Wilson v. Gordon

66 S.E. 675, 84 S.C. 444, 1910 S.C. LEXIS 166
CourtSupreme Court of South Carolina
DecidedJanuary 8, 1910
Docket7411
StatusPublished
Cited by7 cases

This text of 66 S.E. 675 (Wilson v. Gordon) 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
Wilson v. Gordon, 66 S.E. 675, 84 S.C. 444, 1910 S.C. LEXIS 166 (S.C. 1910).

Opinion

The opinion of the Court was delivered by

Mr. Chief Justice Jones.

This is an appeal by Mrs. Jane W. Crymes, defendant, from a decree of Judge J. C. Klugh, rendered January 30, 1909, upon a petition and rule to show cause why the interest of Mrs. Crymes in the proceeds of land sold as part of the estate of Jane E. Gordon, deceased, should not be applied to the payment of certain debts alleged to be due by Mrs. Crymes to the estate of Jane E. Gordon. Mrs. Crymes answered setting up claim to all the property real and personal of Jane C. Gordon under an alleged agreement between Jane. E.. Gordon and her sister, Mary W. Gordon, to execute mutual wills so that, upon the death of the survivor, the entire property of both should go to Mrs. Crymes and her children. The children of Mrs. Crymes and H. C. Wilson, executor of the will of Mary W. Gordon, were made parties in accordance with the prayer of the answer. The answer further prayed for specific performance of said alleged agreement to execute mutual wills, and that the administrator of Jane L. Gordon be required to turn over all the personal property in his hands, and for all other proper relief in the premises. Special *446 Judge J. E. McDonald sustained the contention of Mrs. Crymes, and adjudged her and her children to be equitable owners of the estate of Jáne D. Gordon, and that they were entitled “to an amount of the personal estate which has come, or may hereafter come, into the hands of the plaintiff, M. Harvey Wilson, as administrator of the estate of Jane D. Gordon, deceased.” It thus appears that at the instance of Mrs. Crymes, the scope of the original action was so enlarged as that it would not be improper to include adjustment of her indebtedness to the estate of Jane L. Gordon sought to be partitioned. On appeal to the Supreme Court, the decree of Judge McDonald was reversed, and; the case remanded for further proceedings consistent with the opinion of the Court: 73 S. C., 157, 53 S. E., 79. The lands were afterwards sold, and the proceeds went into the hands of the master. By a subsequent decree of Judge Purdy, other claimants as ultimate remaindermen under the eighth clause of the will of R. C. Gordon were made parties, and their rights adjudicated, resulting in holding'the administrator of Jane L. Gordon liable to account to such claimants for proceeds of certain household articles that went into his hands as administrator, 81 S. C., 413, 61 S. E., 85, showing the broad scope which this case assumed. The decree of Judge Purdy, from which Mrs. Crymes did not appeal, also directs the master to hold the one-twelfth interest of Mrs. Crymes in the proceeds of the land subject to the further order of the Court, and recites that a petition has been filed seeking to subject such interest to the payment of an alleged debt, and allowing the petitioners to proceed herein to establish said claim, and apply for such orders as may be necessary or proper.

1 From the foregoing statement, it seems clear that the judgment of the Circuit Court should not be disturbed on the ground that the relief granted was not within the scope of the action. In re Estate of Permelia Bugg, 71 S. C., 440, 51 S. E. 363.

*447 2 The contention that the establishment of the claim against appellant was a denial oí the right of a trial before a jury cannot be sustained.. This was not “an issue of fact in an action for the recovery of money only, or specific real or personal property” requiring trial by jury, but was a strictly equitable issue, involving the ascertainment of the extent of the right of an estate under settlement to retain from appellant’s interest therein the amount due by her to the estate. Hughes v. Kirkpatrick, 37 S. C., 169, 15 S. E., 912; Jenkins v. Jenkins, 83 S. C., 537, 65 S. E. Rep., 736.

3 The petition alleged, and the testimony shows that immediately after the death of Mrs. Jane R. Gordon, appellant took possession of a note dated February 20, 1895, purporting to be executed by H. C. Wilson & Co. for $1,367.46, payable one day after date to the order of Jane E. Gordon, and it appears that she kept said note in her possession until the hearing in this proceeding. Judge Klugh found, as a matter of fact, that appellant was a member of the partnership of H. C. Wilson & Co., and liable for the balance which he ascertained to be due on said note after credits at the date of his decree viz., $1,676.82. Exception taken to the ascertainment of the amount due on the note has been withdrawn, but it is contended that the finding that appellant was a member of the said partnership is without sufficient evidence to sustain it.

After reviewing the testimony, we cannot say that the conclusion of the Circuit Court is against the preponderance of the evidence. Appellant in her direct testimony stated that she and H. C. Wilson, her son-in-law, never had a partnership contract, verbal or written; that she put no money in the business of H. C. Wilson & Co., received no profits, and was not called on to pay any losses. On cross-examination in answer to the question, “Who composed the firm of H. C. Wilson & Co.,” she answered: “I don’t know exactly. He may have used my name, the supposition was *448 that I Was a member of the firm of H. C. Wilson & Co.” There was uncontradicted evidence that the day after the burial of Jane E- Gordon, appellant told witness, W. J. Milford, “that she had her note,” and the testimony shows that there was no other note signed by appellant or H. C. Wilson & Co. In a letter to the administrator the appellant wrote: “So I told Mr. Milford I would take the note (I didn’t steal it), and he might tell the administrator about it, whoever he may be.” The solicitude of appellant to secure possession of the note, which she called her note, and which purported to be executed by a partnership, of which she was aware the community supposed her to be a member, afforded some evidence that she knowingly permitted herself to be held out as a partner. Partnership may be shown by circumstantial evidence “in an action by a third person against alleged partners, according to the rules elsewhere stated, it is sufficient to establish their liability to show the admissions of such fact by the alleged partners or that they held themselves out to the public as such.” 3 Elliot on Ev., sec. 2546. In sec. 2557 the same author says: “Proof by holding out— nature and degree. No absolute rule can be given as to the quantity or degree of proof necessary in such cases. But in such cases it is not necessary to prove an actual existing partnership between the persons sought to be charged. An apology for a general rule may be found in the statement that the proof is sufficient to render a party liable as a partner when it shows that he so acted and conducted himself toward the public as to induce a reasonable person to deal with him in the honest belief that the partnership really existed. In such cases it is not necessary to prove that the party holding himself out as a partner shares in the profits or losses, as this can in no way affect the person acting on-the belief that he is in fact a member of the firm. Mr.

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Bluebook (online)
66 S.E. 675, 84 S.C. 444, 1910 S.C. LEXIS 166, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wilson-v-gordon-sc-1910.