Merchants' Protective Ass'n v. Jacobsen

127 P. 315, 22 Idaho 636, 1912 Ida. LEXIS 63
CourtIdaho Supreme Court
DecidedOctober 11, 1912
StatusPublished
Cited by18 cases

This text of 127 P. 315 (Merchants' Protective Ass'n v. Jacobsen) is published on Counsel Stack Legal Research, covering Idaho Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Merchants' Protective Ass'n v. Jacobsen, 127 P. 315, 22 Idaho 636, 1912 Ida. LEXIS 63 (Idaho 1912).

Opinions

AILSHIE, J.

This is an appeal from a judgment sustaining a demurrer to plaintiff’s complaint and dismissing plaintiff’s alleged cause of action. The material allegations of the complaint are as follows:

Appellant is a corporation organized under the laws of the state of Utah, carrying on a general business of publishing credit ratings of firms and corporations and furnishing commercial information and adjusting and collecting delinquent and disputed accounts and claims for an agreed commission or rate of compensation. On about the 3d of June, .1903, respondent delivered to appellant for collection a certain claim against Simonds Bros, of Ft. Wayne, Ind., for the sum of about $1,160, together with $108.70 accrued interest, and employed and instructed the appellant to collect the same on certain agreed rates of commission or compensation. Appellant began negotiations for the collection of the claim, and in order to defray the expenses demanded of the respondent [639]*639the sum of $30, which respondent paid. Appellant thereupon continued negotiations and employed a firm of lawyers in Ft. Wayne to assist in the prosecution of the claim. These transactions and negotiations continued until the 10th of July, 1905, when, in view of further costs and expenditures and the probability of having to prosecute an action against the debtor, a modified or new contract was entered into. This new or modified contract consisted of an assignment by the respondent to the plaintiff of an undivided one-half interest in the claim, under an agreement that the plaintiff should bear all further expenses of the proceedings and furnish any bonds that might be necessary, and that after the claim was finally adjusted or collected the appellant would return to respondent the sum of $30, which had already been paid by respondent to appellant toward defraying costs and expenses. The appellant proceeded with its negotiations but without success, and thereafter and on or about the 7th of June, 1907, and while the plaintiff was still attempting to collect and adjust the claim, the respondent, without notice to appellant, entered into an agreement with the debtor, Simonds Bros., whereby the claim was paid directly to respondent, and Simonds Bros, were released and discharged from further liability. The appellant thereupon made demand on respondent for one-half the sum collected, less the sum of $30, which had been advanced for costs, and upon refusal by respondent to pay commenced this action. Bespondent demurred to the complaint, and the demurrer was sustained, on the ground that the contract was in violation of the common-law doctrine of champerty and maintenance, which rule of law, it is maintained, is in force in this state.

The first question to be determined on this appeal is, whether the common-law rule of champerty prevails in this state. Champerty, which seems to be a species of the ancient law of maintenance, consisted in supporting or maintaining a suit for someone else in consideration of a bargain or agreement to have a part of the thing in dispute or some profit out of the results of the litigation or an agreement to divide the receipts derived from the suit or action. Maintenance of [640]*640causes of action was denounced by the Roman law in the strongest terms. (Institutes, Book 4, Title 16; 4 Blackstone’s Commentaries, 135.) It was adopted in England as a part of the feudal system, and but for the feudal system would doubtless have found no place in English common law. It was subsequently enacted by parliament into written law by statute Westminster I, c. 25; 3 Edw. I; 28 Edw. I, c. 11; 32 Henry VIII, c. 9. When first adopted in England, it had special reference to suits and actions involving title and right of possession to real property. (Lytle v. State, 17 Ark. 608.) At that time England was infested (I think “infest” correctly expresses it) with great feudal lords and barons, and class distinction prevailed everywhere. (Vol. 2, Hume’s History of England, p. 320.) It is said by law-writers that this law was invoked for the purpose of preventing great men of the times using their power and influence in supporting questionable titles against the weak and oppressed of various degrees and distinctions, and thus, perhaps, obtaining judg-' meats and decrees to which they were not entitled. A somewhat careful examination of the early authorities, however, and the results accomplished thereunder tends at least to leave the' impression on one’s mind that this doctrine may have been invoked as much for the protection of the feudal lords against each other as for their weaker and less influential subjects. (See Hovey v. Hobson, 51 Me. 62; Wright v. Meek, 3 G. Greene (Iowa), 472.) Feudal tenure never prevailed in this country, nor has class distinction had any place with us. The poor man who has a just and righteous cause of action may be without means to prosecute his action, and therefore be under the necessity of selling or hypothecating a part of his claim in order to obtain the means with which to prosecute it. The mere fact that he does so cannot affect the result of his action or work any injustice either on his adversary or the public. One man is no more powerful in the eyes of the law than another. For a learned and interesting discussion of the origin of this doctrine, see Lytle v. State, 17 Ark. 608. However this may be, it seems quite clear to us that no such condition has ever prevailed in this country as would [641]*641require or necessitate the application of such a doctrine in the law of this country.

There is a great diversity of opinion among the courts as to whether the common-law doctrine of champerty ever became a part of the body of the common law of this country. In Indiana (Hart v. State, 120 Ind. 83, 21 N. E. 654, 24 N. E. 151), Kansas (Aultman v. Waddle, 40 Kan. 195, 19 Pac. 730), Kentucky (Lucas v. Allen, 80 Ky. 681), Maine (Hovey v. Hobson, 51 Me. 62), Massachusetts (Ackert v. Parker, 131 Mass. 436), Missouri (Duke v. Harper, 66 Mo. 51, 37 Am. Rep. 314), Oregon (Brown v. Bigne, 21 Or. 260, 28 Am. St. 752, 28 Pac. 11, 14 L. R. A. 745), Rhode Island (Orr v. Tanner, 12 R. I. 94), Utah (Croco v. O. S. L. R. Co., 18 Utah, 311, 54 Pac. 985, 44 L. R. A. 285), Vermont (Hamilton v. Cray, 67 Vt. 233, 48 Am. St. 810, 31 Atl. 315), Wisconsin (Miles v. Mutual Reserve Fund L. Assn., 108 Wis. 421, 84 N. W. 159), District of Columbia (Matthews v. Hevner, 2 App. Cas. (D. C.) 349; Peck v. Heurich, 167 U. S. 627, 17 Sup. Ct. 927, 42 L. ed. 302), Illinois (Thompson v. Reynolds, 73 Ill. 11), Minnesota (Gammons v. Johnson, 69 Minn. 488, 72 N. W. 563), Montana (Quirk v. Muller, 14 Mont. 467, 43 Am. St. 647, 36 Pac. 1077, 25 L. R. A. 87), the doctrine seems to have been adopted in a more or less modified form,- while it has been wholly repudiated in Arkansas (Lytle v. State, 17 Ark. 608), California (Howard v. Throckmorton, 48 Cal. 482), Connecticut (Richardson v. Rowland, 40 Conn. 565), Delaware (Bayard v. MacLane, 3 Harr. (Del.) 139), Iowa (Wright v. Meek, 3 G. Greene (Iowa), 472), Maryland (Schaferman v. O’Brien, 28 Md. 565, 92 Am. Dec. 708), Michigan (Wildey v. Crane, 63 Mich. 720, 30 N. W. 327), New Jersey (Schomp v. Schenck, 40 N. J. L. 195, 29 Am. Rep. 219), Nebraska (Omaha R. & R. Co. v. Brady, 39 Neb. 49, 57 N. W. 767), Texas (Wheeler v. Riviere (Tex. Civ.), 49 S. W. 697), Tennessee (Sherley v. Riggs, 11 Humph. (Tenn.) 53), and West Virginia (Lewis v. Broun, 36 W. Va.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Hill v. Hill
102 P.3d 1131 (Idaho Supreme Court, 2004)
Toste Farm Corp. v. Hadbury, Inc.
798 A.2d 901 (Supreme Court of Rhode Island, 2002)
Osprey, Inc. v. Cabana Ltd. Partnership
509 S.E.2d 275 (Court of Appeals of South Carolina, 1998)
Frazee v. Frazee
660 P.2d 928 (Idaho Supreme Court, 1983)
Wheaton v. Ramsey
436 P.2d 248 (Idaho Supreme Court, 1968)
Lawrence Warehouse Co. v. Rudio Lumber Co.
405 P.2d 634 (Idaho Supreme Court, 1965)
Garren v. Saccomanno
385 P.2d 396 (Idaho Supreme Court, 1963)
Johnson v. Casper
270 P.2d 1012 (Idaho Supreme Court, 1954)
Hancock v. Elkington
186 P.2d 494 (Idaho Supreme Court, 1947)
Girard v. Defenbach
106 P.2d 1010 (Idaho Supreme Court, 1940)
State v. Taylor
87 P.2d 454 (Idaho Supreme Court, 1939)

Cite This Page — Counsel Stack

Bluebook (online)
127 P. 315, 22 Idaho 636, 1912 Ida. LEXIS 63, Counsel Stack Legal Research, https://law.counselstack.com/opinion/merchants-protective-assn-v-jacobsen-idaho-1912.