Ruth v. Krone

103 P. 960, 10 Cal. App. 770, 1909 Cal. App. LEXIS 296
CourtCalifornia Court of Appeal
DecidedJuly 10, 1909
DocketCiv. No. 540.
StatusPublished
Cited by18 cases

This text of 103 P. 960 (Ruth v. Krone) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Ruth v. Krone, 103 P. 960, 10 Cal. App. 770, 1909 Cal. App. LEXIS 296 (Cal. Ct. App. 1909).

Opinion

HART, J.

This is an action on a promissory note for the sum of $2,000, alleged in the complaint to have been executed by the defendant, Lotta Buth Krone, in favor of and payable to the plaintiff.

The cause was tried by a jury and a verdict rendered in favor of the plaintiff for the face of the note, with legal in *772 terest from the date of its maturity, said note, dated June 3, 1903, having been made payable three years after its date, without interest.

Judgment was entered for the plaintiff in accordance with the terms of the verdict.

This appeal is prosecuted from said judgment and from the order denying the defendants a new trial.

The complaint is in the ordinary form of actions for recovery upon promissory notes.

The defendants, by answer, specifically deny the material averments of the complaint, and, moreover, filed a cross-complaint, in which, admitting the execution of the note, they attack the validity of the instrument upon the ground that it is without consideration for its support.

The plaintiff introduced the note in evidence and thereupon rested his case. The note constituted prima facie proof of all that it purported to be. The presumption is that the note was supported by a sufficient consideration (Code Civ. Proc., sec. 1963, subd. 21, and Civ. Code, sec. 1614), and the burden of overcoming such presumption or of showing want of consideration sufficient to support the note was cast upon the defendants. (Civ. Code, sec. 1615; Keating v. Morrissey, 6 Cal. App. 163, [91 Pac. 677].)

Considerable space is devoted in the briefs of counsel for both sides to the discussion of the question of the “shifting of the burden of proof.” We fail to appreciate the pertinency of the discussion. It is only elementary to say that the burden of proof is always on the party maintaining the affirmative of the issue. In the case at bar it was incumbent upon the plaintiff to prove the due execution and nonpayment of the note. But when he has made out a prima facie case, then he may rest and thus invite the defendant to exhibit whatever defense he may be able to interpose thereto. Our law, as seen, provides (Civ. Code, see. 1614, supra) that a written instrument imports a consideration, and that the burden of showing that such an instrument is without a sufficient consideration to support it rests upon the party seeking to invalidate or avoid it. (Civ. Code, see. 1615, supra.) Therefore, when the plaintiff proved the note and its nonpayment he made out a prima facie case upon which he was at liberty to rest until the defendants had introduced proof *773 showing or tending to show that the note was unsupported by a sufficient consideration. While the burden was upon the defendants to dispel the presumption of a sufficient consideration, the burden in its strict sense was upon the plaintiff to prove his case by a preponderance of the evidence. “The two burdens,” says the supreme court in Scott v. Wood, 81 Cal. 401, [22 Pac. 872], “are distinct things. One may shift back and forth with the ebb and flow of the testimony.” As is said in Encyclopedia of Law and Practice (Cyc.), volume 16, page 926: “ ‘Burden of proof,’ as a phrase, means either: 1—the necessity of establishing the existence of a certain fact or set of facts by evidence which preponderates to the legally required extent, or 2—The necessity which rests on the party at any particular time during a trial, to create a prima facie case in his own favor, or to overthrow one when created against him.” So, in the case at bar, as we have shown, the plaintiff having made the case required of him, it became the duty of the defendants to overthrow it, if they could, by proof sufficient to dispel the presumption which the law raises in favor of a consideration sufficient to support the instrument declared upon. Referring to subdivision 2 of section 2061 of the Code of Civil Procedure, providing that jurors may be instructed “that they are not bound to decide in conformity with the declarations of any number of witnesses which do not produce conviction in their minds, against a less number, or against a presumption or other evidence satisfying their minds,” the supreme court, in People v. Milner, 122 Cal. 179, [54 Pac. 837], says: “In this is a distinct recognition of the facts: (1) That a presumption is evidence; and (2) that it is evidence which may outweigh the positive testimony of witnesses against it. It has been said that disputable presumptions are allowed to stand, not against the facts they represent, but in lieu of proof of the facts, and that, when the fact is proven contrary to the presumption, no conflict arises, but the presumption is simply overcome and dispelled. (Citing Savings etc. Soc. v. Burnett, 106 Cal. 514, [39 Pac. 522].) This is true. Against a proved fact, or a fact admitted, a disputable presumption has no weight; but, where it is undertaken to prove the fact against the presumption, it still remains with the jury to say whether or not the fact has been proven, and, if they are not satisfied *774 with the proof offered in its support, they are at liberty to accept the evidence of the presumption.” (Italics ours.)

The jury in the present cast accepted the evidence of the presumption, supported by the testimony of the plaintiff, as against the other evidence offered to rebut it. But appellants claim that' the jury were not warranted in so doing.

Let us briefly examine the evidence by the light of the rules as we have stated and as we understand them. The undisputed facts show that the plaintiff and the defendant, Lotta Ruth Krone, are brother and sister, and that after the death of their father, their mother married one J. C. Walker, who, subsequently to said marriage, adopted the defendant, Lotta Ruth Krone, as his own child. On March 30, 1903, Walker died. On January 6, 1903, the deceased executed a will, devising all his real property to his three stepchildren (there was another daughter of Mrs. Walker by her first husband) and a nephew in equal shares, and bequeathing his personal property to the three stepchildren, to the exclusion of said nephew. By the terms of this will the plaintiff was made the executor thereof, to serve as such without bonds. When this will was executed Walker was in his last illness, being confined to his bed in a hospital in the city of San Francisco. On the nineteenth day of January, 1903—thirteen days after the execution of the first mentioned will—Walker executed another will by which he gave all his property to the defendant, Lotta Ruth Krone, and named her as executrix of said will without bonds. On the day of Walker’s death—March 30, 1903—this latter will was filed for probate and was admitted to probate on the tenth day of April, 1903.

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Bluebook (online)
103 P. 960, 10 Cal. App. 770, 1909 Cal. App. LEXIS 296, Counsel Stack Legal Research, https://law.counselstack.com/opinion/ruth-v-krone-calctapp-1909.