In The
Court of Appeals
Ninth District of Texas at Beaumont
__________________
NO. 09-20-00263-CV
__________________
KENNETH A. BITGOOD, Appellant
V.
STEPHEN S. HARKNESS AND ANNA M. HARKNESS, Appellees
__________________________________________________________________
On Appeal from the 457th District Court
Montgomery County, Texas
Trial Cause No. 20-05-05682-CV
__________________________________________________________________
MEMORANDUM OPINION
This appeal pertains to a dispute over property restrictions. Kenneth A.
Bitgood (Bitgood or Appellant) owns a .382 acre tract and a .131 acre tract of land
located in the Elijah Collard Survey, Abstract 7, in Montgomery County, Texas.
Bitgood’s neighbors, Stephen S. Harkness and Anna M. Harkness (collectively
Harkness or Appellees) own a 1.5728 acre tract of land next to Bitgood. This dispute
arose when Harkness began to build a structure on the 1.5728 acres. Bitgood filed a
suit against Harkness to stop Harkness from building what Bitgood calls a “pole
1
barn” and what Harkness describes as a “workshop.” Bitgood alleged that Harkness
was violating certain deed restrictions. In the trial court, initially the trial court
granted a temporary injunction in favor of Bitgood, but thereafter the trial court held
another hearing and entered an Order Sustaining Defendants’ Amended Motion to
Dismiss for Lack of Subject Matter Jurisdiction, and therein dissolved the temporary
injunction and dismissed the Plaintiff’s First Amended Application for Temporary
Restraining Order, Temporary Injunction, Permanent Injunction, and Original
Petition without prejudice.
Bitgood appeals the trial court’s order (1) sustaining Appellees’ Amended
Motion to Dismiss for Lack of Subject Matter Jurisdiction; (2) dismissing without
prejudice Bitgood’s First Amended Application for Temporary Restraining Order,
Temporary Injunction, Permanent Injunction, and Original Petition; and
(3) dissolving the temporary injunction. See Tex. Civ. Prac. & Rem. Code Ann. §
51.014. We affirm the trial court’s order.
Factual Background and History
In 1972, Bill and Agnes D’Amico purchased a 5.935 acre tract of land
(hereinafter also called the Larger Tract) located in the Elijah Collard League
Survey, Abstract 7 in Montgomery County, Texas, as described in a deed filed for
record in Montgomery County, Texas. In 1975, the D’Amicos sold three parcels out
of the 5.935 acre Larger Tract, and they executed and filed for record a Declaration
2
of Covenants, Conditions Restrictions and Easements (the “1975 D’Amico
Restrictions”), which specifically made the restrictions therein applicable to the
three parcels as described on the attached Exhibits A, B, and C to the 1975 D’Amico
Restrictions. 1 Bitgood and Harkness do not dispute that the three parcels described
in the 1975 D’Amico Restrictions are not part of Bitgood’s or Appellees’ property.
Over the course of decades, the D’Amicos sold other parcels that were carved out of
the Larger Tract and the conveyances varied as to whether any restrictions were
placed on the parcels. Some of the conveyances were made subject to the 1975
D’Amico Restrictions and some were not. Some conveyances were not subject to
any restrictions, and some parcels were conveyed only with language stating they
were subject to restrictions “if any” and no reference was made to any specific
restrictions. Other parcels were conveyed with restrictions contained in the deed of
conveyance and those restrictions were not the same as the 1975 D’Amico
Restrictions.
In 2006, Bitgood purchased his .382 parcel from Billy Gray D’Amico, subject
to restrictions “if any,” but the parties do not dispute that when Bitgood purchased
1
According to the appellate record, there was no plat attached to, no
subdivision map filed with, and no specific subdivision described in the 1975
D’Amico Restrictions. Exhibit A attached thereto contained field notes describing a
.3995 acre tract out of the Larger Tract, Exhibit B attached thereto contained field
notes describing a .134 acre tract out of the Larger Tract, and Exhibit C attached
thereto contained field notes describing a 65.4 square foot parcel out of the Larger
Tract.
3
the tract, no recorded restrictions applied to the parcel. On March 5, 2007, Bitgood
and his wife then purchased the .131 acre parcel from the D’Amicos, and the deed
stated it was subject to restrictions “if any,” and the parties do not dispute there were
no recorded restrictions applicable to that parcel. Both parcels were carved out of
the 5.935 acre Larger Tract.
Melanie Faulkner purchased a 1.408 acre parcel from the D’Amicos in 2000
and a .1258 acre parcel from the D’Amicos in 2007, and both parcels were carved
out of the 5.935 acre Larger Tract and subject to recorded restrictions, “if any” (the
parties do not dispute that there were no recorded restrictions applicable to that
parcel).
On March 6, 2007, Melanie Faulkner sold her 1.5728 acres 2 to Eric D.
Hitchcock and at that time she attached several listed “restrictions” that appear to
have been taken from some undescribed parcels or other conveyances, and there are
marks and handwritten notations thereon. The restrictions attached to the Hitchcock
deed do not match the restrictions contained in the 1975 D’Amico Restrictions. In
pertinent part, in the deed of conveyance from Faulkner to Hitchcock, which
2
It is not clear from the appellate record what accounted for the discrepancy
between the total numerical acreage of the two lots referenced in the deeds from
D’Amico to Faulkner (.1258 + 1.408=1.54 rounding up) with the 1.5728 acres
described in the deed from Faulkner to Hitchcock.
4
occurred after Bitgood had already purchased his lots, the deed included the
following language:
(A) . . . . No building shall be erected, altered, placed or
permitted to remain on any tract other than one detached single family
dwelling not to exceed (3) stories in height, together with a private
garage or carport for not more than three (3) cars and servant’s type
quarters, which may be occupied by an integral part of the family
occupying the main residence of the building site, or by servants
employed on the premises; and (2) a tool shed or work shop []; attached
or unattached to the residence building.
(B) No improvements of any nature shall be erected, placed or
altered on any building plot on this tract until the plans, specifications
and plot plans showing the location of such improvements, have been
approved in writing as to conformity and harmony of external design
with existing structures on this tract and as to location with respect to
topography and finished ground elevation by the Architectural Control
Committee, originally consisting of Bill D’Amico and Agnes D’Amico,
that may be expanded to include up to three additional property owners,
when 3/4ths of the property is sold. . . .
(C) Except as may be authorized in writing by the
Architectural Control Committee, no portion of any building shall be
located nearer than the 25 foot building line [] that runs adjacent to and
follows the road easement for “Lake Conroe Drive” or nearer to said
lots sides and rear lines than 15 (fifteen) feet.
....
(F) . . . . All buildings shall be constructed with brick or stone or
a combination of the two covering at least sixty (60) percent of the
outside wall area. . . .
....
(H) No housing for garage, servant’s quarters, or other service
function of the dwelling establishment shall be erected or placed upon
5
any building site until construction of the dwelling proper has been
started and is actually underway. . . .
(U) The covenants, conditions, restrictions, and easements of this
declaration shall run with and bind the property and shall inure to the
benefit of and be enforceable by any property owner within the said
5.935 acre unless amended as provided herein, shall be effective for a
term of twenty years from the date this declaration is recorded. After
which time said covenants, conditions and restrictions shall be
automatically extended for successive periods of ten years, the
covenants, conditions, and restrictions of the declaration may be
amended by an instrument executed by a majority vote of the
Architectural Control Committee[.]
In 2017, Hitchcock sold the 1.5728 acre parcel, which is adjacent to Bitgood’s two
parcels, to the Appellees. The deed from Hitchcock states that it was made subject
to “[v]alidly existing easements, rights-of-way, and prescriptive rights, whether of
record or not; and all presently recorded and validly existing instruments, other than
conveyances of the surface fee estate, that affect the Property.”
Bitgood sued Appellees to enforce deed restrictions that Bitgood contends
was placed on Appellees’ parcel at the time Appellees purchased their parcel. The
restriction at issue was inserted into the Hitchcock deed after Bitgood purchased his
parcels and about forty years after the D’Amicos sold the parcels out of the Larger
Tract. Bitgood filed Plaintiff’s First Amended Application for Temporary
Restraining Order, Temporary Injunction, Permanent Injunction, and Original
Petition (the Petition), suing Appellees for injunctive relief, claiming they were
violating restrictive covenants conveyed in the Defendants’ July 21, 2017 Warranty
6
Deed on file in Montgomery County. The Petition alleges that the restrictive
covenants are detailed by the March 6, 2007 General Warranty Deed on file with
Montgomery County and are enforceable by the same deed by any property owners
within the Larger Tract. According to the Petition, the “pole barn” 3 Appellees are
constructing on their tract violates the restrictions on the property because the
structure (1) violates the restrictions because barns are expressly prohibited, and the
pole barn exceeds dimensions for buildings on Appellees’ property; (2) violates the
restrictions because Appellees failed to obtained approval from the Architectural
Control Committee for the new pole barn on Appellees’ property; (3) violates the
restrictions because the pole barn is being constructed within the required setbacks
and easements; (4) violates the restrictions because the pole barn will not be
constructed of brick or stone but of metal; and (5) violates the restrictions because
Appellees have not constructed their residential dwelling.
The trial court issued a temporary injunction on June 4, 2020. Appellees filed
their Third Amended Answer and subsequently their Defendants’ Amended Motion
to Dismiss for Lack of Subject Matter Jurisdiction and Dissolve the Temporary
Injunction (the Motion). In the Motion, Appellees alleged that Bitgood “lacks
standing to pursue his claim because the deed restrictions, whether or not valid or
3
Appellees dispute that they are building a “pole barn” and they contend they
are building a workshop.
7
enforceable, are not enforceable” by Bitgood against Appellees. Specifically,
Appellees argued that Bitgood lacks standing to sue Appellees because (1) there is
no privity of contract or title between Bitgood and Appellees; and (2) Bitgood is not
subject to the very covenants he claims are being violated by Appellees, which
negates mutuality of obligations between the parties because there is no common
plan or scheme in the development of the approximate Larger Tract that includes the
parcels acquired by Bitgood and Appellees, among others. Appellees attached as
exhibits to their Motion the deeds of conveyance for the parcels within the Larger
Tract. According to Appellees, Bitgood bases his standing on Section (U) of the deed
restrictions in Hitchcock’s deed, which Bitgood alleged would be applicable to
Appellees’ parcel, and Bitgood contends that Section (U) provides that any property
owner within the Larger Tract has standing to enforce those restrictions. According
to Appellees, the restrictions in the Hitchcock deed cannot give Bitgood standing
because there is no common plan or scheme in the development of the Larger Tract,
negating mutuality of obligation. Appellees contend that the restrictions in the
Hitchcock deed are personal covenants between Appellees and their predecessor in
title only.
Bitgood filed a response to the Motion. In his response, Bitgood argued that
he has standing because the plain language of the restrictions granted him the
authority to enforce the restrictions. He based this argument on Section (U) of the
8
restrictions in the Hitchcock deed. Bitgood also argued that the general scheme of
the Larger Tract provided benefit to all the owners in the Larger Tract, and therefore
the owners in the Larger Tract may enforce the restrictions on Appellees’ parcel.
After a hearing, the trial court granted the Motion to Dismiss and found that
Bitgood lacked standing, dismissed Bitgood’s claims without prejudice, and
dissolved the temporary injunction. Bitgood timely appealed.
Standard of Review
The determination of whether to dissolve a temporary injunction lies within
the sound discretion of the trial court, and we will not overrule its determination
absent an abuse of discretion. See Kassim v. Carlisle Interests, Inc., 308 S.W.3d 537,
540 (Tex. App.—Dallas 2010, no pet.); Universal Health Servs., Inc. v. Thompson,
24 S.W.3d 570, 580 (Tex. App.—Austin 2000, no pet.). A trial court abuses its
discretion when it acts in an unreasonable and arbitrary manner or when it acts
without reference to any guiding principles. Downer v. Aquamarine Operators, Inc.,
701 S.W.2d 238, 241-42 (Tex. 1985). When, as here, the interlocutory appeal is from
an order granting a motion to dissolve, and the initial order granting temporary
injunctive relief was not appealed, we do not consider the propriety of the trial
court’s decision granting the initial injunctive relief. See Tober v. Turner of Tex.,
Inc., 668 S.W.2d 831, 834 (Tex. App.—Austin 1984, no writ). Our review of the
trial court’s order of dissolution is limited to the narrow question of whether the trial
9
court’s action in dissolving the injunction constituted a clear abuse of discretion.
Desai v. Reliance Mach. Works, Inc., 813 S.W.2d 640, 641-42 (Tex. App.—Houston
[14th Dist.] 1991, no writ). “Whether a party has standing to maintain a suit is a
question of law, which we review de novo.” Hobbs v. Van Stavern, 249 S.W.3d 1, 3
(Tex. App.—Houston [1st Dist.] 2006, pet. denied) (citing Tex. Dep’t of Transp. v.
City of Sunset Valley, 146 S.W.3d 637, 646 (Tex. 2004)).
Issues on Appeal
In issue one, Bitgood argues that the trial court abused its discretion in
dissolving the temporary injunction because dissolution is only proper when the
movant establishes changed circumstances. According to Bitgood, there are no
changed circumstances, and none were alleged. In issue two, Bitgood argues he has
standing to bring claims against the Appellees (1) based on the express language in
the property restrictions for Appellees’ property; (2) as an intended third-party
beneficiary to those restrictions; or (3) due to the general scheme of development for
the Larger Tract, a tract that once included both Appellant’s and Appellees’
properties. In the alternative, Bitgood argues in issue three that the trial court erred
in dismissing Bitgood’s claims before allowing for additional discovery on
Bitgood’s standing.
10
Standing
In his first issue, Bitgood argues that the trial court abused its discretion in
dissolving the temporary injunction because dissolution was not proper because the
movant failed to establish changed circumstances. We disagree. While it is true that
a trial court generally has no duty to dissolve a temporary injunction, the trial court
should dissolve an injunction when fundamental error has occurred, or conditions
have changed. See Cellular Mktg., Inc. v. Houston Cellular Tel. Co., 784 S.W.2d
734, 735 (Tex. App.—Houston [14th Dist.] 1990, no writ). Fundamental error exists
when the record affirmatively shows that the court rendering the injunction lacked
jurisdiction of the subject matter. Mack Trucks, Inc. v. Tamez, 206 S.W.3d 572, 577
(Tex. 2006); Pirtle v. Gregory, 629 S.W.2d 919, 920 (Tex. 1982).
“Standing is a prerequisite to subject-matter jurisdiction, and subject-matter
jurisdiction is essential to a court’s power to decide a case.” Bland Indep. Sch. Dist.
v. Blue, 34 S.W.3d 547, 553-54 (Tex. 2000) (citation omitted). “In order for any
person to maintain a suit it is necessary that he have standing to litigate the matters
in issue.” Hunt v. Bass, 664 S.W.2d 323, 324 (Tex. 1984). “Standing consists of
some interest peculiar to the person individually and not as a member of the general
public.” Id.
A party seeking affirmative relief must allege facts in his or her pleading that
“affirmatively demonstrate the court’s jurisdiction to hear the cause.” Tex. Ass’n of
11
Bus. v. Tex. Air Control Bd., 852 S.W.2d 440, 446 (Tex. 1993); see also In re S.M.D.,
329 S.W.3d 8, 13 (Tex. App.—San Antonio 2010, pet. dism’d) (“The burden of
proof on the issue of standing is on the party asserting standing.”). And courts must
consider evidence relevant to jurisdiction, when doing so is necessary to resolve a
challenge to the trial court’s jurisdiction. Tex. Dep’t of Parks & Wildlife v. Miranda,
133 S.W.3d 217, 223 (Tex. 2004); Bland, 34 S.W.3d at 555.
Bitgood argues on appeal that Appellees should not be able to “use a
procedural backdoor in order to overturn an injunction” when Appellees failed to
object on the ground of standing at the time of the injunction hearing and then did
not timely appeal the temporary injunction order. Standing is an element of subject-
matter jurisdiction that may be raised by a party for the first time on appeal or may
be considered by the court sua sponte. Tex. Ass’n of Bus., 852 S.W.2d at 445-46;
Myer v. Cuevas, 119 S.W.3d 830, 833 (Tex. App.—San Antonio 2003, no pet.).
Standing cannot be waived or conferred by agreement. Tex. Ass’n of Bus., 852
S.W.2d at 445-46; Green Tree Servicing, LLC v. Woods, 388 S.W.3d 785, 790 (Tex.
App.—Houston [1st Dist.] 2012, no pet.); In re Smith, 262 S.W.3d 463, 466 (Tex.
App.—Beaumont 2008, orig. proceeding). In his Reply Brief, Bitgood asserts he is
not alleging that Appellees waived their standing argument, but he argues that “[t]he
alleged standing issue existed at the time the [temporary] Injunction was granted and
[Appellees] should have appealed at that time.”
12
In the record now before us, Appellees alleged that Bitgood lacked standing
in the trial court, and Appellees also filed a motion to dismiss with the trial court,
but even if Appellees had not, this Court is “obligated to review sua sponte issues
affecting jurisdiction.” See M.O. Dental Lab v. Rape, 139 S.W.3d 671, 673 (Tex.
2004). As we have previously discussed, a trial court has a duty to dissolve an
injunction where there is fundamental error, such as when the record affirmatively
shows that the trial court does not having subject matter jurisdiction due to lack of
standing. See Tamez, 206 S.W.3d at 577; Tex. Ass’n of Bus., 852 S.W.2d at 443-45;
Pirtle, 629 S.W.2d at 920; Cellular Mktg., Inc., 784 S.W.2d at 735.
Bitgood argues that he has standing to bring claims against the Appellees (1)
based on the express language in Appellees’ property restrictions; (2) as an intended
third-party beneficiary to those restrictions; and (3) due to the general scheme of
development for the Larger Tract, a tract that includes both Appellant’s and
Appellees’ parcels. When reviewing an order granting a motion to dissolve a
temporary injunction, and the initial order granting temporary injunctive relief was
not appealed, we do not consider the propriety of the trial court’s decision granting
the initial injunctive relief, and we are restricted to reviewing the pleadings and the
record from the hearing on the motion to dissolve the temporary injunction. See
Murphy v. McDaniel, 20 S.W.3d 873, 877 (Tex. App.—Dallas 2000, no pet.) (citing
Tober, 668 S.W.2d at 834-45).
13
In disputes over deed restrictions, a person has standing to enforce the
restrictions only upon a showing that the restrictions were intended to inure to his or
her benefit. Calvary Temple v. Taylor, 288 S.W.2d 868, 870 (Tex. App.—Galveston
1956, no writ); see also Wasson Interests, Ltd. v. Adams, 405 S.W.3d 971, 973-74
(Tex. App.—Tyler 2013, no pet.) (where city leased parcel of land to lessee and
conveyed second parcel across road from first parcel subject to restrictions,
restriction was for city’s benefit, and lessee of first parcel lacked standing to enforce
restriction against owner of second parcel); Ski Masters of Tex., LLC v. Heinemeyer,
269 S.W.3d 662, 668-69 (Tex. App.—San Antonio 2008, no pet.) (standing depends
on privity of contract or existence of a common plan or scheme applicable to
restricted property and property owned by party seeking enforcement).; McCart v.
Cain, 416 S.W.2d 463, 465 (Tex. App.—Ft. Worth 1967, writ ref’d n.r.e.) (party
claiming restriction must show that restriction exists and is for the benefit of his
land).
“[I]t is well settled that a restriction on a piece of property may not be enforced
by one who owns land not subject to the restriction, absent privity of contract or a
general plan or scheme of development applicable to the land that the plaintiff does
own.” Country Cmty. Timberlake Vill., L.P. v. HMW Special Util. Dist., 438 S.W.3d
661, 668 (Tex. App.—Houston [1st Dist.] 2014, pet. denied) (citing Wasson
Interests, 405 S.W.3d at 974 (restrictive covenant is not enforceable solely due to
14
common source of title but requires either privity of contract or a general plan or
scheme of development)).
“Ordinarily, only the contracting parties and those in direct privity with the
contracting parties have standing to enforce restrictive covenants.” Dealer Comput.
Servs., Inc. v. DCT Hollister Rd, LLC, 574 S.W.3d 610, 616 (Tex. App.—Houston
[14th Dist.] 2019, no pet.). Bitgood acknowledges he is not a party to the Hitchcock
deed in question, but he argues he has standing as an intended third-party beneficiary
of the restrictions. In making this argument, Bitgood solely relies on the language of
Section (U) in the Hitchcock deed. We explain below that the language in Section
(U) does not grant Bitgood standing and further reject his claim that he is an intended
third-party beneficiary.
Generally, when the party seeking to enforce a restrictive covenant is not a
party to the contract, each purchaser within a recorded subdivision may still have
standing to enforce such restrictions if the original owner of the parent tract
subdivided the property into lots and created a subdivision in which all the property
owners agree to the same or similar restrictive covenants designed to further the
owner’s general plan or scheme of development. See Ski Masters, 269 S.W.3d at
668.
[T]he general rule may be safely stated to be that where there is a
general plan or scheme adopted by the owner of a tract, for the
development and improvement of the property by which it is divided
into streets and lots, and which contemplates a restriction as to the uses
15
to which lots may be put, or the character and location of improvements
thereon, to be secured by a covenant embodying the restriction to be
inserted in the deeds to purchasers, and it appears from the language of
the deed itself, construed in the light of the surrounding circumstances,
that such covenants are intended for the benefit of all the lands, and that
each purchaser is to be subject thereto, and to have the benefit thereof,
and such covenants are inserted in all the deeds for lots sold in
pursuance of the plan, a purchaser and his assigns may enforce the
covenant against any other purchaser, and his assigns, if he has bought
with actual or constructive knowledge of the scheme, and the covenant
was part of the subject-matter of his purchase.
Hooper v. Lottman, 171 S.W. 270, 272 (Tex. App.—El Paso 1914, no writ); see also
Evans v. Pollock, 796 S.W.2d 465, 466 (Tex. 1990) (describing Hooper as “[t]he
leading Texas case” in this area).
Bitgood alleges the original owners (the D’Amicos) adopted a general scheme
of development for the Larger Tract, which once included both Appellant’s and
Appellees’ parcels. As explained above, when a grantor subdivides his land,
imposing covenants and restrictions that run with the land, and conveys it to various
grantees, each grantee may enforce those covenants if they were part of a general
plan or scheme of development for the entire parcel that was part of the inducement
for purchasers to obtain land within the restricted area. See Hooper, 171 S.W. at 272;
see also Ski Masters, 269 S.W.3d at 669. When a property owner seeks to enforce
such a restrictive covenant, standing depends on “(1) the existence of a general plan
or scheme of development (2) that was part of the inducement for purchasers to
obtain land within the restricted area[.]” Ski Masters, 269 S.W.3d at 669.
16
The most familiar cases in which courts of equity have upheld the right
of owners of land to enforce covenants to which they were not parties
are those in which it has appeared that a general building scheme or
plan for the development of a tract of land has been adopted, designed
to make it more attractive for residential purposes by reason of certain
restrictions to be imposed on each of the separate lots sold. This forms
an inducement to each purchaser to buy, and it may be assumed that he
pays an enhanced price for the property purchased. The agreement
therefore enters into and becomes a part of the consideration. The buyer
submits to a burden upon his own land because of the fact that a like
burden imposed on his neighbor’s lot will be beneficial to both lots. The
covenant or agreement between the original owner and each purchaser
is therefore mutual. The equity in this particular class of action is
dependent as much on the existence of the general scheme of
improvement or development as on the covenant, and restrictions which
contemplate a general building plan for the common benefit of
purchasers of lots are recognized and enforced by courts of equity at
the instance of the original grantor or subsequent purchasers.
Hooper, 171 S.W. at 272; see also Curlee v. Walker, 244 S.W. 497, 498 (Tex. 1922)
(“It was implied in each contract that every other contract should have these same
provisions of restrictions, as they were for the benefit of all and at once formed an
inducement to each purchaser.”).
A general plan or scheme of development “‘may be established in various
ways, such as by express covenant, by implication from a filed map, or by parol
representations made in sales brochures, maps, advertising, and oral statements on
which the purchaser relied in making his purchase.’” Country Cmty. Timberlake
Vill., L.P., 438 S.W.3d at 668 (quoting Lehmann v. Wallace, 510 S.W.2d 675, 680
(Tex. App.—San Antonio 1974, writ ref’d n.r.e.).
17
To establish the existence of a general plan or scheme of development, the
party seeking to enforce deed restrictions must establish that
[1] a common grantor [2] develop[ed] a tract of land [3] for sale in lots
and [4] pursue[d] a course of conduct which indicate[d] that he
intend[ed] to inaugurate a general scheme or plan of development [5]
for the benefit of himself and the purchasers of various lots, and [6] by
numerous conveyances [7] insert[ed] in the deeds substantially uniform
restrictions, conditions and covenants against the use of the property
. . . .
Evans, 796 S.W.2d at 466 (quoting Minner v. City of Lynchburg, 129 S.E.2d 673,
679 (Va. 1963)). When the developer’s actions satisfy all of these requirements,
“the grantees acquire by implication an equitable right, variously
referred to as an implied reciprocal negative easement or an equitable
servitude, to enforce similar restrictions against that part of the tract
retained by the grantor or subsequently sold without the restrictions to
a purchaser with actual or constructive notice of the restrictions and
covenants.”
Evans, 796 S.W.2d at 466 (quoting Minner, 129 S.E.2d at 679). “The most common
test of the existence of a general building or neighborhood scheme is an intent that
the protection of the restrictive covenant[s] inure to the benefit of the purchasers of
the lots in the tract.” Lehmann, 510 S.W.2d at 680. “Such an intent is said to arise
from representations as to the restrictions made for the purpose of inducing the
purchaser of the several lots to pay higher prices because of the restrictions.” Id.
Bitgood failed to meet his burden to establish the existence of a general plan
or scheme applicable to both his and Appellees’ tracts. The evidence does not show,
among other facts, that the D’Amicos developed the Larger Tract for sale in lots nor
18
does it establish that they inserted in the deeds substantially uniform restrictions,
conditions, and covenants against the use of the property. See Evans, 796 S.W.2d at
466. The pleadings and evidence established that the restrictions, conditions, and
covenants governing the parcels conveyed by the D’Amicos were not “substantially
uniform” and were, in fact, vastly different. 4
As the Supreme Court has explained, the imposition of restrictions on
only one piece of property or one portion of a larger parcel is evidence
of a general scheme covering only the restricted land. Examining the
law of numerous other states, the Court explained that only the land
specifically restricted is subject to restrictive covenants, and those
covenants benefit only the land so restricted. When a landowner
imposes different conditions on different portions of his land or
subdivides the land in stages, “for purposes of the implied reciprocal
negative easement doctrine, each separate recording create[s] a separate
and distinct subdivision with its own set of restrictions benefitting and
burdening only the land in that particular subdivision.”
4
Bitgood cites Hooper v. Lottman, 171 S.W. 270, 272 (Tex. App.—El Paso
1914, no writ), for the proposition that the lack of uniformity in the restrictions and
deeds for the Larger Tract does not conclusively establish the lack of a general
scheme. Hooper is distinguishable in that it involved deed restrictions imposed by
the original developer of the land and on an entire section of developed land. In the
present case, the restrictions at issue were never part of the 1975 D’Amico
Restrictions which specifically only applied to three small unrelated parcels, and
instead the restrictions were placed on Appellees’ 1.57 acres by a subsequent
purchaser. The evidence in the case at bar simply does not support the existence of
a general plan or scheme. In fact, the record includes a plat map of a 63.611 acre
tract owned by the D’Amicos that is near the 5.935 acre Larger Tract, but unlike the
5.935 acre Larger Tract, the plat map shows the D’Amicos subdivided the 63.611
acre parcel into what they described as the Tres Subdivision, they delineated lots and
roads in the subdivision, and they also imposed restrictions upon the entire
subdivision. Had the D’Amicos wanted to subject the entire 5.935 acre Larger Tract
to a similar general scheme of restrictions, they could have done so in a similar
fashion as they did for the Tres Subdivision.
19
Country Cmty. Timberlake Vill., L.P., 438 S.W.3d at 670 (quoting Evans, 796
S.W.2d at 472) (citations omitted).
Not only has Bitgood failed to show the existence of a general plan or scheme
of development, but he has also failed to show that the alleged general plan or
scheme of development with the alleged restrictions he seeks to enforce induced him
to purchase his parcels out of the Larger Tract. See Ski Masters, 269 S.W.3d at 669.
The trial court was presented with evidence that D’Amico initially sold the two
parcels to Bitgood, as well as the parcels that would ultimately be purchased by
Harkness, without any such restrictions. Bitgood purchased his parcels prior to any
restrictions being imposed within the Hitchcock deed. Bitgood could not have been
induced to purchase his parcels by the existence of such restrictions or an alleged
general plan or scheme because none existed at that time Bitgood purchased his
parcels from D’Amico. The trial court correctly concluded that Appellees’ tract was
not part of a general plan or scheme of development that would bring it within the
exception to the general rule that requires privity of contract. See Ski Masters, 269
S.W.3d at 669; Hooper, 171 S.W. at 272.
Bitgood also argues he has standing based on the express language of the
restriction in paragraph (U) in the Hitchcock deed that states that “[t]he covenants,
conditions, restrictions, and easements of this declaration shall run with and bind the
property and shall inure to the benefit of and be enforceable by any property owner
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within the [Larger Tract.]” The Supreme Court of Texas in Baker v. Henderson, 153
S.W.2d 465 (Tex. 1941), explained that similar express language does not establish
standing where there is no privity of contract between the party trying to enforce the
restriction and the owner of the restricted property. In this case, there is an absence
of a general plan or scheme, and the party trying to enforce the restriction did not
purchase their property in reliance on the restriction or the restriction was not part
of the consideration paid for their property. See id. at 468-70. Bitgood lacks privity
of contract and he lacks standing and cannot rely upon the language in the Hitchcock
deed restrictions.
We conclude that Bitgood has not met his burden to show that he has standing
to enforce the restrictive covenants in question. Bitgood has not shown that he was
a party to the covenant, has not established that he is in privity of estate with the
contracting parties, and has not established that there was a general plan or scheme
of development, or that he relied upon the restrictions in question as an inducement
to the purchase of his parcels. See Country Cmty. Timberlake Vill., L.P., 438 S.W.3d
at 668. The trial court correctly concluded that the temporary injunction was entered
in error because Bitgood lacked standing to enforce the alleged restriction. Based on
the record before us, we cannot conclude that the trial court abused its discretion in
granting the motion to dissolve the temporary injunction. Issues one and two are
overruled.
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Continuance
In his third and last issue, Bitgood argues that the trial court erred in
dismissing Bitgood’s claims before allowing for additional discovery on Bitgood’s
standing. In his response to the Motion, Bitgood stated that “prior to granting
Defendants’ Motion, should the Court be so inclined, Plaintiff requests the Court to
continue the hearing and allow Plaintiff to conduct discovery related to subject
matter jurisdiction.”
A decision on a motion for continuance lies within the sound discretion of the
trial court, and an appellate court will not disturb a trial court’s denial of a motion
for continuance unless the record reveals a clear abuse of discretion. BMC Software
Belg., N.V. v. Marchand, 83 S.W.3d 789, 800 (Tex. 2002). Bitgood had the burden
to plead, and when challenged, to prove facts that affirmatively showed his standing
to bring the suit. See Tex. Ass’n of Bus., 852 S.W.2d at 446; In re S.M.D., 329 S.W.3d
at 13. Because the pleadings and evidence before the trial court affirmatively
established that Bitgood lacked standing to bring the suit, we cannot say the trial
court’s denial of Bitgood’s motion for continuance was a clear abuse of discretion.
Issue three is overruled.
Having overruled all Appellant’s issues, we affirm the trial court’s order.
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AFFIRMED.
_________________________
LEANNE JOHNSON
Justice
Submitted on February 16, 2021
Opinion Delivered June 10, 2021
Before Golemon, C.J., Horton and Johnson, JJ.
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