Dwyer v. City of Ann Arbor

261 N.W.2d 231, 79 Mich. App. 113, 8 Envtl. L. Rep. (Envtl. Law Inst.) 20229, 1977 Mich. App. LEXIS 844
CourtMichigan Court of Appeals
DecidedOctober 11, 1977
DocketDocket 77-1086, 77-1352, 77-1353, 77-1354
StatusPublished
Cited by3 cases

This text of 261 N.W.2d 231 (Dwyer v. City of Ann Arbor) is published on Counsel Stack Legal Research, covering Michigan Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Dwyer v. City of Ann Arbor, 261 N.W.2d 231, 79 Mich. App. 113, 8 Envtl. L. Rep. (Envtl. Law Inst.) 20229, 1977 Mich. App. LEXIS 844 (Mich. Ct. App. 1977).

Opinion

Bashara, J.

Defendant, City of Ann Arbor, appeals an injunctive order of the trial court, prohibiting the city from issuing any building permits. That order was predicated upon the trial court’s finding that the city’s sewage treatment facility was polluting the environment, in violation of the Michigan Environmental Protection Act of 1970. 1 The remaining defendants appeal a contemporaneously issued order, restraining them from using certain real property for other than construction of single-family residences. 2 A finding that the property was subject to a reciprocal negative easement formed the basis of that order.

Defendant Airey 3 is a developer of residential real estate. He sequentially developed three resi *117 dential subdivisions in Ann Arbor, containing single-family dwellings exclusively. As applies to this appeal, plaintiff represented a class consisting of residents of the first developed subdivision.

Coincident to recording the plat for the first subdivision, Airey recorded certain building and use restrictions. 4 The recordation of the restrictions occurred on June 26, 1963, prior to sale of any of the lots to the plaintiff class. In addition to the land used for the other two subdivisions, Airey subsequently acquired other real property which gave him substantially all of the land in a triangular area bounded by three thoroughfares. It is that property within the triangle, other than the land used for the subdivisions, upon which the plaintiff successfully sought to impose the easement.

*118 The trial court found that during the course of selling lots in the first subdivision, Airey and his agent represented that Airey owned, or controlled by option to purchase, all of the land within the triangle. Further, that all of the land would be developed exclusively as single-family residential. From this the trial court concluded that Airey was estopped to deny ownership of the land in question. The trial court then found that the "retained land” was benefited by the recorded use restrictions and was burdened with a reciprocal negative easement, restricting its use to single-family residential.

By creating a common ownership through the application of estoppel, an essential element was derived for imposition of the easement. However, neither the circumstances of this case nor the reasoning of the trial court justify application of the doctrine of reciprocal negative easement.

As the litigants recognize, the case of Sanborn v McLean, 233 Mich 227; 206 NW 496 (1925), establishes the criteria for ascertaining the applicability of the reciprocal negative easement doctrine. There is, however, a significant distinction between the factual background of Sanborn and its progeny and the case at bar. In the former, individual lots were sold by a common owner with only some of the deeds of conveyance containing use restrictions. To protect those who were expressly restricted in the use of their lots from uses by unrestricted lot owners that would adversely affect the character of the subdivision, the doctrine of reciprocal negative easement was developed. Its rationale, as an equitable doctrine, is based upon the fairness inherent in placing uniform restrictions upon the use of all lots similarly situated, notwithstanding that less than all of the deeds *119 contain an express restriction. Thus, the implied restriction arises from the express restriction. See, e.g., Sanborn, supra, and Moore v Kimball, 291 Mich 455, 460; 289 NW 213, 215 (1939).

In the case under review, all lots within the subdivision were subject to the use restrictions recorded incident to recordation of the subdivision plat. The plain language of the recorded use restrictions makes them applicable to the lots contained in that particular subdivision. To extend those restrictions to land acquired by Airey more than a year later would be clearly contrary to the general rúle that restrictions, not being favored in the law, will neither be enlarged nor extended by construction. Johnson v Fred L Kircher Co, 327 Mich 377; 42 NW2d 117 (1950), Putnam v Ernst, 232 Mich 682; 206 NW 527 (1925).

Moreover, as a general rule, restrictions are construed strictly against those seeking their enforcement, and any doubts are resolved against restricting the use of real property. Moore v Kimball, 291 Mich at 461; 289 NW at 215. While Moore, Putnam, and Johnson addressed the substantive content of the restrictions, there is no significant reason why those rules should not also apply to the geographic extent of their operative effect. Here the restrictions by their terms covered lots within a particular subdivision. Nothing in the trial record supports the contention that at the time made, the restrictions were to encompass land outside that subdivision. All lot owners were subject to a uniform restraint on the use of their land; reciprocal negative easements were unnecessary to achieve that uniformity.

We are unable to discern any equity in extending the scope of those restrictions to include land not owned by Airey at the time the restrictions *120 were created. The retroactive effect given by the trial court to Airey’s subsequent land acquisitions is at odds with the reciprocal negative easement requisite of common ownership at the time the express restrictions are created. See Sanborn v McLean, 233 Mich at 230; 206 NW at 497.

Were we to accept plaintiffs argument, subdivision developers would be discouraged from protecting lot buyers by recordation of uniform subdivision use restrictions. They would be placed in the tenuous position of being bound by an expression of future intention as to the use of land subsequently acquired near the subdivision, even though that use may no longer be physically or economically feasible. It is our opinion that the doctrine of reciprocal negative easement was not designed to have such an effect. 5 Accordingly, we vacate the trial court’s order and dismiss the complaint against all defendants except the City of Ann Arbor.

The trial court found that the Ann Arbor sewage treatment facility discharges effluent, the character of which is violative of the conditions established in its discharge permit. This permit is issued by the state under authority derived from the Federal Water Pollution Control Act, 6 as amended. Since the trial court placed significant emphasis upon these permit violations in issuing the injunction, we must determine whether they established a prima facie case under the Michigan act.

Ann Arbor concedes that its treatment plant has operated in violation of the discharge permit and acknowledges that the plant’s current capability *121

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261 N.W.2d 231, 79 Mich. App. 113, 8 Envtl. L. Rep. (Envtl. Law Inst.) 20229, 1977 Mich. App. LEXIS 844, Counsel Stack Legal Research, https://law.counselstack.com/opinion/dwyer-v-city-of-ann-arbor-michctapp-1977.