Nutis v. Schottenstein Trustees

534 N.E.2d 380, 41 Ohio App. 3d 63, 1987 Ohio App. LEXIS 10755
CourtOhio Court of Appeals
DecidedJune 30, 1987
Docket86AP-1082
StatusPublished
Cited by6 cases

This text of 534 N.E.2d 380 (Nutis v. Schottenstein Trustees) 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
Nutis v. Schottenstein Trustees, 534 N.E.2d 380, 41 Ohio App. 3d 63, 1987 Ohio App. LEXIS 10755 (Ohio Ct. App. 1987).

Opinion

Reilly, J.

This is an appeal from a judgment of the Franklin County Court of Common Pleas. Plaintiffs are owners of real property located at 2929 East Broad Street, Columbus, Ohio. The property is described as follows:

“Being Lot No. 8 of Broadleigh Addition, as the same is numbered and delineated upon the recorded plat thereof, of record in Plat Book No. 14, pages 16 and 17, Recorder’s Office, Franklin County, Ohio.”

Defendant Schottenstein Trustees (hereinafter “Schottenstein”) is the owner of undeveloped real property which is adjacent to the residence (Lot No. 8) owned by plaintiffs and which is located at the southeast corner of East Broad Street and Gould Road. This property is described as follows:

“Being Lots Numbered Nine (9) and Ten (10) in BROADLEIGH, an addition to the City of Columbus, Franklin County, Ohio, as the same are numbered and delineated upon the recorded plat thereof, of record in Plat Book 14, pages 16 and 17, Recorder’s Office, Franklin County, Ohio.”

Both parcels are located in the Broadleigh Addition. As platted on August 9, 1920, the Broadleigh Addition consists of two hundred thirty-eight lots bounded on the west by Gould Road; on the east by Chesterfield Road; on the north by Maryland Avenue; and on the south by Etna Street. The recorded plat does not include a statement of covenants or restrictions relative to any of the lots in the subdivision.

Defendant Schottenstein plans to construct a two-story office building on Lot Nos. 9 and 10. However, plaintiffs contend that such a use would violate the single-residence restriction contained in the chain of title for these lots. Both the plaintiffs’ and Schotten-stein’s chains of title include deeds setting forth the following restriction:

“PROVIDED ALWAYS, and those presents are executed and delivered by the grantors and accepted by the grantee upon the express condition, which was also part of the consideration for the sale and conveyance of the above described premises by the said grantor to said grantee; that the said grantee for herself[,] her heirs, executors, administrator and assigns, or any one holding or claiming under them, or either of them, shall never, himself, herself or themselves, or any one of them, hereafter erect, build or construct, or cause to be erected, built or constructed, or permit or authorize any one else to erect, build or construct any building upon the said premises herein before described, or any part thereof, except single residences * * *.” (Emphasis added.)

Schottenstein acquired a zoning variance for the property which was rezoned Commercial Planned Development. Thereafter, plaintiffs filed a complaint for an injunction and declaratory judgment against Schottenstein and the city of Columbus. Schotten-stein filed a counterclaim alleging that a substantial change in the neighborhood had made the restrictive covenant invalid and unenforceable, since it would impose great hardship upon *65 Schottenstein with minimal benefits to plaintiffs.

The case was tried to the court, which entered findings of fact and conclusions of law. The court dismissed plaintiffs’ action and found that the single-residence restriction in the chain of title for Lot Nos. 9 and 10 (the Schottenstein parcel) was no longer binding or enforceable.

Plaintiffs assert the following assignments of error:

“I. The trial court erred in concluding that plaintiffs lacked standing to seek enforcement of the restrictive covenant contained in the chains of title to defendant Schottenstein Trustees’ property.
“II. The trial court erred in finding that the covenant restricting development and use of defendant Schottenstein Trustees’ property to single residency was no longer binding and enforceable due to substantial change in the character of the neighborhood.
“HI. The trial court erred in concluding that the restrictive covenant contained in defendant Schottenstein Trustees’ chains of title was invalid under the Ohio Marketable Title Act.
“IV. The trial court erred in accepting, affirming, and adopting defendant’s findings and conclusions because these findings and conclusions are against the manifest weight of the evidence and are contrary to law.”

In the first assignment of error, plaintiffs question the court’s finding that they lacked standing to enforce the restrictive covenants in the chains of title to Lot Nos. 9 and 10.

Since plaintiffs are not the prior owners of Lot Nos. 9 and 10, there is no privity of estate herein. Hence, whether plaintiffs have standing to enforce the single-residence restriction contained in the deeds to Lot Nos. 9 and 10 is to be determined by the “intention of the parties to be gained from the language of the instrument and the surrounding circumstances. * * *” Berger v. Van Sweringen Co. (1966), 6 Ohio St. 2d 100, 102, 35 O.O. 2d 127, 128, 216 N.E. 2d 54, 56-57.

Restrictive covenants are to be construed strictly against the restriction and in favor of the free use of land. See Carranor Woods Property Owners’ Assn. v. Driscoll (1957), 106 Ohio App. 95, 101, 6 O.O. 2d 361, 364, 153 N.E. 2d 681, 685.

The Supreme Court stated the following in the syllabus of Berger, supra:

“Where it is shown by competent evidence that restrictive covenants sought to be cancelled were imposed by a developer of land upon the property of an owner for the benefit of other property owners, in order to effect a general building scheme or plan, the intended beneficiaries may maintain an action for the enforcement of such restrictive covenants against the developer and the owner seeking cancellation of the restrictive covenants upon his property.”

The “burden is upon * * * [the purchaser] to show that such covenant restricting the use of the lands of another was intended to be for his benefit, and that he has an equitable interest in the other person’s adherence to the covenant. * * *” Id. at 102, 35 O.O. 2d at 128, 216 N.E. 2d at 57. The determination as to whether one purchaser in a subdivision may enforce restrictive covenants covering another purchaser’s land is best decided by asking the following question: “For whose benefit was the restriction imposed?” Id.

The owner of one property may enforce restrictive covenants against another property owner only where the covenants are for their mutual benefit. Although not the sole or exclusive method of enforcing restrictive covenants, courts have held they are *66 for the mutual benefit of other property owners when there is a uniform general plan of improvement for the development. See Dixon v. Van Sweringen Co. (1929), 121 Ohio St. 56, 60-61, 166 N.E. 887, 888. Neighborhood restrictions should be substantially uniform and imposed upon all lots since each owner carries the burden of the restriction but also enjoys the benefit of enforcement against other property owners.

Thus, plaintiffs do not have a right to enforce the covenant restricting Lot Nos.

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Cite This Page — Counsel Stack

Bluebook (online)
534 N.E.2d 380, 41 Ohio App. 3d 63, 1987 Ohio App. LEXIS 10755, Counsel Stack Legal Research, https://law.counselstack.com/opinion/nutis-v-schottenstein-trustees-ohioctapp-1987.