26 S.C. 179 | S.C. | 1887
The opinion of the court was delivered by
David Hall died testate in 1860. In the 3rd clause of his will he devised two tracts of land containing seven hundred and eighty-four acres, piore or less, to his three youngest sons, Absalom J. Hall, John M. Hall, and William C. Hall, as follows, to wit: “To be divided equally between them in value, the issue of any of my sons who may be dead to take the share of the parent, and if either of them should die without issue at his death, then his or their shares in said land to go to the surviving brothers or their issue as above.” Shortly after the death of the testator the land was surveyed and
The plaintiffs and the defendants, except Lemuel Hall, are the heirs at law of John M. Hall, and they brought the action below to have the 175 acres accrued to John from William partitioned between them, claiming that John had an absolute estate therein under the will of his father. The defendant, Lemuel Hall, resisted the partition, first, on the ground that the accrued interest was governed by the limitations attached to the original share, and therefore the plaintiffs had no title. Second, he interposed the statute of limitations. Third, he invoked the doctrine of estoppel. And lastly, he claimed that plaintiffs were barred by laches. His honor, I. D. Witherspoon, sustained the construction of the will claimed by the plaintiffs, and overruled all of the other defences set up by Lemuel Hail, and referred the case to the master, to have the land partitioned according to the interests of the parties, allowing Lemuel to have the share of Absalom therein, as an heir at law of John M. The appeal renews here the questions raised before the Circuit Judge, to wit, the proper construction of the will as to the accrued share, 175J acres, of John in the original share of William. 2nd. The statute of limitations. 3rd. The estoppel. And 4th. Laches.
As was said by the Circuit Judge, intention should always govern in the construction of wills, for the reason that one who
The first and most important rule is the language of the will, what has the testator said, and what do the words used mean, interpreted according to their usual and ordinary signification ? The testator here has said, “I devise the land to be divided equally in value between my three sons.” There is no ambiguity about this, and had he stopped here, each of the sons would have taken an absolute indefeasible estate, the word heirs not being necessary in a devise to carry the fee. Next, “the issue of my said sons who may be dead to take the share of the parent.” This is equally as unambiguous as the first provision. It simply declares that if either son shall die before his death, leaving issue, that said issue shall take an absolute estate in the share intended in the first instance for the parent. Next, if either son -should “die without issue living at his death, then his share in said land to go to the surviving brothers, or their issue as above.” This seems quite unambiguous also, if the plain meaning of the words is allowed to control. Having provided for the contingency of a son being dead leaving issue, and remembering the possibility of a son dying leaving' no issue, he provides for that event; and how ? — by directing that- the share of said son should go1 to the surviving brothers or their issue as above. Now; this last clause is the clause which controls the accrued share. It supposes that each of the sons has taken an original share — in other words, has taken a fee in one-third in value of the land, and this clause defeats said fee, upon the contingency of said son dying leaving
Now, how had the shares gone to the brothers or their issue, above ? The term above refers to the clause above the one in which it is found. That clause directs the land to go to the sons absolutely, if.they be alive, and if dead to their issue absolutely. It is the last clause, the one in which the term above is found and of which it is a part, that defeats the fee already given upon the contingency of a son dying leaving no issue, dying after he has obtained the fee. Under this last clause, in the event that a brother died, after the original division, leaving no issue, then his share went to the surviving brothers, or to their issue in case they were then dead, and it went to them in fee. This being so, what is to divest or defeat that fee? There are certainly no express words to that effect in the clause itself, no direction that in the event of the brothers dying after they thus became invested in fee with the accrued share of a deceased brother, that said accrued share should go to another. Nothing of the kind. Nothing is claimed as indicating such intent but the term above, which, as we have shown, refers entirely to the previous clause in which the original shares are disposed of.
We think the Circuit Judge construed properly the 3rd clause of the will when considered in itself, taken as a w'hole or examined in its separate parts, so far as the language employed shows intention. Does this constimction conflict with the principles established in any of our decided cases ? The appellant relies on Lowry v. O'Bryan, 4 Rich. Eq., 262, and Hill v. Hill, 1 Strob. Eq., 22. We suppose that these are the strongest cases-in the direction contended for by appellant. At least, no others have been cited, and we have not found any other in our examination of the reports.
The case of Lowry v. O’ Bryan, as it appears to us, fails to support the appellant. In fact, it does not touch the question here. It simply decides that in a bequest of personalty “to four sons, to them and their heirs forever; if either should die without issue, his part should be equally divided between the survivors,” the share of the last survivor could not be defeated by his dying without issue, simply because one of the contingencies was
The case of Hill v. Hill, supra, is directly in support of the construction contended for by respondents, and as given by the Circuit Judge. There, personal property (slaves) had been donated to several persons, four children of the grantor, with a limitation to survivors, in the event of the death of either without issue. One died without issue and his portion was distributed among the survivors; and then a second died. It was held that the proportion of the first accruing to the second by survivorship did not go over to the remaining survivors upon the death of the second without issue, but that it became the absolute property of the second, which is the very case here.. It is true that in that case Chancellor Harper said that, according to the English law, where property is given to several jointly, the property will vest in the surviving joint tenants successively, so that the whole may become vested in the last survivor. But that doctrine cannot apply here, because it is evident that the testator did not contemplate a joint .tenancy. It is true, he gave the land in bulk, but he directed an equal division in value, one share each to go to his sons in severalty, which division was made at once, and each son at their death was in possession of his allotted share.
We have already discussed the word above, and we do not think the case of Merideth v. Merideth (10 East., 503) can give it the effect contended for by appellant.
The next question is the statute of limitations. Can it pro
Has he, by any act of his during this possession, ousted the plaintiffs and held since adversely, long enough to interpose the statute as to these minors ? If not, he cannot interpose it as to any, the shield of the minors being a shield to their co-tenants. Lahiffe v. Smart, 1 Bail., 192; 1 Nott McC., 298. Was there an ouster? Ouster is generally a question of fact, or rather, whether an ouster has taken place is a question of fact, and in a decided exclusion by one of another, under a claim of right, there is no difficulty; but there is no case which has adjudged the facts necessary to ouster, so that every case may be measured thereby. It has, however, been held, that the mere possession of the land for a period short of twenty years will not presume ouster. Gray v. Givens, 2 Hill Ch., 513. Chancellor Harper said in that case: “No doubt, an ouster may be presumed from the mere fact of a very long possession, as in the case of Fishar v. Prosser, Cowper, 217. And in a case where one tenant in common had been in possession exclusively, receiving the
Even if this rule is applied, it cannot avail the defendant, because he held only some 16 years. John M. died in 1863, when Absalom took possession. The land was sold under his mortgage in 1879, when Mrs. Bell bought, from whom the defendant purchased, so that Absalom was in possession some 16 years. The only evidence, then, of ouster on the part of Absalom is 16 years’ possession and the enjoyment of the rents and profits during that time, which, under Gray v. Givens, is not sufficient. It is claimed, however, that the mortgage of 1871 was an ouster, under the principle stated by Chancellor Harper in Gray v. Givens, supra, where he says: “Whatever is sufficient to give the co-tenant notice that the party in possession claims exclusively for himself, and in his own right, will, I think, be a sufficient ouster.” Admit this, yet at that time several of the plaintiffs were minors, and their disability did not cease in time to allow the statute to be interposed now; and being protected themselves, the rights of all the heirs were saved. And in any event, whether there be ouster or not, the rights of the minors were not lost, and under their wing the other heirs are protected.
Next, as to estoppel. It is hardly necessary to refer to authorities as to what constitutes an estoppel. It is sufficient to say, that we do not think the facts of this case are sufficient to enable the defendant to invoke that principle in his defence. We see nothing but acquiescence, and hardly that; because it is clear that the parties were ignorant of their rights, many of them were minors, and they simply failed to assert or claim an interest in the land. They, however, did no positive act calculated to mislead Absalom, or which induced him to do anything to his injury.
The last defence is the alleged laches of the plaintiffs. Laches may be regarded as an equitable statute of limitations, and is applied to equity causes in analogy to legal statutes applied to cases at law. And, generally, when a party would not be barred
It is the judgment of this court, that the judgment of the Circuit Court be affirmed.