Evans v. Hogue

681 P.2d 1133, 296 Or. 745
CourtOregon Supreme Court
DecidedApril 17, 1984
Docket41-025; CA A22210; SC 29674
StatusPublished
Cited by19 cases

This text of 681 P.2d 1133 (Evans v. Hogue) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Evans v. Hogue, 681 P.2d 1133, 296 Or. 745 (Or. 1984).

Opinions

[747]*747ROBERTS, J.

This appeal is from an action to quiet title. The trial court awarded title to plaintiffs. The Court of Appeals also found for plaintiffs by concluding that plaintiffs had adversely possessed against their predecessors for the requisite period. We affirm but on different grounds.

The disputed land consists of approximately two and one-half acres and is located as shown on the diagram.

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In 1905 a survey established the boundary between the two parcels of land as shown on the diagram at the fence line. The Halls were the owners of the easterly parcel for which plaintiffs Evans have title. The Halls built the fence. In 1935 the Halls conveyed their record title to W.N. Hall. After several conveyances Sampsons became owners of the property in 1948. Sampsons conveyed to Luckeys in September, 1970 and Luckeys conveyed to plaintiffs in separate transactions in 1974 and 1975. The original deed from the Halls did not contain a description of the disputed tract nor did any subsequent deed by grantors of plaintiffs’ tract. Deeds to defendants’ land, however, always included the disputed strip in their description.

The evidence presented at trial indicated that during the time Sampsons owned the land all the requirements for adverse possession were met. However, when Sampsons sold to Luckeys, and the Luckeys to plaintiffs, the deed did not contain a description which included the strip. In May, 1981, after the commencement of this action but before trial Sampsons conveyed, by way of quitclaim deed, their interest in the tract to Mary Wall,1 the common grantor of the defendants.

[748]*748The question here involves how interests in property acquired by adverse possession can be transferred to subsequent purchasers.

The trial court found that the interest of plaintiffs’ predecessors in the adversely possessed strip was transferred to plaintiffs. The method of this transfer is not explained.

The Court of Appeals affirmed the trial court. It first rejected plaintiffs’ argument that they could acquire title to the property by tacking their period of occupation and the Luckeys’ period of occupation onto Sampsons’ successful adverse possession to claim adverse possession against defendants. The court held that Sampsons had acquired legal title to the property and their interest could be conveyed only by operation of law or by deed. The Court of Appeals decided this case in plaintiffs’ favor, however, by concluding that plaintiffs, by tacking their possession with Luckeys’ possession, had held adversely against Sampsons for the requisite number of years. At the time plaintiffs filed this action they were four months short of the 10 years. The Court of Appeals nonetheless concluded that the 10 years continued to accrue after plaintiffs filed suit and up to the time the Sampsons conveyed their interest to defendants. We agree with the dissent below that this is an erroneous application of the statute of limitation, ORS 12.050.

At the trial, plaintiffs proceeded on the theory of uninterrupted continuous adverse use and defendants defended with their record title and claims that plaintiffs were estopped by delay to raise their own or their predecessors’ interest in the land. Defendants cited Duval v. Miller, 208 Or 176, 300 P2d 416 (1956) for the first time and relied on it exclusively in the Court of Appeals. Although the Court of Appeals distinguished that case in a footnote, it seems to apply. Duval held that the doctrine of tacking applies only when one person in adverse possession for less than the prescriptive period and another in privity with him continue the adverse possession for a time sufficient to complete the 10 year prescriptive period; the doctrine cannot be applied where a predecessor has already acquired title by adverse possession prior to conveying the property. We take the opportunity to address the case here.

[749]*749There were two DuVal cases involving the same parties and the same disputed property. In the first, DuVal v. Miller, 183 Or 287, 192 P2d 249, 192 P2d 992 (1948), plaintiffs in possession sued to quiet title to a strip of land separating their property from defendant’s. Plaintiffs asserted that their predecessors, the Duncans, held the property adversely for more than 10 years. Defendant defended with her record title. Though plaintiffs were able to produce evidence that the Duncans adversely possessed the strip from 1929 to 1941, they failed to allege how the Duncans’ interest might have accrued to themselves. On rehearing the court pointed out plaintiffs’ mistake. Plaintiffs had failed to allege or prove their privity with Duncans. The court stated that it had no intention to detract from Vance v. Wood, 22 Or 77, 29 P 73 (1892), or West v. Edwards, 41 Or 609, 69 P 992 (1902), cases which DuVal summarized as permitting “an adverse possessor to tack his possession on to that of a previous adverse possessor, if privity existed between the two,” 183 Or at 294, but plaintiffs had simply made no attempt to establish their continuity of adverse use after the Duncans. The court observed, “we are satisfied that shortly after [plaintiffs] received their deed, [defendant] asserted title to the disputed strip and the right to its possession,” 183 Or at 295. Defendant’s acts of dominion over the property, of course, destroyed any claim plaintiffs could make to continued exclusive possession of the land, a prerequisite to privity. “[I]f the possession of the Duncans was of the character required by the rules which give effect to adverse possession, the [plaintiffs’] possession did not come up to that standard. It was not exclusive.” 183 Or at 296.

In the second case, 208 Or 177, 300 P2d 416 (1956), the same plaintiffs sued for ejectment after defendant dispossessed them from the disputed strip. The trial court found continuity of use sufficient to establish plaintiffs’ privity with Duncans and held that plaintiffs could tack their period of possession onto their predecessors’. This court applied a theory new to Oregon, that a possessor cannot tack a predecessor’s period of possession if the predecessor already adversely possessed for the statutory period. The court limited the doctrine of tacking to those situations where it was necessary “to establish continuous possession for the statutory period.” 208 Or at 183.

[750]*750The court cited prior cases as authority for its limited application of the tacking doctrine, but none provides any actual support. Anderson v. Richards, 100 Or 641, 198 P 570 (1921); Clark v. Bundy, 29 Or 190, 44 P 282 (1896); and Vance v. Wood, supra; Rowland v. Williams, 23 Or 515, 32 P 402 (1893); applied the doctrine of tacking in factual settings where a claimant’s predecessors’ possessory period happened not to exceed the statutory period. There is no indication that the application of the doctrine would differ had a predecessor, or a series of predecessors, already achieved continuous adverse possession for the statutory period. In fact, Quinn v. Willamette Pulp & Paper Co., 62 Or 549, 126 P 1 (1912), also relied on in DuVal, allowed plaintiffs to tack their period of possession onto their predecessor’s even though the predecessor had established his possessory rights for the full 10 year period. The Quinn

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Cite This Page — Counsel Stack

Bluebook (online)
681 P.2d 1133, 296 Or. 745, Counsel Stack Legal Research, https://law.counselstack.com/opinion/evans-v-hogue-or-1984.