Kauffman v. Roling

851 S.W.2d 789, 1993 Mo. App. LEXIS 620, 1993 WL 128231
CourtMissouri Court of Appeals
DecidedApril 27, 1993
DocketWD 46865
StatusPublished
Cited by22 cases

This text of 851 S.W.2d 789 (Kauffman v. Roling) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Kauffman v. Roling, 851 S.W.2d 789, 1993 Mo. App. LEXIS 620, 1993 WL 128231 (Mo. Ct. App. 1993).

Opinion

FENNER, Presiding Judge.

Appellants, Douglas W. Roling and Mary J. Roling, Jack E. Young, Jr. and Janice L. Young, Larry Keith West and Karen A. West, Kevin L. Wisch and Karen M. Wisch, and Archie F. McDaniel and Carolyn S. McDaniel, 1 appeal the declaratory judgment of the Cole County Circuit Court interpreting certain provisions of restrictive covenants covering the real estate subdivision called Sleepy Hollow Estates (Sleepy Hollow), located in Jefferson City, Missouri. Appellants all had acquired property in the Sleepy Hollow subdivision after the subdivision plat and restrictions were recorded. Respondents, Kenneth W. Kauffman and Juanita L. Kauffman, husband and wife, are owners and developers of Sleepy Hollow.

The facts leading up to this appeal include the following: On October 28, 1988, the Kauffmans filed the Sleepy Hollow subdivision plat with the recorder of deeds in Cole County. On this same day, before they sold any lots in Sleepy Hollow, the Kauffmans recorded a set of restrictive convenants (hereinafter referred to as the “Original Restrictions”) governing the development and use of the property in the new subdivision. The Kauffmans owned all of the lots in the subdivision at the time the plat was recorded.

Paragraph III-A of the Original Restrictions governed the duration and modification of the restrictive covenants. This paragraph, entitled “TERM,” provides as follows:

These covenants are to run with the land and shall be binding on all parties and persons claiming under them for a period of twenty-five (25) years from the date these covenants are recorded, except as otherwise provided herein, after which time said covenants shall be automatically extended for successive periods of twenty-five (25) years unless an instrument signed by two-thirds of the then owners of the lots has been recorded, *791 agreeing to change said covenants in whole or in part as provided for herein.

Paragraph III-E provided further that “[exceptions to restrictions may be allowed at developer’s discretion and approval.”

On September 26, 1991, when all of the lots in the subdivision were owned by five couples, respondents and appellants Roling, Young, West and Wisch, 2 respondents recorded a written instrument amending the subdivision restrictions pursuant to paragraph III-A of the Original Restrictions (hereinafter referred to as “Respondents’ Amendments”). This instrument was signed only by respondents. The Respondents’ Amendments, among other things, reduced the minimum size of the dwellings.

On October 31st and November 1st of 1991, appellants, Young, West, Wisch and Roling, who together constituted two-thirds of the owners of the lots in the subdivision, recorded instruments which amended and/or restated the Original Restrictions and Respondents’ Amendments (hereinafter referred to as “Appellants’ Amendments”). In the Appellants’ Amendments, appellants, among other things, sought to revoke Respondents’ Amendments in their entirety and sought to reinstate the minimum size of the dwellings provided for in the Original Restrictions as well as other provisions in the Original Restrictions.

To resolve the conflict between competing sets of restrictive covenants on file with the local recorder of deeds, respondents brought a declaratory judgment action on November 8, 1991 seeking a determination that their amendments were valid and Appellants’ Amendments were void or, alternatively, that the Original Restrictions could not be amended sooner than 25 years after their adoption. Appellants subsequently counterclaimed, on December 11, 1991, for a declaration that their own amendments were valid and Respondents’ Amendments were void or, alternatively, that the Original Restrictions could not be amended within 25 years after their recording absent the unanimous written consent of all current owners of property in the subdivision.

On February 27, 1992, respondents filed a Motion for Judgment on the Pleadings or, alternatively, a Motion for Summary Judgment. In this motion, respondents sought a declaration from the court as to which set of restrictive covenants are presently in effect as to the subject property and a declaration interpreting certain provisions of the covenants. 3 Appellants filed their response on March 10, 1992, praying for judgment in their favor.

The trial court entered its judgment in respondents’ favor on June 1, 1992, finding that: (1) Paragraph III-A of the Original Restrictions means that the restrictions may be amended if the owners of two-thirds of the lots in the subdivision (i.e., respondents) execute and record a document amending the restrictions; (2) the Original Restrictions could be amended at any time by the owners of at least two-thirds of the lots in the subdivision; (3) the Respondents’ Amendments were valid since respondents at that time owned more than two-thirds of the lots in the subdivision; (4) appellants’ attempts to amend the Original Restrictions or rescind the Respondents’ Amendments were not valid because appellants owned less than two-thirds of the lots in the subdivision; and (5) there is no just reason to delay finality of the court’s order and, thus, the order is final and appealable.

On June 15, 1992, appellants Roling, Young and Wisch filed a Motion for Reconsideration alleging that the court erred in finding that the Original Restrictions could be amended sooner than 25 years after their adoption without the unanimous consent of all the then current owners of property in the subdivision. Appellants further alleged that the court erred in concluding *792 that respondents, as owners of two-thirds of the lots (as opposed to two-thirds of the owners of the lots), could amend the Original Restrictions. Appellants submitted that the court’s June 1, 1992 judgment misapplied Missouri law and was therefore in error. Appellants’ motion was overruled and this appeal followed.

Appellants’ first point on appeal is dis-positive. In its first point, appellants argue that the trial court erred in finding that the Original Restrictions could be amended within 25 years of the date of their recording by written agreement of the owners of at least two-thirds of the lots in the subdivision. Appellants contend that the plain and unambiguous language of Paragraph III-A of the Original Restrictions declares that the restrictions shall be binding for 25 years from the date of their recording and may be amended only after the passage of that period of time. The Original Restrictions could only be amended within the initial 25-year period if the unanimous written consent of all of the owners of the subdivision lots were obtained. The Respondents’ Amendments were void, appellants argue, because they were signed only by respondents and not by the eight appellants who then owned lots in the subdivision.

A restrictive covenant is a private contractual obligation. Brentmoor Place Residents Ass’n v. Warren, 816 S.W.2d 7, 11 (Mo.App.1991). The rules governing construction of restrictive covenants on realty are generally the same as those applicable to any covenant or contract.

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Bluebook (online)
851 S.W.2d 789, 1993 Mo. App. LEXIS 620, 1993 WL 128231, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kauffman-v-roling-moctapp-1993.