46 N.H. 230 | N.H. | 1865
By the will of Josiah Wood he devised the use and income of the residue of his lands, of which the lands in question were part, to his brother Jesse Wood for the support of himself and his wife Polly during their lives, and after their death to the children of his
After the death of Jesse Wood and his wife, one of their sons, Christopher D. Wood, on February 21, 1861, conveyed his share to George Wood, another son, by a quitclaim deed, and, March 13,1861, George Wood mortgaged the same premises to the defendant, Griffin, to secure a note of $110.00; and Christopher died May 14, 1861. It appeared that the defendant, Griffin, on Dec. 31, 1861, with several hands entered upon the locus in quo and cut wood and timber thereon, but whether these hands were employed by the defendant or George Wood, the evidence was conflicting. It did appear, however, that after the wood and timber was cut, the said George Wood gave the defendant a bill of sale of it, to be delivered at the mill, where it was delivered accordingly, and sawed, and the proceeds applied on the said mortgage debt and upon an account with said George.
The first question respects the validity of the devise to the grandchildren of Jesse Wood. A devise of the use and income of the land is a devise of the land itself; McClure v. Melendy, 44 N. H. 469, and cases cited; and therefore this Is to be regarded as a devise of the land to Jesse Wood and his wife for life; - then to the children of Jesse Wood, and the survivor of them for life, and then to the grand-children of Jesse Wood in fee, unless the devise to them be void because of remoteness, in which case the question might be made whether the heirs of the testator would take, or whether the children of Jesse Wood would take the whole.
The first inquiry Is whether the devise to the grand-children of Jesse Wood is valid. It is urged by the defendant’s counsel that this limitation over to the grand-children of Jesse Wood is void, because it violates the rule In regard to perpetuities ; inasmuch as Jesse Wood might have had children after the testator’s death, and those children might hav.e had issue born more than twenty-one years after; and therefore the limitation could not take effect within the period of a life or lives in being at the death of the testator and twenty-one years and nine months after.
This seems to be a settled rule in regard to executory devises, and it applies whenever the estate is so. limited that by possibility it may not vest within the prescribed period. If it may not, it is not good as an executory devise, even if the persons who are to take are actually born and qualified within the time allowed. 1 Jar. on Wills, 220, 223, 233, and 254, citing Jee v. Audley, 1 Cox 324, which is in point. To the same effect are 4 Kent’s Com. 295, *268; Leake v. Robinson, 2 Merrivale 363, cited in 1 Jar. on Wills, 233; Nightingale v. Burrell, 15 Pick. 104; Hawley v. Northampton, 8 Mass. 3, 37; Dennett v. Dennett, 40 N. H. 503, and same case 43 N. H. 501.
In the case before us, as the devise would be construed to give the estate-to the grand-children of Jesse Wood'who were living at the termination .of the life estate of the children. Hill and Wife v. Rocking
This, however, is to be regarded, not as an executory devise, but as a remainder, vested or contingent; and the question may arise whether, the same rule as to perpetuities will apply if the remainder be contingent. A remainder is a remnant of an estate depending upon a particular prior estate, created at the same time, and by the same instrument, and limited to arise immediately on the determination of that estate, and not an abridgment of it. 4 Kent’s Com. 226; 2 Blk. Com. 166. It is a vested remainder where there is a person in being who would have an immediate right to the possession of the lands upon the ceasing of the precedent estate ; and it is contingent, when it is limited to take effect either to a dubious and uncertain person, or upon a dubious or uncertain event. 2 Blk. Com. 169.
Upon the other hand, executory devises were instituted to support the will of the testator in cases where by the rules of law a devise of a future estate could not operate as a remainder, as in case of a remainder after a fee, which, although not good as a remainder, is valid as an executory devise.
In this case the fee is attempted to be limited upon an estate for life, and this under the circumstances is valid as a contingent remainder, unless affected by the rule in regard to perpetuities. This rule has its foundation in the settled policy of the common law, which is opposed to those restraints upon the alienation of property which were supposed to be conducive to the power and grandeur of ancient families, and the rule must be considered as now well established. Whether it is applicable to contingent remainders, as it is to executory devises, the authorities arc not fully agreed.
The leading authority against its application to remainders is the opinion of Sir Edward Sugden, Lord Chancellor of Ireland, in Cole v. Sewall, 2 Conn. & Laws 344, quoted in 2 Jar. on Wills, 728. In that opinion he admits that by the old law the doctrine of remoteness was applied to remainders, but that it is now done away with, and the rule applies only to springing and shifting uses and executory devises ; and he puts this distinction upon the ground that as to vested remainders there can be no remoteness; and as to contingent remainders they must, by the rules of law, vest at the termination of the particular estate, or it cannot take effect-at all.
But this, we apprehend, would be no safeguard against remoteness, because if the rule does not apply to remainders, a succession of particular estates may be limited to unborn persons ; and in this way inheritances be followed for many generations; so long, in fact, as the persons to whom the estates were so limited came into being in time to take the estates, at the termination of the preceding particular estates; and this, it is quite clear, would be in conflict with the policy which has dictated the rule in respect to perpetuities; for this principle of that rule applies to contingent remainders equally with springing and shifting uses and executory devises.
Indeed, it would seem to be clear that the same principle, in substance,
If, in the case before us, the limitation might not take effect within the prescribed period, it is clear upon well established principles that it would be void for remoteness. Independent of the fact that at the time of making the will, and at the testator’s death, there were living several grand-children of Jesse Wood capable of taking the remainder, this limitation would be void; but it'is suggested, that,* as there were persons in being capable of taking this estate, it must be regarded as a vested remainder, subject to open and let in after born children. If this be so, then it is clear that the children of Jesse Wood had only a life estate. If, on the other hand, the limitation to the grand-children is void, the question arises whether the estate becomes absolute in the children, or whether it goes to the heirs of the testator, as if in respect to the remainder, he was to be regarded as intestate. If it be held to go to the heirs in such case, it is obviously unnecessary to determine whether the remainder be vested or contingent, as in either event the children would have but life estates.
We propose, then, to consider first, the question whether the estate would go to the heirs upon the termination of the life estates of the children, in case the limitation over to the grand-children were to be held void for remoteness, or whether it would then become absolute in the children. Had the fee been given to the children upon a condition subsequent that was impossible or illegal, they would have taken the entire estate, according to the terms of the devise to them, but as if no condition had been expressed. See Proprietors of the Church in Brattle Square v. Grant & al., 3 Gray 156, and cases cited; 4 Kent’s Com. *130, and cases.
In this case the devise is of a life estate to the children of Jesse Wood, which would ensue to the benefit of such as were living at the decease of Jesse Wood and wife; and then to his grand-children generally; and we are of the opinion that the estate of the children cannot be enlarged to a fee by the fact that the limitation over was void, because we cannot gather any such intention “from the will. To the children it is a devise of an estate for life and nothing more; and if the limitation over is void, the remainder must go to the heirs of the testator, as in respect to that he must be regarded as intestate. Had the remainder been limited to the issue of these children, the question might have assumed a different aspect; but as it is, it is a devise of a succession of life estates, and comes within the principle of Seaward v. Willock, 5 East. 198, before cited, which was a devise of successive life estates, the first to A. and then to persons not in esse, and it was held that A. took only a life estate, although those which succeeded him were void.
A similar doctrine was held in Joslin v. Hammond, 3 Mylne & K. 110, where a life estate was given to the wife, and at her death the whole property to be divided among the testator’s children living at her death, and none survived her. It was decided that the intention being
We are, therefore, of the opinion that the children of Jesse Wood would take only life estates in any event; and this seems to have been the view of the court when this case was before it in June, 1863. This conclusion renders it unnecessary to determine whether the limitation over to the grand-children was valid or not.
The evidence of a verbal partition among the children was, we think, rightly rejected. Whitney v. Swett, 22 N. H. 10. It does not stand upon the same ground as the case of an agreed boundary line referred to by defendant’s counsel; for there the agreement and making of the line is conclusive evidence that it is the true line.
We think also that the ruling of the court was right as to an estoppel founded upon the statement of the plaintiffs that they would make no trouble about cutting the timber, because, as the defendant fully understood the true state of the title, he could not have been misled in respect to it by the remarks of the plaintiffs. There was, therefore, no estoppel.
That he might have relied upon the assurance of the plaintiffs would seem to be probable, but having knowledge of all existing facts, there is not an estoppel. Odlin v. Gove, 41 N. H. 474; Drew v. Kimball, 43 N. H. 282.
The instructions of the court, that, if defendant entered into possession of the tract in question, claiming, either in his own right or under George Wood, the entire title, it would be in law arf ouster of the other tenants, and a trespass, for which this action might be maintained, are, as we think, correct. 1 Ch. Pl. 10th Am. Ed. 79 & 156; Chesley v. Thompson, 3 N. H. 9; Odiorne v. Lyford, 9 N. H. 504; Kenniston v. Leighton, 43 N. H. 312.
The acts described clearly constitute an ouster. Stearns on Real Actions, 41. We think, also, that there was no error in the instructions as to a revocation of the license, and so as to the instructions that the action having been commenced in the life time of Hannah JB. Stevens, her right survived to her husband, and the action might be prosecuted by him. Little v. Downing, 37 N. H. 355.
The remaining question is as to the rule of damages in this case. The plaintiffs were three of the four joint tenants, and the jury were instructed that the plaintiffs would be entitled to three-fourths of the actual damage caused by the unlawful acts of the defendant in entering and cutting down and carrying away the wood and timber from the land; and the question is whether the plaintiffs are entitled to include in their damages the full value of the wood and timber, upon the ground that they are liable over to the remainder-men or reversioner; or whether they are limited to damages for the injury to their possessory interest.
There can be no controversy that the cutting of the wood and timber by a tenant for life or a stranger, for the purposes indicated in the case, is waste; Miles v. Miles, 32 N. H. 147, Dennett v. Dennett, 43 N. H. 499 ; and it seems to be equally clear that the tenants are liable to the person having the immediate remainder or reversion for such waste,
This liability rests upon the same principles of public policy that apply to the case of a common carrier; and as the tenant is in possession .and upon the spot, and authorized to bring suit against any who may violate his possession, it is assumed that it is his duty and in his power to protect the estate against everything but the act of Cod and the pub-' lie enemies. It seems also to be settled, that, although the remainder-man or reversioner cannot maintain an action of waste against a stranger, yet he may maintain an action on the case in the nature of waste for an injury to his reversionary interest, while at the same time the tenant may sue for the injury to his possession. 1 Ch. Pl. 63, and cases cited; Jesser v. Gifford, 4 Burr 2141; Bedingfield v. Onslow, 3 Lev. 209; 1 Ch. Pl. 140; Randall v. Cleaveland, 6 Conn. 328; Chase v. Haseltine, 7 N. H. 176.
It may also be considered as established, that, while the tenant is answerable to the remainder-man or reversioner for waste clone by a stranger, such stranger is liable over to the tenant. 4 Kent’s Com. *77, 85; 2 Saund. 259, and cases cited.
The precise question, then, is, whether in an action of trespass quave clausum fregit by the tenant against a stranger, he can recover damages for the injury to his "possession, and also for the injury to the inheritance, without there having been any recovery against him by the remainder-man or reversioner, or any satisfaction made by him in any form.
In 1 Ch. Pl. 63, it is laid down that "the tenant may support trespass against a stranger-for an injury to his possession; and the immediate reversioner may at the same time support an action on the case, if the injury were sufficient to prejudice his right and interest; and a recovery by one will be no bar to an action by the other.”
In Attersoll v. Stevens, 1 Taunt. 190, Chambers, J., holds that when different persons are entitled to compensation for an injury to each by the same act, a compensation to one is no bar to the action of the other; and this he applies to the case of injuries to the tenant and to the reversioner.
In Bedingfield v. Onslow, 3 Lev. 209, which was case for an injury to plaintiff’s land by penning back the water of a rivulet, the defendant pleaded that one Stedman was in possession of the land of the plaintiff under a lease from bis father, and that he, the defendant, paid Stedman twenty shillings, which he accepted in satisfaction of the trespass ; to which the plaintiff demurred, and the plea was held bad, upon the ground that, in respect to the prejudice done the reversion, the plaintiff may maintain an action, and Stedman another in respect of the possession ; and so another in respect of the shade, shelter and fruit of the trees, for the same trespass; and the satisfaction given to one is no bar to the other; and to this point is cited 19 H. 6, 12; 12 H. 6, 4;
In Davis v. Jewett, 13 N. H. 91, it is laid down that for an injury to land in possession of a tenant, both the tenant and reversioner have separate actions for their several damages ; and to the same effect is Co. L. 57 a., Hargrave & But. note 2; 2 Wash, on Real Prop. 393.
This, indeed, is apparent from a consideration of the nature of the interests held by each; the tenant having the right to the possession of the land and to the enjoyment of the shade and fruit of the trees, and the reversioner, the right to the trees themselves, subject to this use by the tenant; and therefore when they are cut down by the tenant unless for necessary fuel, repairs, or perhaps clearing of the land in proper cases, or by a stranger, they become at once the property of the reversioner absolutely, for which he may maintain trespass or trover against any one who may remove them. Bulkley v. Dolbrace, 7 Conn. 232; 2 Washburne on Real Prop. 393.
In an action by the reversioner for an injury by a stranger, it is necessary to allege the plaintiff’s interest in the land, and that the acts complained of affected the inheritance; Davis v. Jewett, 13 N. H. 91, and cases cited; otherwise the action could not be maintained, and there would be strong ground for contending that the same principle would require that the tenant, when he seeks to recover of a stranger for the injury done to the reversion, should also set out such claim and state the facts upon which it is founded. If he has already been compelled to pay the reversioner for the injury done to him, it would seem that this should be stated, and that the tenant’s claim in respect to that part of the injury should be limited to the amount, so paid, for to that extent only is he injured.
The suit by the tenant may or may not be designed to recover for the injury to the inheritance as well ás to the possession, and it is therefore obviously important that it appear from the declaration whether it does or not; and this accords too with the general rules of pleading.
It is clear from the adjudged cases, that the claims of the tenant and reversioner can be separated, that they are in fact distinct, and that each may maintain a suit for the injury done to him, and that both may be pending at the same time. How, then, can the tenant include in his damages the injury to the reversion ? If he can in any case, how is the defendant to avail himself of the fact that another action is pending by him in remainder or reversion ?
Again, there is no necessity for arming the tenant with such power. If he is entitled to recover for the injury to the inheritance, whether he has satisfied the reversioner or not, his recovery must be a bar to a suit by the landlord, and still the trespasser might avail himself, by way of defense, of a license, or admission, by the tenant which might in effect defeat the landlord’s claim against such trespasser, and besides the landlord might find his claim against the trespasser defeated by the result of a suit prosecuted without his assent, in a manner opposed to his wishes, or by his inability to obtain from the tenant himself the fruits of the suit against such third person.
If the tenant has. been compelled to satisfy the landlord for the injury by a third person, he may have his remedy over, but, until then, we think he must be confined to damages for the injury to the possession.
This case-is unlike the cases of goods in the hands of carriers, factors,, wharfingers and other agents, who are responsible for them to their principals, because of the different rules which apply to lands and goods. In the case of lands in the possession of a tenant, his interest and the interest of the landlord are distinctly marked and easily separated; and for injuries to either there are appropriate and distinct remedies while in respect to goods there is, in general, no such distinction; and such is the effect given by the law to the fact of possession' that either trespass or trover may be maintained against one who wrongfully deprives another of such possession without any injury as to the ultimate title.
But beyond this, the authorities, so far as we have any, are opposed to the claim of the tenant to recover damages for an injury to the inheritance until he has first satisfied the landlord; and there is nothing in the state of the law in respect to suits by agents, carriers, and others in possession of goods, that would induce us to extend it to a case like the present.
We think, therefore, that on this ground the verdict must be set aside unless plaintiff will reduce the amount of the verdict to nominal damages. ^