Waldrop v. Wolff

40 S.E. 830, 114 Ga. 610, 1902 Ga. LEXIS 738
CourtSupreme Court of Georgia
DecidedFebruary 4, 1902
StatusPublished
Cited by43 cases

This text of 40 S.E. 830 (Waldrop v. Wolff) is published on Counsel Stack Legal Research, covering Supreme Court of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Waldrop v. Wolff, 40 S.E. 830, 114 Ga. 610, 1902 Ga. LEXIS 738 (Ga. 1902).

Opinion

Cobb, J.

Wolff & Happ, a mercantile copartnership, brought an action of trover against S. A. Waldrop and R. L. Bryans, to recover certain described personalty. The defendants gave the usual eventual condemnation-money bond, with S. L. Hayes as security, and filed their defense to the action, which in effect denied that title tq the property described in the petition was in the plaintiffs. At the trial a nonsuit was granted as to Bryans, and a verdict was returned in favor of the plaintiffs against Waldrop. The court entered judgment on the 'bond against Waldrop as principal and Hayes as security. Waldrop made a motion for a new trial, which was overruled. The case is here upon four bills of exceptions, which for convenience will be referred to as Nos. 1, 2, 3, and 4. Waldrop is the plaintiff in error in No. 1, and error is assigned therein upon the refusal of the court to grant a new trial. Wolff & Happ are the plaintiffs in error in No. 2, and error is assigned in this bill of exceptions upon certain rulings made by the judge during the progress of the trial, as well as upon others made after the verdict was rendered. Hayes sued out No. 3, and he assigns error on certain rulings made by the court after the verdict was' rendered, which he claims affected his right as surety on the eventual condemnation-money bond. In No. 4 Wolff & Happ are the plaintiffs in error, and the questions raised therein are similar to those made in No. 2, which was also sued out by them. As to some of the questions raised in bills of exceptions Nos. 2 and 4, they may be treated as merely cross-bills of 1 and 3, respectively; but as to other questions they are in reality main bills of exceptions, and raise questions which could have been properly brought to this court, even if no bills of exceptions had been sued out by either Waldrop or Hayes. The various assignments of error in the different bills of exceptions raise numerous questions, but under the view we have taken of the case it is not necessary that all of these questions should be decided. Such of them as we deem it neces-' sary to determine in order to dispose of the entire case will be' .dealt with in the opinion which follows.

1. It was insisted that the court erred in refusing to grant a new trial, for the reason that the verdict was unsupported by the evidence. The theory of the plaintiffs was that the property for which [612]*612the suit was brought had been sold by them to the defendant Waldrop upon the faith of certain representations which he had made to a mercantile agency, that these representations were false, and that they, after discovering this fact,had elected to rescind the contract of sale and had brought the suit in consequence of this election to recover possession of the property sold. The theory of the defendant’s case was that the property had been purchased in good faith, that even if the representations made to the mercantile agency were false, the plaintiffs had not acted upon them, and that 'therefore the sale was not fraudulent and the plaintiffs had no ground for rescission; and that, in addition to this, the plaintiffs had, prior to the institution of the action of trover, elected to treat the sale as valid, this election being manifested by an attachment which had been sued out at their instance against the defendants and levied upon the property as their property, and by an equitable petition which had been filed in aid of such attachment. The reply of the plaintiffs to this contention of the defendants was, that all this was done before they discovered the fraud which had been perpetrated upon them, and that within a reasonable time after the discovery of the fraud they had dismissed the attachment and equitable petition and instituted the present action, thereby electing to treat the sale as void on account of the fraudulent conduct of the defendants. There was evidence which authorized the jury to adopt either view of the matter; and while it can not be said even that the evidence was so strong as to produce a decided preponderance in favor of the plaintiffs, still the verdict of the jury was amply supported. Under such circumstances, after the verdict has been approved by the trial judge, this court will not interfere with his discretion in overruling the motion for a new trial, unless some error of law was committed at the trial which will require a reversal of the judgment refusing a new trial.

2. The motion for a new trial contains twelve grounds. In seven of them the movant sought to raise questions growing out of the admission of testimony which had been objected to by him on the trial. In none of these grounds was the evidence objected to set forth either literally or in substance, or attached to the motion as an exhibit. Such being the case, this court can not consider the assignments of error made in these grounds. Redding v. Lennon, 112 Ga. 491 (1); Allen v. Harris, 113 Ga. 107 (1); Smith v. Black, Id. 166 (2); Bowdoin v. State, Id. 1150.

*

[613]*6133. One ground of the motion complains that the court erred in refusing to hear, either before going into the trial, or at any stage thereof, a general demurrer or motion to dismiss, which had been filed by the defendant Waldrop. This court-has repeatedly ruled that the overruling of a demurrer to a petition can not he properly made a ground of a motion for a new trial. Willbanks v. Untriner, 98 Ga. 801 (1); Shuman v. Smith, 100 Ga. 415 (1); Southern Railway Co. v. Cook, 106 Ga. 450 (1). The refusal of the court tohear a demurrer or motion to dismiss a case is in its effect, so far as the defendant is concerned, the same as if the demurrer or motion to dismiss had been overruled; and the same reason- which would prevent an assignment of error on the one ruling from being made a ground of a motion for a new trial would make an assignment of error in this way on the other improper.

4. Complaint is made in one ground of the motion that the verdict was contrary to a specified portion of the judge’s charge, and in another ground it is alleged that a new trial should be granted because the evidence shows that the plaintiffs had not given credit to Waldrop on the faith of any statements made by him to the mercantile agency or the plaintiffs. These assignments of error are in effect that the verdict is contrary to evidence, and what has been said above with reference to the general grounds of the motion for a new trial disposes of these grounds. Only one ground of the motion for a new trial remains to be considered. In that ground complaint is made that the court erred in charging the jury as follows: You will consider the time when such statements were made, and how much time elapsed between the time of the making of the sale and the time of making the statement to the agency. I charge you that the law does not undertake to fix any particular time, sixty days, thirty days, nor any other time, but leaves it to you to decide whether the credit was given under faith of the statement and as to whether such statement was made contemplating the purchases in question, and thus became fraudulent.” There does not seem to us to he any error in this charge, as it seems to be in substantial accord with the general rule laid down in the case of Newman v. Claflin, 107 Ga. 89, 95, where Mr.

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Bluebook (online)
40 S.E. 830, 114 Ga. 610, 1902 Ga. LEXIS 738, Counsel Stack Legal Research, https://law.counselstack.com/opinion/waldrop-v-wolff-ga-1902.