Brady v. City Council

797 N.E.2d 479, 59 Mass. App. Ct. 691
CourtMassachusetts Appeals Court
DecidedOctober 21, 2003
DocketNo. 01-P-763
StatusPublished
Cited by3 cases

This text of 797 N.E.2d 479 (Brady v. City Council) is published on Counsel Stack Legal Research, covering Massachusetts Appeals Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brady v. City Council, 797 N.E.2d 479, 59 Mass. App. Ct. 691 (Mass. Ct. App. 2003).

Opinion

Cohen, J.

The city council of Gloucester (council), acting as a special permit granting authority under G. L. c. 40A, § 17, denied the plaintiffs a special permit for the construction of a stone patio on property owned by the plaintiffs as tenants in common with more than twenty other individuals. A judge of [692]*692the Superior Court upheld the council’s decision, ruling that it was legally tenable and reasonable for the council to deny the permit on “ownership” grounds after three of the cotenants objected to the project. The plaintiffs appeal, contending, in essence, that the council should not have concerned itself with the question of ownership. We affirm.

Background. Since 1997, the plaintiffs have owned shorefront property at 14A Hesperus Circle, in the Magnolia neighborhood of Gloucester. The plaintiffs’ lot originally was part of a subdivision owned by the Magnolia Shore Association, which, after conveying the buildable portions of the subdivision, conveyed a fee interest in the rocks along the shoreline to all of the subdivision property owners, as tenants in common. Currently, there are at least twenty cotenants,2 including the plaintiffs. The plaintiffs’ backyard directly abuts the rocky, commonly owned shorefront area.

In 1998, after securing from the Gloucester conservation commission (commission) both an order of conditions pursuant to G. L. c. 131, § 40, and a local wetlands permit, the plaintiffs began constructing a circular stone patio and steps to the shoreline. The patio extended from the plaintiffs’ lot and was situated primarily on the commonly owned property. The plaintiffs’ immediate neighbors both had similar stone patios and steps, but it was not established on the record when or how they came to be built.3

The plaintiffs soon discovered that commission approval was insufficient to allow their project to go forward, because § 5.5.4 of the Gloucester zoning ordinance required that they also obtain a special permit from the council before building upon coastal land.4 After the city building inspector began an enforcement action, the plaintiffs applied for a special permit. [693]*693In their application, the plaintiffs listed themselves as owners without indicating that there were other tenants in common. When it became apparent that the plaintiffs were not the only owners of the site, the council’s planning and development committee made an unfavorable recommendation to the full council. After a public hearing, at which three cotenants testifled in opposition to the project,5 the council voted to deny the permit because “other owners share ownership with the applicant.”6

The plaintiffs appealed to the Superior Court, pursuant to G. L. c. 40A, § 17, and the requisite trial de nova was held, jury-waived. One of the objecting cotenants testified in oppositian to the project, citing interference with her safety and enjoyment of the shoreline, including her ability to walk unimpeded along the rocks. A member of the council, in testimony the court credited, stated that ownership of the property was of concern to the council when any application was submitted for a special permit and that she and other members of the council regularly ascertained an applicant’s ownership status.

The judge concluded that, because the ownership issue was raised by other tenants in common, and because it was the council’s practice to consider ownership in reviewing applicatians, the denial of the permit was not unreasonable. The judge observed further that even though the plaintiffs’ neighbors’ patios extended onto the commonly owned rocks, this did not indicate that the council was being arbitrary or capricious in [694]*694disallowing the plaintiffs’ patio, because there was no evidence as to the permitting history, if any, for the neighbors’ projects.

Discussion. There are two facets to the parties’ dispute that require discussion. An initial question is whether the council reasonably could require the plaintiffs to identify the names of their cotenants on the special permit application. There also is the more substantive question whether the council could concern itself with the nature of the plaintiffs’ ownership interest and reject the application on that basis when other cotenants expressed their opposition.

With respect to the first issue, we have no difficulty with the council’s insistence that the plaintiffs had to disclose the other owners in their application when this was in keeping with the council’s established practice and was not an ad hoc, arbitrary demand. While it may have been better for the council to embody this requirement in a formal regulation, it was within its discretion to define the contents of the application to include the identities of all of the owners, if only to facilitate compliance with the provisions of G. L. c. 40A, § 11 (e.g., the requirement under that section that, if a permit is granted, the “special permit granting authority shall issue to the owner and to the applicant if other than the owner a copy of its decision”).

The second issue, whether and to what extent the council could take into account the nature of the plaintiffs’ ownership, is more complex. As a general principle, an applicant for zoning relief need not always be the owner of the property in question, so long as the applicant has an interest in the property that warrants consideration. See, e.g., Carson v. Board of Appeals of Lexington, 321 Mass. 649, 652 (1947) (company under conditional contract to purchase land could apply for permit); Dion v. Board of Appeals of Waltham, 344 Mass. 547, 554-555 (1962) (“straw” could apply for variance as fiduciary or agent for owner). See also G. L. c. 40A, § 11 (referring to “owner” and “applicant if other than the owner”). Consistent with this principle, we agree with the plaintiffs that, as tenants in common, they had a sufficient interest in the property to apply for a permit and did not have to be the sole owners in order to do so.

When some of the plaintiffs’ cotenants objected, however, it became evident that the plaintiffs lacked the right to proceed [695]*695with their particular project. In these circumstances, we think ownership became a proper concern of the council and could serve as a valid basis for denying zoning relief.

The inability of the plaintiffs to prosecute the project resulted from the inherent limitations of a tenancy in common. When property is owned by tenants in common, each cotenant has an undivided fractional interest and the right to possession and use of the entire property. See Tucci v. DiGregorio, 358 Mass. 493, 497 (1970). A cotenant’s use of the property may not, however, preclude other cotenants from exercising their right to possession, as doing so destroys the common estate. See Muskeget Island Club v. Prior, 228 Mass. 95, 96-97 (1917).

Permanent additions to the commonly owned property generally are deemed to be destructive of the common estate. That is because such additions appropriate to one cotenant an exclusive right to use and possession of the improved portion of the property. See Bennett v. Clemence, 6 Allen 10, 18 (1863) (small portion of building extending onto commonly held land); Capen v. Leach, 182 Mass. 175, 176 (1902) (erection of granite monument); Muskeget Island Club v. Prior, supra

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Cite This Page — Counsel Stack

Bluebook (online)
797 N.E.2d 479, 59 Mass. App. Ct. 691, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brady-v-city-council-massappct-2003.