Mutual Ben. Health & Accident Ass'n v. Warrell

96 F.2d 447, 1938 U.S. App. LEXIS 3496
CourtCourt of Appeals for the Eighth Circuit
DecidedApril 29, 1938
DocketNo. 11002
StatusPublished
Cited by6 cases

This text of 96 F.2d 447 (Mutual Ben. Health & Accident Ass'n v. Warrell) is published on Counsel Stack Legal Research, covering Court of Appeals for the Eighth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Mutual Ben. Health & Accident Ass'n v. Warrell, 96 F.2d 447, 1938 U.S. App. LEXIS 3496 (8th Cir. 1938).

Opinion

STONE, Circuit Judge.

This is an action by assured on the accident disability clauses of a life insurance contract. From a judgment entered on verdict the association brings this appeal.

The appellant does not seriously challenge here the sufficiency of the evidence to justify submission of the case to the jury as to the existence of total disability under the policy. The errors of which complaint is made have to do with a'release, with the bar of limitations, and with the refusal of the court to transfer the cause to the equity docket.

I. The Release.

About five months after the disability occurred appellee signed a release in return for the payment' to him of $396.66, which represented total disability for approximately two months and partial disability for approximately three - months. This release was pleaded in the answer. To that answer a replication was filed alleging that the signature of appellee to the release was obtained by fraud under the representation to him and the belief by him that he was signing only a receipt. Just before the trial appellant filed what it denominates as “Answer to Plaintiff’s Replication” wherein, besides generally denying the new matter in the replication, the answer alleged: “Further answering, defendant states that plaintiff was in full possession of all knowledge and information pertaining thereto since the execution of the release, and this defendant pleads the statute of limitations and laches on the part of the plaintiff as a bar to any right to recovery herein.”

The position taken here is that, because of a delay of several years in bringing- this action after appellee had been informed that the paper he had signed was a release, and because of failure to return or offer to return the above amount, appellee had ratified the release and was bound thereby.

While appellant does not pass over the matter in the brief, yet it does not very seriously press the point that there was not sufficient evidence to submit to the jury that the release had been procured by the. fraud pleaded. The evidence was sufficient upon that matter.

As to the issue presented here by appellant that the release was ratified, appellee contends that no such issue was covered by the pleadings or the evidence. This contention of appellee is well founded. The only issues raised by appellant in answer to the fraud pleaded to avoid the release are those of the statute of limitations and laches — the statute of limitations as well as a limitation contained in the policy having been pleaded in the amended answer.

[449]*449While the main matter stressed here in connection with the release has to do with ratification, appellant does not entirely neglect the matter of laches although treating it in a rather subsidiary and minor way. Assuming that the defense of laches to action concerning this release could be an issue here, yet the evidence contains no basis for such a claim. It is true that more than six years elapsed from the time appellee learned that the paper he signed was a release and not a receipt and until the date this action was filed. However, the undisputed evidence shows that practically during this entire time he had the matter of recovery upon this policy in the hands of various attorneys and that his delay was caused by their actions, rather than his own. The issues here in reference to the ratification and laches should be determined in favor of appellee.

In the brief appellant has a separate heading entitled “Instructions,” wherein it attacks various rejections of requests to charge. Each of these requests had to do with the issue of ratification. That issue was not presented by the pleadings and not properly submissible to the jury. Therefore, the requests were properly denied.

II. Limitations.

The court confined the recovery to five years before this action was brought in accordance with the state statute of limitations on such actions. Appellant here contends that any recovery should have been limited to two years before the bringing of the action. This is based upon a provision of the policy reading: “No action at law or in equity shall be brought to recover on this policy prior to the expiration of sixty days after proof of loss has been filed in accordance with the requirements of this policy, nor shall such action be brought at all unless brought within two years from the expiration of the time within which proof of loss is required by the policy.”

This contention is met'by section 6153, Crawford & Moses’ Dig.Ark., which provides as follows: “Limitation of actions. Hereafter an action may be maintained in any of the courts of this State to recover on any claim or loss arising on a policy of insurance on property or life against the company issuing any such policy, or the sureties on the bond required'by the laws of this State as a condition precedent to its right to do business in this State, at any time within the period prescribed by law for bringing actions on promises in writing; and any stipulation or provision in any such policy of insurance requiring such action to be brought within any shorter time or be barred shall be and the same is hereby declared to be void.”

Appellant does not contend that this section would not nullify the provision in the policy if the section is applicable to this character of insurance. Its contention is that the statute is confined to policies of insurance “on property or life,” and that disability clauses such as here involved are neither property nor life within the meaning of the statute. This contention seems to be disposed of by section 5975e, Castle Supplement to Crawford & Moses’ Digest for 1927, which is as follows : “All the provisions of the laws of this State applicable to life, fire, marine, inland, lightning or tornado companies, shall, so far as the same are applicable, govern and apply to all insurance companies transacting any other kind of business in this State, so far as they are not in conflict with provisions of law made specially applicable thereto.”

Also, the matter seems disposed of by the cases of Continental Casualty Co. v. Toler, 188 Ark. 139, 64 S.W.2d 322, and Ætna Life Ins. Co. v. Langston, 189 Ark. 1067, 76 S.W.2d 50. Also see Pacific Mutual Life Ins. Co. v. Jordan, 190. Ark. 941. 82 S.W.2d 250.

III. Transfer to Equity Docket.

Prior to the trial, appellant filed a motion to transfer the cause to the equity docket on the grounds: “That plaintiff in his replication to the defendant’s answer alleges grounds in avoidance of the release pleaded by defendant which are cognizable in a court of equity alone and not in a court of law.”

This motion was equivalent to a request to transfer to the equity docket on the ground that the replication raised the issue of fraud in procurement of the release pleaded in the answer. When the case was called for trial and a few minutes after appellant had filed its “Answer to Plaintiff’s Replication,” appellant orally moved as follows:

“Mr. Pryor: At this time there have been pleadings filed within the. last few minutes' in this case, and we would like [450]*450to renew our motion to transfer the cause to the equity docket.” .

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Bluebook (online)
96 F.2d 447, 1938 U.S. App. LEXIS 3496, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mutual-ben-health-accident-assn-v-warrell-ca8-1938.