40 N.Y. 562 | NY | 1869
The representations, which the plaintiff’s evidence tended to prove were made to him in this case, were sufficient, if they were fraudulently made, to warrant a recovery in his favor; for it was shown that Kahn was insolvent, and the jury would have been justified by the evidence, in finding that they induced the sale and produced the loss which was occasioned by it. But before the plaintiff could lawfully recover that loss from the defendant, it was equally as essential to the right to do so, that he should satisfactorily prove that these representations were fraudulently made. That they were not only false in fact, and caused the loss sustained by him, but beyond this, that they were made with the intent to deceive him. This was the gist of the action, and it has always constituted its distinguishing element; and as such it has been described and maintained by all the authorities. (Pasley v. Freeman, 3 Durnford & East., 44; Upton v. Vail, 6 John., 181; Young v. Covell, 8 John., 24; Watson v. Poulson, 1 Eng. Law and Eq., 585; Bainard v. Spring, 42 Barb., 470; Wakeman v. Dalley, 44 Barb., 498, 501; Viele v. Goss, 49 id., 96; Zabriskie v. Smith, 3 Kernan, 322, 330; Hubbard v. Briggs, 31 N. Y., 518, 529); and Chester v. Comstock, decided at the March term of this court.
The case of Bennett v. Judson (21 N. Y., 238), has been pressed upon the consideration of the court as an authority establishing a different doctrine. And a casual reading of it may tend in some measure to support that conclusion. But neither the facts upon which it was decided, nor the opinion given by the court will maintain that result. That was an action for damages sustained by means of fraudulent representations made by the defendant’s agent, upon the sale of lands situated in the States of Indiana and Illinois. The representations appear to have been made by the agent upon the faith of certain information derived by him from a source apparently entitled to confidence and credit; and to that extent there was no reason for supposing them to have been made with the intent to deceive the plaintiff. But the agent
The difficulty in the case was as to the existence of the fact, arising out of the common habit of mankind to express themselves in positive, unqualified terms where their statements are dependent upon their faith in the veracity of others. Where convictions thus derived may be inadvertently expressed in positive terms without any intent to deceive, they would be insufficient to sustain an action of this nature because the design to defraud would be excluded from the transaction. In many cases it may be, and undoubtedly is, exceedingly difficult to distinguish cases of this character from those where a positive expression importing actual knowledge constitutes the representation made and complained of. But the distinction is one that is well founded in fact and clearly maintained in law ; and where nothing is exhibited by the evidence that, fairly and reasonably construed and understood, will lead to the conclusion that a positive expression of knowledge was adopted for the purpose of producing a false impression, and with the design to deceive the person to whom it is made, and who is expected to act upon it, no reason can exist for presuming that to be the fact. For in all actions for deceit the presumption is in favor of innocence; and on that account the intent or design to deceive the plaintiff must be affirmatively made out by evidence. (Starr v. Pecks, 1 Hill, 270, 272-3.) But the cir
In order to determine whether representations of actual knowledge of the existence of material facts be deceitfully or fraudulently made, or whether that may be properly and fairly inferred, regard must be had to the transaction in ’’ which they are made, and to the subject to which they relate; for, as to many subjects of trade and traffic, the acquisition of such knowledge is common, and, therefore, when imported by the representations made, it may be reasonably expected to have been intended that the person to whom they may be made should understand that to be their character. As to many other things, the possession of actual knowledge is exceedingly rare and exceptional, and when representations are made concerning them, they are usually understood as amounting to no more than the candid and sincere convictions of the person making them. They are expressions of opinion or judgment, rather than absolute representations of fact, and as such are not necessarily fraudulent, though they afterwards turn out to be wholly unfounded and untrue. If they are made in good faith the person making them cannot justly or legally be held liable for the consequences resulting from them to the person who may afterwards act upon them. Upon this subject Chancellor Kent stated the law to be that “ misrepresentation without a design is not sufficient for an action; but if recommendation of a purchaser as of good credit to the seller be made in bad faith, and with knowledge that he was not of good credit and the seller sustains damage thereby, the person who made tire representation is bound to indemnify the the seller. (2 Kent, 490.) This rule places the liability of tho defendant upon the trae ground, exonerating him where he may act in good faith and still err in his judgment, and rendering him responsible where he knowingly misinforms the applicant for the purpose of deceiving him.
The representations relied upon for a recovery in this case
Ko understanding or expectation was shown to have existed until upwards of two months after the representations were made that the defendant should purchase any of
The judge did not'err in receiving testimony of what the defendant testified to upon the trial of the action brought by Anable & Co. against him. This testimony, among other things, tended to show the pecuniary condition of Kahn, in March, a little more than two months after the alleged making of the fraudulent representations as to such condition by the defendant to the plaintiff. The lapse of time was not so great as to destroy all presumption that such condition was substantially the same in March as in the preceding January, in the absence of all proof tending to show any intermediate change. The objection was general to the entire testimony, upon the ground that it was immaterial. If any part of the testimony was competent for any purpose, the objection was properly overruled. The question arising upon the exception taken to the refusal of the judge to grant a nonsuit, at the close of the plaintiff’s proof, need not be examined, for the reason that a like motion was made at the close of all the evidence and a like exception taken to its refusal. Had there been a material defect in the plaintiff’s proof when he rested, entitling the defendant to a nonsuit, an exception to its refusal would be unavailing, in case such defect was supplied by testimony subsequently introduced by either party. In examining the latter question, the truth oí all facts sustaining the plaintiff’s case must be assumed, in support of which any evidence was given, unless there was such a preponderance of evidence against them as to make it the duty of the judge, if requested, to direct a verdict negativing such facts. In other words, it must be assumed that the jury would have found every fact in favor of the plaintiff* that the testimony given made it the duty of the judge to submit to their consideration. The testimony was sufficient
Order of General Term affirmed, and judgment absolute for the defendant.
[Murray, J., was prevented by illness from being present, at the June term consultations.]
Note.—The case of Chester v Comstock, referred to in the above opinion of Daniels, J., was submitted January 8th, 1869, and decided by this court March 19th, 1869.
It was an action to recover the amount of a judgment and interest, which the plaintiff had previously obtained against one Stewart, an insolvent. It appeared that the defendant had assigned to the plaintiff a claim he held against Stewart, upon which the plaintiff had recovered the judgment against Stewart, but was unable to collect it The complaint alleged that the plaintiff had taken the assignment, relying upon representations of the defendant that Stewart was wealthy and abundantly responsible for any judgment that might be recovered against him on such claim, and alleging that the defendant undertook and promised to the plaintiff that Stewart was good and responsible.
Upon the trial, the assignment from the defendant to the plaintiff being in writing, objection was made to any parol proof of the defendant’s representations, but it was permitted to be given. It was found by the referee who tried the cause, that the representations were made by the defendant and that they were false, but that there was no evidence that the defendant’s intestate knew that they were false, nor tending to show he did not believe all he said touching the responsibility of Stewart, but that the defendant’s intestate did not exercise ordinary prudence to ascertain whether his representations to the plaintiff in that respect couldbe made with truth, and he, therefore, held him liable. The Supreme Court, at General Term, reversed this judgment and ordered a now trial, and the plaintiff appealed to this Court. The order of the General Term was affirmed by the court unanimously, Woodruff and Lott, JJ., writing the opinions.
“ Actionable fraud,” says Woodruff, J., in delivering the opinion, “ consisting in a false representation, imports ex m termini an intent to deceive. It may be committed by stating what is known to be false. It may be committed by professing knowledge of the truth of a statement which is untrue. But, in either case, falsehood uttered with intent to deceive, are the essential ingredients.”
'And then, after showing that nothing in Bennett v. Judson (21 N. Y., 240), or in Stoi-y, is not in perfect harmony with this doctrine, the learned judge