Tootle v. Kent

1903 OK 44, 73 P. 310, 12 Okla. 674, 1903 Okla. LEXIS 41
CourtSupreme Court of Oklahoma
DecidedJune 9, 1903
StatusPublished
Cited by25 cases

This text of 1903 OK 44 (Tootle v. Kent) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Tootle v. Kent, 1903 OK 44, 73 P. 310, 12 Okla. 674, 1903 Okla. LEXIS 41 (Okla. 1903).

Opinion

Opinion of the court by

Hainer, J.:

The first question to be considered arises on the pleadings. The defendants in the court below de *681 murred to the petition, alleging as one of the grounds there:for that several causes of action were improperly joined. The court overruled the demurrer, and it is contended by plaintiff in error that this was error. In our opinion, this objection is not well founded. Under our code of civil procedure, legal and equitable causes of action may be united in the same peti-i)ion, where they arise out of the same transaction or transactions connected with the subject of the action, or for injuries, with or without force, to person and property, or either. 'There are two causes of action stated in the petition. One • an equitable cause, which seeks to dissolve the partnership, .secure an accounting, and asks that a receiver be appointed ;to conserve the partnership property, and that the court distribute the same according to right and justice. The other is a legal cause of action, in which the plaintiff seeks to re-cover damages for depreciation in the value of the stock of .goods fo.r loss of profits by reason of closing up of the plaintiff’s business, and for the destruction and impairment of plaintiff’s financial standing and credit, resulting from the wrongful, fraudrdent and malicious acts of .the defendants •and their authorized agents. This cause of action is analogous to an action on the case at common law for wrongful •and malicious attachment. These two causes of action arise ■out of the same transactions, and are connected with the same •subject of action. ■

'The plaintiff seeks two reliefs, one equitable, and the nther legal. They are not inconsistent or repugnant. There is only the union of different remedial rights, springing from •one cause of action, and therefore there is no joinder of different causes of action.

*682 In Akin v. Davis, 11 Kan. 580, it was held that where a’ person builds a dam and thereby causes a stream of water to-rise so as to overflow another’s land to his damage, such person has at least two causes of action,, first, a legal cause of action for the injuries already caused by the dam;- second,, an equitable cause of action to restrain by injunction, the further maintainance and continuance of the dam. And these two causes of action may be united in the same petition:,', for both arise out of the same transaction or transactions connected with the same subject of action. '

In Scarborough v. Smith, 18 Kan. 399, it was held that the following causes of action may be united in the same action, to-wit: A cause of action for the recovery of real property; a cause of action for the value of the rents and profits-of such real property; and a cause of action for the partition, of said real property.

In Henry v. McKittrick, 22 Pac. 578, the supreme court’ of Kansas, in discussing this question,- used the following-language:

“The fact that equitable actions may be tried before a-court, while actions of a legal character must be tried before a jury, unless a jury is waived, is no sufficient objection to this mode of procedure. (Pom. Bern. sec. 86) In any case all the issues of fact made by the pleadings, whether legal or equitable, or both, may be submitted to a jury for trial, and 'the jury may find generally or specially upon all' such issues; or the case, as an equitable case, or so much of' it as is equitable, may be tried before the court without a jury, and the court may determine whether equitable relief can be adjudged or not, and what equitable relief. After the court has disposed of the case, so far as it is equitable,, *683 it may then submit the remainder of the case, if there is any remainder, to a jury.”

In Hahl v. Sugo, 169 N. Y. 109, 62 N. E. 185, the court of appeals of New York held that under the code of procedure all of the rights of litigants, both legal and equitable, so far as they are consistent with one another and affect the-same parties, can be tried in one action, and merged in a single judgment, and that a single and entire cause of action cannot be divided into several claims and separate actions-maintained thereon.

Pomeroy in his work on Equity Jurisprudence, sec. 183r in applying this principle, enunciates the following rule:

'“Whenever a plaintiff is clothed with primary rights,, both legal and equitable, growing out of the same transaction or condition, of facts which thus constituted a cause of action, and is entitled thereon to an equitable remedy, and also to a further legal remedy based upon the supposition that the equitable relief is granted, and he sets forth all these facts-in his petition, and demands a judgment awarding both species of relief, the action will be sustained; the court will, in. its judgment, formally grant both the equitable and the legal relief. In these cases there is, properly considered, no join-der of different causes of action; there is only the union of different remedial rights flowing from one cause of action.”

The fact that a receiver was appointed on application, of the plaintiff to take charge of the partnership property was merely ancillary to the main action; it could not defeat plaintiff’s right to maintain this action, nor could it preju-dicially affect any right of plaintiffs in error.

But a more serious question confronts us in the consideration of the admissibility of evidence in regard to the- *684 depreciation of the value of the stock of goods, the loss of profits, and the destruction or impairment of the plaintiff’s financial standing and credit. A great deal of incompetent -and immaterial testimony was introduced by the plaintiff over the objections of the defendants, which; in our opinion, was 'highly prejudicial to the rights of the defendants, and should lave been excluded by the court.

It appears from the evidence that the store was closed from the 29th day of November, 1897, until December 6, 1897, when the receiver took charge of the property. It was -competent for the plaintiff to prove any injury that was done 'to the stock of goods, or that they depreciated in value from the time the defendants, Tootle, Wheeler & Motter, took possession of the stock under the chattel mortgage on the 29th of November,_ 1897, until -the receiver took possession of the same. On this point the court permitted counsel for the plaintiff to propound to the witness, D. C. Kent, the following question:

“What was the amount of damage done to the goods by the change in the condition in which they were when the store was closed when you last saw them and when you again .saw them on the 6th of December, 1897 ?”

To this question the defendants objected as incompetent, as calling for a conclusion of the witness, and invading the province of the jury. The objection was overruled and an exception reserved. To this question the witness answered as follows:

“I hardly know that I would be able to state the amount -of damage. It would perhaps be several hundred dollars.”

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Cite This Page — Counsel Stack

Bluebook (online)
1903 OK 44, 73 P. 310, 12 Okla. 674, 1903 Okla. LEXIS 41, Counsel Stack Legal Research, https://law.counselstack.com/opinion/tootle-v-kent-okla-1903.