Rafferty v. District of Columbia Zoning Commission

662 A.2d 191, 1995 D.C. App. LEXIS 150, 1995 WL 447649
CourtDistrict of Columbia Court of Appeals
DecidedJuly 27, 1995
DocketNo. 93-AA-871
StatusPublished
Cited by1 cases

This text of 662 A.2d 191 (Rafferty v. District of Columbia Zoning Commission) is published on Counsel Stack Legal Research, covering District of Columbia Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Rafferty v. District of Columbia Zoning Commission, 662 A.2d 191, 1995 D.C. App. LEXIS 150, 1995 WL 447649 (D.C. 1995).

Opinion

FARRELL, Associate Judge:

In Rafferty v. District of Columbia Zoning Comm’n, 583 A.2d 169 (D.C.1990) (Rafferty I), this court remanded the instant ease to the Zoning Commission for consideration of several issues, chief of which was petitioners’ claim that the District of Columbia should be estopped from enforcing Planned Unit Devel[193]*193opment (PUD) restrictions on the basis of which the District had issued a stop work order (rescinding an earlier construction permit) terminating construction of a two-story addition to petitioners’ townhouse.

Following a hearing, the Commission found that petitioners had failed to meet several of the requirements for estoppel. See Interdonato v. District of Columbia Bd. of Zoning Adjustment, 429 A.2d 1000, 1003 (D.C.1981).1 On review, this court must sustain that decision if the agency has made findings of fact on each material contested issue that are supported by substantial evidence in the record and if the ultimate conclusions flow rationally from the factual findings. George Washington Univ. v. District of Columbia Bd. of Zoning Adjustment, 429 A.2d 1342, 1345 (D.C.1981).

We sustain the Commission’s rejection of the estoppel claim because its conclusion that petitioners had constructive notice of the PUD restrictions, hence could not justifiably rely on the issuance of the building permit, is supported by and flows rationally from substantial evidence in the record. The Article 75 (or PUD) Covenant, which was recorded and included in the materials petitioners admittedly received in connection with closing, as well as the information they received from them title search on the property, constitute “facts or circumstances reasonably sufficient to put a person ... upon inquiry [notice] which, if pursued with proper diligence, would lead to the discovery of the actual condition of the title” — including the PUD restrictions. Rosenthal v. J. Leo Kolb, Inc., 97 A.2d 925, 927 (D.C.Mun.App.1953). See also Fireison v. Pearson, 520 A.2d 1046, 1050 (D.C.1987) (applying Maryland law that person has constructive notice if “the means of knowledge are at hand”).

Specifically, echoing the rule enunciated earlier in Rosenthal, supra, we have said that “[a] purchaser is held to be on inquiry notiee where he or she is aware of circumstances which generate enough uncertainty about the state of title that a person of ordinary prudence would inquire further about those circumstances.” Clay Properties, Inc. v. Washington Post Co., 604 A.2d 890, 895 (D.C.1992) (en banc) (emphasis added). Here, the very most petitioners can reasonably contend is that the information in them possession generated “uncertainty” sufficient to require additional inquiry on their (or their attorney’s) part before they relied on the issuance of the building permit and went ahead with construction. It is not disputed, first, that both Zoning Commission Order No. 195 and BZA Application (Order) No. 12636 were recorded on the land records as exhibits to the Article 75 Covenant restricting use of petitioners’ property. The purpose of such recordation, self-evidently, is to give interested persons “the means ... at hand,” Fireison, supra, to learn the true state of title of the affected property. Second, petitioners’ title search concededly revealed to them the existence of “a Covenant between [W.C. & A.N.] Miller [Company] and the District Lof Columbia] dated June 23, 1978, recorded September 5, 1978, and rerecorded September 6, 1978” — that is, the Article 75 Covenant and its exhibits.

Finally, petitioners admitted receiving in their closing materials a copy of the Article 75 Covenant, which recites on its face that the Miller Company (the seller) was constructing a “planned unit development ... in accordance with plans approved by the Zoning Commission ... under Order No. 195 issued December 8, 1977, in Zoning Case Nos. 75-18F/77-16, attached hereto as Exhibit B; and ... [as] further processed before the Board of Zoning Adjustment, D.C. and approved by that Board in Application No. 12636, attached hereto as Exhibit C....” The Article 75 Covenant goes on to say expressly that “[t]he terms and conditions of the Zoning Commission’s approval ... under Order No. 195 ... and the [BZA’s] approval under B.Z.A. Order No. 12636 are incorporated herein by reference and shall be con[194]*194sidered a part of this Covenant”; and that “those conditions enumerated in Exhibit B [ie., Order No. 195] and as modified in Exhibit C [Le., Order No. 12636], shall continue as covenants running with the land and binding upon Owner, its successor apd assigns.”

Despite their possession of this information, petitioners assert that when the Miller Company at settlement gave them incorrect exhibits (i.e., certain covenants related to easements rather than the two Zoning-Commission and BZA Orders) attached to them copy of the Article 75 Covenant, they could not fairly be expected to distinguish an easement covenant from an agency order, and so erroneously but reasonably believed there were no other restrictions on their use of the property. We cannot agree. At the very least, a reasonable person equipped with the information petitioners had would have been “uncertain[ ]” as to the restrictions on his or her title, Clay Properties, supra, and — aided by counsel, as petitioners were— would have made further record inquiry. Petitioners instead relied solely upon the apparent absence of a reference to the PUD on the zoning map and the issuance of a construction permit by the Zoning Administrator (rescinded after they had incurred expenses). While the latter act may be assumed to have established one factor in the estoppel analysis (an “affirmative act[ ] of the District government”), Interdonato, 429 A.2d at 1003, it does not answer the question whether petitioners justifiably and reasonably relied upon it, id. — a question the Commission, in all the circumstances, properly answered against them.2

Petitioners’ reliance on Saah v. District of Columbia Bd. of Zoning Adjustment, 433 A.2d 1114 (D.C.1981), is misplaced. Saah held, in the circumstances of that case, that the zoning applicant’s constructive knowledge of the unlawfulness of the requested variance did not defeat his claim of estoppel based on the erroneous approval of the plans by a District official, because the same constructive knowledge could be imputed to the official. Id. at 1117. But Saah announced no general rule excusing an applicant’s unjustified and unreasonable reliance on such approval. That fact is confirmed by the court’s previous decision in this case, Rafferty I,

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662 A.2d 191, 1995 D.C. App. LEXIS 150, 1995 WL 447649, Counsel Stack Legal Research, https://law.counselstack.com/opinion/rafferty-v-district-of-columbia-zoning-commission-dc-1995.