No. 04-483
IN THE SUPREME COURT OF THE STATE OF MONTANA
2007 MT 107
GEORGE BYRUM and VIRGINIA BYRUM,
Plaintiffs and Appellants,
v.
PAUL ANDREN, JOAN ANDREN, L.W. JONES,
LORI JONES, ROBERT CLARK, and LESLIE CLARK,
Defendants, Respondents
and Cross-Appellants.
APPEAL FROM: The District Court of the Fifth Judicial District,
In and For the County of Madison, Cause No. DV 29-2002-001,
Honorable John W. Whelan, Presiding Judge
COUNSEL OF RECORD:
For Appellants:
Holly Jo Franz, Franz & Driscoll, Helena, Montana
For Respondents:
J. Blaine Anderson, Jr. Attorney at Law, Dillon, Montana (Andrens)
John Bloomquist, Abigail St. Lawrence, Doney, Crowley, Bloomquist
& Uda, Helena, Montana (Jones)
Stephanie Gehres Kruer, Attorney at Law, Sheridan, Montana (Clarks)
Submitted on Briefs: May 17, 2005
Decided: May 1, 2007
Filed:
__________________________________________
Clerk
Justice James C. Nelson delivered the Opinion of the Court.
¶1 George Byrum and Virginia Byrum (Byrums) appeal the findings of fact and
conclusions of law entered by the District Court for the Fifth Judicial District, Madison
County, determining that Paul Andren, Joan Andren, L.W. Jones, Lori Jones, Robert
Clark, and Leslie Clark (hereafter referred to either individually or collectively as
Respondents) did not breach the 1998 Settlement Agreement (Settlement Agreement)
between the parties. Respondents further cross-appeal on various issues. We affirm in
part, reverse in part and remand for further proceedings consistent with this Opinion.
¶2 Byrums raise the following issues on appeal:
¶3 1. Did the District Court err when it ruled Respondents did not breach the
Settlement Agreement?
¶4 2. Did the District Court err when it ordered M. R. Civ. P. 11 (Rule 11)
sanctions against Byrums?
¶5 3. Did the District Court err when it allowed Robert Clark to testify
concerning issues outside the pretrial order?
¶6 We restate the following issues on cross-appeal:
¶7 4. Did the District Court err in dismissing Respondents’ counterclaims?
¶8 5. Did the District Court err in failing to award attorney’s fees and costs to
Respondents under § 70-17-112(5), MCA?
FACTUAL AND PROCEDURAL BACKGROUND
¶9 The parties in this case each own property along or near the Jefferson River in
Madison County, Montana. Byrums’ property contains an irrigation ditch known as the
2
Old Dutch Ditch (Ditch). The Ditch diverts water from the Jefferson River to the
Respondents’ respective properties for the purposes of irrigation and other beneficial
uses. Byrums moved onto their property in 1993 and have no rights to the water
conveyed by the Ditch. The Ditch has been in use for the benefit of Respondents and the
previous owners of Respondents’ properties since the 1950’s. The existence, uses, and
functions of the Ditch have remained largely unchanged since that time.
¶10 In 1995—two years after Byrums had moved to their property—Andrens, Clarks,
and Browns (Browns were original parties to this lawsuit, but were eventually dismissed)
commenced litigation against Byrums over the use and maintenance of the Ditch. The
parties settled the 1995 litigation and executed the Settlement Agreement in an attempt to
define the rights and duties of the parties with respect to the Ditch. In the Settlement
Agreement, Byrums expressly recognized the rights of Respondents to the water rights,
ditch rights, and secondary easement rights to the Ditch. Additionally, as the District
Court paraphrased in its findings of fact and conclusions of law, the Settlement
Agreement obligated Respondents to:
a. Rebuild the dike/levee structure and install two new steel culvert
pipes with “adequate closing headgates”;
b. Level the top of the dike/levee to allow vehicle access;
c. Use “reasonable and prudent caution” in the installation of the
culvert pipes;
d. Utilize “reasonable means” to assure that the dike/levee does not
leak;
3
e. Provide Byrums reasonable notice of at least two weeks, when
repairs to the [Ditch] and irrigation apparatus are necessary, unless
the repairs are an “emergency”;
f. Exercise their access, operation, maintenance, and repair rights in
accord with their secondary easement rights and in accord with
Montana law; and
g. Install a measuring device in the Ditch on Byrums’ property.
Moreover, the Settlement Agreement required that “Byrums agree that they shall not
interfere with [Respondents’] reasonable use of their water rights, ditch rights, and
exercise of their secondary easement rights.”
¶11 The Settlement Agreement was agreed to and adopted by the parties in 1998.
Byrums initiated the present litigation against Respondents in 2002. Byrums alleged in
their Complaint that Respondents had breached the terms of the Settlement Agreement,
created a nuisance, and trespassed onto their property. Byrums’ claim of trespass was
dismissed shortly before trial. In response, Respondents counterclaimed against Byrums,
alleging breach of the Settlement Agreement, interference with their water rights, primary
easements, and secondary easements to the Ditch, nuisance, and violation of § 85-1-111,
MCA, which provides that “[t]he right of any person . . . to take and use any water . . .
from any stream or streams for the purpose of irrigation or any beneficial or industrial
pursuit shall not be abridged.”
¶12 A trial was held on July 22, 23, and 24, 2003, by the District Court, sitting without
a jury. On January 26, 2004, the District Court issued its Findings, Conclusions, and
Decree. The court found that Byrums’ allegations were without merit and in addition,
awarded Rule 11 sanctions against Byrums to Respondents. Furthermore, the District
4
Court found all of Respondents counterclaims “unfounded” and dismissed all
counterclaims with prejudice. Byrums appeal and Respondents cross-appeal.
¶13 Additional facts will be discussed where relevant.
STANDARD OF REVIEW
¶14 We review the findings of a district court sitting without a jury to determine if the
court’s findings were clearly erroneous. See M. R. Civ. P. 52(a). A district court’s
findings are clearly erroneous if substantial credible evidence does not support them, 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. Ray v. Nansel, 2002 MT 191, ¶ 19, 311 Mont. 135, ¶ 19, 53 P.3d 870, ¶ 19.
Additionally, we must view the evidence in the light most favorable to the prevailing
party when determining whether substantial credible evidence supports the district court’s
findings. Ray, ¶ 19. We review a district court’s conclusions of law to determine
whether those conclusions are correct. In re Estate of Harms, 2006 MT 320, ¶ 12, 335
Mont. 66, ¶ 12, 149 P.3d 557, ¶ 12.
¶15 We review a district court’s evidentiary rulings for an abuse of discretion.
McDermott v. Carie, LLC, 2005 MT 293, ¶ 10, 329 Mont. 295, ¶ 10, 124 P.3d 168, ¶ 10
(citing Busta v. Columbus Hosp. Corp., 276 Mont. 342, 353, 916 P.2d 122, 128 (1996)).
Absent a showing of such abuse we will not overturn a district court’s ruling on the
admissibility of evidence. McDermott, ¶ 10 (citing Christofferson v. City of Great Falls,
2003 MT 189, ¶ 8, 316 Mont. 469, ¶ 8, 74 P.3d 1021, ¶ 8). A district court abuses its
discretion if its acts “arbitrarily without employment of conscientious judgment or
5
exceed[s] the bounds of reason resulting in substantial injustice.” McDermott, ¶ 10
(citing VonLutzow v. Leppek, 2003 MT 214, ¶ 14, 317 Mont. 109, ¶ 14, 75 P.3d 782,
¶ 14).
¶16 With regard to the sanctions issue, Rule 11 provides, in pertinent part that:
The signature of an attorney or party constitutes a certificate by the signer
that the signer has read the pleading, motion, or other paper; that to the best
of the signer’s knowledge, information, and belief formed after reasonable
inquiry it is well grounded in fact and is warranted by existing law or a
good faith argument for the extension, modification, or reversal of existing
law, and that it is not interposed for any improper purpose, such as to harass
or to cause unnecessary delay or needless increase in the cost of litigation.
...
If a pleading, motion, or other paper is signed in violation of this rule, the
court, upon motion or upon its own initiative, shall impose upon the person
who signed it, a represented party, or both, an appropriate sanction, which
may include an order to pay to the other party or parties the amount of the
reasonable expenses incurred because of the filing of the pleading, motion,
or other paper, including a reasonable attorney’s fee.
¶17 Our standard of review with respect to the imposition of Rule 11 sanctions has
been consistently stated as follows: “a district court’s findings of fact will be overturned
if clearly erroneous, and a court’s legal conclusion that the facts constitute a violation of
Rule 11 will be reversed if the determination constitutes an abuse of discretion.” Brandt
v. Sande, 2000 MT 98, ¶ 35, 299 Mont. 256, ¶ 35, 1 P.3d 929, ¶ 35 (citing D’Agostino v.
Swanson, 240 Mont. 435, 446, 784 P.2d 919, 926 (1990) (emphasis added). Moreover,
“[w]e will review the case de novo only if the violation is based on the legal sufficiency
of a plea or motion” Brandt, ¶ 35, (citing D’Agostino, 240 Mont. at 446, 784 P.2d at
6
926). 1 In closely examining the language of this standard of review, however, we
conclude that the proper standard of review is not correctly stated in the foregoing
decisions. Accordingly, we take this opportunity to clarify and re-state our standard of
review in Rule 11 cases.
¶18 The foregoing statement of our standard of review was adopted in D’Agostino and
was constructed as one which “combines the standards utilized by the federal courts.”
D’Agostino, 240 Mont. at 446, 784 P.2d at 926. 2 Unfortunately, in articulating this
composite rule it is apparent that the D’Agostino Court conflated our review of the
district court’s legal conclusion that the facts constitute a violation of the Rule (to which
a de novo standard of review applies) with the district court’s choice of sanction once the
violation is found (a choice which we review for abuse of discretion). D’Agostino, 240
Mont. at 446, 784 P.2d at 926. That part of the standard which reads a “court’s legal
1
See also Ponderosa Pines Ranch, Inc. v. Hevner, 2002 MT 184, ¶ 14, 311 Mont. 82, ¶ 14, 53
P.3d 381, ¶ 14; Lundquist v. McBeth, 2001 MT 311, ¶ 13, 308 Mont. 1, ¶ 13, 38 P.3d 831, ¶ 13;
Firestone v. Oasis Telecommunications, 2001 MT 297, ¶ 12, 307 Mont. 469, ¶ 12, 38 P.3d 796,
¶ 12; Pospisil v. First Nat. Bank of Lewistown, 2001 MT 286, ¶ 29, 307 Mont. 392, ¶ 29, 37 P.3d
704, ¶ 29; Madison Add. Architect. Comm. v. Youngwirth, 2000 MT 293, ¶ 10, 302 Mont. 302,
¶ 10, 15 P.3d 1175, ¶ 10; Friends of Wild Swan v. DNRC, 2000 MT 209, ¶ 58, 301 Mont. 1, ¶ 58,
6 P.3d 972, ¶ 58; Estate of Miles v. Miles, 2000 MT 41, ¶ 52, 298 Mont. 312, ¶ 52, 994 P.2d
1139, ¶ 52; Morris v. Big Sky Thoroughbred Farms, 1998 MT 229, ¶ 14, 291 Mont. 32, ¶ 14, 965
P.2d 890, ¶ 14; Carl Weissman & Sons v. D & L Thomas Corp., 1998 MT 213A, ¶ 53, 290 Mont.
433, ¶ 53, 963 P.2d 1263, ¶ 53; Glickman v. Whitefish Credit Union Ass’n, 1998 MT 8, ¶ 23, 287
Mont. 161, ¶ 23, 951 P.2d 1388, ¶ 23; Shull v. First Interstate Bank of Great Falls, 269 Mont.
32, 39, 887 P.2d 193, 197 (1994); Fjelstad v. State, Through Dept. of Highways, 267 Mont. 211,
226, 883 P.2d 106, 114-15 (1994); Wise v. Sebena, 248 Mont. 32, 38-39, 808 P.2d 494, 499
(1991); and Harrison v. Chance, 244 Mont. 215, 226-27, 797 P.2d 200, 207 (1990).
2
The language of M. R. Civ. P. 11 and F. R. Civ. P. 11 were for all purposes under discussion
here identical at the time D’Agostino was handed down in 1990. Montana’s rule has remained
substantially unchanged since then. See Commission Note and Advisory Committee notes to
Rule 11.
7
conclusion that the facts constitute a violation of Rule 11 will be reversed if the
determination constitutes an abuse of discretion” is simply incorrect. A court’s legal
conclusions are not reversed for abuse of discretion; they are reversed if they are wrong.
Harms, ¶ 12.
¶19 Therefore, clarifying and restating the standard set forth in D’Agostino, our
standard of review of a district court’s decision to grant or deny sanctions under Rule 11,
henceforth will be as follows: we review de novo the district court’s determination that
the pleading, motion or other paper violates Rule 11. We review the district court’s
findings of fact underlying that conclusion to determine whether such findings are clearly
erroneous. If the court determines that Rule 11 was violated, then we review the district
court’s choice of sanction for abuse of discretion. The cases cited above in ¶ 17 and in
supra note 1 are likewise clarified to the extent they cite a different standard of review. 3
DISCUSSION
Issue 1.
¶20 Did the District Court err when it determined Respondents did not breach the
Settlement Agreement?
¶21 This Court has previously determined that settlement agreements are contracts,
subject to the provisions of contract law. Dambrowski v. Champion Intern. Corp., 2003
MT 233, ¶ 9, 317 Mont. 218, ¶ 9, 76 P.3d 1080, ¶ 9. The District Court concluded that
Respondents did not breach the Settlement Agreement. Byrums argue that Respondents,
3
In adopting this new standard of review, we emphasize that we are not altering the various rules
and cases describing the circumstances under which Rule 11 sanctions might or might not be
appropriately imposed.
8
having joint and several liability to fulfill the obligations set forth in the Settlement
Agreement, breached the terms of the Settlement Agreement and that the District Court
erred in not so finding. Byrums make specific arguments in respect to separate
obligations set forth in the Settlement Agreement. We will discuss those arguments in
turn and, as already noted, we will review whether substantial credible evidence exists to
support the District Court’s findings and whether such findings are clearly erroneous.
¶22 First, Byrums assert that Respondents failed to install adequate closing headgates
pursuant to the first obligation of the Settlement Agreement. Byrums point to Admin. R.
M. 36.13.101(9), which requires a headgate “to regulate the amount of water being
diverted” and “[to] be capable of being closed completely and to adequately vary the
amount of water diverted into a ditch.” Byrums contend Respondents installed headgates
that leaked and thus, Respondents violated the terms of the Settlement Agreement. In
response, Respondents point to testimony at trial that indicates the headgate installations
were adequate. Respondents further point out that most, if not all, headgates will leak
some water when water levels rise. Respondents conclude that the evidence elicited at
trial supports the District Court’s finding that adequate headgates were installed to
control the flow of water from the Jefferson River into the Ditch.
¶23 The District Court made the following findings of fact in reaching its conclusion
that the headgates were properly operated and adequately controlled the flow of water
into the Ditch: that Respondents had purchased and installed an R-5 style headgate,
which is customarily used by irrigators; that the R-5 headgate installed by Respondents
leaked, but that R-5 headgates commonly leak and that any leaking here was minimal
9
without posing any risks to property; and that the headgates freely opened and closed as
desired. Moreover, testimony at trial supported the District Court’s findings. For
example, testimony indicates that the R-5 headgate is the only type of headgate that
would have worked on the Ditch. Furthermore, Respondents’ expert, Tom Miller,
testified that R-5 headgates commonly leak, that any leaks on account of the headgates
are minimal, and that the headgate in question was properly installed. Thus, we conclude
that substantial evidence supports the court’s finding and that finding is not clearly
erroneous.
¶24 Next, Byrums allege Respondents violated the Settlement Agreement by not
properly installing a measuring device pursuant to the terms of the Settlement
Agreement. Byrums explain that because irrigation water rights are measured by flow
rates, the required measuring device must measure flow rates and not merely the depth of
the ditch water. Byrums point out that the measuring device installed by Respondents
measures only the depth of the water in the ditch, not flow rate, and therefore does not
meet the requirements of the Settlement Agreement. Respondents respond that a
measuring device was installed pursuant to the terms of the Settlement Agreement (which
does not expressly require a device that measured flow rates) and that Byrums have
proven no damages by the use of the measuring device.
¶25 The District Court found that Respondents did install a measuring device and that
Byrums presented no evidence that Respondents’ installation and use of the measuring
device caused any damages. The court thus concluded that Respondents properly
installed and used a measuring device in accordance with the Settlement Agreement.
10
Testimony from trial indicates that Respondents installed the device, but ceased use of
the device in 2002 as this litigation had begun. Respondents made this decision on the
advice of their legal counsel. Nothing in the record indicates that Byrums were damaged
after the measuring device was uninstalled. Thus, the court’s finding is supported by
substantial evidence and is not clearly erroneous.
¶26 Byrums further allege that Respondents breached another obligation of the
Settlement Agreement—that the Ditch be used in accordance with Montana law.
Specifically, Byrums argue that because Respondents exceeded their water rights without
putting their diverted water to beneficial use, Respondents damaged Byrums’ property by
eroding the Ditch, widening the Ditch, and flooding Byrums’ property. Respondents, on
the other hand, assert the Ditch was properly operated and maintained, that the Ditch has
not significantly changed in the last 44 years, and that the water diverted in the Ditch was
only the amount needed for Respondents’ beneficial uses.
¶27 The District Court determined that Respondents have accessed, operated,
maintained, and repaired the Ditch pursuant to Montana law. Furthermore, the court
found that Byrums’ claim that Respondents were using excessive water was unfounded.
In so deciding, the District Court made the following findings of fact: that the water being
diverted by Respondents was put to beneficial use without waste; that the water diverted
by Respondents was properly regulated in quantity; that Respondents have reasonably
maintained the Ditch; that Respondents have not exceeded their water rights; and that the
Ditch has not been eroded or appreciably changed over the last several decades.
Testimony from trial supports the District Court’s findings. In particular, Paul Andren
11
testified that in his use of the Ditch, he did not divert more water than necessary or waste
any water. L.W. Jones also testified to this effect. Evidence in the record shows that the
quantity of water flowing through the property of Byrums was within the amount
necessary to irrigate their lands. Other testimony indicates that the Ditch has not been
substantially eroded and that Respondents have made efforts to maintain the Ditch as
contemplated by the Settlement Agreement, such as removing obstructions like beaver
dams. Again, substantial evidence supports the District Court’s findings and they are not
clearly erroneous on this point.
¶28 Having thus concluded that the District Court’s findings of fact in relation to
Byrums’ claim are supported by substantial credible evidence and are not clearly
erroneous, we hold that the District Court correctly concluded that Respondents did not
breach the Settlement Agreement. We affirm the District Court’s decision in that regard.
Issue 2.
¶29 Did the District Court err when it ordered Rule 11 sanctions against Byrums?
¶30 The District Court determined that Byrums’ “lawsuit was so strongly without
merit it was frivolous.” In its January 26, 2004 order wherein the court imposed Rule 11
sanctions against the Byrums, the court stated the Byrums had “unnecessarily forced”
Respondents into court “to defend their rights and interests in the [Ditch.]” Thus, the
court ordered Byrums to pay, as a sanction, each Respondent’s costs and attorney’s fees.
¶31 Accordingly, we review the District Court’s decision under the standard set forth
in ¶ 19. Specifically, we review de novo the District Court’s determination that the
pleading, motion or other paper violates Rule 11. We review the District Court’s findings
12
of fact underlying that conclusion to determine whether such findings are clearly
erroneous. If the court determines that Rule 11 was violated, we review the District
Court’s choice of sanction for abuse of discretion.
¶32 The purpose of Rule 11 is to “discourage dilatory or abusive tactics and help to
streamline the litigation process by lessening frivolous claims or defenses.” Brandt, ¶ 35
(citing D’Agostino, 240 Mont. at 444, 784 P.2d at 925). We have noted that “Montana’s
Rule 11 is similar in many respects to the federal rule.” Brandt, ¶ 35. Before a district
court may impose sanctions pursuant to Rule 11, it must conduct a hearing for that
purpose. Stipe v. First Interstate Bank of Polson, 2005 MT 295, ¶ 20, 329 Mont. 320,
¶ 20, 125 P.3d 591, ¶ 20; Muri v. Frank, 2003 MT 316, ¶ 22, 318 Mont. 269, ¶ 22, 80
P.3d 77, ¶ 22; State v. Toole County, 278 Mont. 253, 263, 924 P.2d 693, 698 (1996);
Lindey’s Inc. v. Goodover, 264 Mont. 489, 497, 872 P.2d 767, 772 (1994). District courts
must give notice to the party it proposes to sanction and hold a hearing on whether Rule
11 sanctions are proper. This hearing must take place before Rule 11 sanctions are
imposed, so that the party the district court proposes to sanction “will be provided with
due process before it is punished.” Stipe, ¶ 20.
¶33 Here, the District Court, in its January 26, 2004 order, declared that Rule 11
sanctions would be imposed against the Byrums for the “filing of a frivolous and
unwarranted Complaint and First Amended Complaint not grounded in fact.” The court
set a hearing for March 22, 2004, for the purpose of determining the proper amount of
Rule 11 sanctions to be imposed against Byrums. All Respondents submitted statements
of costs and attorney’s fees, and Byrums submitted a brief in opposition.
13
¶34 The District Court properly followed the due process requirements in respect to
Rule 11 as laid out in the Lindey’s Inc., Toole County, Muri, and Stipe line of cases. The
court gave notice to the Byrums that Rule 11 sanctions would be imposed in the January
26, 2004 order. Moreover, a hearing was held on March 22, 2004, to address the issue of
Rule 11 sanctions. The District Court complied with all of the requirements set forth in
Lindey’s Inc.
¶35 Byrums nonetheless argue the District Court’s order imposing Rule 11 sanctions
should be reversed for its failure to make specific findings of fact. Byrums cite to a
decision of the United States Court of Appeals for the Fifth Circuit, Akin v. Q-L
Investments, Inc., 959 F.2d 521 (5th Cir. 1992), in support of their argument. The court
in Akin stated that in cases where “the sanctions imposed are substantial in amount, type,
or effect,” the “district court must enter specific factual findings to assist the appellate
court in its review of the Rule 11 sanctions.” Akin, 959 F.2d at 535. The court also
explained that a district court “must impose the ‘least severe sanction adequate’ to
accomplish the purposes of Rule 11.” Akin, 959 F.2d at 535 (citing Thomas v. Capital
Sec. Services, Inc., 836 F.2d 866, 878 (5th Cir. 1988) (en banc)). In reversing a Rule 11
sanction, the court explained “[t]he [district] court did not indicate in the record the
factors it considered in choosing a [ ] sanction” and “did not state in the record which
alternative sanctions, if any, it also considered.” The court concluded that because of the
substantial size of the Rule 11 sanction involved, it “may not affirm the sanction until the
district court has entered specific factual findings determining whether the sanction is the
least severe adequate to serve the purposes of Rule 11.” Akin, 959 F.2d at 535.
14
¶36 We agree with Byrums and find persuasive the reasoning of the Fifth Circuit as
applied to the case at bar. Here, the District Court made no findings of fact as to why it
issued Rule 11 sanctions against Byrums. Rather, the court merely entered a conclusion
of law that Byrums’ “lawsuit was so strongly without merit it was frivolous.” Without
more and, applying our own standard of review, we are unable to conclude that the
District Court correctly concluded, as a matter of law, that the Byrums’ pleadings,
motions and other papers violated Rule 11, because we are unable to review any findings
of fact in support of the District Court’s determination in that regard. That being the
case, we are also unable to review the District Court’s choice of sanction for abuse of
discretion.
¶37 As did the Court of Appeals in Akin, we hold that, here, the District Court’s order
granting Rule 11 sanctions against Byrums must be vacated. We remand to the District
Court for further proceedings as are determined to be necessary by the court and for entry
of specific factual findings in support of its determination on whether the Byrums
violated Rule 11 and, if so, as to the appropriateness of the choice of the sanction
imposed.
Issue 3.
¶38 Did the District Court err when it allowed Robert Clark to testify concerning
issues outside the pretrial order?
¶39 Byrums allege the District Court erred in allowing Robert Clark to testify
regarding matters outside of the pretrial order. Rule 5(c) of the Uniform District Court
Rules requires a pretrial order to include a statement that the pretrial order supersedes the
15
pleadings and governs the subsequent course of trial. Craig v. Schell, 1999 MT 40, ¶ 44,
293 Mont. 323, ¶ 44, 975 P.2d 820, ¶ 44. Moreover, M. R. Civ. P. 16(e) explicitly
provides that the pretrial order controls the subsequent course of the action. Craig, ¶ 44
(citations omitted). That said, we have also stated that a district court possesses wide
discretion in deciding whether to allow a party to raise a factual issue or legal theory not
explicitly raised in the pretrial order, but the court must be mindful not to prejudice the
parties. Hjartarson v. Hjartarson, 2006 MT 273, ¶ 33, 334 Mont. 212, ¶ 33, 147 P.3d
164, ¶ 33 (citing Nentwig v. United Industry, Inc., 256 Mont. 134, 139, 845 P.2d 99, 103
(1992)).
¶40 At trial, Clark testified to several issues which were not included in the pretrial
order adopted by the parties and the District Court. The testimony at issue included
events surrounding legal actions that had taken place prior to the Settlement Agreement
between the Byrums and Respondents. Counsel for Byrums objected to this testimony
and moved to strike the testimony in question from the record. The District Court
overruled Byrums’ objection and motion.
¶41 As stated above, we review the District Court’s evidentiary rulings for an abuse of
discretion. McDermott, ¶ 10 (citation omitted). Although Clark’s testimony regarding
past incidents with the Byrums may not have been relevant to the issues set out in the
pretrial order, the record also shows that Byrums failed to demonstrate any prejudice
from the court’s decision to allow Clark to testify on matters that were outside of the
pretrial order. Hjartarson, ¶ 33. Therefore, we conclude that while the court may have
abused its discretion in admitting Clark’s testimony, the court’s error was harmless.
16
Issue 4.
¶42 Did the District Court err in dismissing Respondents’ counterclaims?
¶43 Each Respondent separately alleged counterclaims against the Byrums for
interference with ditch rights and breach of the Settlement Agreement. Andrens and
Clarks additionally alleged counterclaims on other issues. The District Court dismissed
all of Respondents’ counterclaims, concluding that Respondents’ allegations were
unfounded. The District Court made limited findings of fact in regard to the
counterclaims—generically that: (1) Byrums did not get along with Respondents and vice
versa; (2) testimony revealed childlike behavior between the parties; (3) Byrums had not
denied Respondents access to the headgate; (4) Byrums had not prevented water from
being conveyed down the Ditch; and (5) Byrums had not attempted to operate the
headgate.
¶44 Although Respondents each filed separate briefs with regard to their respective
counterclaims and cross-appeals, we will first address their claims of interference with
ditch rights and breach of the Settlement Agreement arguments together. We will then
separately address Andrens’ and Clarks’ additional counterclaims.
Respondents’ Interference with Ditch Rights Counterclaim
¶45 Respondents claim the District Court erred in dismissing their counterclaims
against Byrums for interference with their ditch rights. Respondents point to
§ 70-17-112(1), MCA, which states that “[a] person with a canal or ditch easement has a
secondary easement to enter, inspect, repair, and maintain a canal or ditch.”
Additionally, § 70-17-112(2), MCA, states that “[n]o person may encroach upon or
17
otherwise impair any easement for a canal or ditch used for irrigation or any other lawful
. . . purpose.” Respondents argue that they have not been able to check or maintain the
Ditch without interference from Byrums. This interference, as Respondents allege, came
in two forms.
¶46 First, Respondents allege physical interference, namely that Byrums had
continually confronted Respondents while they attempted to maintain the Ditch, blocked
Respondents from accessing the headgate, and verbally harassed Respondents. The
District Court found that the Byrums had not denied Respondents access to the headgate
and had not prevented water from being conveyed down the Ditch. Testimony from trial
indicates that the Byrums did occasionally block Respondents from using the headgates
on the Ditch, but that the Byrums eventually allowed access. Evidence in the record
supports the District Court’s finding that Byrums did not physically deny Respondents’
access to the headgate. The court’s finding is supported by substantial evidence and is
not clearly erroneous in this regard.
¶47 Second, Respondents allege the filing of the underlying lawsuit to this appeal
interfered with Respondents’ legal right to the use of the Ditch, and has prevented their
maintaining the headgate. Respondents cite to Kephart v. Portmann, 259 Mont. 232, 855
P.2d 120 (1993), in support of their argument. Kephart involved a situation similar to the
dispute here. The defendants there possessed an easement across plaintiffs’ property for
the use of a ditch. The easement allowed defendants to clean and maintain the ditch.
Plaintiffs sought to enjoin defendants from maintaining and improving the ditch.
Kephart, 259 Mont. at 234-35, 855 P.2d at 121-22. The plaintiffs in Kephart had
18
acknowledged the existence of the defendants’ right to use the ditch based on a prior
agreement between the parties and based on defendants’ prior use of the ditch. Kephart,
259 Mont. at 236, 855 P.2d at 123. We affirmed the district court’s determination that
the defendants rightfully possessed a ditch easement over the plaintiffs’ property,
Kephart, 259 Mont. at 236, 855 P.2d at 122, and moreover, that plaintiffs had a
secondary easement to reasonably enter, inspect, repair, and maintain the ditch. Kephart,
259 Mont. at 238, 855 P.2d at 124. Because plaintiffs had previously acknowledged
defendants’ ditch rights but had, nonetheless, forced defendants into court to defend those
rights, we held that the filing of the lawsuit alone constituted an impairment of
defendants’ easement rights under § 70-17-112, MCA. Kephart, 259 Mont. at 239, 855
P.2d at 124.
¶48 Although evidence in the record here supports the District Court’s finding that
Byrums did not physically interfere with Respondents’ rights to the Ditch, we agree with
Respondents that the District Court failed to apply the rule in Kephart—i.e. that the filing
of this lawsuit alone could constitute an impairment of Respondents’ easement rights
under § 70-17-112, MCA. In their original complaint, Byrums alleged that Respondents
trespassed onto their property. This claim was made notwithstanding the terms of the
Settlement Agreement in which Byrums agreed they would not interfere with the
Respondents’ reasonable use of their water rights, ditch rights, and secondary easement
rights.
¶49 Respondents assert that Byrums’ lawsuit and their allegation of trespass interfered
with their water rights, ditch rights, and secondary easement rights. The record reflects
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that Byrums dismissed their trespass claim shortly before trial. Nonetheless,
Respondents contend that in pursuing their claim up to the point of trial, Byrums
interfered with their ditch and easement rights under § 70-17-112, MCA. We agree. As
noted above, the statute provides, in pertinent part:
(1) A person with a canal or ditch easement has a secondary easement to
enter, inspect, repair, and maintain a canal or ditch.
(2) No person may encroach upon or otherwise impair any easement for a
canal or ditch used for irrigation or any other lawful domestic or
commercial purpose, including carrying return water.
Section 70-17-112(1)–(2), MCA.
¶50 As did the plaintiffs in Kephart, Byrums expressly acknowledged Respondents’
water rights, ditch rights, and secondary easement rights in the Settlement Agreement.
Yet, Byrums filed suit against Respondents alleging trespass based on Respondents’
accessing the Ditch for maintenance purposes. As we held in Kephart, the filing of the
trespass claim impaired and interfered with Respondents’ rights under § 70-17-112,
MCA. Respondents were forced into court to defend their clearly established rights
under the Settlement Agreement. Thus, we hold that the District Court erred in
dismissing Respondents’ interference claim under § 70-17-112, MCA, and we remand for
further proceedings to determine Respondents’ damages, if any.
Respondents’ Breach of Settlement Agreement Counterclaim
¶51 Respondents further argue in their respective counterclaims and cross-appeals that
Byrums breached the terms of the Settlement Agreement. The District Court, however,
made no findings of fact in respect to this issue and merely concluded in its decree that
“[Respondents’] counterclaims are hereby dismissed with prejudice.”
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¶52 M. R. Civ. P. 52(a) provides, in pertinent part:
In all actions tried upon the facts without a jury or with an advisory jury,
the court shall find the facts specially and state separately its conclusions of
law thereon, and judgment shall be entered pursuant to Rule 58.
We have explained that “[t]he litmus test is whether a district court’s order sets forth
reasoning, based upon its findings of fact and conclusions of law, in a manner sufficient
to allow informed appellate review.” Snavely v. St. John ex rel. Est. of Snavely, 2006 MT
175, ¶ 11, 333 Mont. 16, ¶ 11, 140 P.3d 492, ¶ 11; Shammel v. Canyon Resources Corp.,
2003 MT 372, ¶ 28, 319 Mont. 132, ¶ 28, 82 P.3d 912, ¶ 28; Lake v. Lake County, 233
Mont. 126, 134, 759 P.2d 161, 165 (1988). If the district court’s “findings and
conclusions are clear to this Court, failure to state them in the recommended form is not
substantial error.” Snavely, ¶ 11; Clemans v. Martin, 221 Mont. 483, 487, 719 P.2d 787,
789 (1986); In re Marriage of Barron, 177 Mont. 161, 164, 580 P.2d 936, 938 (1978).
“It is not this Court’s task, however, to review the record with the purpose of making our
own findings.” Snavely, ¶ 11; Continental Realty, Inc. v. Gerry, 251 Mont. 150, 154, 822
P.2d 1083, 1086 (1991).
¶53 Here, the District Court made no findings of fact in respect to Respondents’
counterclaim against Byrums for breach of the Settlement Agreement. The court
moreover made no specific conclusions of law in respect to the same, but instead,
summarily concluded that Respondents’ counterclaim should be dismissed with
prejudice.
¶54 Without more, we are unable to evaluate the parties’ arguments on the breach of
the Settlement Agreement issue. Although the District Court recognized that
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Respondents had counterclaimed for breach of the Settlement Agreement, “it is not
enough that the trial court simply regurgitate the contentions of the parties and then reach
a conclusion.” Snavely, ¶ 18. Rather, the District Court “must also make factual findings
and combine those with a logical, reasoned analysis and application of the law to the
facts.” Snavely, ¶ 18.
¶55 The District Court failed to set forth its findings of fact and its conclusions of law
in compliance with M. R. Civ. P. 52(a) in respect to Respondents’ counterclaim for
breach of the Settlement Agreement. Thus we are unable to address this issue on appeal.
Section 27-12-201, MCA; Snavely, ¶ 19; Ray, ¶ 19. The District Court’s order
dismissing Respondents’ counterclaim for breach of the Settlement Agreement must be
vacated. We remand this issue with instructions that the District Court reconsider
Respondents’ breach of the Settlement Agreement counterclaim and enter appropriate
findings of fact and conclusions of law thereon.
Andrens’ Statutory and Nuisance Counterclaims
¶56 Andrens individually contend that Byrums violated § 85-1-111, MCA, by
interfering with their access to the Jefferson River, a navigable river. This statute states,
in pertinent part, that “[t]he right of any person . . . to take and use any water . . . from
any stream or streams for the purpose of irrigation or any beneficial or industrial pursuit
shall not be abridged.” Section 85-1-111, MCA. Andrens argue Byrums violated this
statute by interfering with Andrens’ efforts to build an emergency barb to bring water
into the Ditch. The specific behavior Andrens point to is Byrums’ use of video and audio
taping while Andrens were attempting to install the emergency barb to control river flow.
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Moreover, Andrens argue that Byrums’ video and audio taping actions in this respect
constitute a nuisance. In further support of their nuisance claim, Andrens also point to
Byrums’ use of a private airplane used in such a way to “buzz” the Andrens’ home.
¶57 Again, the District Court entered no findings of fact or conclusions of law in
respect to Andrens’ alleged violation of § 85-1-111, MCA, or their nuisance claim. The
court simply and summarily concluded that “[Respondents’] counterclaim alleging . . .
harassment is unfounded.”
¶58 As we did with respect to the previous issue—and for the same reasons—we
conclude the District Court’s order dismissing Andrens’ statutory and nuisance
counterclaim must be vacated. We remand this issue with instructions that the District
Court reconsider Andrens’ counterclaims for violation of § 85-1-111, MCA, and for
nuisance and enter appropriate findings of fact and conclusions of law thereon.
Clarks’ Emotional Distress Counterclaim
¶59 Clarks individually allege on cross-appeal that Byrums’ actions in regards to the
Ditch and this litigation have caused them serious and severe emotional distress. Clarks
assert that substantial evidence exists on the record to support their claim. We note that
Respondents did not request emotional distress damages in their collective prayer for
relief in the original counterclaim against Byrums. Clarks, however, in their individual
amended counterclaim, request special damages in their prayer for relief. Accordingly,
we must determine whether emotional distress damages are “special damages” for the
purposes of Clarks’ cross-appeal.
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¶60 “Special damages are the natural but not necessary result of the wrong or breach;
whereas general damages are damages the law would impute as the natural, necessary
and logical consequence of the wrong or breach.” Purington v. Sound West, 173 Mont.
106, 111-12, 566 P.2d 795, 798 (1977). Clarks have failed to cite any authority that
would persuade us that emotional distress damages are the natural, necessary and logical
consequence of Byrums’ alleged interference with Clarks’ rights to the Ditch. Thus, by
default, Clarks’ claimed emotional distress damages are special damages.
¶61 Under M. R. Civ. P. 9(g), Clarks were required to “specifically state” special
damages in their pleadings. This Rule provides that “[w]hen items of special damage are
claimed, they shall be specifically stated.” Because they did not “specifically state” their
request for emotional distress damages, as required by M. R. Civ. P. 9(g), Clarks failed to
plead such damages properly. That does not dispose of this issue, however.
¶62 At trial Clarks raised the issue of emotional distress and Byrums cross-examined
Robert Clark on this issue. Although Byrums objected to much of Mr. Clark’s testimony
as being outside the pretrial order (discussed above), the record reveals that that Byrums
did not specifically object to Clark’s testimony regarding emotional distress.
¶63 M. R. Civ. P. 15(b) provides, in pertinent part:
Amendments to conform to the evidence. When issues not raised by the
pleadings are tried by express or implied consent of the parties, they shall
be treated in all respects as if they had been raised in the pleadings. Such
amendment of the pleadings as may be necessary to cause them to conform
to the evidence and to raise these issues may be made upon motion of any
party at any time, even after judgment; but failure to so amend does not
affect the result of the trial of these issues.
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(Emphasis added). Clarks raised the issue of emotional distress during trial and Byrums
cross-examined Mr. Clark on the issue. Thus, Clarks’ emotional distress claim was tried
by the “implied consent of the parties” and should thus “be treated in all respects as if [it]
had been raised in the pleadings.” M. R. Civ. P. 15(b). Although there is no indication in
the record that Clarks made a motion to amend the pleadings to conform to the evidence
regarding emotional distress damages elicited at trial, a failure to move to amend the
pleadings “does not affect the result of the trial of these issues.” M. R. Civ. P. 15(b).
¶64 Clarks’ claim of emotional distress having been tried, the District Court was
required to issue findings of fact and conclusions of law in respect to this claim. The
court entered no findings of fact or conclusions of law on Clarks’ claim; the court simply
and summarily dismissed it. Accordingly, and for the same reasons previously discussed,
we conclude that the District Court’s order dismissing Clarks’ emotional distress
counterclaim must be vacated. We remand this issue with instructions that the District
Court reconsider Clarks’ counterclaim and enter appropriate findings of fact and
conclusions of law thereon.
Issue 5.
¶65 Did the District Court err in failing to award attorney’s fees and costs to
Respondents under § 70-17-112(5), MCA?
¶66 In their cross-appeals, Respondents argue they are the prevailing party and entitled
to costs and reasonable attorney’s fees under § 70-17-112(5), MCA. Section 70-17-112,
MCA, again, provides:
(1) A person with a canal or ditch easement has a secondary easement to
enter, inspect, repair, and maintain a canal or ditch.
25
(2) No person may encroach upon or otherwise impair any easement for a
canal or ditch used for irrigation or any other lawful domestic or
commercial purpose, including carrying return water.
....
(5) If a legal action is brought to enforce the provisions of this section, the
prevailing party is entitled to costs and reasonable attorney’s fees.
¶67 We have held that “in order to be deemed a ‘prevailing party’ for purposes of
§ 70-17-112(5), MCA . . . a party must successfully prevail on all claims raised pursuant
to this statute.” Espy v. Quinlan, 2000 MT 193, ¶ 28, 300 Mont. 441, ¶ 28, 4 P.3d 1212,
¶ 28 (citation omitted). Moreover, where a party brought an action under § 70-17-112,
MCA, “and then failed to prevail on any of his claims, the other party was entitled to
costs and fees.” Engel v. Gampp, 2000 MT 17, ¶ 40, 298 Mont. 116, ¶ 40, 993 P.2d 701,
¶ 40, overruled in part on other grounds, Shammel, ¶ 12 n. 2.
¶68 Respondents brought their counterclaims to enforce the provisions of § 70-17-112,
MCA. As we held in ¶ 50, the District Court erred in determining that Byrums had not
interfered with Respondents’ rights under § 70-17-112, MCA. Accordingly, as a matter
of law, Respondents are the prevailing party for the purposes of this issue. Thus, the
District Court’s failure to award Respondents their costs and reasonable attorney’s fees
pursuant to § 70-17-112(5), MCA, is reversed and remanded for further proceedings
consistent with this Opinion.
¶69 Before leaving this discussion, however, we must address one other matter.
Pursuant to Issue 2, we remanded this cause to the District Court for further proceedings
as are determined to be necessary by the court and for entry of specific factual findings in
support of its determination on whether Byrums violated Rule 11, and if so, as to the
26
appropriateness of the choice of sanction imposed. See ¶¶ 29-37. Under the instant
Issue, we are remanding for further proceedings for the determination of costs and
attorney’s fees for Byrums’ violation of § 70-17-112, MCA. This raises the question of
whether Byrums may be chargeable with both Rule 11 sanctions and statutory costs and
attorney’s fees.
¶70 Because we did not locate any cases directly on point, we look to the Advisory
Committee Notes to F. R. Civ. P. 11, from which Montana’s Rule 11 derives. The
Committee notes state:
Rule 11 is not the exclusive source for control of improper presentations of
claims, defenses, or contentions. It does not supplant statutes permitting
awards of attorney's fees to prevailing parties or alter the principles
governing such awards. It does not inhibit the court in punishing for
contempt, in exercising its inherent powers, or in imposing sanctions,
awarding expenses, or directing remedial action authorized under other
rules or under 28 U.S.C. § 1927.
(Emphasis added).
¶71 As already noted, an attorney or party is sanctioned under Rule 11 for signing and
interposing pleadings, motions, and other papers for the improper purposes set out in the
Rule. See ¶¶ 16, 19, 32. On the other hand, a person is punished pursuant to
§ 70-17-112, MCA, for forcing the plaintiff to vindicate in court his or her rights under
the statute. In short, the conduct being punished is distinct under each respective source
of authority.
¶72 Therefore, we conclude that the District Court may award sanctions for both a
Rule 11 violation and statutory attorney’s fees and costs. That said, however, we also
conclude that if the District Court chooses to impose attorney’s fees and costs as a
27
sanction for the Rule 11 violation, it must insure that the attorney’s fees and costs
imposed for that violation are not based on the conduct for which attorney’s fees and
costs are awarded under the statute. Parties are entitled to be awarded their attorney’s
fees and costs once for conduct sanctioned under the statute and under the Rule (if
awarding fees and costs is the sanction imposed). Litigants are not, however, entitled to
duplicate awards for the same conduct. We expect that the District Court will sort
through these matters and issue specific findings of fact following an evidentiary hearing.
CONCLUSION
¶73 In summary, we affirm the District Court’s decision that Respondents did not
breach the Settlement Agreement. Byrums’ unsuccessful appeal of that issue is therefore
affirmed. However, we order the District Court’s grant of Rule 11 sanctions against
Byrums vacated and we remand this issue to the District Court for further proceedings in
accordance with our discussion and decision under Issue 2. Additionally, we hold that
while the District Court may have abused its discretion in admitting Clark’s testimony of
other incidents with Byrums, the court’s error caused no demonstrated prejudice and was
therefore harmless.
¶74 With respect to Respondents’ cross-appeals, the District Court’s erred in finding
that Byrums did not interfere with Respondents’ rights to the Ditch pursuant to
§ 70-17-112, MCA. We reverse and remand for further proceedings consistent with our
discussion under Issue 4, ¶¶ 45-50. We also reverse and remand to the District Court for
further proceedings consistent with our discussion in Issue 4: Respondents’ claim that
Byrums breached the Settlement Agreement; Andrens’ claim that Byrums violated
28
§ 85-1-111, MCA, and caused a nuisance; and Clarks’ claim of emotional distress
resulting from Byrums’ conduct and their instigation of the instant lawsuit.
¶75 Finally, the issue of Respondents’ attorney’s fees and costs is reversed and
remanded to the District Court for further proceedings consistent with our discussion in
Issue 5.
¶76 Affirmed in part; reversed in part; and remanded in part for further proceedings
consistent with this Opinion.
/S/ JAMES C. NELSON
We Concur:
/S/ KARLA M. GRAY
/S/ PATRICIA COTTER
/S/ W. WILLIAM LEAPHART
/S/ JIM RICE
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