Pennsylvania-Little Creek Corp. v. Cobb

205 S.E.2d 661, 215 Va. 44, 1974 Va. LEXIS 229
CourtSupreme Court of Virginia
DecidedJune 10, 1974
DocketRecord No. 730566
StatusPublished
Cited by2 cases

This text of 205 S.E.2d 661 (Pennsylvania-Little Creek Corp. v. Cobb) is published on Counsel Stack Legal Research, covering Supreme Court of Virginia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Pennsylvania-Little Creek Corp. v. Cobb, 205 S.E.2d 661, 215 Va. 44, 1974 Va. LEXIS 229 (Va. 1974).

Opinion

Carrico, J.,

delivered the opinion of the court.

This appeal involves a boundary-line dispute between Pennsylvania-Little Creek Corporation (hereinafter, Pennsylvania), which purports to be the owner of a 25-foot strip of land contiguous to the waters of Little Creek in the City of Norfolk, and the owners of certain other parcels of land, which [45]*45parcels are allegedly contiguous to the 25-foot strip. The dispute was reflected in two bills in equity for injunction and declaratory judgment filed in the trial court by Pennsylvania. The first bill named as defendants Thelma P. Cobb and others, owners of three parcels of land on the south shore of the Creek, and the second named as defendants John Edward Mordica and others, owners of four parcels on the north shore.

In its bills, Pennsylvania alleged that the defendant-owners of the seven parcels had deposited fill dirt, installed bulkheads, and erected piers upon its property. Pennsylvania prayed that the boundary lines between its 25-foot strip and the land of the defendants be fixed according to lines shown on certain plats appearing in the chains of title of the defendants’ property. Pennsylvania also prayed that the defendants be enjoined and restrained from interfering with the use and enjoyment of its property.

After Pennsylvania’s bills had been amended several times, they were consolidated by order of the trial court. The court then heard argument upon demurrers filed by the defendants. The court, in a letter opinion, ruled, inter alia, that Pennsylvania had an adequate remedy at law and that the allegations of its bills were “insufficient to constitute a cause of action for injunction.” In a decree entered July 20, 1972, the court sustained the defendants’ demurrers and, stating that Pennsylvania had “proceeded in equity when it should have proceeded at law,” ordered the “matter” transferred to the law side of the court. The decree allowed Pennsylvania 30 days “in which to file such changes in, or amendments of, [its] pleadings as may be necessary to conform them to the proper practice.” Code § 8-138.

Within the 30-day period prescribed by the decree of July 20, 1972, Pennsylvania lodged in the clerk’s office seven motions for judgment, which dealt separately with each of the seven parcels of land involved. Four of the motions were filed under the ejectmént statute, Code § 8-796, and three under the statute to establish boundary lines, Code § 8-836.

The defendants then filed motions to dismiss the “consolidated cases” on the ground that by filing “separate suits,” Pennsylvania had failed to comply with the terms of the court’s decree of July 20, 1972. The defendants’ motions asserted that upon expiration of the 30-day period fixed by the decree, without [46]*46compliance by Pennsylvania, the court had lost jurisdiction “to proceed further” in “the transferred causes.”

The trial court ruled that Pennsylvania had in fact failed to comply with the decree of July 20, 1972, and was, therefore, “barred from further prosecution of the consolidated case.” A final order sustained the defendants’ motions, dismissed the “cause” with prejudice, and entered final judgments for the defendants. Pennsylvania was granted a writ of error.

The first question to be decided is whether the trial court erred in sustaining the defendants’ demurrers and in transferring the matter from the equity to the law side of the court. Resolution of this question depends upon the correctness of the trial court’s basic rulings that Pennsylvania had an adequate remedy at law and had failed to state a cause for injunctive relief.

Pennsylvania concedes that the ejectment statute, Code § 8-796, and the boundary-line statute, Code § 8-836, are available to it as legal remedies. These remedies are inadequate, however, Pennsylvania argues, because it seeks in these proceedings not only to have its boundary lines established but also to enjoin the continuing trespasses by the defendants and to recover damages for those trespasses. The exercise of equity jurisdiction is proper, therefore, Pennsylvania asserts, to provide the necessary injunctive relief, to decide the questions of damages, title, and boundary, and to prevent the multiplicity of actions which would otherwise result if equitable jurisdiction is not invoked.

The difficulty with Pennsylvania’s position is that its bills in equity merely set forth, as the trial court found, a case for the establishment of boundary lines. Aside from the fact that the bills contain prayers for injunctions, there are no allegations which, if proven, would entitle Pennsylvania to equitable relief. The bills, bare-boned as they are, do not allege that the acts of the defendants were unlawful or that they constituted trespasses, continuing or otherwise. Nor do the bills claim that the defendants’ acts resulted in damage, irreparable or otherwise, or that they amounted to anything more than non-wasteful assertions of ownership by rival claimants to the property involved. See Callaway v. Webster, 98 Va. 790, 793, 37 S.E. 276, 277 (1900).

“The general rule is that in the absence of some peculiar equity arising out of the conduct, situation or relation of the [47]*47parties, a court of equity is without jurisdiction to settle disputes as to title and boundaries of land.” Patterson v. Saunders, 194 Va. 607, 610, 74 S.E.2d 204, 206-07 (1953).

Pennsylvania has failed to show any “peculiar equity” which would entitle it to relief on the chancery side of the court. It has not made out a cause for injunctive relief, and it has raised little more than a specter that a multiplicity of actions would result from denial of equitable jurisdiction. It was not error, therefore, for the trial court to hold that Pennsylvania had an adequate remedy at law and to transfer the matter to the law side of the court.

This brings us to the remaining question to be decided, viz., whether the trial court erred in its action dismissing with prejudice Pennsylvania’s “cause” against the defendants. As has been noted, the trial court took this action because it was of the view that there had been a failure to comply with its decree of July 20, 1972, allowing Pennsylvania 30 days “in which to file such changes in, or amendments of, [its] pleadings as may be necessary to conform them to the proper practice.” There was failure to comply, the court stated, because Pennsylvania, “rather than adhering to the language of the decree .. . elected to file seven new motions for judgment setting up separate issues and adding new parties.” This, the court concluded, “unilaterally terminated the consolidation and, in addition, added new parties in contravention of Rule 3:14 of the Rules of Court.”

In dismissing Pennsylvania’s “cause,” the trial court applied the doctrine stated in cases such as Gimbert v. Norfolk Southern Railroad Company, 152 Va. 684, 691, 148 S.E. 680, 683 (1929), viz., that where a demurrer to a litigant’s motion for judgment or bill of complaint is sustained with leave to amend upon certain terms and conditions and the litigant fails to amend or to comply with the terms and conditions, the sustaining of the demurrer becomes final and constitutes a bar to further proceedings upon the same cause against the same parties. We are of opinion, however, that this rule is inapplicable to the present case.

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Bluebook (online)
205 S.E.2d 661, 215 Va. 44, 1974 Va. LEXIS 229, Counsel Stack Legal Research, https://law.counselstack.com/opinion/pennsylvania-little-creek-corp-v-cobb-va-1974.