Earl v. Pavex, Corp. , 372 Mont. 476 ( 2013 )


Menu:
  •                                                                                       November 12 2013
    DA 12-0466
    IN THE SUPREME COURT OF THE STATE OF MONTANA
    
    2013 MT 343
    JAMES EARL and RACHEL E. EARL,
    Plaintiffs, Appellees, & Cross-Appellants,
    v.
    PAVEX, CORP., an Arizona corporation
    licensed to do business in Montana,
    Defendant, Appellant, & Cross-Appellee.
    APPEAL FROM:           District Court of the Sixteenth Judicial District,
    In and For the County of Rosebud, Cause No. DV 08-66
    Honorable Joe L. Hegel, Presiding Judge
    COUNSEL OF RECORD:
    For Appellant:
    Gerry P. Fagan, Brandon JT Hoskins, Moulton Bellingham PC, Billings,
    Montana
    For Appellees:
    Steven W. Jennings, Crowley Fleck PLLP, Billings, Montana
    Submitted on Briefs: May 15, 2013
    Decided: November 12, 2013
    Filed:
    __________________________________________
    Clerk
    Justice Laurie McKinnon delivered the Opinion of the Court.
    ¶1     James and Rachel Earl commenced this action against Pavex Corporation in the
    Sixteenth Judicial District Court, Rosebud County. The Earls sought declaratory rulings
    concerning two overlapping easements—one 100 feet in width, the other 30 feet in
    width—that burden the Earls’ land for the benefit of Pavex’s land. The Earls conceded
    the 30-foot-wide easement but disputed the 100-foot-wide easement. They asserted that
    the latter easement is unenforceable because it does not appear in the chain of title to the
    Earls’ property. In the alternative, even if the 100-foot-wide easement is valid, the Earls
    alleged that they are not required to remove structures and cropland that encroach upon
    the 30-foot-wide and 100-foot-wide easements.
    ¶2     The District Court concluded that the 100-foot-wide easement does not burden the
    Earls’ property and, thus, granted summary judgment to the Earls on this issue. The court
    further concluded that the Earls may be required to remove structures and cropland from
    the easements—the 30-foot-wide easement, as well as the 100-foot-wide easement if this
    Court found the latter easement valid—to the extent necessary to effectuate the purposes
    of the easements. The court thus granted summary judgment to Pavex on this issue.
    ¶3     Pavex now appeals from the District Court’s ruling that the 100-foot-wide
    easement does not burden the Earls’ property, and the Earls cross-appeal from the court’s
    ruling that encroachments may need to be removed. We address two issues: (1) whether
    Pavex’s 100-foot-wide easement was extinguished by failure to properly record it, and
    (2) whether encroachments need to be removed from Pavex’s easements. We reverse as
    to Issue 1, affirm as to Issue 2, and remand for further proceedings as specified below.
    2
    BACKGROUND
    ¶4     The two parcels of land at issue in this case were previously held by Edward,
    Mattie, Robert, Mary, Benjamin, and Kathyrn Keim as a single 390.841-acre tract
    designated “Tract 1” on Certificate of Survey No. 85486, which is shown here:1
    30-foot-wide easement 
    Rosebud County
    Road #S-447                             Tract 1
                                     COS 85486
    30-foot-wide easement 
    Tract 1
    COS 85486
    Tract 1   30-foot-wide easement
    COS 85486
    
    Rosebud County          30-foot-wide
    Road #S-447          easement
    ¶5     There is a 30-foot-wide easement over Tract 1 beginning at Rosebud County Road
    #S-447 and running in easterly and northerly directions, as shown by the dashed line on
    the diagram above. It appears from documents in the record that one of the Keims’
    1
    The diagrams contained in this Opinion are part of the record in this case, with some
    labeling added for clarity.
    3
    predecessors in interest (Tongue River Farms, LLC) granted this easement in 1999 for
    purposes of ingress, egress, and utilities to land north and west of Tract 1. As noted,
    there is no dispute concerning the validity of this easement, although there is a dispute
    concerning the need for the Earls to remove encroachments from it.
    ¶6    In 2006, the Keims executed Amended Certificate of Survey No. 85486/99927,
    which divided Tract 1 into a 275.940-acre parcel designated Tract 1A and a 52.828-acre
    parcel designated Tract 2A. (It appears the southernmost 62.073 acres of original Tract 1
    had already been severed.) Amended Certificate of Survey No. 85486/99927 shows the
    same 30-foot-wide easement over what is now Tract 2A and Tract 1A.
    30-foot-wide easement 
    Tract 1A
    30-foot-wide easement 
    Rosebud County
    Road #S-447 
    Tract 1A
     30-foot-wide easement
    Tract 2A
    
    30-foot-wide
    easement
    4
    ¶7     The Keims filed Amended Certificate of Survey No. 85486/99927 with the
    Rosebud County Clerk and Recorder on August 16, 2006. Nine days later, on August 25,
    the Keims conveyed Tract 1A to Pavex by a warranty deed which referenced Amended
    Certificate of Survey No. 85486/99927. The Keims retained Tract 2A. In the deed, the
    Keims granted Pavex a 100-foot-wide easement over Tract 2A, described as follows:
    together with a non-exclusive, perpetual easement, 100 feet in width,
    running with the land, for ingress and egress, and for the installation,
    maintenance, repair and replacement of utilities, from the Tongue River
    Road to the aforesaid Tract 1A of COS 99927 along, over and beneath an
    existing roadway on the southerly boundary of [Tract 2A] . . . .
    ¶8     It appears from the foregoing description that the 100-foot-wide easement follows
    the same course as the existing 30-foot-wide easement. Pavex’s owner, Siamak Samsam,
    filed an affidavit in the present lawsuit stating that he insisted on the 100-foot-wide
    easement over Tract 2A when he purchased Tract 1A. He explained that the extra width
    is necessary to enable the passage of farm equipment and semi-trucks and trailers and that
    the 30-foot-wide easement, in its existing configuration, is insufficient for this purpose.
    ¶9     The Keims-Pavex warranty deed was filed with the Rosebud County Clerk and
    Recorder on September 15, 2006. Seven months later, in April 2007, the Keims entered
    into a contract for deed for the sale of Tract 2A to the Earls. The contract for deed refers
    to Amended Certificate of Survey No. 85486/99927 but makes no mention of the
    100-foot-wide easement granted in the Keims-Pavex warranty deed.
    ¶10    The Earls assert that when they purchased Tract 2A, they had knowledge of the
    30-foot-wide easement but were unaware of the 100-foot-wide easement. The Earls state
    that they became aware of the latter easement in April 2008 when James Earl stopped a
    5
    motorist who was using the roadway over Tract 2A in order to reach Tract 1A. When
    James asked the motorist what he was doing, the motorist (an associate of Pavex) replied
    that Pavex holds a 100-foot-wide easement over the southern portion of Tract 2A and that
    the Earls would need to remove their encroachments from this easement.
    ¶11    Following this encounter, the Earls contacted Pavex’s title company and inquired
    about the alleged easement. The title company sent the Earls a copy of the deed in which
    the Keims had granted Pavex the 100-foot-wide easement. The Earls then contacted their
    own title company. They asserted that their title company had “missed” the Keims-Pavex
    deed in the title search and demanded that the title company “fight to get this easement
    off our land.”
    ¶12    The instant action was filed on July 1, 2008, seeking to invalidate Pavex’s claimed
    100-foot-wide easement or, in the alternative, to obtain a ruling that the Earls are not
    required to remove their structures and cropland from Pavex’s easement(s). The parties
    filed cross-motions for summary judgment on both issues. The proceedings were stayed
    for approximately 20 months while the parties attempted to settle the dispute; however,
    when such efforts proved unsuccessful, the District Court proceeded to issue its rulings
    from which the parties now appeal and cross-appeal. The District Court’s reasoning will
    be discussed below.
    STANDARD OF REVIEW
    ¶13    We review a district court’s ruling on a motion for summary judgment de novo,
    applying the criteria set forth in M. R. Civ. P. 56. Gordon v. Kuzara, 
    2012 MT 206
    , ¶ 13,
    
    366 Mont. 243
    , 
    286 P.3d 895
    . Summary judgment “should be rendered if the pleadings,
    6
    the discovery and disclosure materials on file, and any affidavits show that there is no
    genuine issue as to any material fact and that the movant is entitled to judgment as a
    matter of law.” M. R. Civ. P. 56(c)(3). At the summary judgment stage, the court does
    not make findings of fact, weigh the evidence, choose one disputed fact over another, or
    assess the credibility of witnesses.      Rather, the court examines the pleadings, the
    discovery and disclosure materials on file, and any affidavits to determine whether there
    is a genuine issue as to any material fact relating to the legal issues raised and, if there is
    not, whether the moving party is entitled to judgment as a matter of law on the
    undisputed facts. Andersen v. Schenk, 
    2009 MT 399
    , ¶ 2, 
    353 Mont. 424
    , 
    220 P.3d 675
    .
    DISCUSSION
    ¶14    Issue 1. Whether Pavex’s 100-foot-wide easement was extinguished by failure
    to properly record it.
    ¶15    As discussed, the Keims held Tract 1A and Tract 2A in common ownership. In
    August 2006, they sold Tract 1A to Pavex and retained Tract 2A for themselves. In the
    deed, the Keims granted Pavex an easement 100 feet in width over Tract 2A for the
    benefit of Tract 1A. There is no dispute that this was an enforceable easement as
    between the Keims and Pavex.
    ¶16    The problem arose eight months later when the Keims sold Tract 2A to the Earls,
    without any mention of Pavex’s 100-foot-wide easement in the Keims-Earls deed. This
    not uncommon situation has been described in a leading treatise as follows:
    A landowner may convey Blackacre and grant therewith an easement, such
    as a right of way over his adjoining lot, Whiteacre, to which he retains title;
    or he may agree not to use Whiteacre in a certain way or for certain
    purposes. In either case, he has created a servitude which is an
    7
    encumbrance against Whiteacre. Is a subsequent purchaser of the latter,
    who has no actual notice of the easement or restriction, bound by the record
    of the deed of Blackacre?[2]
    American Law of Property vol. 4, § 17.24, 601-02 (Little, Brown & Co. 1952).
    ¶17    Whether a subsequent purchaser of the servient estate is bound by the servitude
    depends on the recording statutes and the required scope of the title search.              Laws
    governing the recording of instruments of conveyance are in force in all the states. Joyce
    Palomar, Patton and Palomar on Land Titles vol. 1, § 4, 14 (3d ed., West 2003); see
    generally Title 70, chapter 21, MCA. These laws generally serve three purposes: to
    secure prompt recordation of all conveyances by according priority of right to the
    purchaser who is first to record her conveyance; to protect subsequent purchasers against
    unknown conveyances and agreements regarding the land; and to preserve an accessible
    history of each title so that anyone needing the information may reliably ascertain in
    whom the title is vested and any encumbrances against it. Palomar, Patton and Palomar
    on Land Titles § 4, 14; see also Blazer v. Wall, 
    2008 MT 145
    , ¶ 73, 
    343 Mont. 173
    , 
    183 P.3d 84
    (a central depository of instruments affecting title to real property “enables a
    prospective purchaser to determine what kind of title he or she is obtaining without
    having to search beyond public records”); Erler v. Creative Fin. & Invs., 
    2009 MT 36
    ,
    ¶ 21, 
    349 Mont. 207
    , 
    203 P.3d 744
    (the recording system “imparts constructive notice to
    subsequent purchasers that there exists another interest in the property”).
    2
    There is some disagreement between the Earls and Pavex about whether the Earls had
    “actual notice” of the 100-foot-wide easement in April 2007 when they executed the contract for
    deed. As discussed below, such notice (if it existed) would preclude the Earls from disputing the
    easement’s validity. However, we need not consider the issue of actual notice because we
    conclude, for the reasons which follow, that the Earls had constructive notice of the easement.
    8
    ¶18    To effectuate these purposes, the recording acts provide that certain instruments
    are ineffective or void as to certain parties unless the instruments are duly recorded.
    Palomar, Patton and Palomar on Land Titles § 5, 24-25. Of relevance here, when
    multiple purchasers hold conflicting interests in a given property, the recording acts will
    accord priority of right based on one of three approaches. Under the “race” recording
    system, the purchaser who records first has priority of right. Thus, to preserve her rights,
    an earlier purchaser must record her conveyance before a later purchaser records his
    conflicting conveyance, and this is true even if the later purchaser has knowledge of the
    prior conveyance. Palomar, Patton and Palomar on Land Titles §§ 6, 7, at 27-30, 33.
    This has been termed a “race to the courthouse” system of recordation. Wede v. Niche
    Mktg. USA, LLC, 
    52 So. 3d 60
    , 63 n. 6 (La. 2010). Under the “notice” recording system,
    in contrast, a subsequent purchaser with actual notice of a prior unrecorded conveyance
    cannot claim priority over the prior purchaser. However, a subsequent purchaser without
    actual notice of a prior conveyance has priority over an earlier purchaser who fails to
    record her conveyance before the later purchase occurs. Palomar, Patton and Palomar
    on Land Titles § 7, 31-34. Lastly, under the “race-notice” recording system, a subsequent
    purchaser has priority over an earlier purchaser if the subsequent purchaser (1) lacks
    notice of the prior conveyance and (2) records his conveyance before the prior
    conveyance is recorded. Palomar, Patton and Palomar on Land Titles § 8, 35-39. About
    one-third of the states—including Montana—have a race-notice recording system. See
    Palomar, Patton and Palomar on Land Titles § 8, 36-37 & n. 8; §§ 70-20-303, 70-21-304,
    MCA; Hastings v. Wise, 
    91 Mont. 430
    , 435-36, 
    8 P.2d 636
    , 638-39 (1932).
    9
    ¶19   The significance of the recording acts in the present case is that the failure to duly
    record an express easement may result in the easement’s termination—which is what the
    District Court essentially determined had occurred to Pavex’s 100-foot-wide easement.
    In a state with a notice recording system, an unrecorded express
    easement is extinguished when a bona fide purchaser acquires title to the
    servient estate without notice of the easement. The same result occurs in a
    jurisdiction [such as Montana] with a race-notice recording statute if the
    bona fide purchaser without notice also records the deed to the servient
    estate before the easement is recorded.
    Jon W. Bruce & James W. Ely, Jr., The Law of Easements and Licenses in Land § 10:32,
    10-90 to 10-92 (Thomson Reuters 2013) (footnotes omitted); accord Restatement (Third)
    of Property: Servitudes § 7.14 (2000); Herbert T. Tiffany, The Law of Real Property
    vol. 3, § 828, 397-99 (3d ed. 1939 & Supp. 1998); Richard R. Powell, Powell on Real
    Property vol. 4, § 34.21[2], 34-197 to 34-198 (LexisNexis Mathew Bender 2013). “In
    either recording system, an easement holder can preserve the easement simply by
    recording the easement instrument immediately upon receiving it, thereby imparting
    constructive notice of the servitude to subsequent purchasers of the servient estate.”
    Bruce & Ely, The Law of Easements and Licenses in Land § 10:32, 10-92.
    ¶20   There is no question that the Keims-Pavex deed was recorded in September 2006,
    seven months before the Earls entered into the contract for deed with the Keims for the
    purchase of Tract 2A. However, of further significance to this case, it has been held that
    a prior conveyance is not “of record” unless and until it is recorded in such a way that a
    subsequent purchaser may find it in a chain-of-title search. See Palomar, Patton and
    Palomar on Land Titles § 8, 39-40 (citing Keybank N.A. v. NBD Bank, 
    699 N.E.2d 322
    10
    (Ind. App. 1st Dist. 1998)). As the court explained in Keybank,
    [t]he recording of an instrument in its proper book is fundamental to the
    scheme of providing constructive notice through the records. . . . A person
    charged with the duty of searching the records of a particular tract of
    property is not on notice of any adverse claims which do not appear in the
    chain of title; because, otherwise, the recording statute would prove a snare,
    instead of a protection[, to subsequent purchasers]. . . . Constructive notice
    is provided when a deed or mortgage is properly acknowledged and placed
    on the record as required by statute. However, an otherwise valid
    instrument which is not entitled to be recorded, improperly recorded, or
    recorded out of the chain of title does not operate as constructive notice,
    although binding upon persons having actual 
    notice. 699 N.E.2d at 327
    (citations and paragraph break omitted).
    ¶21   At this point, it is necessary to briefly explain the indexing system. Traditionally,
    jurisdictions have used one of two methods of index preparation:          tract indices or
    grantor/grantee name indices. Palomar, Patton and Palomar on Land Titles § 67, 223.
    Montana uses a grantor/grantee indexing system. As each instrument is received by the
    county clerk, the name of the grantor is placed alphabetically on the appropriate page of
    the grantor index, followed by the name of the other party to the document, the book and
    page of the record, description of the property, dates, etc. At the same time, there is
    entered alphabetically in a separate grantee index the name of the grantee, with identical
    information about the document. Palomar, Patton and Palomar on Land Titles § 67, 225;
    §§ 7-4-2613, -2617, -2619, -2620, MCA. These alphabetical indices make it possible to
    run a chain of title, either forward or backward, from any known owner:
    A searcher may begin with the name of the present owner and work
    backward under the proper letter of the grantee index until finding the name
    of that party as grantee in a deed for the land involved. The data regarding
    the deed is copied from the index and the process repeated as to the grantor
    in that deed, thus finding the earlier deed in which he was grantee, and so
    11
    on back for a certain number of years or back to the original grant from a
    sovereignty. In order to ascertain mortgages and other encumbrances, the
    grantor indices must then be run forward as to each name for the period that
    said party owned the premises. Another method of search is to run the
    grantor indices, running the name of an early owner until the deed from him
    is found, then running the name of party to whom he conveyed and so on
    down to the date of search, noting en route the encumbrance given by the
    respective owners.
    Palomar, Patton and Palomar on Land Titles § 67, 225-26 (footnotes omitted).
    ¶22    The crux of the issue in this case is whether Pavex’s 100-foot-wide easement was
    recorded in such a way that the Earls should have found it in a chain-of-title search.
    “There are two lines of authority on the question whether a servitude created by a
    common grantor in the deed to the benefited parcel is in the chain of title of the burdened
    lot.” Restatement (Third) of Property: Servitudes § 7.14, Reporter’s Note: Chain of Title;
    see also Palomar, Patton and Palomar on Land Titles § 72, 240; American Law of
    Property § 17.24, 602; Tiffany, The Law of Real Property vol. 5, § 1266, 23-25.
    According to the Restatement, “[t]he majority view is that the chain of title includes all
    servitudes created by the common grantor prior to parting with title to the parcel in
    question.”   Restatement (Third) of Property: Servitudes § 7.14, cmt. b.       Under this
    approach, a prospective purchaser is on constructive notice not only of conveyances to
    the prior owners of the parcel, but also of conveyances from the prior owners of the
    parcel during each of their respective periods of ownership. Pavex advocates for this
    broad chain-of-title concept. Conversely, “the minority view restricts the required title
    search to conveyances of the parcel in question.” Restatement (Third) of Property:
    Servitudes § 7.14, cmt. b. The Earls advocate for this narrow chain-of-title concept.
    12
    ¶23    New York applies the narrow approach; hence, an owner of land is bound by
    encumbrances (of which he does not have actual notice at the time of his purchase) only
    if the encumbrances “appear in some deed of record in the conveyance to himself or his
    direct predecessors in title.” Buffalo Acad. of the Sacred Heart v. Boehm Bros., Inc., 
    196 N.E. 42
    , 45 (N.Y. 1935) (emphasis added); accord Witter v. Taggart, 
    577 N.E.2d 338
    ,
    340-42 (N.Y. 1991); Simone v. Heidelberg, 
    877 N.E.2d 1288
    , 1290 (N.Y. 2007). In
    explaining the rationale underlying this approach, the Witter court reasoned that
    [t]o impute legal notice for failing to search each chain of title or “deed
    out” from a common grantor would seem to negative the beneficent
    purposes of the recording acts and would place too great a burden on
    prospective purchasers. Therefore, purchasers . . . should not be penalized
    for failing to search every chain of title branching out from a common
    grantor’s roots in order to unearth potential [encumbrances]. They are
    legally bound to search only within their own tree trunk line and are bound
    by constructive or inquiry notice only of [encumbrances] which appear in
    deeds or other instruments of conveyance in that primary 
    stem. 577 N.E.2d at 341
    (citation and some internal quotation marks omitted). The court
    opined that the dominant landowner or the common grantor could safeguard against the
    encumbrance’s extinguishment “by recording in the servient chain the conveyance
    creating the [encumbrance] so as to impose notice on subsequent purchasers of the
    servient land.” 
    Witter, 577 N.E.2d at 341
    . Other cases adopting a similar view include
    Hancock v. Gumm, 
    107 S.E. 872
    , 877 (Ga. 1921), Glorieux v. Lighthipe, 
    96 A. 94
    , 95-96
    (N.J. 1915), and Spring Lakes, Ltd. v. O.F.M. Co., 
    467 N.E.2d 537
    , 539-40 (Ohio 1984).
    ¶24    Pavex cites Dukes v. Link, 
    315 S.W.3d 712
    (Ky. App. 2010), in support of the
    broad chain-of-title concept. The Dukes court held that “the recording of the instrument
    that grants an easement by a common grantor binds a subsequent purchaser of the tract
    13
    burdened by the easement regardless of whether it is included in the purchaser’s 
    deed.” 315 S.W.3d at 717
    . The court reasoned that “to hold otherwise would leave the holders
    of easements subject to the whim of a common grantor who could defeat that interest by
    conveying the same interest to multiple grantees by omitting the easement from the
    deeds.” 
    Dukes, 315 S.W.3d at 717
    . In addition, the court noted that a landowner cannot
    convey a greater right or estate than he actually possesses, and that the recording statutes
    protect purchasers against adverse claims of which they “could not have been reasonably
    aware.” 
    Dukes, 315 S.W.3d at 717
    . Other cases similarly holding that a purchaser is on
    notice of recorded encumbrances from a common grantor during the time he held title to
    the premises in question include Hamilton v. Smith, 
    208 S.W.2d 425
    , 427 (Ark. 1948),
    Szakaly v. Smith, 
    544 N.E.2d 490
    , 492 (Ind. 1989), Beins v. Oden, 
    843 A.2d 147
    , 151-52
    (Md. Spec. App. 2004), Guillette v. Daly Dry Wall, Inc., 
    325 N.E.2d 572
    , 574-75 (Mass.
    1975), McQuade v. Wilcox, 
    183 N.W. 771
    , 773-74 (Mich. 1921), Duxbury-Fox v.
    Shakhnovich, 
    989 A.2d 246
    , 252-53 (N.H. 2009), Cullison v. Hotel Seaside, Inc., 
    268 P. 758
    , 760 (Or. 1928), Piper v. Mowris, 
    351 A.2d 635
    , 639 (Pa. 1976), and Moore v.
    Center, 
    204 A.2d 164
    , 167 (Vt. 1964). “The rule is based generally upon the principle
    that a grantee is chargeable with notice of everything affecting his title which could be
    discovered by an examination of the records of the deeds or other muniments of title of
    his grantor.” 
    Piper, 351 A.2d at 639
    (internal quotation marks omitted).
    ¶25    We conclude that the broad approach strikes the appropriate balance between the
    interest of the owner of the dominant property in retaining her easement and the interest
    of the purchaser of the servient property in ascertaining whether that land is encumbered.
    14
    The narrow chain-of-title concept creates an unacceptable risk that an otherwise valid and
    recorded easement will be extinguished through mere failure to mention the easement in
    a deed conveying the servient property. This result is contrary to the recording system’s
    purpose of “impart[ing] constructive notice to subsequent purchasers that there exists
    another interest in the property.” Erler, ¶ 21. The general rule in Montana is that
    “[e]very conveyance of real property acknowledged or proved and certified and recorded
    as prescribed by law, from the time it is filed with the county clerk for record, is
    constructive notice of the contents thereof to subsequent purchasers and mortgagees.”
    Section 70-21-302(1), MCA; see also § 70-21-301, MCA (defining “conveyance” to
    embrace “every instrument in writing by which any estate or interest in real property is
    created, aliened, mortgaged, or encumbered or by which the title to real property may be
    affected, except wills”). Refusing to impute legal notice of recorded encumbrances given
    by a landowner while he held title to the servient parcel would negate the broad
    constructive notice contemplated by these statutes.
    ¶26   Furthermore, we are not persuaded that it would “negative the beneficent purposes
    of the recording acts” or “place too great a burden on prospective purchasers,” 
    Witter, 577 N.E.2d at 341
    , to require that they search for and examine recorded conveyances by
    prior owners of the premises in question to ascertain whether encumbrances or servitudes
    were placed on the property. “The practical effect of the [recording] acts is that an
    intending purchaser of land may, by reference to the record, determine whether his
    vendor has previously disposed of any interest in the land.” Tiffany, The Law of Real
    Property vol. 5, § 1262, 14. The intending purchaser may do the same with respect to
    15
    preceding owners of the land during their respective periods of ownership. Tiffany, The
    Law of Real Property vol. 5, § 1262, 14-15.
    The searcher beginning his chain of title uses as a starting point the name of
    the present owner. By following that name back in the grantee index, the
    examiner will usually find the grantor from whom he acquired title. Then
    the name of that party is used in tracing back till the name of the previous
    owner is ascertained, and the process is repeated till one has traced the
    chain as far back as practical safety requires, or as far as the records are
    intelligible to the examiner. . . . Having thus made a skeleton chain of title,
    it is necessary to run the grantor indices as to each name for the period
    that each party owned the property. This should furnish confirmation of
    the skeleton and also provide a list of the recorded encumbrances, junior
    interests, and clouds. In turn, it may be necessary to “grantor” the names of
    these donees in order to ascertain assignments and releases.
    American Law of Property § 18.1, 656-57 n. 3 (emphases added, cross-reference and
    paragraph breaks omitted). The ability to conduct such searches is made possible by the
    maintenance of grantor indices and grantee indices in the county clerk offices throughout
    this State. See §§ 7-4-2613, -2617, -2619, -2620, MCA. Indeed, that is a key function of
    the two indices. Here, had the Earls properly examined the grantor index for the period
    during which the Keims owned the land now comprising Tract 2A, they would have
    found the recorded deed from the Keims to Pavex in which the Keims granted Pavex an
    easement 100 feet in width over Tract 2A. A purchaser cannot ignore such deeds issued
    by a common grantor, or fail to search for them, on the theory that the deeds are outside
    the servient estate’s “chain of title.” To hold otherwise would undermine the broad
    constructive notice afforded recorded conveyances under the recording statutes.
    ¶27   At this juncture, it is necessary to address our decision in Nelson v. Barlow, 
    2008 MT 68
    , 
    342 Mont. 93
    , 
    179 P.3d 529
    . The Earls rely on Nelson in support of the narrow
    16
    chain-of-title concept, and the District Court found Nelson “controlling” in resolving this
    case. In Nelson, the Cedar Hills Partnership owned lots in the Cedar Hills Subdivision,
    which bordered Flathead Lake. The Partnership sold Tract 1 to Nelson in 1990. In the
    deed, which was recorded, the Partnership granted Nelson a “roadway easement as shown
    on Certificate of Survey No. 4377 for access to Lot 8 of Cedar Hills Subdivision.” The
    Partnership still owned Lot 8 at the time. In 1996, the Partnership sold several lots,
    including Lot 8, to Barlow. Barlow’s deed contained no mention of the easement granted
    in Nelson’s deed. A dispute later arose over the parameters of Nelson’s easement.
    Nelson claimed that “access to Lot 8” meant that he was entitled to cross Lot 8 to access
    Flathead Lake, while Barlow claimed that Nelson had access along Cedar Hills Drive up
    to the northern boundary of Lot 8, but not across Lot 8. Nelson, ¶¶ 3-7, 10-11.
    ¶28    The case was decided on the pleadings. Nelson, ¶ 9. This Court concluded that
    “access to Lot 8” was susceptible to two reasonable but conflicting meanings and, as
    such, was ambiguous. Nelson, ¶¶ 14-15. The Court further concluded, however, that the
    easement was unenforceable in any event because Nelson had failed to allege in his
    complaint that the easement appeared in Barlow’s chain of title or that Barlow otherwise
    had knowledge of the easement. Nelson, ¶ 18. In this regard, the Court cited New York
    precedent for the proposition that, “ ‘ “[i]n the absence of actual notice before or at the
    time of . . . purchase or of other exceptional circumstances, an owner of land is only
    bound by restrictions if they appear in some deed of record in the conveyance to [that
    owner] or [that owner’s] direct predecessors in title.” ’ ” Nelson, ¶ 16 (brackets and
    ellipsis in original) (quoting Puchalski v. Wedemeyer, 
    586 N.Y.S.2d 387
    , 389 (N.Y. App.
    17
    Div. 3d Dept. 1992), in turn quoting 
    Witter, 577 N.E.2d at 340
    ); accord Waters v. Blagg,
    
    2008 MT 451
    , ¶ 7 n. 2, 
    348 Mont. 48
    , 
    202 P.3d 110
    .
    ¶29    Based on the foregoing language in Nelson, the Earls argue that “chain of title”
    includes only deeds of record in the conveyance “to” a landowner or that landowner’s
    direct predecessors in title (the narrow chain-of-title concept). Thus, because Pavex’s
    100-foot-wide easement does not appear in a deed of record “to” the Earls or their direct
    predecessors in title (the Keims), the Earls assert they are not bound by this easement.
    The District Court agreed with this reasoning in granting summary judgment to the Earls.
    ¶30    On appeal, Pavex argues that Nelson is distinguishable from the present case and
    that we should apply the broad chain-of-title approach here. However, we perceive no
    principled distinction between this case and Nelson. In Nelson and the present case, the
    land that would become the dominant parcel and the land that would become the servient
    parcel were held in common ownership. In both cases, the common grantor sold the
    dominant parcel and retained the servient parcel. In both cases, the deed for the dominant
    parcel referred to a certificate of survey that did not give notice of the claimed easement.
    In both cases, the deed for the dominant parcel contained language granting the claimed
    easement over the common grantor’s retained property. In both cases, the common
    grantor subsequently sold the retained property without any mention of the previously
    granted easement. In both cases, the purchaser of the servient parcel apparently had no
    actual knowledge of the easement. In both cases, had the purchaser searched the record
    for encumbrances given by the common grantor during the time he owned the servient
    land, the purchaser would have discovered the claimed easement.
    18
    ¶31    Thus, we are faced with either perpetuating the narrow chain-of-title rule that the
    Court imported from New York in the Nelson case, or overruling Nelson in favor of the
    broad chain-of-title rule. The Court in Nelson, and again in Waters, gave no reasoning to
    support its application of the narrow chain-of-title rule. Under the narrow approach, as
    explained, a prospective purchaser is not required to search the records for servitudes
    created by her grantor prior to parting with title to the parcel. The purchaser, in other
    words, is not on constructive notice of recorded encumbrances given by her grantor while
    he owned the property. She is on constructive notice only of conveyances “to” her
    grantor, not “from” her grantor. This approach is in direct contradiction of Montana law,
    which provides that every instrument in writing by which any estate or interest in real
    property is created, aliened, mortgaged, or encumbered, or by which the title to real
    property may be affected, “is constructive notice of the contents thereof to subsequent
    purchasers and mortgagees” from the time it is filed with the county clerk for record.
    Sections 70-21-301, -302(1), MCA. Having considered the rationales underlying the two
    chain-of-title concepts and the purposes of the recording statutes, we conclude that the
    broad chain-of-title rule strikes the appropriate balance between the dominant
    landowner’s interest and the servient purchaser’s interest and is consistent with the broad
    constructive notice that recorded conveyances are afforded under § 70-21-302(1), MCA.
    For these reasons, Nelson and Waters are overruled to the limited extent that these cases
    support the narrow chain-of-title rule.
    ¶32    In addition to New York precedent, the Court in Nelson, ¶ 16, also cited three
    Montana cases as examples of the narrow chain-of-title rule: Rigney v. Swingley, 112
    
    19 Mont. 104
    , 
    113 P.2d 344
    (1941), Goeres v. Lindey’s, Inc., 
    190 Mont. 172
    , 
    619 P.2d 1194
    (1980), and Loomis v. Luraski, 
    2001 MT 223
    , 
    306 Mont. 478
    , 
    36 P.3d 862
    . Upon closer
    examination, however, we conclude that these cases are not controlling here.
    ¶33    First, Rigney concerned a mortgage on an automobile. The mortgage had been
    executed by an individual who was not the automobile’s owner. This Court, therefore,
    held that the mortgage was not in the automobile’s chain of title. 
    Rigney, 112 Mont. at 106-09
    , 113 P.2d at 346-47. That is entirely distinguishable from the present case and
    Nelson, where the servitude was granted by the undisputed owner of the land in question.
    ¶34    Second, Goeres—which the Earls cite several times in their brief on appeal—
    involved a covenant that restricted certain subdivision lots to noncommercial use.
    Although defendant Lindey’s title insurer had found the restriction in its examination of
    the records, 
    Goeres, 190 Mont. at 174
    , 619 P.2d at 1195-96, the plaintiffs nevertheless
    conceded that the restriction was not part of Lindey’s chain of title, 
    Goeres, 190 Mont. at 178
    , 619 P.2d at 1198. The plaintiffs instead sought enforcement of the restriction on
    equitable grounds. 
    Goeres, 190 Mont. at 175-76
    , 619 P.2d at 1196-97. On the particular
    facts of the case, however, this Court concluded that “[e]quity . . . requires more if this
    Court is to restrict the use of land by mere implication.” 
    Goeres, 190 Mont. at 179
    , 619
    P.2d at 1198. This holding does not mandate a narrow chain-of-title approach.
    ¶35    Lastly, Loomis involved a “stranger to the deed” issue. The Kolbs sold a portion
    of their land to the Luraskis. In the deed, the Kolbs reserved a 30-foot-wide easement
    over the Luraskis’ parcel, which was depicted on a referenced certificate of survey. The
    Kolbs included this reservation to provide access to other property, which the Kolbs did
    20
    not then own, located directly north of the Kolbs’ property. The Kolbs had thought they
    might purchase the property to the north, but when they realized they were not going to
    be able to do so, they recorded an amended certificate of survey which did not include the
    30-foot-wide easement over the Luraskis’ parcel. Loomis, ¶¶ 6-15. Later, the Loomises
    came into ownership of a portion of the northern property and sought to establish an
    easement over the Luraskis’ parcel, for the benefit of the Loomises’ land, based on the
    reservation in the Kolbs-Luraskis deed. Loomis, ¶¶ 16, 27. Yet, neither the Loomises
    nor their predecessors had been parties to that deed, which did not pertain to the
    Loomises’ property and was outside the Loomises’ chain of title. Loomis, ¶ 28. This
    Court held, therefore, that the Loomises had the burden to show that the Kolbs intended
    to reserve an easement for the benefit of a stranger to the deed. Loomis, ¶¶ 32-33. And
    because the Loomises had failed to meet this burden, the Court concluded that they held
    no easement rights over the Luraskis’ parcel. Loomis, ¶¶ 34-37. This holding does not
    support a narrow chain-of-title approach; it simply reaffirms settled law that an easement
    generally cannot be reserved in favor of a stranger to the deed. Loomis, ¶ 31.
    ¶36   Accordingly, consistent with §§ 70-21-301 and -302(1), MCA, we hold that a
    prospective purchaser is on constructive notice of recorded servitudes and encumbrances
    granted by the existing and prior owners of the parcel in question during the respective
    periods when each owner held title to the parcel. Had the Earls properly searched and
    examined the grantor index for conveyances by the Keims during their ownership of the
    land now comprising Tract 2A, the Earls would have discovered Pavex’s 100-foot-wide
    easement. The Earls purchased Tract 2A prior to our decision in Nelson and cannot claim
    21
    reliance on Nelson in failing to discover the 100-foot-wide easement. The Earls, thus,
    were on constructive notice of the easement, and the easement is enforceable against the
    Earls. To the extent that Nelson v. Barlow and Waters v. Blagg are inconsistent with this
    conclusion, they are overruled. Correspondingly, the District Court’s grant of summary
    judgment to the Earls, and denial of summary judgment to Pavex, is reversed as to this
    issue.
    ¶37      Issue 2. Whether encroachments need to be removed from Pavex’s easements.
    ¶38      In August 2006, when the Keims executed the warranty deed conveying Tract 1A
    to Pavex and granting Pavex a 100-foot-wide easement over Tract 2A, there were several
    structures located on Tract 2A, including a rental house, a barn, a well house, and animal
    sheds. Some of these structures are situated partially within the 30-foot-wide easement.
    At certain points, the structures restrict the easement to 19 feet of clearance. There also is
    cropland within the 30-foot-wide easement. Likewise, depending on the precise position
    of the 100-foot-wide easement, the structures and cropland may encroach upon that
    easement as well. The Earls maintain, however, that they are not required to remove the
    structures and cropland because (1) Pavex took its easements over Tract 2A subject to
    open and obvious encroachments that existed at the time of sale and (2) “the owners of
    Tract 2A (the Earls) have an implied easement within Pavex’s easement for the purpose
    of using their structures and cropland.”
    ¶39      The District Court ruled in favor of Pavex on this issue. The court reasoned that
    the plain language of the documents creating the easements is controlling. The court
    observed that the easements were granted for ingress and egress and for the installation,
    22
    maintenance, repair, and replacement of utilities.      The court noted that there is no
    language otherwise limiting the dominant estate’s use of the easements to the fullest
    extent. The court further reasoned that had the grantors wished to limit the easements to
    accommodate structures or cropland, “they could have included such restrictions in the
    document creating the easement. They did not and the Court is not willing to imply or
    insert that which was not included by the grantor.” Finally, the court rejected the Earls’
    claim of an implied easement, noting that an owner of land cannot hold an easement on
    his own land. See Albert G. Hoyem Trust v. Galt, 
    1998 MT 300
    , ¶ 22, 
    292 Mont. 56
    , 
    968 P.2d 1135
    . Thus, the District Court concluded that the encroachments would need to be
    removed to the extent necessary to effectuate the purposes of Pavex’s easements.
    ¶40    On appeal, the Earls contend that the District Court erred because Pavex took its
    easements subject to the encroachments and because the Earls hold an implied easement
    within Pavex’s easements. Pavex, conversely, argues that the District Court’s decision is
    correct because any obstructions which interfere with an easement must be removed.
    Notably, the parties’ citations in support of these arguments are, for the most part, not on
    point. Pavex cites various authorities—such as Musselshell Ranch Co. v. Seidel-Joukova,
    
    2011 MT 217
    , ¶ 26, 
    362 Mont. 1
    , 
    261 P.3d 570
    —for the proposition that the owner of a
    servient estate may not erect or place physical obstructions within the easement. Yet, the
    Earls did not erect or place the physical obstructions at issue in Pavex’s easements; the
    obstructions were already there at the time Tract 2A became burdened with the easements
    benefitting Tract 1A. Likewise, the Earls cite various authorities concerning easements
    implied from existing use, see Yellowstone River, LLC v. Meriwether Land Fund I, LLC,
    23
    
    2011 MT 263
    , ¶ 30, 
    362 Mont. 273
    , 
    264 P.3d 1065
    (explaining such easements), and
    easements which occupy the same physical location. Yet, with one exception discussed
    below, none of these authorities contemplate an easement on the servient property, for the
    benefit of the servient property, consisting of a permanent physical obstruction within the
    dimensions of the easement expressly granted to the dominant property.
    ¶41    The one case cited by the Earls that arguably is analogous to the present case is
    Newton v. N.Y., New Haven & Hartford R.R. Co., 
    44 A. 813
    (Conn. 1899). There, the
    court recognized that a landowner whose property abuts a highway owns the soil to the
    center of the highway in fee. As such, the landowner has not only the rights that all
    others of the community have to travel on the highway, but also certain privileges that are
    not common to the public generally, such as the right to construct a sidewalk, set hitching
    posts, and place stepping stones within the right-of-way as it passes in front of the
    landowner’s property. The court characterized this as “an easement upon an easement.”
    
    Newton, 44 A. at 815-16
    . Even so, however, the court noted that any such obstructions
    must not interfere with the highway or render it unfit for its purpose (public travel).
    
    Newton, 44 A. at 815
    . We conclude that the same principle is controlling here.
    ¶42    Absent an express provision in a grant or reservation, “[t]he owner of the servient
    estate may utilize the easement area in any manner and for any purpose that does not
    unreasonably interfere with the rights of the easement holder.” Bruce & Ely, The Law of
    Easements and Licenses in Land § 8:20, 8-63 to 8-65; accord Sampson v. Grooms, 
    230 Mont. 190
    , 196-97, 
    748 P.2d 960
    , 964 (1988); Strahan v. Bush, 
    237 Mont. 265
    , 268-69,
    
    773 P.2d 718
    , 721 (1989); Gabriel v. Wood, 
    261 Mont. 170
    , 177, 
    862 P.2d 42
    , 46 (1993);
    24
    Mason v. Garrison, 
    2000 MT 78
    , ¶ 49, 
    299 Mont. 142
    , 
    998 P.2d 531
    . In the present case,
    Tongue River Farms granted an easement 30 feet in width over land now comprising
    Tract 2A. The Keims granted an easement 100 feet in width over that same land. The
    use of these easements is expressly limited to ingress, egress, and utilities, but there is no
    express reservation of a right by the servient landowners (Tongue River Farms and the
    Keims, and now the Earls) to maintain physical obstructions within the easements, and
    the Earls have shown neither a legal nor a factual basis for implying such a reservation.
    Indeed, it is implausible that Tongue River Farms and the Keims, on one hand, granted
    easements for ingress, egress, and utilities but, on the other hand, intended obstructions
    which unreasonably interfere with the use of these easements to remain in place.
    ¶43    Unreasonable interference with an easement holder’s use of the servient estate is a
    form of trespass and constitutes an infringement upon a valuable property right. See
    Bruce & Ely, The Law of Easements and Licenses in Land §§ 8:21, 8:32, 8-70, 8-91.
    Consequently, an easement holder is entitled to equitable relief against a servient owner’s
    unlawful interference with the easement holder’s enjoyment of the servitude, particularly
    when the obstruction is of a permanent character. Bruce & Ely, The Law of Easements
    and Licenses in Land § 8:32, 8-91 to 8-92; see e.g. 
    Strahan, 237 Mont. at 269
    , 773 P.2d
    at 721; Mason, ¶¶ 46-49. We therefore agree with the District Court that the structures
    and cropland must be removed from the two easements to the extent these encroachments
    constitute unreasonable interference with Pavex’s easement rights. This is a question of
    fact that will need to be determined on remand. See Musselshell Ranch, ¶ 19 (whether
    interference is reasonable depends on the factual circumstances of the case).
    25
    ¶44    We emphasize that the determination whether the encroachments must be removed
    from the easement requires a balancing of the parties’ interests, with reasonableness
    being the controlling standard. Mattson v. Mont. Power Co., 
    2009 MT 286
    , ¶ 52, 
    352 Mont. 212
    , 
    215 P.3d 675
    (“[W]e presume that the parties intended a fair balance of their
    interests.”); Musselshell Ranch, ¶ 19 (“The balancing of rights . . . incorporates a standard
    of reasonableness.”). Unless otherwise stated in the terms of the servitude, the parties to
    an express easement are deemed to have contemplated both (1) that the easement holder
    may do whatever is reasonably convenient or necessary in order to fully enjoy the
    purposes for which the easement was granted, though he may not cause unreasonable
    damage to the servient estate or interfere unreasonably with its enjoyment, and (2) that
    the servient owner may utilize the servient estate, including the easement area, in any
    manner and for any purpose that does not unreasonably interfere with the easement
    holder’s enjoyment of the servitude. Mattson, ¶¶ 44, 52; Flynn v. Siren, 
    219 Mont. 359
    ,
    361, 
    711 P.2d 1371
    , 1372 (1986); Bruce & Ely, The Law of Easements and Licenses in
    Land §§ 8:3, 8:20, 8-13, 8-65; Restatement (Third) of Property: Servitudes §§ 4.9, 4.10.
    We have recognized the necessity of balancing these interests in various cases. See e.g.
    
    Sampson, 230 Mont. at 197
    , 748 P.2d at 964 (“The subject easement must be used only
    for purposes that do not unreasonably burden the servient tenement and which do not
    interfere with the use and right reserved to the dominant tenement.”); 
    Gabriel, 261 Mont. at 177
    , 862 P.2d at 46 (“[A] gate may be constructed across the easement if it is
    necessary for the reasonable use of the servient estate and does not interfere with
    reasonable use of the right-of-way.”).      Again, what constitutes reasonable use and
    26
    unreasonable interference is a question of fact, and uniform rules are difficult to
    formulate. Bruce & Ely, The Law of Easements and Licenses in Land §§ 8:3, 8:21, 8-13
    to 8-14, 8-70.     “Some permanent encroachments may not justify a finding of
    unreasonable interference. The particular facts of a situation are always controlling, and
    what is reasonable or unreasonable is often a close call.” Musselshell Ranch, ¶ 27.
    ¶45   As a final matter, the Keims-Pavex deed describes the 100-foot-wide easement as
    located “along, over and beneath” the 30-foot-wide easement. It thus is clear that the
    100-foot-wide easement generally follows the same course as the 30-foot-wide easement.
    This does not necessarily mean that the centerlines of the two easements line up over the
    entire length of Tract 2A, however. Indeed, it appears from the depiction on Amended
    Certificate of Survey No. 85486/99927 that the 30-foot-wide easement, at certain points,
    runs along Tract 2A’s outer boundaries, which may cause the 100-foot-wide easement to
    encroach on land outside Tract 2A if the centerlines of the two easements were lined up.
    ¶46   Therefore, it will be necessary for the District Court on remand to determine the
    precise location of the 100-foot-wide easement relative to the 30-foot-wide easement.
    Various factors may be relevant to this analysis, including the purposes of the easement,
    the geographic relationship of the properties, the uses of the dominant and servient
    estates, the benefit to the easement holder compared to the burden on the servient estate
    owner, and any admissions of the parties. See Bruce & Ely, The Law of Easements and
    Licenses in Land § 7:6, 7-13 to 7-17; Broadwater Dev., LLC v. Nelson, 
    2009 MT 317
    ,
    ¶ 22, 
    352 Mont. 401
    , 
    219 P.3d 492
    (“For purposes of interpreting a writing granting an
    interest in real property, evidence of the surrounding circumstances, including the
    27
    situation of the property and the context of the parties’ agreement, may be shown so that
    the judge is placed in the position of those whose language the judge is to interpret.”).
    CONCLUSION
    ¶47    As to Issue 1, the Earls had constructive notice of the 100-foot-wide easement
    over Tract 2A for the benefit of Tract 1A, and the easement is thus enforceable against
    the Earls. Pavex is entitled to summary judgment on this issue, and the District Court’s
    contrary conclusion is accordingly reversed. As to Issue 2, the structures and cropland
    that encroach upon the 30-foot-wide easement and/or 100-foot-wide easement must be
    removed to the extent they constitute unreasonable interference with Pavex’s easement
    rights. The District Court’s grant of summary judgment to Pavex on this legal question is
    accordingly affirmed.
    ¶48    However, whether the structures and cropland actually interfere unreasonably with
    the two easements is a question of fact that will need to be determined on remand. In
    conjunction with this determination, the District Court will also need to determine the
    precise location of the 100-foot-wide easement relative to the 30-foot-wide easement
    based on the factors set out above and any other circumstances the court deems relevant.
    ¶49    Affirmed in part, reversed in part, and remanded for further proceedings.
    /S/ LAURIE McKINNON
    We Concur:
    /S/ BRIAN MORRIS
    /S/ MICHAEL E WHEAT
    /S/ BETH BAKER
    /S/ MIKE McGRATH
    /S/ JIM RICE
    28
    

Document Info

Docket Number: DA 12-0466

Citation Numbers: 2013 MT 343, 372 Mont. 476

Judges: Baker, Cotter, McGRATH, McKinnon, Morris, Rice, Wheat

Filed Date: 11/12/2013

Precedential Status: Precedential

Modified Date: 8/31/2023

Authorities (32)

Hamilton v. Smith , 212 Ark. 893 ( 1948 )

Newton v. New York, N. H. H.R. Co. , 72 Conn. 420 ( 1899 )

Keybank National Ass'n v. NBD Bank , 699 N.E.2d 322 ( 1998 )

Szakaly v. Smith , 544 N.E.2d 490 ( 1989 )

Dukes v. Link , 315 S.W.3d 712 ( 2010 )

Wede v. Niche Marketing USA, LLC , 52 So. 3d 60 ( 2010 )

Earl v. Pavex , 2013 MT 343 ( 2013 )

Yellowstone River, LLC v. Meriwether Land Fund I, LLC , 362 Mont. 273 ( 2011 )

Sampson v. Grooms , 230 Mont. 190 ( 1988 )

Albert G. Hoyem Trust v. Galt , 292 Mont. 56 ( 1998 )

Loomis v. Luraski , 306 Mont. 478 ( 2001 )

Nelson v. Barlow , 342 Mont. 93 ( 2008 )

Beins v. Oden , 155 Md. App. 237 ( 2004 )

Blazer v. Wall , 343 Mont. 173 ( 2008 )

Andersen v. Schenk , 353 Mont. 424 ( 2009 )

Gabriel v. Wood , 261 Mont. 170 ( 1993 )

Flynn v. Siren , 219 Mont. 359 ( 1986 )

Gordon v. Kuzara , 366 Mont. 243 ( 2012 )

Rigney v. Swingley , 112 Mont. 104 ( 1941 )

Hastings v. Wise , 91 Mont. 430 ( 1932 )

View All Authorities »