Ollerman v. O'Rourke Co., Inc.

288 N.W.2d 95, 94 Wis. 2d 17, 1980 Wisc. LEXIS 2479
CourtWisconsin Supreme Court
DecidedFebruary 7, 1980
Docket77-305
StatusPublished
Cited by205 cases

This text of 288 N.W.2d 95 (Ollerman v. O'Rourke Co., Inc.) is published on Counsel Stack Legal Research, covering Wisconsin Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Ollerman v. O'Rourke Co., Inc., 288 N.W.2d 95, 94 Wis. 2d 17, 1980 Wisc. LEXIS 2479 (Wis. 1980).

Opinions

SHIRLEY S. ABRAHAMSON, J.

This appeal is from an order overruling the motion of O’Rourke Co., Inc., the seller, brought under sec. 802.06(2) (f), Stats.,1 to dismiss Roy Ollerman’s, the buyer’s, amended complaint for failing to state a claim upon which relief can be granted. We conclude that the complaint states a claim, and we affirm the order of the circuit court.

I.

Because this is an appeal from an order overruling a motion to dismiss the amended complaint,2 the only facts of record are those in the pleadings.

[21]*21In Ms amended complaint, filed on July 25, 1977, the buyer alleges that on or about May 15, 1974 he entered into a written offer to purchase a vacant lot in the Village of Brown Deer, Milwaukee county, Wisconsin, for an agreed price of $12,600; that on or about June 4, 1974, the seller conveyed the lot to the buyer by a warranty deed; that the buyer purchased the lot to build a house; and that in the process of excavating for the house, a well on the property was uncapped and water was released.

The complaint further alleges that the seller is a corporation engaged in the business of developing and selling real estate; that it is experienced in matters of real estate; that it had owned and subdivided the area of real estate in which the subject lot is located; that it was offering the subject lot and other lots in the same area for public sale; that it is familiar with the particular area of real estate in which the lot is located; that the area is zoned residential and that the seller knew it was zoned residential.

The complaint further states that the buyer “was a stranger to the area”; that he was inexperienced in matters of real estate transactions; that he purchased the lot to construct a house; that he did not know of the existence of a well under the land surface hidden from view; that if he had known of the well, he either would not have purchased the property or would have purchased it at a lower price; that the well constituted a defective condition of the lot; that the well made the property worth less for residential purposes than he had been led to believe; that the well made the property unsuitable for building without added expense; and that [22]*22the seller’s failure to disclose the existence of the well was relied upon by the buyer and he was thereby induced to buy this lot in ignorance of the well.

The buyer further alleges that he incurred additional expenses for water control and construction costs because of the well; that the sum of $2,722.04 was expended to attempt to stop the flow of water so that the subsoil would be suitable for building; and that the sum of $10,575 was “incurred with the builder due to change in plans necessitated by said condition and to correct the same.”

Additional allegations applicable to what is labeled in the complaint as the “first cause of action” are that the seller, through its agents, knew of the existence of the underground well and, in order to induce buyer to buy the land, “falsely and with intent to defraud,” failed to disclose this fact which it had a duty to disclose and which would have had a material bearing on the construction of a residence on the property.

Additional allegations applicable to what is labeled in the complaint as the “second cause of action” are that the seller, through its agents, knew or in the exercise of reasonable care should have known of the existence of the underground well; had the means to ascertain this fact; had a duty to ascertain and a duty to disclose this fact which would have had a material bearing on the construction of a residence on the property; and either knowingly or negligently breached its duty to the buyer in not informing the buyer of the underground well.

The buyer demands judgment on the first cause of action, or in the alternative, on the second cause of action, in the sum of $20,000.3

[23]*23The circuit court, without disclosing its rationale, overruled the seller’s motion to dismiss the amended com[24]*24plaint for failure to state a claim upon which relief can be granted.

The motion to dismiss for failure to state a claim, like the previously used demurrer, tests the legal sufficiency of the claim. The facts pleaded and all reasonable inferences from the pleadings are admitted to be true, but only for the purpose of testing the legal sufficiency of the claim, not for the purpose of trial. The pleadings are to be liberally construed with a view to substantial justice to the parties.4 The complaint is not required to state all the ultimate facts constituting each cause of action; and the complaint should be dismissed as legally insufficient only if “it is quite clear that under no conditions can the plaintiff recover.”5

This court has recognized that misrepresentation is a generic concept separable into the three familiar tort classifications: intent (sometimes called fraudulent misrepresentation, deceit or intentional deceit), negligence and strict responsibility.6

[25]*25In Whipp v, Iverson, 43 Wis.2d 166, 169-170, 168 N.W.2d 201 (1969), we described the elements of these three torts as follows:

“The bases of responsibility in these three classifications of torts have at least three elements in common: (1) The representation must be of a fact and made by the defendant; (2) the representation of fact must be untrue; and (3) the plaintiff must believe such representation to be true and rely thereon to his damage. The classifications differ in several respects. In intentional deceit the defendant must either know the representation is untrue or the representation was made recklessly without caring whether it was true or false and with intent to deceive and induce the plaintiff to act upon it to the plaintiff’s pecuniary damage. In strict responsibility, the misrepresentation must be made on the defendant’s personal knowledge or under circumstances in which he necessarily ought to have known the truth or untruth of the statement and the defendant must have an economic interest in the transaction. Intent to deceive and good-faith belief in the truth of the representation are immaterial. In this classification the speaker is supposed to possess complete knowledge of the facts or could normally be expected to know them without investigation. Harper and McNeely, A Synthesis of The Law of Misrepresentation, 22 Minn. L. Rev. (1938), 939, at Note 12, p. 988. A person is therefore justified in expecting infallibility as to the representations of fact. In negligence, the defendant need only fail to exercise ordinary care in making a misrepresentation or in ascertaining the facts but like other cases of negligence, it requires a duty of care or a voluntary assumption of a duty.”

On appeal, the seller argues that the complaint fails to state a claim upon which relief can be granted for three reasons: First, the complaint does not state a claim for actionable intentional misrepresentation because, as a matter of law, the seller had no duty to disclose the existence of the well. Secondly, the complaint does not state a claim for actionable negligent misrepresentation [26]*26because, as a matter of law, the seller had no duty of care to the buyer.

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Cite This Page — Counsel Stack

Bluebook (online)
288 N.W.2d 95, 94 Wis. 2d 17, 1980 Wisc. LEXIS 2479, Counsel Stack Legal Research, https://law.counselstack.com/opinion/ollerman-v-orourke-co-inc-wis-1980.