Scheuer v. Scheuer

126 N.E.2d 555, 308 N.Y. 447
CourtNew York Court of Appeals
DecidedApril 28, 1955
StatusPublished
Cited by78 cases

This text of 126 N.E.2d 555 (Scheuer v. Scheuer) 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
Scheuer v. Scheuer, 126 N.E.2d 555, 308 N.Y. 447 (N.Y. 1955).

Opinion

Fulo, J.

Helen and Clemens Scheuer, wed some 20 years ago, have been living apart since 1951. By this action, commenced in that same year, plaintiff wife seeks to impress a constructive trust in her favor on a house purchased by the husband in his own name, which, she claims, was paid for in part with her money.

According to plaintiff, she entered into an oral agreement with her husband in 1938, whereby she was to contribute $6,000 toward the purchase of a $12,500 home, title to the property to be acquired and taken in both their names. Plaintiff obtained the $6,000 from her mother, she and her sister testified, gave it to defendant and he made the purchase. He took title, however, solely in his own name in October of 1938.

Discussing this about a month later, plaintiff, remarking the agreement between them, asked defendant to have title to the property placed in her name as well as his. His answer was, “ You must trust me. * * * Just as soon as things get a little better I am going to change it. It will be changed. Just be patient.’ ” Defendant assertedly made similar promises in 1946, 1947 and 1949. But, finally, in 1950, plaintiff asserted, [450]*450defendant flatly refused to effect a change in the title and admitted that he had never really intended ” to do so.

Defendant disputed most of plaintiff’s assertions. He denied that plaintiff had contributed anything to the purchase price of the house, that there had been any such agreement as she claimed or that they had had any conversations about effecting a change in the title to the property. In addition, he pleaded, as defenses, the statute of frauds and the statute of limitations.

The court at Special Term, following a trial, dismissed the complaint on the basis of the ten-year statute of limitations (Civ. Prac. Act, § 53), concluding that the statute began to run on October 4, 1938, when the husband took title to the property in his name alone. The trial judge reviewed the conflicting evidence in a short opinion, but, apparently because of his decision as to the bar of the statute, made no findings on the disputed issues of fact. Upon appeal, plaintiff for the first time voiced the contention that defendant was estopped from invoking the statute of limitations. The Appellate Division affirmed without opinion; two justices, however, dissented and voted to remit the matter to the trial court, pursuant to section 440 of the Civil Practice Act, to make findings bearing on the issue of estoppel.

Since the trial court did not resolve the disputed questions of fact, we must determine whether the dismissal of the complaint may be sustained as a matter of law under that view of the evidence most favorable to plaintiff. (Cf. Betzag v. Gulf Oil Corp., 298 N. Y. 358, 364; Osipoff v. City of New York, 286 N. Y. 422, 425.) Plaintiff’s cause of action accrued on October 4,1938, the date when the acts occurred on which the claim of constructive trust is predicated, and, in the absence of an estoppel, it was necessarily barred in October, 1948, upon the expiration of ten years. (See Finnegan v. McGuffog, 203 N. Y. 342; Lammer v. Stoddard, 103 N. Y. 672; see, also, Hurley v. Hurley, 279 App. Div. 415, affd. 306 N. Y. 647; Hifler v. Calmac Oil & Gas Corp., 258 App. Div. 78, 89; 4 Bogert on Trusts and Trustees [1948], § 953.) The issue before us, therefore, is whether there is any basis in this record for spelling out an estoppel.

At common law, an acknowledgment or promise to perform a previously defaulted contract obligation was effectual, whether oral or in writing, at least in certain types of cases, to start the [451]*451statute of limitations running anew. (See Shapley v. Abbott, 42 N. Y. 443, 446-447; Henry v. Root, 33 N. Y. 526; see, also, 1 Williston on Contracts [Rev. ed., 1936], § 160 et seq.) Since 1848, however, that rule has been qualified by statute in this state to the extent of requiring the acknowledgment or new promise to be in a writing, signed by the party to be charged. (Code Pro., § 110; Code Civ. Pro., § 395; Civ. Prac. Act, § 59.)1 There is some doubt whether the common-law rule, as modified by the legislature, encompasses a right of action to enforce a promise by way of constructive trust, such as that asserted in this case. (See 1 Williston, op. cit., § 188; cf. Oothout v. Thompson, 20 Johns. 277, 279; but cf. Kocourek, A Comment on Moral Consideration and the Statute of Limitations, 18 Ill. L. Rev. 538, 546-547.) But, be that as it may, the statutory insistence on a writing would, in any event, be controlling, and, concededly, none of the promises allegedly made by defendant in this case were in writing.

The question whether the doctrine of estoppel may be invoked to give effect to paroi representations or promises, in the face of the statute requiring a writing to establish “ a new or continuing contract ” (Civ. Prac. Act, § 59), has elicited a conflict of views and a contrariety of judicial opinion. (Compare Andreae v. Redfield, 98 U. S. 225, 239, with Schroeder v. Young, 161 U. S. 334, 344; compare Burnett v. Turner, 105 Ark. 290, with Dunnington v. Taylor, 198 Ark. 770; compare Trail v. Firth, 186 Cal. 68 with Rapp v. Rapp, 218 Cal. 505, 509-510; see, also, e.g., Lewis v. Ford, 67 Ala. 143, 146; Bank of Jonesboro v. Carnes, 187 Ga. 795; McKay v. McCarthy, 146 Iowa 546, 551-556; Hodgdon v. Chase, 29 Me. 47, 49-50; Bridges v. Stephens, 132 Mo. 524, 534-543; Cecil v. Henderson, 121 N. C. 244; Armstrong v. Levan, 109 Pa. 177.) There is no need at present to do more than note those decisions, since in this state the question was early answered in the negative in Shapley v. Abbott (supra, 42 N. Y. 443). Indeed, the decision in Shapley went further than [452]*452we are required to go in this case, for it involved a specific paroi promise by a debtor, after the debt became due, not to plead the statute of limitations. Holding that the obligor was not precluded from raising the defense of limitations in an action subsequently brought by the obligee, the court wrote (p. 451):

* The policy of the statute [then Code Pro., § 110; now Civ. Prac. Act, § 59], requiring that every promise or acknowledgment, to take a case out of the statute, shall be in writing, signed by the party to be charged, is to prevent fraud and perjuries. And it is the duty of courts so to administer the law as to uphold this policy. If a paroi promise not to plead the statute is to be held operative, either as a waiver, or an agreement, or by way of estoppel, to subvert the statute, then all the mischief, as this case shows, will be let in which it was the policy of the law to shut out. ’ ’

Nor is there any basis for estoppel in the asserted confidential relationship of the parties. The statute of limitations is not tolled merely because the parties are husband and wife. (See Dunning v. Dunning, 300 N. Y.

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

Related

Genger v. Genger
S.D. New York, 2021
Picard v. Fish
139 A.D.3d 1331 (Appellate Division of the Supreme Court of New York, 2016)
Ackerman v. Ackerman
908 F. Supp. 2d 540 (S.D. New York, 2012)
Stewart v. Atwood
834 F. Supp. 2d 171 (W.D. New York, 2012)
Reale v. Reale
485 F. Supp. 2d 247 (W.D. New York, 2007)
McGovern v. Solomon
466 F. Supp. 2d 554 (S.D. New York, 2006)
Burrowes v. Combs
25 A.D.3d 370 (Appellate Division of the Supreme Court of New York, 2006)
DeMille v. DeMille
5 A.D.3d 428 (Appellate Division of the Supreme Court of New York, 2004)
Lucci v. Lucci
227 A.D.2d 387 (Appellate Division of the Supreme Court of New York, 1996)
Breslau v. Sakow
219 A.D.2d 479 (Appellate Division of the Supreme Court of New York, 1995)
CIBC Bank & Trust Co. v. Banco Central Do Brasil
886 F. Supp. 1105 (S.D. New York, 1995)
Van Brunt v. Rauschenberg
799 F. Supp. 1467 (S.D. New York, 1992)
Dillon v. Peretti
176 A.D.2d 497 (Appellate Division of the Supreme Court of New York, 1991)
Sitkowski v. Petzing
175 A.D.2d 801 (Appellate Division of the Supreme Court of New York, 1991)
In re Arnold
173 A.D.2d 699 (Appellate Division of the Supreme Court of New York, 1991)
Ta Chun Wang v. Chun Wong
163 A.D.2d 300 (Appellate Division of the Supreme Court of New York, 1990)
Dybowski v. Dybowska
146 A.D.2d 604 (Appellate Division of the Supreme Court of New York, 1989)
Loengard v. Santa Fe Industries, Inc.
514 N.E.2d 113 (New York Court of Appeals, 1987)
Fava v. Kaufman
124 A.D.2d 42 (Appellate Division of the Supreme Court of New York, 1987)
Miwon, U.S.A., Inc. v. Crawford
629 F. Supp. 153 (S.D. New York, 1985)

Cite This Page — Counsel Stack

Bluebook (online)
126 N.E.2d 555, 308 N.Y. 447, Counsel Stack Legal Research, https://law.counselstack.com/opinion/scheuer-v-scheuer-ny-1955.