Levy v. Albright

163 S.W.2d 529, 204 Ark. 657, 1942 Ark. LEXIS 214
CourtSupreme Court of Arkansas
DecidedJuly 6, 1942
Docket4-6894
StatusPublished
Cited by48 cases

This text of 163 S.W.2d 529 (Levy v. Albright) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Levy v. Albright, 163 S.W.2d 529, 204 Ark. 657, 1942 Ark. LEXIS 214 (Ark. 1942).

Opinions

Smith, J.

The question here presented for decision is whether a judge of this court has the jurisdiction and power to issue a search and seizure warrant. Section 3327, Pope’s Digest, attempts to confer this power, so that the ultimate question for decision is whether this legislation, as related to judges of the Supreme Court, is valid and constitutional. This section, § 3327, reads as follows: “Search warrants. It is hereby made and declared to be the duty and required of the judges of the Supreme Court, the judges of the circuit courts and of the justices of the peace, on information given or on their own knowledge, or where they have reasonable ground to suspect, that, they issue their warrant to some peace officer, directing in such warrant a search for such gaming tables or devices hereinbefore mentioned or referred to, and directing that, on finding any such, they shall be publicly burned by the officer executing the warrant. ’ ’

It is said that the act has twice been held to be constitutional, first in the case of Garland Novelty Co. v. State, 71 Ark. 138, 71 S. W. 257, and later in the case of Furth v. State, 72 Ark. 161, 78 S. W. 759. These cases did hold that the legislation is not void, hut neither held that it is entirely valid.

In each of those cases a circuit judge had issued a seizure warrant, directing the sheriff of the county to whom it was issued to seize certain gambling instrumentalities. The jurisdiction of the circuit judge was not and could not be successfully questioned. A hearing was accorded in each of those cases to the owner of the seized property as to the nature and use of the instrumentalities seized, and the. action of the circuit judge in holding that the paraphernalia were gambling devices was affirmed in each case on the appeal to this court.

The question was not involved in either of those cases whether a judge of the Supreme Court had the jurisdiction and power to issue such a warrant, and that question was, therefore, neither considered nor decided. It was decided in both of those cases that the act was constitutional in so far as it conferred upon circuit judges the power to issue these warrants.

An act may be unconstitutional in part and yet be valid as to the remainder. Many cases so hold, and the following quotation from Cooley’s Constitutional Limitations' appearing in the case of Oliver v. Southern Trust Co., 138 Ark. 381, 212 S. W. 77, has been many times approved by this court: “ ‘, . . Where, therefore, a part of a statute is unconstitutional, that fact does not authorize the courts to declare the remainder void also, unless all the provisions are connected in the subject-matter, depending on each other, operating together for the same purpose, or otherwise so connected together in meaning that it cannot be presumed the Legislature would have passed the one without the other. The constitutional and unconstitutional provisions may even be' contained in the same section, and yet be perfectly distinct and separable, so that the first may stand, though the last fall. The point is not whether they are contained in the same section; for the distribution into sections is purely artificial; but whether they are essentially and inseparably connected in substance. If, when the unconstitutional portion is stricken out, that which remains is complete in itself, and capable of being executed in accordance with the apparent legislative intent, wholly independent of that which was rejected, it must be sustained. The difficulty is in determining whether the good and bad parts of the statute are capable of being separated, within the meaning of this rule. If a statute attempts to accomplish two or more objects, and is void as to one, it may still be in every respect complete and valid as to the other. But if its purpose is to accomplish a single object only, and some of its provisions are void, the whole must fail, unless sufficient remains to effect the object without the aid of the invalid portion. And if they are so mutually connected with and dependent on each other, as conditions, considerations, or compensations for each other, as to warrant the belief that the Legislature would not pass the residue independently, then if some parts are unconstitutional, all the provisions which are thus dependent, conditional, or connected must fall with them.’ Cooley’s Constitutional Limitations, 6th ed., p. 210. This rule has been followed in innumerable cases in the various courts, and by this court in the following cases: L. R. & Ft. Smith Rd. Co. v. Worthen, 46 Ark. 312; State v. Marsh, 37 Ark. 356; State v. Deschamp, 53 Ark. 490, 14 S. W. 653; Cribbs v. Benedict, 64 Ark. 555, 44 S. W. 707; Wells Fargo & Co., Express v. Crawford County, 63 Ark. 576, 40 S. W. 710, 37 L. R. A. 371.

We think it obvious that the General Assembly would have enacted this law even though judges of the Supreme Court had not been included, as the General Assembly was imposing a duty upon courts engaged in enforcing the criminal laws of the state, and it is apparent that duty would have been imposed upon courts having jurisdiction to enforce the criminal laws, although that duty was also imposed upon a court which could not exercise that jurisdiction. Conway County Bridge District v. Williams, 189 Ark. 929, 75 S. W. 2d 814; State v. Hurlock, 185 Ark. 807, 49 S. W. 2d 611.

Article 7 of the Constitution of 1874 deals with the judicial department of the state, and § 4 of that article reads as follows: “The Supreme Court, except in eases otherwise provided by this Constitution, shall have appellate jurisdiction only, which shall be co-extensive with the state, under such restrictions as may from time to time be prescribed by law. It shall have a general superintending control over all inferior courts of law and equity; and in aid of its appellate and supervisory jurisdiction, it shall have power to issue writs of error and supersedeas, certiorari, habeas corpus, prohibition, mandamus and quo warrmto, and other remedial writs, and to hear and determine the same. Its judges shall be conservators of the peace throughout the state, and shall severally have power to issue any of the aforesaid writs.”

It was said in the case of Batesville & Brinkley Railroad Co., Ex parte, 39 Ark. 82, that the phrase ‘ ‘ appellate jurisdiction,” as used in this section of the Constitution means the review by a superior court of the final judgment, order, or decree of an inferior court.

This section of the Constitution confers upon the Supreme Court a general superintending control over all inferior courts of law and equity, and in aid of this appellate and supervisory jurisdiction power is given to issue the writs there named; but the power to issue these writs is in aid of the appellate and supervisory jurisdiction of the court.

The last sentence of this section provides that the judges of "the Supreme Court shall be conservators of the peace throughout the state, and shall severally have power to issue any of the aforesaid writs.

Now, one judge, as well as all the judges, may issue the writs above named, but whether issued by a judge acting severally or by all the judges acting collectively, they may only be issued in aid of the court’s appellate aud supervisory jurisdiction. These writs have meanings well known to the profession, and their respective functions have been defined in innumerable cases.

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Bluebook (online)
163 S.W.2d 529, 204 Ark. 657, 1942 Ark. LEXIS 214, Counsel Stack Legal Research, https://law.counselstack.com/opinion/levy-v-albright-ark-1942.