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  "name": "BILL M. TAYLOR and wife, LINDA B. TAYLOR, Plaintiffs-Appellees v. ALFRED S. KENTON, CALVIN M. CHAPPELL, SR. and wife, MARY S. CHAPPELL, CALVIN M. CHAPPELL, JR. and wife, KIMBERLY M. CHAPPELL, Defendants-Appellants",
  "name_abbreviation": "Taylor v. Kenton",
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    "judges": [
      "Judges JOHNSON and ORR concur."
    ],
    "parties": [
      "BILL M. TAYLOR and wife, LINDA B. TAYLOR, Plaintiffs-Appellees v. ALFRED S. KENTON, CALVIN M. CHAPPELL, SR. and wife, MARY S. CHAPPELL, CALVIN M. CHAPPELL, JR. and wife, KIMBERLY M. CHAPPELL, Defendants-Appellants"
    ],
    "opinions": [
      {
        "text": "EAGLES, Judge.\nOn appeal defendants contend that the trial court erred by (1) granting summary judgment for the plaintiffs and denying defendants\u2019 motion for summary judgment; (2) allowing the temporary restraining order and preliminary injunction; (3) denying defendants\u2019 motion for a continuance; and (4) denying defendants\u2019 motion to dismiss. We find defendants\u2019 arguments unpersuasive and affirm the order of the trial court.\nDefendants first argue that the trial court erred by granting summary judgment for the plaintiffs and denying defendants\u2019 motion for summary judgment. We disagree. Summary judgment is properly granted when there is no genuine issue of material fact and the moving party is entitled to judgment as a matter of law. Gore v. Hill, 52 N.C. App. 620, 279 S.E.2d 102, disc. review denied, 303 N.C. 710 (1981).\nThe Supreme Court has said that \u201c[i]n construing restrictive covenants, the fundamental rule is that the intention of the parties governs, and that their intention must be gathered from study and consideration of all the covenants contained in the instrument or instruments creating the restrictions.\u201d Long v. Branham, 271 N.C. 264, 268, 156 S.E.2d 235, 238 (1967) (emphasis in original). The Court also said:\n\u201cIn general, it may be said that if the granting of the right of way seems to be inconsistent with the intention of the parties in creating or agreeing to the restriction and with the result sought to be accomplished thereby, the courts incline to hold such a grant to be a violation of the restriction, while if the granting of the right of way does not interfere with the carrying out of intention of the parties and the purpose of the restrictions, it will not be held to be a violation.\nId. at 269, 156 S.E.2d at 239 (1967) (quoting Annotation, Grant of right of way over restricted property as a violation of restriction, 39 A.L.R. 1083 (1925)).\nHere, there is evidence that the parties did not expect or intend to allow the use of the lots in Country Club Forest for access to residences on unrestricted tracts of land outside the subdivision. The developers filed a declaration that contained numerous covenants regarding the type of residential structures that may be built, their height, placement on the lot, minimum square footage, the size of any garage, and types of acceptable fencing. The covenants also restrict the use of the property for operating businesses and keeping animals. In our view defendants\u2019 proposed use would undermine a plain and obvious purpose of the subdivision which was to provide lot owners with a residential neighborhood in which they would have some assurance that the homes would conform to the standards set out in the covenants.\nDefendants contend that the developer\u2019s decision to reserve \u201cplugs\u201d of land in two cul-de-sacs is evidence that the parties contemplated access to areas outside the subdivision through Country Club Forest. Here, the developer sold one plug to plaintiffs, whose land adjoined the plug, and the other plug to property owners who owned land adjacent to the subdivision. We agree with plaintiffs that this evidence tends to buttress their contention that none of the residential lots was intended for use as an access to areas outside the subdivision. If anything, the evidence would tend to show that the plugs, not the residential lots, were for access to the subdivision from outside.\nAdditionally, we find defendants\u2019 reliance on North Carolina National Bank v. Morris, 45 N.C. App. 281, 262 S.E.2d 674 (1980), misplaced. Defendants contend that this case is \u201cstrikingly similar\u201d to Morris, where this Court held that defendants\u2019 reservation of a driveway easement along the boundary of a lot would not violate restrictive covenants. Morris is distinguishable because in that case there was evidence that the parties anticipated the driveway easement. In Morris, the two tracts of land in question were part of a common larger tract. One tract conveyed was already subdivided and the deed for the second tract provided for its subdivision into three residential lots. The deed for this second tract provided that Home Place (a street) would serve the three lots. This Court concluded that \u201c[s]ince all boundaries of the tract did not face on Home Place it is reasonable to expect easements would be necessary for access to the lots established.\u201d This Court also noted that \u201c[considering the fact that a lake lies between Home Place and the lot to be served by the driveway, making direct access impractical, if not impossible, it is likewise reasonable to expect location of the driveway over adjoining property.\u201d Id. at 285-86, 262 S.E.2d at 677. Here, because defendants\u2019 granting of the right of way is inconsistent with the parties\u2019 intentions in creating and agreeing to the covenants, we hold that the trial court correctly granted summary judgment for the plaintiffs.\nDefendants also argue that the trial court erred in allowing a temporary restraining order and preliminary injunction because plaintiffs failed to demonstrate a reasonable likelihood of success on the merits. Because we hold that plaintiffs are entitled to summary judgment, we find it unnecessary to address this assignment of error.\nDefendants next contend that the trial court erred in denying defendants\u2019 motion for a continuance. Defendants asked for the continuance so that they could depose the developer of the subdivision regarding inconsistencies in \u201cboth [his] prior statements and prior actions.\u201d In an affidavit submitted by plaintiffs, the developer said he \u201cintended to establish a relatively small, self-contained residential subdivision to keep noise and traffic at a minimum.\u201d The record indicates that the developer granted the Russells a right of way \u201cfor ingress and egress from Caddy Lane to a private residence to be constructed on the adjoining tract of land\u201d over a plug of land the developer had reserved on another cul-de-sac in the subdivision. The record also indicates that the developer had offered the Chappells a similar right of way. A motion to continue is addressed to the sound discretion of the trial court. Shankle v. Shankle, 289 N.C. 473, 223 S.E.2d 380 (1976). Here, we find no abuse of discretion. In our view this testimony concerning the developer\u2019s desire for a \u201cself-contained residential subdivision\u201d and his conduct in granting the Russells a right of way and offering to grant the Chappells a right of way is irrelevant to whether building a driveway over a lot violates the restrictive covenants to which the lots are subject. \u201cIn construing a deed, it is the duty of the court to ascertain the intent of the grantor as embodied, in the entire instrument, and every part of the deed must be given effect if this can be done by responsible interpretation.\u201d North Carolina National Bank v. Morris, 45 N.C. App. 281, 283-84, 262 S.E.2d 674, 676 (1980) (emphasis added). Accordingly, this assignment of error is overruled.\nFinally, defendants contend that the trial court erred in denying their motion to dismiss based on plaintiffs\u2019 lack of standing to challenge the proposed construction. Defendants concede that generally grantees in a subdivision are beneficiaries of any and all restrictive covenants imposed upon the subdivision so as to give them standing to challenge alleged violations of the restrictive covenants. However, defendants contend that here the developer was the only person with standing to challenge the violation of the restrictive covenants because paragraph 4 of the covenants provides:\nNo lot shall be re-subdivided, nor shall any lot be used or converted into a public street or public right of way of any nature whatsoever, without the prior written consent of the said Carl W. Johnson and wife, Jackie S. Johnson, their heirs and legal representatives and assigns.\nDefendants contend that \u201c[t]he Johnsons established their own rule of standing in Paragraph 4 of the Covenants\u201d and that \u201c[t]he Johnsons have actively exercised their ability to oversee development in the subdivision in the past.\u201d\nThe Supreme Court has said:\n\u201cSometimes restrictive covenants expressly provide that they may be enforceable by any owner of property in the tract. Where such is the case, the right of an owner to enforce the same is, of course, clear. Similarly, where the agreement declares that the covenant runs with the land for the benefit of other lots or other owners, it may be so enforced.\u201d\nLamica v. Gerdes, 270 N.C. 85, 90, 153 S.E.2d 814, 818 (1967) (quoting 20 Am. Jur. 2d \u00a7 292). Here, the agreement does not specifically say that the lot owners may enforce the restrictive covenants. However, the agreement does provide: \u201cThe foregoing covenants are to run with the land and shall be binding on all parties and all persons claiming under them.\u201d The Supreme Court has said that the right to sue and enforce restrictive covenants against any other lot owner taking with record notice \u201crests upon the principle that a negative easement of this sort is a property right amounting to an interest in land.\u201d Craven County v. First Citizens Bank and Trust, 237 N.C. 502, 513, 75 S.E.2d 620, 628 (1953). We are not persuaded by defendants\u2019 argument that plaintiffs, who own lots in the subdivision, are not entitled to enforce the restrictive covenants.\nAdditionally, we note that Rule of Appellate Procedure 28(b)(5) states that \u201c[t]he body of the argument shall contain citations of the authorities upon which the appellant relies.\u201d Since defendants have failed to cite authority in support of their argument, they have abandoned this assignment of error. See Byrne v. Bordeaux, 85 N.C. App. 262, 354 S.E.2d 277 (1987).\nFor the reasons stated, the order of the trial court is affirmed.\nJudges JOHNSON and ORR concur.",
        "type": "majority",
        "author": "EAGLES, Judge."
      }
    ],
    "attorneys": [
      "Trimpi & Nash, by Thomas P. Nash, IV and John G. Trimpi, for plaintiff-appellees.",
      "Brown, Kirby & Bunch, by Mark C. Kirby and Christopher P. Edwards, for defendant-appellants."
    ],
    "corrections": "",
    "head_matter": "BILL M. TAYLOR and wife, LINDA B. TAYLOR, Plaintiffs-Appellees v. ALFRED S. KENTON, CALVIN M. CHAPPELL, SR. and wife, MARY S. CHAPPELL, CALVIN M. CHAPPELL, JR. and wife, KIMBERLY M. CHAPPELL, Defendants-Appellants\nNo. 911SC144\n(Filed 18 February 1992)\n1. Deeds \u00a7 85 (NCI4th)\u2014 subdivision restrictive covenants\u2014 residential structures \u2014 use of lot for driveway\nThe trial court correctly granted summary judgment for plaintiffs in an action for injunctive relief to prevent defendants from constructing a driveway across a lot in a residential subdivision to land outside the subdivision in violation of the subdivision\u2019s restrictive covenants. Defendants\u2019 proposed use would undermine a plain and obvious purpose of the subdivision which was to provide lot owners with a residential neighborhood in which they would have some assurance that the homes would conform to the standards set out in the covenants. Defendants\u2019 reliance on North Carolina National Bank v. Morris, 45 N.C. App. 281, is misplaced because defendants\u2019 granting of the right of way here is inconsistent with the parties\u2019 intentions in creating and agreeing to the covenants.\nAm Jur 2d, Covenants, Conditions, and Restrictions \u00a7 232.\n2. Trial \u00a7 3.1 (NCI3d)\u2014 action to enforce restrictive covenants \u2014 continuance denied \u2014no abuse of discretion\nThere was no abuse of discretion in an action to enforce subdivision restrictive covenants where defendants asked for the continuance so that they could depose the developer of the subdivision regarding inconsistencies in prior statements and actions, but testimony concerning the developer\u2019s desire for a self-contained residential subdivision and his conduct in granting and offering rights of way is irrelevant to whether building a driveway over a lot violates the restrictive covenants to which the lots are subject.\nAm Jur 2d, Continuance \u00a7 9.\n3. Deeds \u00a7 79 (NCI4th)\u2014 subdivision \u2014 restrictive covenants\u2014 standing to enforce\nThe trial court did not err by denying defendants\u2019 motion to dismiss based on plaintiffs\u2019 alleged lack of standing where plaintiffs had brought an action to challenge the construction of a driveway and defendants contended the developer was the only person with standing to challenge the violation of these restrictive covenants. The agreement does not specifically say that the lot owners may enforce the restrictive covenants but does provide that the covenants are to run with the land and shall be binding on all parties and all persons claiming under them. The Court of Appeals was not persuaded that plaintiffs, who own lots in the subdivision, were not entitled to enforce the restrictive covenants.\nAm Jur 2d, Covenants, Conditions and Restrictions \u00a7\u00a7 293-297.\nComment Note \u2014Who may enforce restrictive covenant or agreement as to use of real property. 51 ALR3d 556.\n4. Appeal and Error \u00a7 425 (NCI4th)\u2014 citations of authority \u2014 not included \u2014 assignment of error abandoned\nDefendants abandoned an assignment of error by failing to cite authority in support of their argument. N.C. R. App. P. 28(b)(5).\nAm Jur 2d, Appeal and Error \u00a7\u00a7 658, 700.\nAPPEAL by defendants from order entered 8 October 1990 by Judge Thomas S. Watts in PASQUOTANK County Superior Court. Heard in the Court of Appeals 12 November 1991.\nPlaintiffs filed suit for injunctive relief to prevent defendants from constructing a driveway across a lot in a residential subdivision in violation of the subdivision\u2019s restrictive covenants. Plaintiffs own a residence on lots 18 and 19 in the Country Club Forest subdivision in Pasquotank County north of Elizabeth City. Defendant Alfred S. Kenton owns a residence on lot 20, and defendants Calvin M. Chappell, Sr. and Mary S. Chappell own a residence on lots 16 and 17. In 1989 Defendants Calvin M. Chappell, Jr. and Kimberly M. Chappell (Chappells Jr.) purchased a 4.8 acre parcel of land located adjacent to and behind lot 20.\nOn 2 November 1989 Mr. Kenton and his wife conveyed an easement across lot 20 to the Chappells Jr. to give them access to Country Club Drive, a road in the Country Club Forest subdivision. The conveyance was made \u201cupon the express condition that the easement conveyed herein be utilized as a private easement for the benefit of [the Chappells Jr.], their heirs and assigns,\u201d and the deed of easement restricted the use of the easement to use as an \u201caccess to a single family private residence to be constructed on said property.\u201d The Chappells Jr. began construction of the driveway in June 1990. On 25 June 1990 plaintiffs obtained a temporary restraining order halting construction, and on 3 July 1990 the trial court issued a preliminary injunction. On 8 October 1990 Judge Watts granted plaintiffs\u2019 motion for summary judgment permanently enjoining defendants from building a driveway across a portion of lot 20 to the tract of land outside the subdivision owned by the Chappells Jr. Defendants appeal.\nTrimpi & Nash, by Thomas P. Nash, IV and John G. Trimpi, for plaintiff-appellees.\nBrown, Kirby & Bunch, by Mark C. Kirby and Christopher P. Edwards, for defendant-appellants."
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