Stanford v. . Grocery Co.

55 S.E. 815, 143 N.C. 419, 1906 N.C. LEXIS 366
CourtSupreme Court of North Carolina
DecidedDecember 18, 1906
StatusPublished
Cited by67 cases

This text of 55 S.E. 815 (Stanford v. . Grocery Co.) is published on Counsel Stack Legal Research, covering Supreme Court of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Stanford v. . Grocery Co., 55 S.E. 815, 143 N.C. 419, 1906 N.C. LEXIS 366 (N.C. 1906).

Opinion

Hoee, J.,

after stating the case: In this suit the plaintiff seeks to recover.on two causes of action, to-wit, malicious prosecution and malicious abuse of process. The former exists when legal process, civil or criminal, is used out of malice and without probable cause, but only its regular execution is contemplated. There is malicious abuse of process where a party under process legally and properly issued employs it wrongfully and unlawfully, and not for the purpose it is intended by law to effect. Wurmser v. Stone, 1 Kan. *423 App., cited in 3 Ed. 1 Cooley on Torts, 356; Emery v. Ginnan, 24 Ill. App., 65; Lauzon v. Charroux, 18 R. I., 467.

For recovery on malicious prosecution, as stated in Railroad v. Hardware Co., at tbis term, there must be shown that an action or proceeding has been instituted, without probable cause, from malice, and that damage has been sustained, and that the proceeding has been terminated by the discharge or acquittal of the accused. Cooley, supra. 320; Jaggard on Torts, 349.

In actions for malicious abuse of process, there must be shown (1) an ulterior purpose, and (2) some act done in the use of the process not proper in the regular prosecution of the case. A wilful perversion of the process of the Court to effect some collateral end, and one not within the scope of the action when regularly and properly pursued. Cooley, supra, 354, 355. In this last action it is not necessary to show a want of probable cause, nor that the proceeding has terminated.

On the trial below the defendant in apt time excepted to the submission of the fourth issue, which was addressed to the second cause of action, as stated in the complaint, that for abuse of legal process. If it be conceded that this issue may arise on the pleadings, there is no testimony to support it as a separate and distinct cause of action. In 'any event, its submission is not required, for a full and complete determination of the rights of the parties litigant' can be better had without it. Both the allegations and the evidence show that the plaintiff’s entire grievance arises, if at all, from the criminal prosecution for embezzlement, in which the plaintiff was arrested an$ bound over to Court. It. is nowhere alleged, certainly there is no evidence to show, that the defendant did or attempted to do any act in this criminal proceeding which was contrary to the orderly and regular prosecution of the case. While the complaint endeavors to set up two causes of *424 action, as a matter of fact tbe testimony only discloses one— that' for malicious prosecution — and the allegations purporting to be a second cause of action amount to nothing more than the assertion of a bad motive prompting the first.

If, under the principles governing such actions, the defendant was justified in instituting the criminal prosecution, the plaintiff has no cause of action, either first or second. If he was not, then the plaintiff can recover his entire damages on the first, second, third and fifth issues, and the motive suggested in the fourth issue can be received when' properly established, and relevant on the issue as to malice or on the question of damages. As said in Plummer v. Gheen, 10 N. C., 66: “If a man prosecute another for real guilt, however malicious his motives may be, he is not liable in an action for malicious prosecution, nor is he liable if he prosecutes him for apparent guilt arising from circumstances Avhieh he himself believes.”

The defendant by exceptions duly noted further objects to the ruling of the Court on the statements made by R. E. Steele, the agent who effected the sale, to A. E. Messiek, manager of defendant company, as to’ the nature of the trade under which the goods were passed to the plaintiff (record, p. 39). These statements by Steele to Messiek, when he returned from the plaintiff’s place of business and just after effecting the deal, were admitted by the Court as corrobpra-tive of Steele, but rejected as substantive testimony. We think the ruling was erroneous, and that the evidence was competent for both purposes.

This is not a question simply of what were the terms of the trade, but whether the defendant, in taking out the prosecution, had probable cause for so doing and whether he acted in good faith. What the salesman told Messiek of the trade is pertinent to that inquiry, and should be heard by the jury, and given such weight as they may think it deserves. Swaim *425 v. Stafford, 26 N. C., 392. If it be suggested that Steele was the defendant’s agent, and that knowledge of the agent will be imputed to the principal, the reply is that such knowledge will be so imputed when the question is as to the fixing responsibility for a transaction done in the scope and course of the agency. Fishblate v. Fidelity Co., 140 N. C., 589. But the principle does not apply here, where the question is not as to the terms of the trade, but as to the responsibility for instituting a criminal prosecution, dependent in part on what' the defendant understood the trade to be, from information reasonably relied on by him. Furthermore, there is an exception to this rule of imputed knowledge when it would be against the interest of the agent to make the disclosure. If Steele sold the groceries to the plaintiff outright, when his instructions were to sell only on consignment, he would not likely make -known such a violation of instructions, and the case would seem to fall under this recognized exception to the principle of imp-uted knowledge. Tiffany on Agency, 262, 263; Allen v. Railroad, 150 Mass., 200.

Again, the statement of the manager made to the justice of the peace at the time the warrant was procured, - was excluded as substantive testimony, and this is contrary to our decisions. The actionable wrong charged against the defendant was in taking out the -warrant and causing the plaintiff’s arrest. This was the act complained of, and the declarations of the 'manager in taking out the warrant, explaining and characterizing the act, are admissible as part of the res gestos. Johnson v. Chambers, 32 N. C., 287; Merrell v. Dudley, 139 N. C., 59, where Mr. Justice Brown, delivering the opinion, said: “Declarations or acts accompanying any act or transaction in controversy and tending to explain or illustrate it are received in evidence as part of the res gesta}.”

*426 The defendant' also objects to a portion of the Judge’s charge, as follows: “The fact that a magistrate binds a man over to Court and a grand jury finds a true bill against him is ordinarily evidence of probable cause for the jury to consider ; but that rule does not apply to a case of this sort.” It is certainly the general rule, applicable to cases of this character, that when a committing magistrate has bound the party over or a grand jury has found a true bill against him, such action prima facie makes out a case of probable cause, and the jury should be directed to consider the evidence as affected by this principle. Johnston v. Martin, 7 N. C., 248; Bostick v. Rutherford, 11 N. C., 83; Bell v. Pearcy,

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Bluebook (online)
55 S.E. 815, 143 N.C. 419, 1906 N.C. LEXIS 366, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stanford-v-grocery-co-nc-1906.