King v. La Grange

Sharpstein, J. :

This is an action of ejectment, and the complaint is in the *227ordinary form. One of the defenses set out in the answer of the defendant is, “that at the time of the commencement of this action, he was Superintendent of the United States Branch Mint, situated on the lot of land described in the complaint, * * * and as such and not otherwise, he was in possession of said lot for the United States, and not for himself, and that he never had or claimed to have any interest therein as owner, tenant or otherwise, and that from 1854, down to the present time, the United States has continuously been, and still is, the owner in "fee and in the sole and exclusive possession of said lot, and every part thereof.”

It is not claimed, and could not successfully be claimed, that by the interposition of this plea the court was ousted of jurisdiction to proceed further in the action. But an issue was raised which the court was bound to try the same as any other issue in the case. If the facts alleged turned out to be true, they would constitute a defense to the action. Otherwise, not. As to some of those facts there was no controversy. The plaintiff admitted “that since May, 1854, the Government of the United States has claimed title to the premises in dispute, and that since said time said premises have been in the exclusive, open and notorious possession of the successive Superintendents of said Branch Mint, as the officers of and in behalf of the United States,” under a deed from one Curtis to James Guthrie, Secretary of the Treasury.

It was not admitted that the Government of the United States was ever at any time the owner in fee of said lot or that the Government was ever in possession of it, unless the possession of the defendant was the possession of the Government. But it is insisted that the admission shows that he was not in possession of the demanded premises within the meaning of that term as used in the law of ejectment, and that therefore the judgment is erroneous.

The precise question arose in Polack v. Mansfield, 44 Cal. 36, and it was there held that the action of ejectment would lie against an officer of the United States in possession of the demanded premises for the purposes of a military camp or fortification under the direction of the Secretary of War or of the President of the United States. In support of this the Court cited Meigs v. M’Clung’s Lessee, 9 Cranch. 11, in *228which the Court said: “The land is certainly the property of the plaintiff below, and the United States can not have intended to deprive him of it by violence, and without compensation. This Court is unanimously and clearly of opinion that the Circuit Court committed no error in instructing the jury that the Indian title was extinguished to the land in controversy, and that the plaintiff below might sustain his action.” And Osborn v. The Bank of the United States, 9 Wheat. 738, in which Chief Justice Marshall, delivering the opinion of the Court, used the following language: “It may, we think, be laid down as a rule, which admits of no exception, that in all cases where jurisdiction depends on the party, it is the party named in the record. Where the right is in the plaintiff and the possession is in the defendant, the injury can not he stopped by the mere assertion of title in a sovereign.” Also, McConnell v. Wilcox, 1 Scammon, 344, in which the Supreme Court of Illinois held that the defense that ejectment would not lie because the occupant of the demanded premises was an officer of the United States, and in possession as such officer, and not otherwise, could “not he tolerated for a moment.”

Osborn v. The Bank of the United States, supra, is cited in Davis v. Gray, 16 Wall. 220, in which the Court says that it was decided in the former case that: “In deciding who are parties to the suit the Court will not look beyond the record. Making a State officer a party does not make the State a party, although her law may have prompted his action, and the State may stand behind him as the real party in interest.”

In Swasey v. Worth Carolina Railroad Company, 1 Hughes 17, Chief Justice Waite says: “Since the case of Osborn v. The Bank of the United States, it has been the uniform practice of the Courts of the United States to take jurisdiction of cases affecting the property of a State in the hands of its agents, without making the State a party, where the property or the agent is within the jurisdiction. In such cases the Courts act through the instrumentality of the property or the agent.”

These, and Brown v. Huger, 21 How. 305; Cooley v. O’Conner, 12 Wall. 391; and Grisar v. McDowell, 6 id. 363, preceded *229the case of Carr v. United States, 98 U. S. 433. The question which the Court had to decide in the latter case was whether the United States would he concluded by a judgment recovered in an action of ejectment against a mere officer of the Government holding possession of the demanded premises solely by virtue of his office. The Court held that the Government was not estopped by that judgment from maintaining an action to quiet its title to the premises in controversy. But the Court did not treat the judgment recovered in ejectment as void. It did not say that the Government was entitled to have its title quieted because it claimed the land and was in possession of it by its officers or agents when the action of ejectment was commenced. But the Court went fully into the question of title, and held that the Government had á valid title to the land, .and was not estopped from asserting it by.a judgment rendered in an action to which it was, not, and could not be made, a party without its express consent.

In one part of the opinion the Court did say: “If a proceeding would lie against the officers as individuals in the case of a marine hospital, it might be instituted with equal facility and right in reference to a post-office or a custonir house, a prison or a fortification.” But that was entirely outside of the case which the Court had before it. As before stated, the only question which the Court had before it was, whether the judgment rendered against an agent or officer of the Government in a case like this would be a bar to an action by the Government to recover the same property from the party who had recovered it in the action against said agent or officer. And since the Government can not be sued without its consent, but can maintain an action against any one else whether he consents or not, it would seem to result from the doctrine laid down in that case that a person who claims title to land in the possession of the United States can not have his title finally determined in any other way than by bringing an action of ejectment against the officer in possession of the demanded premises and recovering a judgment against him which would constitute no bar to an action by the Government to recover the same property back.

In a note to Lee v. Kaufman, 3 Hughes, 150, Hughes, J., in speaking of the opinion in Carr v. The United States, says:

*230“There is a dictum in the case that where it appears in the course of a suit for possession that the possession assailed is that of the Government, the suit ought to cease; but this is a ■dictu/m, and I am not at liberty to assume, that the Court would intend by a dictum to overrule its own judgments in the cases of Meigs v. M’Clung, McConnell v. Wilcox, Grisar v. McDowell, and Cooley v. O’Connor.” It does not seem to us that Carr v. The United States is an authority in point upon the question of the right of the plaintiff to maintain this action. And we think that the decision in Polach v. Mansfield, supra, is in harmony with the weight of authority upon that question.

But this is not the only ground upon which the appellant insists that the order denying his motion for a new trial should be reversed. He in fact says, that if it be conceded that the facts admitted by the plaintiff did not constitute a complete defense to the action, that those facts taken in connection with other facts proved at the trial did establish a complete defense.

The case, as now presented, is somewhat complicated by reason of there having been a former trial and judgment and an appeal to this Court from an order denying the plaintiff’s motion for a new trial in this same action. His motion for a new trial was based upon insufficiency of the evidence to justify the decision of the Court, and this Court reversed the order upon that ground, in effect holding that upon the .evidence before the Court on the first trial the plaintiff should .have had judgment in his favor. (King v. La Grange, 50 Cal. 328.) Unless, therefore, the defendant on the last trial proved some material fact which he omitted to prove on the first trial, the decision of this Court on the former appeal became the law of the case. As stated in the brief of respondent: “The effort of the defendant at the first trial wras to showr that Perry, the executor of Ward, deceased, attempted and purported to convey the community interest of the deceased by his deed to Curtis, and further, that though he did not convey such interest, yet that Mrs. Ward afterwards ratified the supposed conveyance of her community interest to .Curtis.”

It was held on the former appeal that the evidence was *231insufficient to support a finding that the deceased attempted to dispose of more than his own half of the community property, or that his widow knowingly performed any act indicating, or which could be construed to be a waiver of her rights under the will.

Upon the question of the intention of the testator to devise more than his own half of the community property, the evidence on the last trial was the same as upon the first, and this Court, on. the former appeal, held that said evidence did not tend to prove any such intention. That, therefore, is no longer an open question in this case.

Upon the question whether Mrs. Ward ratified the sale of her interest in the community property, the defendant introduced a bill in chancery filed in the United States District Court for California on the eighteenth of March, 1854, by . James D! and Maria 1ST. Yerner, Grace T. Starr, Trustee ■ of Emily H. S. Ward, and Emily H. S. Ward against Joseph R Curtis, and Philo H. Perry, executor, etc. This bill is signed by Magraw & Wills as solicitors for Mr. and Mrs. Yerner, and by J. H. Clay Mudd as solicitor for Mrs. Starr and Mrs. Ward, and is verified by Henry Carrington, as attorney in fact of Mrs. Starr and Mrs. Ward. The relief prayed was that the sale by Perry, executor, to Curtis should be set aside, and that the surviving partners of Ward, deceased, should pay over to his executor one third of the money received and to be received from the United States under the contract of Curtis for the sale of said premises to the United States. In the opinion of the then Attorney-General of the United States: “ The bill, from beginning to end, in its body and prayer for relief, affirms the sale to the United States, and seeks only an account and decree to complainants of their due proportion of the proceeds of the contract of sale to the United States.”

Unless the filing of this bill operated as a waiver by Mrs. Ward of her rights under the will of her late husband, or as a ratification of the sale made by the executor, there is no evidence tending to prove that she ever waived any of her said rights, or ratified the sale of her share of the community property, by the executor of said will. For this Court held on the former appeal that,independently of the filing of said bill, there was no evidence which tended Lo prove such waiver or ratifi*232cation. The theory of the bill as stated, and we think correctly stated, by respondent’s counsel is “that Curtis, Perry and Ward were tenants in common of the lot in question, on which was an assay office, and during the life of Ward were negotiating to sell the land, building and machinery to the United States Government for the purposes of a mint, that before the bargain was concluded Ward died, and the surviving partners manipulated the matter, so that Perry, as executor, sold to Curtis, the other surviving partner, all of Ward’s interest in the land and assay office for the inventory price, and then Curtis sold out to the Government and the two divided the proceeds. The allegation is that Perry, as sole executor, conveyed testator’s interest to Curtis. There is no allegation that Perry conveyed, or purported to convey, Mrs. Ward’s interest as survivor of the community to Curtis, or even that the United States supposed they were getting her interest from Curtis, or that they paid anything to Curtis for her interest, or that any portion of the price received by Curtis was on account of her interest.”

We are unable to see that there is anything in the bill which tends to prove a ratification of the conveyance of her interest in the community property, which it is claimed that the executor attempted to convey. There is no evidence that she knew that the deed to Curtis purported to convey her interest, and that, with knowledge of all the facts, and of her legal position and rights, she accepted the price of said interest. We do not doubt the correctness of the ruling of the Court upon the admissibility of the letter of Magraw & Wills in evidence. It was clearly res inter alios acta.

The objection that the Court had not the power upon the death of Swain to continue the action against La Grange as, his successor in interest comes too late.

Order affirmed.

Morrison, C. J., and Ross, McKinstry, and McKee, JJ., concurred.