274 P. 844 | Mont. | 1929
In view of the fact that respondent in its answer, had denied appellant's ownership of the premises, any questions in connection with the execution of the deed from Klasner to appellant were proper on cross-examination. This court has repeatedly held that the right of cross-examination should not be unduly restricted but that the fullest scope should be allowed and may be extended not only to the facts stated upon the original examination, but to the facts connected therewith, so that the jury may be advised of all facts having a legitimate bearing upon the issues. (Rosebud State Bank v. Kesl,
Cross-assignments of error 7, 8 and 9, all relate to questions with respect to buildings that had burned in the neighborhood of appellant's property. The questions asked the witness Klasner who was named as a co-conspirator in respondent's answer, indicate that they were asked for the purpose of connecting appellant and Bob Klasner with these former fires. Had the answers of witness to these questions shown that appellant and Klasner had had transactions similar to the transaction between respondent and Bob Klasner with respect to the house and furniture involved in this action, such evidence would have been proper under the rule, that where a conspiracy is charged, collateral facts in which the persons charged bore a principal part, may be examined into for the purpose of establishing a guilty intent, purpose or knowledge. (12 C.J. 637, sec. 230; 8 Cyc. 684; State v.Glidden,
It is a well-established rule that where a conspiracy is charged, great latitude must be allowed in the reception of circumstantial evidence, and it is no objection that the evidence covers a great many transactions as long as the facts shown have some bearing on and a tendency to prove the ultimate fact at issue. (8 Cyc. 678; 12 C.J. 634, sec. 227.) This is especially true of the charge of conspiracy for the reason that the fraudulent agreement can only, in exceptional cases, be established by direct evidence. (State v. Thompson,
Instruction Number 2 contains provisions of the statute law on insurance. It embodies merely abstract statements of law which it is hard sometimes, for one learned in the law to apply. Therefore, it must be assumed that this instruction, without *146
any attempt to connect the rules of law stated with the issues in the case to which the rules related, so as to aid the jury in applying the rules, was error. (Newer v. First National Bankof Harlem,
Instruction No. 11 was misleading in that it conveys the impression that the jury is bound to accept the uncontradicted testimony as true. Since the weight of the testimony of every witness is for the determination of the jury, and the demeanor of the witness while testifying, as well as the character of the testimony should be considered, it cannot be said as a matter of law, that the jury is bound to accept testimony as true, although not contradicted by other testimony. (Gervais v. Rolfe,
The statement of the court that a miner might have some of the property described, as well as anyone else, could have no other effect than to carry the impression to the jury that it was the judge's opinion that as a matter of fact the unmarried miner in this particular instance had the furniture in question; an effect which the respondent disputed and which respondent was attempting to disprove. Such an expression of opinion by the court on a disputed question of fact, is never proper. (State v. LuSing,
The affidavit of the respondent setting forth the demeanor of the trial court toward the respondent, and counsel for respondent was uncontradicted. It shows that the demeanor and remarks of the court could have no other effect than to excite *147
prejudice and hostility in the minds of the jury toward respondent and counsel for respondent in that they tend to show that the court was biased toward respondent's case. Remarks or demeanor of the trial judge showing bias in favor of one of the parties constitute prejudicial error. (38 Cyc. 1321; McDuff v.Detroit Evening Journal Co.,
The trial was had before Hon. W.H. Meigs, sitting with a jury. A verdict for plaintiff was rendered in the sum of $2,500, and judgment entered on the verdict. A motion for new trial was heard before Hon. Wm. E. Carroll, Judge Meigs having been disqualified. The motion was granted upon the following condition: "Unless the plaintiff, within five (5) days after notice of the order remits and agrees to accept in satisfaction of said judgment, as and for the cash value of the property insured at the date of its destroyal by fire, the sum of $900; in which event and upon the satisfaction of said judgment this cause shall not be held for further or other proceedings." This appeal was taken by plaintiff from that order.
At the time of the arguments in this court, defendant[1] presented a motion to strike from the transcript all of what appears *148 to be the stenographer's report of the evidence introduced at the trial, on the ground that it was not settled in a bill of exceptions as provided in section 9390, Revised Codes 1921, and does not contain a certificate of the court as required by section 9402, Id.
Counsel for plaintiff assert that defendant has waived the right to object to the record on appeal. With this we agree. Section 9747 provides: "All objections to the record and brief of appellant shall be deemed waived unless a motion to dismiss is made because thereof, except such as will prevent a fair hearing, consideration, and decision of the appeal on its merits; and as to any such objection the court may, in its discretion, permit a compliance with the provision of the law or rule of court violated, within such time and upon such terms as may be just." As hereinbefore stated, the motion under consideration was not filed until the day of the argument. It failed to meet the requirements of rule 14, subdivision 3, of this court.
Counsel for both parties in their briefs treated the record as correctly setting forth the evidence. No contention is now made that the testimony is not accurately set forth in the record.
The facts in this case are not substantially different from those appearing in the case of Sevanin v. Chicago etc. Ry.Co.,
The several assignments of error in plaintiff's brief raise[2] the question of the correctness of the court's conditional order granting a new trial. It is contended by plaintiff that the evidence does not justify the action of the court in reducing the amount of the verdict from $2,500 to $900. In considering this question the same presumptions do not attend the act of the judge who granted the motion as if granted by the judge who tried the case. Judge Carroll, not having seen nor *149
heard the witnesses, was governed in his consideration of this case by the same rules which govern this court on appeal. (Marcellus v. Wright,
The record discloses that according to the terms of the policy[3] the house was insured for $1,500, the furniture for $1,200, and the barn for $300. It limited the liability of the defendant to the actual cash value of the property at the time of loss or damage, and it also provided that the liability of the defendant should not exceed the cost of repairing or replacing the property with material of like kind and quality. It also gave the defendant the option, within thirty days after the receipt of proof of loss, to repair, rebuild, or replace the property lost or damaged with other of like kind or quality. This option was not exercised by the defendant. The policy was issued on January 6, 1927, for a term of three years. All of the property was completely destroyed by fire on March 5, 1927. Defendant admitted that notice of loss was given to it as provided in the policy.
On the question of the value of the property the record discloses the following evidence: The plaintiff testified that he paid $1,800 for the house, lot, and barn and that he thought the buildings alone were worth $2,000. The buildings were built in 1917. The deed to the property recited a consideration of $1,800. He testified also that at the request of the adjusters of the defendant he went to a representative of the Monarch Lumber Company to find out what it would cost to replace the house and was advised that it would cost twenty-three or twenty-four hundred dollars, more or less. He testified that he paid $1,188 for the furniture. He bought the *150 buildings in October, 1926, and stated that they, as well as the furniture, were in as good condition at the time of the fire as when he bought them. An agent of the defendant solicited the insurance and was out to plaintiff's place for that purpose, was in the house, and had an opportunity to see the furniture.
Joe Karaffa, a contracting carpenter, stated that he was familiar with the buildings in question and that he had made an estimate of the cost of constructing the buildings, and said it would cost between $2,700 and $3,000.
The evidence offered by the defendant on the issue of the value of the property was as follows: John Nemec testified that plaintiff bought the house, lot, and barn in question from him and paid $1,600 in cash for the property and gave him a credit of $200 for groceries. Mary Nemec testified to the same effect. Harold Mady, the county assessor, testified that the lot on which the buildings in question were situated was assessed for the year 1927 to John Nemec at the value of $54 and the house for $400. Paul Asich testified that he sold the furniture and fixtures to plaintiff for $1,188. Evidence of the price paid for the property, less depreciation, if any, between the time of the purchase and the loss, was properly admitted to prove the value of the property at the time of the loss. (Holter Lumber Co. v.Fireman's Fund Ins. Co.,
There is no foundation in the evidence to warrant the action of Judge Carroll in reducing the verdict of the jury from $2,500 to $900, or in granting a new trial on the ground of excessive damages.
Defendant in its brief, relying upon section 9751, Revised[4] Codes 1921, assigns twenty-one cross-assignments of error, and contends that the motion for new trial should have been granted on other grounds than those assigned by Judge Carroll. Plaintiff contends that, since the order in question is not a general but is a special one, the only question reviewable on this appeal is that of the sufficiency of the evidence to support the verdict on the issues of damages. This court has decided *151
this question adversely to the contention of plaintiff, in the case of Ebaugh v. Burns,
The first cross-assignment predicates error upon refusal of[5] the court to permit defendant's counsel to ask plaintiff on cross-examination how Bob Klasner came to be present at the time of the execution of the deed to the property in question. It appears that Bob Klasner was a witness to the execution of the deed conveying the house, lot, and barn to the plaintiff. Defendant contends that this question was proper in view of the answer, which denies plaintiff's ownership of the property.
In our opinion, the objection to the question was properly sustained. How Klasner happened to be present at the time of the execution of the deed had no bearing upon the question of the ownership of the property. The deed was properly acknowledged[6] before Howard Bennett, a notary public. It was not necessary to its validity that it be signed by a witness. Furthermore, the defendant's witnesses, John and Mary Nemec, the grantors named in the deed, testified on behalf of the defendant that they actually sold the property to plaintiff and executed the deed in question. Also, Klasner was called as a witness for the defendant and testified that he was in Bennett's office at the time the deed was executed; that he brought the parties there in his car at the request of plaintiff. Obviously, then, the defendant was not prejudiced by the refusal of the court to permit the question to be answered.
The second cross-assignment assigns error in the refusal of the court to permit an offer of proof on cross-examination of plaintiff. The question asked was: "How did he [Bob Klasner] come to sign this deed as a witness?" The court sustained an objection to this question. A request was made to present an offer of proof, and this was denied. An offer of proof on[7] cross-examination need not be made in order *152
to preserve the right to urge error on the exclusion of evidence. (Herzig v. Sandberg,
If the objection to the question should not have been sustained, then the right of cross-examination was improperly restricted, and no offer of proof was necessary. The question resolves itself into this: Should the defendant have been permitted to ask the plaintiff on cross-examination how Bob Klasner happened to sign the deed as a witness? What has been said in support of our view that there is no merit in the first cross-assignment applies equally to this one.
Cross-assignments of error 3, 4, and 5 relate to the admission[8] of evidence on cross-examination of W.G. Brook, state fire marshal, as to whether he took any action against plaintiff with reference to the fire and whether he made complaint to the county attorney. In answer to these questions the witness stated that he had not filed a complaint of any kind against the plaintiff, but that he was not through with his investigation, and also that he had learned that the county attorney was employed by plaintiff to bring this action. We fail to see wherein the defendant has been prejudiced by the admission of this evidence.
Cross-assignment of error numbered 6 predicates error upon the[9] action of the court in sustaining objections to an offer of proof by the witness Comings. It appears that Comings was in charge of the Moon insurance agency, which wrote policies of insurance for the defendant. Joe Peticia was a solicitor of insurance for the Moon agency. The offer of proof sought to elicit that the reason why the witness discharged Peticia as an insurance solicitor was because many policies which Peticia wrote were the subjects of fire loss immediately or soon after they were written, and that all of the policies held by the Moon agency were canceled in and about Stockett and Sand Coulee shortly after the fire involved in this action. Obviously, under the facts of this case, this offered testimony *153 was properly excluded. The fact that other policies were canceled would have no bearing upon the liability of the defendant under the policy involved in this case. What transpired immediately preceding the offer of proof as disclosed by the record shows that the court would have permitted such evidence later in the case, had there been a prima facie showing of a conspiracy; but, as hereafter pointed out, no such showing was made.
Cross-assignments numbered 7, 8, and 9 relate to the exclusion[10] of evidence intended to show that other buildings sold by the witness Klasner in the neighborhood of plaintiff's property, covered by insurance, had burned. It is contended by defendant that the questions were proper under the answer, which charges plaintiff and Klasner with entering into a conspiracy for the purpose of defrauding the defendant. A prima facie case of conspiracy must be shown before acts of one alleged co-conspirator are admissible against the other. (Hitchman CoalCo. v. Mitchell,
Evidence showing that property sold by the witness to Peticia or others than the plaintiff also burned was not admissible until there had been a prima facie showing of a conspiracy. The court indicated that upon a proper showing the evidence offered would be admitted later. It was not sought to show that plaintiff had any connection with the burning of any of the property. The conspiracy charge was not proved. At the conclusion of all the evidence that charge was stricken from the answer for want of proof. The court did not err in sustaining the objections to the questions regarding the burning of property in which plaintiff had no interest and with the burning of which he was in no manner connected.
On principle, this case is the same as that of Grote v.Blakely,
Furthermore, if such offered evidence had been admitted it would have been subject to a motion to strike at the close of defendant's case, and obviously the defendant was not prejudiced by excluding it.
By cross-assignment numbered 10 error is predicated upon the[11] giving of instruction No. 2. This instruction contains abstract statements of statutory law governing the rights and liabilities of the parties to an insurance contract. No contention is made that it does not correctly state the law. Objection is based upon the ground that abstract propositions of law should not be given to the jury. Where the facts are few and simple, as in this case, it is not reversible error to give an instruction stating abstract legal principles. (Kirk v.Montana Transfer Co.,
By cross-assignment numbered 11 defendant complains of the[12] giving of instruction No. 10. The portion of this instruction against which the attack is directed is as follows: "You are further instructed that you have no right to disregard the testimony of a witness where such testimony is not contradicted and such witness has not been impeached." Contention is made that the instruction does not advise the jury that they may consider the character of the testimony and the manner in which the witnesses testify. But the instructions must be considered as a whole. The jury was so advised in this case by instruction No. 14A.
Instruction No. 13, which was given without objection, is as follows: "If the jury shall believe that any witness who has testified in this case has wilfully and intentionally testified falsely about any material matter in the case, the jury are at liberty to disregard any or all of the testimony of such witness, *155 except in so far as the same may be corroborated by other credible evidence."
Instruction No. 14 is as follows: "The jury are the sole judges of the credibility of the witnesses and of the weight and value to be given their testimony. In determining as to the credit you will give to a witness, and the weight and value you will attach to a witness' testimony, you should take into consideration the character of the witness; the conduct and appearance of the witness upon the stand; the interest of the witness, if any, in the result of the trial; the motives actuating the witness in testifying; the witness' relation to, or feelings for or against either party; the probability or improbability of the witness' statements; the opportunity the witness had to observe and to be informed as to matters respecting which such witness gives testimony; and the inclination of the witness to speak truthfully or otherwise as to matters within the knowledge of such witness. All these matters being taken into account with all the other facts and circumstances given in evidence, it is your province to give to each witness such credit, and the testimony of each witness such value and weight as you deem proper."
When a single paragraph, standing alone, is erroneous, yet if[13] qualified by other instructions and altogether the instructions fairly submit the case to the jury, the verdict should not be disturbed on that account. (Surman v. Cruse,
Cross-assignments 13 and 14 predicate error upon certain[14] statements made by the court relative to the duties of the state fire marshal. No exception was taken to the statements, and no request was made to have the jury instructed to disregard them; hence, if error was committed, it was not preserved for review by this court.
Cross-assignments 12 and 15 are so related that they will be[15, 16] treated together. Number 15 is based upon the affidavit of J.W. Freeman, attorney for the defendant, used on motion for new trial. This affidavit sets out that the judge *156 in making certain rulings during the trial exhibited a high degree of nervousness and by his actions appeared to be incensed against the defendant and its attorney and would at times shake his finger at counsel for defendant, loudly tap his desk with a pencil or other object, and talk in a loud and apparently angry manner, and that affiant was in fear of being fined for contempt of court. It is set forth in the affidavit that this conduct was apparently for the purpose of endeavoring to influence the jury in favor of plaintiff and against the defendant, and that because of this conduct on the part of the judge the defendant was prevented from having a fair and impartial trial.
The matter complained of by cross-assignment No. 12 is one of the rulings made by the court in the manner recited in the affidavit referred to and relates to the following remark made by the judge in speaking of the admissibility of evidence concerning the plaintiff's occupation: "It don't make any difference what he was, if he had the stuff [referring to certain articles of furniture alleged to have been destroyed by the fire]. A miner might like to have some of those things as well as anybody else." The court, however, instructed the jury to disregard the remarks, and were it not for the conduct and demeanor of the judge at the time of making the remarks as set forth in the affidavit, the mischief might thus have been cured by admonishing the jury to disregard them. (Conway v. Monidah Trust,
It remains but to determine whether the conduct and demeanor of the judge when this and other rulings were made as disclosed by the affidavit were such as to have prevented the defendant from having a fair trial.
The matters recited in the affidavit, it should be noted, are uncontradicted. Such conduct borders closely upon reversible error and ought not to be encouraged. While we do not approve of the conduct and demeanor of the trial judge as thus disclosed, yet from the facts appearing in the affidavit we are not able to say that Judge Carroll was not justified in holding *157 that the defendant was not prevented from having a fair and impartial trial entitling it to a new trial by reason of the misconduct set forth in the affidavit. From a careful review of the entire evidence in the case we are not able to say that the objectionable conduct of the trial judge contributed to the result reached by the jury. Under no possible view of the evidence in the case could the jury have found for the defendant; and neither was there warrant in the evidence for a verdict in any less amount than that found by the jury.
Cross-assignment No. 16 is also based upon the same affidavit, setting forth that the attorney for the plaintiff misquoted the evidence in his argument to the jury. The record fails to disclose any objection or exception to the conduct or statements of plaintiff's attorney in these particulars during the course of the trial and no request was made to instruct the jury relative thereto. Hence these questions are not properly before us for review. (State v. Stevens,
The remaining cross-assignments present one or more of the questions already discussed and require no further consideration.
The action of Judge Carroll in granting the conditional order of new trial is reversed, and the verdict and judgment are permitted to stand.
MR. CHIEF JUSTICE CALLAWAY and ASSOCIATE JUSTICES MATTHEWS, GALEN and FORD concur.
Rehearing denied March 6, 1929. *158