Likover v. City of Cleveland

396 N.E.2d 491, 60 Ohio App. 2d 154, 14 Ohio Op. 3d 125, 1978 WL 217881, 1978 Ohio App. LEXIS 7621
CourtOhio Court of Appeals
DecidedNovember 9, 1978
Docket37160
StatusPublished
Cited by45 cases

This text of 396 N.E.2d 491 (Likover v. City of Cleveland) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Likover v. City of Cleveland, 396 N.E.2d 491, 60 Ohio App. 2d 154, 14 Ohio Op. 3d 125, 1978 WL 217881, 1978 Ohio App. LEXIS 7621 (Ohio Ct. App. 1978).

Opinions

Jackson, J.

On or about May 11, 1960, Sanford and Florence Likover (plaintiff-appellees) purchased an apartment building from Rose and Anne Stern (intervening plaintiff-appellants). On April 7, 1961, the city of Cleveland (defendant-appellants) placed placards at the entrances to said apartment building, announcing that the building had been condemned. Likovers pursued a series of legal actions, as more fully outlined in Likover v. City of Cleveland, unreported, Eighth Appellate District, No. 37138, decided June 1, 1978, in an attempt to save the building from condemnation. Nevertheless, on September 10, 1966, the building was, in fact, razed. On June 10, 1970, the Likovers filed an action against the city alleging wrongful demolition of the *155 building. That action resulted in summary judgment being granted on June 17,1974, in favor of Likovers on the issue of liability. The issue of damages was tried on January 25,1975, and the Likovers were awarded $35,000 on November 3, 1975. On November 14,1975, the city filed a motion for a new trial and the Sterns filed a motion to intervene. The claimed basis of their motion to intervene is that they have a lien and an equitable interest in the property which is the subject of the main litigation. The motion for a new trial and the motion to intervene were both denied on October 8,1976. The Sterns have taken this appeal from the denial of their motion to intervene. Two errors have been assigned for review.

Before addressing the merits of this appeal, we shall consider a question raised by the Likovers’ motion to dismiss the appeal. The question is whether or not the denial of the motion to intervene is a final appealable order.

We conclude that it is a final order since the denial of the motion affected a substantial right, see Holibaugh v. Cox (1958), 167 Ohio St. 340, determined the action and prevented a judgment as to intervenors on a claim of wrongful destruction of property against the City. 1 See R. C. 2505.02. So deciding, we may proceed to consider the errors assigned for review.

“Appellant-Intervenors clearly ‘claim[ed] an interest relating to the property which was the subject of the action and [they were] so situated, that the disposition of the action*** as a practical matter impair[ed] and impede[d] their ability to protect that interest’*** within the meaning of *156 Rule 24(A), Ohio Rules of Civil Procedure, and for that reason the trial court’s denial of their motion to intervene was erroneous and properly should be reversed.”

By this assignment of error, intervenors contend that they come within the strictures of Civil Rule 24 (A) (2) and are therefore entitled to intervene as a matter of right.

Civ. R. 24(A) reads in part:

“Upon timely application anyone shall be permitted to intervene in an action: * * *(2)when the applicant claims an interest relating to the property or transaction which is the subject of the action and he is so situated that the disposition of the action may as a practical matter impair or impede his ability to protect that interest, unless the applicant’s interest is adequately represented by existing parties.” (Emphasis added.)

The threshold question which must be addressed is whether or not appellants’ motion to intervene was timely within the meaning of this rule and on the facts of this case. Factors pertinent to this consideration are set forth below.

September 10, 1966, building razed.

June 10, 1970, Likovers sue City for wrongful demolition.

September 10,1970, statute of limitations for destruction of building runs. 2

June 17,1974, summary judgment on liability awarded to Likovers.

November 3, 1975, damages of $35,000 awarded to Likovers.

November 14,1975, Sterns filed motion to intervene. City filed motion for new trial.

October 8,1976, motion to intervene denied. Motion for new trial denied.

*157 Upon consideration it becomes apparent that there are two aspects to the concept of timeliness. One relates to the statute of limitations. This aspect focuses on when the cause of action accrued and on whether the motion is barred by the statute. The second aspect relates to the “timely” requirement of Civil Rule 24 and the focus in this regard is the context of the trial proceedings. Each aspect shall be considered in turn.

The general rule in Ohio appears to be that a person may not be brought in as a party plaintiff or defendant where the cause of action as to him at the time is barred by the statute of limitations. See e.g. Beach v. Union Gas & Electric Co. (1935), 130 Ohio St. 281; United States Promotion Co. v. Anderson (1919), 100 Ohio St. 58; Motorist Mutual Ins. Co. v. Cook (1971), 31 Ohio App. 2d 1.

Exceptions to this rule do exist, however. The proper analysis appears to be that a person who claims an independent cause of action cannot be brought into the original action after the expiration of the statutory period, but where the cause of action is the same, a suit commenced within the statutory period inures to the benefit of the person who is brought in after the statute of limitations has run. See Annotation, 8 A.L.R. 2d 6, Sections 14, 42, 43.

This approach has been utilized by Ohio courts to allow spelling corrections in the name of a defendant after the running of a statute of limitations, 3 amendments where the action of the opposing party causes the improper party to be named, 4 inclusions of all interested persons in a will contest, an in rem action, as long as some were made parties prior to the running of the statute, 5 subsequent inclusion of unnamed creditors where the creditor’s suit was initially brought on behalf of all creditors, 6 or inclusion of a person whose interest is united with one already a party. 7

This final example is relevant to the case at bar. In *158 Holibaugh v. Cox (1958), 167 Ohio St. 340, the Supreme Court noted that while in prior cases it had often considered the question of whether a person may be compelled to join as a party to an action, it had never before considered whether a party, united in interest, may be refused permission to join in a timely commenced suit after the statute of limitations had run. The court held in that case that the insured-assignor must be permitted to join in an action timely commenced by the insurer-assignee against a tortfeasor, even where the motion was filed after the running of the statute.

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Cite This Page — Counsel Stack

Bluebook (online)
396 N.E.2d 491, 60 Ohio App. 2d 154, 14 Ohio Op. 3d 125, 1978 WL 217881, 1978 Ohio App. LEXIS 7621, Counsel Stack Legal Research, https://law.counselstack.com/opinion/likover-v-city-of-cleveland-ohioctapp-1978.