Parker v. Potts

342 S.W.2d 634, 1961 Tex. App. LEXIS 1696
CourtCourt of Appeals of Texas
DecidedJanuary 6, 1961
Docket16174
StatusPublished
Cited by10 cases

This text of 342 S.W.2d 634 (Parker v. Potts) is published on Counsel Stack Legal Research, covering Court of Appeals of Texas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Parker v. Potts, 342 S.W.2d 634, 1961 Tex. App. LEXIS 1696 (Tex. Ct. App. 1961).

Opinion

MASSEY, Chief Justice.

This is an appeal from a judgment rendered plaintiff for an amount as compensation for personal services as a salesman for the defendants.

Judgment affirmed.

The cause of action of plaintiff Potts arose about the same time as somewhat analogous causes of action in behalf of a Mr. Thomas and a Mr. Crayton. The cause ■of action of each was against the same defendants. Notice should be taken as to certain operations or modes of procedure on the part of the defendants, particularly as applied to the period from late 1956 up to date of October 25, 1957, when Potts severed his relationship with them.

By contracts dated January 1, 1957, Edmund M. Parker became the operator of a business known as Service Glass Company of Dallas, Inc., a corporation. Prior to that time Parker had been in the glass business, doing business in the name of Parker Glass & Mirror Company, a proprietorship, sometimes called Parker Glass Company. Prior to date of the aforesaid contracts, a Mr. Thomas owned and operated the Service Glass Company. There had been incorporated but never operated a corporation bearing the name of Service Glass Company of Dallas, Inc. Mr. Thomas had originated this corporation the early part of 1956 for possible future expansion. In the transaction whereby Parker became owner and operator, Thomas transferred all the assets of the proprietorship, Service Glass Company, to the corporation, Service Glass Company of Dallas, Inc., and transferred the whole of the stock and assets of said corporation to Parker. Parker assumed the position of President of the corporation. After January 1, 1957, the Service Glass Company of Dallas, Inc., was “supposed to have been” a wholesale glass sales operation and nothing more, the Parker Glass & Mirror Company being in the retail glass installation and sales business, plus some minor wholesale sales. There were some uncompleted contracts which had been Thomas’ contracts while operating as Service Glass Company and until the completion of the work provided to be performed under these contracts the glaziers who were working continued to perform.

Actually, as applied to Potts’ cause of action, the foregoing is immaterial in that it is not disputed that he was entitled to be compensated for his services as though the Service Glass Company of Dallas, Inc., and the Parker Glass & Mirror Company were one and the same firm, and the services were treated by Mr. Parker as performed for whichever firm as appeared *636 at the time to be most advantageous. What was actually in dispute was whether Potts’ compensation was to be 7% of the gross wholesale sales effected by him outside Dallas County, with the option in Potts to take 25% of the profit (difference between purchase price and sale price) on “low markup” carload lot sales. It was undisputed that Potts did elect to take such a 25% as applied to a single account to which “low markup” carload lot sales were made. Further, it was actually in dispute as to whether the period over which he was entitled to such compensation, by way of commissions, extended from January 1, 1957, to October 31, 1957, although no point of error is predicated upon the establishment thereof by the verdict of the jury.

Potts placed his cause of action in suit by means of intervention .in a suit earlier filed by Mr. Thomas against the same defendants. A major part of Thomas’ cause of action was different from that of Potts, but it seems that in the event Thomas showed himself entitled to recover on his cause of action the audit of the books of the two named defendants would show not only the proper amount for which Thomas’ judgment should be entered, but likewise the proper amount for which Potts’ judgment should be entered, if he, Potts, showed himself entitled to a judgment. Furthermore, it is to be noticed that Mr. Crayton placed his, Crayton’s, cause of action in suit by means of an intervention filed in the same suit. It appears that in the event Crayton showed himself entitled to recover on his cause of action, the audit of the books of the two named defendants would show not only the proper amount for which his judgment should be entered, but all, or substantially all, the information necessary to be ascertained to calculate the proper amount for which Potts’ judgment should be entered, in the event he showed himself entitled to any judgment.

The causes of action of the several parties, Potts, Crayton, and Thomas, were all tried in a single action as by one suit at law. The defendants protested, moving to strike the petitions as by intervention and, failing therein, moving for severance of the three causes of action in order that separate trials might be had. The motions-were overruled. Such actions on the part of the trial court were made the subject of several points of error presented to us.

These points of error are overruled. The controlling law is embodied in Texas Rules of Civil Procedure, rule 40, “Permissive Joinder of Parties”, 41, “Mis-joinder and Non-Joinder of Parties”, and 174, “Consolidation; Separate Trials”. Under these Rules, and especially T.R.C.P. 174, the trial court is vested with great discretion in questions of joinder of parties- and causes of action, and of consolidation or separation of causes of action, in the absence of an abuse of which, to the prejudice of a complainant, such action of the court will not be disturbed on appeal. In their argument on appeal, those who were defendants below presume that prejudice resulted to them as the result of the action of the trial court but do not demonstrate that they were in fact prejudiced. For that reason alone their contentions must be overruled. However, it appears to us to-have constituted an act of wisdom on the part of the trial court, under the circumstances of the cases before it, to leave them consolidated. By so doing it appears to us that justice was promoted in that thereby was eliminated the necessity for three separate trials in which tedious and time-consuming examination into the same figures would be necessary on each. See McDonald, Texas Civil Practice, p. 910, et seq., “Pretrial Procedures”, sec. 10.24, “(Consolidation, Severance, Separate Trial) — B. Consolidation”.

Two of the points 'of error advanced are predicated upon the contention that there was “no evidence” sufficient to warrant the submission of Special Issues 22 and 23. These issues read as follows:

Special Issue No. 22: “Do you find from a preponderance of the evidence that Inter-venor Potts’ agreed commission was 7% of *637 gross territory wholesales, Potts to have the option to sell low markup truckload and carload lots on the basis of 25% of the gross profits on such sales?”

Special Issue No. 25 : “Do you find from a preponderance of the evidence that the only wholesale territory account that Inter-venor Potts elected to sell on the basis of a commission of 25% of the gross profit was the ‘Living Window’ account of Houston, Texas?”

The jury answered in the affirmative, or “Yes”, to both issues. It is actually undisputed in the evidence that in the event Potts obtained an affirmative answer to Special Issue No. 22 the only occasion when he exercised his option was as applied to the “Living Window” account, and therefore we are of the opinion that an answer to Special Issue No.

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Bluebook (online)
342 S.W.2d 634, 1961 Tex. App. LEXIS 1696, Counsel Stack Legal Research, https://law.counselstack.com/opinion/parker-v-potts-texapp-1961.