Stith v. Pinkert

234 S.W.2d 45, 217 Ark. 871, 1950 Ark. LEXIS 519
CourtSupreme Court of Arkansas
DecidedNovember 13, 1950
Docket4-9297
StatusPublished
Cited by4 cases

This text of 234 S.W.2d 45 (Stith v. Pinkert) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Stith v. Pinkert, 234 S.W.2d 45, 217 Ark. 871, 1950 Ark. LEXIS 519 (Ark. 1950).

Opinion

Dunaway, J.

For the second time the question of appellee Pinkert’s title to the west % of lots 1 to 6 inclusive, block 8, Adams Addition to the City of Little Rock, Arkansas, is before this court. The first case was Pinkert v. Lamb, 215 Ark. 879, 224 S. W. 2d 15.

In the Lamb case, the litigation was between Ed Pinkert and Ella Stith, widow of J ames H. Stith. Pinkert claimed title through mesne conveyances from Sewer Improvement District No. 94 of Little Rock. The District had purchased the property at a commissioner’s sale held pursuant to a decree of the Pulaski Chancery Court rendered November 23, 1937, condemning said lots to be sold for delinquent assessments for the year 1934. Ella Stith claimed in a collateral attack on the foreclosure decree and sale thereunder that thev were void for various reasons.

We upheld the validity of the foreclosure sale of the property to the district in the former case and reversed the Chancellor’s decree to the contrary. One day before the mandate was issued by this court in that case, the instant suit was begun by appellants herein, Herbert Stith, James H. Stith, Jr., and Melanie Stith Tabor, the surviving children and heirs of James H. Stith, deceased, who died in 1942. All three appellants are nonresidents of the State of Arkansas and have been for many years.

The first action, later transferred to equity, had been begun as one in ejectment by Pinkert against John Lamb, alleged to be in possession of the property as tenant of James H. Stith. At the first trial it was stipulated that Ella Stith was the record title owner prior to the sale of the lots to the District and that she held possession through Lamb as tenant.

It now develops that Ella Stith had only a dower interest in the property and that appellants herein, owners of the fee as heirs-at-law of James H. Stith, had not been made parties to the first action. The stipulation had evidently been made by counsel under a misapprehension of the facts, in an effort to .expedite trial of the cause when it was shown that James H. Stith was deceased.

In the instant case, the Stith heirs sought cancellation of Pinkert’s deed and an accounting of the rents and profits from the property. They joined as defendants Pinkert and one Sehuman, alleged to be tax-title speculators, the receiver of District No. 94 and the Board of Commissioners of said District, certain parties who had collected rents from the property and Ella Stith, mother of one appellant and step-mother of the other two. Only Pinkert and Sehuman answered or appeared.

The complaint alleged all the same grounds of invalidity of the foreclosure and sale as were presented in Pinkert v. Lamb, supra, together with certain new matters. It was alleged that the foreclosure decree was void because James H. Smith, rather than James H. Stith, had been named as owner in the complaint filed against the property by the District; and because this same mistake was made in naming Smith as the owner in the warning order or published notice of pendency of the suit. In addition to these two defects, which were alleged and proved in the Lamb case, it was alleged and proved that in the notice of sale the property was described, but the name of the owner was omitted entirely. It was further alleged that the description in said notice of sale was so indefinite as to void the sale.

At the outset appellees contend that the judgment in Pinkert v. Lamb, supra, is res judicata of the present suit. Appellants, on the other hand, contend that since they were not parties nor privy to the prior suit, the doctrine of res judicata is inapplicable and they are not bound by the former judgment. We agree that res judicata is not in the case, but the law as declared in the opinion in the Lamb case is controlling in the case at bar under the rule of stare decisis.

In the Lamb case we held that Act 207 of 1937 (Ark. Stats. 1947, §§ 20-441 et seq.) governed the procedure to be followed in the foreclosure suit brought by the District. Then it was urged and now appellants argue that Act 207 is violative of the due process clause of the U. S. Constitution, in making the foreclosure proceeding an action m rem against the lands, in providing for constructive service and in providing that an incorrect allegation of ownership should be immaterial. In sustaining the constitutionality of the statute we fully discussed these questions in the Lamb case. We adhere to the views there expressed.

Appellants further argue that we erred in holding Act 207 applicable since the foreclosure suit was already pending at the time said act became effective March 8, 1937. Appellants argue that the statute should be construed to be applicable only to suits commenced after its enactment. The statute pertained only to the mode of procedure and did not create any new rights or take away any vested rights. “Practice and procedure include the mode of proceeding and the formal steps by which a legal right is enforced. Those words comprehend writs, summonses, and other methods of notice to parties as well as pleadings, rules of evidence and costs. Practice and procedure indicate the forms for enforcing rights as distinguished from the law which creates, defines and protects rights.” Duggan v. Ogden, 278 Mass. 432, 180 N. E. 301, 82 A. L. R. 765. As stated by this court in Foster v. Graves, 168 Ark. 1033, 275 S. W. 653 (at p. 1039): “The rule established by this court is that statutes in regard to remedies in procedure may be construed to apply to- all pending proceedings, and will be so applied unless the language of the statute indicates a contrary intention. ’ ’ There is no such language in Act 207. We adhere to our decision in the Lamb case in holding Act 207 of 1937 applicable to this foreclosure proceeding.1

As discussed fully in the Lamb case, the misspelling of Stith as Smith in the complaint and warning order did not render void the foreclosure decree of the Chancery Court of November 23, 1937. Section 2 of Act 207 (Ark. Stats. 1947, § 20-441) which prescribed the procedure for enforcing collection of delinquent assessments by sale of the delinquent lands contains this provision: “Said proceedings and judgment shall be in the nature of proceedings in rem, and it shall be immaterial that the ownership of the said lands ... be incorrectly alleged in said proceedings, and such judgment shall be enforced wholly against such property, and not against any other property or estate of said defendant.” Validity of a similar statutory provision was sustained by this court in Ballard v. Hunter, 74 Ark. 174, 85 S. W. 252, affirmed by the Supreme Court of the United States in Ballard v. Hunter, 204 U. S. 241, 27 S. Ct. 261, 51 L. Ed. 461.

To hold that the obvious clerical error in misstating the name Stith rendered the decree void, would render the quoted statute meaningless. There is no contention made nor anything in the record in the instant case to indicate that there was such a person as James IT. Smith, or that Stith and his heirs were in any way misled by this mistake in the complaint and warning order.

We turn now to a consideration of appellants’ contention that failure to name the owner in the published notice of sale rendered the sale void. As already pointed out, the challenged proceeding was one in rem against the property. Section 4 of Act 207 (Ark. Stats.

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Bluebook (online)
234 S.W.2d 45, 217 Ark. 871, 1950 Ark. LEXIS 519, Counsel Stack Legal Research, https://law.counselstack.com/opinion/stith-v-pinkert-ark-1950.