Watts v. Jackson

1919 OK 195, 182 P. 508, 75 Okla. 123, 1919 Okla. LEXIS 39
CourtSupreme Court of Oklahoma
DecidedJuly 1, 1919
Docket7338
StatusPublished
Cited by14 cases

This text of 1919 OK 195 (Watts v. Jackson) 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
Watts v. Jackson, 1919 OK 195, 182 P. 508, 75 Okla. 123, 1919 Okla. LEXIS 39 (Okla. 1919).

Opinion

RAINEY, J.

This case involves the purchase by the plaintiff in error, Charles G. Watts, of a tract of land belonging to the estate of Bethena Jackson, defendant in error, a Creek freedman minor, at the confirmation of a guardianship sale while the alleged relationship of attorney and client existed between the parties.

At the threshold of the case, we must determine the rule of law applicable to such transactions. There are a few eases holding that an attorney is under an absolute disability to purchase the subject-matter of his retainer or pending or prospective litigation *124 of his client; but the weight of authority is that such purchases are not absolutely void, but will only be upheld in cases where the purchase is made in the utmost good faith and fairness for an adequate consideration, and where it is shown that the attorney fully informed his client of all the material facts and gave the same disinterested advice he would have given had the sale been made to a stranger. 2 Ruling Case Law, see. 48; 6 Corpus Juris, p. 684, sec. 209, and cases cited in note to Crocheron v. Savage, 23 L. R. A. (N. S.) 679.

The correct rule, we think, is well stated by the Supreme Court of Wisconsin in Young v. Murphy, 120 Wis. 49, 97 N. W. 496, as follows:

“If an attorney purchase his client’s property, concerning which his advice is sought, the transaction is always viewed with suspicion, and the attorney assumes the heavy burden of proving, not only that there was no overreaching of the client, but that the client acted upon the fullest information and advice as to his rights. In other words, the attorney must prove uberrima fides, or the transaction will be set aside by a court of equity.”

The rule is not peculiarly applicable to cases of attorney and client, but is one governing all 'cases where a fiduciary relationship exists, and has been very clearly expressed in the ease of Daniel v. Tolon, 53 Okla. 666, 157 Pac. 756, wherein this court, in an opinion by Mr. Justice Sharp, said:

“While ‘equity does not deny the possibility of valid transactions between parties, where a fiduciary relationship exists, yet because every such relation implies a condition of superiority held by one of the parties over the other, in every transaction between them by .which the superior party obtains a possible benefit, eq.uity raises a presumption against its validity, and casts upon that party the burden of proving affirmatively its compliance with equitable 'riequisiteSs and of •thereby overcoming the' presumption. The broad principle on which the court acts in cases of this description is that' wherever there exists such a confidence, of whatever character that confidence may be, as enables the person in whom confidence or trust is reposed to exert influence over the person trusting him, the court will not allow any transaction between the parties to stand, unless there has been the fullest and fairest explanation and communication of every particular resting in the breast of the one who seeks to establish a contract with the person so trusting him. Whenever two persons stand in such a relation that, while it continues, confidence is necessarily reposed by one, and the influence which naturally grows out of that confidence is possessed by the other, and this' confidence is abused, or the influences exerted to obtain an advantage at the expense of the confiding party, the person so availing himself of his position will not be permitted to retain the advantage, although the transaction could not have been impeached if no such confidential relation had existed. Tate v. Williamson, L. R. 1 Eq. 536; Tate v. Williamson, L. R. 2 Ch. 55, 60; Rhodes v. Bate, L. R. 1 Ch. 252, 257. The principle announced and its effect upon the rights and liabilities of the parties thereto extends to transactions between a trustee and a beneficiary, principal and agent, attorney and client, guardian and ward, parent and child, as well as to other relations.”

Measured by this high standard, there are few purchases of property by an attorney from his client that will be upheld; but, after careful consideration, we have decided that the plaintiff in error has discharged the heavy burden resting upon him, and that the sale in the instant case was valid.

It appears from the findings of the trial court and from the evidence adduced at the trial that the plaintiff in error, Charles G. Watts, then a practicing attorney (now one of the district judges of the Third judicial district of this state), was employed by the defendant. in error, Bethena Jackson, nee Colbert, a married woman, but who lacked a few months of arriving at her majority, according to the Creek freedman rolls, her father, and J. S. Parker, her friend, to protest at the confirmation of a guardian’s sale of her land which had been ordered by the county court upon petition filed by her guardian, S. B. Barnett. The sale had been duly advertised, bids were in, and the sale was ready for confirmation on the 30th day of December, 1911. Judge Watts was not the attorney for the guardian in the sale proceedings. He explained to his clients the difficulty in defeating the confirmation, due to the fact that the court had already adjudged the necessity of the sale at the time of entering the decree of sale; but he agreed to do all he could to prevent its confirmation, and, accordingly, on the date set, did, as attorney for the plaintiff and her father, file with the 'county court a written protest against the confirmation of said sale, and appeared in court and made an argument in their behalf opposing the confirmation. The objections to the confirmation were overruled by the court, whereupon Judge Watts privately consulted with his clients and explained to them that they could appeal from the decision of the county court overruling the protest to the district court by giving the proper bond. They then informed him that they were unable to appeal, and, after having been advised that they would not appeal, he suggested that he could go before the court and by raising the bid, as authorized by section 6386, Rev. Laws 1910, make the land bring *125 all that he could. They approved of this procedure and stated that if he could, make it bring as much as $5,000 they believed that they had just as well sell it. Judge Watts accordingly went into court, and after bidding back and forth with two or three other bidders finally purchased the land at $5,030, which was $700 in excess of the original bid. After the sale, he offered to convey the land to his clients for the amount of his bid. The trial court found that at the time of the purchase Judge Watts was attorney for the plaintiff and her father in protesting, before the county court the confirmation of the sale, and:

“That he purchased said real estate after the protest was overruled in his own name, that there is nothing in the evidence which shows any corrupt or wrongful motive on the part of the defendant Watts, but, on the other hand, the evidence shows that he was acting in the interest of his clients, and that his only purpose after the protest was overruled was to see that the land sold for as much as could possibly be obtained for it, and it did actually sell for a considerable sum in excess of the amount bid at the original sale.

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

Related

Allison v. Caruthers
1952 OK 1 (Supreme Court of Oklahoma, 1952)
Bank of Mill Creek v. Elk Horn Coal Corp.
57 S.E.2d 736 (West Virginia Supreme Court, 1950)
Thomas v. Wilson
1947 OK 179 (Supreme Court of Oklahoma, 1947)
Gragg v. Pruitt
1936 OK 842 (Supreme Court of Oklahoma, 1936)
Hagler v. Bishop
1931 OK 711 (Supreme Court of Oklahoma, 1931)
Harrison v. Reed
1931 OK 684 (Supreme Court of Oklahoma, 1931)
Gill v. Nachtrieb
48 F.2d 741 (Tenth Circuit, 1931)
Wolfe v. Bass Furn. & Carpet Co.
1930 OK 599 (Supreme Court of Oklahoma, 1930)
Harjo v. Collins
1930 OK 369 (Supreme Court of Oklahoma, 1930)
Musgraves v. First Nat. Bank
1929 OK 486 (Supreme Court of Oklahoma, 1929)
Jones v. Brown
1929 OK 410 (Supreme Court of Oklahoma, 1929)
Minton v. Roberts
1926 OK 439 (Supreme Court of Oklahoma, 1926)
Oliphint v. Western Indemnity Co.
1922 OK 29 (Supreme Court of Oklahoma, 1922)
Clinton v. Miller
1919 OK 266 (Supreme Court of Oklahoma, 1919)

Cite This Page — Counsel Stack

Bluebook (online)
1919 OK 195, 182 P. 508, 75 Okla. 123, 1919 Okla. LEXIS 39, Counsel Stack Legal Research, https://law.counselstack.com/opinion/watts-v-jackson-okla-1919.