Zamiarski v. Kozial

18 A.D.2d 297, 239 N.Y.S.2d 221, 1963 N.Y. App. Div. LEXIS 3939
CourtAppellate Division of the Supreme Court of the State of New York
DecidedApril 12, 1963
StatusPublished
Cited by7 cases

This text of 18 A.D.2d 297 (Zamiarski v. Kozial) is published on Counsel Stack Legal Research, covering Appellate Division of the Supreme Court of the State of New York primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Zamiarski v. Kozial, 18 A.D.2d 297, 239 N.Y.S.2d 221, 1963 N.Y. App. Div. LEXIS 3939 (N.Y. Ct. App. 1963).

Opinion

Halpern, J.

The plaintiffs appeal from an order of Special summary judgment dismissing so much of the complaint as sought to enforce a restrictive covenant by injunction.

The plaintiffs and the defendants owned adjoining lots in the town of New York Mills. Both lots were originally part of a tract of land owned by James C. Greenman and his wife. Upon a subdivision map filed by Greenman, the plaintiffs’ lot was designated as Lot No. 1 in Block 2. The defendants’ lot adjoining the plaintiffs’ lot on the south was designated as Lot No. 2 in Block -2. Both lots abutted on New York Mills Road. The plaintiffs’ lot was a corner lot, lying at the intersection of Greenman Avenue and New York Mills Road.

Greenman conveyed Lot No. 1 to one Denslow in 1891 and, in that conveyance, he imposed the following setback restriction: “No building shall ever be erected on said lot within 10 feet of the lines of the streets on which same is situated or within 10 [298]*298feet of the northerly or southerly or westerly lines of said lot ”. There was also a restrictive covenant forbidding the sale of intoxicating liquors, beer or ale or the use of any building on the premises for gambling or disorderly purposes. These restrictions were contained in all subsequent deeds of Lot No. 1, including the deed under which the plaintiffs took title in 1919.

Lot No. 2, the lot which is now owned by the defendants, together with Lot No. 3 directly to the south of it, was conveyed in 1911 by the trustees under Greenmail’s will to one Hardeastle Barnes and his wife. There was no setback restriction in the deed. The only restrictive covenant related to the sale of intoxicating liquors and the use of the premises for gambling or disorderly purposes.

In 1928, Barnes conveyed Lots No. 2 and No. 3 to one Stanley Lewek and his wife. In that deed there was inserted the following additional restrictive covenant which is the basis of the present action: “ Said parties of the second part further covenant and agree that neither they nor their assigns shall or will erect or permit on any portion of said premises any building whatsoever within 10 feet of the northerly line of said premises ”. Through mesne conveyances, these lots came into the ownership of the defendants in 1951. According to the affidavit of one of the plaintiffs, the restriction was imposed in the 1928 deed from Barnes to Lewek for the plaintiffs’ specific benefit: “ When Mr. and Mrs. Barnes were preparing to sell two lots to the south of the deponents, they informed your deponent that they would protect your deponents’ interest in his lot, No, 1 in Block 2, by a 10-foot set back restriction from deponents’ southerly lot lines. They informed your deponent that they knew of his 10-foot set back restriction and felt that deponent should be equally protected ’ ’.

The later conveyances of Lot No. 2, including the conveyance to the defendants, did not repeat the setback restriction contained in the deed from Barnes to the Leweks. However, the defendants were chargeable with constructive notice of the restriction by the recording of the Barnes deed. The restrictive covenant appeared in the defendants’ chain of title and the defendants took subject to it (Cambridge Val. Bank v. Delano, 48 N. Y. 326). The plaintiffs also claim in the affidavit submitted by them in opposition to the defendants’ motion for summary judgment that the existence of the restriction was affirmatively brought to the attention of the defendants, before the defendants erected the residence on their premises.

After acquiring title, the defendants erected a residence which was “merely a matter of inches away from” their northerly [299]*299line, which was the southerly line of the plaintiffs’ premises, cutting off light and air from the plaintiffs’ premises.

This action was brought to enforce the restrictive covenant and to compel the defendants to remove the portion of their building which was within 10 feet of the southerly line of the plaintiffs ’ premises. Special Term dismissed the complaint upon the defendants’ motion for summary judgment on the ground that the plaintiffs had no right to enforce the restrictive covenant.

The court below seems to have felt that the plaintiffs ’ affidavits had not established clearly enough that Barnes had intended that the restriction should be for the plaintiffs’ benefit. We believe that Barnes’ intention clearly appeared from the affidavits but, even if there was doubt about it, this presented at most a question of fact and the granting of summary judgment for the defendants could not be justified on that ground. (Booth v. Knipe, 225 N. Y. 390.)

The court below also seems to have been of the opinion that even if Barnes had intended that the covenant should be for the benefit of the plaintiffs, the plaintiffs had no right to enforce it because of the peculiar rules of property law governing the right to enforce restrictive covenants. The plaintiffs had not acquired their title from Barnes. There was no privity of estate between them. Barnes apparently imposed the restriction upon the defendants’ land simply as an act of friendship, so that the plaintiffs would have the same protection with respect to the side line setback restriction as Barnes had enjoyed, and his grantees would enjoy, by virtue of the restriction which had been originally imposed on plaintiffs’ land.

The question is thus sharply presented in this case whether an owner of neighboring land, for whose benefit a restrictive covenant is imposed by a grantor, may enforce the covenant as a third-party beneficiary despite the absence of any privity of estate between the grantor and the neighbor.

The answer to this question in New York State is clearly “ yes ”. The New York courts are now committed to the view that the third-party beneficiary is entitled to enforce the restrictive covenant in a situation of this kind (Chesebro v. Moers, 233 N. Y. 75, 80; Vogeler v. Alwyn Improvement Corp., 247 N. Y. 131, 135-137; Bristol v. Woodward, 251 N. Y. 275, 284; Neponsit P. O. Assn. v. Emigrant Ind. Sav. Bank, 278 N. Y. 248, 261; Hungerford v. Ocean Gardens, 283 App. Div. 797, 798, affd. 308 N. Y. 765; Blakeslee v. Kane, 220 App. Div. 806; cf. Gilbert v. Peteler, 38 N. Y. 165; Equitable Life Assur. Soc. v. Brennan, 148 N. Y. 661, 671-672; see, also, 13 N. Y. Jur., Covenants and [300]*300Restrictions, § 113; 4 Warren’s Weed, New York Real Property, Restrictive Covenants, § 16.07).

The New York view is in accord with that adopted by the American Law Institute (5 Restatement, Property, § 541, and Illustration No. 1; see, also, Introductory Note, pp. 3243-3245). (See, generally, Clark, Covenants and Interests Running with Land [2d ed.], pp. 171-174; Reno, The Enforcement of Equitable Servitudes in Land ”, 28 Va. L. Rev. 951, 1067, 1082-1083; Ann. 21 A. L. R. 1281; Ann. 60 A. L. R. 1223; 14 Am. Jur., Covenants, Conditions and Restrictions, § 311; 21 C. J. S., Covenants, § 80; 26 C. J. S., Deeds, § 167 (1), p. 1136 et seq.; 3 Tiffany, Real Property [3d ed.], § 866; 7 Thompson, Real Property, § 3655 [Supp. to Perm, ed.], text accompanying n. 33A; 5 Powell, Real Property, par. 681, p. 203.)

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Bluebook (online)
18 A.D.2d 297, 239 N.Y.S.2d 221, 1963 N.Y. App. Div. LEXIS 3939, Counsel Stack Legal Research, https://law.counselstack.com/opinion/zamiarski-v-kozial-nyappdiv-1963.