Wilson v. Rodgers

494 S.W.2d 484, 254 Ark. 487, 1973 Ark. LEXIS 1540
CourtSupreme Court of Arkansas
DecidedMay 21, 1973
Docket73-12
StatusPublished
Cited by1 cases

This text of 494 S.W.2d 484 (Wilson v. Rodgers) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Wilson v. Rodgers, 494 S.W.2d 484, 254 Ark. 487, 1973 Ark. LEXIS 1540 (Ark. 1973).

Opinions

Carleton Harris, Chief Justice.

This is the second appeal of this case1 which relates to whether certain realty belonged to a partnership composed of two brothers, or whether such realty belonged to only one of the brothers. There is no need to further detail the facts as these previous opinions fully discuss the factual situation. After first affirming the decree of the Arkansas County Chancery Court, this court, on rehearing, held that the case had been tried upon an erroneous theory, noted that the evidence was deficient in several particulars, set aside our opinion, and remanded the case back to the Arkansas County Chancery Court for further consideration. In doing so, we directed the trial court to permit additional evidence to be offered on five points, as follows:

“1. How the record title to the lands was held, and the identity of the grantee in any unrecorded deeds conveying the property.
2. The reasons for taking the title in the names of the grantees of all conveyances of lands alleged to be partnership property, rather than in the names of the two alleged partners.
3. The names in which bank accounts were held, the source of funds deposited thereto, the person authorized to draw checks on each such account, the arrangements between the depositors and the banks, and the disposition of the funds deposited.
4. The source of the funds used to pay the purchase price of any of the lands in which the grantee in the deeds when purchased was George Wilson.
5. Any accountings between the partners and withdrawal of partnership funds by the individual partners for their own account.”

Perhaps we did not make clear in our per curiam order on rehearing exactly what the trial court should do, for it is evident that the chancellor did not construe the order as we intended. Apparently, the trial court was of the view that it had been directed to permit evidence on the five points heretofore enumerated, and if the additional evidence was not sufficient to justify a different conclusion, the original opinion of this court would stand. That this is true appears evident from the comments of the chancellor on retrial. As to point one, the appellees introduced a fourth warranty deed dated January 15, 1946 from C. F. McPherson and wife to George Wilson2, but the identity of the grantee in the remaining tract of land was not shown by either side and the court, summing up as to one point, stated:

“So, as to Point 1, this Court is of the opinion that except as herein noted no such further evidence was elicited or introduced as would change the balance of the sufficiency of the evidence to meet the burden of proof or the burden of persuasion.”

As to point two, the court found that no further evidence was offered on retrial, and accordingly only the evidence introduced in the original trial would have any bearing on the sufficiency of the evidence. “Therefore, retrial did nothing to dispose of the dilemma of persuasion.”

As to point three, the trial court found that the evidence offered by appellant “is not substantially different from that introduced in the original trial.” Though stating that it was somewhat more comprehensive in scope, the chancellor then stated that such evidence “in and of itself (our emphasis) does not sufficiently convince this court as to the partnership theory of the ownership of the land.”

As to point four, the court found that the evidence offered by appellant was no more enlightening on the matter of the source of funds, or whose funds purchased the land than was the evidence in the original trial. The court then said, “This court does not believe sufficient additional evidence on retrial (Our emphasis) has been introduced to support a finding of fact that the funds used to pay the purchase price of the lands at the time of purchase, in which George Wilson was the grantee in recorded conveyances, and even as to the one tract where there was no recorded instrument, where in fact parthership funds notwithstanding that the source of those funds came from the partnership.”

As to point five, the court commented that there had been no additional evidence.

Finally, the court stated:

“The Court is of the opinion that the finding of the majority of the Supreme Court that the overall testimony left the circumstantial evidence as to.ownership so evenly balanced that it could not be said that a preponderance lay either way is the ‘law of the case.’ That therefore that finding of the Court on appeal as to the sufficiency of the evidence controls the decision of this Court. (Our emphasis) This Court accordingly is not persuaded by the evidence introduced on retrial that there is a change in the sufficiency of the evidence.”

We think it is apparent from the findings set out that the chancellor, though stating that the majority opinion, dissenting opinion and opinion on rehearing were read many dmes, in rendering his decision, did not consider the entire record, but only whether the additional evidence was sufficient to change the original result (both in the trial court and supreme court). This is why it appears that our per curiam order was evidently not clear for, in granting the rehearing, we intended that our original opinion be set aside, and in remanding the case, intended that the chancellor consider all of the evidence, presented at both the first and second trials, in rendering his decision.

The per curiam opinion does not flatly state that the case was tried on an erroneous theory, but the language of the opinion, we think, clearly indicates that this was the view of the court. For instance, after stating that the general rule in equity cases is that, with all the record fully developed, we generally decide the case here instead of remanding it to the chancery court, we then stated:

“Yet there are exceptions. This court has the power, in furtherance of justice, to remand any case in equity for further proceedings. Carmack v. Lovett, 44 Ark. 180. We have done this when the chancery court had based its decision on an erroneous theory. ###
“When we can plainly see what the rights and equities of the parties are, we will not remand a chancery cause. Pickett v. Ferguson, 45 Ark. 177, 55 Am. St. R. 545. On the other hand, when it is clear that the cause was tried in the chancery court upon an erroneous theory, and we are unable to determine from the evidence before us the decree that should have been rendered, we will, in furtherance of justice, remand the cause to be reopened, to permit further proof so the case may be determined upon the proper principles. Long v. Charles T. Abeles, supra (on rehearing). In Fordyce v. Vickers, supra, we said:

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

Related

Wilson v. Rodgers
507 S.W.2d 508 (Supreme Court of Arkansas, 1974)

Cite This Page — Counsel Stack

Bluebook (online)
494 S.W.2d 484, 254 Ark. 487, 1973 Ark. LEXIS 1540, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wilson-v-rodgers-ark-1973.