood in the year 1859. This section then provided that, “in an action affecting the title to real property, the plaintiff, at the time of filing the complaint, or at any time afterward, or whenever a warrant of attachment under chapter 4 of title 7, part second of this Code, shall be issued, or at any time afterward, the plaintiff, if the same be intended to affect real estate, may file with the clerk of each county in which the property is situated, a notice of the pendency of the action, *35 containing the names of the parties, the object of the action and the description of the property in that county affected thereby. * * * From the time of filing only shall the pendency of the action be constructive notice to a purchaser or incumbrancer of the property affected thereby, and every person whose conveyance or incumbrance is subsequently executed or subsequently recorded shall he deemed a subsequent purchaser or incumbrancer, and shall he bound by all proceedings taken after filing of such notice, to the same extent as if he were made a party to the action.”

The attachments under which the plaintiff claims title were levied and the Us pendens filed before the deed executed by John S. Harp to Cheshire, one of the defendants, and under whom Martin, the other defendant, claims, was recorded. The question is thus directly presented as to the meaning of the provision in the section of the Code above cited, that a person whose conveyance is recorded subsequent to the filing of a Us pendens shall be deemed a iC subsequent purchaser or incumbrancer.”

The plaintiff contends that the effect of this clause is, that if a purchaser has acquired a title regular in ah respects except that his conveyance is not recorded, a creditor with full knowledge of his title may commence an action by attachment, file a notice of Us pendens, and thus obtain a lien superior to the title of such purchaser, and that accordingly a sale to effectuate the attachment proceedings would destroy and cut off the unrecorded conveyance.

This is certainly an extraordinary proposition in the law of real property, and contrary to the analogies of that law. Our law has hitherto been careful to preserve equitable liens against legal owners, having knowledge of the equities; to prefer an unrecorded deed or mortgage to a subsequently docketed judgment, and generally to uphold every existing lien or title in good faith, though irregular in point of form, against a mere creditor of one holding subject to the equitable lien or other imperfect title. The plaintiff should plainly be held to establish his position, so different in its character from *36 the usual legal theories, by clear and manifest proof of the legislative will.

For a clear and comprehensive view of this highly important question, it is necessary to consider the nature of a notice of the pendency of an action, and the office which it is designed to fulfill. Its function is to carry out the well known legal maxim, pendente lite, niMl innovetwr. It was found to be necessary to the administration of justice that the decision of a court of equity in a suit should be binding not only on the litigant parties, hut on those who derive title from them pmdemte Ute, whether with notice of the suit or not. It is simply a rule of law to give effect to the rights ultimately established by the decree. (Bishop of Winchester v. Paine, 11 Ves., 194.) The theory of a Ms pendens was much discussed in the recent case of Bellamy v. Sabine (1 De Gex & Jones, 566). It is there said that the correct doctrine is, that the law does not allow to litigant parties to give to others, pending the litigation, rights to the property in dispute, so as to prejudice the opposite party. Another form of statement is, that where a litigation is pending between a plaintiff and a defendant as to the right to a particular estate, the necessities of mankind require that the decision of the court shall be binding not only on the litigating parties, but also on those who derive titles under them by alienations made pending the suit. If this were not so, there could be no certainty that the litigation would ever come to an end. The rule largely has its roots in public policy, and does not rest, as is sometimes supposed, on the equitable doctrines of notice binding on the conscience. The doctrine is not peculiar to courts of equity. In the old real actions, the judgment hound the lands, notwithstanding any alienation by the defendant perydente Mte, and it cannot be claimed that this is on any other ground than that which has been already stated. "Were it not for the doctrine in question, the plaintiff would be liable in every case to be defeated by the defendant’s alienating before the judgment or decree, and would be driven to commence his proceedings de novo, subject again to be defeated by a similar *37 course of proceeding. (Story on Eq. Jur., §§ 405-908, and note 5 to last section; Murray v. Lylburn, 2 Johns. Ch., 441; Gaskell v. Durdin, 2 Ball. & Beatty, 167; Hayden v. Bucklin, 9 Paige, 513.)

The rules of the English equity courts on this point are fully recognized in the jurisprudence of this State. (Murray v. Lylburn, supra; Hayden v. Bucklin, supra.)

The Laws of 1823 (p. 213, § 11) recognized this doctrine and simply regulated it by providing that the filing of a bill should not be constructive notice unless the complainant should file a notice with the clerk of the county in which the land is situated. The same provision was found, in substance, in the Bevised Statutes.

There are no expressions in the Code which can be supposed to have changed the rules of equity on this subject, except in mere matters of form, until we reach the clause now under consideration.

It has been seen, in the course of this discussion, that the theory of a Us pendens is that there must be no innovation in the proceedings so as to prejudice the rights of the plaintiff. It is simply a rule to give effect to the rights ultimately established by the decree. Applying this doctrine to the present case, it would be impossible to claim that a Us pendens could give a creditor under an attachment a lien superior to the title ■of a purchaser under an unrecorded conveyance. The statute distinctly provides that a person whose conveyance is executed or recorded subsequent to the filing of a notice shall be deemed a subsequent purchaser, and bound by the proceedings to the same extent as if he were a pa/rtry to the action. It is necessary to ascertain, therefore, what would have been the effect if the defendants had been made parties to the action. Had the plaintiff made the defendants parties to the action, his attachment proceedings would, of course, have been nugatory.

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Bluebook (online)
65 N.Y. 30, Counsel Stack Legal Research, https://law.counselstack.com/opinion/lamont-v-cheshire-ny-1875.