Satterlee v. . Kobbe

65 N.E. 952, 173 N.Y. 91, 11 Bedell 91, 1903 N.Y. LEXIS 1132
CourtNew York Court of Appeals
DecidedJanuary 6, 1903
StatusPublished
Cited by35 cases

This text of 65 N.E. 952 (Satterlee v. . Kobbe) is published on Counsel Stack Legal Research, covering New York Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Satterlee v. . Kobbe, 65 N.E. 952, 173 N.Y. 91, 11 Bedell 91, 1903 N.Y. LEXIS 1132 (N.Y. 1903).

Opinions

O’Brien, J.

The complaint in this case states a good cause of action for the partition of lands. The lands sought to be partitioned consist of a large .number of islands in the St. Lawrence river within the limits of the county of Jefferson. Most of these islands are wild and unoccupied land. According to the allegations of the complaint the plaintiff and certain of the defendants named are the owners of all the islands as *94 joint tenants or tenants in common. Some thirty different persons have been made defendants in the action. As to several of the defendants the complaint states that they claim .some right or interest in particular islands adverse to the plaintiff and his cotenants, but that the right or interest so claimed by these defendants is unknown to the plaintiff. The complaint does not allege that these defendants are tenants in common with the plaintiff, hut in substance states that they are not, and are either in possession of certain islands or make some claim to them in hostility to the plaintiff. All the defendants so affected suffered default, except four, who answered and put in issue most, if not all, the material allegations of the complaint, and in addition pleaded that they were in possession under claim of title hostile to the plaintiff, and that they or their grantors had been so in possession for more than twenty years prior to the commencement of the action. The four defendants who contest the title as to certain islands have set forth in their respective answers the grounds and nature of their claims with considerable detail, but the pleadings have been sufficiently described to show the nature of the issues presented for trial.

The case having been noticed for trial at the Special Term, the counsel for the four defendants answering moved to dismiss the complaint as to them on various grounds stated by way of argument, which, in substance, presented the objec-. tion that the complaint did not state a cause of action against the defendants who had tendered the issue with resjDect to the plaintiff’s title. Inasmuch as the motion was made upon all the pleadings, it fairly covered the defendants’ contention that they were not proper parties defendant in the action, and that the issues presented by the pleadings could not be tried in that form of action. The court granted the motion to dismiss as to the four answering defendants and the plaintiff’s .counsel excepted. This exception presents the only question of law involved in the case. So far as we can know from the record all the other defendants suffered default, and, therefore, we are not concerned with the rights of any of the defendants, *95 except the four that have answered. The precise question presented in their behalf is whether they were proj>er parties defendant and whether their rights and interests can be determined in the action.

It is doubtless true that during a long period in the history ■ of our jurisprudence, while partition actions were regarded as peculiarly within the domain of equity jurisdiction, whenever it appeared that the title or right of possession of the plaintiff was disputed or that he had been actually ousted by his cotenants, courts of equity would withhold relief and remit the parties to their action at law. The principal reason for this was that there was no adequate provision for a jury trial of issues involving questions of title, but this reason has been removed by legislation embraced within the provisions of the present Code. Considering these enactments in their fair scope and meaning, they seem to permit the retention within the jurisdiction of equity of partition actions even where the question of adverse possession is involved. The statute prescribes in great detail the persons who must be made defendants (Code, § 1538), and further on the persons who may be made defendants at the election of the plaintiff. Among the latter class is mentioned a “ creditor or other person having a lien or interest which attaches to the entire property.” (§ 1540.) If the share, right or interest of a party is unknown to the plaintiff that fact must be stated in the complaint. (§ 1542.) This last provision seems-to contain the clear implication that the plaintiff may join as defendants in the action persons in possession or who claim some interest the nature and character of which is unknown. It is broad enough to include intruders, trespassers or persons claiming title or some right adverse and hostile to the plaintiff. It would seem to be plain that it was intended to permit the plaintiff to join as defendants parties claiming some interest in the property although these persons might not in any legal sense be cotenants, but claiming adversely. The title or interest of any party may be put in issue by pleading and the issue tried by a jury. (§§ 1543, 1544.) Thus we see that all the obstacles *96 to the full and complete jurisdiction of equity in actions for partition have been swept away. In this case it has, however, been held by the learned court below that the answering defendants claiming title adverse to the plaintiff are not comprehended within the scope and meaning of the statute and were not proper parties defendant. The argument is.that these defendants are entitled to have their rights determined in an action of ejectment where they could have two jury trials instead of one. The right to successive jury trials is not an absolute one, but is a matter of procedure, subject to change by the legislature, and the question is whether it has not been changed so far as these defendants are concerned.

On this question, and, indeed, upon the whole question in this case, we feel concluded by the doctrine of Weston v. Stoddard (137 N. Y. 119). In principle the doctrine of that case covers the whole controversy here. The discussion in that case' points out -the obstacles which originally existed to complete jurisdiction in equity of actions of partition where the question of adverse title was involved, and the legislation which, from time to time, was intended to remove these obstacles, and a complete review of the meaning, scope and purpose of the several provisions of the present Code. We think, in principle, that case holds that the trial court in this case had jurisdiction to hear and determine the issues presented by the answer of the defendants. It is true that in that case the parties were originally tenants in common, but it was not claimed that at the time of the commencement of the action they occupied that relation to each other. Indeed, one or more of ■ the parties claimed by adverse title arising from the fact that they had been in undisputed and hostile possession of the premises for more than twenty years. Prescription and adverse possession is in and of itself a method of obtaining title to real property. (Baker v. Oahwood, 123 N. Y. 16.) When a person originally a tenant in common renounces and throws off that relation and assumes that of an owner by adverse possession or prescription, he assumes the attitude of a stranger to the original owners. He takes the *97 position that his possession and. right of possession is under and by virtue of a hostile title acquired by himself through lapse of time.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Worthing v. Cossar
93 A.D.2d 515 (Appellate Division of the Supreme Court of New York, 1983)
Vlcek v. Vlcek
42 A.D.2d 308 (Appellate Division of the Supreme Court of New York, 1973)
Hochen v. Rubin
24 A.D.2d 254 (Appellate Division of the Supreme Court of New York, 1965)
Schneidman v. Steckler
11 Misc. 2d 176 (New York Supreme Court, 1957)
Dobschiner v. Levy
179 Misc. 416 (New York Supreme Court, 1942)
County of Nassau v. Lincer
165 Misc. 909 (New York County Courts, 1938)
Grosch v. Kessler
177 N.E. 10 (New York Court of Appeals, 1931)
Beers v. Hotchkiss
175 N.E. 506 (New York Court of Appeals, 1931)
Gordon v. Schroeder
138 Misc. 338 (New York Supreme Court, 1930)
Graf v. Hope Building Corp.
171 N.E. 884 (New York Court of Appeals, 1930)
Grody v. Silverman
222 A.D. 526 (Appellate Division of the Supreme Court of New York, 1928)
Zim v. Cohen
221 A.D. 341 (Appellate Division of the Supreme Court of New York, 1927)
Eldridge v. Wolfe
129 Misc. 617 (New York Supreme Court, 1927)
Wood v. Hill
214 A.D. 417 (Appellate Division of the Supreme Court of New York, 1925)
McGratty v. Krantz Manufacturing Co.
183 A.D. 207 (Appellate Division of the Supreme Court of New York, 1918)
Clarke v. Keating
183 A.D. 212 (Appellate Division of the Supreme Court of New York, 1918)
Allen v. Litchard
93 Misc. 197 (New York Supreme Court, 1916)
Delcambre v. . Delcambre
104 N.E. 950 (New York Court of Appeals, 1914)
De Baun v. Pardee
139 N.Y.S. 1077 (New York Supreme Court, 1913)
Smith v. First National Bank
151 A.D. 317 (Appellate Division of the Supreme Court of New York, 1912)

Cite This Page — Counsel Stack

Bluebook (online)
65 N.E. 952, 173 N.Y. 91, 11 Bedell 91, 1903 N.Y. LEXIS 1132, Counsel Stack Legal Research, https://law.counselstack.com/opinion/satterlee-v-kobbe-ny-1903.