Wilson v. Harris

54 P. 46, 21 Mont. 374, 1898 Mont. LEXIS 146
CourtMontana Supreme Court
DecidedAugust 1, 1898
StatusPublished
Cited by34 cases

This text of 54 P. 46 (Wilson v. Harris) is published on Counsel Stack Legal Research, covering Montana Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Wilson v. Harris, 54 P. 46, 21 Mont. 374, 1898 Mont. LEXIS 146 (Mo. 1898).

Opinions

Pigoix, J.

Defendants specify 93 errors of law, and 34 particulars in which the evidence is claimed to be insufficient to justify the findings. Many of the questions presented are difficult of solution, and have received from us the painstaking examination and attentive consideration which their importance demands.

1. The first error assigned is the action of the court in overruling defendants’ objection to the introduction of any evidence. It is contended that the complaint is fatally defect[385]*385ive because it omits to charge the insolvency of Bathsheba Harris, and her lack of property other than that covered by the alleged fraudulent sale and assignment. We refrain from expressing an opinion as to the sufficiency of the complaint in this respect. If it be defective in the particular mentioned, the answers doubtless supplied the omission, and so cured the defect. (Crowder v. McDonnell (this day decided by this court), 54 Pac. 43; Hamilton v. Great Falls Railway Co., 17 Mont. at page 341, 42 Pac. 860, and 43 Pac. 713; Pomeroy on Remedies, Sec. 579; Shively v. Land and Water Co. (Cal.) 33 Pac. 848.) This supposed defect in the complaint is the only specific ground presented in this court by defendants’ counsel, in their briefs and oral arguments, in support of the objection to the introduction of evidence because of the want of equity in the complaint; but, notwithstanding this seeming waiver of any other defect in the complaint, we feel that the court cannot regard the silence of counsel as a restriction uyion the legal scope of their general objection. If plaintiffs had a plain, adequate and complete remedy at law, a court of equity should refuse to take jurisdiction; and, indeed, it would be without jurisdiction, for equity may act in those matters only in which no remedy is afforded in the ordinary course of law, or in which the remedy at law is deficient. The court must therefore in every suit brought to invoke the aid of its chancery powers, determine in limine the question whether or not it has jurisdiction; and hence we must decide whether for any reason the complaint fails to state facts sufficient to constitute a cause of action.

When Bathsheba Harris made the assignment, plaintiffs were general creditors of the assignor. They had no lien upon or charge against any of her property; nor did they have an interest under any trust, declared or created, in any way touching the property. Plaintiffs allege, however, that their debtor fraudulently, and for the purpose of hindering, delaying and defrauding them, transferred and delivered to the assignee a portion of her property in trust for the benefit, yiractically, of some only of her creditors, and attempted to screen [386]*386the remainder of her assets by various contrivances, the boldest of which was a fictitious or colorable sale to her daughter of a large and valuable stock of goods, which was delivered to the pretended purchaser a few months before the assignment, and was in her possession at the date thereof. Plaintiffs further state that almost immediately after the assignment they commenced actions against the assignor in the district court, and after the issuance of summons caused a writ of attachment to be issued in each action, which writs were executed by the sheriff through a levy by garnishment on all the effects in the possession of the assignee, and all in the possession of the pretended purchaser; that a judgment was subsequently entered in each of the actions in favor of plaintiffs and against the assignor, and that an execution issued thereon, and was returned as wholly unsatisfied; that thereafter, in one of the actions, proceedings supplemental to the execution were instituted, which resulted in an order of the court directing plaintiffs to bring an action to determine the interests of defendants in the property sought to be reached.

Are these allegations sufficient to entitle plaintiffs to the aid of a court of equity to investigate the proceedings whereby the debtor attempted to dispose of her property ? If true, would they warrant such a court' in enforcing the application of that property to the payment of plaintiffs’ judgment? As all the property involved is personalty, it is manifest that no lien thereon resulted from either the judgments obtained by plaintiffs, or the executions issued and returned unsatisfied. If, therefore, we should decide that it was necessary for plaintiffs to obtain a lien of some sort upon the property, as a prerequisite to a resort to equity for the enforcement of their supposed rights, we must look for that lien as the result of the levying of the attachments issued in plaintiffs’ actions against the assignor, since there are no other proceedings shown by the record whereby any such rights were secured, or attempted to be secured, for plaintiffs.

Did plaintiffs, by the attachment levies set out in the complaint, secure a lien upon any of their debtor’s property? The [387]*387method of executing a writ of attachment was provided by Section 186 of the Code of Civil Procedure (Compiled Statutes of 1887), then in force.

The subdivisions of that section applicable to these supposed levies are as follows: “Third. Personal property capable of manual delivery shall be attached by taking it into custody. ’ ’ “Fifth. Debts and credits, and other personal property not capable of manual delivery, shall be attached by leaving with the person owing such debts, or having in his possession, or under his control, such credits and other personal property, or with his agent, a copy of the writ, and a notice that the debts owing by him to the defendant, or the credits and other personal property in his possession, or under his control, belonging to the defendant, are attached in pursuance of such writ. ”

“Property,” in its appropriate sense, denotes the interest one may have in lands or chattels to the exclusion of others (Ayers v. Lawrence, 59 N Y. at page 198; Chicago & W. I. R. Co. v. Englewood R. R. Co., 115 Ill. at page 385, 4 N. E. 246; Denver v. Brayer, 7 Colo. 118, 2 Pac. 6), although the word is frequently employed to indicate the subject of the property, rather than the property itself. (19 Am. and Eng. Ency. Law, 284.) A chattel may be the subject of distinct properties held by several persons. One may have the right to possession or use, or both, while another holds the legal title to the corporeal thing, subject to the interest of the pos sessor. The one has the special, and the other the general,. ownership. The one has the right to the chattel, and the other an interest in it. The right or interest of each is his personal property. Where one person is possessed and entitled to possession of a chattel which is owned by the debtor, or in which he has an interest, the “personal property” subject to attachment as that of the debtor is the interest of the debtor in the chattel, and is not the res itself. The chattel so owned may be, and usually is, capable of manual delivery, but the present possession and .right thereto are not in the debtor. In such case the interest of the debtor in the chattel existing in [388]*388prwsenti, but to be enjoyed in futuro as a right to it, is not capable of manual delivery; nor is the chattel itself, the seizure' of which cannot be made without invading and disregarding the right of the possessor, so capable, within the meaning of the statute.

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Bluebook (online)
54 P. 46, 21 Mont. 374, 1898 Mont. LEXIS 146, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wilson-v-harris-mont-1898.