State Ex Rel. Rohrer v. Credle

369 S.E.2d 825, 322 N.C. 522, 1988 N.C. LEXIS 468
CourtSupreme Court of North Carolina
DecidedJune 30, 1988
Docket480PA87
StatusPublished
Cited by25 cases

This text of 369 S.E.2d 825 (State Ex Rel. Rohrer v. Credle) is published on Counsel Stack Legal Research, covering Supreme Court of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
State Ex Rel. Rohrer v. Credle, 369 S.E.2d 825, 322 N.C. 522, 1988 N.C. LEXIS 468 (N.C. 1988).

Opinion

MEYER, Justice.

The question presented is whether defendant is entitled to a jury trial to determine if he acquired an exclusive right by prescription to harvest oysters from an oyster bottom in navigable waters. The Court of Appeals resolved the question against defendant. We affirm.

In 1982 the State of North Carolina brought an action to quiet title to a 640-acre tract of land in Hyde County, most of which is submerged land beneath the waters of Swan Quarter Bay, its arms and tributaries. This is a navigable body of water. State v. Spencer, 114 N.C. 770, 777, 19 S.E. 93, 96 (1894). In his answer, defendant asserted a claim of ownership to the land, based either on certain grants or on adverse possession. The instruments upon which he relied included (1) two deeds to his father, one from S. S. Mann and the other from Zeb Hayes, which purported to convey portions of a 640-acre grant that the State had made to Joseph Hancock in 1786, (2) a perpetual franchise to take oysters from ten described acres that the State had granted *524 to J. W. Hayes in 1889 and (3) an application filed in 1891 by S. S. Mann for a perpetual franchise to cultivate shellfish in 640 described acres. The two deeds to defendant’s father purported to convey a two-fifteenths undivided interest in the Hancock grant, but defendant admitted in interrogatories that he could not establish that the property was ever partitioned or divided. Defendant contended that the Mann franchise application had resulted in a shellfish grant for the property, but he could not produce the document granting such franchise. Defendant also contended in his answer that in any event he had acquired the exclusive right to harvest oysters from the bottom by prescriptive use. He grounded this contention on the claim that he and his father possessed the land and had been harvesting oysters from the bottom under a claim of right continuously since 1917.

On 25 October 1984, Judge Watts dismissed the claim which relied on the 1786 land grant to Joseph Hancock because defendant had failed to answer certain interrogatories relating to the chain of title connecting him to the 1786 grant. On 3 May 1985, Judge Brown granted partial summary judgment in the State’s favor, dismissing defendant’s claims that he owned the land by adverse use or prescriptive use, the latter on the express ground that the exclusive right to harvest oysters from the State’s submerged lands could not be acquired by prescriptive use. On 5 May 1986, Judge Small granted final summary judgment in the State’s favor, ruling that, as a matter of law, (1) defendant admitted that he could not bring his chain of title forward from the 1889 Hayes franchise and (2) defendant could not prove that the State issued a perpetual franchise as a result of the 1891 Mann application. The trial court found that the deeds defendant claimed as links in his chain of title did not describe the tracts described in the Hayes franchise and the Mann franchise application. Finally, the court concluded that defendant had not shown and did not possess a connected chain of title either to the Hayes grant or to the Mann application, so that he could not rebut the presumption of title in the State under N.C.G.S. § 146-79. The State was declared the owner of the submerged lands. Defendant appealed.

Although defendant appealed from all the orders and judgments entered against him, he expressly abandoned all his assignments of error except those relating to his claim of prescriptive *525 use. The Court of Appeals unanimously held that the exclusive right to take oysters from lands under navigable waters in this State could not be acquired by prescriptive use. Defendant petitioned this Court for discretionary review under N.C.G.S. § 7A-31, which was allowed on 2 December 1987.

At common law the English sovereign owned the sea and the lands over which the tide ebbed and flowed, but this ownership was subject to restraints imposed by the rights of the people to use, for example, the waters for fishing and navigation and the riverbanks and seashores for towing and drying nets. The concept of the “public trust” doctrine evolved from the theory that presumed that the Crown held title to tidal lands and waters for the benefit of the public. Martin v. Waddell’s Lessee, 41 U.S. (16 Pet.) 367, 10 L.Ed. 997 (1842). See T. J. Schoenbaum, Public Rights and Coastal Zone Management, 51 N.C.L. Rev. 1 (1972). 1 When the Union was formed, the original thirteen states (including North Carolina) succeeded, in place of the English sovereign, to the ownership of the sea and lands with its concomitant restraints. Id.; see also Shively v. Bowlby, 152 U.S. 1, 38 L.Ed. 331 (1894); Phillips Petroleum Co. v. Mississippi, — U.S. —, 98 L.Ed. 2d 877 (1988). As new states were admitted to the Union they also became owners in trust in this fashion. Phillips Petroleum Co. v. Mississippi, — U.S. —, 98 L.Ed. 2d 877; Barney v. Keokuk, 94 U.S. 324, 24 L.Ed. 224 (1877).

In Illinois Cent. R.R. v. Illinois, 146 U.S. 387, 435, 36 L.Ed. 1018, 1036 (1892), the United States Supreme Court referred to the well-settled principle “that the ownership of and dominion and sovereignty over lands covered by tide waters” passed to the various states after the Revolution. In that case, the Supreme Court expanded the public trust doctrine to include not only waters sub *526 ject to the ebb and flow of the tides, but also those that were navigable in fact. Id. at 435-36, 36 L.Ed. at 1036. See Collins v. Benbury, 25 N.C. (3 Ired.) 277, 282 (1842) (“any waters, which are sufficient in fact to afford a common passage for all people in sea vessels, are to be taken as navigable.”). Under the public trust doctrine, each state could regulate or dispose of its tidal lands, provided that it could be done “without substantial impairment of the interest of the public in the waters.” Illinois Cent. R.R. v. Illinois, 146 U.S. at 435, 36 L.Ed. at 1036. In a now famous passage, the United States Supreme Court stated:

[Title to soil under navigable waters] is a title different in character from that which the State holds in lands intended for sale. It is different from the title which the United States hold in the public lands which are open to preemption and sale. It is a title held in trust for the people of the State that they may enjoy the navigation of the waters, carry on commerce over them, and have liberty of fishing therein freed from the obstruction or interference of private parties.

Id. at 452, 36 L.Ed. at 1042. See L. Butler & M. Livingston, Virginia Tidal and Coastal Law § 5.2, at 127 (1988).

This Court recognized the public trust doctrine in Land Co. v. Hotel, 132 N.C. 517, 44 S.E. 39 (1903).

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Bluebook (online)
369 S.E.2d 825, 322 N.C. 522, 1988 N.C. LEXIS 468, Counsel Stack Legal Research, https://law.counselstack.com/opinion/state-ex-rel-rohrer-v-credle-nc-1988.