Turner v. Clutts

565 So. 2d 92, 1990 WL 90472
CourtSupreme Court of Alabama
DecidedMay 4, 1990
Docket89-543
StatusPublished
Cited by16 cases

This text of 565 So. 2d 92 (Turner v. Clutts) is published on Counsel Stack Legal Research, covering Supreme Court of Alabama primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Turner v. Clutts, 565 So. 2d 92, 1990 WL 90472 (Ala. 1990).

Opinion

James Rowe Turner, Ronald G. Vaughn, Ann F. Vaughn, William J. Fiorentino, and Judith Fiorentino appeal from a judgment in favor of Wayne B. Clutts and Marlis B. Clutts declaring that the Cluttses' property is not subject to certain restrictive covenants. We reverse and remand.

The pertinent facts were stipulated: On May 12, 1979, J.T.S. Lands, Inc., sold by auction lots 1 through 13 of the Schrimsher Estates subdivision ("the subdivision"). Ben Porter purchased lots 6 and 8 (each consisting of 3.31 acres) for $8,250 and $7,700 respectively; J.D. McRae purchased lot 7 (consisting of 3.31 acres) for $7,700; James Turner purchased lot 10 (consisting of 33.40 acres) for $66,500; William Fiorentino purchased lot 11 (consisting of 32.15 acres) for $70,500; and Ronald Vaughn purchased lots 3 (consisting of 3.41 acres) and 12 (consisting of approximately 26 acres) for $19,000 and $47,300 respectively. Porter and McRae subsequently assigned their contract rights to lots 6, 7, and 8 to D.L. Putman. Prior to the auction, J.T.S. Lands, Inc., was told that lots 6, 7, and 8 had failed "percolation" tests and could not be used for residential purposes because they were unsuitable for the installation of septic tanks. The fact that the lots had failed the "percolation" tests was announced at the auction. In addition, copies of a plat depicting lots 6, 7, and 8 as part of the subdivision were made available to the attending public, as well as copies of restrictive covenants that were to apply to *Page 93 those lots. There was no announcement at the auction that lots 6, 7, and 8 were not to remain as part of the subdivision. Following the auction, the plat depicting lots 6, 7, and 8 as part of the subdivision was submitted to the City of Madison Planning Commission for its approval. The Commission refused to approve the plat unless lots 6, 7, and 8 were excluded from the subdivision. The lots were excluded, the Commission gave its approval, and on June 26, 1979, a plat was recorded in the probate court in Madison County depicting lots 6, 7, and 8 with hatches and the notation: "Cross-Hatched Area Not Part of Subdivision Except Easements." The numbers "6," "7," and "8," and the dimensions of the lots were, however, clearly visible on the plat. On July 3, 1979, J.T.S. Lands, Inc., recorded in the probate court a document entitled "Restrictive Covenants." That document, in part, reads as follows:

"PART A. WHEREAS, J.T.S. LANDS, INC., an Alabama corporation, is the owner of the property known as SCHRIMSHER ESTATES, as recorded in Plat Book 10, page 51, in the office of the Judge of Probate, Madison County, Alabama; and

"WHEREAS, it is desired by the owner of said Schrimsher Estates to fix and establish certain restrictions as to the use and enjoyment of all the lots thereby protecting all persons, firms or corporations that may hereafter become owners of said lots.

"NOW, THEREFORE, the said J.T.S. Lands, Inc., does by these presents establish and fix protective covenants and restrictions as to the future use of said lots, and does grant to the public and to the future owners of any lots, as part of their enjoyment of the said lots, the right to enforce such restrictions and rights as follows:

"PART B. AREA OF APPLICATION

"1. These restrictions shall apply to lots no. 1, 2, 3, 4, 5, 6, 7, 8 and 9.

"2. All lots shall be used for single family dwellings.

". . . .

"9. TERMS: These covenants are to run with the land and shall be binding on all parties and all persons claiming under them for a period of twenty-five (25) years from the date of these covenants' recording, after which time said covenants shall automatically be extended for successive periods of ten years unless an instrument signed by a majority of the then owners of the lots has been recorded agreeing to change said covenants in whole or in part."

On July 11, 1979, J.T.S. Lands, Inc., conveyed the lots that had been depicted on the plat as lots 6, 7, and 8 to D.L. Putman. The lots are identified in the deed by a metes and bounds description, but they can be identified in the recorded plat by reference to that description. Thereafter, the lots were conveyed to Land Dealers, Inc., which later conveyed them to the Cluttses.1

The present action for a declaratory judgment was filed by the Cluttses to determine whether their property was subject to the restrictive covenants.2 The trial court did not state its reasons for declaring the covenants inapplicable to the Cluttses' property.

The appellants contend that even though J.T.S. Lands, Inc., excluded the Cluttses' lots from the subdivision, it nonetheless intended to, and did, impose the same restrictions on those lots that it imposed on other lots in the subdivision, and that the *Page 94 covenants are confined to a lawful purpose within reasonable bounds. Therefore, the appellants argue, the judgment is erroneous and must be set aside.3 We agree.

It is well established that this Court will not presume error and will affirm a judgment appealed from if it is supported on any valid legal ground. Odom v. Blackburn, 559 So.2d 1080 (Ala. 1990). As previously noted, the judgment in this case was based on stipulated facts. When the trial court is not presented with conflicting oral testimony, the ore tenus rule is inapplicable and this Court will sit in judgment on the evidence, McCullochv. Roberts, 292 Ala. 451, 296 So.2d 163 (1974), as well as on the application of the law to that evidence. St. ClairIndustries, Inc. v. Harmon's Pipe Fitting Co., 282 Ala. 466,213 So.2d 201 (1968).

In Hines v. Heisler, 439 So.2d 4, 5-6 (Ala. 1983), this Court reiterated the general rule governing the construction of restrictive covenants:

"[I]n construing restrictive covenants, all doubts must be resolved against the restriction and in favor of free and unrestricted use of property. However, effect will be given to the manifest intent of the parties when that intent is clear and the restrictions are confined to a lawful purpose within reasonable bounds, and rights created by the covenant have not been relinquished or otherwise lost. Wisneiwski v. Starr, 393 So.2d 488 (Ala. 1980). Furthermore, restrictive covenants are to be construed according to the intent of the parties in the light of the terms of the restriction and surrounding circumstances known to the parties. Kennedy v. Henley, 293 Ala. 657, 309 So.2d 435 (1975). Assuming, arguendo, that the intent of the parties is unclear, subsequent acts of the parties showing the construction they put on the instrument are entitled to great weight in determining what the parties intended. Brashier v. Burkett, 350 So.2d 309 (Ala. 1977); Kennedy, supra."

In the present case, the restrictive covenants, which were recorded in the probate court subsequent to the recording of the plat of the Schrimscher Estates subdivision, clearly indicate that J.T.S. Lands, Inc., intended to protect the owners of lots in the subdivision by imposing the same restrictions on the Cluttses' lots that it imposed on lots in the subdivision.

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Cite This Page — Counsel Stack

Bluebook (online)
565 So. 2d 92, 1990 WL 90472, Counsel Stack Legal Research, https://law.counselstack.com/opinion/turner-v-clutts-ala-1990.