Moore v. Atlanta Transit System, Inc.

123 S.E.2d 693, 105 Ga. App. 70, 1961 Ga. App. LEXIS 569
CourtCourt of Appeals of Georgia
DecidedNovember 9, 1961
Docket39008
StatusPublished
Cited by33 cases

This text of 123 S.E.2d 693 (Moore v. Atlanta Transit System, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Moore v. Atlanta Transit System, Inc., 123 S.E.2d 693, 105 Ga. App. 70, 1961 Ga. App. LEXIS 569 (Ga. Ct. App. 1961).

Opinions

Eberharbt, Judge.

At the hearing held on the defendant’s motion for summary judgment, the plaintiff sought to introduce a letter from one Dr. Weinstein, a physician employed by the defendant to examine plaintiff’s decedent, and particularly that part of the letter in which the doctor related the decedent’s history of her complaint given to him, as follows: “In July, 1956, I was boarding an Atlanta Transit bus on Moreland Avenue, S.E. The bus driver closed the door of the bus as I was entering. I was struck on the right chest and back. This caused me to fall on steps of bus. It knocked me out temporarily. On the same day of the accident, I saw Dr. Huie, Glen-wood Avenue. He X-rayed my ribs and back, and I saw Dr. Huie twice after the accident. He put a brace on me. I stayed in bed most of the time for 4 weeks. I could not get up or down without much pain. I did and still have a thumping pain in my back.” The defendant objected to the introduction of the letter as being “hearsay and irrelevant, immaterial and has [72]*72no connection with any allegation of negligence set out in the petition and that it was a self-serving declaration.” The trial judge sustained the objection. The plaintiff indicated that all of his evidence as to how the decedent had been injured was of this type, consisting of what the plaintiff’s decedent told various doctors and other persons.

The grounds of plaintiff’s appeal are two-fold. First, he contends that a motion for summary judgment is not the proper method for deciding questions relative to the admissibility of evidence; and second, that the type of evidence adduced by plaintiff was admissible.

There is no merit in the plaintiff’s first contention. The purpose of the Summary Judgment Act of 1959 was to eliminate the necessity for a jury trial where there is no genuine issue as to any material fact in the case. Scales v. Peevy, 103 Ga. App. 42, 46 (118 SE2d 193); Dillard v. Brannan, 217 Ga. 179 (121 SE2d 768). The “genuine issue” test is not met unless the evidence offered is competent and admissible. Dyer v. McDougal, 201 F2d 265 (2d Cir.); 6 Moore, Federal Practice, 2d Ed. 1953, § 56.02 [9], p. 2019; 3 Barron & Holtzoff, Federal Practice & Procedure, 1958 Rev., § 1235, pp. 148-149 and § 1237, p. 164. Appolonio v. Baxter, 217 F2d 267 (6th Cir.), is directly in point. There the defendant’s motion for summary judgment was held properly granted where plaintiff’s case was not provable by competent evidence because of the Tennessee “Dead Man’s Statute.” Resort to Federal cases is appropriate because the act of 1959 is substantially identical with Rule 56 of the Federal Rules of Civil Procedure. McCallum v. Twiggs County Bank, 172 Ga. 591 (1) (158 SE 302, 74 ALR 932).

If further support is necessary, we need only look to that portion of the act of 1959 dealing with affidavits (Ga. L. 1959, p. 235; Code Ami. § 110-1205) where it is provided that affidavits “shall set forth such facts as would be admissible in evidence ...” Thus it appears that the affidavits and other material presented to support plaintiff’s pleadings must present facts which w'ould be admissible in evidence in their own right. To hold otherwise would require a jury trial where one is unnecessary, a requirement that is contrary to the intent of the Summary Judgment Act of 1959.

[73]*73However, the problem of the admissibility of the evidence in this case still remains. Unless such evidence is admissible, we would be constrained under the first division of this opinion to hold that the defendant’s motion for summary judgment was properly granted, for in that event it would appear from plaintiff’s admissions that all of his evidence as to the alleged occurrence is of the same character; and from the admissions of both plaintiff and defendant that, there is no known witness who saw it. Hence there would be no competent evidence to raise any material issue.

It is clear that the evidence offered here was hearsay within the definition set forth in Code-§ 38-301 as “that which does not derive its value solely from the credit of the witness, but rests mainly on the veracity and competency of other persons.” The Code recognizes exceptions to the hearsay rule in the remainder of § 38-301, but concludes, with the assertion that “The very nature of the evidence shows its weakness, and it is admitted only in specified cases from necessity.”

Before proceeding further, perhaps an inquiry into the history and background of the hearsay rule and its exceptions would be helpful. In the words of'Morgan, “There was a time when all relevant hearsay was admissible, and there never has been a time when Anglo-American courts have rejected all hearsay.” 2 Morgan, Basic Problems of Evidence (1954), p. 221. And professor Wheaton in “What Is Hearsay?”, 46 Iowa L. Rev. 210, citing Holdsworth, Morgan and Wigmore, says that “It seems clear that in the very early days of the jury trial there was no objection to the use of hearsay, for the jury reached its decision from information that it gained outside the courtroom. During the sixteenth century the jury began to get information from testimony in court and by the early seventeenth century it received most of its information from that source. During the first three-quarters of the seventeenth century hearsay was constantly received as corroborative evidence. It was in the last quarter of that century that the rule against hearsay came into existence. By the middle of the eighteenth century the exclusionary doctrine was definitely settled.” The reason for the rule, as he then points out, is basically the absence of opportunity to cross-examine and a fear that the admission of hearsay would [74]*74afford too many opportunities for inaccuracy, mistake, fraud, and untrustworthiness. Various theories to support the numerous exceptions to the hearsay rule have been advanced. Professor Wigmore, for instance, relies on the principles of “a Circumstantial Probability of Trustworthiness, and a Necessity,” as the guides. 5 Wigmore, Evidence (3d Ed., 1940) § 1420. Morgan states that no theory will explain all of the exceptions, and proposes the dual test as “ (a) whether the hearsay is such that the trier can put a reasonably accurate value upon it as evidence of the matter it is offered to prove, and (b) whether direct testimony of the declarant is unavailable, or if available, is likely to be less reliable.” 2 Morgan, Basic Problems of Evidence (1954), p. 222. The American Law Institute has suggested the following: “Evidence of a hearsay declaration is admissible if the judge finds that the declarant (a) is unavailable as a witness, or (b) is present and subject to cross-examination.” Model Code of Evidence, American Law Institute (1942), Rule 503.

The multitudinous exceptions spawned by the hearsay rule have caused vexatious problems for courts operating under com- . mon-law principles. For example, there are now from ten to twenty exceptions recognized in the various jurisdictions. McCormick, Evidence (1954), § 300, p. 626. We have seen that even the authorities are unable to agree on the exceptions and • the theoretical basis for them. Professor Green says that the exceptions are “best explained by history rather than logic.” Green, Georgia Law of Evidence (1957), § 225, p. 503.

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

Related

Lee v. Peacock
404 S.E.2d 473 (Court of Appeals of Georgia, 1991)
Atlanta Gas Light Co. v. Gresham
394 S.E.2d 345 (Supreme Court of Georgia, 1990)
Hodges v. Effingham County Hospital Authority
355 S.E.2d 104 (Court of Appeals of Georgia, 1987)
Transamerica Insurance v. Thrift-Mart, Inc.
285 S.E.2d 566 (Court of Appeals of Georgia, 1981)
Irby v. Brooks
273 S.E.2d 183 (Supreme Court of Georgia, 1980)
Jaakkola v. Doren
261 S.E.2d 701 (Supreme Court of Georgia, 1979)
Fountain v. Cabe
251 S.E.2d 529 (Supreme Court of Georgia, 1979)
Green v. State
249 S.E.2d 1 (Supreme Court of Georgia, 1978)
Crosby v. Jones
246 S.E.2d 677 (Supreme Court of Georgia, 1978)
Federal Insurance Co. v. Oakwood Steel Co.
191 S.E.2d 298 (Court of Appeals of Georgia, 1972)
Cody v. S.K.F. Industries, Inc.
291 A.2d 772 (Supreme Court of Pennsylvania, 1972)
CHRYSLER MOTORS CORPORATION v. Davis
173 S.E.2d 691 (Supreme Court of Georgia, 1970)
Ireland v. Matthews
171 S.E.2d 387 (Court of Appeals of Georgia, 1969)
Glynn Plymouth, Inc. v. Davis
170 S.E.2d 848 (Court of Appeals of Georgia, 1969)
Horton v. Nichols
162 S.E.2d 208 (Court of Appeals of Georgia, 1968)
Munn v. Munn
157 S.E.2d 77 (Court of Appeals of Georgia, 1967)
Paulk v. Thomas
154 S.E.2d 872 (Court of Appeals of Georgia, 1967)
General Insurance Co. of America v. Camden Construction Co.
154 S.E.2d 26 (Court of Appeals of Georgia, 1967)
Millholland v. Oglesby
152 S.E.2d 761 (Court of Appeals of Georgia, 1966)
Crafton v. Livingston
150 S.E.2d 371 (Court of Appeals of Georgia, 1966)

Cite This Page — Counsel Stack

Bluebook (online)
123 S.E.2d 693, 105 Ga. App. 70, 1961 Ga. App. LEXIS 569, Counsel Stack Legal Research, https://law.counselstack.com/opinion/moore-v-atlanta-transit-system-inc-gactapp-1961.