Smoke v. Palumbo

379 P.2d 1007, 234 Or. 50, 1963 Ore. LEXIS 310
CourtOregon Supreme Court
DecidedMarch 28, 1963
StatusPublished
Cited by2 cases

This text of 379 P.2d 1007 (Smoke v. Palumbo) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Smoke v. Palumbo, 379 P.2d 1007, 234 Or. 50, 1963 Ore. LEXIS 310 (Or. 1963).

Opinion

GOODWIN, J.

This is an appeal by the owners of certain lots in Palumbo’s First Addition (to the City of Portland) *52 from a decree dismissing their suit. Plaintiffs sought to impose restrictive covenants upon other lots, owned by the defendants, within the platted subdivision.

The subdivision consists of 34 lots. The plat was dedicated by the defendants Palumbo. The Palumbos began to develop the tract by building speculative houses for sale. After four houses had been built and did not appear to be readily salable, the Palumbos began selling lots. The entire subdivision lies in a part of the city zoned to permit multiple-residence use.

The plaintiffs have purchased or built single-family residences and now contend that the defendants are bound by an implied covenant to build nothing but single-family residences on the remaining lots. The defendants contend, to the contrary, that since nothing in any written instrument restricts the use of the lots to single-family dwelling houses, they are free to construct duplex or other multiple-family housing as they see fit. The trial court deemed the evidence insufficient to support the plaintiffs’ prayer for relief.

Where a general plan of development can be proven, reasonable building restrictions consistent with such plan and necessary to its implementation will be enforced in a proper case for the benefit of prior grantees even though such restrictions are omitted from the conveyances to the subsequent grantees of the common grantor. Snashall et ux v. Jewell et ux, 228 Or 130, 363 P2d 566 (1961). However, covenants are to be strictly construed against the restriction, and unless the use complained of is plainly within the provisions of the covenant, it will not be restrained. Schmitt et ux v. Culhane et al, 223 Or 130, 132, 354 P2d 75 (1960).

Ordinarily when a subdivider of land desires to create restrictions which will burden as well as bene *53 fit all the lots in his subdivision, he creates the restrictions by recording a list of them in the appropriate public record. Reference is made to the recorded restrictions in each conveyance thereafter. In such cases, the courts have little difficulty in giving effect to reasonable restrictions, because the intent of the parties is clear. See Snashall et ux v. Jewell et ux, supra. Further, in such cases, the equities in favor of one seeking to enforce a restriction are not opposed by countervailing equities in favor of third persons who may have acquired their land without notice. Recording generally constitutes notice for such purposes. See 5 Powell, Real Property 187, 188, §679 (1962).

One recording method frequently employed by subdividers is to list all the contemplated restrictions in the first deed conveying a lot to a grantee. Subsequent deeds then may incorporate by reference the restrictions found in the first deed. Such deeds thus give grantees the same notice as would be given by a reference to a plat or other record containing the restrictions. The case at bar, however, did not arise out of a plan memorialized in writing. Here we must examine circumstantial evidence in order to decide what the parties intended.

It must be noted that the original plat, as recorded, contained no restrictions whatever. Neither did any deed in the plaintiffs’ chain of title contain a restriction, so far as the record reveals. The warranty deed from the Palumbos to the plaintiffs Smoke contains the following:

“* * * [F]ree from all incumbrances, except restrictions and reservations as of record [there were none], and Residence to be of $25,000 valuation or better. Residence to be completed within *54 one year after starting. Building to be 20 ft. set back and at least 5 ft. side lines.”

Similar restrictions are to be found in tbe deeds to other plaintiffs. The Smoke deed was recorded March 31, I960.

The warranty deed to the defendants Grimm, recorded April 25, 1961, contains the following:

“* * * [F]ree from all incumbrances, except restrictions and reservations of record. Buildings to be set 20 ft. back from front lot line and 5 ft. or more from side lines. Buildings to be completed within one yr. after starting. Buildings to be: if duplex $30,000.00 — if residence $25,000 valuation or more. No more than a duplex on each lot.”

The Grimm deed is similar to the deeds of other defendants.

Our cases, as well as other generally-recognized authorities, teach that the plaintiff must prove the existence of his right and the defendant’s notice thereof before a court of equity will impose restrictions upon the lands of others. See Rodgers et ux v. Reimann et ux, 227 Or 62, supra; Snashall et ux v. Jewell et ux, 228 Or 130, supra; 5 Powell, Real Property, supra at 193. A similar burden is placed on a grantee who seeks to impose restrictions upon the lands retained by the grantor. The trial court held that there was a failure by the plaintiffs to prove a case for equitable relief against either the common grantor or the other defendants who, as grantees, intended to build duplex housing.

The plaintiffs in the case at bar had the burden of proving that the defendants Palumbo intended to create restrictions for the benefit of the entire subdivi *55 sion. Until the plaintiffs have proved that much, there would be no need to inquire further into such questions as the notice, if any, which could be charged to other grantees who had been made defendants. In other words, if the plaintiffs failed in their proof against their original grantors, the Palumbos, that failure of proof would end the case. If, on the other hand, the plaintiffs did prove a case against the Palumbos, other questions would 'become material. It would not necessarily follow that equity would enjoin the other defendants, even if a building scheme should be established.

When the entire record is reviewed, the circumstantial evidence tending to prove the existence of a general plan of development, and hence of an intent by the Palumbos to create restrictive covenants,, can be summarized as follows:

At the time the plaintiffs acquired their respective lots (during the early part of 1960) there were houses upon four of the 34 lots in the subdivision. All the houses were substantially of the value of $25,000, all were single-family units, and all were advertised as “restricted.” One of the plaintiffs swore he was given to understand by an agent of the Palumbos that the word “restricted” meant “restricted to single-family dwellings.” This evidence was denied by the Palumbos, and presented a question of fact, one of many in the case.

Opposed to evidence tending to show a general scheme of development that would restrict the entire tract of 34 lots to single-family units was the following circumstantial evidence:

The area within which the subdivision was situated was zoned for apartment houses, and indeed contained a number of such structures outside the boundaries of *56 the Palumbo subdivision, but visible from the subdivision.

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Bluebook (online)
379 P.2d 1007, 234 Or. 50, 1963 Ore. LEXIS 310, Counsel Stack Legal Research, https://law.counselstack.com/opinion/smoke-v-palumbo-or-1963.