13 P. 425 | Idaho | 1887
On the eleventh day of December, 1885, the defendant, a corporation, was running a passenger train on its road, which was derailed, and thrown from the track, and one William O. Palmer, an employee of defendant, riding thereon at the time of the accident, was killed by a car falling upon him. It is claimed by plaintiffs that the accident was caused by a broken
That part of the complaint relied upon by attorneys for defendant in the argument of the demurrer is in the following words: “That the plaintiff Linnie M. Palmer is the widow of ■William 0. Palmer, deceased, and that the plaintiff Alfred Perle Palmer is the son of Linnie M. Palmer and William 0. Palmer, deceased; that Alfred Perle Palmer, one of the plaintiffs herein, is an infant under the age of ten years, and that W. F. Fisher was duly appointed such guardian ad litem by the lion. J. B. Hays, judge of this court, on the twenty-eighth day of April, 1886; and that said deceased died intestate.”
It is agreed by both parties that the sufficiency of the complaint is to be determined by sections 191 and 192 of our code, which are as follows: “See. 192. When the death of a person, not being a minor, is caused by the wrongful act or neglect of another, his heirs or personal representatives may maintain an action for damages against the person causing the death.” Section 191 provides that, if the deceased is a minor, the father and mother may bring the action.
The appellant argues that the complaint is bad in that it does not allege whether the deceased was a minor or major. He claims, in terms, that the question is not whether there is a cause of action in the abstract, but whether the facts stated constitute a cause of action in favor of plaintiffs. We are not prepared to concede the correctness of appellant’s position. We think the question is: 1. Whether there is a cause of action; and, 2. Whether the plaintiffs are the proper parties. There can be no doubt that they are the parties directly interested in the action. The appellant claims that whether they are the proper parties to bring the action under the code depends upon whether the deceased was a minor or major, and that that is not shown by the complaint. It seems that such omission, if such exists, would cause only an uncertainty, which under our code is a distinct
In Jamison v. King, 50 Cal. 136, the defendant demurred to the complaint on the ground that it was ambiguous, unintelligible, and uncertain, in that certain facts did not appear therein. •The court says: "The defendant had' the right to be informed whether the plaintiff claimed that the instrument was of no effect because not delivered, or, having been delivered, that it operated only as donatio causa mortis. Defendants are entitled to a distinct statement of the facts by plaintiff claimed to exist. The complaint is ambiguous and uncertain, and the demurrer ought to have been sustained.” So, in the case at bar, perhaps the defendant had a right to be informed as to whether the deceased was a minor or a major, in order to enable it to know whether the plaintiffs were proper parties, and, if this did not appear by the complaint, it was ambiguous and uncertain; but this defect must be specially set out in the demurrer, and cannot be taken advantage of upon the ground that the complaint docs not state facts sufficient to constitute a cause of action.
The second assignment of error is that the court erred in refusing a continuance on the ground of the absence of one Braddock, a witness for defendant. An inspection of the affidavit upon which the motion for a continuance was made shows that said witness would testify that he was on the scene of the accident soon after it occurred; that said Braddock possessed special knowledge of the condition of the defendant’s roadway and track at and about the point of the accident; that said witness supervised the removal of said broken rail, and personaEy inspected the same; that the broken end or surface showed a complete and entirely new fracture, and that the external appearance thereof gave no indication of any defect therein; and that, by reason of the special knowledge of said witness as an expert in the structure and maintenance of roadway and track of a railway, and the particular characteristics and distinguishing features of the fractures of iron and iron rail, the defendant will not be able to supply the proof, etc. The peculiarity of this affidavit, as considered in connection with appellant’s argument, is that it does
The third error assigned is that the evidence does not justify the verdict, in that it does not show that the accident was the result of a broken rail, which defendant carelessly and negligently permitted to remain on the track. An inspection shows that the evidence upon this point was submitted to the jury by both plaintiffs and defendant. - Its consideration was within the special province of the jury, and we see no reason to disturb their verdict.
The fourth error assigned is that the court erred in refusing to give instructions 3, 4, and 5, requested by the defendant. The foundation for these instructions is in the fact claimed by defendant that the deceased received the injury of which he died in consequence of the carelessness and negligence of a fellow-servant, both being in the employment of the defendant. There was evidence tending to show that one Sherman, station agent at Camas, a station about five miles from the scene of the accident, had received notice several hours before the accident that there was a bad place in the road five miles from said station; that his duty was to notify the proper officers of the company, that the same might be repaired, and also the conductors of passing trains, that they might guard against it; that he neglected to do so, and, in consequence of said neglect, the broken rail was not removed until after the train upon which deceased was rid
The general proposition that an employer is exempt from responsibility, where injury results to one servant from carelessness or negligence of another, is now said to be well settled. (Cooley on Torts, 642.) “There seems, however, to be a strong disposition to hold that the rule does not apply where, at the time of the injury, the servant injured was under the general direction and control of another, who was intrusted with duties of a higher grade, and from whose negligence the injury resulted.” (Cooley on Torts, 543.) We think such was the relation of the deceased, Palmer, to the station agent, Sherman, and the question for us to determine is whether said rule of law should apply to such a case.
The authorities cited by the respective attorneys in their arguments constitute an able collation of adjudicated cases bearing upon this question. The weight of such authorities, considered by their number, seems to be in favor of the doctrine that the employer is exempt from liability where the injury results to one servant through the carelessness of another, without regard to the connection which the servants have with each other. Opposed to this view, however, is a smaller number of cases from high authorities, which hold that the employer is not exempt from such liability where employees are injured through the negligence of officers and agents who are invested with a controlling or superior duty in the care of the business in which the servant is engaged. (Hough v. Railway Co., 100 U. S. 213.)
After a careful examination of the authorities, we feel bound to adopt the doctrine enunciated by the supreme court of the United States, whose decisions are controlling upon all territorial courts. In the case of Railway Co. v. Ross, 112 U. S. 377, 5 Sup. Ct. Rep. 184, the principle is established that, where an agent is clothed with the control and management of a distinct department, the company is liable to an employee injured by the carelessness of such agent. Under this authority we think that the deceased, Palmer, was not a fellow-servant of the agent, Sherman. Both were employees of defendant, but in entirely distinct departments of labor. In this view the said instructions were irrelevant and misleading, and properly refused.
The sixth instruction asked by defendant, and refused, is to the effect that the deceased is bound by the conditions of a certain pass, designated in appellant’s brief as a “gang pass,” upon which he and other workmen wrere riding when the accident occurred. The pass was between different parties than those interested in this action. The decesed had never signed it, nor assented to its conditions, and we think the defendant not in a condition to avoid liability upon the conditions of a pass issued by the Union Pacific Eailway to one Barraclaugh. We think the pass no defense to the action, and that this • instruction was properly refused.
The only remaining assignment of error which we deem it necessary to consider is that of irregularity in the proceedings of the jury and adverse party. The affidavit of P. L. Williams in support of this assignment, among other things, says “that William Mester was a juror in the trial of the cause; that during said trial he was engaged in the business of saloon keeping at Blackfoot, where the court was sitting; that, as affiant is informed and verily believes, W. F. Fisher, father of one of the
We are unable to say what effect this liberal and conspicuous-patronage during the trial may have had upon the mind of the juror whose bar he was patronizing. It is not necessary for us-to find that it had effect upon the verdict in order to sustain this assignment of error as to irregularities of an adverse party. It is enough to find that it was calculated so to do. It is per
In McDaniels v. McDaniels, 40 Vt. 374, 94 Am. Dee. 408, the court says: “There is no practicable method to so analyze the mental operations of the jurors as to determine whether, in point of fact, the verdict would have been the same if the trial had been conducted, as both parties had a right to expect, according to law, and upon the evidence in court. The court set aside the verdict in justice to themselves as well as the defendants: that the trial may be conducted fairly, so that the verdict, when rendered, may be entitled to the respect of both parties, and the confidence of the court.”
In Cottle v. Cottle, 6 Greenl. 140, 19 Am. Dec. 200, quoted in Hayne on New Trial and Appeal, section 48, the court says: “In case of an alleged attempt to influence a jury, it may be useful for a party to learn that a good cause may be injured, but cannot be promoted, by conduct of this sort, and to the public generally to know that it will be tolerated in no case whatever.”
In Cilley v. Bartlett, 19 N. H. 324, where statements were made within hearing of one of the jurors, by a party without knowing that the juror was present, the court says: “There wiE be no security for the proper administration of justice if a party, while his case is on trial, can be permitted to make statements denouncing witnesses, during adjournment, and after the jury have separated, whether he is aware of the presence of the juror or not. If he will conduct in this manner, he must take the risk of the consequences on himself. The presumption is, where jurors hear such statements, they are more or less affected by them. It is necessary that such conduct should be discountenanced, and the defendant is entitled to a new trial.”
In the case at bar it is not alleged that the plaintiff Fisher made any direct attempt to influence the verdict by denouncing the opposite parties, or their witnesses, but that his generous patronage at the bar of one of the jurors was intended and calculated to influence a verdict in his favor.
In Knight v. Inhabitants of Freeport, 13 Mass. 217, the court says: “We cannot be too strict in guarding trials by jury from improper influence. This strictness is necessary to give due
In Thompson and Merriam on Juries, 406, the practice is stated as follows: “Where the successful party to a suit is shown to have attempted by improper means to influence the verdict in his favor by corrupting or intimidating particular jurors, or arousing prejudice in their minds by undue hospi-talities or civilities, the verdict will be set aside on the grounds of public policy, without reference, and without considering whether the attempt was successful or not.”
These authorities establish the practice that, whenever the adverse party is guilty of conduct calculated to influence a verdict afterward rendered in his favor, a new trial will be granted as a matter of public policy, and to secure a pure administration of justice. What effect the conduct of the party in the case at bar may have had upon the juror it may be impossible to determine. He was pursuing an occupation authorized by law, and if Mr. Fisher frequented his place of business, and expended liberal sums of money in the entertainment of his friends, with his partner in business, and in his presence, or to the knowledge of the juror and other jurymen, as is alleged, and not denied by Mr. Fisher, the court will not attempt to calculate its influence upon the verdict. Such conduct is entirely reprehensible, as an attempt to corrupt the administration of justice. The party thus attempting to interfere with the trial of causes is not only guilty of contempt of court, and liable to punishment therefor, but he cannot be allowed to profit by a verdict in his favor procured under such corrupting influences.
We find no error in the law occurring at the trial, but, on the ground of irregularity by and in behalf of the party in whose favor the verdict was rendered, the judgment is reversed, and the cause remanded for a new trial.