Pue v. Hood

222 N.C. 310
CourtSupreme Court of North Carolina
DecidedNovember 25, 1942
StatusPublished
Cited by30 cases

This text of 222 N.C. 310 (Pue v. Hood) is published on Counsel Stack Legal Research, covering Supreme Court of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Pue v. Hood, 222 N.C. 310 (N.C. 1942).

Opinion

Rarnhill, J.

A writ of certiorari is an extraordinary remedial writ and (except in certain instances immaterial bere) lies for two purposes: (1) as a writ of false judgment to correct errors of law; and (2) as a substitute for an appeal. Williams v. Williams, 71 N. C., 427. Its object is only to bring up tbe record of an inferior court or of an officer or commission acting judicially and to prevent an improper deprivation of appeal. Hartsfield v. Jones, 49 N. C., 309. It issues from a superior to an inferior court, officer or commission acting judicially, and it lies only to review judicial or g-iiasi-judicial action. Hartsfield v. Jones, supra; 5 R. C. L., 258, sec. 10; Mechem, Public Officers, 666, sec. 1001. It is obtained on application supported by affidavit addressed to tbe appellate court having jurisdiction. Taylor v. Johnson, 171 N. C., 84, 89 S. E., 1066; Bayer v. R. R., 125 N. C., 17.

On tbe other band, tbe issuance of a writ of mandamus is an exercise of original and not appellate jurisdiction. Mechem, Public Officers, 625, sec. 931, and is never used as a substitute for an appeal.

Even so, and although this action originated in tbe Superior Court by tbe issuance of summons and filing of complaint, tbe plaintiffs argue and insist bere that they seek a writ of certiorari for a review of tbe action of tbe Commissioner of Ranks about which they complain. We will consider tbe appeal on their theory of tbe purpose and intent of tbe action.

They first attack tbe constitutionality of tbe act. (Michie’s, sec. 217 [a], et seq.)

In considering an application for this writ only such errors or defects as appear on tbe face of tbe record can be considered. Hartsfield v. Jones, supra; March v. Thomas, 63 N. C., 249; Short v. Sparrow, 96 N. C., 348; and tbe application must show merit. Taylor v. Johnson, supra; March v. Thomas, supra; Marler-Dalton-Gilmer Co. v. Clothing Co., 150 N. C., 519, 64 S. E., 366; Hunter v. R. R., 161 N. C., 503, 77 S. E., 678; Mechem, Public Officers, 670, sec. 1010; Womble v. Gin Co., [313]*313194 N. C., 577, 140 S. E., 230; Bank v. Parks, 191 N. C., 263, 131 S. E., 637; Finch v. Comrs., 190 N. C., 154, 129 S. E., 195.

In tbeir complaint the plaintiffs do not attack the constitutionality of the Banking Act. Nor do they allege that the Commissioner of Banks had no power to act in the premises. In fact, they predicate their case upon the very statute they now seek to challenge. So far as this record discloses, this contention is presented for the first time in this Court. In any event, it is not a defect or “error of law” alleged in the complaint. As plaintiffs are not permitted to “change horses in the middle of the stream” or to obtain this relief except upon errors alleged, this contention will not be considered here. 16 C. J. S., 220, sec. 96; Simons v. Lebrun, 219 N. C., 42, 12 S. E. (2d), 644; Potts v. Ins. Co., 206 N. C., 257, 174 S. E., 123; Gorham v. Ins. Co., 214 N. C., 526, 200 S. E., 5; Walker v. Burt, 182 N. C., 325, 109 S. E., 43; Lipsitz v. Smith, 178 N. C., 98, 100 S. E., 247; Shipp v. Stage Lines, 192 N. C., 475, 135 S. E., 339; Warren v. Susman, 168 N. C., 457, 84 S. E., 760; Holland v. Dulin, 206 N. C., 211, 173 S. E., 310; 16 C. J. S., 220, sec. 96.

Does the complaint set- forth such errors of law or defects in the proceedings before the Commissioner of Banks as would entitle plaintiffs to a review? The answer is No.

The subject matter of this action relates to the regulation of the conditions upon which, and the manner in which, banking corporations may be organized and incorporated with authority to engage in business as such. This is essentially legislative and administrative and not judicial.

While a banking institution is a private enterprise every depositor is, in a sense, an investor. Its stability and trustworthiness vitally affects the economic and business life of the community it serves and its solvency is a matter of public concern affecting the general welfare of the State.

It is wholly a creature of statute doing business by legislative grace and the right to carry on a banking business through the agency of a corporation is a franchise which is dependent on a grant of corporate powers by the State. 9 C. J. S., 32, sec. 4; Divide County v. Baird, 55 N. D., 45, 212 N. W., 236, 51 A. L. R., 296.

“We cannot say that the public interests to which we have adverted, and others, are not sufficient to warrant the State in taking the whole business of banking under its control. On the contrary, we are of the opinion that it may go on from regulation to prohibition except upon such conditions as it may prescribe.” Noble State Bank v. Haskell, 219 U. S., 104, 55 L. Ed., 112; Divide County v. Baird, supra; Schaake v. Dolley, 85 Kan., 598, 118 Pac., 80, 9 C. J. S., 35, sec. 7.

Hence, the State may limit the issuance of charters to those proposed institutions which will promote the public convenience and advantage. Dybdal v. State Securities Com., 145 Minn., 221, 176 N. W., 759.

[314]*314Who is to survey the field, ascertain the conditions, find the facts and make the conclusion that a proposed institution will or will not promote the public convenience and advantage?

It cannot be questioned that the Legislature would have the authority to investigate and decide this question before authorizing incorporation of a bank. But surely the Legislature cannot meet in session and determine the existence or nonexistence of this condition precedent which it has prescribed every time an application for a charter is received by the Secretary of State.

It may, instead, create an administrative, investigatory, fact-finding agency to perform this function, administrative and not judicial in nature.

The creation of such agencies and the delegation of investigatory, fact-finding, authority has never been considered a delegation of legislative power. S. v. Harris, 216 N. C., 746, 6 S. E., 854; Cox v. Kinston, 217 N. C., 391, 8 S. E. (2d), 252. The Legislature has always, without serious question, given such powers to administrative bodies.

While the Legislature cannot delegate its power to make a law it can make a law to delegate a power to determine some fact or state of things upon which the law makes, or intends to make, its own action depend. To deny this would be to stop the wheels of government. There are many things upon which wise and useful legislation must depend which cannot be known to the law-making power, and must, therefore, be a subject of inquiry and determination outside the halls of legislation. Field v. Clark, 143 U. S., 649; 36 L. Ed., 294; Provision Co. v. Daves, 190 N. C., 7, 128 S. E., 593; Meador v. Thomas, 205 N. C., 142, 170 S. E., 110; Cox v. Kinston, supra.

“The mere fact that an officer is required by law to inquire into the existence of certain facts and to apply the law thereto in order to determine what his official conduct shall be and the fact that these acts may affect private rights do not constitute an exercise of judicial powers.

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222 N.C. 310, Counsel Stack Legal Research, https://law.counselstack.com/opinion/pue-v-hood-nc-1942.