Sherman v. Hogland

73 Ind. 472
CourtIndiana Supreme Court
DecidedMay 15, 1881
DocketNo. 7398
StatusPublished
Cited by19 cases

This text of 73 Ind. 472 (Sherman v. Hogland) is published on Counsel Stack Legal Research, covering Indiana Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Sherman v. Hogland, 73 Ind. 472 (Ind. 1881).

Opinion

Elliott, J.

— The appellee sought to have a conveyance of real estate, made to the appellant Rebecca Sherman, set aside as fraudulent, and obtained a decree setting it aside. Appellants unsuccessfully demurred to the amended complaint of appellee, and here present the question of the correctness of the ruling upon the demurrer. It is contended that the complaint is insufficient because it does not allege the value of the real estate charged to have been conveyed. Allegations of value are yery seldom material, and we ■do not think they are so in the present instance. We do not feel authorized to reverse the case upon the ground that the complaint does not state the value of the property, for the omission is one Avhich can not possibly do the appellants any injury, and which does not affect the substantial merits' of the controversy.

It is urged that the complaint is insufficient because it does not aAer that the appellants had no property subject to execution at the time the action Avas instituted, and Ave are [474]*474referred to the case of Bruker v. Kelsey, 72 Ind. 51. We believe the doctrine of that case to be right, and. that the plaintiff in a suit to set aside a fraudulent conve}ance of lands must show that the defendants had no property subject to execution at the time of the commencement of the action, but the appellants can not receive any aid from that doctrine, because the complaint in this case does show that the grantor in the alleged fraudulent conveyance had no< property subject to execution at the time the action was commenced. The allegations of the complaint under mention are more full and direct than were those in the complaint, in Bruker v. Kelsey, supra. It is not only shown that an execution was issued and return of nulla bona made, but it is also alleged that the grantor did not have property subject to execution, either at the time the conveyance was made or the action brought, out of which the appellee’s claim could be made. Enough is averred to show that an ordinary legal, remedy would not afford adequate relief, and that appelleeshave a right to subject the land alleged to have been fraudulently conveyed to seizure and sale upon execution.

Appellants complain of the action of the court in compelling the appellant Mervin Sherman to answer interrogatories propounded to him by the appellees. The argument upon this point is that the interrogatories were not filed with a. pleading affecting said appellant; that they were, therefore,, improperly filed, and the appellant ought not to have been compelled to answer them. The code does n ot mean to restrict the right to file interrogatories to the time of filing any specific pleading, but means that they may be filed at any time before the issues are closed, or the right to file pleadings has terminated.

It is insisted that the court erred in compelling Mervin; Sherman to answer interrogatories because he was not a competent witness, as his wife is a party to the action. The. assumption upon which this argument is based is unwar[475]*475ranted ; but, if it were a just one, no harm was done, because' the interrogatories were not offered in evidence. Judgments, are never reversed because of harmless errors.

The ruling denying the appellants a new trial brings before us questions upon rulings admitting evidence, giving and refusing instructions, and the sufficiency of the evidence to support the verdict. The court, over the objection of appellants, permitted witnesses to testify as to declarations-made by Mervin Sherman. These declarations were admissible against the party by whom they were made, and upon that ground, if upon no other, were entitled to admission. If appellants were acting in concert in an attempt to defraud the creditors of one of them, then the declarations of one,, made before the common purpose was accomplished, would, be admissible against all. There was enough evidence tending to prove a collusive attempt and design to defraud the-creditors of Mervin Sherman, to justify the admission of his. declarations against all of the appellants.

There was no error in permitting the appellees to give in evidence the sworn statements of Eebecca Sherman,.made to-the assessor, wherein she gave a detailed statement of the-property owned by her and subject to taxation. The statements were competent for the purpose of showing the abilityof Mrs. Sherman to purchase and pay for the real estate-conveyed to her. If, from these sworn statements, it appeared that she had no means’ with which to buy property,, the jury might have inferred that the conveyance to her was-a purely voluntary one, and, therefore, fraudulent as to creditors.

The third instruction given by the court is as follows: “Fraud is never presumed, but must be clearly proven. A. conveyance of property made and received for the purpose-of hindering, delaying and defrauding creditors, is void as. against creditors. The burden of proving such fraud rests-upon the creditor attacking it. But the proof is seldom di[476]*476•reel proof, but usually consists of a chain of circumstances that indicate and usually accompany fraud. They are, first, the parties sustain confidential relations to each other ; second, concealment of the fact of the transfer of title ; third, the vendor being at the time of the transfer heavily indebted ■and pressed for the payment, by suit or otherwise ; fourth, ■the existence of a recent prior contract whereby the grantor is made to appear under obligations to make the transfer; fifth, the want of other property or means of the debtor sufficient to pay his debts.” This instruction is awkwardly framed, and is somewhat obscure, but is not erroneous. Appellants’ counsel insists that it is erroneous because it tells the jury that among one of the indications of fraud is that •of the existence of a confidential relationship between the grantor and grantee, and, in support of this position, cites Tenbrook v. Brown, 17 Ind. 410. That case is not in point. The court does not tell the jury that the relationship affords a presumption of fraud, but simply that it is one link in the chain of circumstances tending to establish fraud. It is also ■urged that the instruction is erroneous because it places among the indications of fraud the fact that there was a ■pending action at the time the conveyance was made, and counsel cite McMahan v. Morrison, 16 Ind. 172; Lowry v. Howard, 35 Ind. 170. The rule, that the pendency of an action will not defeat a conveyance if made in good faith, is declared by these cases, and we give it our full approval; ■but that rule is a very different one from that upon which counsel here insists. A conveyance will not be declared fraudulent, although made when many actions are pending, if made in good faith; nor will the fact that actions are pending be of itself sufficient to overthrow the conveyance, but the fact that an action is pending is always proper for the •consideration of the jury, and it is not error to direct their •attention to it as one of the circumstances usually attending a conveyance made to defraud creditors. The instruction [477]*477does not declare that the fact that an action is pending will justify an inference of fraud, but simply that it is one of the circumstances usually accompanying and indicating a fraudulent conveyance of property.

The sixth instruction given by the court is as follows :

“I have indicated to you some of the badges of fraud.

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Bluebook (online)
73 Ind. 472, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sherman-v-hogland-ind-1881.