Russell Products Co. v. Bailey

1932 OK 811, 19 P.2d 601, 162 Okla. 212, 1932 Okla. LEXIS 521
CourtSupreme Court of Oklahoma
DecidedDecember 6, 1932
Docket22270
StatusPublished
Cited by6 cases

This text of 1932 OK 811 (Russell Products Co. v. Bailey) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Russell Products Co. v. Bailey, 1932 OK 811, 19 P.2d 601, 162 Okla. 212, 1932 Okla. LEXIS 521 (Okla. 1932).

Opinion

ANDREWS, J.

This is an appeal from a judgment of the district court of Oklahoma county in favor of Clara Bailey, who was the plaintiff in the trial court, against Russell Products Company, a corporation, one of the defendants in the trial court. The action in the trial court was instituted against C. H. Russell, Willie Phillips, James Miller, and the Russell Products Company. At the beginning of the trial the plaintiff dismissed her action as to C. H. Russell, Willie Phillips, and James Miller, and proceeded to trial against the Russell Products Company. The jury returned a verdict in favor of the plaintiff and judgment wasi rendered thereon. From that judgment the Russell Products Company appealed to this court. Hereinafter the parties herein will be referred to as they appeared in the trial court.

The record shows that the plaintiff was hurrying from the sidewalk to a street car in the street for the purpose of boarding the street car when she was struck by an automobile which was owned and which was being driven by one Willie Phillips: that James Miller was riding in the car at the time of the injury, and that Willie Phillips and James Miller, at the time of the injury, were each employees of the defendant.

The record shows no negligence on the part of James Miller. As to whether or not the record shows negligence on the part of Willie Phillips, we express no opinion for the reason that the determination of the issue in this case requires no decision thereon and the decision of that question herein might affect the rights of the parties in an action between this plaintiff and Willie Phillips. Though the plaintiff’s injury was caused by the negligence of Willie Phillips, the defendant is not responsible therefor, unless Willie Phillipsi, at the time of the injury, was acting within the scope of his employment by the defendant. That rule is so well established as to require the citation of no authority.

The plaintiff cites Kramer, Gdn., v. Nichols-Chandler Home Bldg. & Brokerage Co., 93 Okla. 227, 220 P. 338; Boling v. Asbridge, 84 Okla. 280, 203 P. 894, and other decisions to the same effect, but those were cases wherein the employer was the owner of a vehicle which was being operated by a servant at the time of the injury. The record in this case shows that the defendant was not the owner of the automobile which was being driven by Willie Phillips at the time of the injury; that that automobile belonged to Willie Phillips, and that he was using it as a means of transportation to his place of employment with the defendant.

In her brief the plaintiff says :

“While we are not contending in the case at bar that the Russell Products Company was the owner of the automobile that was driven by Willie Phillips at the time of the accident, we do contend, and the evidence bears us out, that Willie Phillips was driving that car under the express orders of the master and doing exactly what he had been told to do by the master at the time of the accident.”

An examination of the record discloses that it does not support that contention and that there was no competent evidence reasonably tending to support it. The competent evidence shown by the record was to the contrary.

The plaintiff attempted to show that Willie Phillips was acting within the scope of his employment by the defendant at the time of the injury by showing that C. H. Russell and James Miller testified to that effect at a proceeding in a city police court in which Willie Phillips was being tried for violation of a city ordinance, and she offered no evidence in support of her contention other than that of witnesses who testified that they heard O. H. Russell and James Miller make those statements at that hearing. The testimony of those witnesses as to what they heard O. H. Russell and James Miller state at the trial of Willie Phillips in the police court was hearsay.

The true rule was quoted by this court in, Maston v. Glen Lumber Co., 65 Okla. 80, 163 P. 128, from 3 Enc. of Evidence 643, as follows:

‘The admissions and declarations, in order to be received as evidence against the corporation, must not relate to past events: they must have been made in the course of the transaction, so as to constitute a part of' the res gestae’.”

*214 Therein this court said:

“And the record discloses that the statement sought to be introduced was made after the note had been executed, and is not shown to have been made by an agent while in the discharge of his duty as such. See, also, 16 Cyc. note 53, P. 1019, Id. note 57, p. 1020, and also Swenson v. Aultman, 14 Kan. 273, cited with approval in the case of Chickasha Cotton Oil Co. v. Lamb & Tyner, 28 Okla. 275, 114 P. 335.”

That rule is general. As stated in Cham-berlayne on Evidence, under the heading of “Admissions by Agents,” the statements of both general and special agents are subject to the application of the rules in reference to the exclusion of declarations which do not form part of the res gestae or which are merely narrative. Narrative statements of an agent are rejected under the substantive law because it is no part of his agency to talk about his principal’s affairs. In other words, the narrative statement of an agent as to past transactions, even those not long past, is excluded. As a matter in the law of agency, it may be said that a principal engages an agent to do his business, not to gossip or talk about it after it is done.

ligáis not in general required or authorized by the terms of his agency to discuss, post factum, his principal’s, conduct or affairs, especially his legal rights or liabilities.^ That rule applies even where the statement is made bjr an agent as a witness in court. In support of the statement there was cited by the author the decision of the Supreme Court of South Carolina in Salley v. Manchester & A. R. Co., 40 S. E. 111, wherein it was held to be error to allow a witness of a plaintiff to repeat in part the testimony of an agent of the defendant, given at a former trial, containing admissions against the defendant. There was also cited the decision in S. Jacobs Bernheim & Co. v. Cumby & James, 1 Tex. App. Civ. Cas. 586. The rule is stated in 1 Greenleaf on Evidence, sec. 113, and is quoted in Swenson v. Aultman, Miller & Co., 14 Kan. 273, as follows:

“It is a general rule that the declarations of an agent in order to bind his principal must not only come within the scope of .the agent’s authority, but they must also be made by the agent while he is transacting his principal’s business, and be connected therewith as a part of the res gestae: 1 Greenl. Ev., sec. 113; Story on Agency, secs. 134, 135, 136; Faley on Agency, 256, 257; U. S. Express Co. v. Anthony, 5 Kan. 490.”

The rule has been followed by this court in Maston v. Glen Lumber Co., supra, and Chickasha Cotton Oil Co. v. Lamb & Tyner, 28 Okla. 275, 114 P. 333. In that case this court said:

“Admissions of an agent, in order to be admissible against the principal, must be made as agent, and while he is acting for the principal within his authority; and it must first be shown by competent evidence that such admissions were made in and as a part of the agent’s performance of his duties and within the scope of his authority.”

In Gillespie v. First Nat.

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Bluebook (online)
1932 OK 811, 19 P.2d 601, 162 Okla. 212, 1932 Okla. LEXIS 521, Counsel Stack Legal Research, https://law.counselstack.com/opinion/russell-products-co-v-bailey-okla-1932.