Satterlee v. Bliss

36 Cal. 489
CourtCalifornia Supreme Court
DecidedJanuary 15, 1869
StatusPublished
Cited by50 cases

This text of 36 Cal. 489 (Satterlee v. Bliss) is published on Counsel Stack Legal Research, covering California Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Satterlee v. Bliss, 36 Cal. 489 (Cal. 1869).

Opinion

By the Court, Sawyer, C. J. :

This is an action to recover land in San Francisco. Both parties rely on prior possession in themselves and their grantors, and on title claimed to have been derived under the Van Hess Ordinance.

There is nothing in appellants’ first point. The deed from Satterlee to Reese was certainly admissible, and the deed from Stevenson to Howard ivas referred to in that deed, and was only put in evidence as explanatory of it.

The defendants were strangers to the deed from Stevenson to Reese, and were not precluded from showing the purpose for which it was executed. (1 Greenl. Ev., Sec. 279; Franklin v. Dorland, 28 Cal. 178.) But the refusal to permit the [506]*506defendants to show that it was a deed in partition is wholly immaterial. The operation of the deed, and the several other deeds from the parties claimed to be the tenants in common, was to vest in Beese all the interest of those parties, whatever it was, in the land in controversy. The rights of Beese in the latter tract were precisely the same as they would have been had the object expressly appeared to have been a partition.

The next point is, that the papers in the matter of Beese’s estate were improperly admitted for want of the proper stamp on the probate of the will. The clause of Schedule “B” of Stamp Duties involved is as follows: “Probate of wills, or letters of administration, when the estate and effects for and in respect of which such probate or letters of administration are applied for shall be sworn or declared not to exceed the value of two thousand five hundred dollars, fifty cents.”

It is unnecessary, in the view we take of the point in respect to the stamping of such documents, to ascertain with exactness the sense in which the phrase “probate of wills” is employed in the Act. The evident purpose of the Act is, to impose stamp duties upon estates of deceased persons, upon which letters testamentary or of administration shall be granted. It is not a tax upon either class of documents as such, as is evident from the fact that the duty varies with the value of the estate. It can make no substantial difference in the result whether the stamp is affixed to the will, upon its being admitted to probate, or to the certificate of proof thereof attached, or to .the letters testamentary, as they are parts of one judicial proceeding; and the object of the Act—revenue—is attained, if either document is duly stamped. We concur with the Court below in holding that the presumption, when the question arises in a collateral proceeding, is, that the Probate Court passed upon the question of the value of the estate on evidence, and that the District Court has no power to review the action of the Probate Court. The sufficiency of the stamp could not be tested [507]*507by the evidence of the value of the estate, produced when the letters were offered in evidence in another proceeding. Were the rule otherwise, the validity of proceedings for the settlement of the estates of deceased persons, and of rights acquired through such proceedings, would be dependent upon the contingency that another Court, in which the proceedings were offered in evidence, would make the same estimate as the Probate Court did of the value of the -estate, based upon evidence, which, from its nature, must be conjectural and fluctuating.

Another point is, that the testimony of Pierson was inadmissible, on the ground that the matters to which he testified came to his knowledge through the relationship of client and attorney, and were within the rule protecting privileged communications. It is not clear that his testimony goes beyond stating by whom he was employed, and testimony to that extent, at least, is admissible. (Chirac v. Rheinicker, 11 Wheat. 280; 1 Greenl. Ev., Sec. 245; Gower v. Emery, 18 Maine, 82; Brown v. Payson, 6 N. H. 448; Beckwith v. Benner, 6 Car. & P. 681.) But concede that it did, this was not the ground of objection in the Court below. The objection and motion to strike out there were on the ground that it was “ irrelevant and immaterial.” The testimony was certainly relevant and material, and it is too late to raise, for the first time, the objection on the ground of privilege. The same point is made with reference to the witness Tompkins. In Chirac v. Bheinicker, supra, the question objected to on the-ground that it sought a disclosure of matters coming to the knowledge of witness in professional confidence, was: “Were you retained at anytime as attorney or counsel to conduct the ejectment suit above mentioned, on the part of the defendant, for his benefit, as landlord of those premises ? ” The Court held that part of the question, “«s landlord of those premises,” (the italics are the Court’s,) objectionable. The Court say: “ It seeks a disclosure of the title and claim set tip by Rheinicker to his counsel for the purpose of conducting the defense of the suit.” Ro remark is made on that [508]*508clause of the question, “for his benefit.” This case carries the rule as far as any that has been called to our attention, and is contrary to the rule as stated in the text by Greenleaf in his work on Evidence, (1 Greenl. Ev., Sec. 245,) and as held in Beckwith v. Benner, 6 Car. & P. 681. Certainly so, unless the Court considered it proper to ask the witness whether he .was employed by Rheinicker to defend the suit “for his benefit.” The inference is, that to this extent the question was thought proper. The rule, as stated by Green-leaf in the section cited, is that “the attorney may be compelled to disclose the character in which the client employed him, whether that of executor or trustee, or on his private account, in order to Id in the confessions of the real party in interest.” And the question held proper in Beckwith v. Benner, supra, was, “Did the defendants, as executors of Mrs. Barber, employ Benner to act for them as their attorney ?” In Levy v. Pope, Moody & Mal. 410, it was held that the attorney conducting a cause in Court may be called as a witness by the opposite side and asked who employs him, “ in order to show the real party, and so let in his acts and declarations.” (6 N. H. 449; 1 Greenl. Ev., Sec. 245.) These authorities establish the rule that the attorney may be compelled to disclose the character in which the client employed him; and even Chirac v. Rheinicker goes so far as to recognize the propriety of the disclosure that the client employed the attorney to prosecute or defend for his own benefit, and it must be, in the language of Greenleaf, “in order to let in the confession of the real party in interest.” The distinction between the rule as thus established and that which forbids the addition of the clause that Rheinicker defended “as landlord of the premises,” certainly seems thin. It is further to be observed that, as this rule has a tendency to prevent the full disclosure of the truth, it ought to be strictly construed. (Foster v. Hill, 12 Pick. 97; Gower v. Emery, 18 Maine, 82.)

In view of this rule of construction, and of the rule established by the authorities cited, let us examine the testimony of Tompkins. If there is anything in the testimony of [509]

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Bluebook (online)
36 Cal. 489, Counsel Stack Legal Research, https://law.counselstack.com/opinion/satterlee-v-bliss-cal-1869.