Thacher & Fearing v. Jones & Ayer

31 Me. 528 | Me. | 1850

Shepley, C. J.

It is contended in defence, that this is a penal action, barred by statute ch. 146, § 15. The cases of Quimby v. Carter, 20 Maine, 218, and of Philbrook v. Handley, 27 Maine, 53, decide otherwise. It is supposed in argument, that there must have been some error committed in those cases in making reference to the thirty-fourth section of the statute ch. 148. No such error is perceived. The case provided for in the thirty-fourth section of the statute, is that of a concealment or transfer of personal property disclosed by a poor debtor upon his examination. The provisions of the forty-ninth section are sufficiently comprehensive, so far as it respects those aiding or assisting the debtor, to embrace the case specially provided for by the thirty-fourth section. There being a provision in the latter section, that payment of a judgment thus recovered should operate pro tanto as a satisfaction of -the original debt, it was inferred, although not stated in words, as one of the reasons for the adopted construction of the forty-ninth section, that it could not have been the intention, that a payment of the judgment should so operate in one class and not in other classes if embraced by that section.

The person, who is authorized to maintain an action must, as already decided, be a creditor at the time of the fraudulent concealment or transfer. But the former cases did not decide, that he must at that time have a present right of action. He might be a creditor holding a note or bond not yet payable, and the concealment or transfer might have been designedly made to prevent an attachment, when his right of action should accrue, tie might also have a conditional claim against his debtor by being a subsequent indorser on a negotiable promissory note, upon which he was a prior in*533dorser; or by being an indorser on one made by him, and the property might have been concealed or transferred to prevent its attachment on a demand anticipated as about to arise in that manner. When in such cases the right of action accrues, he may be such a creditor as the statute contemplates, and entitled to maintain an action by virtue of the statute.

He must not only be a creditor at that time, but he must continue to be a creditor. It is only in that character, that he can recover, and when he ceases to sustain that character he loses the right of action attached to it to recover double the amount of the debt or property. By becoming again the owner of the debt, he would acquire only the same rights, which any other purchaser of it would have. He could not again connect with it his character as a creditor at the time of the fraudulent concealment or transfer. After having once lost all right of action by virtue of the statute, he could not regain it by a subsequent purchase of the demand.

While he must continue to be a creditor, there does not appear to be any sufficient reason to require, that he should continue to be a creditor of the same class, or in one particular mode, or that his relations to the debtor should continue unchanged. If he preserves his character of creditor, whether by an absolute or a conditional claim or liability, so that he can when his claim becomes certain and payable, maintain an action against his debtor, he may also maintain one by virtue of the statute against those, who have aided or assisted him to conceal or transfer his property to prevent its attachment.

The instructions must therefore in one particular, be regarded as erroneous. The jury were instructed, that if they were satisfied “ that the plaintiff's had indorsed the notes and transferred and negotiated them even if in the ordinary form, in which notes are indorsed, then the plaintiff could not maintain this action.” The jury would be authorized to consider the ordinary form of indorsement to be such as would leave the plaintiffs liable as indorsers, and these instructions would prevent their recovery, unless they continued to be creditors in the same manner, although they continued to be such *534creditors, as might be injured by the fraudulent concealment or transfer.

It is insisted, that these instructions were immaterial, for the jury must have regarded the plaintiffs as continuing to be creditors, or they would have found, that neither of the defendants were guilty.

The answer made to this argument by the counsel for the plaintiffs, appears to be satisfactory. Some of the jurors may have come to the conclusion to render a verdict in favor of the defendant, Ayer, on the ground, that the plaintiffs had not continued to be creditors, and others for a different reason, while all the jurors did not come to the conclusion, that they had not continued to be creditors, and thereby prevented any agreement with respect to the other defendant. Á strong probability that this was not the case, will not obviate the difficulty. It should appear to be morally certain, that erroneous instructions have not been injurious, before the party aggrieved can be deprived of a new trial.

A question is presented, whether hr actions of tort, one of two defendants, pleading separately, may be acquitted, when the jury are unable to agree, respecting the guilt or innocence of the other.

There would seem to be no doubt, that a court should allow a verdict of acquittal in such case, to be effectual, unless prohibited by well established rules and forms. The pleadings may in such actions, present different issues, to be determined by different kinds of testimony. In a case like the present, one might rely upon a plea of not guilty, and another upon a former judgment, as a bar. And there would seem to be little utility or propriety in requiring the one, who exhibited a legal bar to the suit against him, to continue to be a party to a prolonged litigation, until a jury might be able to agree respecting the guilt of the other.

It is said in argument, that although there may be different issues, there can be but one verdict, and that one must find all the issues. Neither part of this proposition can be maintained without admitting exceptions.

*535The well established doctrine, that one, against whom no sufficient testimony has been introduced to authorize a jury to find him guilty, may be acquitted before the case is submitted to the jury, respecting the other, disproves the position. There must in such case, be two verdicts. There is a difference of opinion, when and under what circumstances such an acquittal may take place, but none respecting the general doctrine. Lowell v. Champion, 6 Ad. & El. 407; Moore v. Eldred, 3 Hill, note a; Domineck v. Eacher, 3 Barb. 17.

If the jury find one or more of several issues submitted to them, which are decisive of the rights of the parties, and are unable to agree respecting others, their verdict may be received. French v. Hanchett, 12 Pick. 15; Sutton v. Dana, 1 Metc. 383.

In the case of the Commonwealth v. Wood & als. 12 Mass. 313, the jury agreed to find one not guilty, and could not agree respecting the others.

The objection was made, that their verdict should not be received, without a decision of the whole matter committed to them, but the court received their verdict respecting one, and ordered the indictment to be continued for a trial of the others. Greater technical accuracy is usually required in criminal, than in civil proceedings.

By allowing a verdict of acquittal of one defendant in an action of tort, who has pleaded separately, when the jury are unable to agree respecting others, the court performs an act of justice towards him, without infringing upon the rights of others. Exceptions sustained, verdict set aside, and new trial granted.

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