United States v. Certain Land and Interests in Property

225 F. Supp. 338, 1964 U.S. Dist. LEXIS 6465
CourtDistrict Court, M.D. Tennessee
DecidedJanuary 6, 1964
DocketCiv. 2453
StatusPublished
Cited by11 cases

This text of 225 F. Supp. 338 (United States v. Certain Land and Interests in Property) is published on Counsel Stack Legal Research, covering District Court, M.D. Tennessee primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
United States v. Certain Land and Interests in Property, 225 F. Supp. 338, 1964 U.S. Dist. LEXIS 6465 (M.D. Tenn. 1964).

Opinion

WILLIAM E. MILLER, Chief Judge.

Condemnation proceedings have been initiated by the United States government to acquire certain apartment buildings adjacent to Sewart Air Force Base, Rutherford County, Tennessee. Joseph W. Hart (herein referred to as Inter-venor) has been permitted to intervene in order to present an asserted interest in the property being condemned. Edward S. Carmack (herein referred to as Movant), one of the parties joined as defendant in the action, has moved for summary judgment against the Inter-venor pursuant to Rule 56 of the Federal Rules of Civil Procedure.

The factual issue is whether or not the Intervenor has an equitable interest in the property so that he will be entitled to share in the condemnation award. The Intervenor claims that the money he put up at the outset of the venture was an investment. The Movant claims that it was a loan.

Movant alleges that on three separate occasions, once under oath before a committee of the United States Senate, and! in Iettters to the Internal Revenue Service and to the Federal Housing Authority, the Intervenor stated that he did not have any beneficial or equitable interest in the property, and therefore that the Intervenor should be estopped to claim an interest and assert a position inconsistent with those previously taken.

There is a preliminary question whether estoppel in the present situation is to be decided as a matter of state or federal law. The rights in issue are not before this court as a result of diversity of citizenship, nor is a federally created right being asserted. Nevertheless, the principles stated in Guaranty Trust Co. of N. Y. v. York, 326 U.S. 99, 65 S.Ct. 1464, 89 L.Ed. 2079 (1945), seem applicable :

“Matters of ‘substance’ and matter of ‘procedure’ are much talked about in the books as though they defined a great divide cutting across the whole domain of law. But, of course, ‘substance’ and ‘procedure’’ are the same key-words to very dif *340 ferent problems. Neither ‘substance’ nor ‘procedure’ represents the same invariants. Each implies different variables depending upon the particular problem for which it is used. * * *
“Here we are dealing with a right to recover derived not from the United States but from one of the States.
* * *
“And so the question is not whether a statute of limitations is deemed a matter of ‘procedure’ in some sense. The question is whether such a statute concerns merely the manner and the means by which a right to recover, as recognized by the State, is enforced, or whether such statutory limitation is a matter of substance in the aspect that alone is relevant to our problem, namely, does it significantly affect the result of a litigation for a federal court to disregard a law of a State that would be controlling in an action upon the same claim by the same parties in a State court?” (At page 108 of 326 U.S., at page 1469 of 65 S.Ct., 89 L.Ed. 2079) (Emphasis supplied)

Although there the Court was dealing with a state statute of limitations, the Movant’s contention as to estoppel is also a plea in bar which will significantly affect the result of the litigation between these two parties. Consequently it would appear that the applicable state rule should be applied by this court, or such rule as it is believed the state courts would apply if confronted with the same facts.

There are two distinct and separate doctrines here involved — estoppel in pais and judicial estoppel. Estoppel in pais requires, among other things, that the one seeking to invoke the estoppel must have been misled by the representation and have made a substantial change in position in reliance thereon. Here, however, it does not appear wherein the Movant has made any substantial change in position in reliance on the alleged statements, and estoppel in pais has no application.

On the other hand, judicial estoppel does not require any such misapprehension or reliance.

“The Tennessee law of judicial estoppel (properly so called) has nothing to do with other parties to the suit; nor does it matter whether they even knew of the sworn statement. It is, as already stated, based solely upon that public policy which upholds the sanctity of an oath, and precludes a party who has made a sworn statement — even in another litigation — from repudiating the same when he thinks it to his advantage to do so.
“It might well be termed ‘estoppel by oath.’ ” Sartain v. Dixie Coal & Iron Co., 150 Tenn. 633, 266 S.W. 313 (1924). At page 650 of 150 Tenn., at page 317 of 266 S.W.

Although Tennessee is apparently a minority of one in its particular application of the doctrine of judicial estoppel' (see Hatten Realty Co. v. Baylies, 42 Wyo. 69, 290 P. 561, 72 A.L.R. 587, 599-600 [1930]), it is clear that such a rule is recognized in Tennessee. The leading case in point is Hamilton v. Zimmerman, 37 Tenn. 39 (1859) where it was said:

“And for all the purposes of the present bill, the admission must be taken as true, without enquiring whether, as a matter of fact, it be so or not. The law, as against the complainant, presumes that it is true; and this presumption proceeds upon the doctrine of estoppel, which, from motives of public policy or expediency, will not, in some instances, suffer a man to contradict or gainsay what, under particular circumstances, he may have previously said or done. This doctrine is said to have its foundation in the obligation under which every man is placed to speak and act according to the truth of the case; and in the policy of the law to suppress the mischiefs from *341 the destruction of all confidence in the intercourse and dealings of men, if they were allowed to deny that which by their solemn and deliberate acts they have declared to be true. And this doctrine applies with peculiar force to admissions or statements made under the sanction of an oath, in the course of judicial proceedings. The chief security and safeguard for the purity and efficiency of the administration of justice is to be found in the proper reverence for the sanctity of an oath.” At pages 47, 48 of 37 Tenn.

The doctrine has to an extent been relaxed, in that prior statements can be explained and will not be binding if shown to have been mistakenly or inconsiderately made, or if they were merely expressions of opinion or legal conclusions. However, the rule has been consistently followed in Tennessee, and there appears to be no question that the Intervenor would be barred and estop-ped from asserting this claim if his prior disclaimers of ownership had been made under oath in a judicial proceeding. The question is whether the doctrine extends to a statement made under oath to a legislative investigating body. 1

The exact interest or policy underlying the doctrine is not altogether clear from the Tennessee cases.

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Bluebook (online)
225 F. Supp. 338, 1964 U.S. Dist. LEXIS 6465, Counsel Stack Legal Research, https://law.counselstack.com/opinion/united-states-v-certain-land-and-interests-in-property-tnmd-1964.