Trimmier v. Thomson

10 S.C. 164, 1878 S.C. LEXIS 73
CourtSupreme Court of South Carolina
DecidedSeptember 14, 1878
StatusPublished
Cited by1 cases

This text of 10 S.C. 164 (Trimmier v. Thomson) is published on Counsel Stack Legal Research, covering Supreme Court of South Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Trimmier v. Thomson, 10 S.C. 164, 1878 S.C. LEXIS 73 (S.C. 1878).

Opinion

The opinion of the Court was delivered by

Haskell, A. J.

The action is upon a joint and several sealed instrument for the payment of an annuity to Peyton Simmons by T. O. P. Vernon and H. H. Thomson. The plaintiff is the administrator of the goods and effects of the obligee. The defendants are one of the original obligors and the surviving executors of the other. The latter and the plaintiff both appeal.. The exceptions which constitute the grounds of appeal are numerous, but may be to some extent classified, and will be considered in the order of the questions to which they respectively pertain.

The first three and the sixteenth grounds of appeal, on the part of the defendants, relate to the first point made in the defendants’ answer — “That the plaintiff should not maintain his action because he had joined in the same action as joint defendants the living obligor, T. O. P. Vernon, and the surviving executors of the deceased co-obligor, H. H. Thomson,” — and to the further point that the plaintiff had entered up several judgments upon a single verdict. It is not disputed that the executor of a deceásed co-obligor [179]*179of a joint and several bond may be sued by the obligee. The question is, can the executor be sued together with the surviving obligor in the same action as the deceased co-obligor might have been in his lifetime? Under the former practice in this State, on the decease of one of joint debtors the remedy was by action at law against the survivor, and, further, by a proceeding in equity by which representatives of the deceased were brought in and the estate made liable. The same was the rule in case of an obligation which was both joint and several, with the additional power on the part of the creditor to bring a separate action at law against the representatives of the deceased as well as against the survivor. The reason why the action at law could not be brought jointly against the survivor and the representatives of the deceased is thus stated in Ayer vs. Administrator of Buford, (2 Mill., 319): “Because the same judgment cannot be rendered against both. The judgment against the survivor would be de bonis propriis, and that against the representatives of the joint contractor de bonis testatoris.” See also Chit. Plead., 50.

The question now is, whether the practice as thus established has been changed by the Code of Procedure, which was designed “ to revise, simplify and abridge the rules, practice, pleadings and forms of the Court,” and “that justice may be administered in a uniform mode of pleading without distinction between law and equity.”— Const., Art. V, § 3.

The rule of pleading and practice in cases on contracts joint and several, as above stated, was purely technical, arising, not from the nature of the contract which was the cause of action, but from the inflexibility of the forms of proceedings in the Courts of law, which forced recourse to the Court of Equity. It thus presents one of those instances which the Code was designed to rectify, and we think that it has done so. “Any person may be made a defendant who has or claims an interest in the controversy adverse to the plaintiff, or who is a necessary party to a complete determination or settlement of the questions involved therein.” — § 141.

“Persons severally liable upon the same obligation or instrument ***** may all, or any of them, be included in the same action at the option of the plaintiff.” — § 143.

As to the liability of the appellants, defendants, in their representative character, had the action been brought against them alone, there can be no doubt; and the fact that their testator was jointly [180]*180as well as severally liable cannot exclude them from the provisions of this Section, and they are manifestly within the scope of Sections 141 and 143. The Court is aware that there has been conflict of decision in other States upon this point; but, with all deference to the learning and ability of the opinions from which this Court derives aid in construing a new form of procedure, nevertheless they are not of authority, and in this instance the words and the intention of the Legislature are so entirely in harmony with each other that the Court experiences little difficulty in arriving at a conclusion. — Pomeroy on Rem., 354, § 304. ■

“ The only pleading on the part of the defendant is either a demurrer or an answer.” — § 166 Rev. Stat., p. 605. •

It is further provided in Section 167 what shall be grounds of demurrer: 1. To the jurisdiction. 2. To the legal capacity of the plaintiff to sue. 3. That there is another action pending, &e. 4. That there is a defeat of parties. 5. That several causes of action have been improperly united. Certainly neither of the first four touches the present case, nor does the fifth, for there is but one “cause of action,” and the question arises on the joinder of several parties on this single cause.

The last (6) ground of demurrer is “that the complaint does not state facts sufficient to constitute a cause of action.” But it is unquestionable that upon a joint and several contract, as this is, the obligee has a right of action against the executors of a deceased obligor. Every case of misjoinder of parties is covered by the sixth subdivision of Section 167; and if there be in the complaint a cause of action against the party and it be not prevented upon one or the other grounds of demurrer, the case must go to trial. Thus circuity and multiplicity of action are prevented by dispensing with the necessity of proceeding by distinct suit in equity or by a separate action at law. This disposes of the question, but it is proper to notice that if the answer of Vernon and the Thomsons was joint, as would be inferred from the brief, it is certain that the defendant, Vernon, had no ground for demurrer, and it is, to say the least, questionable whether the demurrer could have been sustained for either, when jointly madé, unless it was good for both. The question of the two separate judgments upon a single verdict still remains, and upon this the statute may not be so clear; but upon reflection the Court has arrived at the conclusion that such is the proper mode. In his commentaries upon the subject, now being [181]*181considered, Mr. Pomeroy (p. 354, § 304; p. 446, § 407,) deems it hardly necessary to argue to show that the separate judgments must be entered up against the several defendants when the nature of the case so demands. In the cases cited by him (Burgoyne vs. Ohio L. J. & T. Co., 5 Ohio, 586; Churchill vs. Trapp, 3 Abb. Pr., 306; Eaton vs. Elger, 47 N. Y.,) it is held that whenever it is determined that the executor of the deceased co-obligor can be joined with the survivor in an action the judgments should be separate, one against the survivor de bonis propriis and the other against the representative of the deceased de bonis testatoris. And, further, it is held that this is not only a logical sequence of the preceding provision, but that it is clearly comprehended within the permissive provisions relating to judgments themselves. — § 298 Rev. Stat., p. 639. And in these decisions we concur.

In the language of Dixon, C. J., in Decker vs. Trilling, (24 Win., 610,) cited by Mr.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Small v. Frick
40 F. Supp. 778 (E.D. South Carolina, 1941)

Cite This Page — Counsel Stack

Bluebook (online)
10 S.C. 164, 1878 S.C. LEXIS 73, Counsel Stack Legal Research, https://law.counselstack.com/opinion/trimmier-v-thomson-sc-1878.