Taylor v. S & M Lamp Co.

190 Cal. App. 2d 700, 12 Cal. Rptr. 323, 1961 Cal. App. LEXIS 2356
CourtCalifornia Court of Appeal
DecidedMarch 30, 1961
DocketCiv. 19219
StatusPublished
Cited by37 cases

This text of 190 Cal. App. 2d 700 (Taylor v. S & M Lamp Co.) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Taylor v. S & M Lamp Co., 190 Cal. App. 2d 700, 12 Cal. Rptr. 323, 1961 Cal. App. LEXIS 2356 (Cal. Ct. App. 1961).

Opinion

COAKLEY, J. pro tem. *

Stanley W. Taylor, plaintiff below, appeals from a judgment of the Superior Court of Santa Clara County in favor of the defendant and respondent, S & M Lamp Company, rendered upon the court’s granting defendant’s motion to exclude evidence. The first question presented is whether the complaint states a cause of action. It was filed in propria persona and is far from a model pleading. However, in view of the policy of the law to construe pleadings liberally, to the end that eases will be tried on their merits rather than disposed of on technicalities of pleadings (Code Civ. Proc., § 452; Mix v. Yoakum (1927), 200 Cal. 681 [254 P. 557]), we hold that each count of the complaint states a cause of action in tort, and that the plaintiff should have been permitted to introduce evidence under both counts. Before examining the allegations of the complaint we shall state the rules governing motions to exclude evidence.

“• • • a motion to exclude evidence based on insufficiency of the complaint is in the nature of a general demurrer and may be sustained only if the allegations of the complaint, deemed true for this purpose, are totally insufficient to support a judgment for plaintiff. And, a demurrer which attacks an entire pleading should be overruled if one of the counts therein is not vulnerable to the objection.” (Brunson v. Babb (1956), 145 Cal.App.2d 214, 227 .[302 P.2d 647].)

*704 “ All that is necessary as against a general demurrer is to plead facts entitling the plaintiff to some relief. The complaint is to be liberally construed. Surplusage is to be disregarded. If upon a consideration of all the facts stated it appears the plaintiff is entitled to any relief at the hands of the court against the defendant, the complaint will be held good although the facts may not be clearly stated or may be intermingled with a statement of other facts irrelevant to the cause of action shown, or although the plaintiff may demand relief to which he is not entitled under the facts alleged. . . . ‘Nothing dehors the complaint may be considered. ’ ” (Domino v. Mobley (1956), 144 Cal.App.2d 24, 27-28 [300 P.2d 324].)

Although a plaintiff may have misconceived his remedy, if his complaint states a cause of action upon any theory he is entitled to introduce evidence thereon and it is error to sustain a general demurrer or to grant a motion to exclude evidence. (Clark v. Lesher (1951), 106 Cal.App.2d 403 [235 P.2d 71].)

We now turn our attention to the allegations of the first cause of action. It seeks damages for conversion of personal property belonging to plaintiff. It alleges that plaintiff at all time mentioned was the owner of a business known as Stephens Foundries; that on November 17, 1956, the plaintiff notified the defendant of his ownership of Stephens Foundries; that on November 18, 1956, with full knowledge of plaintiff’s ownership and possession of Stephens Foundries, and without plaintiff’s consent, the defendant “surreptitiously and outside of ordinary business hours” caused plaintiff’s locks to be removed from the foundry premises, and caused the equipment, supplies, books and records of Stephens Foundries to be removed from the premises, and has refused to account to plaintiff for same. These allegations are followed by allegations of specific items of damage caused by the removal of the property.

“As held in Hutchings v. Castle, 48 Cal. 152, no particular form of words is essential in averring a conversion, provided, the fact of the conversion is sufficiently stated, and it is unnecessary to set forth in what way or by what means the conversion was accomplished ... or to allege that the property was wrongfully or unlawfully converted, since the allegation that it was converted, which is a conclusion of fact . . . implies a wrongful act. ...” (Baird v. Olsheski (1929), 102 Cal.App. 452, 454 [283 P. 321].)

*705 The failure of the complaint to use such terms as “fraud,” “to defraud creditors,” “unlawfully,” or “wrongfully” does not render the pleading defective where, as here, such conduct and intent is implied from the ultimate facts alleged. (Santa Ana Mortg. Inv. Co. v. Kinslow (1918), 30 Cal.App.2d 107 [85 P.2d 899] ; Baird v. OlshesJci, supra.) Further, the complaint alleged that the removal of the plaintiff’s property was carried out “surreptitiously.” Webster defines that term as an act done fraudulently or without proper authority. (Webster’s New International Dictionary, 2nd ed., unabridged.)

In MacDonald v. Kingsley (1957), 149 Cal.App.2d 376 [308 P.2d 46], it was held that a complaint stated a cause of action for conversion which alleged (1) ownership and possession of the property converted, (2) the forcible and unlawful taking thereof by the defendants, and (3) the value of said property. We hold that the first count of the complaint in our case states a cause of action for conversion.

The second cause of action is based on allegations that the plaintiff was a judgment creditor of Ben and Eugene Stephens; that at the time of the judgment, and continuing until the conspiracy complained of, the judgment debtors were possessed of substantial assets; that in November 1956, the defendant conspired with the judgment debtors in concealing their assets and thus prevented plaintiff from recovering on his judgment, thereby damaging him in the amount of the judgment, to wit, $29,397.84. In support of the judgment which followed upon the court’s granting its motion to exclude evidence, the respondent argues that since a conspiracy is not actionable in and of itself, in the absence of an actionable wrong, a fortiori, the bare allegation of a conspiracy does not state a cause of action. The answer to this argument is that the second cause of action alleges, in essence, the commission of a tort by the judgment debtors, to wit, a concealment of their assets for the purpose of defrauding their principal creditor, the plaintiff, and that they did so with the assistance and in concert with the defendant.

“ A tort has been defined as the unlawful commission or omission of an act infringing on the right of another or causing him substantial loss of money ... or as the violation of a duty imposed by general law or otherwise on persons occupying the relation to each other that is involved in a given transaction. The vagueness of such definitions stems mainly from the fact that the field of tort law includes *706 a great variety of conduct and is in the process of constant expansion.

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Cite This Page — Counsel Stack

Bluebook (online)
190 Cal. App. 2d 700, 12 Cal. Rptr. 323, 1961 Cal. App. LEXIS 2356, Counsel Stack Legal Research, https://law.counselstack.com/opinion/taylor-v-s-m-lamp-co-calctapp-1961.