Omaha Nat. Bank of Omaha v. Mullenax

320 N.W.2d 755, 211 Neb. 830, 1982 Neb. LEXIS 1136
CourtNebraska Supreme Court
DecidedJune 11, 1982
Docket44154
StatusPublished
Cited by24 cases

This text of 320 N.W.2d 755 (Omaha Nat. Bank of Omaha v. Mullenax) is published on Counsel Stack Legal Research, covering Nebraska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Omaha Nat. Bank of Omaha v. Mullenax, 320 N.W.2d 755, 211 Neb. 830, 1982 Neb. LEXIS 1136 (Neb. 1982).

Opinion

McCown, J.

This is an action to quiet title to real estate allegedly acquired by conveyance, accretion, and adverse possession. The District Court, upon defendants’ motion, dismissed plaintiffs’ petition without prejudice for failure to diligently prosecute. Plaintiffs have appealed.

On February 3, 1976, The Omaha National Bank, as trustee of a trust in which plaintiffs William F. Neal and Mary Linda Neal Reber were sole beneficiaries, filed this action against the defendants Melvin E. and Mabel C. Mullenax to quiet title to various tracts of real estate allegedly acquired by conveyance, accretion, and adverse possession.

During the pendency of the action the trust terminated and the trustee transferred specifically described portions of the land and assigned all its right, title, and interest to the plaintiffs Mary Linda Neal Reber and William F. Neal and they have continued the action. An amended petition was filed on September 28, 1976. The defendants filed an answer *832 and cross-petition on January 3, 1977, alleging that defendants were the owners of a portion of the real estate by virtue of adverse possession. Additional defendants filed a petition to intervene in January 1977. On March 7, 1978, the court ordered the case stricken from the trial docket unless good cause was shown within 60 days. On May 2, 1978, the case was restored to the trial docket and the motion of defendants Leatherman to intervene was granted. On May 5, 1978, the defendants filed an amended answer and cross-petition, seeking to have title quieted in the defendants and adding several additional defendants who filed voluntary appearances.

On October 16, 1979, the plaintiffs filed a second amended petition enlarging the area of the disputed real estate. Pretrial conference was held in October 1979 and the case was set for trial on February 18, 1980. On the court’s motion the trial date was continued until March 24, 1980. On March 19, 1980, defendants Mclntire intervened, replacing intervenors Leatherman.

On or about March 20, 1980, attorneys for the various parties and defendant Melvin E. Mullenax and other individuals participated in settlement discussions. The plaintiffs’ affidavit states that a settlement agreement was reached but that when the written settlement agreement was presented to the defendant Melvin E. Mullenax, he refused to sign it. Mullenax’s affidavit states that his attorney had no authority to commit him to a settlement; that the conversations were merely for the purpose of exploring the possibility of settlement; and that he rejected the written proposal when it was submitted. No trial was held on March 24, 1980, but the judge’s minutes of April 1, 1980, state: “Settlement pending.”

On September 29, 1980, the case was set for trial on January 26, 1981. On January 15, 1981, the plaintiffs filed a motion to enforce the settlement agreement, *833 supported by affidavits from counsel for plaintiffs and some of the intervenors, setting out their version of the March 20, 1980, settlement conference and the agreement allegedly rejected. On January 16, 1981, the defendants filed resistance to the motion, accompanied by an affidavit of Melvin E. Mullenax stating his version. On January 20, 1981, the District Court denied the motion to enforce the settlement agreement but granted leave to the plaintiffs to amend their petition to include the issue of settlement raised by the motion. On January 22, 1981, the plaintiffs filed an amendment to their petition setting forth a second cause of action, praying that the settlement agreement be enforced, and that the second cause of action be heard first by the court. The defendants filed a general demurrer to the second cause of action, stating that it failed to state a cause of action and was contrary to local rules of practice of the District Court. Those rules provide that no stipulations or private agreements of counsel or of .parties to a suit will be recognized unless made in open court during trial, or unless they were in writing and signed by the parties or their attorneys. The court sustained the demurrer and dismissed the second cause of action.

The plaintiffs gave notice that they intended to file a separate petition for enforcement of the settlement and the parties agreed that further proceedings would be had in the present case on January 23, 1981. The plaintiffs then filed a new and separate petition to enforce the settlement agreement and filed a motion requesting a continuance in the present case based on an intent to appeal the court’s ruling sustaining the demurrer to the second cause of action. Since there was no resistance to the motion for continuance, the court continued the case until the further order of the court, based on the assumption that a separate case was being filed.

On February 17, 1981, the defendants filed a mo *834 tion to dismiss the present case on the grounds that the plaintiffs had failed to prosecute the separate settlement case in a timely fashion. The motion was supported by an affidavit from the clerk of the District Court stating that no praecipe for summons had been issued in the separate case as of February 17, 1981. The motion was heard on February 23, 1981, and taken under advisement. On February 27, 1981, plaintiffs filed a motion for an order vacating the demurrer to the second cause of action or for an order nunc pro tunc requesting the court to specify the grounds upon which the demurrer was sustained, and a motion for a new trial. On March 4, 1981, the plaintiffs’ motions were all denied and the defendants’ motion to dismiss the present case was granted on the ground of failure to diligently prosecute the action.

The plaintiffs contend that an alleged oral settlement agreement entered into by the parties to a pending lawsuit is enforceable, and rely on the case of Simmons v. Murray, 189 Neb. 695, 204 N.W.2d 800 (1973).

Rule 16 of the Rules of Practice of the First Judicial District provides: “All stipulations and private agreements of counsel or of parties to a suit, unless made in open court during trial, must be reduced to writing and signed by the parties or their attorneys making the same or they will not be recognized.”

In the overwhelming majority of states similar statutes or court rules requiring agreements to be in writing have been held applicable to agreements of settlement or compromise and courts have refused to enforce any such oral compromise and settlement agreements. See, Estate of Pewters v. Holland Page Industries, Inc., 443 S.W.2d 392 (Tex. Civ. App. 1969); Moore v. Gunning, 328 So. 2d 462 (Fla. App. 1976); American Cas. Co. v. Western Cas. & Surety Co., 19 Wis. 2d 176, 120 N.W.2d 86 (1963). Only two *835 states have apparently held otherwise. Those are Georgia and New York, which were cited by this court in Simmons.

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

Related

Amsden v. Amsden
Nebraska Court of Appeals, 2021
Smith v. King
29 Neb. Ct. App. 152 (Nebraska Court of Appeals, 2020)
State v. Torres
28 Neb. Ct. App. 758 (Nebraska Court of Appeals, 2020)
Fritzen v. Fritzen
Nebraska Court of Appeals, 2020
Sea-Hubbert Farms v. Hubbert
Nebraska Court of Appeals, 2013
Earline Waddle v. Lorene B. Elrod
367 S.W.3d 217 (Tennessee Supreme Court, 2012)
Hage v. General Service Bureau
306 F. Supp. 2d 883 (D. Nebraska, 2003)
Lynch, Inc. v. Samatamason Inc.
279 F.3d 487 (Seventh Circuit, 2002)
Byblos Corp. v. Salem Farm Realty Trust
692 A.2d 514 (Supreme Court of New Hampshire, 1997)
Interocean Ships, Inc. v. Gases
30 Am. Samoa 2d 170 (High Court of American Samoa, 1996)
Ashfort Corp. v. Palmetto Construction Group, Inc.
458 S.E.2d 533 (Supreme Court of South Carolina, 1995)
In Re Estate of Mithofer
502 N.W.2d 454 (Nebraska Supreme Court, 1993)
Brennan v. School Dist. 21 of Holt County
458 N.W.2d 227 (Nebraska Supreme Court, 1990)
Heese Produce Co. v. Lueders
443 N.W.2d 278 (Nebraska Supreme Court, 1989)
Hays v. Fischer
777 P.2d 222 (Court of Appeals of Arizona, 1989)
FLEMING CO. OF NEBRASKA, INC. v. Michals
433 N.W.2d 505 (Nebraska Supreme Court, 1988)
Ternes v. Knispel
374 N.W.2d 879 (North Dakota Supreme Court, 1985)

Cite This Page — Counsel Stack

Bluebook (online)
320 N.W.2d 755, 211 Neb. 830, 1982 Neb. LEXIS 1136, Counsel Stack Legal Research, https://law.counselstack.com/opinion/omaha-nat-bank-of-omaha-v-mullenax-neb-1982.