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      "ROBERT L. AARON et al., Plaintiffs-Appellees and Cross-Appellants, v. HERB HENDRICKSON, d/b/a Hendrickson Lumber Company, Defendant-Appellant and Cross-Appellee."
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        "text": "PRESIDING JUSTICE GOLDENHERSH\ndelivered the opinion of the court:\nPlaintiffs, Robert L. Aaron and Mary Sue Aaron, brought suit against defendant, Herb Hendrickson, d/b/a Hendrickson Lumber Company, to recover damages caused by defendant\u2019s wrongful cutting of plaintiffs\u2019 trees. After a bench trial, the trial court entered judgment for plaintiffs for $17,056.81 plus costs of $2,165.88 against defendant. Defendant appeals the judgment of the circuit court of Johnson County and asks us to consider the following issues: (1) whether section 4 of the Wrongful Tree Cutting Act (the Act) (Ill. Rev. Stat. 1987, ch. 961/2, par. 9404) is unconstitutional, or (2) if section 4 of the Act is not unconstitutional, whether the trial court\u2019s findings were against the manifest weight of the evidence. Plaintiffs have filed a cross-appeal raising a single issue, namely, whether the trial court\u2019s finding that plaintiffs failed to prove ownership within an area referred to as the \u201coverlap\u201d was against the manifest weight of the evidence. We affirm.\nThe evidence presented in this case shows that defendant purchased approximately 125 acres of timber from Lyle Carlton in September 1987. The Carlton land on which the timber is located adjoins land owned by plaintiffs. Defendant paid Carlton $7,500 and a 1984 Honda four-wheeler for Carlton\u2019s 125 acres of timber. Carlton told defendant that the boundary line between his property and plaintiffs\u2019 property was a power line running through the area. Carlton\u2019s basic instruction to defendant was that defendant could cut any trees east of the power line. Defendant did not look at the legal description of defendant\u2019s contract for deed, but he did look at an aerial photograph in the ASCS office and an abstract office plat book. The power line ran north and south, parallel with the section lines. A reading of Carlton\u2019s legal description shows the boundary line is actually a diagonal line which does not go as far as the power line. A land surveyor, Rod Martin, was hired by plaintiffs\u2019 counsel to establish plaintiffs\u2019 property line.\nAccording to Martin\u2019s survey, there is a 1.14-acre overlap between plaintiffs\u2019 property and the description of the Carlton property line in defendant\u2019s contract for deed. The following diagram is adopted from plaintiffs\u2019 exhibit number 1 and shows the location of plaintiffs\u2019 property line, Carlton\u2019s property line, the power line, and the overlap area:\nDefendant hired Max Crippen and Bill Mellein to cut the trees for him. Defendant paid the men by the Doyle Scale on each 1,000 board feet they cut at a rate of $15 per 1,000 feet. Defendant showed Crippen and Mellein what he believed the boundary line to be, which was anything east of the power line, and gave them an aerial photograph to assist in determining the property line. Defendant stated that he also talked to an adjoining landowner, Mr. Walker, who verified that the boundary line was the power line. Lyle Carlton also showed Crippen and Mellein the boundary lines as he understood them.\nThe value of the timber cut was a source of dispute between the parties. Upon plaintiffs\u2019 motion, the trial court pursuant to section 3 of the Act ordered reports by three independent-value appraisers from the Department of Conservation (the Department). Each of the appraisers divided his report into two areas: (1) the value of the trees cut in the area determined to be plaintiffs\u2019, and (2) the value of the trees cut in the overlap area. The following table is useful in comparing the three appraisals:\nValue of timber cut Value of timber cut\nin \u201coverlap area\u201d from plaintiffs\u2019 property\nJack N. Kagy $549.42 $4,765.66\nRobert Mayberry $635.05 $4,698.81\nDon E. Van Ormer $998.32 $7,592.44\nKagy charged $480 for his appraisal services, Mayberry charged $296.40, and Van Ormer charged $288.48. Kagy and Mayberry used basically the same method to determine the value of the trees. Both attempted to match the tops of the trees that were cut to the remaining stump. They then measured the distance between the top and the stump to determine the length of the log. Both used the Doyle Scale to determine board feet. The value for each variety of tree was multiplied by the total board feet for that variety in order to determine the fair market value. Van Ormer used the standard tree-volume table measurement to determine volume. To do this, he determined diameter at 41/2 feet off the ground. Van Ormer then determined the useful portion in logs and in half-logs.\nPlaintiffs did their own estimate of the value of their loss. Plaintiff Robert L. Aaron estimated that 218 trees had been wrongfully cut on his property. He used the Doyle Log Scale to arrive at the volume of logs cut and determined their value to be $5,243.71. Defendant also calculated the loss plaintiffs suffered due to the cutting of plaintiffs\u2019 trees. Defendant estimated the value of all the trees at $70 per board feet. Using the Kagy and Mayberry determinations of total board feet and applying a rate of $70 per 1,000 board feet, defendant determined that plaintiffs lost $2,950 worth of trees. Defendant testified that he measured board feet using the same method as Kagy and Mayberry. Defendant did not approve of the method used by Van Ormer to determine value.\nAfter hearing the evidence, the trial court found for plaintiffs on count I in the amount of $5,685.63 plus costs, but found that plaintiffs had failed to prove ownership within the area identified as the overlap. The trial court also found for plaintiffs on count II and invoked the treble-damage provision found in section 2 of the Act (Ill. Rev. Stat. 1987, ch. 961/2, par. 9402) for a total award of $17,056.81 plus costs. The costs found by the court and assessed to defendant include half of the $1,200 survey fee of plaintiffs\u2019 surveyor, half of the $472 charged by plaintiffs\u2019 surveyor to testify, $1,064.88 for the costs of the three appraisals ordered by the trial court and $265 for filing and service of process fees and subpoena fees for witnesses. Even before trial, defendant raised the issue of constitutionality. Defendant filed a motion attacking the constitutionality of the Act, which was denied by the trial court on the first day of trial.\nThe challenged statutes provide in pertinent part:\n\u201c\u00a72. Any party found to have intentionally cut or knowingly caused to be cut any timber or tree which he did not have the full legal right to cut or caused [sic] to be cut shall pay the owner of the timber or tree 3 times its stumpage value.\n\u00a73. The courts of this State may order the Director or his representative to secure three independent value appraisals to determine the stumpage value of wrongfully cut timber or trees. Such order shall state the reason the value information is needed, the parties involved in the action, the area to be examined and other information needed by the Department to carry out its responsibilities. All parties to the court action shall be instructed to make themselves available to the Department at reasonable times to assist in the location of areas and material to be examined. Expenses incurred, including but not limited to those for surveys, consulting services and administrative costs, shall be borne equally by the parties unless otherwise ordered by the court.\n\u00a74. Within 30 days after the Department is ordered to establish value, it shall notify the court of its findings of value and expenses. The court shall then average the appraisals and award triple the average value and make final determination as to which party or parties shall pay expenses. The failure of any party to make full payment within the time limits set by the court or to cooperate with the Department shall be considered contempt of court.\u201d Ill. Rev. Stat. 1987, ch. 961/2, pars. 9402, 9403, 9404.\nThe first issue we are asked to consider is whether section 4 of the Act is unconstitutional. Defendant first contends that section 4 is unconstitutional because it violates article II, section 1, of the Illinois Constitution (Ill. Const. 1970, art. II, \u00a71), the separation of powers clause, as an action of the General Assembly interfering with the exercise by the courts of their judicial power. According to defendant, section 4 dictates that a court must assess damages in a specific way, namely, to average three appraisals and award three times the average value, without allowing the court any discretion in its determination. Plaintiffs reply that the statute in question does not prescribe a rule of procedure, which would infringe upon a judicial power in violation of article II, section 1, of the Illinois Constitution, but rather creates a cause of action for an owner of wrongfully cut trees and proposes a way to ascertain damages which a court may or may not follow. We agree.\nIn People v. Davis (1982), 93 Ill. 2d 155, 442 N.E.2d 855, our supreme court stated:\n\u201cArticle II, section 1, of the Illinois Constitution of 1970 provides: \u2018The legislative, executive and judicial branches are separate. No branch shall exercise powers properly belonging to another.\u2019 The General Assembly has the power to enact laws governing judicial practice only where they do not unduly infringe upon the inherent powers of the judiciary. (Strukoff v. Strukoff (1979), 76 Ill. 2d 53, 59[, 389 N.E.2d 1170, 1172]; People v. Callopy (1934), 358 Ill. 11[, 192 N.E. 634].) Furthermore, it is the undisputed duty of the court to protect its judicial powers from encroachment by legislative enactments, and thus preserve an independent judicial department. Agran v. Checker Taxi Co. (1952), 412 Ill. 145, 149[, 105 N.E.2d 713].\nA statute should be interpreted so as to avoid a construction which would raise doubts as to its validity. (Morton Grove Park District v. American National Bank & Trust Co. (1980), 78 Ill. 2d 353, 363[, 399 N.E.2d 1295].) It is our duty to construe acts of the legislature so as to affirm their constitutionality and validity, if it can be reasonably done, and further if their construction is doubtful, the doubt will be decided in favor of the validity of the law challenged. Continental Illinois National Bank & Trust Co. v. Illinois State Toll Highway Com. (1969), 42 Ill. 2d 385, 389[, 251 N.E.2d 253]; Illinois Crime Investigating Com. v. Buccieri (1967), 36 Ill. 2d 556, 561[, 224 N.E.2d 236].\u201d 93 Ill. 2d at 161-62, 442 N.E.2d at 857-58.\nSee also People v. Flores (1984), 104 Ill. 2d 40, 46-47, 470 N.E.2d 307, 309.\nThe Davis court held that two sections of a statute, which provided that \u201c[t]he sentencing judge in each felony conviction shall set forth his reasons for imposing the particular sentence he enterfed] in the case\u201d (Ill. Rev. Stat. 1979, ch. 38, par. 1005 \u2014 8\u20141(b)) and \u201c[i]n imposing a sentence for a felony, the trial judge shall specify on the record the particular evidence, information, factors in mitigation and aggravation or other reasons that led to his sentencing determination\u201d (Ill. Rev. Stat. 1979, ch. 38, par. 1005 \u2014 4\u20141(c)), were not unconstitutional because they were not mandatory. The Davis court interpreted the word \u201cshall\u201d as permissive rather than mandatory. Davis, 93 Ill. 2d at 162, 442 N.E.2d at 858.\nIn the instant case, we must look at the Act as a whole. The statute in question does not dictate what method is to be used to determine the value of the impermissibly cut trees. Section 3 of the Act states that \u201c[t]he courts of this State may order the Director or his representative to secure three independent value appraisals.\u201d (Emphasis added.) (Ill. Rev. Stat. 1987, ch. 961/2, par. 9403.) The word \u201cmay\u201d is permissive; section 3 of the Act makes available to a court a procedure for determining value, but the Act in no way limits a court to this one method of value determination. If a trial court determines that another method would be more appropriate in determining value, the court is free to use that method.\nDefendant also argues that the judicial function has been encroached upon by the General Assembly\u2019s directive to \u201caverage the appraisals and award triple the average value.\u201d (Ill. Rev. Stat. 1987, ch. 961/2, par. 9404.) We disagree and find that the General Assembly has not usurped the judicial function.\nWe conclude that the Act gives a tree owner an additional remedy to trespass, and being punitive in nature, the treble-damage provision discourages persons from cutting down others\u2019 trees without thoroughly checking out boundary lines and true ownership of the timber. The award of treble damages is not uncommon. For example, treble-damage provisions are a mainstay of Federal antitrust laws. (See section 1964(c) of the Racketeer Influenced and Corrupt Organization Act, 18 U.S.C. \u00a7 1964(c) (1988), and section 15 of the Clayton Act, 15 U.S.C. \u00a715 (1988).) In the instant situation, the treble-damage provision seeks to protect tree owners from those who might knowingly or unknowingly cut their trees. A strong presumption of constitutionality attaches to any legislative enactment, and the burden rests on the challenger to demonstrate its invalidity. (People v. Joseph (1986), 113 Ill. 2d 36, 495 N.E.2d 501.) Since the averaging of the three appraisals is set forth only as one method which the trial court may use in determining stumpage value, we find no violation of the separation of powers clause of the Illinois Constitution.\nDefendant next contends that section 4 of the Act is unconstitutional because it violates the due process clause of the Illinois Constitution. (Ill. Const. 1970, art. I, \u00a72.) Defendant contends that section 4 of the Act does not give defendant an opportunity to present its own witnesses who would testify to stumpage value, fails to give an opportunity to cross-examine the independent appraisers, and ultimately fails to give defendant the opportunity to present a meaningful defense. We disagree.\nProcedural due process requires that a person be given both notice and opportunity to be heard and defend in an orderly proceeding adapted to the case. (Lakeview Trust & Savings Bank v. Estrada (1985), 134 Ill. App. 3d 792, 808, 480 N.E.2d 1312, 1324; Nye v. Parkway Bank & Trust Co. (1983), 114 Ill. App. 3d 272, 274, 448 N.E.2d 918, 919.) \u201c \u2018Due process of law is served where there is a right to present evidence and argument in one\u2019s own behalf, the right to cross-examine adverse witnesses, and impartiality in rulings upon the evidence which is offered.\u2019 \u201d Lakeview Trust, 134 Ill. App. 3d at 808, 480 N.E.2d at 1324, quoting Piotrowski v. State Police Merit Board, (1980), 85 Ill. App. 3d 369, 373, 406 N.E.2d 863, 866.\nWe believe that the procedural protections given to defendant in the instant case meet the above requirements. Again, we note that the use of three independent appraisals is one possibility open to the court; it is not mandatory that value be determined by using this method. Moreover, in the instant case, defendant was given the opportunity to cross-examine all three appraisers, and did so. Defendant was also given the opportunity to present his own evidence concerning the value of plaintiffs\u2019 cut trees. We cannot say that the trial court erred in refusing to consider defendant\u2019s own appraisal of plaintiffs\u2019 trees, given a $1,700 difference between his estimate and the lowest appraisal by one of the three independent appraisers from the Department. Defendant was entitled to present any evidence or any witnesses he felt would bolster his defense, including impeachment of the appraisers. After reviewing the record as a whole, we find no violation of defendant\u2019s due process rights.\nDefendant argues that the present case is analogous to Nye v. Parkway Bank & Trust Co. (1983), 114 Ill. App. 3d 272, 448 N.E.2d 918. In Nye, the plaintiff brought suit to recover attorney fees due him after his alleged representation of defendant in a lawsuit. The defendant denied owing the plaintiff for any services. At trial, the plaintiff himself was the first witness. After cross-examination of the plaintiff, but before the plaintiff had rested and before the defendant had the opportunity to present his defense, the trial court entered judgment for the plaintiff. In Nye, there was a violation of procedural due process, which is absent from the instant case. Here, both plaintiff and defendant presented the witnesses' and testimony they had prepared. Defendant was given the opportunity to cross-examine all of plaintiffs\u2019 witnesses and defendant testified on his own behalf. On this basis, Nye is distinguishable from the case at bar.\nDefendant also contends that he was denied procedural due process rights in that he was denied the right to confront and cross-examine the three value appraisers since there is nothing in the Act which requires the appraisers\u2019 presence in court. While the Act does not specify that the appraisers\u2019 presence is required in court, all three of the independent appraisers in the instant case were present in court and defendant cross-examined each one individually.\nDefendant\u2019s next contention is that his right to due process was denied because the Act\u2019s formula for averaging damages is intrinsically unfair. According to defendant, the Act seeks to average the appraisals, but falls short because one of the three appraisals may not be in the same basic range as the other two. Defendant contends that the appraisals must be close in value for the averaging system to work, stating that \u201cthe whole idea of averaging something is to cut out the extreme values, and find the normal or standard value in a series of values.\u201d A strong presumption of constitutionality attaches to any legislative enactment, and the burden rests on the challenger to demonstrate its invalidity. (People v. Joseph (1986), 113 Ill. 2d 36, 495 N.E.2d 501.) In the present situation, the trial court is to find an \u201caverage\u201d value of the unlawfully cut trees and triple that amount in order to punish defendant and deter future offenders. We believe the instant formula accomplished what the General Assembly set out to do in enacting the statute and that the process is not intrinsically unfair.\nDefendant\u2019s final constitutional contention is that section 4 of the Act is unconstitutional because it delegates judicial authority to tree-value appraisers. Specifically, defendant argues that the Act allows tree-value appraisers to determine damages and, thus, invades the court\u2019s power to hear evidence, evaluate cases, and determine damages and is in violation of both article II and article VI, section 1, of the Illinois Constitution of 1970.\nDefendant cites DeLuna v. St. Elizabeth\u2019s Hospital (1989), 184 Ill. App. 3d 802, 540 N.E.2d 847, in support of his contention. In DeLuna, our colleagues in the first district found that section 2\u2014 622(a)(1) of the Code of Civil Procedure (Ill. Rev. Stat. 1985, ch. 110, par. 2 \u2014 622(a)(l)), which required that medical malpractice complaints be accompanied by an affidavit of a health care professional in whose \u201cdetermination\u201d there was a \u201creasonable and meritorious cause\u201d for filing an action and a written report by the health professional indicating the basis for his determination, unconstitutionally delegated judicial authority to health professionals and invaded the power of courts to hear and determine cases in violation of article II, section 1, and article VI, section 1, of the Illinois Constitution. The DeLuna court stated:\n\u201cWe agree with plaintiff that in section 2 \u2014 622, the legislature unconstitutionally delegates to a professional group the function of deciding whether a plaintiff\u2019s claim should proceed to a hearing, for it is the role of the court, applying the law concerning the sufficiency of allegations in a complaint, to determine whether there is any set of facts under which the plaintiff may state a cause of action in a particular case and move on in the judicial process. (Ill. Rev. Stat. 1987, ch. 110, par. 2 \u2014 615; Theodosakis v. Austin Bank (1981), 93 Ill. App. 3d 634, 417 N.E.2d 806.) Yet, under section 2 \u2014 622, the court cannot reach the issue of whether or not a plaintiff has adequately stated a cause of action unless he or she has filed the required affidavit and the report of a health professional. Indeed, here, under section 2 \u2014 622, the court was not allowed to consider important and perhaps even decisive admissions of fact in the defendant\u2019s discharge summary for plaintiff\u2019s decedent as demonstrating reasonable cause for filing the lawsuit, or to determine whether the complaint states cause of action in any of its various counts. Consequently, the court\u2019s authority to exercise its inherent power to hear and determine a cause was effectively barred, because section 2 \u2014 622 delegates that function to health professionals, and in determining whether an action may be maintained, the court\u2019s role is confined initially to the purely formal and nominal one of finding whether the attorney\u2019s affidavit and the required reports of health professionals have been filed, and it is mandated to dismiss the case if they are lacking. It is one thing to require a medical malpractice plaintiff to provide expert opinion testimony at trial supporting his claim, yet quite another to give control over the ability of our courts to hear and decide medical malpractice cases to those experts. And it is one thing to be required to obtain leave of court in order to advance in the judicial process; yet it is quite another to exact a litigant to obtain the leave of lay persons in order to pursue his suit at law.\u201d 184 Ill. App. 3d at 806-07, 540 N.E.2d at 850-51.\nWe find that the instant situation dealing with tree-value appraisers is different from the situation presented by section 2 \u2014 622 of the Illinois Code of Civil Procedure. Here, the statute in question does not delegate to anyone the duty of determining whether a plaintiffs claim for wrongfully cut trees has merit. Rather, the statute in question allows a cause of action for wrongfully cut trees in addition to the traditional cause of action of trespass. The court\u2019s authority to hear and determine this additional cause is not impaired by the statute. The court is given the option of ordering three independent appraisers to assist the court in determining damages. For the reasons indicated, we find that section 4 of the Act is not unconstitutional. Given this result, we need not address defendant\u2019s contention that section 4 is not severable from the rest of the Act, thereby making the entire Act unconstitutional.\nThe other issue defendant asks us to address is whether the trial court\u2019s findings were against the manifest weight of the evidence. Defendant contends that the trial court\u2019s determinations were wrong because plaintiffs failed to meet their burdens of proof on essential elements of the case. In this respect, defendant first argues that section 2 of the Act does not impose strict liability, and that because neither defendant nor Crippen or Mellein knew he was cutting plaintiffs\u2019 trees but made a mistake as to ownership, defendant cannot be held liable under the Act. Plaintiffs respond that the Act in question does not require proof of guilty knowledge; it is enough that defendant was mistaken in his belief that he owned the trees. We agree with plaintiffs that the Act is meant to discourage not only the malevolent timbermen but also the errant timbermen.\nIn the past, when a situation similar to the instant case was presented to a court, the proper measure of damages was for property in its severed condition and not for the difference in the value of the land before and after a defendant\u2019s misconduct. (Jones v. Sanitary District (1911), 252 Ill. 591, 601-02, 97 N.E. 210, 214-15; First National Bank v. Amco Engineering Co. (1975), 32 Ill. App. 3d 451, 335 N.E.2d 591.) The inequity of this rule was pointed out by the First National Bank court when it stated:\n\u201cWhere the property injured, although part of the realty, has a value which can be accurately determined without reference to the freehold, the recovery may be for the property in its severed condition and not for the difference in the value of the land before and after the defendant\u2019s misconduct. [Citations.]\nOther jurisdictions, in dispensing justice between the parties, allow the reasonable cost of replacing the trees or for the reasonable cost of restoring the property to approximate, as near as possible, its original condition. (See Annot., 69 A.L.R.2d 1335, \u00a7\u00a715-16 (1969).) This, it would seem, is the more equitable rule, but Illinois law has not, to date, recognized such rule.\u201d (32 Ill. App. 3d at 454, 335 N.E.2d at 593.)\nThe General Assembly apparently recognized the inequity of the rule as it previously existed and, in an attempt to correct the situation, allowed for a separate cause of action in addition to trespass. The question arises as to what the General Assembly intended by the words \u201cintentionally and knowingly\u201d under section 2 of the Act.\nSection 2 of the Act imposes liability upon anyone found to \u201chave intentionally cut or knowingly caused to be cut any timber or trees which he did not have the full legal right to cut or caused [sic] to be cut.\u201d (Ill. Rev. Stat. 1987, ch. 961/2, par. 9402.) A fundamental rule of statutory interpretation is to ascertain the intent of the General Assembly and give it effect. Legislative intent is primarily determined through consideration of the statutory language. (Illinois Department of Revenue v. Country Gardens, Inc. (1986), 145 Ill. App. 3d 49, 495 N.E.2d 161.) The words \u201cintentionally and knowingly\u201d are not defined within the statute. Here, we believe the record supports the finding that defendant \u201cintentionally\u201d or \u201cknowingly\u201d cut plaintiffs\u2019 timber. We agree that defendant most likely did not desire the end result, that of cutting plaintiffs\u2019 timber. However, due to the inequity of the previous rule that allowed a plaintiff to recover only the value of the cut wood, it is apparent that the General Assembly was attempting to correct the inequity of the prior law. It is rational that the burden of establishing boundaries be placed on a defendant who orders wood to be cut. Otherwise, as plaintiffs point out, it would be advantageous for a defendant to cut now and worry later about tree boundary lines since the maximum financial burden he would face would be the stumpage value of the severed trees. We find that the reasonable interpretation of the Act is that an innocent owner of wrongfully cut timber can recover even without proving malicious and wilful misconduct on the part of a defendant.\nDefendant next argues that the tree cutters hired by defendant, Crippen and Mellein, were independent contractors, not employees of defendant, and as such, no liability on the part of defendant exists for wrongfully cutting plaintiffs\u2019 trees. We disagree.\nThe statute imposes liability not only on those who cut timber, but also on those who \u201cknowingly cause\u201d timber to be cut. (Ill. Rev. Stat. 1987, ch. 961/2, par. 9402.) The intent of the statute is clear. The Act imposes liability directly on a defendant without any insulation due to principles of agency. Here, defendant hired Crippen and Mellein to cut the trees and, in doing so, pointed out boundary lines which were incorrect.\nDefendant cites Cushing v. Dill (1840), 3 Ill. (2 Scam.) 460, to support his contention that the Act only imposes liability on the actual trespassers such as Crippen and Mellein. The Cushing case involved a statute which provided penalties against those who knowingly cut timber without the owner\u2019s permission. Because the defendant in Cushing directed his employees to cut timber only on the defendant\u2019s land and cautioned the employees from cutting timber on another person\u2019s land, the Cushing court refused to impose liability against the employer. We find the Cushing case distinguishable from the instant case. First, the statute here in question imposes clear liability on defendant because it was defendant who caused the timber to be cut through his directions to Crippen and Mellein. Second, and contrary to Cushing, defendant herein did show Crippen and Mellein the boundary lines and told them they should cut any timber east of the power line. It was defendant\u2019s misguided directions which caused plaintiffs\u2019 timber to be cut, whereas in Cushing, the defendant did not show his employees the boundary lines and cautioned them against cutting timber on another\u2019s land. Therefore, we find Cushing to be distinguishable.\nThe next contention made by defendant is that because the judge averaged the three appraisals in order to arrive at a damage award on count I, the award is similar to a quotient verdict and must be declared void.\nA trial judge has wide latitude in affixing damages. (Harry Alter Co. v. Chrysler Corp. (7th Cir. 1961), 285 F.2d 903, 907.) Here, the trial court averaged the appraisals of the three independent value appraisers from the Department. The trial court apparently used this method of value determination based on count II of plaintiffs\u2019 complaint which was brought under the Act. (Ill. Rev. Stat. 1987, ch. 961/2, par. 9401 et seq.) The trial court determined that the three independent appraisals would be a proper method to determine value of the wrongfully cut trees. Defendant had the opportunity to cross-examine the appraisals and the opportunity to present its own evidence as to the value of the wrongfully cut timber. We find that the trial court did not abuse its discretion in averaging the three independent appraisals in order to establish damages.\nThe final issue raised by defendant is that the trial court improperly assessed $1,900.88 in costs against defendant. Defendant specifically complains of the following costs assessed against defendant: (1) the survey charges of plaintiffs\u2019 surveyor, (2) the fee charged by plaintiffs\u2019 surveyor for appearing as a witness, and (3) the fees charged in preparing appraisals by the appraisers selected by the Department. Plaintiffs respond that the $1,900.88 of which defendant complains were costs properly assessed according to the statute. We agree.\nAt common law, a successful litigant was not entitled to recover costs. The recovery of costs is allowed only by statute and such statutes must be strictly construed because they are in derogation of the common law. (In re W.W. (1983), 97 Ill. 2d 53, 55, 454 N.E.2d 207, 209.) The Act in question allows for assessment of costs. Section 3 of the Act provides, in pertinent part:\n\u201cExpenses incurred, including but not limited to those for surveys, consulting services and administrative costs, shall be borne equally by the parties unless otherwise ordered by the court.\u201d (Ill. Rev. Stat. 1987, ch. 961/2, par. 9403.)\nSection 4 of the Act also addresses the issue of costs. It directs the court in making a final determination as to value and expenses to \u201caverage the appraisals and award triple the average value and make final determination as to which party or parties shall pay expenses.\u201d Ill. Rev. Stat. 1987, ch. 961/2, par. 9404.\nIn the instant case, the trial court assessed the following damages against defendant: half of the $1,200 survey fee charged by plaintiffs\u2019 surveyor, half of $472 charged by plaintiffs\u2019 surveyor to testify in court, and the full total of $1,064.88 charged by the three independent appraisers for a total of $1,900.88. The statute specifically states that defendant could be charged half the survey fees. We also believe the language of the statute allowed the trial court to tax as costs, in its discretion, half of the surveyor\u2019s fee for his testimony in court, and the full costs charged by the three appraisers from the Department. Costs are allowances in the nature of incidental damages awarded to reimburse the prevailing party for the expenses necessarily incurred in his assertion of his rights in court. (Galowich v. Beech Aircraft Corp. (1982), 92 Ill. 2d 157, 165-66, 441 N.E.2d 318, 321-22.) We believe the costs charged to defendant in this case were costs incurred as a result of going to court and not the ordinary expenses of litigation, which are not allowed. (92 Ill. 2d at 166, 441 N.E.2d at 322.) We find no abuse of discretion by the trial court in ordering defendant to pay $1,900.88 in costs of which defendant now complains.\nPlaintiffs have filed a cross-appeal in the instant case arguing that the trial court\u2019s findings that plaintiffs failed to prove ownership of the area within the overlap was against the manifest weight of the evidence. Plaintiffs contend their introduction of deeds and plaintiffs\u2019 chain of title created a presumption of ownership in plaintiffs\u2019 favor which defendant failed to rebut. Defendant responds that the testimony in this case also showed that Lyle Carlton was the owner of the overlap and, therefore, the trial court did not err in finding that plaintiffs failed to prove ownership of the overlap area. We agree with defendant.\nThe introduction of deeds into evidence by a plaintiff is sufficient evidence of title to sustain an action for injury to the land, in the absence of any showing that the title is in anyone else. (Jent v. Old Ben Coal Cory. (1920), 222 Ill. App. 380, 383, citing City of Chicago v. McGraw (1874), 75 Ill. 566.) In the present situation, the trial court was made aware of the discrepancies between plaintiffs\u2019 title and Lyle Carlton\u2019s title. Plaintiffs\u2019 own exhibit number 1, which we have reproduced in our statement of facts, clearly depicts a 1.14-acre overlap area. Plaintiffs\u2019 own surveyor drew the overlap area to the court\u2019s attention. Carlton\u2019s title was used by plaintiffs\u2019 surveyor in establishing the 1.14-acre overlap and in developing plaintiffs\u2019 exhibit number 1. The evidence was replete with representations that the 1.14-acre overlap existed. Therefore, there was other evidence beyond the introduction of plaintiffs\u2019 deeds to show that another, namely Lyle Carlton, owned the property which has been referred to as the overlap. We agree with the trial court that plaintiffs failed to prove that they own the area in the overlap. We find the trial court was correct in not awarding damages for timber cut in the 1.14-acre overlap.\nFor the foregoing reasons, the judgment of the circuit court of Johnson County is affirmed.\nAffirmed.\nHARRISON and LEWIS, JJ., concur.",
        "type": "majority",
        "author": "PRESIDING JUSTICE GOLDENHERSH"
      }
    ],
    "attorneys": [
      "Richard Kruger, of Kruger & Henry, of Metropolis, for appellant.",
      "William Rudert, of Mike McCormick & Associates, of Vienna, for appellees."
    ],
    "corrections": "",
    "head_matter": "ROBERT L. AARON et al., Plaintiffs-Appellees and Cross-Appellants, v. HERB HENDRICKSON, d/b/a Hendrickson Lumber Company, Defendant-Appellant and Cross-Appellee.\nFifth District\nNo. 5 \u2014 90\u20140244\nOpinion filed December 6, 1991.\nRichard Kruger, of Kruger & Henry, of Metropolis, for appellant.\nWilliam Rudert, of Mike McCormick & Associates, of Vienna, for appellees."
  },
  "file_name": "0842-01",
  "first_page_order": 864,
  "last_page_order": 879
}
