October 16 2013
DA 13-0026
IN THE SUPREME COURT OF THE STATE OF MONTANA
2013 MT 306
GAYLE P. PEDERSEN,
as Trustee of the Gayle P. Pedersen Trust,
Plaintiff and Appellee,
v.
DEAN ZIEHL and NANCY ZIEHL,
individually and as Trustees of Ziehl
Family Trust dated January 16, 2004,
Defendants and Appellants.
APPEAL FROM: District Court of the Eleventh Judicial District,
In and For the County of Flathead, Cause No. DV 09-312A
Honorable Heidi Ulbricht, Presiding Judge
COUNSEL OF RECORD:
For Appellants:
Donald V. Snavely; Snavely Law Firm; Missoula, Montana
Evonne Smith Wells, Tal M. Goldin; Wells & McKittrick, P.C.;
Missoula, Montana
For Appellee:
Randall A. Snyder; Snyder Law offices; Bigfork, Montana
Submitted on Briefs: August 21, 2013
Decided: October 16, 2013
Filed:
__________________________________________
Clerk
Justice Jim Rice delivered the Opinion of the Court.
¶1 Dean and Nancy Ziehl (the Ziehls) appeal from the Judgment of the Montana
Eleventh Judicial District Court determining that they do not own a prescriptive easement
over a portion of dock that extends onto Gayle Pedersen’s (Pedersen) property. The
District Court ordered that the intruding portion of dock be removed and costs be
awarded to Pedersen. We affirm and address the following issue, restated by this Court:
¶2 Did the District Court err by holding that the Ziehls failed to adversely use the
dock for the required statutory period in order to obtain a prescriptive easement?
FACTUAL AND PROCEDURAL BACKGROUND
¶3 This case involves a big dispute over a small piece of dock located on the Swan
River in Bigfork. To explain the dispositive facts about the conflict, it is necessary to
trace the ownership history of the properties involved. Prior to 2000, Fred and Judy
Bysshe (the Bysshes) owned the north half of Lot 4 and Lots 5, 6, and 7 of Block 1 of
Bigfork Original. Lots 4, 5, and 6 directly bordered the Swan River, and Lots 5 and 6
each had their own dock. At that time, Lot 7 did not touch the river and had no dock.
¶4 In July of 2000, the Bysshes decided to sell Lot 7 to Paul Nicodemus
(Nicodemus). The property was initially advertised as having river-front access even
though it did not. In an effort to accommodate the advertised listing, the Bysshes
commissioned a boundary adjustment survey to redraw the property lines. The survey
shifted the boundary between Lots 6 and 7 in order to give Lot 7 access to the river. In so
doing, the survey divided the dock that had previously fronted only Lot 6. After the
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survey, most of the dock was located on Lot 7, but the Bysshes had purposefully retained
a portion of the dock’s southwestern corner for Lot 6. The survey also renamed Lot 6
and Lot 7 as “Lot 6A” and “Lot 7A,” respectively. Nicodemus closed his purchase of Lot
7A and recorded the deed on September 8, 2000.
¶5 From the time of the survey until 2002, the Bysshes continued to own Lot 6A.
Judy Bysshe discussed the dock situation with Nicodemus and her realtor. The District
Court found that Judy Bysshe clearly told Nicodemus that the southwestern portion of the
dock belonged to Lot 6A, but was to be shared and used permissively as a neighborly
accommodation. And although the dock’s condition had deteriorated over the years,
Nicodemus would occasionally use it and park his boat there.
¶6 Pedersen began considering purchasing Lot 6A from the Bysshes in 2001.
Although she visited the property a number of times, Pedersen failed to observe anyone
using the dock. On October 15, 2002, Pedersen closed on Lot 6A, and immediately
began cleaning and clearing brush from the property. In 2003, Pedersen re-landscaped
the riverfront area, and in 2004, she constructed a residence and business on the property.
During this time, Pedersen did not use the dock, nor did she see Nicodemus using it.
¶7 In August of 2004, the Ziehls purchased Lot 7A from Nicodemus. The Ziehls
began using the dock in June of 2005 and then hired a contractor, Dan Day (Day), to
renovate it in 2006. Before beginning work, Day applied for a permit, which incorrectly
identified the Ziehls as the exclusive owners of the existing dock. At some point during
construction, Pedersen informed Day that he was trespassing on her property and
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demanded that he cease working. Day told the Ziehls about Pedersen’s objections, but
nothing was done to resolve the issue and construction continued.
¶8 The significantly improved new dock generally followed the footprint of the old
one, although its width was increased by at least one additional foot outward into the
river. By the time construction wrapped up in April of 2006, a 2.6 by 3.69 foot section of
the dock extended onto Pedersen’s property. Throughout 2006, 2007, 2008, and part of
2009, the Ziehls used the dock for recreational purposes and boat parking. Pedersen
occasionally used the dock when being picked up and dropped off by friends who boated
to her residence. Pedersen and the Ziehls never discussed whether the Bysshes’ original
grant of permission to Nicodemus had subsequently been revoked or amended.
¶9 On March 4, 2009, Pedersen filed a complaint in the District Court for the
Eleventh Judicial District, seeking to eject the Ziehls from her property, quiet title to the
portion of the dock located on Lot 6A, and obtain an order that the Ziehls permanently
remove that portion. The Ziehls answered and counterclaimed, arguing that they had
acquired a prescriptive easement allowing them to maintain and use the entire dock. On
January 18, 2011, the case was tried before the District Court, Hon. Stewart E. Stadler,
presiding, sitting without a jury. After receiving evidence and the arguments of both
parties, the District Court issued its Findings of Fact, Conclusions of Law, and Decree on
November 26, 2012. The District Court ruled in favor of Pedersen, determining that the
Ziehls did not hold a prescriptive easement and granting Pedersen’s requested order. The
Ziehls appeal.
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STANDARD OF REVIEW
¶10 We affirm the factual findings of a district court sitting without a jury unless those
findings are clearly erroneous. M. R. Civ. P. 52(a); Steiger v. Brown, 2007 MT 29, ¶ 16,
336 Mont. 29, 152 P.3d 705 (citation omitted). A district court’s findings are clearly
erroneous if they are not supported by substantial evidence, if the district court has
misapprehended the effect of the evidence, or if a review of the record leaves this Court
with the definite and firm conviction that a mistake has been committed. Steiger, ¶ 16
(citing Ray v. Nansel, 2002 MT 191, ¶ 19, 311 Mont. 135, 53 P.3d 870). We view the
evidence in the light most favorable to the prevailing party when determining whether
substantial credible evidence supports the district court’s findings. Steiger, ¶ 16 (citing
Ray, ¶ 19). We review a district court’s conclusions of law to determine whether those
conclusions are correct. Steiger, ¶ 16 (citing Ray, ¶ 20).
DISCUSSION
¶11 Did the District Court err by holding that the Ziehls failed to adversely use the
dock for the required statutory period in order to obtain a prescriptive easement?
¶12 The parties generally do not dispute the factual findings of the District Court.
Indeed, the Ziehls concede that any minor factual issues do not affect our analysis on
appeal. The parties instead focus their arguments almost exclusively on the legal
character of Nicodemus’ and the Ziehls’ use of the dock. More specifically, the entire
outcome of this case turns on whether Nicodemus’ use of the dock after the Bysshes sold
Lot 6A to Pedersen in 2002 was adverse or permissive.
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¶13 A prescriptive easement arises by operation of law when a claimant proves that his
or her use of another’s property was open, notorious, exclusive, adverse, continuous, and
uninterrupted for the statutory period. Heller v. Gremaux, 2002 MT 199, ¶ 12, 311 Mont.
178, 53 P.3d 1259 (emphasis added). Section 70-19-404, MCA, sets Montana’s
prescriptive period at five years. See also §§ 70-19-405, 23-2-322, MCA. If a claimant
establishes the elements of open, notorious, exclusive, continuous, and uninterrupted, “a
presumption arises that the use is adverse to the servient estate and the burden then shifts
to the owner to show the use was permissive.” Combs-Demaio Living Trust v. Kilby
Butte Colony, Inc., 2005 MT 71, ¶ 13, 326 Mont. 334, 109 P.3d 252. However, proof of
permissive use overcomes the presumption of adversity and causes a prescriptive
easement claim to fail. Heller, ¶ 15.
¶14 The Ziehls and Pedersen stipulated that use of the disputed portion of dock was
open, continuous, and uninterrupted throughout the entire period that Nicodemus and the
Ziehls owned Lot 7A. The other two elements necessary to raise the presumption of
adverse use—notorious and exclusive—were not squarely addressed by the District
Court. The Ziehls argue that both of these elements were also clearly satisfied and
therefore this Court must presume adversity. While the Ziehls offer a technically correct
theory, we need not here engage in a burden-shifting analysis. A demonstration of
permissive use overcomes any presumption of adversity and defeats a prescriptive
easement claim as a matter of law. On this point, the District Court concluded that
Nicodemus used the dock at all times during his ownership of Lot 7A with permission.
We agree.
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A. Permissive use
¶15 Under well-settled Montana law, use of another’s property based on neighborly
accommodation or courtesy does not give rise to a prescriptive easement because
adversity is lacking. Heller, ¶ 14; Rathbun v. Robson, 203 Mont. 319, 323, 661 P.2d 850,
852 (1983). Put another way, if permissive use is shown, “no easement can be acquired
since the theory of prescriptive easements is based on adverse use.” Keebler v. Harding,
247 Mont. 518, 521, 807 P.2d 1354, 1356 (1991); Tanner v. Dream Island, 275 Mont.
414, 424-25, 913 P.2d 641, 648 (1996). “If a use begins as a permissive use it is
presumed to continue as such.” Rettig v. Kallevig, 282 Mont. 189, 196, 936 P.2d 807,
811 (1997) (quoting White v. Kamps, 119 Mont. 102, 114, 171 P.2d 343, 349 (1946)). In
fact, “[i]f the use begins as a permissive use, it cannot ripen into a prescriptive right, no
matter how long it may continue, unless there is a distinct and positive assertion of a right
hostile to the owner.” Morrison v. Higbee, 204 Mont. 515, 520, 668 P.2d 1025, 1027
(1983).
¶16 In its Findings of Fact, the District Court found:
14. Judy Bysshe not only acknowledged the encroachment, she discussed it
with her realtor and with Paul Nicodemus. She clearly stated that her
retained portion of the dock (on Lot 6A) was the property of 6A and use
was to be shared and permissively used by each owner as a neighborly
accommodation.
16. Nicodemus occasionally parked his boat at the dock and used it during
his property ownership.
17. Gayle Pedersen began looking at Lot 6A in 2001. Lot 6A was then a
bare lot. [Pedersen] looked at the property a number of times, but never saw
any use along the dock before her purchase. She signed her purchase
agreement in 2001 and closed her purchase on October 15, 2002. . . .
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19. Although the dock was in deteriorated condition, the owners of Lot 7A
were able to use the dock at times during their ownership.
21. Defendants Ziehl purchased Lot 7A from Nicodemus in August 2004.
They used the existing dock in the summer of 2005 but did not undertake
reconstruction of the riverfront or dock area until 2006.
24. Ziehls completed their dock reconstruction in April 2006, and used the
dock in 2006, 2007, 2008 and minimally in 2009, for family recreation and
for docking his boat between June and September of a given year.
28. No notice was ever provided by any party that the initial permissive and
continuing use of the dock by the owners of Lot 6A and Lot 7A was altered
or revoked.
Based on these findings and our case law regarding the continuing nature of permissive
use, the District Court concluded that the Bysshes’ original grant of permission to
Nicodemus continued after Pedersen purchased Lot 6A from the Bysshes, and that
Nicodemus enjoyed this permission until he sold Lot 7A to the Ziehls in August of 2004.
The District Court was not convinced that the Bysshes’ initial permission terminated even
after Nicodemus sold Lot 7A, but determined that even if the Ziehls’ use became adverse
immediately upon acquiring Nicodemus’ property, “there is not five years of adverse use
between Defendant’s purchase of Lot 7A in August 2004 and M[arch] 2009, when
litigation was commenced.” Pedersen urges us to uphold the District Court’s decision for
these same reasons and further contends that the Ziehls’ use did not become adverse until
Pedersen ordered Day to leave her property when the dock was being renovated in
2006—only three years prior to the commencement of this action, well short of the five
year prescriptive period.
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¶17 The Ziehls maintain that even though the Bysshes originally granted Nicodemus
permission to use the dock in 2000, “Bysshe’s permission ended when she sold the
servient estate [Lot 6A] to Pedersen [in 2002].” The Ziehls go on to explain that after
acquiring the property, Pedersen never expressly authorized Nicodemus to use the dock.
Therefore, Pedersen merely “acquiesce[d]” to Nicodemus’ use, which is not the same
thing as permission. See Cremer v. Cremer Rodeo Land & Livestock Co., 192 Mont. 208,
211, 627 P.2d 1199, 1201 (1981). According to the Ziehls, Nicodemus’ use from 2002 to
2004 should have been included by the District Court when calculating the period of
adverse use—approximately seven years by the time litigation commenced in 2009. In
support of this argument, the Ziehls rely primarily on our decision in Han Farms, Inc. v.
Molitor, 2003 MT 153, 316 Mont. 249, 70 P.3d 1238 for the proposition that “[o]ne
owner’s grant of permission does not continue by default to the next owner”—that is, the
Bysshes’ grant of permission to Nicodemus did not continue when Pedersen purchased
Lot 6A. Pedersen, in turn, argues that Molitor is irreconcilable with our body of
permissive use law and should not control in this case.
¶18 In Molitor, Han Farms utilized a road that crossed Molitor’s property to access
Han Farms for residential and agricultural purposes. Molitor, ¶ 7. Certain tenants of Han
Farms began using the road more frequently than in the past, prompting Molitor to
withdraw permission. Molitor, ¶ 8. Han Farms brought suit claiming that it had acquired
a prescriptive easement over Molitor’s property. At trial, Molitor testified that her
predecessor in interest had given Han Farms’ predecessor in interest permission to use
the road. Molitor, ¶ 14.
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¶19 On appeal, we affirmed the district court’s decision to grant Han Farms a
prescriptive easement, explaining that although Molitor’s predecessors in interest may
have given Han Farms’ predecessors in interest permission to use the road, the record
contained no evidence that Molitor ever did, proving fatal to her defense. Molitor, ¶¶ 14-
16. As authority, we cited Rettig, 282 Mont. at 195, 936 P.2d at 811 for the blanket
proposition that “[p]ermissive use is not transferable.” Molitor, ¶ 14. However, as
Pedersen correctly points out, Rettig did not create or adopt a non-transferability of
permissive use rule. In fact, Rettig’s discussion of the rule should have precluded its
application in Molitor.
¶20 In Rettig, DeRudder gave his neighbor Englert permission to use a silage pit road
that crossed his property. Rettig, 282 Mont. at 191, 936 P.2d at 808. Some years later,
Englert decided to sell his property to the Rettigs. Before the sale went through,
DeRudder told Englert that any purchasers of Englert’s property could continue to use the
silage pit road, subject to his permission. Rettig, 282 Mont. at 191, 936 P.2d at 808. The
Rettigs purchased Englert’s property and used and improved the silage pit road for eleven
years without ever receiving express permission from DeRudder to do so. Rettig, 282
Mont. at 192, 936 P.2d at 809. DeRudder eventually sold his property to the Kallevigs,
who immediately informed the Rettigs that they could no longer use the road. The
Rettigs sued, claiming they had acquired a prescriptive easement. Rettig, 282 Mont. at
192, 936 P.2d at 809.
¶21 The district court rejected the Rettigs’ claim, and this Court affirmed. We
explained that the Rettigs did not acquire a prescriptive easement because permissive use,
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once granted, is presumed to continue as permissive. Rettig, 282 Mont. at 196, 936 P.2d
at 811. Indeed, “periodic, express grants of permission are not required to maintain the
permissive character of the use . . . .” Rettig, 282 Mont. at 196, 936 P.2d at 811. We
found it convincing that the Rettigs continued to use the road in the same manner as
Englert, and DeRudder did not object. Rettig, 282 Mont. at 196, 936 P.2d at 811. More
importantly, we specifically rejected the Rettigs’ non-transferability of permissive use
argument because that rule stands only for the proposition that “one who has received
permission . . . may not transfer a ‘limited personal right or license . . . to any other
person or persons.’” Rettig, 282 Mont. at 195-96, 936 P.2d at 811 (citing Luoma v.
Donohoe, 179 Mont. 359, 363, 588 P.2d 523, 525 (1978) in turn citing Cope v. Cope, 158
Mont. 388, 493 P.2d 336 (1971)). In other words, the rule provides that if you receive
permission to use your neighbor’s land, you cannot unilaterally extend that permission to
others.
¶22 It is clear that Molitor incorrectly applied the non-transferability of permissive use
rule. The issue in Molitor was not whether the dominant user could unilaterally transfer a
permissive right of use to another—which is the nature and scope of the rule—but, rather,
whether permission granted by the servient owner continued after the sale of the servient
property. Indeed, contrary to Molitor’s blanket “permission does not transfer” holding,
our other cases demonstrate that the approach of this Court is to examine the nature of the
arrangement between the parties at the outset of the use in determining the extent and
duration of permissive use. Keebler, 247 Mont. at 521-23, 807 P.2d at 1357-58
(concluding that historical uses and custom prior to Appellant’s acquisition of the
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property provided evidence that use had “always been permissive”); Morrison, 204 Mont.
at 520-21, 668 P.2d at 1027-28 (construing use by Defendant’s predecessors in interest as
“indicat[ing] friendly cooperation between neighbors.”); Rathbun, 203 Mont. at 322-23,
661 P.2d at 852 (determining that initial homesteader practices were “sufficient to
support a use permissive in its inception and not under a claim of right”); Cope, 158
Mont. at 390-94, 493 P.2d at 338-40 (finding strong support for permissive use based on
the actions of the families prior to Plaintiff’s acquisition of the property, and stating “the
courts look to a variety of acts [sic] and circumstances to determine whether the user in a
particular case was adverse or permissive . . . .”).
¶23 The Ziehls argue that our cases discussing the continuing nature of permissive use
are factually distinguishable from the case at bar because they “involve continuous
ownership of the servient estate by the same owner who initially gave permission, or . . .
direct evidence of subsequent permission to a new owner.” Certainly, neither of these
scenarios exists in this case—the Bysshes did not maintain continuous ownership of the
servient estate, and Pedersen never expressly granted Nicodemus permission to use the
dock. Based on this factual distinction, the Ziehls urge us reject the permissive use line
of precedent cited by Pedersen and instead apply the expansive rule stated in Molitor.
¶24 The facts in Molitor do appear very similar to the facts here, but, as we have
explained, Molitor was premised upon an irrelevant principle of law, one which our prior
cases neither recognized nor adopted in such a context. It makes little sense to follow a
rule that clearly does not apply, based solely on factual similarities, when the weight of
our existing law demands a contrary result. Thus, to the extent that Molitor determined
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that permission can never carry over from one owner to another after sale of the servient
property, it is overruled. “[S]tare decisis does not require that we follow a manifestly
wrong decision.” Formicove, Inc. v. Burlington Northern, Inc., 207 Mont. 189, 194-95,
673 P.2d 469, 472 (1983). A thorough reading of our permissive use cases makes clear
that this Court has always, with the exception of Molitor, considered the nature of the
initial agreement and the attendant circumstances surrounding any continuing use when
determining whether permission exists. This approach presents a more comprehensive
and sound method of analyzing permissive use questions than ignoring case-specific facts
and circumstances in favor of a rigid “permission never carries over” rule.
¶25 Resolving permissive use questions in this way does not result in “tacking” of
permissive use periods, as the Ziehls describe Pedersen’s position to be. We are not
holding that permission given by the servient owner automatically continues after sale of
the servient property. Such an approach could, by default, subordinate the intentions of
current property owners to the intentions of their predecessors in title and produce absurd
results in some cases. At the same time, it cannot be said that the weight of our law
supports the inverse proposition that the mere sale of property, without more,
automatically transforms permissive use into use that is adverse to the purchaser’s
ownership interest.
¶26 In its Findings of Fact, the District Court determined that Judy Bysshe expressly
granted Nicodemus permission to use the dock, which he occasionally did throughout his
ownership of Lot 7A. This finding is supported by substantial credible evidence in the
record. The Ziehls attempt to undermine this finding by citing testimony from Judy
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Bysshe about a conversation she had with Nicodemus wherein she stated: “[A]s far as
[she] was concerned as long as we [Bysshes] owned [a portion of the dock] he
[Nicodemus] was welcome to use it, and if somebody else owned it he’d have to work
out an arrangement to share the space.” The Ziehls argue that this statement expressly
limited Nicodemus’ permission to the Bysshes’ term of ownership. We do not agree.
The fact that Judy Bysshe mentioned that Nicodemus would have to work out an
arrangement with a new owner at some point in the future does not make the District
Court’s finding that permission existed at all times during Nicodemus’ use of the dock
clearly erroneous. Importantly, the District Court did not find, and the Ziehls do not
argue, that Nicodemus ever changed the character of his use or took active steps to claim
the entire dock as a matter of right. It is telling that Pedersen never even saw Nicodemus
use the dock in 2003 and 2004. Our decision in Morrison makes quite clear that in order
to transform a permissive use into an adverse one, there must be a “distinct and positive
assertion of a right hostile to the owner.” Morrison, 204 Mont. at 520, 668 P.2d at 1027
(emphasis added). As the District Court reasoned, “[t]here was no ‘overt act’ or event
which would notify Bysshes or Pedersen that either owner of Lot 7A claimed the use of
the full dock as their right.” Given these facts, we cannot conclude that the mere sale of
Lot 6A to Pedersen in 2002, without more, changed Nicodemus’ occasional use of the
dock, which had at all times previously been permissive, into an adverse and hostile
claim of right.
¶27 Since we have determined that Nicodemus used the dock with permission at all
times during his ownership of Lot 7A, there is no need to pinpoint the exact date when
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the Ziehls’ use became adverse. As the District Court correctly decided, even if the
Ziehls’ use became adverse immediately upon purchasing Lot 7A in August of 2004, the
statutorily imposed five-year adversity period had not yet elapsed by the time litigation
commenced in March of 2009.
¶28 Accordingly, the Judgment of the District Court is affirmed.
/S/ JIM RICE
We concur:
/S/ MIKE McGRATH
/S/ MICHAEL E WHEAT
/S/ LAURIE McKINNON
/S/ BRIAN MORRIS
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