12 App. D.C. 51 | D.C. Cir. | 1898
delivered the opinion of the Court:
1. This was an action of ejectment brought to recover the possession of part of lot 10 in block 1031 of the ciify of Washington, and the appellants, Lucy T. Davis, Millard P. McCormick, and the Virginia-Alabama Co., who were the plaintiffs below, appealed from a judgment against them. They claim as heirs at law and grantees of heirs at law of Richard Young, who is the common source of title. The defendants, Louis Coblens and Martin Lauer, and their grantors claimed title under an execution sale upon a judgment against said Richard Young some time in the year 1826. The conveyance under that sale was a nullity because at the time of the levy and sale the defendant in execution had but an equity of redemption in the lot. Van Ness v.
The chief point of the contention is in respect of the sufficiency of this evidence to warrant its submission to the jury; but before considering that, several preliminary points require determination.
2. The first of these arises on an exception taken to the latitude of cross-examination permitted by the court of one of plaintiff’s witnesses. The title to a part of the lot in controversy had once been conveyed by some of the heirs of Richard Young to one John H. Walter, who had subsequently reconveyed to some of the plaintiffs. The deed was a general conveyance of lands and interest therein, including lot 10 aforesaid, by reference to another deed, and contained a clause, “saving and excepting from this conveyance so much of all the lands and tenements above mentioned as had been conveyed by the party of the first part (said Walter) to other persons prior to,” &c.
Walter was offered as a witness to prove that lot 10 had not been conveyed by him to any one else. He testified from memory without having refreshed the same by an examination of the records. The cross-examination took a wide range in respect of the many conveyances the witness had made within a few years, and the plaintiffs objected thereto because it was not responsive to the examination in chief and was not relevant to the issues. The objection was overruled. The latitude to be indulged in the cross-examination of a witness for the purpose of testing his credibility varies with the particular circumstances of the case, and is like that in respect of leading questions, a matter necessarily very largely within the discretion of the trial court. Holtzman v. Douglass, 5 App. D. C. 405. The complaint here made is that the cross-examination was chiefly for the purpose of showing that the witness was a dealer in speculative
3. Another error is assigned on the modification of an instruction asked by plaintiffs in respect of the evidence given by the said witness, John H. Walter.
The instruction was, that as there was no testimony tending to rebut the evidence of the witness as to the fact that he had never conveyed lot 10 to any one before his deed to the plaintiffs, “ the jury would not be justified in finding to the contrary.” The court struck out these last words and substituted therefor the following: “ The weight to be given his testimony is a proper question for the jury.” Ordinarily, instructions singling out the evidence of a particular witness ought to be avoided. The court has no right to instruct the jury that they must believe an uncontradicted witness, notwithstanding it might be improper for them not to do so, under all the circumstances, and it was not error to inform them that the weight to be given his testimony was for their consideration, although it would have been better practice to refuse the charge as asked, and omit all reference to the witness. Met. R. Co. v. Jones, 1 App. D. C. 200, 207. For the same reasons given in discussing the exceptions taken to the cross-examination of the same witness, if error were conceded, the judgment would not be reversed therefor.
“The defendants thereupon further offered evidence tending to prove that on March 8, 1875, Isaac P. Childs & grantee of the whole of square 1031 under a deed from Alexander P. Shepherd, bearing date the 22d day of February, 1875, the same being one of the chain of conveyances offered in evidence by the plaintiffs as tending to show a common source of title, took possession of the whole of said square, converted it into a brick yard, and continued to hold and use it as such, openly, notoriously, exclusively, continuously, and in a manner hostile to all the world, until January, 1892, when he and his immediate grantees sold and conveyed the said square as an entirety to the defendants for sixty-seven thousand dollars, of which thirty thousand was paid in cash and thirty-seven thousand dollars, deferred purchase-money, was secured upon the ground by a deed of trust, upon which the defendants have ever since paid the interest; that by the terms of the sale said Childs & Sons were to be allowed until February, 1893, to remove from said square; that they continued in occupation and possession of the whole of said square under said defendants, paying rent therefor down to the month of October, 1893, with the consent of said defendants, and that they held said square for some time after October without the consent of the defendants, but not disputing their title, being tenants holding over; that they removed the greater part of their effects from said square in the late fall or early winter of 1893-4, but did not remove entirely until about the month of May, 1895; that the first structure placed by
“‘I don’t know but what the rollers might have been on lot 10. The machine-house stood right in here (indicating), and the rollers might have been on lot 10.’
“The defendants further offered testimony tending to show that in November, 1893, the defendant caused four signs to be posted, each about four feet square, to the effect that the entire square was for sale or rent on application to them, one at each corner of the square, one of them being-located on lot 10; that some of the old brick were left on the ground, which the witness thought Childs & Sons abandoned, but they did not charge defendants for them, which were suitable for use in building, and were still there; that defendants made no use of them, but that witness thought they would have used them if they had gone into building operations; that either in the latter part of March or the first part of April, 1894, the defendants rented the entire square to one John A. Downing, who rented it for the purpose of converting it into a base-ball park, but did not use it for that purpose; that he occupied the house which was on lot 7 for a dairy lunch and sublet a portion
“ The defendants thereupon produced as a witness in their behalf Goff A. Hall, assistant assessor of the District of Columbia, who gave testimony tending to prove that he had examined the tax books from 1875 down to the time of the trial, and that throughout that period the taxes on said lot 10 had been assessed and paid in the name of the defendants and those under whom they claimed.
“Thereupon the plaintiffs in rebuttal gave testimony tending to prove that the brick yard was established some time in the fall of the year 1875 and disappeared sometime in 1893, leaving nothing remaining but the remnants of the
In addition, it was shown that the defendants and those under whom they claimed had paid all the taxes assessed against the said lot 10 from year to year since 1875. The testimony requires no review. Though somewhat meagre as regards the last two of the required twenty years of adverse possession, we are of the opinion that, in connection with the proof of the regular payment of taxes by the defendants, the evidence was sufficient to warrant its submission to the jury. The case is not distinguishable from Holtzman v. Douglass, 5 App. D. C. 397, 412; S. C., Supreme Court U. S. (November, 1897), 168 U. S. 278.
5. The next question is, conceding the proof of twenty years’ adverse possession by defendants, could the statute of limitations be said to have run against the plaintiffs’ title acquired through Tracenia Latimer and Elizabeth McCormick ?
An instruction embodying a negative answer was refused as to both, and error is assigned thereon.
As we have seen above, defendants’ adverse possession began on February 22,1875. Richard Young, the common source of title, died July 30, 1860, leaving a will. After making certain specific devises, none of which included lot 10, he devised the residue of his estate to his widow Matilda for life, with remainder in fee to his five children, including the said Tracenia and Elizabeth. Both these were married at that time. Tracenia died November 15, 1879, and her husband April 20,1880. She left two children, one of whom is the plaintiff, Lucy T. Davis. Lucy Davis was married before the death of the life tenant, Matilda, which occurred October 7, 1874.
Elizabeth married before her father’s death, and died March 22, 1889, leaving a husband, who died July 2, 1891. October 14, 1887, the said Elizabeth and her husband conveyed their interests to their son, the plaintiff,
(1) As the estates of Tracenia Latimer and Elizabeth McCormick vested before the passage of the act defining the separate property rights of married women, and permitting them to convey, devise and bequeath the same, and to contract, sue and be sued in matters having relation thereto, in the same manner as if unmarried (R. S. D. C., Sections 727; 728, 729), their husbands’ rights by the curtesy and their own disabilities in respect of the conveyance thereof were not removed. Hitz v. Nat. Met. Bank, 111 U. S. 722, 729, 730; Hitz v. Jenks, 123 U. S. 297; Kaiser v. Stickney, 131 U. S. Appendix, clxxxvii; Cammack v. Carpenter, 3 App. D. C. 219, 227; Frey v. Allen, 9 App. D. C. 400, 404.
Nor, for the same reason, could the wife have brought an action of ejectment in her own name, or without joinder of her husband. White v. Hilton, 2 Mackey, 339, 344.
It follows, therefore, that both of the married women aforesaid were within the provisions of the saving clause of the statute of limitations when the adverse possession of the defendants and those under whom they claim began. 21 Jac. 1, Ch. 16, Sec. 2; Compiled Stat. D. C., p. 359, Sec. 2.
It is unimportant to consider whether the statute, thus suspended, began to run from the date of the death of the wife or from that of her surviving husband, for the result would be the same in either event. Nor is it material to consider the disabilities under which the heirs of each married woman may have labored at the time of descent cast, as there can be no lacking of one to the other.
(2) The right derived through Tracenia Latimer was unquestionably barred, because more than ten of the requisite twenty years of uninterrupted adverse posession had elapsed after the death of both her and her surviving hnsband. Had she survived her husband she would not have had twenty years from the time of the removal of her disability within which to bring her action, but the ten years only
(3) Under the foregoing rule, the right of the plaintiff, Millard McCormick, derived by conveyance from Elizabeth McCormick and her husband, was not barred at the time the suit was begun. Counting the statute as commencing to run at her death, or that of her husband, or at the date of the conveyance aforesaid, the ten years saved to her had not expired.
But this condition could not avail him in the action as brought. Having joined with the plaintiffs representing the claim of Tracen ia Latimer, his right falls with theirs.
The rule is old and well established, that if one plaintiff in a joint action of ejectment cannot recover, his coplaintiffs cannot. Morris v. Wheat, 8 App. D. C. 379, 385. Hard as this rule may seem to be, it was followed in that case in obedience to the decision of the Supreme Court of the United States in Marsteller v. McLean, 7 Cranch, 156, 159. In that case Mr. Justice Story said:
“It seems to be a settled rule that all the plaintiffs in a suit must be competent to sue, otherwise the action cannot be supported;” and again: “ When once the statute runs against one of two parties entitled to a joint action, it operates as a bar to such joint action.” See, also, Shipp v. Miller, 2 Wheat. 316, 324; Dickey v. Armstrong, 1 A. K. Marshall, 39, 40.
There has been no legislation affecting the rule of practice in the District of Columbia, and we do not consider it within our province to make a change therein.
The apparent hardship to this plaintiff might have been avoided by a separate suit on his own behalf.
The original rule at common law was, that tenants in common could only sue separately because they were separately seized, and there was no privity of estate between them. Mobley v. Brunner, 59 Pa. St. 481; Corbin v. Cannon, 31 Miss. 570, 572; May v. Slade, 24 Tex. 205, 207; 4 Kent Com. 368.
The practice soon, became general, however, in the United States, to permit them to sue either jointly or severally as they might elect. 7 Enc. Pl. & Pr. 316, and cases cited. This seems to have been the practice in the District of Columbia, and, so far as we are advised, has never been questioned. Tenants in common may join in an action if they prefer to do so, but it is with the risk of the failure of all if one of them fail to make out a title or right to possession.
For the reasons given the judgment must be affirmed, with costs. Affirmed.