Socony Mobile Oil Co. v. Superior Court

198 A.2d 44, 97 R.I. 396, 1964 R.I. LEXIS 94
CourtSupreme Court of Rhode Island
DecidedMarch 5, 1964
DocketM. P. No. 1583
StatusPublished
Cited by4 cases

This text of 198 A.2d 44 (Socony Mobile Oil Co. v. Superior Court) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Socony Mobile Oil Co. v. Superior Court, 198 A.2d 44, 97 R.I. 396, 1964 R.I. LEXIS 94 (R.I. 1964).

Opinion

Powers, J.

This is a petition for certiorari seeking to quash the decision of a superior court justice overruling the petitioner’s demurrer to a bill of complaint in which the petitioner was named as one of several respondents. The *397 bill was brought pursuant to G. L. 1956, §6-13-6, of the Unfair Sales Practices Act. Pursuant to the writ the superior court duly certified the pertinent records to this court for our inspection.

It appears therefrom that petitioner is a New York corporation licensed to do business in Bhode Island and is regularly engaged in the sale at wholesale of gasoline under the trade name “Mobil”; that petitioner was joined as a respondent in a bill of complaint brought by Tidewater Oil Company, hereinafter sometimes referred to as Tidewater or the complainant, a Delaware corporation; that also joined as respondents were Gulf Oil Corporation, a Pennsylvania corporation, and Shell Oil Company, a Delaware corporation, herein sometimes referred to as the respondents; and that all the parties are duly licensed to do business in this state and are engaged in the sale of gasoline at wholesale.

The provisions of §6-13-6 are as follows:

“Upon the complaint of any person the superior court shall have jurisdiction to restrain and enjoin any act forbidden or declared illegal by any provisions of this chapter; and it shall be the duty of the attorney-general of this state to enforce, and restrain the violation of, said sections of this chapter.”

The bill alleges, on information and belief, that each respondent is selling its regular gasoline at wholesale below cost with the intent to injure complainant Tidewater and others similarly situated as competitors in the sale of gasoline at wholesale in this state and for the purpose of destroying competition, in violation and contravention of the requirements of chap. 13 of title 6 of G. L. 1956. By that chapter the general assembly has declared to be against public interest the sale at wholesale or retail of any item of merchandise at less than cost with the intent to injure competitors or destroy competition. The scope of such re *398 strictions, however, is not before us in these proceedings and need not therefore be related in detail.

The petitioner demurred to the bill on numerous grounds, two of which are that the bill contains a misjoinder of causes of action (multifariousness) and a misjoinder of parties respondent (multiplicitousness). The trial justice overruled the demurrer and petitioner appealed to this court by way of certiorari. It acknowledges that this remedy would not be available if the questions could be fairly adjudicated on a claim of appeal. However, petitioner contends that, because error inherent in the overruling* of its demurrer cannot be corrected after trial since the grounds enumerated above pertain to and vitally affect the conduct of such trial, certiorari is the only procedure open to it in the circumstances.

Obviously, it argues, if it were to proceed to a hearing-on the bill jointly with the other respondents, a review of its grounds for demurrer thereafter would be ineffective if not moot. We are persuaded that, in these circumstances, the writ of certiorari properly issued.

The petitioner contends, as we understand it, that the bill is multifarious in that it charges petitioner with the commission of several acts which are in violation of chap. 13 of title 6 and enjoinable thereunder, assuming the validity of the legislation in question. Although petitioner cites numerous cases in this and other jurisdictions, we do not find any allegation in the bill whereby evidence could be offered to charge petitioner with anything more than the prohibited sale of its product at a price below cost. Whether the proof offered tends to show but a single such sale or repeated sales is immaterial. The gravamen of the statutory restriction is the sale below cost with the intent to injure competitors or destroy competition. The statute provides that any such sale shall be prima facie evidence of intent and while the number of sales and period of time *399 over which they were made may have a bearing on intent, a single or multiple sale constitutes, within the purview of the statute, a single cause for complaint.

The petitioner’s argument that by joining the respondents the court would be powerless to effectuate the mandate of the statute, namely, restraining or enjoining any act forbidden or declared illegal by any provisions of chap. 13 of title 6, lacks persuasiveness. Its reliance on the cases cited, especially Chafee v. Quidnick Co., 13 R. I. 442, and Ball v. Ball, 20 R. I. 520, is not well founded. Indeed, a careful reading of these cases reveals that they might well be cited favorably toward Tidewater’s position, when the circumstances therein related are compared with those here present. We perceive no difficulty with the entry of a single decree setting forth the findings and providing for the appropriate orders of the chancellor as they are applicable to each respondent. See 1 Pomeroy, Eq. Jur. (5th ed.), §115, p. 154. In our judgment, therefore, there is no merit in the allegation that the bill is so multifarious as to render it demurrable.

More complex, however, is the allegation that the bill is multiplicitous in that it joins three respondents charged with separate violations and not acting in concert. The trial justice, in reaching his decision, relied heavily on New York & N. H. R. R. v. Schuyler, 17 N. Y. 592.

There, the complainant joined as respondents all of the holders, numbering some 326 persons, of spurious stock certificates issued by the president and transfer agent of the complainant corporation. It was a bill to quiet title and prevent a multiplicity of suits by the holders of the fraudulently issued stock against the complainant. The court overruled a demurrer to the joining of all holders of the fraudulent stock, stating at page 603: “The mere joinder of too many persons as defendants, when there is no misjoinder of subjects, is not a ground of demurrer by any one *400 of them against whom the complaint sets forth a good cause of suit.”

The petitioner, however, argues that this decision was subsequently sharply criticized in New York & N. H. R. R. v. Schuyler, 34 N. Y. 30, and for this reason urges us to place no reliance upon the former decision. An examination of the later case, however, discloses that, in what petitioner refers to as “a warning,” the court was not addressing itself to the issue of misjoinder. It appears that in the original suit the chancellor not only granted a measure of the relief prayed for by the complainant, but also granted a measure of relief to the respondents. It was to this action that the court stated at page 46:

“While, therefore, it was, in one aspect, a suit to remove a cloud upon a title and cancel the instruments creating such cloud, it had a far reaching and broader scope under which the plaintiffs hoped and intended to secure a judgment that would put at rest forever all possible claims against them, growing out of the Schuyler frauds.

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Cite This Page — Counsel Stack

Bluebook (online)
198 A.2d 44, 97 R.I. 396, 1964 R.I. LEXIS 94, Counsel Stack Legal Research, https://law.counselstack.com/opinion/socony-mobile-oil-co-v-superior-court-ri-1964.