{
  "id": 3366241,
  "name": "GEORGE FELTY, Plaintiff-Appellee, v. GENERAL TELEPHONE COMPANY OF ILLINOIS, Defendant-Appellant",
  "name_abbreviation": "Felty v. General Telephone Co.",
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      "GEORGE FELTY, Plaintiff-Appellee, v. GENERAL TELEPHONE COMPANY OF ILLINOIS, Defendant-Appellant."
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      {
        "text": "Mr. JUSTICE KARNS\ndelivered the opinion of the court:\nThis is an appeal by the General Telephone Company of Illinois from a judgment for plaintiff George Felty in a personal injury action in the Circuit Court of Williamson County. The action was based on the alleged negligence of five defendants, including the telephone company, in the process of transporting a large oil circuit breaker through the streets of the city of Metropolis. The jury returned a verdict of $950,000 in favor of plaintiff against all the defendants.\nGeneral Telephone raises several issues on this appeal: whether the trial court erred in denying its motions for directed verdicts and for judgment n.o.v.; whether allegedly improper conduct by plaintiff\u2019s counsel prejudiced the jury\u2019s verdict; whether the court erred in failing properly to instruct the jury as to appellant\u2019s theory of the case; whether the court improperly admitted certain evidence; and whether a post-judgment loan-receipt agreement entered into by plaintiff and the other four defendants was invalid. Because we have concluded that the conduct of the telephone company, if negligent, was not the legal or proximate cause of plaintiffs injury, we need reach only the first of these issues.\nPlaintiff, a 48-year-old journeyman lineman, had been hired to ride atop circuit breakers (which weighed nine tons each and were 16 feet 2\u00bd inches in height) as they were moved on a lowboy trailer pulled by a truck. His job was to lift power lines, tree limbs and telephone cables above the load as necessary along the route. On the third trip along the same route, the load came into contact with a telephone pole support cable owned and maintained by General Telephone. The cable caught the top of the bushing of the circuit breaker on which plaintiff was riding, and he was thrown to the pavement below, sustaining injuries that resulted in permanent paralysis of his lower extremities.\nThe complaint alleged that the telephone company was negligent in allowing the cable to extend across the roadway at a height less than 18 feet above the surface thereof, in violation of Rule 232 of the Rules for Construction of Electric Power and Communications Lines of the Illinois Commerce Commission; allowing the cable to extend across the roadway at a height of approximately 17 feet 10 inches above the surface when it knew or. should have known that lowboy trucks carrying circuit breakers approximately 18 feet high were likely to pass under the cable; failing to raise the cable to a safe height above the roadway surface; and failing to inspect the height of the cable to determine whether or not it was less than 18 feet above the roadway surface.\nAlthough the testimony was conflicting and the measurements upon which it was based were imprecise, there was sufficient evidence to raise a question for the jury as to whether or not the telephone company was negligent. Even if it were negligent, however, we think that, as in Merlo v. Public Service Co., 381 Ill. 300, 45 N.E.2d 665 (1942), the intervening, independent acts of the other defendants were the proximate cause of plaintiffs injuries. In Merlo, judgment notwithstanding the verdict was granted to the defendant power company in a wrongful death action where plaintiffs decedent had been electrocuted as the boom of a negligently operated crane came into contact with a sagging, improperly insulated wire owned by the power company. Finding that the power company had a duty to maintain the wire and that \u201cthere was sufficient evidence in the record tending to prove the negligence charged * * * if it was further established by the evidence that such negligence was the proximate cause of the injury,\u201d the court in Merlo nevertheless decided as a matter of law that the lack of insulation and the sagging wire only furnished a condition and the \u201cintervening, independent act of the crane operator was the efficient and proximate cause of the fatal injuries * * *.\" 381 Ill. 300, 316, 318, 45 N.E.2d 665, 674-75.\nIn the instant case, all the parties involved were aware of the presence of the cable; in fact, the entire purpose of the elaborate preparations and precautions planned, although obviously not properly executed, was to insure the safe passage of the circuit breakers under overhead obstacles, including the telephone support cable here in question. Plaintiffs sole purpose in being on top of the circuit breaker was to assist in this safe passage. The route to be taken in the movement of the circuit breakers and the obstacles to be cleared had been both planned and noted approximately one month before the date of the actual movement. An employee of New Berlin Transit, Inc., the defendant which supervised the transportation of the circuit breakers, estimated the cable to be slightly more than 18 feet above the roadway. Notwithstanding, the telephone company was never notified of the movement of the circuit breakers through Metropolis or requested to assist by temporarily removing or raising the cable in question. The plaintiff himself examined the route of travel and possible overhead obstacles to be cleared.\nPrior to the accident, the same truck, loaded with identical circuit breakers, driven by the same driver, had made two trips over the route taken at the time of the accident without incident. On the previous occasions the truck moved slowly under the cable. Plaintiff testified that on each occasion the truck had slowed to a stop before proceeding, and that he raised the cable about one-half an inch or one inch above the circuit breaker before the truck proceeded. On the previous occasions a \u201cspotter\u201d had preceded the truck and flagged it to a stop before it reached the cable.\nOn the third trip, the \u201cspotter\u201d stopped the truck about a block before reaching the cable but then left to locate a second truck traveling behind the truck on which plaintiff was riding. The driver then proceeded under the wire at a constant speed; he did not slow the truck. The plaintiff, observing the wire, yelled to the driver to slow down. Apparently the driver did not hear, as he continued without stopping and the accident occurred.\nIf negligence, defendant\u2019s conduct does not encompass the risk to plaintiff revealed by these facts. There is no doubt that this overhanging cable was a cause of plaintifFs accident, as \u201cbut for\u201d the presence of the cable the accident would not have happened, but under these facts defendant\u2019s conduct is not the legal, or proximate, cause of plaintiffs injury. (For a discussion of the difficulties of applying the concept of \u201cproximate cause,\u201d see W. Prosser, Law of Torts \u00a7 41 et seq. (4th ed. 1971).) The basis of liability and nonliability is not easily resolved in terms of legal theory. Whether analyzed in terms of \u201cduty\u201d or \u201cforeseeability\u201d (see Cunis v. Brennan, 56 Ill. 2d 372, 308 N.E.2d 617 (1974); cf. Winnett v. Winnett, 57 Ill. 2d 7, 310 N.E.2d 1 (1974), and Ray v. Cock Robin, Inc., 57 Ill. 2d 19, 310 N.E.2d 9 (1974)), the ultimate determination of nonliability under these unusual factual situations is based, as Professor Prosser suggests, on considerations of policy and some sense of fairness or justice. W. Prosser, Law of Torts \u00a7\u00a7 42, 43 (4th ed. 1971).\n\u201cIf a negligent act or omission does nothing more than furnish a condition making an injury possible, and such condition, by the subsequent independent act of a third person, causes an injury, the two acts are not concurrent and the existence of the condition is not the proximate cause of the injury.\u201d (Briske v. Village of Burnham, 379 Ill. 193, 199, 39 N.E.2d 976, 979 (1942).) As in Briske, it was the negligent inattention of the driver of the truck transporting the circuit breakers, the absence of the spotters or lookouts, or the concurrence of both that was the immediate cause of plaintiffs injuries. The defendant could not reasonably foresee such unusual, intervening acts of negligence; the express purpose of the precautions taken was to insure that the circuit breakers would be transported safely under overhead wires and objects, the existence of which was known to all parties concerned with the movement of the circuit breakers.\nThese acts or omissions were superseding or intervening causes which under these facts should relieve the telephone company of liability. (See Restatement (Second) of Torts \u00a7\u00a7 440, 441 (1965).) We agree with appellant that the facts in Merlo are similar to the facts in this case. In a recent opinion of the Illinois Supreme Court (Davis v. Marathon Oil Co., 64 Ill. 2d 380, 356 N.E.2d 93 (1976)), the court, while noting that each case must turn on its own facts, cited Merlo with approval. (See also Watson v. Byerly Aviation, Inc., 7 Ill. App. 3d 662, 288 N.E.2d 233 (3d Dist. 1972); Ferguson v. Southwestern Bell Telephone Co., 8 Ill. App. 3d 890, 290 N.E.2d 429 (5th Dist. 1972).) We therefore hold that the intervening negligence of the other defendants was the sole, efficient cause of plaintiffs injuries.\nFor the foregoing reasons, the judgment of the Circuit Court of Williamson County is reversed.\nReversed.\nJONES, J., concurs.",
        "type": "majority",
        "author": "Mr. JUSTICE KARNS"
      },
      {
        "text": "Mr. JUSTICE GEORGE J. MORAN,\ndissenting:\nIn urging us to find as a matter of law that the negligence of General Telephone was not the proximate cause of plaintiffs injuries, General Telephone cites the case of Merlo v. Public Service Co., 381 Ill. 300, 45 N.E.2d 665. In that case, judgment notwithstanding the verdict was granted to the defendant power company in a wrongful death action where plaintiffs decedent had been electrocuted as the boom of a negligently operated crane came into contact with a sagging, improperly insulated wire owned by the power company. Finding that the power company had a duty to maintain the wire and that \u201cthere was sufficient evidence in the record tending to prove the negligence charged * * * if it was further established by the evidence that such negligence was the proximate cause of the injury,\u201d the court in Merlo nevertheless decided as a matter of law that the lack of insulation and the sagging wire only furnished a condition and the \u201cintervening, independent act of the crane operator was the efficient and proximate cause of the fatal injuries * * *.\u201d\nI agree with appellant that the facts in Merlo are similar to the facts in this case and if Merlo were the sole authority on this question, we should decide this issue in favor of defendant. However, in my opinion subsequent supreme court cases indicate that if the supreme court were now faced with the same facts as those in Merlo, it would decide the question of proximate cause differently. It would now most probably say that this was a question of fact for the jury.\nFor example, shortly after the decision in Merlo, the supreme court decided the case of Neering v. Illinois Central R.R. Co., 383 Ill. 366, 50 N.E.2d 497. In Neering the plaintiff filed a complaint for damages as a result of being assaulted while she was awaiting the arrival of a train. The jury awarded her a verdict which the trial court refused to overturn. The defendant contended that its negligence, if any, was not the proximate cause of plaintiffs injuries because an abnormal criminal act of a third person broke the chain of causation.\nThe supreme court held that under the circumstances the question of proximate cause was for the jury, saying at pages 380-81:\n\u201cAn intervening efficient cause is a new and independent force which breaks the causal connection between the original wrong and the injury and itself becomes the direct and immediate cause of the injury. [Citations.] The intervention of independent concurrent or intervening forces will not break causal connection if the intervention of such forces was itself probable or foreseeable. [Citations.] What is the proximate cause of an injury is ordinarily a question of fact to be determined by a jury from a consideration of all of the evidence.\u201d 383 Ill. 366, 380-81.\nIn Ney v. Yellow Cab Co. 2 Ill. 2d 74, 117 N.E.2d 74, the appellate court affirmed a judgment of the trial court fixing liability on the defendant for violation of the Uniform Traffic Act. The complaint charged that defendant, by its servant, negligently permitted its taxicab to remain unattended on a Chicago street without stopping the engine or locking the ignition or removing the key, contrary to a section of the Act. The undisputed facts revealed that a thief stole the taxicab and while in flight ran into plaintiffs vehicle causing property damage. The defendant contended that its negligence, if any, was not the proximate cause of the injury.\nIn holding that whether or not the defendant\u2019s negligence was the proximate cause of plaintiff s injuries, the court gave a long and scholarly discussion of the proximate cause doctrine. In holding that the case presented a question of fact for the jury as to whether the thief s acts were foreseeable and thus the proximate cause of plaintiffs damage, the supreme court said,\n\u201cQuestions of negligence, due care and proximate cause are ordinarily questions of fact for a jury to decide. The right of trial by jury is recognized in the Magna Charta, our Declaration of Independence and both our State and Federal constitutions. It is a fundamental right in our democratic judicial system. Questions which are composed of such qualities sufficient to cause reasonable men to arrive at different results should never be determined as matters of law. The debatable quality of issues such as negligence and proximate cause, the fact that fair-minded men might reach different conclusions, emphasize the appropriateness and necessity of leaving such questions to a fact-finding body. The jury is the tribunal under our legal system to decide that type of issue. To withdraw such questions from the jury is to usurp its function.\u201d 2 Ill. 2d 74, 84.\nIn both the Neering case and the Ney case primary emphasis was placed on whether the subsequent act of the third party was foreseeable and that this was a question of fact for the jury. This same test was also adopted in Ray v. Cock Robin, Inc., 57 Ill. 2d 19, 310 N.E.2d 9.\nIn the recent opinion of the supreme court in the case of Davis v. Marathon Oil Co., 64 Ill. 2d 380, 356 N.E.2d 93, the defendant claimed that its negligence was not the proximate cause of plaintiff s injuries by reason of the alleged intervening and independent causes. In deciding that the question of proximate cause was for the jury, the supreme court restated the language from Neering previously cited in the opinion and then said:\n\u201cDefendant has cited cases in which a defendant\u2019s negligent conduct was determined as a matter of law not to have proximately caused the resulting injuries. (Merlo v. Public Service Co. (1942), 381 Ill. 300; Watson v. Byerly Aviation, Inc. (3d Dist. 1972), 7 Ill. App. 3d 662; Waters v. Futuristic Homes, Inc. (1st Dist. 1971), 131 Ill. App. 2d 143.) We emphasize, however, that each case must turn on its own facts. Defendant remains liable for its negligence if the intervening event was foreseeable. Moreover, to escape liability, defendant must demonstrate that the intervening event was unforeseeable as a matter of law. This we cannot conclude. Proximate cause is ordinarily a question for the jury to decide. (Ney v. Yellow Cab Co. (1954), 2 Ill. 2d 74, 84.)\u201d 64 Ill. 2d 380, 395.\nIn my opinion, the question of whether General Telephone\u2019s negligence was the proximate cause of plaintiffs injuries was a question of fact for the jury.\nThere are other important issues in this case which have not been passed on by the majority. I will therefore discuss them.\nGeneral Telephone also contends that the court improperly instructed the jury as to proximate cause, thus preventing the jury from considering its theory of the case. At the close of plaintiffs and defendant\u2019s cases-in-chief, plaintiff offered the following Illinois Pattern Instruction on proximate cause:\n\u201cWhen I use the expression \u2018proximate cause\u2019, I mean any cause which, in nature or probable sequence, produced the injury complained of. [It need not be the only cause, nor the last or nearest cause. It is sufficient if it concurs with some other cause acting at the same time, which in combination with it, causes the injury.]\u201d IPI Civil No. 15.01.\nDefendant General Telephone objected to this instruction at the conference on instructions on the ground that it failed to explain to the jury the effect of an intervening cause breaking the proximate causal connection. General Telephone then tendered its own instruction which added the following paragraph to plaintiffs instruction on proximate cause:\n\u201cHowever, if the act, or failure to act, of the party sought to be charged does nothing more than furnish a condition by which the injury is made possible, and that condition causes an injury by the subsequent, independent act of another person, the creation of the condition is not the proximate cause of the injury.\u201d\nDefendant\u2019s instruction was rejected by the trial court and the IPI instruction on proximate cause was given instead.\nIn discussing the propriety of the giving of any IPI instruction, we are bound to follow the mandate of Supreme Court Rule 239(a) (Ill. Rev. Stat. 1975, ch. 110A, par. 239(a)):\n\u201cUse of IPI Instructions; Requirements of Other Instructions. Whenever Illinois Pattern Jury Instructions (IPI) contains an instruction applicable in a civil case, giving due consideration to the facts and the prevailing law, and the court determines that the jury should be instructed on the subject, the IPI instruction shall be used, unless the court determines that it does not accurately state the law. Whenever IPI does not contain an instruction on a subject on which the court determines that the jury should be instructed, the instruction given on that subject should be simple, brief, impartial, and free from argument.\u201d (Emphasis added.)\nIn each instance where the Supreme Court Committee recommended an instruction, it was supplemented with explanatory notes stating the reason and the authority for the recommendation. Parts of the Committee Comments to Illinois Pattern Instruction No. 15.01 read as follows:\n\u201cThis instruction in its entirety should be used only when there is evidence of a concurring or contributing cause to the injury or death (other than acts or omissions of the plaintiff). In cases where there is no evidence of a concurring or contributing cause, the short version without the bracketed material should be used.\n* * *\nAn instruction encompassing the bracketed material is proper in litigation where there is evidence that something or the acts of someone other than the negligence of the defendant, or intoxication of a person who has been sold or given intoxicants, was a proximate cause of the injury or death. James v. Checker Taxi Co., 22 Ill. App. 2d 22, 159 N.E.2d 12 (1st Dist. 1959); Harrold v. Clinton Gas & Electric Co., 205 Ill. App. 12 (3d Dist. 1917); St. Clair v. Douvas, 21 Ill. App. 2d 444, 158 N.E.2d 642 (1st Dist. 1959).\u201d\nThe St. Clair v. Douvas case contained the following language:\n\u201cAny intervening cause is not sufficient to break the causal connection between the wrong and the injury. It must be a new and independent force, the intervention of which was not probable or foreseeable by the first wrongdoer. Casey v. Burns, 7 Ill. App. 2d 316, 326. In that case the court further says:\n\u2018Where the party responsible for the initial act knows or should know that, if an occasion is given, a particular so-called intervening cause will be likely to exert itself, the furnishing of such an occasion may be in itself an act causing such party to be liable for the result flowing as the effect of such intervening cause, where the intervening cause is within the control of the party responsible for the initial act: Phillabaum v. Lake Erie & W. R. Co., supra. The intervention of independent, concurrent, or intervening forces will not break causal connection if the intervention of such forces was itself probable or foreseeable: Neering v. Illinois Cent. R. Co., supra; O\u2019Brien v. Musfeldt (1951), 345 Ill. App. 12.\u2019\u201d 21 Ill. App. 2d 444, 455-56.\nThus it is clear from the Committee Comments that the Committee meant this instruction to cover a situation where the defendant contended that his negligence was not the proximate cause of the injury because of an independent intervening cause.\nIn the foreword to its work on instructions, the Committee stated:\n\u201cThe criteria underlying the Committee\u2019s policies bears restatement:\nFirst, the Committee has been opposed to negative instructions, that is, instructions which tell the jury to not do something.\nSecond, the Committee has not recommended instructions which single out a particular item of evidence for comment, even where there is judicial authority for the instruction.\nThird, the Committee has been reluctant to recommend instructions that would be appropriate only in an exceptional case and are likely to be sources of error.\nFourth, and perhaps most important, the Committee has opposed over particularizing. It has preferred to rely upon one instruction which is general in nature and has avoided creating a number of instructions on a subject which is adequately covered by the single general instruction.\nUnderlying all these considerations has been a major policy. We have viewed the problem of communicating law to the jury as one best handled by a partnership between court and trial counsel rather than by the court alone. The Court will in understandable language fairly state the law, permitting counsel on each side to supply adversary emphasis, rather than try to neutralize partisan instructions, sounding first like plaintiffs counsel and then in the next sentence like defense counsel. In brief, on many occasions when the Committee has rejected an instruction, it has felt not so much that the point ought not be told to the jury, but rather that it should be told to the jury by counsel rather than by the Court.\u201d\nIPI Instruction No. 15.01 permits counsel for the defendant to argue to the jury that his client\u2019s conduct was not a cause which in natural or probable sequence caused plaintiffs injury, while plaintiffs counsel would probably base his argument on the bracketed material.\nInstructions should be intelligible, accurate, clear, and not unduly verbose. Defendant\u2019s proposed addition was not accurate because it was not a complete statement of the law since it left out the element of foreseeability. Thus it would not have been proper to give it in any event.\nThe court should instruct the jury in plain and simple language, and it should harmonize the instructions so that they will present legal questions in a consistent and intelligible way to the jury. The test of the correctness or propriety of instructions is not what meaning the ingenuity of counsel can, at leisure, attribute to them, but how and in what sense, under the evidence before them and the circumstances of the trial, ordinary men acting as jurors will understand the instructions.\nIn my opinion, the language of IPI No. 15.01 is plain and simple and ordinary men and women would have no difficulty understanding it, especially when aided by argument of able counsel.\nThe first incident occurred when the law partner of plaintiff s attorney entered the court room during the examination of a witness by one of the defendant\u2019s counsel and whispered to his partner in the presence of the jury, \u201cYou ought to try to get in that evidence about raising the line.\u201d This referred to defendant\u2019s repair of the telephone line after the accident and raising of the line to a higher elevation than it was at the time of the occurrence. This evidence had been properly excluded prior to this incident and defendant claims that the jury heard the whisper and took the evidence commented upon therein as an admission of General Telephone\u2019s guilt. Following the close of the trial, however, plaintiff obtained the affidavits of the four jurors who were seated closest to plaintiff s counsel table and each juror stated that they had not heard the comment. Questions involving the conduct of counsel are generally left to the discretion of the trial court and reversible error occurs only when liability is a close question and counsel\u2019s conduct clearly deprives a litigant of a fair trial and improperly prejudices the jury in its verdict. (Martin v. Kralis Poultry Co., 12 Ill. App. 3d 453, 297 N.E.2d 610.) The conduct of the law partner of plaintiff s attorney clearly did not deprive defendant of a fair trial and is not reversible error.\nThe second instance of alleged misconduct, allegedly occurred during the testimony of Gerald Tanner, a General Telephone lineman who on the date of the accident, while driving from his home to work, had passed by the two trucks and circuit breakers involved in the accident.\nThe defendant telephone company moved for a mistrial at the end of Tanner\u2019s testimony because of the alleged misconduct of the attorney for the plaintiff and an attorney for a co-defendant who allegedly stated that Tanner had a legal duty to stop the trucks in question. There are no such statements in the record, so this contention is also without merit.\nDefendant also argues that admission of testimony concerning the fact that the plaintiffs wife wore a pacemaker was prejudicial and constituted prejudicial error. Over objections of counsel, plaintiff s wife was allowed to testify that she wore a pacemaker on her heart that required surgical intervention every 18-24 months at an approximate cost of $2500 for each hospitalization. Prior to the accident, these expenses had been paid through a union health plan. Plaintiffs permanent disability, however, caused him to lose the benefits of the hospitalization program and the evidence regarding the pacemaker was introduced to show that plaintiff\u2019s loss of hospitalization benefits and resulting liability for his wife\u2019s medical costs was an injury to plaintiff and therefore should be considered as an element of damages.\nEvidence of the family circumstances of a party is generally held inadmissible in an action to recover compensatory damages for personal injuries. (Annot., 37 A.L.R.3d 1082, 1085 (1971); McCarthy v. Spring Valley Coal Co., 23 Ill. 473; Brayfield v. Johnson, 62 Ill. App. 2d 59, 210 N.E.2d 28.) In a personal injury action compensation is sought for the injuries of an individual plaintiff and damages sustained by plaintiffs family are not a part of his personal action. Evidence of a plaintiff s family circumstances, therefore, is irrelevant and inadmissible on the issue of damages. Moreover, where the evidence sought to be introduced relates to the distressed circumstances of the plaintiffs family, it is regarded by most courts as unduly prejudicial to the defendant and thus inadmissible. (37 A.L.R.3d 1082, 1095 (1971).) The prejudicial effect of such evidence, however, depends on a variety of circumstances and varies widely from case to case. (Annot., 59 A.L.R.2d 371 (1958).) As a result, each case must be considered individually and where evidence of distressed family circumstances is erroneously admitted, whether such admission is reversible or harmless error will depend on the particular evidence introduced and the circumstances involved.\nMrs. Felty testified that she wore a pacemaker, that surgical intervention was required every 18-24 months to replace the pacemaker\u2019s batteries, that the approximate cost of each operation was in the range of $2500 and that because of her husband\u2019s injury the costs of her operation would no longer be covered under the union hospitalization program. This evidence was referred to in the testimony of Dr. Ellis, an economist, who testified as to the economic losses due to plaintiffs injuries. In his closing statement, plaintiffs counsel briefly recounted Dr. Ellis\u2019s testimony regarding plaintiff s injuries, including that relating to the cost of Mrs. Felty\u2019s periodic surgery.\nThese were the only instances in which Mrs. Felty\u2019s condition was brought to the attention of the jury. In each instance the testimony was referred to as evidence of an injury to plaintiff in the exact amount of $2500 every 18-24 months. There was no effort to exploit the impact of the testimony beyond the limited purpose for which it was introduced and the jury was well aware that this evidence had to do only with the fixing of damages after it reached a finding of liability. Considering the other evidence presented at trial, including extensive testimony regarding plaintiffs future loss of earnings, his extreme pain and constant suffering, the grievous nature of the injuries and the prospect of future surgery and increasing suffering, it cannot be said that the evidence of Mrs. Felty\u2019s heart condition was so prejudicial as to have affected the jury\u2019s determination of liability. The properly admitted evidence had a far greater potential for evoking the sympathy and passion of the jury than did the evidence of Mrs. Felty\u2019s heart condition, and it appears very unlikely that the result would have been any different had Mrs. Felty\u2019s testimony not been admitted. An error in the admission of evidence will not cause reversal where the evidence is of small consequence to the result at trial. Saputo v. Fatla, 25 Ill. App. 3d 775, 324 N.E.2d 34; Phillips v. Shell Oil Co., 13 Ill. App. 3d 512, 300 N.E.2d 771.\nIn Raines v. New York Central R.R. Co., 51 Ill. 2d 428, 283 N.E.2d 230, the court held that where there was other proper evidence to support the verdict, the validity of defendant\u2019s contention that the admission of evidence regarding future inflationary economic trends would not be considered. In that case the court said:\n\u201cWithout acknowledging error in the admission of the evidence regarding inflation, the plaintiff contends, citing [citations], that reversal, if the admission of the evidence was improper, is called for only if the verdict was excessive and in this case the verdict was not excessive. The defendant would distinguish these cases on the ground that, although the courts there found harmless error, they did so because the appellant did not question the verdict as excessive. Here the defendant maintains that the verdict is excessive, and that its excessiveness is a consequence of the introduction of evidence of inflation. It has not, however, called attention to any decision holding that the simple assertion that damages are excessive precludes a finding of harmless error, even though the verdict is supported by other proper evidence.\u201d (51 Ill. 2d 428, 436.)\nIn the present case the defendant does not contend that the damages are excessive, so this contention likewise will not be considered.\nFinally, it is General Telephone\u2019s contention that the loan-receipt agreement entered into between, the plaintiff and four of the defendants is void as against public policy.\nSubsequent to the judgment against the five defendants, the plaintiff entered into an agreement which provided for the loan of $750,000 to be advanced by the four defendants other than General Telephone without interest and to be repayable only out of any sums collected from the remaining defendant, General Telephone, either by way of settlement or execution of judgment. The loan is otherwise not repayable. In return, plaintiff promised to \u201cuse and pursue all reasonable and legal means including full pursuit to final judgment, and, if necessary, appeals to final conclusion\u201d to collect against General Telephone in this action and in a pending action of plaintiffs wife for loss of consortium, which also originally involved the other defendants. An express provision of this agreement states that the agreement does not represent a covenant not to sue and that it was entered into in accordance with the Illinois Supreme Court decision in Reese v. Chicago, Burlington & Quincy R.R. Co., 55 Ill. 2d 356, 303 N.E.2d 382.\nOn the same date that the loan-receipt agreement was signed by the plaintiff and the four defendants, the plaintiff made a motion which was granted to vacate the judgment against these four defendants. Upon learning of the agreement, the remaining defendant, General Telephone Company, sought and was granted permission to amend its post-trial motion, wherein it challenged the validity of the loan-receipt agreement and asked the court to release General Telephone from the judgment or, alternatively, to apply the payment made to the plaintiff under the agreement as a partial satisfaction of the judgment. As the other defendants had already been dismissed, notice of this amendment was given only to the plaintiff; and the trial court denied both the post-trial motion and the amendment after a hearing at which only the attorneys for the plaintiff and for General Telephone were present. In this appeal General Telephone urges us to invalidate the loan-receipt agreement and thereby grant the relief they had prayed for in their amendment to the post-trial motion.\nThere can be little doubt that the trial court had the power to consider this post-trial request to compel a credit on the judgment. (Sandburg v. Papineau, 81 Ill. 446; Gatto v. Walgreen Drug Co., 23 Ill. App. 3d 628, 320 N.E.2d 222.) In the Sandburg case, the supreme court stated:\n\u201cThere is no principle of law better recognized than that which gives to courts of record power over the process of their courts. It is essential to the administration of justice, and it by no means depends upon statutory enactment, but the power is coeval with the common law courts; * * *. If a judgment were satisfied, and, through mistake or by design, an execution were to issue upon it, does anyone suppose the court from which it issued is powerless to recall and quash it? Or if it was only partially satisfied, and an execution were to issue for the full amount of the judgment, would any one have the hardihood to say that the court could not order the credit to be indorsed on the execution? So the court has power, in all cases, to compel credits on judgments or executions, where it would be illegal or inequitable to proceed to collect the amount claimed.\u201d (81 Ill. 446, 448-49.)\nIn the case of Weaver v. Bolton, 61 Ill. App. 2d 98, 209 N.E.2d 5, a defendant sought to have credited to the judgment against him an $8,000 payment which the plaintiff has received from a co-tortfeasor who was not a party to the suit as the result of a covenant not to sue in a related dram shop action. The petition was filed for the first time after the denial of the post-trial motion under section 72 of the Civil Practice Act (Ill. Rev. Stat. 1973, ch. 110, par. 72), moving for relief from or modification of the judgment. While the appellate court did not recognize the defendant\u2019s petition as proper under section 72, since section 72 relief may not be granted upon facts known to the defendant before judgment, still it found:\n\u201cThis does not mean, however, that the trial court was without jurisdiction to hear such petition. It had authority to make such orders and issue writs as were necessary to carry its judgments into effect and to render them operative. This power continued in the court until its judgments were satisfied, and the present proceeding pertained to the satisfaction of these judgments rather than their modification as that term is generally understood. Many such questions arise subsequent to judgment in which jurisdiction is to be exercised.\u201d 61 Ill. App. 2d 98, 105.\nIn the case of Price v. Wabash R.R. Co., 30 Ill. App. 2d 115, 174 N.E.2d 5, the railroad company sought to be released from a judgment in a personal injury action because the plaintiff had already received a payment for more than the amount of the judgment from a party which had originally been a co-defendant with the railroad. This party had entered into a settlement agreement with the plaintiff and had subsequently been dismissed. The issue was raised in a motion for judgment notwithstanding the verdict. In finding for the railroad, the appellate court quoted the ruling in Aldridge v. Morris, 337 Ill. App. 369, 86 N.E.2d 143, as follows:\n\u201cThis court holds that where plaintiff receives a payment for a covenant not to sue from one against whom tort liability could lie, such payment, made before or after judgment, may be deducted from the damages recoverable from persons whose tort liability arises out of the same circumstances, irrespective of whether the covenantee is made a party to the suit.\u201d (337 Ill. App. 369, 380.)\nThus I believe that the trial court had the power to consider the matter raised by General Telephone in its post-trial motion.\nThe critical issue, however, is one of due process in considering whether the absent co-tortfeasors should be joined as parties and given notice and opportunity to be heard on the particular question of the validity of the loan agreement. (Horn v. Horn, 5 Ill. App. 2d 346, 125 N.E.2d 539.) A person is a necessary party who has such an interest in a controversy that the controversy cannot be determined without substantially affecting that interest. National Bank of Albany Park v. S.N.H., Inc., 32 Ill. App. 3d 110, 336 N.E.2d 115.\nWhile the court in Price v. Wabash Railroad Co., 30 Ill. App. 2d 115, 174 N.E.2d 5, determined that the covenantee did not have to be present in order for the court to apply a payment made under a covenant not to sue to the judgment, the interest of the four contracting defendants in the case at bar is distinguishable from that of a covenantee and is such that it certainly would be affected by any decision as to the validity or invalidity of the loan-receipt agreement. In the case of a covenantee under a covenant not to sue, a payment made to the plaintiff is made once and for all with no expectation of repayment. Any decision by a court as to its effect on the damages to be paid by a co-tortfeasor does not alter this situation. However, in the present case, the decision of the court as to the validity or invalidity of the loan-receipt agreement will determine, as a practical matter, whether or not the contracting defendants will be entitled to repayment of the monies given to the plaintiff, as well as the effect of such a payment on the damages of a co-tortfeasor. In the analogous situation of an action to cancel an instrument, as a general rule, all persons materially interested in the subject of the action or claiming rights under the instrument must be made parties to an action to cancel the instrument. 6 Ill. L. & Prac. Cancellation of Instruments \u00a7 20 (1954); National Bank of Albany Park v. S.N.H., Inc., 32 Ill. App. 3d 110, 336 N.E.2d 115.\nWhile it might be argued that the plaintiff in this case, as a party to the loan-receipt agreement, actually represented the interests of the absent parties such that those interests received efficient protection (Cody Trust Co. v. Hotel Clayton Co., 293 Ill. App. 1, 12 N.E.2d 32), still the interests of the plaintiff with particular reference to the validity of the loan-receipt agreement cannot be said to coincide with those of the absent parties. As a practical matter, whatever the decision of the court, the plaintiff does not risk the loss of monies already received. In the case of Hansberry v. Lee, 311 U.S. 32, 85 L. Ed. 22, 61 S. Ct. 115, the United States Supreme Court addressed itself to the problem of allowing signatories to an agreement with potentially conflicting interests to represent other signatories:\n\u201cBecause of the dual and potentially conflicting interests of those who are putative parties to the agreement in compelling or resisting its performance, it is impossible to say, solely because they are parties to it, that any two of them are of the same class. Nor without more, and with the due regard for the protection of the rights of the absent parties which due process exacts, can some be permitted to stand in judgment for all.\n* * * Such a selection of representatives for purposes of litigation, whose substantial interests are not necessarily or even probably the same as those whom they are deemed to represent, does not afford that protection to absent parties which due process requires.\u201d 311 U.S. 32, 44-45, 85 L. Ed. 22, 28-29, 61 S. Ct. 115.\nThe appellate as well as the trial court has an affirmative duty to enforce the principle of law requiring joinder of necessary parties on its own motion as soon as the absence of those parties has been brought to the court\u2019s attention, even though no objection has been raised by any party to the litigation. (Glickauf v. Moss, 23 Ill. App. 3d 679, 320 N.E.2d 132; National Bank of Albany Park v. S.N.H., Inc., 32 Ill. App. 3d 110, 336 N.E.2d 115.) If we had found liability in this case, I would nevertheless have voted to find that the four defendants other than General Telephone are necessary parties to the determination of the issue of the validity of the loan-receipt agreement raised in General Telephone\u2019s amended post-trial motion and would have recommended that we remand this case to the trial court for rehearing of this issue with instructions to compel the joinder of these parties.\nI do not agree that the Supreme Court quoted Merlo with approval in Davis. It only mentioned the Merlo case without discussion and then proceeded to hold just the opposite.",
        "type": "dissent",
        "author": "Mr. JUSTICE GEORGE J. MORAN,"
      }
    ],
    "attorneys": [
      "Charles R. Jelliffe, of Jelliffe & Ferrell, of Harrisburg, for appellant.",
      "Harris and Lambert, of Marion, for appellee."
    ],
    "corrections": "",
    "head_matter": "GEORGE FELTY, Plaintiff-Appellee, v. GENERAL TELEPHONE COMPANY OF ILLINOIS, Defendant-Appellant.\nFifth District\nNo. 75-106\nOpinion filed April 7, 1977.\nG. MORAN, J., dissenting.\nCharles R. Jelliffe, of Jelliffe & Ferrell, of Harrisburg, for appellant.\nHarris and Lambert, of Marion, for appellee."
  },
  "file_name": "0427-01",
  "first_page_order": 465,
  "last_page_order": 480
}
