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Stephen M.Hague and Jessica Hague Donald May and Kara May John Barnett and Nancy Barnett and Jordon Rollins and Julie Rollins v. Bay Lan

Court: Court of Chancery of Delaware
Date filed: 2022-07-07
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Combined Opinion
   IN THE COURT OF CHANCERY OF THE STATE OF DELAWARE

STEPHEN M. HAUGE and JESSICA         )
HAGUE; DONALD MAY and KARA           )
MAY; JOHN BARNETT and NANCY          )
BARNETT; and JORDON ROLLINS and      )
JULIE ROLLINS,                       )
                                     )
          Plaintiffs,                )
                                     )
     v.                              )    C.A. No. 2020-0361-PWG
                                     )
BAY LANDING POA, INC., a Delaware    )
corporation,                         )
                                     )
          Defendant.                 )

                          MASTER’S REPORT

                 Date Submitted:     March 25, 2022
                 Final Report:       July 7, 2022

Dean A. Campbell, Esq., LAW OFFICE OF DEAN A. CAMPBELL, P.A., Milton,
Delaware, Attorney for Plaintiffs

Aaron E. Moore, Esq., Jessica L. Tyler, Esq., MARSHALL DENNEHY WARNER
COLEMAN & GOGGIN, Wilmington, Delaware, Attorneys for Defendant




GRIFFIN, M.
       Pending before me is an action by four homeowners within a community

against the homeowners association, claiming, in part, that their properties are not

subject to the community’s deed restrictions because those restrictions were not

properly recorded, and the homeowners did not have notice of them, when they

purchased their properties. The homeowners seek partial summary judgment on

those claims. The association moves for summary judgment in their favor on all

matters, including the homeowners’ claims that actions by the association’s board

of directors were void and a receiver should be appointed for the association. I

recommend that the Court grant summary judgment in the association’s favor with

regard to the enforceability of the deed restrictions against the properties of three of

the four homeowners, finding those homeowners had constructive notice of the deed

restrictions at the time they purchased their properties.         With regard to the

enforceability of the deed restrictions against the fourth homeowner, I recommend

that summary judgment be denied because material issues of fact remain in dispute

whether that homeowner had actual or constructive notice of the restrictions at the

time they purchased their property. Further, I recommend that the Court deny

summary judgment on the other claims since I find it desirable to inquire more

thoroughly into the facts to clarify the application of the law to the circumstances.

This is a final report.
                                   I.   Background

         Bay Landing (“Community”) is located outside of Milton, Sussex County,

Delaware.1 The Community was developed by non-party Reynolds Road LLC

(“Developer”).2 On April 29, 2010, the Developer recorded the “Bay Landing

Subdivision 41 Single Family Lot Subdivision Final Subdivision Plans” (“Plan”)

that laid out the Bay Landing community.3 The Plan states, “All proposed road

shown [sic] are private streets and to be maintained by the developer until such time

as a homeowners association can provide for said maintenance.”4 On March 20,

2012, the Plan was revised and re-recorded.5 The Plan includes the lots at issue in

this case as part of the Community.6

         On February 8, 2013, the Developer conveyed Lot 30 within the Community

by deed (“Hague Deed”) to Plaintiffs Stephen Hague and Jessica Hague



1
    Docket Item (“D.I.”) 9, ¶ 1.
2
    See, e.g., D.I. 13, Ex. C.
3
 The Plan is found at the Sussex County Recorder of Deeds (“ROD”), Plot Book 145, Page
19. The Court may take judicial notice of records in the Recorder of Deeds. See
generally, Sunrise Ventures, LLC v. Rehoboth Canal Ventures, LLC, 2010 WL 363845, at
*10 n. 58 (Del. Ch. Jan. 27, 2010) (taking judicial notice that a loan and mortgage had been
satisfied through a Mortgage Satisfaction Piece filed with the Recorder of Deeds of Sussex
County, Delaware), aff’d, 7 A.3d 485 (Del. 2010) (TABLE).
4
 D.I. 13, Ex. C. Several other recitations in the Plan anticipate the establishment of a
homeowners association. Id.
5
 See ROD, Plot Book 169, Page 71. The references to a homeowners association in the
Plan remained the same. Id.
6
    See ROD, Plot Book 145, Page 19; ROD, Plot Book 169, Page 71.
                                             2
(collectively, “Hagues”).7       On October 30, 2013, the Developer executed and

recorded a Declaration of Covenants, Conditions, and Restrictions (“Declaration”)

for the Community, which established Defendant Bay Landing Property Owners

Association, Inc. (“POA”) as the homeowners association for the Community.8 The

Declaration states, in pertinent part:

          [T]he Developer is the fee simple owner of certain real property located
          in Broadkill Hundred, Sussex County, Delaware as set forth in Exhibit
          “A” attached hereto and made a part hereof and further shown on a
          Final Site Plan for Bay Landing recorded in the Office of the Recorder
          of Deeds in and for Sussex County at Plot Book 145, Page 19 [the Plan],
          (hereinafter referred to as the ‘Property’) and desires to develop therein
          a residential community.… the Developer desires to … subject the
          Property to the covenants, restrictions … as hereinafter set forth.

          …the Developer hereby declares that the following restrictions shall
          run with, burden and bind the Property and the developer hereby
          declares the Property, as described in Exhibit “A,” is and shall be held,
          transferred, sold, conveyed, occupied and used subject to the
          restrictions hereinafter set forth …9

The Declaration recorded in 2013 omitted “Exhibit A.”

          The Developer conveyed Lot 31 in the Community by deed (“May Deed”) to

Plaintiffs Donald May and Kara Hafler (collectively, “Mays”) on January 15, 2014.10

The Developer conveyed Lot 36 by deed (“Rollins Deed”) to Plaintiffs Jordon



7
    D.I. 1, Ex A.
8
    D.I. 31, Ex. A.
9
    Id.
10
     D.I. 1, Ex. B.
                                              3
Rollins and Julie Rollins (collectively, “Rollins”) on May 5, 2014.11 The Developer

conveyed Lot 28 by deed (“Barnetts Deed”) to Plaintiffs John Barnett and Nancy

Barnett (collectively, “Barnetts”) on July 10, 2014.12 Plaintiffs acknowledge that,

based on the Plan’s references to their lots, they knew, at the time they purchased

their properties, that “a homeowners’ association was to be created at some future

date and they would be members” of that homeowners’ association.13

           On September 24, 2015, the Developer re-recorded the Declaration to add the

omitted Exhibit A.14 The re-recorded Declaration notes: “[t]his Declaration is being

re-recorded to attach the Exhibit ‘A’.”15 Exhibit A includes “[a]ll those certain Lots

(including specifically Lots #1 through 41) .... as being the “Bay Landing




11
     D.I. 11, Ex. D.
12
  D.I. 1, Ex. D. I refer to the Barnetts collectively with the Hagues, Mays, and Rollins as
“Plaintiffs.”
13
   D.I. 1, ¶ 20. See also id., ¶ 22 (“Because [Plan] places Plaintiffs on notice that a
homeowners association was to be created, Plaintiffs have acknowledged their membership
in the POA but refuse to subject their respective lots to deed restrictions of which they had
no knowledge prior to purchasing their lots.”); D.I. 11, at 2 (“Th[e Plaintiffs] recognize
that they use the common elements, i.e. the roads, and have agreed to contribute their fair
share to the maintenance.”); id., at 5 (“(1) Th[e Plaintiffs] knew they were buying real
property in a subdivision. Besides stating the obvious, the subdivision plot plan, to which
each deed references, identifies there is to be a homeowners’ association but gives no
further details ... (2) The Plaintiffs do not object to paying reasonable assessments to off-
set the maintenance of the common elements, i.e. the roads.”).
14
     D.I. 31, Ex. B.
15
     Id.
                                             4
Subdivision” as depicted on the [Plan] ... recorded in the Office of the Recorder of

Deeds in and for Sussex County at Plot Book 145, Page 19, et seq.”16

           In mid-2017, the Community’s residents formed a transition team, which

contacted the Developer about beginning the transition to establish a homeowner-

elected board of directors.17 The Developer responded that it did not wish to

participate in such a process.18 In February of 2018, the transition team shared

information with all Community homeowners concerning the different versions of

the Declaration received by homeowners.19 The Developers’ principals resigned as

directors of the POA on January 31, 2019,20 and homeowners became members of

the POA’s Board of Directors (“Board”) shortly thereafter.21

           On May 12, 2020, Plaintiffs filed the Complaint Concerning Deed

Restrictions Pursuant to 10 Del. C. § 348 (“Complaint”), asserting that the

Declaration recorded in 2013 was invalid or revoked and that Plaintiffs’ properties

are not subject to the deed restrictions contained in it.22 They seek injunctive and

declaratory relief to prevent the enforcement of the Declaration’s deed restrictions


16
     Id.
17
     D.I. 47, Ex. A, ¶ 7.
18
     Id.
19
     Id., Ex. A, ¶ 8; D.I. 41, Ex. D.
20
     D.I. 47, Ex. A, ¶ 4.
21
     Id., Ex. A, ¶ 5.
22
     D.I. 1.
                                          5
against them.23 Alternatively, the Complaint requests that, because the Board has

been acting through three members and the bylaws require four members, the Court

declare all of the Board’s acts invalid and enjoin the Board to fill a vacancy on the

Board and appoint a custodian, receiver pendente lite, or special master to manage

the POA until the Board is properly constituted.24 Plaintiffs also seek attorneys’

fees.25

          The parties engaged in mandatory mediation under 10 Del. C. § 348(c), which

was unsuccessful.26 The POA filed its answer on August 7, 2020.27 Plaintiffs filed

their Motion for Partial Judgment on the Pleadings on March 10, 2021.28 That

motion was fully briefed.29 In briefing that motion, the POA relied upon documents

outside the scope of the pleadings.30 At a September 7, 2021 status conference, I

converted that motion into a Motion for Partial Summary Judgment, held it in

abeyance pending discovery in the interest of judicial economy, and allowed the




23
     Id., ¶¶ 24-30.
24
     Id., ¶¶ 31-41; id., at 9.
25
     Id., ¶¶ 42-43.
26
     D.I. 4; D.I. 5; D.I. 10.
27
     D.I. 9.
28
     D.I. 11.
29
     Id.; D.I. 13; D.I. 18.
30
     See D.I. 13.
                                           6
POA to file a dispositive motion.31 On December 3, 2021, the POA filed its Motion

for Summary Judgment.32 On December 6, 2021, Plaintiffs renewed their Motion

for Partial Summary Judgment.33 Those motions are fully briefed.34

                                 II.    Standard of Review

         Under Court of Chancery Rule 56, the Court may grant a motion for summary

judgment when “the moving party demonstrates the absence of issues of material

fact and that it is entitled to a judgment as a matter of law.”35 The moving party

bears the burden of demonstrating that no material issues of fact are in dispute and

that it is entitled to judgment as a matter of law.36 Evidence must be viewed “in the

light most favorable to the non-moving party.”37 Summary judgment may not be

granted when material issues of fact exist or if the Court determines that it “seems




31
     D.I. 21.
32
     D.I. 22.
33
     D.I. 24.
34
     D.I. 25; D.I. 27; D.I. 29; D.I. 40; D.I. 41; D.I. 46; D.I. 47.
35
  Wagamon v. Dolan, 2012 WL 1388847, at *2 (Del. Ch. Apr. 20, 2012); see also
Cincinnati Bell Cellular Sys. Co. v. Ameritech Mobile Phone Serv. of Cincinnati, Inc., 1996
WL 506906, at *2 (Del. Ch. Sept. 3, 1996), aff’d 692 A.2d 411 (Del. 1997) (TABLE).
36
 Wagamon, 2012 WL 1388847, at *2; Ludeen v. Pricewaterhousecoopers, LLC, 2006
WL 2559855, at *5 (Del. Super. Aug. 31, 2006).
37
 Williams v. Geier, 671 A.2d 1368, 1375-76 (Del. 1996) (citing Bershad v. Curtiss-Wright
Corp., 535 A.2d 8401, 844 (Del. 1987)).
                                                  7
desirable to inquire more thoroughly into the facts in order to clarify the application

of law to the circumstances.”38

         When the Court is presented with cross-motions for summary judgment, the

Court may “deem the motions to be the equivalent of a stipulation for decision,”39

but “[t]he existence of cross-motions … does [not] change the standard for summary

judgment.”40        In evaluating cross-motions for summary judgment, the court

examines each motion independently and only grants a motion for summary

judgment to one of the parties when there is no disputed issue of material fact and

that party is entitled to judgment as a matter of law.41

                                    III.   Analysis

A. Parties’ Contentions

         Plaintiffs seek partial summary judgment for a declaratory judgment that the

Declaration is not enforceable against their properties, and to enjoin the POA from

asserting its rights over their properties, trespassing or imposing liens on their




38
  In re Est. of Turner, 2004 WL 74473, at *4 (Del. Ch. Jan. 9, 2004) (quoting Holladay v.
Patten, 1995 WL 54437, at *3 (Del. Ch. Jan. 4, 1993)) (internal quotation marks omittd);
see also Ebersole v. Lowengrub, 180 A.2d 467, 470 (Del. 1962).
39
     Ct. Ch. R. 56(h).
40
     Bernstein v. Tact Manager, Inc., 953 A.2d 1003, 1007 (Del. Ch. 2007).
41
  See Empire of Am. Relocation Servs., Inc. v. Commercial Credit Co., 551 A.2d 433, 435
(Del. 1988); Wimbledon Fund LP v. SV Special Situations LP, 2011 WL 378827, at *7
(Del. Ch. Feb. 4, 2011).
                                             8
properties.42 They contend the Declaration was not properly recorded in 2013, and

they did not have actual or constructive notice of the Declaration at the time they

purchased their properties.43 The POA seeks summary judgment in its favor on all

matters, arguing that Plaintiffs are bound by the Declaration because the Hagues had

actual notice of the Declaration and the other Plaintiffs had, at least, constructive

notice.44 It further argues that Plaintiffs have not met their burden for obtaining

injunctive relief and Plaintiffs’ corporate law claims are dismissible as derivative

claims.45 Finally, it alleges that neither the appointment of a receiver, nor fee-

shifting, is appropriate.46

B. Is the Declaration Enforceable Against Plaintiffs?

          First, I consider whether the deed restrictions in the Declaration can be

enforced against Plaintiffs. Under Delaware law, a servitude may be established

“‘by explicit written language of the intent of the grantor and the grantee to create a

restrictive covenant in the deed ... or another recorded document.’”47 To establish


42
     D.I. 24; D.I. 1, at 9.
43
     D.I. 27, at 12-17.
44
     D.I. 29, at 30-40.
45
     Id., at 43.
46
     Id., at 44-46.
47
  New Castle County v. Pike Creek Recreational Servs., LLC, 82 A.3d 731, 757 (Del. Ch.
2013) (citing Leon N. Weiner & Assocs., Inc. v. Krapf, 623 A.2d 1085, 1088 (Del. 1993))
(ellipses in original), aff’d, 105 A.3d 990 (Del. 2014); see also Capano v. Draper
Subdivision Ass’n, Inc., 2019 WL 3938704, at *11 (Del. Ch. Aug. 20, 2019).
                                          9
an explicit servitude, “a plaintiff must show the restriction touches and concerns the

land, the original covenanting parties intended to establish the restriction, and that

the purchasing party was on actual or constructive notice of the restriction.”48 It is

undisputed that the Declaration touches and concerns the land because it would

impose a burden (limit homeowners’ ability to change their properties) and create a

benefit (allowing for common development) on the land.49

         Next, I consider whether the original covenanting parties intended to establish

the deed restrictions in the Declaration. “[R]estrictive covenants are recognized and

enforced where the parties’ intent is clear and the restrictions are reasonable.”50 The

Declaration states repeatedly that the property within the Plan is intended to be

subject to the deed restrictions contained in the Declaration.51 If Plaintiffs had actual

or constructive notice of the Declaration when they purchased their properties, then

the evidence shows that they intended for the deed restrictions in the Declaration to

bind their properties.




48
  New Castle County, 82 A.3d at 757 (citing Van Amberg v. Bd. of Governors of Sea Strand
Ass’n, 1988 WL 36127, at *6 (Del. Ch. Apr. 13, 1988)).
49
     See Van Amberg, 1988 WL 36127, at *7 n. 16 (cleaned up).
50
  New Castle County, 82 A.3d at 745. Since Plaintiffs make no allegations about specific
deed restrictions, I make no ruling on the reasonableness of specific deed restrictions in the
Declaration.
51
     See D.I. 31, Ex. A; id., Ex. B.
                                             10
         Restrictive covenants “may be enforced against a purchaser only if he or she

had notice, either actual or constructive, of their existence.”52 “Actual notice is an

awareness of the alleged restriction by the purchaser at the time of purchase.”53

“[B]uyers with knowledge or the means of gaining knowledge of covenants

restricting use of the land they propose to purchase cannot effectively object to the

enforcement of such covenants if they are reasonable, realistic, and are fairly

administered.”54 “Constructive notice is normally established by properly recording

the instrument that contains the alleged restriction.”55            “[C]onstructive notice

suggests there is a properly recorded deed or other instrument that includes details

of the restriction and which is readily available via a routine title search.”56 Under

established Delaware law, a purchaser in a development is “required to take notice

of all recorded deeds [and instruments] from [the developer] conveying portions of




52
  New Castle County, 82 A.3d at 746 (quoting Mendenhall Vill. Single Homes Ass’n v.
Harrington, 1993 WL 257377, at *2 (Del. Ch. June 16, 1993)) (internal quotation marks
omitted).
53
  The Greylag 4 Maintenance Corp. v. Lynch-James, 2004 WL 2694905, at *5 (Del. Ch.
Oct. 6, 2004) (citation omitted).
54
  New Castle County, 82 A.3d at 746 (quoting Alliegro v. Home Owners of Edgewood
Hills, Inc., 122 A.2d 910, 912 (Del. Ch. 1956)) (internal quotation marks omitted).
55
   Greylag 4 Maintenance Corp., 2004 WL 2694905, at *5 (internal quotation marks and
citation omitted); see also Van Amberg v. Board of Governors of Sea Strand Ass’n, 1988
WL 36127, at *7 (Del. Ch. Apr. 13, 1988) (“A purchaser is bound with constructive notice
of all recorded instruments and the recitals therein lying within his chain of title.”).
56
     New Castle County, 82 A.3d at 746 n. 112 (citation omitted).
                                             11
th[e development].”57 “Notice of a deed is notice of whatever matters one would

have learned by any inquiry which the recitals of the instrument made it one’s duty

to pursue.”58

          “[A]s a general rule, the party advocating for the land use restriction bears the

burden of demonstrating the restriction is valid and enforceable.”59 However, in this

matter, Plaintiffs have asked the Court to declare that their properties are not subject

to the Declaration and to enjoin enforcement of the deed restrictions.60 And,

Plaintiffs have pled that they intend to prove (1) that “there were no valid deed

restrictions of record” when they purchased their properties,61 and (2) that they

lacked “actual knowledge of the contents of the Declaration.”62 “While there is a

split of authority as to who should bear the burden of persuasion,”63 “in determining

the allocation of the burden of proof in suits for declaratory judgment, ‘the better



57
  Cashvan v. Darling, 107 A.2d 896, 901 (Del. Ch. 1954); see also Van Amberg, 1988 WL
36127, at *7.
58
     Cashvan, 107 A.2d at 901 (cleaned up).
59
   New Castle County, 82 A.3d at 746; see also Leon N. Weiner & Assocs., Inc. v. Krapf,
623 A.2d 1085, 1088 (Del. 1993) (“[T]he burden of establishing the existence of and the
right to benefit from a restrictive covenant is placed upon the person who asserts its
protection.”).
60
     D.I. 1, at 9-10.
61
     Id., ¶ 9.
62
     Id., ¶ 20
63
  Certain Underwriters at Lloyd’s London v. Nat’l Installment Ins. Servs., Inc., 2007 WL
4554453, at *6 (Del. Ch. Dec. 21, 2007), aff’d, 962 A.2d 916 (Del. 2008) (TABLE).
                                              12
view is that a plaintiff in a declaratory judgment action should always have the

burden of going forward.’”64 Thus, in this posture, Plaintiffs bear the burden of

showing that their properties are not subject to the Declaration, and also in proving

their entitlement to injunctive relief.65

           1. Did the Mays, Rollins, and Barnetts Have Constructive Notice of the
              Declaration?

           The POA contends that the Mays, Rollins, and Barnetts had, at least,

constructive notice of the Declaration when they purchased their properties.66

Plaintiffs respond that the Declaration was not properly recorded and was

insufficient to put a purchaser on constructive notice.67 They claim the Declaration

failed to identify the real property to which it was to attach, either by land description

or tax parcel number, and the Developer acknowledged its flaws by re-recording the

Declaration, with the omitted Exhibit A, in 2015.68 Plaintiffs further argue that the

Declaration was not referenced in Plaintiffs’ deeds, so it is not in their chains of title,

and its entry in the grantor-grantee index in the Recorder of Deeds (“ROD”) does




64
   Hexion Specialty Chems., Inc. v. Huntsman Corp., 965 A.2d 715, 739 (Del. Ch. 2008)
(citations omitted).
65
  See Civic Ass’n of Surrey Park v. Riegel, 2022 WL 1597452, at *8 (Del. Ch. May 19,
2022).
66
     D.I. 29, at 37-40.
67
     D.I. 27, at 14-16.
68
     Id.
                                            13
not create record notice.69 The POA disputes Plaintiffs’ claims, arguing that the

Declaration was in the Mays’, Rollins’, and Barnetts’ chains of title, properly

recorded at the time they purchased their properties, and a searchable document that

was reasonably found.70

         In determining whether the Mays, Rollins, and Barnetts had constructive

notice of the Declaration when they purchased their properties, I consider whether

the Declaration would have appeared in a reasonably diligent search of their chains

of title at the time they purchased their properties. The POA shows that it would

have – title searchers found the Declaration in their search related to the title

insurance policies for Rollins issued on May 7, 2014 and for Barnetts on July 14,

2014.71 Therefore, the Declaration was a searchable document that was reasonably

found. And, although the title insurance documents related to the May Deed were

not provided as evidence, I find it is reasonable to conclude that the Declaration

would have also been revealed at the time that the May Deed was executed, since it

was recorded prior to that time and was found in the later searches for the Rollins



69
     D.I. 41, at 19-21; D.I. 46, at 9-13.
70
     D.I. 29, at 37-40; D.I. 31, Ex. D; D.I. 40, at 33-37.
71
   D.I. 30, Exs. J-1, J-3. Plaintiffs argue that because the title insurance documents
nominally post-date the relevant parties’ deeds, they cannot be relied upon by the Court to
establish constructive notice. D.I. 41, at 21-22. I disagree. The information contained
within the title insurance documents revealed what a contemporaneous, reasonable title
search would have provided. D.I. 30, Exs. J-1, J-3; D.I. 29, at 9-10.
                                                14
Deed and the Barnett Deed. Therefore, because the Declaration was discoverable in

a routine title search, the Declaration binds the properties of the Mays, Rollins, and

Barnetts, because they had record notice at the time they purchased their properties.72

          Plaintiffs argue that the Declaration is outside their chain of title for a variety

of reasons, including that the Declaration’s inclusion in the grantor/grantee index is

not part of the chain of title, which is limited to linking deeds to prior deeds.73 The

POA responds that if deed restrictions can be found through a title search “tracing

back owners of the subject property, link by link, grantors to grantees,” then the

restrictions are properly recorded and establish constructive notice.74

          “[ROD] records give notice of what [a] reasonably diligent search would

discover.”75 The search looks for a properly recorded deed or other instrument in

[ROD] records that “is readily accessible via a routine title search.”76 “That is one

of the purposes for a search of the Grantor Indices in a title search and it is not

unreasonable ... to impose on [a purchaser] the duty to have examined the

conveyance from [a grantor to another purchaser] to see if it affected his title.”77


72
     See Cashvan v. Darling, 107 A.2d 896, 901 (Del. Ch. 1954).
73
     D.I. 41, at 9.
74
     D.I. 29, at 38-39.
75
     Burke v. C. William Huber Co., Inc., 1981 WL 377667, at *2 (Del. Super. July 23, 1981).
76
  New Castle County v. Pike Creek Recreational Servs., LLC, 82 A.3d 731, 746 n. 112
(Del. Ch. 2013), aff’d, 105 A.3d 990 (Del. 2014).
77
     Pusey v. Clayton, 1986 WL 2636, at *2 (Del. Ch. Feb. 20, 1986).
                                              15
         Here, it is undisputed that the Declaration can be found in the ROD’s grantor-

grantee index.78         Plaintiffs argue that the possibility of discovering a prior

conveyance through the grantor-grantee index is insufficient to constitute notice

within a chain of title unless that prior conveyance is noted in a deed’s “beings

clause.”79 None of the deeds at issue refer to the Declaration specifically, although

the May Deed and the Barnett Deed state that the property is subject to “all

restrictions … of record in the Office of the Recorder of Deeds in and for Sussex

County, Delaware.”80 The Rollins Deed does not include that language.81 I find,

Plaintiffs’ position unpersuasive. This Court has held that an easement discoverable

through a search of the grantor-grantee index was binding on a subsequent

purchaser, even though that easement was not referenced in the subsequent

purchaser’s deed.82 The language in the May Deed and the Barnett Deed put them

on notice that they needed to check for previously recorded restrictions.83 Although

the Rollins Deed does not reference previous restrictions, the Declaration was



78
  D.I. 31, Ex. D; D.I. 41, at 19-20 (Plaintiffs’ acknowledgement that the Declaration is in
the grantor-grantee index); id., at 21-22.
79
     D.I. 41, 19-21.
80
     D.I. 1, Ex. B; id., Ex D.
81
     D.I. 11, Ex. D.
82
   See Pusey, 1986 WL 2636, at *2; see also Mendenhall Village Single Homes Association
v. Harrington, 1993 WL 257377, at *3 (Del. Ch. June 16, 1993).
83
     D.I. 1, Ex. B; id., Ex D.
                                            16
revealed during the title search that was performed prior to the execution of their

deed.84

         Plaintiffs also argue that the Declaration was not properly recorded, citing to

the dictionary definition of “properly” as “in an accurate or correct way.”85 They

contend that the re-recording of the Declaration in 2015 shows that the Declaration

was not properly recorded in 2013.86 And, they rely upon the affidavit of John F.

Brady, Esq., former Sussex County Recorder of Deeds, to support the proposition

that if “deed restrictions [are] recorded without a mete[s] and bound description or

with an incorrect tax identification number, that document is not properly


84
    In their reply brief, Plaintiffs cite Heron Bay Property Owners Ass’n, Inc. v.
CooterSunrise, LLC (“Heron Bay”), 2013 WL 3871432, at *9 (Del. Ch. June 27, 2013),
for the proposition that deed restrictions must be referenced in a deed for a party to have
constructive notice of those restrictions. D.I. 46, at 9. In Heron Bay, the deed restrictions
at issue were properly recorded and referenced in the party’s deed. Id. However, the case
cited in Heron Bay for that proposition – Mendenhall Village Single Homes Ass’n v.
Harrington, 1993 WL 257377, at *2 (Del. Ch. June 16, 1993) – found that this was a
“general rule,” but that restrictions found within a chain of title but not mentioned in the
defendants’ deed can be binding upon a subsequent purchaser through constructive notice.
Id., at *3. In addition, the evidence shows that the Rollins signed the Seller’s Disclosure
of Real Property Condition Report on their property, in which the box had been checked
“yes” in answer to the question “Is the property subject to any deed restrictions?” D.I. 29,
at 20; D.I. 30, Ex. I-1. They also signed a PUD rider agreeing to perform all borrower’s
obligations under the Declaration. D.I. 29, at 20; D.I. 30, Ex. J.
85
     See D.I. 27, at 15.
86
   Id. Plaintiffs avers that the ROD had revoked the Declaration recorded in 2013. D.I. 1,
¶ 12; see also D.I. 11, at 3. I find no bases in fact or law for this contention. I take judicial
notice of the fact that the Declaration recorded in 2013 is still accessible in ROD records.
See Sussex County Recorder of Deeds, https://deeds.sussexcountyde.gov/LandmarkWeb.
And, I find no support for the proposition that the ROD may unilaterally revoke a recorded
instrument.
                                               17
recorded.”87 I decline to adopt this proposition, and refer to statutes related to the

recording of deeds, which focus on the timeliness of the recording.88 Additionally,

other references to being “properly recorded” focus on being recorded and indexed

with the ROD so that the deed or instrument may be given effect under Delaware’s

pure race recording statute.89 Based on these considerations, the Declaration was

properly recorded in 2013 and bound subsequent conveyances of property subject to

the Declaration through constructive notice.

          Plaintiffs finally argue that the Declaration recorded in 2013 was insufficient

to bind their properties because it failed to identify the subject property, provided an

incorrect tax map parcel number, and omitted Exhibit A, the description of the

affected property.90 However, the Declaration defines “Property” as “set forth in

Exhibit ‘A’ attached hereto and made a part hereof and further shown on a Final

Site Plan for Bay Landing recorded in the Office of the Recorder of Deeds in and



87
     D.I. 25, Ex. F, ¶ 8.
88
   25 Del. C. §§ 153-154, 156. Notably, 25 Del. C. § 156 states, “Any and all deeds and
letters of attorney which have been recorded on the day of the sealing and delivery thereof
shall be deemed to have been properly recorded.” If this is the appropriate test for being
“properly recorded,” then the Declaration meets that test. The Declaration was executed
and acknowledged on October 30, 2013; it was recorded that same day. See D.I. 13, Ex. A.
89
   See 25 Del. C. § 153; see also Hitchens v. Ellingsworth, 94 A. 903, 904 (Del. Super.
1915) (“The recording of a deed is not essential to its validity as between the parties and is
important chiefly to maintain its priority and force against subsequent conveyances and
incumbrances.”).
90
     D.I. 27, at 15.
                                             18
for Sussex County at Plot Book 145, Page 19.”91 And, Article III of the Declaration

describes the property subject to the Declaration as “all that property located in

Broadkill Hundred, Sussex County, Delaware as shown on the Record Plot, and as

described in Exhibit ‘A’.”92 “Record Plot” is defined as “the plot of record in [the

ROD] recorded in Plot Book 145, at Page 19 …”93 Despite the failure to attach

Exhibit A in 2013, the Declaration clearly references the Plan to show what property

is subject to the Declaration and the Plan identifies Plaintiffs’ properties as part of

the Community.94 Therefore, the Declaration recorded in 2013 sufficiently identifies

the Plaintiffs’ properties as subject to the deed restrictions in the Declaration. With

regard to Plaintiffs’ allegation that the Declaration contained an incorrect tax map

parcel number, the POA explains that the tax map parcel number in the Declaration

was identical to the number in the Plan that covered all lots within the Community




91
     D.I. 13, Ex. A (emphasis added).
92
     Id., Ex. A, art. III (emphasis added).
93
     Id., Ex. A, art. I.
94
   See D.I. 1, ¶ 20; compare D.I. 13, Ex. C (the Plan) with D.I. 1, Ex. A. (Hague Deed
identifying the property as “Lot 30, Bay Landing, as shown on the [Plan]”) and D.I. 1, Ex.
B (May Deed identifying the property as “Lot 31 Bay Landing, as shown on the [Plan]”)
and D.I. 11, Ex. D (Rollins Deed identifying the property as “Lot 36 Bay Landing, as
shown on the [Plan]”) and D.I. 1, Ex. D (Barnett Deed identifying the property as “Lot 28
Bay Landing, as shown on the [Plan]”).
                                              19
(this is corroborated by the reference to “lots 1-41” next to the tax map parcel number

in the Declaration).95

         Accordingly, I find the evidence shows that the Declaration is binding on the

Mays’, Rollins’, and Barnetts’ properties, and recommend that the Court grant

summary judgment in the POA’s favor and dismiss Counts I and II of the Complaint,

seeking declaratory and injunctive relief, related to the Mays, Rollins, and Barnetts.

         2. Is the Declaration Enforceable Against the Hagues?

         The Hagues present a different factual situation than that of the Mays, Rollins,

or Barnetts. They took their property through the Hague Deed before the Declaration

was executed or recorded in 2013.96 Restrictive covenants may be binding against

a purchaser only if they have actual or constructive notice.97 The issues are (1)

whether the original covenanting parties intended that the Declaration bind the



95
   D.I. 40, at 29. Plaintiffs correctly point out that the Declaration does not identify their
properties by individual tax parcel number. See D.I. 41, at 7. Similarly, the Plan does not
contain the tax map parcel number for Plaintiffs’ properties. See D.I. 31, Ex. C. Plaintiffs
contend that the absence of Plaintiffs’ tax map parcel numbers is fatal to the Declaration’s
effect. See D.I. 27, at 15; id., Ex. F. However, a tax map parcel identification number is
but one way to identify property in a recorded instrument. See Wells Fargo Bank, N.A. v.
Richardson, 2013 WL 4257967, at *5 (Del. Ch. Aug. 13, 2013); Point Mgmt., LLC v.
MacLaren, LLC, 2012 WL 2522074, at *16 (Del. Ch. June 29, 2012); In re Skrzec, 2010
WL 2696257, at *5 (Del. Ch. June 30, 2010). The Declaration references the Plan, which
identifies Plaintiffs’ properties, and Plaintiffs were on constructive notice of the
Declaration.
96
  Compare D.I. 1, Ex. A (dated and acknowledged on February 8, 2013) with D.I. 31, Ex.
A (dated and acknowledged on October 30, 2013; recorded on October 30, 2013).
97
     See supra notes 52-58 and accompanying text.
                                             20
Hagues’ property and (2) whether the Hagues had actual or constructive notice of

the Declaration.

          Plaintiffs assert that because the Hague Deed pre-dates the recording of the

Declaration in 2013, the Hagues had no actual or constructive notice of the

Declaration, and it does not bind their property.98 Plaintiffs contend that a planned

unit development rider (“PUD rider”) to the Hagues’ mortgage is insufficient to

constitute notice.99 The POA alleges that the Hagues are estopped from arguing the

Declaration does not apply to them because they “acquiesced with acknowledgment

of the Declaration when they signed multiple PUD Riders, which required them to

acknowledge and comply with the 1/1/2012 Declaration they had received prior to

the purchase of their property, and later, with the 2015 Declaration, at their 2018 and

2021 refinances,” and accepted a benefit from the acknowledgement.100 Further, the

POA argues that the Hagues acknowledged that, before signing a contract, they

“were advised that the developer would be developing building restrictions for the

community.”101


98
     D.I. 27, at 16-18.
99
  D.I. 41, at 16-18; D.I. 46, at 13-16. The PUD rider was signed by the Hagues and states
that the Hagues’ property is part of a planned unit development known as Bay Landing”
and that they agree to perform all of borrower’s obligations under the “PUD’s Constituent
Documents,” which include the “Declaration.” D.I. 30, Ex. I.
100
      D.I. 29, at 35; D.I. 40, at 15-17.
101
  D.I. 47, at 3 (quoting D.I. 41, Ex. A, ¶ 5). In addition, the POA points to a February 19,
2018 email from Jessica Hague quoting an unexecuted version of the Declaration dated
                                            21
          I find that there are material factual issues that preclude summary judgment

with respect to whether the Declaration is binding on the Hagues’ property.102 The

main issue is whether the Hagues actually knew about the deed restrictions in the

Declaration at the time they purchased their property. The Hagues both maintain

that they never received a written copy or explanation of the restrictions prior to their

purchase of their property.103 However, Stephen Hague avers that, in 2012, he was

aware that the Developer would develop deed restrictions.104 Plaintiffs knew they

“were buying real property in a subdivision and believed that they would eventually

be members of a homeowners’ association.”105 The Hagues, in a PUD rider to their

mortgage agreement executed at the time of purchase, covenanted that they would




January 1, 2012, which contained “essentially the same deed restrictions as in the 2013
Declaration,” to show that the Hagues had affirmed and acknowledged the Declaration’s
deed restrictions. D.I. 40, at 15; D.I. 31, Ex. E.
102
   There are questions regarding the Declaration, including the effect of the unsigned
version of the Declaration dated January 1, 2012, and the discrepancies between when the
Declaration states that it was executed (January 1, 2013) and when it was signed and
acknowledged (October 30, 2013). See D.I. 30, Ex. F; D.I. 41, Ex. D; D.I. 31, Ex. A. When
the Declaration became effective may impact the identity of the original covenanting
parties.
103
   D.I. 41, Ex. A, ¶ 5; id., Ex. B, ¶ 3. The POA asserts that the Hagues knew of the deed
restrictions when they made the purchase contingent upon the Developer approving a larger
size shed, because “[t]he only plausible reason for this was that the Hagues were aware of
size restrictions for sheds.” D.I. 29, at 11. Plaintiffs respond, in part, that the Declaration
does not contain a prohibition of shed size. D.I. 41, at 10. This remains a disputed factual
issue.
104
      D.I. 41, Ex. A, ¶ 5.
105
      D.I. 27, at 9.
                                              22
“perform all ... obligations” under the Community’s governing documents.106

Further, Plaintiffs presented evidence suggesting that all homebuyers “from 2012

through the Fall of 2014, were given the 2012 version of the [Declaration],”107 and

the Hagues were later in possession of the 2012 version of the Declaration.108 Thus,

I conclude that there is a material factual dispute as to whether the Hagues had

“knowledge or the means of gaining knowledge of” the Declaration so that they had

actual notice.109

         Finally, a question remains whether a reasonable inquiry based on the search

of ROD records would have revealed the Declaration. The Declaration was not

recorded at the time the Hagues took the Hague Deed,110 but the Hague Deed

references the Plan,111 and the Hagues took their property knowing that “a

homeowners’ association was to be created at some future date and they would be

members” of that homeowners’ association.112              And, the Plan references a


106
      D.I. 30, Ex. H.
107
      D.I. 41, Ex. D.
108
    D.I. 31, Ex. E. Jessica Hague avers that she came into possession of the 2012 version
of the Declaration in 2017 or 2018. D.I. 41, Ex. B, ¶¶ 2-4. But see id., Ex. D (stating that
“Homebuyers from 2012 through the Fall of 2014, were given the 2012 version of the
[Declaration]”).
109
      See supra note 54 and accompanying text.
110
  Compare D.I. 1, Ex. A (Hague Deed executed on February 8, 2013) with D.I. 31, Ex. A
(Declaration recorded on October 30, 2013).
111
      D.I. 1, Ex. A.
112
      See supra note 13.
                                            23
homeowners’ association.113 “Notice of a deed is notice of whatever matters one

would have learned by any inquiry which the recitals of the instrument made it one’s

duty to pursue.”114 What is unclear, at this stage, is whether the recitals and

references in the Plan could be found to have reasonably compelled the Hagues to

pursue an inquiry about the anticipated homeowners’ association such that it would

have led to the discovery of the Declaration.

         Because I find material factual disputes, I recommend that the Court deny the

POA’s motion for summary judgment and Plaintiffs’ partial motion for summary

judgment as it relates to whether the Declaration binds the Hagues’ property.

C. Should Summary Judgment be Denied with Respect to the Corporate Law
   Claims?

         As alternative causes of action, Plaintiffs allege that the Board’s actions were

void because the Community’s bylaws require a four member Board and the Board

has been acting with only three members (“Corporate Law Claims”), and seek the

appointment of a receiver pendente lite, custodian or a special master to oversee the

POA corporation.115 The original motion for judgment on the pleadings did not seek

judgment on the Corporate Law Claims.116 The POA moved for summary judgment



113
      D.I. 13, Ex. C.
114
      Cashvan v. Darling, 107 A.2d 896, 901 (Del. Ch. 1954) (cleaned up).
115
      D.I. 1, ¶¶ 31-41.
116
      See D.I. 11.
                                             24
on all claims.117 On summary judgment, the POA argues that the Corporate Law

Claims should be dismissed as derivative because Plaintiffs failed to make a demand

on the board and that Plaintiffs otherwise have made no showing that would entitle

them to the equitable relief sought on the Corporate Law Claims.118 Plaintiffs argue

that the Court held the Corporate Law Claims in abeyance following the September

7, 2021 status conference.119

          There is a sparse record before me concerning the Corporate Law Claims.120

Because of this sparse record, I find that it is desirable to inquire more thoroughly

into the facts to clarify the application of law to the circumstances.121

          I address, however, the POA’s argument that the Corporate Law Claims

should be dismissed because they are derivative.122 Plaintiffs respond that it is

settled law in Delaware that a stockholder or member of a corporation has a direct

claim against the corporation for violating the bylaws or other governing document




117
      See D.I. 22.
118
      D.I. 29, at 43-45.
119
      D.I. 41, at 24-25.
120
      See D.I. 29, at 43-45; D.I. 41, at 24-25.
121
    See supra note 38 and accompanying text; see also McCabe v. Wilson, 1986 WL 8008,
at *2 (Del. Super. June 26, 1986) (noting that “summary judgment, with ever-lurking issues
of fact, is a treacherous shortcut”).
122
      D.I. 29, at 43-44.
                                                  25
because those documents create a contract between the stockholders or members and

the corporation.123

          “A derivative suit enables a stockholder to bring a suit on behalf of the

corporation for harm done to the corporation.”124 “However, a stockholder who is

directly injured retains the right to bring an individual action for injuries affecting

his or her legal rights as a stockholder.”125 “Plaintiffs’ classification of the suit is

not binding,”126 and “the Court looks at the nature of the wrong alleged, not merely

at the form of words used in the complaint.”127 The determination of whether a

stockholder’s claim is direct or derivative “turn[s] solely on the following questions:

(1) who suffered the alleged harm (the corporation or the suing stockholders,

individually); and (2) who would receive the benefit of any recovery or other remedy

(the corporation or the stockholders, individually)?”128 It is well established that

“[s]tockholders [or members] can sue directly to enforce contractual constraints on




123
      D.I. 41, at 24-25.
124
  Brookfield Asset Mgmt., Inc. v. Rosson, 261 A.3d 1251, 1262 (Del. 2021) (citation
omitted).
125
      Id., at 1263 (citation omitted).
126
  Tooley v. Donaldson, Lufkin & Jenrette, Inc., 845 A.2d 1031, 1035 (Del. 2004) (internal
quotation marks and citation omitted).
127
  Blue v. Fireman, 2022 WL 593899, at *5 (Del. Ch. Feb. 28, 2022) (internal quotation
marks and citations omitted).
128
   Tooley, 845 A.2d at 1033 (emphasis omitted); accord Brookfield Asset Mgmt., 261 A.3d
at 1263.
                                           26
a board’s authority under the charter, bylaws, and provisions of the DGCL.”129

Because Plaintiffs appear to be suing to enforce contractual constraints on the

Board’s authority under the POA’s governing documents,130 this would be a direct

claim against the POA corporation that is not subject to dismissal for failure to make

a demand.

      Similarly, the Plaintiffs’ claim for appointment of a custodian or special

master until the Board is properly constituted should not be dismissed at this

juncture, since it may be determined to be an appropriate remedy if their direct

claims are successful.131 Therefore, and I recommend that the Court deny the POA’s

motion for summary judgment related to Counts III and IV of the Complaint.132

                                 IV.    Conclusion

      Based upon the reasons set forth above, I recommend that the Court grant the

POA’s Motion for Summary Judgment with respect to Plaintiffs Donald May, Kara


129
    In re Activision Blizzard, Inc. S’holder Litig., 124 A.3d 1025, 1050 (Del. Ch. 2015)
(citations omitted); see also id. at 1049 (“Direct claims also include causes of action to
enforce contract rights that stockholders possess under the corporation’s certificate of
incorporation and bylaws[.]”) (citations omitted).
130
   The Complaint identifies the governing document as the “Bylaws.” D.I. 1, ¶ 32. No
party has introduced a document entitled “Bylaws” into the record.
131
   See, e.g., Beck v. Greim, C.A. No. 10223-MG (Del. Ch. Apr. 11, 2019) (ORDER)
(Montgomery-Reeves, V.C.) (appointing a special master to oversee a new election of a
homeowners’ association).
132
    Additionally, both parties seek attorneys’ fees. See D.I. 1, ¶¶ 42-43; D.I. 9, at 18.
Because this case is not resolved on summary judgment, it would be premature to address
attorneys’ fees.
                                           27
May, Jordon Rollins, Julie Rollins, John Barnett, and Nancy Barnett on Counts I and

II. I recommend that the Court deny the POA’s Motion for Summary Judgment with

respect to Stephen Hague and Jessica Hague on Counts I and II. I further recommend

that the Court deny the POA’s Motion for Summary Judgment on Counts III, IV,

and V. Finally, I recommend that the Court deny Plaintiffs’ Motion for Partial

Summary Judgment. This is a final master’s report, and exceptions may be taken

under Court of Chancery Rule 144.




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