Brown v. Roth

514 S.E.2d 294, 133 N.C. App. 52, 1999 N.C. App. LEXIS 343
CourtCourt of Appeals of North Carolina
DecidedApril 20, 1999
DocketCOA98-751
StatusPublished
Cited by13 cases

This text of 514 S.E.2d 294 (Brown v. Roth) is published on Counsel Stack Legal Research, covering Court of Appeals of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brown v. Roth, 514 S.E.2d 294, 133 N.C. App. 52, 1999 N.C. App. LEXIS 343 (N.C. Ct. App. 1999).

Opinion

*53 GREENE, Judge.

Charles J. Brown (Plaintiff) appeals from the trial court’s granting of Lake Properties Limited’s (Defendant) motion for summary judgment.

In June of 1993, Randall and Mary Roth (the Roths) owned a house and property (collectively, the Property) located in Huntersville, North Carolina, and hired Defendant as their real estate agent to sell the Property. As a result, of this decision, Lori Ivester (Ms. Ivester), a licensed real estate agent and employee of Defendant, was responsible for obtaining information from the Roths,, and preparing a multiple listing form. On the multiple listing form, Ms. Ivester represented, among other things, that the Roths’ house contained 3,484 square feet of heated living area. 1 Ms. Ivester received the information regarding square footage from an appraisal performed, for the Roths, by H.B. Pethel Company, Inc. (Pethel), a well known and highly respected appraiser. Ms. Ivester did not verify the information in the Pethel appraisal independently prior to preparing the multiple listing form.

Also in the summer of 1993, Defendant hosted an open house at the Property to attract potential buyers, which Plaintiff attended. At the open house, Plaintiff met Earl Crosland (Mr. Crosland), another employee of Defendant and a licensed real estate agent, who showed Plaintiff the Property. At the open house, Plaintiff received a copy of the multiple listing form prepared by Ms. Ivester, which represented the Roths’ house as having 3,484 heated square feet. Shortly after the open house, Plaintiff contacted and met with Mr. Crosland about his interest in making an offer to purchase the Property. Mr. Crosland informed Plaintiff he could represent Plaintiff in the purchase of the Property as the buyer’s agent.

On 25 September 1993, Plaintiff and Defendant entered into a “Dual Agency Agreement,” wherein they agreed Defendant would act “as agent for both [the Roths] and [Plaintiff]” with respect to the sale and purchase of the Property. The record reveals that this “Dual Agency Agreement” was signed by Plaintiff and Defendant. The signature line for the seller on this form agreement is blank. There is no indication in this record that the Roths consented, orally or in writing, to permit Defendant to serve as a dual agent.

*54 On 1 October 1993, Plaintiff offered to purchase the Property for $565,000.00, and his offer was accepted by the Roths on 3 October 1993. The closing on the Property was held on 12 November 1993 and Defendant received, from the Roths, a 5 percent commission totaling $28,250.00.

In December of 1995, in an effort to take advantage of lower interest rates, Plaintiff decided to refinance the Property, and had an appraisal performed by Varnadore & Associates (Varnadore). The Varnadore appraisal indicated the Roths’ house contained only 3,108 heated square feet, nearly 400 square feet less than the amount represented on the multiple listing form. It is not disputed that the 3,108 figure represents the correct heated square footage of the Roths’ house.

On 14 November 1996, Plaintiff filed a complaint against the Roths, Defendant, Pethel, and Amerispec, but subsequently dismissed all parties except Defendant voluntarily. Plaintiff seeks relief from Defendant under four claims: (1) breach of fiduciary duty; (2) negligent misrepresentation; (3) fraud; and (4) unfair and deceptive trade practices. On 14 January 1997, Defendant filed its answer, which contains a cross-claim for indemnity against Pethel for any erroneous representations of square footage contained in Pethel’s appraisal. Defendant moved for summary judgment, and that motion was granted as to all claims in an order filed 23 March 1998.

In its order granting Defendant’s motion for summary judgment, the trial court concluded, inter alia, that Defendant, as a realtor, “could reasonably rely on the measurements of a house by a trained and professional appraiser who had a good reputation for appraisals in [the] general area in which the house was located.”

The dispositive issue is whether genuine issues of material fact exist as to Defendant’s breach of duty to accurately report the square footage of the Roths’ house.

A real estate agent has the fiduciary duty “to exercise reasonable care, skill, and diligence in the transaction of business [entrusted to him, and he will be responsible to his principal for any loss resulting from his negligence in failing to do so.” 12 C.J.S. Brokers § 53, at 160 (1980). “The care and skill required is that generally possessed and exercised by persons engaged in the same business.” Id., § 53, at 161. This duty requires the agent to “make a full and truthful disclosure [to the principal] of all facts known to him, or discoverable with reason *55 able diligence” and likely to affect the principal. Id., § 57, at 172; James A. Webster, Jr., Webster’s Real Estate Law in North Carolina § 8-9, at 243 (Patrick K. Hetrick & James B. McLaughlin, Jr. eds., 4th ed. 1994) [hereinafter Webster’s Real Estate Law in North Carolina] (agent has duty to disclose all facts he “knows or should know would reasonably affect the judgment” of the principal). The principal has “the right to rely on his [agent’s] statements,” and is not required to make his own investigation. 12 C.J.S. Brokers § 57, at 172.

“Generally, a broker must act solely for the benefit of his principal, who first employed him, and may not undertake to represent an interest adverse to the principal.” Id., § 62, at 187. A broker, however, may act as the agent of two parties with adverse interest, “with the full knowledge and consent of both.” Id., § 62, at 189; 12 Am. Jur. 2d Brokers § 112 (1997) (absent an agreement between the seller and the purchaser, “a broker may not act as agent for both the seller and purchaser in the same transaction”). A broker acting as a dual agent “may still be liable in damages to one of the parties for a breach of duty to such party by reason of his acts in the course of the transaction.” 12 C.J.S. Brokers § 62, at 189. In other words, the dual agent “owes all fiduciary and other agency duties to both principals.” Webster’s Real Estate Law in North Carolina § 8-9, at 243.

In this case, there is some question as to whether there exists a lawful dual agency, as there is no indication in this record that the Roths agreed that Defendant could serve as both an agent for the seller and for the purchaser. In any event, it is not disputed that Defendant and Plaintiff entered into a contract wherein Defendant agreed to act as Plaintiffs agent in the purchase of the Property. Thus Defendant had a fiduciary obligation to make a full and truthful disclosure to Plaintiff of all material facts, with regard to the Property, known by it or discoverable with reasonable diligence. The heated square footage of the Roths’ house was a material fact and was discoverable by Defendant with reasonable diligence 2 and thus should have been disclosed by Defendant to Plaintiff.

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Cite This Page — Counsel Stack

Bluebook (online)
514 S.E.2d 294, 133 N.C. App. 52, 1999 N.C. App. LEXIS 343, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-v-roth-ncctapp-1999.