{
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  "name": "PERRY-GRIFFIN FOUNDATION, a North Carolina Corporation, Plaintiff v. JIMMIE PROCTOR, JOSEPH ANTHONY WETHERINGTON, JR., RAYNORWOOD, INC., a Corporation of North Carolina, BILL MORRIS, MIKE WOODARD, and FREDDIE PRICE, Defendants",
  "name_abbreviation": "Perry-Griffin Foundation v. Proctor",
  "decision_date": "1992-10-06",
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    "judges": [
      "Judges Johnson and Greene concur."
    ],
    "parties": [
      "PERRY-GRIFFIN FOUNDATION, a North Carolina Corporation, Plaintiff v. JIMMIE PROCTOR, JOSEPH ANTHONY WETHERINGTON, JR., RAYNORWOOD, INC., a Corporation of North Carolina, BILL MORRIS, MIKE WOODARD, and FREDDIE PRICE, Defendants"
    ],
    "opinions": [
      {
        "text": "COZORT, Judge.\nPlaintiff brought an action against defendants for trespass on land and for damages resulting from defendants\u2019 unlawful cutting of plaintiffs timber. One defendant counterclaimed for breach of contract alleging failure on the part of plaintiff to use its best efforts to facilitate the sale of the timberland in question pursuant to an option contract. The trial court submitted nine issues to the jury. The jury\u2019s verdict was favorable to the plaintiff, finding that defendant Proctor trespassed upon plaintiff\u2019s land and cut timber valued at about $20,000.00. Defendant Proctor moved for judgment notwithstanding the verdict, which was denied, and for a new trial, which was also denied. Plaintiff moved the trial court to double the timber damages; the court reserved ruling on plaintiff\u2019s motion. Defendant Proctor later moved the trial court to reconsider the denial of his motion for a new trial. Six months later, the trial court ruled that previous recoveries of plaintiff against defendant must be deducted from the timber damages verdict amount before the verdict was doubled. The trial court found the credits to be $20,140.00, leaving no damages to double. The trial court also entered an order granting defendant\u2019s motion for a new trial on its counterclaim. On appeal, plaintiff makes the following contentions: (1) the trial court erred by refusing to allow plaintiff to recover double damages pursuant to N.C. Gen. Stat. \u00a7 1-539.1 for the unlawful cutting of timber; and (2) the trial court erred in granting defendant Proctor\u2019s motion for a new trial as to his counterclaim. We agree with plaintiff and reverse.\nPlaintiff Perry-Griffin Foundation (\u201cFoundation\u201d) is a non-profit charitable North Carolina corporation created by the will of Clare G. Perry, who died in 1965. The will provided for the establishment of a charitable trust to fund the construction of a home for elderly ladies with \u201climited means.\u201d Other units were to be built as funding became available. The Foundation was also to award a $10,000.00 college scholarship loan to \u201cworthy students.\u201d The will placed the following limitation on the Foundation\u2019s power to fulfill the trust\u2019s purposes: \u201cNo real estate is to be sold, however, it may be leased at the discretion of the directors, provided however, the timber may be sold at the discretion of the directors.\u201d Despite the Foundation\u2019s income from its rental properties, timberlands, and stocks and bonds, the corporation was unable to generate sufficient funds necessary to construct the ladies\u2019 home and to fund the college scholarship. Consequently, on 16 July 1987, the Foundation entered into an option contract with defendant Proctor to acquire all of the Foundation\u2019s timberlands. The lands were to be sold for $2,200,000.00 to be paid in yearly installments plus interest. A memorandum signed by the parties indicated the sale of the timberlands was contingent \u201cupon the Court\u2019s authorizing and empowering the Foundation to sell and convey said property.\u201d The memorandum additionally stated, that \u201c[n]othing herein shall be construed to relieve the Foundation from putting forth its best efforts to facilitate the sale of said property to Proctor and to carry out the terms and conditions of the Option Contract attached hereto.\u201d\nThe Foundation subsequently brought a cy pres action pursuant to N.C. Gen. Stat. \u00a7 36A-53(a) (1991). The Foundation requested the court to allow the trustees \u201cto permit the sale of its assets, including real estate,\u201d and to allow other changes in the administration of the trust. As required by N.C. Gen. Stat. \u00a7 36A-53(a), the Attorney General was notified and made a party to the action; defendant Proctor intervened as a party plaintiff. The cy pres action was heard on 5 February 1988. The court concluded: (1) the restraint on alienation of land in Ms. Perry\u2019s will was not void against public policy; (2) the purposes of the trust had become impossible or at least impracticable to fulfill because the inability to sell or convey any real estate prevented the trust from generating sufficient income to pay for the objects of the trust; and (3) the doctrine of cy pres should be invoked pursuant to N.C. Gen. Stat. \u00a7 36A-53 to order an administration of the trust as nearly as possible to fulfill the manifested general charitable intention of the testatrix. The court then provided\nthe sale of real assets be made first from the sale of rental property, and only so much thereof as is necessary to effect the purposes of the charitable trust; and that if the sale of such rental property is insufficient to meet the needs and purposes of the trust, then so much of the timber lands as is necessary to accomplish the said ends of the trust.\nIntervenor-plaintiff Proctor appealed the judgment to the Court of Appeals. On 2 May 1989, this Court in an unpublished opinion affirmed the trial court\u2019s judgment. Perry-Griffin Foundation v. Thornburg, 93 N.C. App. 790, 379 S.E.2d 114 (1989). Discretionary review to the North Carolina Supreme Court was denied on 6 September 1989. Perry-Griffin Foundation v. Thornburg, 325 N.C. 272, 384 S.E.2d 518 (1989).\nWhile the cy pres action was pending in early December 1987, defendant Proctor contacted the Foundation\u2019s attorney and expressed a desire to cut some timber on the property under the option. The attorney explained he would present the request to the trustees; the board never reached a decision as to the request. On or about 7 December 1987, the defendants began cutting timber on plaintiffs lands without its knowledge, consent, or authority. The present action was instituted on 13 December 1987, to restrain the unlawful cutting and to recover damages double the amount of the unlawfully cut timber pursuant to N.C. Gen. Stat. \u00a7 1-539.1 (1983). Defendants Proctor and Wetherington filed three counterclaims; two were dismissed. The third counterclaim alleged that the court in the cy pres action failed to authorize the sale of plaintiff\u2019s timberlands to Proctor because plaintiff did not effectively appeal the judgment to the Court of Appeals. Defendant alleged the Foundation\u2019s actions thereby breached the option contract which imposed an obligation on the Foundation to use its \u201cbest efforts\u201d to secure a judgment allowing the Foundation to sell the land. Defendant Wetherington took a voluntary dismissal as to the third counterclaim, leaving only defendant Proctor asserting the counterclaim.\nFollowing trial on the issues, the jury returned a verdict which established: (1) defendant Proctor was a trespasser on plaintiff\u2019s property; (2) Proctor cut and removed timber from plaintiff\u2019s property; (3) the value of the unlawfully cut timber totalled $22,000.00; (4) plaintiff did not breach its duty to put forth its best efforts to facilitate the sale of the property to Proctor; (5) Proctor failed to substantially perform his obligations arising out of the option contract; and (6) Proctor sustained zero damages. In open court, defendant Proctor made a motion for a new trial and a motion for judgment notwithstanding the verdict. The trial judge denied both of defendant\u2019s motions and reserved ruling on plaintiff\u2019s motion to double the $22,000.00 value assigned to the timber. Several months later, on 31 December 1990, the trial judge signed a judgment which denied plaintiff\u2019s motion to double the timber value, finding that credits to defendant left no damages to double. The trial judge then entered a separate order granting defendant Proctor\u2019s motion for a new trial on his third counterclaim. Plaintiff appealed.\nWe first consider whether the trial court erred in failing to double the damages for the unlawful cutting of timber pursuant to N.C. Gen. Stat. \u00a7 l-539.1(a) (1983), which reads:\nAny person, firm or corporation not being the bona fide owner thereof or agent of the owner who shall without the consent and permission of the bona fide owner enter upon the land of another and injure, cut or remove any valuable wood, timber, shrub or tree therefrom, shall be liable to the owner of said land for double the value of such wood, timber, shrubs or trees so injured, cut or removed.\nHere, we find the trial judge erred by refusing to instruct the jury to award double damages and by subsequently failing to order double damages. The phrase \u201cshall be liable\u201d in the statutory provision provides that double damages must be ordered when the requirements of the statute are met. The plain language of the statute indicates that an award of double damages is not within the judge\u2019s discretion. We have previously upheld the entry of judgments in an amount double to what the jury determined the value of the unlawfully cut timber. See, i.e., Tyson v. Winstead, 15 N.C. App. 585, 190 S.E.2d 281 (1972); Dawson v. Sugg, 32 N.C. App. 650, 233 S.E.2d 639 (1977). Furthermore, a comparison of N.C. Gen. Stat. \u00a7 1-539.1 to N.C. Gen. Stat. \u00a7 75-16 (1988) supports our conclusion. The mandatory award of double damages pursuant to N.C. Gen. Stat. \u00a7 1-539.1 is similar to treble damages automatically assessed pursuant to N.C. Gen. Stat. \u00a7 75-16 in cases involving unfair and deceptive trade practices. Our Supreme Court has discussed the mandatory nature of treble damages in the latter cases: \u201cabsent statutory language making trebling discretionary with the trial judge, we must conclude that the legislature intended trebling of any damages assessed to be automatic once a violation is shown.\u201d Marshall v. Miller, 302 N.C. 539, 547, 276 S.E.2d 397, 402 (1981). Similarly, the $22,000.00 amount assigned to the value of the cut timber should have been doubled to equal a $44,000.00 judgment against defendant Proctor. Because plaintiff has stipulated that defendant be allowed a credit for proceeds recovered by plaintiff and for the value of timber left on the ground at the tract, defendant is entitled to a credit from the $44,000.00 judgment in the amount of $20,140.00.\nWe next determine whether the trial court erred in granting defendant a new trial on his counterclaim. Defendant\u2019s counterclaim asserts the Foundation breached \u201cits contractual obligation to put forth \u2018its best efforts to facilitate the sale of said property\u2019 to Proctor and to carry out the terms and conditions of the option contract\u201d by (1) presenting evidence to the trial court hindering the sale of said property to Proctor which was inconsistent with carrying out the terms and conditions of the option contract; (2) colluding with others having interests opposed to the sale of the property; (3) failing to cooperate during the appeal from the decision of the trial court in the cy pres action which declined to approve the sale of the property to Proctor; and (4) refusing to ask the trial court for an order to enable the Foundation to honor its agreement with Proctor after the Court of Appeals affirmed the trial court\u2019s decision. Defendant\u2019s counterclaim centers on the Foundation\u2019s conduct at the initial bench trial which adjudicated the cy pres issue and determined the Foundation would not be permitted to sell the timberland until the Foundation had sold all rental property in its possession. At the second trial, which is the subject of this appeal, defendant called Mr. A.D. Ward, an expert in real estate contract law and civil litigation, to render an opinion that the Foundation was not diligent in facilitating the sale to Proctor and in carrying out the terms and conditions of the option contract in good faith. Mr. Ward\u2019s testimony included in pertinent part:\nIt is my professional opinion that the Foundation breached its duty to put forth its best efforts to facilitate the sale of the property contract. The Foundation terminated its effort to have the contract approved in my opinion after, or when it put Sam Hughes on the stand at the February 5th hearing .... It is my opinion that the effort put forth by the Foundation really was designed to kill the contract.\n. . . The will provides that no real estate shall be sold, which is a restraint on alienation of real property. The Supreme Court of North Carolina has held that with respect to charitable trust [sic] such as this, it is not void; but, of course, the Court has held that that can be waived and that was the purpose of the lawsuit.\nThe remainder of Ward\u2019s testimony discloses that he testified in depth as to the doctrine of cy pres and to the proceedings which occurred prior to and at the 5 February 1988 hearing. Plaintiff then called a rebuttal witness, Mr. George W. Boylan, an attorney with the Attorney General\u2019s office, to rebut defendant\u2019s evidence. Mr. Boylan rebutted Ward\u2019s testimony, stating that the Foundation had used its best efforts at the cy pres hearing. It is Boylan\u2019s testimony which serves as the basis for the trial court\u2019s decision granting defendant a new trial as to his counterclaim.\nAs an initial matter, we note that defendant\u2019s motion for a new trial was improperly identified as a motion pursuant to N.C. Gen. Stat. \u00a7 1A-1, Rule 60 (1990), rather than pursuant to N.C. Gen. Stat. \u00a7 1A-1, Rule .59 (1990). However, it is clear from the trial court\u2019s order that the motion for a new trial was treated as having been made pursuant to Rule 59, despite the improper designation. Therefore, we examine the trial court\u2019s order for a new trial by applying the standards applicable to a Rule 59 motion. Our scope of review of a trial court\u2019s ruling either granting or denying a motion to order a new trial is strictly limited to the determination of whether the cold record demonstrates a manifest abuse of discretion. Worthington v. Bynum, 305 N.C. 478, 482, 290 S.E.2d 599, 602 (1982). A trial judge\u2019s order granting a new trial may be reversed on appeal only in circumstances where an abuse of discretion is clearly shown. Id. In the case below, the defendant\u2019s request for a new trial was made \u201con the basis that this Defendant was not afforded an opportunity to depose George Boylan prior to trial and adequately prepare for his cross-examination, resulting in unfair surprise and prejudice to said Defendant.\u201d The trial judge denied defendant\u2019s original motion made on 7 June 1990; however, the trial court granted defendant\u2019s motion to reconsider defendant\u2019s demand for a new trial made on 18 June 1990. The trial court, in granting the motion, stated, \u201cthe Court is of the opinion that the testimony of George Boylan exceeded the limitations prescribed by the Court with respect to new matter which had not been alleged in the pleadings; and the Court is of the opinion that the motion for a new trial on defendant\u2019s third Counterclaim should be allowed.\u201d We find the trial court\u2019s order granting a new trial to be the product of an abuse of discretion.\nFirst, the basis for the trial court\u2019s order was not grounded on reasons advanced by defendant for making the motion. Rather, it appears to be structured independently on what the trial judge perceived to be error. Furthermore, an examination of the reasons articulated for the new trial reveals the trial court\u2019s order was an abuse of discretion. At trial, the defendant objected to Boylan\u2019s rebuttal testimony, contending Boylan was not listed on the pretrial order as one of the witnesses to be called by plaintiff. Nevertheless, the trial court permitted Boylan to testify, noting:\nThe Court will further allow an opinion from Mr. Boylan if he is so qualified with respect to the efforts put forth by the foundation on the appeal from Judge Reid\u2019s Order to the Court of Appeals. The Court will not entertain or allow an opinion as to whether the Foundation was or was not diligent in its efforts in supporting the sale overall or the contract overall or whether the Foundation or the plaintiff was or did or did not act in good faith overall.\n[T]he Court is going to allow this because Mr. Boylan has been a participate [sic] in this cy pray [sic] action as represented of the Attorney General throughout the course of the previous cy pray [sic] action.\nBoylan\u2019s testimony which is the source of contention reads:\nA. My opinion is that the Foundation did not breech [sic] its duty to exercise its best efforts? [sic]\n[I]t was my opinion initially that it was simply a real impossibility for the Foundation to ever get Court Approval. Ms. Perry had left her property in Trust wit [sic] a specific request that no real estate was to be sold or whether it could be leased and timber harvested. The law in North Carolina is and has been for some time that those types of restraints and alienation are legal. Therefore, in my opinion it was impossible for the Foundation to get Court approval for the sell [sic] of property, because it would be in violation in the then' current law of North Carolina that would up hold [sic] such type of restraints.\nWe do not find the above testimony included \u201cnew matters\u201d outside the scope of limitation set by the trial judge for Boylan\u2019s testimony. Even assuming arguendo the testimony ventured outside the boundaries set by the trial judge, we do not find the testimony constituted error which would justify a new trial. Defendant\u2019s witness testified about the law, and the cy pres action, and Boylan\u2019s testimony served only to rebut a matter already before the jury. The trial judge\u2019s order granting defendant a new trial on defendant\u2019s counterclaim is therefore reversed.\nThe cause is thus remanded for the entry of an order granting plaintiff\u2019s motion to double the timber damages before the defendant\u2019s credits are deducted from the damages.\nReversed and remanded.\nJudges Johnson and Greene concur.",
        "type": "majority",
        "author": "COZORT, Judge."
      }
    ],
    "attorneys": [
      "Henderson, Baxter & Alford, P.A., by David S. Henderson, for plaintiff appellant.",
      "Barrington, Herndon & Raisig, P.A., by Carl A. Barrington, Jr., and Cheryl C. Garcia, for Jimmie Proctor, defendant appellee."
    ],
    "corrections": "",
    "head_matter": "PERRY-GRIFFIN FOUNDATION, a North Carolina Corporation, Plaintiff v. JIMMIE PROCTOR, JOSEPH ANTHONY WETHERINGTON, JR., RAYNORWOOD, INC., a Corporation of North Carolina, BILL MORRIS, MIKE WOODARD, and FREDDIE PRICE, Defendants\nNo. 913SC535\n(Filed 6 October 1992)\n1. Trespass \u00a7 8.2 (NCI3d(\u2014 wrongful cutting of timber \u2014damages doubled before credits subtracted\nThe trial court erred in failing to double damages for defendant\u2019s unlawful cutting of timber from plaintiff\u2019s lands. Any credit to defendant for proceeds recovered by plaintiff and for the value of timber left on the ground at the tract should have been deducted after the damages were doubled. N.C.G.S. \u00a7 l-539.1(a).\nAm Jur 2d, Logs and Timber \u00a7 135.\n2. Rules of Civil Procedure \u00a7 59 (NCI3d)\u2014 new trial improperly awarded \u2014no grounds advanced by defendant as basis \u2014abuse of discretion\nIn an action for trespass and for damages resulting from defendant\u2019s unlawful cutting of plaintiff\u2019s timber, the trial court erred in granting defendant a new trial on his counterclaim that plaintiff breached its contractual obligation to put forth its best efforts to facilitate the sale of the property in question to defendant, since the basis for the trial court\u2019s order was not grounded on reasons advanced by defendant for making the motion, and the trial court\u2019s order was an abuse of discretion. N.C.G.S. \u00a7 1A-1, Rule 59.\nAm Jur 2d, New Trial \u00a7\u00a7 36, 551.\nAPPEAL by plaintiff from judgment and order entered 3 January 1991 by Judge I. Beverly Lake, Jr., in PAMLICO County Superior Court. Heard in the Court of Appeals 7 April 1992.\nHenderson, Baxter & Alford, P.A., by David S. Henderson, for plaintiff appellant.\nBarrington, Herndon & Raisig, P.A., by Carl A. Barrington, Jr., and Cheryl C. Garcia, for Jimmie Proctor, defendant appellee."
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