Riser v. Southern Ry.

46 S.E. 47, 67 S.C. 419, 1903 S.C. LEXIS 182
CourtSupreme Court of South Carolina
DecidedNovember 27, 1903
StatusPublished
Cited by12 cases

This text of 46 S.E. 47 (Riser v. Southern Ry.) is published on Counsel Stack Legal Research, covering Supreme Court of South Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Riser v. Southern Ry., 46 S.E. 47, 67 S.C. 419, 1903 S.C. LEXIS 182 (S.C. 1903).

Opinion

The opinion of the Court was delivered by

Mr. Justice Gary.

This is an action for $15,000 damages on account of personal injuries sustained by the plaintiff in a railroad collision, on defendant’s line, in Rich-land County, S. C., 26th September, 1901. The complaint sets forth two causes of action, separately stated — one based upon the joint and concurrent negligence of the defendants, the other upon their joint, concurrent, wilful tort. The complaint alleges that on the night of the 26th of September, 1901, the plaintiff was in charge of the United States mail as railway mail clerk upon the passenger train of the defendant, Southern Railway Company, No. 16, the evening train from Greenville to Columbia; that said train collided at Fornance with freight train No. 72, the former running into the rear of the latter. The collision is alleged to have been due to the joint and concurrent negligence and carelessness and fault of defendants in the particulars stated in paragraph 6 of the complaint, the substance of which is, that the defendant, Rich, who was the conductor of No. 72, disobeyed orders *427 and ran his train ahead of No. 16, without allowing the time required by the rule, and as a result, before he could get his train upon the side track at Fornance, the passenger train ran into the rear of his train, while it was standing upon the main line. The second cause of action states the facts substantially as in the first cause of action, except that the conduct of the defendants is characterized as wanton, wilful and malicious.

The answers of the defendants were separate, and contained a general denial of each and every allegation of the complaint. The jury rendered a verdict in favor of the plaintiff for $8,000. The defendants appealed upon numerous exceptions, which will be set out in the report of the case, except those hereinafter considered.

1 While the appellants’ attorney insists upon the ruling of this Court on the questions presented by the exceptions numbered 1, 2, 3, 4, 5, 6, 10, 11, 12, 13, 17, 18, 19, 20, 21 and 23, he has not argued them, as he is of the opinion that they have been decided by this Court, on previous occasions, adversely to the contention of appellants. He is right in this view, and, such being the case, we deem it only necessary to overrule those exceptions.

2 The assignment of error by the 7th exception is as follows : “Error of the presiding Judge in admitting in evidence the deposition de bene esse of George R. North; the ground of objection by the defendants being that it did not appear that the package, at the time it was proposed to be opened, was sealed under the seal of the notary public, as required by law; on the contrary, it appears that all the notary public proposed to seal was the certificate of deposit with the postmaster, and that- was sealed before the deposition was placed in the envelope.” A photographic copy of the front and back of the envelope containing the deposition is set out in the record. Upon the back of the envelope there is in typewriting, a certificate signed by J. A. Bell, notary public for North Carolina, to the effect that the deposition was retained in his hands until he personally deposited *428 it in the United States Postoffice in Charlotte, N. C., duly-addressed to John C. Goggans, clerk of the Court, Newberry, S. C. This typewriting extends across the flap of the envelope. The signature of the notary public is in ink and is below this typewriting, but not across the flap of the envel- . ope. The impression of the seal is below the flap and over the notary public’s name. These facts are sufficient to bring the case within the provisions of section 2883 of the Code of Taws, which is as follows: “Every deposition taken under the provisions of the two preceding sections shall be retained by the officer taking it, until he delivers it, with his own hand, into the Court for which it was taken, or it shall, together with a certificate of the reasons aforesaid of taking it and of the notice, if any, given to the adverse party, be by such officer sealed up and directed to such Court, either by mail or express, and remain under his seal until opened in Court.”, The appellants’ attorney, however, contends that the following facts show that the package containing the deposition was not sealed in the manner required by law: the impression of the seal shows clear through on the front side of the envelope, one stroke making both impressions; there was no evidence of the impression of the seal upon the contents of the envelope, which consisted of the testimony of the witness, certificate of the notary, &c., showing that the impression of the seal was made before the contents were placed within. When the certificate of the notary public taking the deposition shows that it was retained by him until it was placed in the postoffice properly addressed, and that he personally placed it in the postoffice, it makes no material difference whether he prepared the certificate before or after placing the deposition in the envelope. This is a substantial compliance with the requirements of the statute. Ry reference to the case of Travers v. Jennings, 39 S. C., 410, 17 S. E. R., 849, it will be seen that the facts in that case were quite different from those in the case under consideration.

This case falls within the principle stated in McKenzie v. Barnes, 12 Rich., 205, in which the Court uses this language: *429 “All the requisitions of these rules were chiefly directory to the commissioners, intended to suggest to them, usually persons beyond the jurisdiction of the Court, means for guarding against frauds which may be practiced upon the depositions taken under the authority intrusted to them. So far as the requisitions of the rule now of force affect the discretion of the Court itself, a substantial compliance with them, accompanied by appearances of fairness, may serve; whilst the most exact adherence would not countervail evidences- of fraud. The names of commissioners must be ‘written by themselves,’ yet a commission from Australia would not be ordered to remain unopened until another one was sent to prove the handwriting of the commissioners; for who would prove the handwriting on the second one ? Until the contrary appeared, the handwriting would be presumed genuine. With like indulgence, names written on a sealed envelope will be considered across the seals until some reason arises for supposing that the seals have been broken. * * * It has been supposed that ‘across the seals’ meant to require such arrangement of the names as would prevent breaking of the seals without disturbance of the names. It is, however, well known that where skillful villainy is exercised upon the fastenings of paper packages, simple expedients relied upon to expose its tricks, serve only to prove treacherous security and delusion. To the care and fidelity of the commissioners and the vigilant integrity of the postoffice department, the safe return of commissions sent by mail must be confided, and when, as rarely happens, grounds for suspecting unfairness are presented, a literal compliance with directions may be demanded to prevent fraud.

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Bluebook (online)
46 S.E. 47, 67 S.C. 419, 1903 S.C. LEXIS 182, Counsel Stack Legal Research, https://law.counselstack.com/opinion/riser-v-southern-ry-sc-1903.