Giorlando v. Group Investments Corp.

519 So. 2d 907, 1987 Ala. LEXIS 5073, 1987 WL 35330
CourtSupreme Court of Alabama
DecidedDecember 11, 1987
DocketNo. 86-666
StatusPublished

This text of 519 So. 2d 907 (Giorlando v. Group Investments Corp.) is published on Counsel Stack Legal Research, covering Supreme Court of Alabama primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Giorlando v. Group Investments Corp., 519 So. 2d 907, 1987 Ala. LEXIS 5073, 1987 WL 35330 (Ala. 1987).

Opinion

BEATTY, Justice.

This is an appeal by plaintiffs, Charles Giorlando and his wife, Mary Ann Giorlan-do, from an order of the trial court overruling their motion for a new trial or, in the alternative, to alter, amend, or vacate, or for judgment notwithstanding the verdict. We affirm.

Plaintiffs brought their action against the defendants, Group Investments Corporation and Clyde Turner, its president, by filing a complaint containing two counts alleging fraudulent misrepresentation. The litigation arose out of the purchase of a residential lot by plaintiffs from the defendant corporation. Count I of plaintiffs’ complaint sets forth the basis for both counts:

“At the time of the closing of said real estate transaction, Defendants represented to plaintiffs that said real property was protected by certain restrictive covenants, and Defendants did at said time and place deliver to Plaintiffs a copy of certain restrictive covenants, and Defendants represented to Plaintiffs that the restrictive covenants contained in the instruments delivered to Plaintiffs protected said lot 42 in block 1. Plaintiffs aver that said representations made by Defendants were false, and that Defendants knew or should have known that such representations were false at the time of making same. Plaintiffs aver that on or about May 29, 1983, Thrasher Homebuilders, Inc., commenced the construction and erection of a residential dwelling house on lot 43, in block 1, Second Addition to Stonehedge Subdivision, in violation of the protective covenants as recorded in Map Book 1391, Page 928, in the Probate [Court] of Jefferson County, Alabama, and said Thrasher Homebuilders, Inc., in the placing of the structure on said lot 43 violated the setback provisions as set out in the protective covenants which Defendants represented to Plaintiffs were applicable to Plaintiffs’ said lot 42. In examining the public records in the Office of the Judge of Probate of Jefferson County, Alabama, on or about June 1, 1983, Plaintiffs learned that the lot which they purchased from Defendants (said lot 42) was not protected by protective covenants, and that the instrument containing the protective covenants which Defendants represented to be applicable to said lot 42 [was] not applicable in any way to said lot 42, and that at the time Plaintiffs purchased said lot 42 from Defendant, Group Investments Corporation, said lot 42 was not protected in any way by protective covenants and was not protected by protective covenants on June 1, 1983, and that Plaintiffs by virtue of the fraud perpetrated on them by Defendants were not able to enforce the restrictions with reference to setbacks which Defendants represented to Plaintiffs were applicable to said lot 42.”

Plaintiffs alleged that the representations were false and that plaintiffs relied upon them to their injury, and they claimed punitive damages. By amendment, plaintiffs alleged that the misrepresentations [909]*909applied “to said lot 42 and to all other lots within the Second Addition to Stonehedge.”

Following denial of their motion to dismiss, defendants answered, denying any misrepresentation, denying that they had failed to file restrictive covenants and averring that the residential construction in question did not violate any restrictive covenants or building lines. Defendants also pleaded the statute of limitations and es-toppel. Those defenses were also included in defendants’ amended answer to plaintiffs’ amended complaint.

Following discovery, trial ensued. At the conclusion of plaintiffs’ case, defendants moved for a directed verdict; that motion was taken under advisement by the trial court. Trial proceeded, but, following the conclusion of defendants’ case, the defendants’ motion for a directed verdict was renewed. After argument and consideration, the trial court granted the defendants’ motion for directed verdict and dismissed the plaintiffs’ case with prejudice. Thereafter, plaintiffs filed a motion for new trial, or in the alternative, to alter, amend, or vacate the judgment, or for judgment notwithstanding the verdict. That motion was overruled, and this appeal followed.

The issue, thus, is whether the trial court erred in granting defendants’ motion for a directed verdict.

Group Investments Corporation developed a residential subdivision with several additions in Jefferson County, known as “Stonehedge.” The first addition was developed during 1976-78, and a plat of that addition was recorded in the Probate Office of Jefferson County on January 13, 1977. After its development, a plat of the second addition was also recorded in that probate office in December 1978.

On January 8, 1979, Group Investments Corporation sold lot 42 of the second addition to plaintiffs, the Giorlandos. At the time of this purchase, Group Investments Corporation was selling these lots only to builders. Mr. Giorlando, a speculative and custom homebuilder, was thus able to obtain lot 42. At the time of the closing on this lot, Mr. Turner, who handled the closing for Group Investments Corporation, furnished plaintiffs with a copy of the proposed restrictive covenants on the second addition. These documents stated, among other things, that the restrictions were applicable to the first addition of the Stone-hedge subdivision, and Mr. Giorlando later acknowledged reading that portion and acknowledged an awareness of the purpose of restrictive covenants. Mr. Giorlando testified that at the closing Mr. Turner informed him that the restrictive covenants of the first addition would also be applicable to the lots in the second addition, including Mr. Giorlando’s own lot.

The Giorlando lot, lot 42, was a corner lot located at the intersection of Auman Drive and Stonehurst Drive. Immediately after their purchase, the Giorlandos began the construction of a dwelling house on lot 42, which was completed in approximately five months. They chose to locate their house on a diagonal line instead of positioning it “in line” with the dwelling houses to their left or right. (See Appendix A.)

Then, on November 1, 1979, a set of restrictive covenants specifically applicable to the second addition, and identical to those recorded on the first addition, was recorded in the Jefferson County Probate Office.

In May 1983, over three years after the Giorlandos had purchased lot 42, construction was begun on a dwelling house on lot 43 in the second addition of Stonehedge adjoining plaintiffs’ lot. Plaintiffs advised Mr. Turner, who was also head of the architectural control committee, of their concern that this construction violated the setback restriction. Following up on their inquiry, Mr. Turner met with that home-builder at the site and determined that the home was being constructed in compliance with the restrictive covenants.

Again, in September 1983, the Giorlandos complained to Mr. Turner a second time regarding a possible noncompliance with restrictive covenants as related to construction of a dwelling house on lot 45 in the second addition of Stonehedge. Mr. Turner’s subsequent investigation revealed a violation pertaining to the length of the home, and the builder was required to [910]*910lengthen the dwelling to conform to the covenants.

Nevertheless, on September 30, 1983, plaintiffs initiated this action, based upon allegations of fraudulent misrepresentation.

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Bluebook (online)
519 So. 2d 907, 1987 Ala. LEXIS 5073, 1987 WL 35330, Counsel Stack Legal Research, https://law.counselstack.com/opinion/giorlando-v-group-investments-corp-ala-1987.