Martineau v. Crabbe

150 P. 301, 46 Utah 327, 1915 Utah LEXIS 21
CourtUtah Supreme Court
DecidedJune 29, 1915
DocketNo. 2791
StatusPublished
Cited by16 cases

This text of 150 P. 301 (Martineau v. Crabbe) is published on Counsel Stack Legal Research, covering Utah Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Martineau v. Crabbe, 150 P. 301, 46 Utah 327, 1915 Utah LEXIS 21 (Utah 1915).

Opinion

McCAETY, J.

(after stating the facts as above).

The first question presented relates to the “emergency clause” of the act in question, which provides that “this act shall take effect upon approval.” It is contended 1 that the Senate Journal shows that this clause was stricken from the act just before its final passage, and that therefore, under section 25, art. 6, of the Constitution, the enactment did not take effect until May 11, 1915, 60 days after the adjournment of the Legislature. This section of the Constitution provides that:

“All acts shall be officially published, and no act shall take effect until so published, nor until sixty days after the adjournment of the session at which it passed, unless the Legislature by a vote of two-thirds of * * * each house shall otherwise direct.”

It is contended on behalf of defendants that the act containing the emergency clause, having been engrossed, approved, signed, enrolled, and deposited with the secretary of state, implies absolute verity and should be accepted as the very bill adopted by the Legislature, and that the journal of the Legislature cannot be looked to for the purpose of attacking the manner of its enactment. While a question is thus presented that is not free from doubt, it is nevertheless, so far as the issues here involved are concerned, academic only. One of the essential allegations of the peti-tition by which the action of this court is invoked in this proceeding is:

“That defendants will on and after the 11th day of May, [334]*3341915, upon discovery of the fact when said pretended act takes effect, proceed to appoint some persons to the respective offices,” mentioned in the act.

The prayer of the petition is in part as follows:

That the defendants “be absolutely and forever restrained and prohibited from taking any further proceedings in said * * * matter, or doing any of the acts or things herein-before complained of,” etc.

It will thus be observed that the action of this court is invoked to prohibit defendants from doing certain things set forth in the petition, and not for the purpose of reviewing and correcting some alleged error based on a past transaction.' The office and function of the writ of prohibition is to—

“arrest the proceedings of any tribunal, corporation, board or person * * * when such proceedings are without or in excess of the jurisdiction of such tribunal,” etc. Comp. Laws 1907, section 3654.
“The writ, * *' * as its name imparts, is one which commands the person to whom it is directed not to do something by’which, by the suggestion of the relator the court is informed he is about to do. If the thing he already done, it is manifest the writ of prohibition cannot undo it, for that would require an affirmative act.” Spelling, Ext. Relief, Sec. 1720.

In High’s Ext. Legal Rems, section 766, the author says:

“Another distinguishing feature of the writ is that it is a preventative rather than a corrective remedy and issues only to prevent the commission of a future act and not to undo an act already performed.”

See, also, 32 Cyc. 603.

Therefore the allegation in the petition that defendants, on the 14th day of April, A. D. 1915, in pursuance of the act in question, “did appoint one Brigham Clegg to the alleged office of justice of the peace * * * and one M. W. Earl to the alleged office of constable,” etc., can be considered as matters of inducement only. It appears that the act in question, regardless of the emergency clause, went into effect May 11, 1915. The case was presented to this [335]*335court on oral argument May 14, 1915. It will therefore be observed that, if the enactment in other respects is valid, the defendants are authorized and empowered under the act to do the things which plaintiff by this writ seeks to prohibit them from doing. As stated, the question of whether defendants were authorized in making the appointments mentioned prior to May 11, 1915, is, so far as this case is concerned, academic only, and we refrain from expressing an opinion thereon.

It is also contended that section 544x1 of the act providing that “all causes of criminal action, arising within the limits of cities of the first class of 40,000 or more inhabitants and over which justices of the peace have jurisdiction, 2 shall be brought before the respective justices of the peace in and for such cities,” is in conflict with section 21, art. 8, of the Constitution, which provides that “Judges of the Supreme Court, district courts, and justices of the peace, shall be conservators of the peace, and may hold preliminary examinations in cases of felony. ’' While section 544x1 is apparently in conflict with and repugnant to this provision of the Constitution (and in the opinion of the'writer clearly so), yet we fail to see how or wherein the question is necessarily involved. It relates to the power and jurisdiction of the justice (whether his jurisdiction in criminal cases arising within the precinct for which he is appointed is exclusive or concurrent), but had nothing to do with the power of the commissioners to appoint a justice and in no manner relates to that question. The power and authority of the commissioners to appoint a justice of the peace is one thing. The power and jurisdiction which the justice may lawfully exercise is wholly a different thing. Assuming, however, for the sake of argument, that this section of the statute is invalid, it does not render nugatory the entire act. The section is separable and distinct from the balance of the act, and can be eliminated therefrom without in any way affecting the other provision.

Another objection urged against the validity of the act in question is that it violates section 23 of article 6 of the [336]*336Constitution of this state, which, so far as material 3 here, provides:

“Except general appropriation bills, and bills for the codification and general revision of laws, no bill shall be passed containing more than one subject. * * * ”

We think the objection is unsound. Manifestly the purpose of this provision of the Constitution is to prevent the Legislature from intermingling in one act two or more separate and distinct propositions' — things which, in a legal sense, have no connection with, or proper relation to, each other. The reasons for, and the scope of, constitutional provisions of this character, are well illustrated in 26 A. & E. Ency. L. (2d Ed.) 575, in the following language:

“This requirement of singleness is not intended to embarrass honest legislation, hut only to prevent the vicious practice of joining in one act incongruous and unrelated matters; and if all the parts of a statute have a natural connection and reasonably relate, directly or indirectly to one general and legitimate subject of legislation, the act is not open to the objection of plurality, no matter how extensively or minutely it deals with the details looking to the accomplishment of the main legislative purpose.”

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Bluebook (online)
150 P. 301, 46 Utah 327, 1915 Utah LEXIS 21, Counsel Stack Legal Research, https://law.counselstack.com/opinion/martineau-v-crabbe-utah-1915.