Hanold v. Watson's Orchard Property Owners Ass'n

772 S.E.2d 528, 412 S.C. 387, 2015 S.C. App. LEXIS 61
CourtCourt of Appeals of South Carolina
DecidedApril 15, 2015
DocketAppellate Case No. 2013-000452; Nos. 5312, 2013-000452
StatusPublished
Cited by2 cases

This text of 772 S.E.2d 528 (Hanold v. Watson's Orchard Property Owners Ass'n) is published on Counsel Stack Legal Research, covering Court of Appeals of South Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hanold v. Watson's Orchard Property Owners Ass'n, 772 S.E.2d 528, 412 S.C. 387, 2015 S.C. App. LEXIS 61 (S.C. Ct. App. 2015).

Opinion

WILLIAMS, J.

Pelham Farm, LLC; Legacy One, LLC; an unknown trustee of the revocable trust agreement established by James B. Stephens; and Jay Stephens and Mike Stephens, as co-personal representatives of the estate of James B. Stephens (collectively Appellants 1) contend the circuit court erred in [392]*392finding their amendment to a restrictive covenant that governed the development of property in Greenville County, South Carolina, was invalid for lack of a majority vote. We affirm.

FACTS

In the 1960s, Richard Watson and his wife began developing their substantial landholdings that stretched from present-day 1-385 up to and across the north and south side of Pelham Road in Greenville, South Carolina. Prior to this time, Watson’s land was used as an orchard. Once development began, restrictions were placed on the entire property2 to limit its development to single family residential use. Subsequently, a subdivision plat was recorded that created forty-seven lots in what is currently known as Watson’s Orchard Subdivision.3 Thereafter, these lots were developed into upscale homes.

In 1979, Watson recognized that his property south of Pelham Road could realize a greater value if developed commercially. As a result, he sold the vast majority of his property on the south side of Pelham Road to Lincoln of South Carolina, Inc. (Lincoln). Lincoln then entered into negotiations with the owners of the lots in Watson’s Orchard Subdivision to obtain a release of the residential use restrictions for Watson’s property south of Pelham Road. These negotiations resulted in the property owners, with the exception of J.B. Stephens, agreeing to release the restrictions in exchange for the transfer of a twenty-two acre buffer zone on the south side of Pelham Road, that was to be sold and developed as single family residential lots.

As part of the agreement, the property in the buffer zone was to be owned by Watson’s Orchard Property Owners Association, Inc. (WOPOA), a for profit corporation tasked with the responsibility of developing and selling the lots within the buffer zone. The stock in WOPOA was granted to the [393]*393owners of Watson’s Orchard Subdivision who would ultimately benefit financially from the sale of the lots within the twenty-two acres.

In 1981, Lincoln, as the declarant, imposed the Restrictions and Covenants (1981 R & Cs), which are the subject of this action, upon the twenty-two acre buffer zone. Thereafter, Lincoln conveyed the twenty-two acre tract of land to WOP-OA. Although J.B. Stephens did not have any stock in WOPOA, in exchange for his cooperation to release the residential use restrictions, Stephens purchased six acres on the south side of Pelham Road (the Property) directly across from Watson’s Orchard Subdivision from WOPOA. This six-acre tract contained sufficient property to allow it to be developed into five residential lots. The successors to J.B. Stephens are the appellants in this action.

The 1981 R & Cs included a provision requiring a majority vote of the current property owners of Watson’s Orchard Subdivision, as well as the owners of the lots in the buffer zone, to change or amend the 1981 R & Cs. The pertinent provision states the following:

[T]he covenants, conditions^] and restrictions hereinafter set forth shall run with the property ... and be binding upon all parties having any right, title or interest in the said described properties ... until January 1, 2010[,] at which time said covenants, conditions, and restrictions shall be automatically extended for successive periods of ten (10) years each unless, by vote of a majority of the then owners of the lots into which the property described above shall have been developed and in Watson’s Orchard Subdivision, the within covenants, conditions^] and restrictions are changed or amended, in whole or in part.

(emphasis added). In 2005, J.B. Stephens attempted to purchase the remainder of the property in the buffer zone owned by WOPOA for over two million dollars. The transaction was never consummated, but Respondents contend it spurred Appellants’ efforts to amend the 1981 R & Cs, which prompted the present litigation.

Several months prior to the January 1, 2010 date listed in the 1981 R & Cs, Appellants attempted to amend the 1981 R & Cs to remove the residential development requirement for [394]*394the property that abuts J.B. Stephens’ acreage south of Pel-ham Road. Appellants obtained twenty-nine of fifty-four possible votes4 in favor of amending the 1981 R & Cs, and then filed the amended Restrictions and Covenants (2009 R & Cs) in the Greenville County Register of Deeds Office on November 9, 2009. Of the necessary twenty-nine votes, Appellants asserted they possessed five votes based on the five “lots” within the six acres purchased by J.B. Stephens in 1981.

Homeowners R.C. Frederick Hanold III, Rose Hanold, Carol Mitchell, and George Mitchell Jr., (Respondents) filed suit on September 8, 2009, seeking a declaratory judgment that the 2009 R & Cs were not validly adopted. WOPOA and Appellants answered and counterclaimed for a declaratory judgment that the 2009 R & Cs were valid. WOPOA and Appellants filed an amended answer, adding the property owners in WOPOA as third-party defendants. The property owners did not respond and default judgment was entered against them. WOPOA, Appellants, and Respondents then filed cross motions for summary judgment on April 27, 2012, and the circuit court denied both motions, finding genuine issues of material fact existed and, thus, summary judgment was inappropriate.

The circuit court received testimony and evidence from both parties on September 4 and 5, 2012, in the declaratory judgment action. In its order finding for Respondents, the circuit court concluded the Property had “not been developed into lots for the purpose of being entitled to vote to amend or modify the restrictive covenants.” The circuit court concluded the plain and unambiguous language of the 1981 R & Cs required the lots be developed prior to being eligible to vote. The court cited the following in support of its conclusion: (1) Appellants failed to demonstrate a plat was ever prepared or recorded as required by Greenville County ordinance, which was a prerequisite to subdividing or offering a lot for sale; (2) the Property possessed a single tax map number, preventing it from being legally sold as five individual lots on the date of [395]*395the purported amendment; and (3) the 1981 deed of sale and other supporting documents offered to demonstrate the six-acre tract was comprised of five separate lots only showed the intent of the parties to the conveyance, not the intent of Lincoln, which is paramount in interpreting a restrictive covenant. The court then ruled the amendment to the 1981 R & Cs and subsequent recording of the 2009 R & Cs were both void and of no force and effect. This appeal followed.

STANDARD OF REVIEW

“Declaratory judgments in and of themselves are neither legal nor equitable.” Campbell v. Marion Cnty. Hosp. Dist., 354 S.C. 274, 279, 580 S.E.2d 163, 165 (Ct.App.2003). “The standard of review for a declaratory judgment action is therefore determined by the nature of the underlying issue.” Id.

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Bluebook (online)
772 S.E.2d 528, 412 S.C. 387, 2015 S.C. App. LEXIS 61, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hanold-v-watsons-orchard-property-owners-assn-scctapp-2015.