Wallace v. Wallace

182 S.E.2d 60, 256 S.C. 294, 1971 S.C. LEXIS 302
CourtSupreme Court of South Carolina
DecidedJune 16, 1971
Docket19242
StatusPublished

This text of 182 S.E.2d 60 (Wallace v. Wallace) 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
Wallace v. Wallace, 182 S.E.2d 60, 256 S.C. 294, 1971 S.C. LEXIS 302 (S.C. 1971).

Opinion

Lewis, Justice:

This action involves the ownership of certain shares of stock registered in the name of J. W. Wallace, Sr., at the time of his death in 1928 and the right of plaintiff, an heir at law, to now require the defendant as administrator of the estate of the deceased, to account for the stock.

[297]*297The late J. W. Wallace, Sr., died intestate on January-10, 1928, and his son, the defendant-appellant, M. C. Wallace, was appointed administrator of his estate on January 28, 1928. The present heirs at law of the deceased are his three sons: plaintiff-respondent, W. G. Wallace; appellant; and J. W. Wallace, Jr., who is not a party to this action.

At the time of the death of J. W. Wallace, Sr., there was registered in his name four shares of the stock of Mount Hope Cemetery Association of Florence, South Carolina. These shares of stock were duly listed as property of the deceased in the inventory and return of the appraisers of the estate, filed in the office of the Probate Judge for Florence County on February 28, 1928. Attached to the return of the appraisers was a sworn statement by appellant, as administrator, that the inventory was correct and contained a true statement of all of the real and personal property of the deceased.

Thereafter, on April 30, 1928, without the knowledge of respondent or court approval, in so far as this record shows, appellant, as administrator, claiming that he owned the stock, transferred the same to J. W. Wallace, Jr. On August 31, 1961, respondent addressed a letter to appellant requesting that he make distribution of the stock among the heirs. The requested distribution was not made and this action was instituted in January 1962, in which the court was asked to require appellant to account to respondent for his distributive share (1/3) of the stock.

Thereafter, on June 1, 1966, J. W. Wallace, Jr., transferred the stock to appellant, individually; and the stock is now registered in his name. J. W. Wallace, Jr. claims no interest in the stock.

Upon the service of the complaint, appellant filed an answer in which he denied that the deceased ever owned any interest in the four shares of stock. He further alleged that in 1925 he purchased a number of shares of stock in the Mount Hope Cemetery Association and caused four shares [298]*298thereof to be registered in the name of the deceased for the sole purpose of having the deceased serve on the Board of Directors of the corporation. Appellant claims, in effect, a resulting trust in the stock in his favor. He admits that he transferred the stock from the estate without accounting to the heirs but asserts that he did so because the stock was owned by him.

The Master, to whom the factual issues were referred, and the trial judge concurred in findings that appellant had failed to establish his ownership of the stock in question, and ordered appellant to account to respondent for his distributive share.

This action was brought in the Civil Court of Florence, the jurisdiction of which, when this action was instituted, was limited to cases in which the claim did not exceed $11,000.00. Section 15-1608, 1962 Code of Laws. Appellant challenges in this appeal, for the first time, the jurisdiction of the lower court upon the ground that the value of the stock in controversy exceeded the foregoing jurisdictional limit. No fraud is charged; only that the stock was worth more than $11,000.00.

We held in Piana v. Piana, 239 S. C. 367, 123 S. E. (2d) 297, that, as a general rule, “the jurisdiction of a court depends upon the state of affairs existing at the time it is invoked.” The jurisdiction of the lower court depended upon the amount in controversy, which must therefore be determined as of January 1962, when the action was instituted.

In the absence of the issue being raised by some appropriate defensive pleading, the amount in controversy, for jurisdictional purposes, is ordinarily determined from the allegations of the complaint. DuPre v. Gilland, 156 S. C. 109, 152 S. E. 873; Williams v. Workman, 113 S. C. 487, 101 S. E. 833; 21 C. J. S. Courts § 69; 20 Am. Jur. (2d), Courts, Sections 155 and 156.

The complaint in this action alleged that “the value of the shares of stock in controversy does not exceed the jur[299]*299isdictional limits of this court.” This allegation was admitted in the answer of the appellant.

Upon the service of the complaint, appellant had the right to object to the allegation as to the value of the stock. Instead of doing so, he admitted that such was true. The failure of appellant to timely contest the allegation of the complaint relative to the amount in controversy constituted a waiver of the right to thereafter object to the value so placed by plaintiff on the property for jurisdictional purposes; and upon which the court has proceeded to exercise jurisdiction.

The uncontested allegation of the complaint as to the value of the stock in question determined jurisdiction. The record shows the requisite jurisdictional facts and the objection to the jurisdiction of the lower court is therefore overruled.

A further preliminary question concerns the refusal to permit appellant to amend his answer so as to allege the defense of estoppel. The motion to amend' the answer was made during the first hearing before the Master. The Master refused the motion and his action was affirmed by the trial judge.

The facts upon which the alleged estoppel was based were known to appellant for approximately one year prior to the time the motion to amend was made. No reason appears for the delay until the trial was in progress to attempt to interpose this new defense. Under these circumstances, we find no abuse of discretion on the part of the lower court in denying the motion to amend the answer.

Appellant also contends that this action is barred by the equitable doctrine of laches.

Although appellant was appointed administrator in 1928, he has never been discharged by the probate court. It does appear that an application for a final discharge was made in August 1965, after this action was instituted. The present record is silent as to any distribution of the per[300]*300sonal property of the estate; nor is there any showing that an accounting has ever been made to the probate court.

It is true that the present action was not brought until approximately thirty-three years after distribution of the estate could have been demanded. On the other hand, the administrator had the same length of time in which to wind up the affairs of the estate. It may well be that there were circumstances which might explain the delay. If so, they have not been shown in this record. We have before us only that appellant was appointed administrator in 1928; he has never received his final discharge as such; and nothing to show a distribution of the personal estate or that an accounting has been filed. Assuming, as contended by appellant, that a presumption of payment or distribution to the heirs of the personal property might arise from such long lapse of time, such would not apply to the stock involved in this action. Appellant does not defend upon the ground that the stock was distributed to the heirs, but rather upon the ground that the stock was transferred from the estate under a claim of ownership by him. Such claim affords no basis for a presumption of distribution to the heirs.

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Related

Piana v. Piana
123 S.E.2d 297 (Supreme Court of South Carolina, 1961)
Privette v. Garrison
110 S.E.2d 17 (Supreme Court of South Carolina, 1959)
Charleston Library Society v. Citizens & Southern National Bank
23 S.E.2d 362 (Supreme Court of South Carolina, 1942)
Dupre v. Gilland
152 S.E. 873 (Supreme Court of South Carolina, 1930)
Williams v. Workman
101 S.E. 833 (Supreme Court of South Carolina, 1920)

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Bluebook (online)
182 S.E.2d 60, 256 S.C. 294, 1971 S.C. LEXIS 302, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wallace-v-wallace-sc-1971.