123 Kan. 711 | Kan. | 1927
The opinion of the court was delivered by
The action was one of replevin to obtain possession of hotel furniture. Plaintiff recovered and defendant appeals.
Plaintiff claimed ownership and right of immediate possession. Defendant denied plaintiff’s claim, alleged ownership and right of possession in himself, and right of possession depended on who owned the property. Plaintiff purchased from defendant land on which stood a hotel operated by a tenant, and there was ample oral evidence that the sale included the hotel furniture owned by defendant, possession of which defendant surrendered to plaintiff with possession of the hotel. More than two years later defendant gained occupancy of the hotel by an assignment of a lease, and on being notified by plaintiff to quit removed the furniture at night. • A scrivener wrote a contract of sale of the real estate which the'parties signed. The instrument made no mention of the personal property. Defendant contended the writing alone could be looked to for evidence of the transaction, and the parol evidence by which sale of the furniture was established was inadmissible.
The writing was appropriate to evidence a sale of real estate to be consummated in the future, and was devoted to that subject. It was unambiguous, made no reference to any item of personal property, and contained nothing to indicate the parties were dealing with respect to any subject except land ,and matters incidental to the land described. The parties were not obliged to extend the writing beyond the single subject of land. They could leave personal property included in the transaction of sale to be transferred by bill of sale or by delivery on payment of price. (St. L. L. & W. Rly. Co. v. Maddox, 18 Kan. 546.) Such an arrangement would not contradict any provision of the land contract because it purported to relate to land only. Was it the intention of the parties to limit the writing to that single subject of negotiation? If so, the other subject of negotiation resting in parol could be proved by parol, and intention was a question of fact, to be determined by investigating conversations, conduct and circumstances. When the court, not the jury,
The scrivener could recall nothing said to him by way of information from which he prepared the contract. The evidence relating to what was said to him was that furniture was not referred to, either as a part of the property involved in the trade or as something reserved by defendant because not involved in the trade. Plaintiff testified he and defendant went to the scrivener’s office to get the lot and block numbers, and the personal property was not mentioned because that had been talked over before. From this and other evidence the court was authorized to conclude that the writing was complete, that it related to land only, and that the parol-evidence rule did not apply; and consequently was authorized to permit parol proof as to what, if anything besides land, the transaction in fact embraced. The court submitted this question to the jury under instructions not complained of if the parol evidence was competent, and as indicated there was abundant evidence that defendant sold and delivered the' furniture with the hotel.
In 5 Wigmore on Evidence, 2d ed., sections 2430 and 2431, the troublesome question presented by this appeal is discussed by the learned author with great acumen. The following quotations indicate the trend of the discussion:
“The most usual controversy arises in cases of partial integration, i. e., where a certain part of a transaction has been embodied in a single writing, but another part has been left in some other form. . . . More correctly, the inquiry is whether the writing was intended to cover a certain subject of negotiation; ... In searching for a general test for this inquiry, three propositions at least are capable of being generally laid down:
“(1) Where a particular subject of negotiation is embodied by the writing depends wholly upon the intent of the parties thereto. . . . The parties are not obliged to embody their transaction in a single document; yet they may, if they choose. Hence it becomes merely a question whether they have intended to do so.
“(2) This intent must be sought where always intent must be sought, . . . namely, in the conduct and language of the parties and the surrounding circumstances. The document alone will not suffice. What it was intended to cover cannot be known till we know what there was to cover. The question being whether certain subjects of negotiation were intended to be covered, we must compare the writing and the negotiations before we can determine whether they were in fact covered. . . . These alleged negotiations are re*714 ceived only provisionally. Although in form the witnesses may be allowed to recite the facts, yet in truth the facts will be afterwards treated as immaterial and legally void, if the rule is held applicable. There is a preliminary question for the judge to decide as to the intent of the parties, and upon this he hears evidence on both sides. [Of course, not always in form; but he considers the data pro and con. Sometimes, but erroneously, the question of intent is left to the jury.] His decision here, pro or con, concerns merely this question preliminary to the ruling of law. If he decides that the transaction was covered by the writing, he does not decide that the excluded negotiations did not take place, but merely that if they did take place they are nevertheless legally immaterial. If he decides that the transaction was not intended to be covered by the writing, he does not decide that the negotiations did take place, but merely that if they did, they are legally effective, and he then leaves to the jury the determination of fact whether they did take place. . . .
“(3) In deciding upon this intent, the chief and most satisfactory index for the judge is found in the circumstance whether or not the particular element of the alleged extrinsic negotiation is dealt with \it all in the writing. If it is mentioned, covered, or dealt with in the writing, then presumably the writing was meant to represent all of the transaction on that element; if it is not, then probably the wilting was not intended to embody that element of the negotiation. This test is the one used by the most careful judges. . . .
“It has occasionally been laid down that, in ascertaining, in the first instance, the parties’ intent to embody or not in the writing certain subjects of negotiation, ‘the writing is the sole criterion,’ i. e., no search for data of intent can be made outside the four corners of the document; . . .
“Such a proposition, however, is untenable, both on principle and in practice. In practice, it is not enforced by its theoretical advocates. In theory, its fallacy is indicated by what has been already- noticed {ante, §2430).” (pp. 307, 308, 309, 310.)
The case of Bretto v. Levine, 50 Minn. 168, is cited in support of this text. In that case oral negotiations of sale of a store building, shelving considered as a part of the real estate, and personal property in the store, were consummated in part by deed which did not refer to the personal property. In an action by the purchaser to recover possession of the personal property from the seller, oral evidence was received to show that the sale included the personal property. The opinion of the court is instructive, and the conclusion is indicated by the headnote, which reads:
“A deed of conveyance of real estate, which embraces a store building provided with shelving, contained the clause, ‘This grant includes all the shelving in the building.’ Held, that the deed is not to be taken as intended to express or constitute the exclusive evidence of the whole contract or transaction, which resulted in the giving of the deed, so as to render incompetent parol proof of a sale of personal property at the same time.” (p. 168.)
In the present instance the written instrument did not by itself
The judgment of the district court is affirmed.