Loser v. E. R. Bacon Co.

201 Cal. App. 2d 387, 20 Cal. Rptr. 221, 1962 Cal. App. LEXIS 2606
CourtCalifornia Court of Appeal
DecidedMarch 15, 1962
DocketCiv. 10257
StatusPublished
Cited by14 cases

This text of 201 Cal. App. 2d 387 (Loser v. E. R. Bacon Co.) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Loser v. E. R. Bacon Co., 201 Cal. App. 2d 387, 20 Cal. Rptr. 221, 1962 Cal. App. LEXIS 2606 (Cal. Ct. App. 1962).

Opinion

SCHOTTKY, J.

Arthur Loser commenced an action against E. R. Bacon Company and Clary Manufacturing Company to recover damages for injuries incurred when his left hand became enmeshed in a V-belt and pulley driven by a gasoline engine. The case was tried to a jury and a verdict was returned in favor of the defendants. Plaintiff has appealed from the judgment entered on said verdict.

Loser, an employee of Bo-Son, Inc., brought this action against E. R. Bacon Company on the theory that it had furnished his employer with a defective machine, and against Clary Manufacturing Company, the manufacturer, on the theory it had negligently designed the machine. The complaint was filed on October 23, 1958, and an amended complaint was filed in January 1959. Clary Manufacturing Company filed its answer on February 9, 1959, and E. R. Bacon Company filed its answer on March 26, 1959. On December 11, 1959, Loser filed a second amended complaint in which a cause of action based on breach of warranty was added. No prior permission was sought of the court to file the second amended complaint. E. R. Bacon Company made a motion to strike the complaint. After a hearing the motion was granted and the second amended complaint was stricken “without prejudice to whatever rights plaintiff may have to file another amended complaint after proper notice and permission of the Court if the same be granted. ’ ’

Appellant’s first contention is that the court erred in striking his proposed second amended complaint. He argues that prejudice to the defendants must be shown before a court may strike a complaint. There is no merit in this contention. The right of a plaintiff to amend his complaint under the provisions of section 472 of the Code of Civil Procedure is extended only up to the time the defendant’s answer is filed. Once the defendant’s answer is filed, the plaintiff’s right to amend as a matter of course is gone. (Tingley v. Times Mirror Co., 151 Cal. 1 [89 P. 1097].) Section 473 of the Code of Civil Procedure provides in part that the court may in its discretion, after notice to the adverse party, allow a *390 party to amend any pleading. As stated in 2 California Pleading, Civil Actions, Chadbourn, Grossman and Van Alstyne, section 1101: “Amendments prior to trial under Code of Civil Procedure section 473 ordinarily must be sought by noticed motion in accordance with the general principles governing such motions discussed elsewhere in this text. The notice of motion for leave to amend should be supported by appropriate affidavits explaining the purpose and need for the amendment, and the reason for failure to raise the issues earlier; the nature of the proposed amendment should be indicated in the notice of motion or (preferably) by presenting the proposed amendment itself to the court. ’ ’

This procedure was not followed. A court may, by virtue of its inherent power to prevent abuse of its processes, strike an amended complaint which is filed in disregard of established procedural processes. (Neal v. Bank of America, 93 Cal.App.2d 678 [209 P.2d 825].) While in the instant case the motion to strike was made by only one of the defendants, the court could under its inherent power strike the amended pleading as to both because no request for permission to amend was sought by the court. The action of the court was not an abuse of discretion because the order was made without prejudice to the rights of the plaintiff to file another amended complaint after proper notice and permission of the court, if the same were granted.

Appellant contends also that the court erred in excluding certain testimony offered to show the witness Floyd Most fabricated his testimony as to the conversation with appellant. Most conversed with appellant at the hospital. Appellant’s parents were present during part of the conversation. Most also testified that he had discussed the ease with appellant’s father after his conversation with the appellant. The testimony which appellant sought to introduce was a statement made by Most to appellant’s father after his conversation with appellant that he did not know how the accident happened. The trial court excluded the statement on the ground that no foundation for impeachment had been laid. The record does not disclose that appellant asked Most on cross-examination what he told appellant’s parents in the conversation.

It is the general rule that a foundation must be laid before a witness may be impeached by the use of a prior inconsistent statement. As stated in McCormick on Evidence at page 70: “The preliminary question requirement when complied with conduces to fairness and economy of time. *391 When overlooked by the impeacher, as it often is, then it seems that the judge should have a discretion to consider such factors as whether the impeaching counsel knew of the inconsistent statement when he cross-examined, the importance or unimportance of the testimony under attack, and the practicability of re-calling the witness for denial or explanation, and in the light of these circumstances, to permit the impeachment without the foundation if it seems fairer to do so.”

Upon the record in the instant case we would not be justified in holding that the court erred in excluding the evidence.

There is no merit in appellant’s further contention that the court should have instructed the jury that the doctrine of assumption of risk was not applicable to the case. There was a violation of a safety order (absence of a guard) so the defense of assumption of risk was not applicable. What this court said in Williams v. Pacific Gas & Electric Co., 181 Cal.App.2d 691 [5 Cal.Rptr. 585], at page 705, is applicable to the instant case : “In the instant case there was evidence from which it could be inferred that appellant violated a safety order of the Division of Industrial Safety, and if the jury reached that conclusion, the defense of assumption of risk could not be sustained for as stated in Maia v. Security Lumber & Concrete Co., 160 Cal.App.2d 16, at page 20 [324 P.2d 657]: ‘The defenses of contributory negligence and assumption of risk are separate and distinct defenses. While the defense of contributory negligence was available to defendant, the same cannot be said as regards the doctrine of the assumption of risk. It is “elementary law” said the court in the Atherley case, that “ ‘in cases of violation of a safety regulation the defendant cannot defend on the ground that the plaintiff for whose protection the regulation was passed assumed the risk.’ ” (Mula v. Meyer, 132 Cal.App.2d 279 [282 P.2d 107]; Finnegan v. Royal Realty Co., 35 Cal.2d 409 [218 P.2d 17].) . . .’ ” To have given the instruction on assumption of risk requested by appellant would only have confused the jury by injecting an immaterial issue into the ease. It was properly refused.

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Bluebook (online)
201 Cal. App. 2d 387, 20 Cal. Rptr. 221, 1962 Cal. App. LEXIS 2606, Counsel Stack Legal Research, https://law.counselstack.com/opinion/loser-v-e-r-bacon-co-calctapp-1962.