Locke v. O'BRIEN

610 A.2d 552, 1992 R.I. LEXIS 163, 1992 WL 160351
CourtSupreme Court of Rhode Island
DecidedJuly 6, 1992
Docket90-400 — Appeal
StatusPublished
Cited by33 cases

This text of 610 A.2d 552 (Locke v. O'BRIEN) is published on Counsel Stack Legal Research, covering Supreme Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Locke v. O'BRIEN, 610 A.2d 552, 1992 R.I. LEXIS 163, 1992 WL 160351 (R.I. 1992).

Opinion

OPINION

WEISBERGER, Justice.

This case comes to us on appeal by the defendants from a judgment entered in the Superior Court after a nonjury trial quieting title in the plaintiffs. We affirm. The facts insofar as relevant to this appeal, drawn from the detailed findings made by the trial justice, are as follows.

On December 3, 1962, Alfred D. Locke and Louise H. Locke (hereinafter plaintiffs or the Lockes) purchased by warranty deed a parcel of land (hereinafter parcel A) in the town of New Shoreham, Block Island. (See Appendix.) Parcel A, along with land undisputedly owned by defendants (parcel B), was originally owned by Simon and Celia Ball. In 1902 the Balls conveyed parcel A to plaintiffs’ predecessor in title, Mary Ann Steadman. The Ball-to-Stead-man deed referred to the easterly boundary *554 as “a straight line running south between stubs now set forth on the north and south lines respectively” and further provided that “the grantee will and her heirs and assigns shall make and maintain a lawful boundary.” The quantity description in that deed states that the parcel consists of “one acre more or less.” In 1926 the boundary between the two parcels was demarcated along a wire fence 409.4 feet easterly from the mean high tide of the Great Salt Pond. With the fence marking the boundary, parcel A consists of approximately two acres. As of 1960 the boundary lay at the identical point described in 1926, although only the fence posts remained. As of 1985 vestiges of these fence posts were still in place, and they were again determined to be exactly 409.4 feet from the mean high tide of the Great Salt Pond.

In 1978 the Lockes became aware of a deed executed May 4, 1962, that purported to convey, in addition to parcel B, all of parcel A to defendants. In 1979 Alfred Locke, in an attempt to resolve the problem created by this deed, made an appointment with defendant O’Brien, which she failed to attend. Locke then sent her a letter requesting that she execute a quitclaim deed that would clear his title to parcel A. The defendant neither responded to the letter nor signed the quitclaim deed.

In 1984 plaintiffs commenced this action pursuant to G.L.1956 (1969 Reenactment) §§ 34-16-4 and 34-16-7. 1 In their answer defendants raised as a defense the purported defect in the original deed in plaintiffs’ chain of title (the discrepancy between the monument and the quantity description) and alleged in their counterclaim that they had acquired title to one acre of parcel A through adverse possession. (See Appendix.) Thus the central issue before the trial justice became the locus of the boundary between parcel A and parcel B. The trial justice construed the deeds in plaintiffs’ chain of title and found that plaintiffs had good title to all of parcel A. He also found that defendants’ deed was null and void “to the extent it purported to convey any of parcel A.” He also concluded that defendants failed to meet the requirements of adverse possession. Finally, he found that the parties had acquiesced to the easterly boundary as marked by what was left of the cedar posts.

On appeal defendants raise two issues: (1) that the trial justice misconceived or overlooked material evidence of the grant- or’s intent in construing the 1902 Ball-to-Steadman deed and (2) that the trial justice erred as a matter of law in applying the doctrine of Lewicki v. Marszalkowski, 455 A.2d 307 (R.I.1983), to preclude their claim of adverse possession. We turn to the adverse possession claim first.

We agree with defendants that Lew-icki does not apply to the case at bar. Its holding rests upon the application of a stat *555 ute that was enacted in 1927. See annotations to G.L.1956 (1969 Reenactment) §§ 34-11-15 and -16. 2 The relevant transaction here — between Ball and Steadman— occurred in 1902, twenty-five years before the operative statute was passed. Thus Lewicki and the above-referenced statute do not apply to defendants’ adverse possession claim.

Despite the trial justice’s reliance upon the Lewicki doctrine, we cannot say that he was clearly wrong in concluding that defendants had failed to prove the elements of adverse possession. It is well settled that in order to establish adverse possession under § 34-7-1, a claimant’s possession must “be actual, open, notorious, hostile, under claim of right, continuous, and exclusive.” Sherman v. Goloskie, 95 R.I. 457, 465, 188 A.2d 79, 83 (1963). See also Aud-War Realty Co. v. Ellis, 557 A.2d 69, 70 (R.I.1989). A claimant must establish the indicia of adverse possession for a period of ten years. See § 34-7-1. Evidence of adverse possession must be proved by strict proof, that is, proof by clear and convincing evidence of each of the elements of adverse possession. See, e.g., Samuel Nardone & Co. v. Bianchi, 524 A.2d 1114 (R.I.1987); Spangler v. Schaus, 106 R.I. 795, 264 A.2d 161 (1970). We have consistently held that the evidence must be “by a preponderance of clear and positive evidence or by evidence that is unambiguous and affirmative in character.” Hilley v. Simmler, 463 A.2d 1302, 1304 (R.I.1983). The trial justice found that the evidence presented “[fell] far short of the required showing” of the indicia of adverse possession. Our review of the record also fails to reveal any evidence from which the trial justice could have found that defendants took affirmative action during the ten years preceding this action to indicate to plaintiffs that they were occupying a portion of parcel A in a manner hostile to plaintiffs’ interest.

The defendants also contend that the trial justice misconceived or overlooked evidence regarding Celia Ball’s intent to convey parcel A to Mary Ann Steadman in 1902. We find no merit in this contention. Instead of relying on the strength of their own title, defendants here attempt to rely on a purported defect in plaintiffs’ title in order to advance their own claim of adverse possession. We have expressly rejected such a strategy in Taffinder v. Thomas, 119 R.I. 545, 381 A.2d 519 (1977) (in order to prevail on a claim of adverse possession, a claimant must establish his or her own title and may not rely upon a defect in the title of another). See also Antuono v. Faraone, 106 R.I. 721, 263 A.2d 111 (1970). Since' defendants’ argument concerns only the alleged defect in plaintiffs’ title, we need not address the contention that the trial justice erred in construing the intent of a predecessor in plaintiffs’ chain of title.

Assuming arguendo

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Bluebook (online)
610 A.2d 552, 1992 R.I. LEXIS 163, 1992 WL 160351, Counsel Stack Legal Research, https://law.counselstack.com/opinion/locke-v-obrien-ri-1992.