Southern Natural Gas Co. v. Davidson, 6 Div. 869.

Decision Date10 March 1932
Docket Number6 Div. 869.
PartiesSOUTHERN NATURAL GAS CO. v. DAVIDSON.
CourtAlabama Supreme Court

Rehearing Denied June 9, 1932.

Appeal from Circuit Court, Jefferson County; Romaine Boyd, Judge.

Action for personal injury and property damage by James L. Davidson against the Southern Natural Gas Company. From a judgment for plaintiff, defendant appeals.

Reversed and remanded.

Stokely Scrivner, Dominick & Smith, of Birmingham, for appellant.

Fitts Boyle & Fitts and R. B. Evins, all of Birmingham, for appellee.

FOSTER J.

This is an action for damages resulting from a collision of a car of defendant driven by one Ed Green, as its agent, etc., with that driven by plaintiff on a highway in this state.

Plaintiff's theory was that Ed Green was under the influence of intoxicating liquor at the time-admittedly material evidence. A witness may testify that the conduct and appearance of another was that he was intoxicated (May v. State, 167 Ala. 36 (8), 52 So. 602; Stoudemire v. Davis, 208 Ala. 495, 94 So. 498; Burke v. Tidwell, 211 Ala 673, 101 So. 599), but we do not think it is meant that such is the only method of proving intoxication. What is logically relevant for that purpose is legally relevant, and admissible unless some other rule is violated. A collection of circumstances held relevant is set out in the note to 19 Corpus Juris, 802.

We think that the assignments of error 1, 2, 3, and 6 relate to evidence of circumstances which taken together are relevant to show intoxication of Ed Green. Though no one of them by itself may be proof of it, each is a circumstance of more or less value in connection with the others. From them all and other circumstances in the case the jury could infer that he was intoxicated.

Appellant also insists that the rule prescribed by section 7721, Code, prohibited plaintiff from testifying to the conduct of Ed Green at the time of the collision, on account of the pecuniary interest of plaintiff and because Ed Green was then and there the agent of defendant and acting in a fiduciary capacity to defendant, and was dead at the time of the trial. He was killed as a result of the collision. Section 7721, Code, applies, among other conditions, when (1) the witness has a pecuniary interest in the result of the suit, and (2) the deceased acted in a representative relation to the party against whom the evidence is offered, and (3) he testifies to a transaction with the deceased. The facts in this case show the existence of (1) and (2), supra. The only question is whether they show a transaction with deceased.

In Borum v. Bell, 132 Ala. 85, 31 So. 454, this court, with respect to a claim by Mrs. Bell for board of her deceased grandfather, held that she could testify that he "came to her house and stayed there continuously until July 1897, when he left," etc. This was held not to be a transaction with deceased, and was as to his conduct open and apparent to the public.

A similar application of the rule occurs in Warten v. Black, 195 Ala. 93, 70 So. 758, 760, in which an interested party was allowed to testify that he had cared for the cattle of deceased, and the number of them; for that this did not relate directly but only collaterally to a transaction with deceased, citing Miller v. Cannon, 84 Ala. 59, 4 So. 204, and Wood v. Brewer, 73 Ala. 259, both by Judge Stone, and quoting from the latter case, that to come within the influence of the statute the testimony "must be [of] some act done by the deceased, or in the doing of which he personally participated." In both these cases the evidence related to what was called "collateral facts," but there is excluded all "negotiations, interviews and actions between the parties." It was also shown that a "transaction" involved the idea that "something (was) done by both parties acting in concert, in which both took part," and does not include matter which did not come to his knowledge by personal dealings with deceased. Moore v. Moore, 212 Ala. 685, 103 So. 892; 28 R. C. L. 496, 497; 40 Cyc. 2314.

In the case of Duggar v. Pitts, 145 Ala. 358, 39 So. 905, 8 Ann. Cas. 146, this court held that it was reversible error to permit a physician suing the estate of a deceased to testify to the number of visits he made the deceased, and what he did to relieve his suffering.

In our case of Cobb v. Owen, 150 Ala. 410, 43 So. 826, there was a suit by the administratrix of deceased against defendant for his wrongful death by personal encounter. The court held that the defendant could not testify to his own conduct in the transaction to show that deceased and not he was the aggressor. That was based upon the assumption that in such a suit the estate of deceased is interested. But in the later case of Kuykendall v. Edmondson, 205 Ala. 265, 87 So. 882, so much of that decision which held that the evidence was incompetent because the estate was interested was overruled, as the suit was not for the estate, but the distributees, and therefore it was held that in such a case the rule of exclusion did not apply.

In the case of Buye v. Ala. Marble Quarries, 199 Ala. 589, 75 So. 9, the general manager of defendant who was a stockholder was held to be incompetent in a suit by the administratrix for wrongful death to testify that he had given deceased certain instructions. It is noted that this case is in line with Cobb v. Owen, supra, which was partly overruled as we have stated, though the Buye Case, supra, was not mentioned. We take it, however, that it has yielded to Kuykendall v. Edmondson, supra, as has Nevers Lumber Co. v. Fields, 151 Ala. 367, 44 So. 81, in this respect. Other authorities support our latest statement on the subject. Hale v. Kearly, 67 Tenn. (8 Baxt.) 49; Lake Erie, etc., R. Co. v. Charman, 161 Ind. 95, 67 N.E. 923; McEwen v. Springfield, 64 Ga. 159; Cent. Iron Co. v. Hamacher (C. C. A.) 248 F. 50; Thomas v. Chicago, R.I. & P. Rwy. Co. (Mo. App.) 271 S.W. 862; Thomas v. Daues, 314 Mo. 13, 283 S.W. 51, 45 A. L. R. 1466. See annotations 36 A. L. R. 962, et seq.

It is said in 5 Jones on Evidence, §§ 2228 and 2261, that such a rule of exclusion as our section 7721 applies to tort actions as well as others. Our cases make no distinction. The authorities do not seem to be influenced by the kind of suit but the character of the incidents related by the witness. Our cases exclude conversations, orders, and all forms of communications between the parties, and all their personal dealings and conduct. The evidence of matter which is open and public is not the test. But the test is that it relates to some personal dealings whether others have an equal opportunity to see and observe or not. The concurring conduct of the participants constituting the res gestæ of a personal conflict or encounter between them has been held to be a transaction within the effect of such a statute. Souther v. Belleau, 203 Ky. 508, 262 S.W. 619, 36 A. L. R. 956, 963; DiNardi v. Standard L. & S. Co., 3 Boyce (Del.) 369, 84 A. 124; Van Meter v. Goldfarb, 317 Ill. 620, 148 N.E. 391, 41 A. L. R. 343; Foster v. Shepherd, 258 Ill. 164, 101 N.E. 411, 45 L. R. A. (N. S.) 167, Ann. Cas....

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