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  "name": "DARVELLA JONES, Plaintiff v. HARRELSON AND SMITH CONTRACTORS, LLC, a North Carolina Corporation, and RODNEY S. TURNER, d/b/a Rodney S. Turner Housemovers, Defendants",
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  "last_updated": "2023-07-14T16:50:43.594733+00:00",
  "provenance": {
    "date_added": "2019-08-29",
    "source": "Harvard",
    "batch": "2018"
  },
  "casebody": {
    "judges": [
      "Judge JACKSON concurs.",
      "Judge TYSON concurs in the result in part and dissents in part in a separate opinion."
    ],
    "parties": [
      "DARVELLA JONES, Plaintiff v. HARRELSON AND SMITH CONTRACTORS, LLC, a North Carolina Corporation, and RODNEY S. TURNER, d/b/a Rodney S. Turner Housemovers, Defendants"
    ],
    "opinions": [
      {
        "text": "GEER, Judge.\nThis litigation arose out of efforts to remove houses from the 100-. year flood plain in Pamlico County following widespread destruction from Hurricane Floyd. A jury below found that defendant Harrelson and Smith Contractors, LLC (\u201cH&S\u201d), who contracted with Pamlico County to remove such homes, committed fraud and conversion in its actions with respect to a house that H&S sold to plaintiff Darvella Jones. The trial court (1) left the conversion verdict intact, (2) granted a directed verdict in favor of H&S on Jones\u2019 unfair and deceptive trade practices (\u201cUDTP\u201d) claim, and (3) granted judgment notwithstanding the verdict (\u201cJNOV\u201d) to H&S on the fraud claim. Finally, the trial court granted judgment in favor of H&S with respect to Jones\u2019 claim for punitive damages. Jones appealed to this Court.\nOn 19 December 2006, a divided panel of this Court dismissed Jones\u2019 appeal for violations of the North Carolina Rules of Appellate Procedure. See Jones v. Harrelson & Smith Contractors, LLC, 180 N.C. App. 478, 638 S.E.2d 222 (2006). On 7 March 2008, the North Carolina Supreme Court reversed that decision and remanded for reconsideration in light of the Court\u2019s decisions in Dogwood Dev. & Mgmt. Co. v. White Oak Transp. Co., 362 N.C. 191, 657 S.E.2d 361 (2008), and State v. Hart, 361 N.C. 309, 644 S.E.2d 201 (2007). See Jones v. Harrelson & Smith Contractors, LLC, 362 N.C. 226, 227, 657 S.E.2d 352, 353 (2008) (per curiam).\nUpon reconsideration, we conclude that the appellate rules violations committed by Jones are nonjurisdictional violations for which dismissal of Jones\u2019 appeal is not appropriate. We further hold that these violations do not rise to the level of gross or substantial violations that warrant any other type of sanction.\nOn the merits, we reverse the trial court\u2019s entry of judgment in favor of H&S on Jones\u2019 fraud and UDTP claims. We, therefore, remand for entry of judgment in the amount of $31,815.00 on the fraud claim, entry of an award of treble damages, and, in the trial court\u2019s discretion, an award of attorney\u2019s fees under N.C. Gen. Stat. \u00a7 75-16.1 (2007).\nFacts and Procedural History\nHurricane Floyd struck North Carolina in September 1999, causing catastrophic flooding in the eastern portions of our State, including Pamlico County. Following the hurricane, Pamlico County, using funds provided by the state and federal governments, instituted a Flood Acquisition Program, which involved buying out landowners who had property located in the 100-year flood plain. One house purchased by the County belonged to Ray and Virginia Respers and was located at 439 Jones Road in the town of Vandemere. The County paid approximately $45,000.00 for the house, which was roughly equal to its appraised value.\nThe Flood Acquisition Program included a Demolition and Clearance Project designed to clear lots in the flood plain and thus reduce the possibility of property damage from future hurricanes and floods. As part of this project, the County solicited bids for the removal and/or demolition of homes that it had purchased in the flood plain. During the bidding process, H&S submitted a demolition bid in the amount of $60,797.00. Based on this bid, the County awarded H&S the demolition contract for a group of houses in the flood plain, including the Respers\u2019 former house.\nThe County signed a contract with H&S, which included, among other provisions, an option allowing H&S to salvage houses scheduled for demolition by severing them from their current lots and relocating them to lots outside the state-designated flood plain. H&S decided to exercise that option and salvage several of the houses that the County had designated for removal, including (1) the Respers\u2019 former house, (2) another house that belonged to Herman Garrison, and (3) a third house that belonged to the O\u2019Neil family.\nPlaintiff Darvella Jones gave John Harrelson of H&S $500.00 in cash for the Respers\u2019 former house. She showed Harrelson the piece of land nearby on Swan Point Road where she was currently living in a trailer and where she hoped to eventually place the house. Although it was apparent that the lot she showed Harrelson was inside the flood plain, Harrelson did not mention the contract restriction requiring that the house be relocated outside the flood plain. Instead, Harrelson asked Jones if she knew of anyone who moved houses. When Jones replied that she did not, Harrelson recommended his friend, defendant Rodney Turner.\nH&S succeeded in selling the O\u2019Neil house to .Clyde Potter and the Garrison house to Herbert Kent. Kent testified at trial that he paid H&S $5,000.00 for his house and that H&S never told him the house would need to be relocated outside the flood plain. Following their purchases, Potter, Kent, and Jones all employed defendant Turner to relocate their houses elsewhere inside the flood plain.\nPrior to the move, H&S had not entered into written contracts with any of the purchasers. On 10 September 2002, however, H&S sent a letter to RSM Harris Associates, the consulting firm hired by the County to oversee the buy-out program, in which H&S asserted: \u201cWe would like to assure you that the three owners that purchased the houses . . . were informed with a written contract that the houses were to be relocated above the 100-year floodplain and they were to accept all expense & responsibility.\u201d\nOn 13 September 2002, after all three houses had been moved off their original lots and after sending the letter to RSM Harris Associates, H&S mailed a short form to Potter, Kent, and Jones, requesting that each owner sign and return it. The form read as follows:\nI,_, acknowledge all responsibility and expense for the moving and relocation for the house presently located at_in_County. I undersand the house becomes my property and responsibility as of _. I understand the house has to be relocated outside the 100 year flood plain.\nJones\u2019 form had the blanks completed with the information relating to her house. She signed it because H&S said it needed the form for its records.\nOn or about 20 September 2002, the County\u2019s inspectors learned that the Potter, Kent, and Jones houses had been relocated from their original lots to other lots inside the flood plain. According to a County official, the North Carolina Division of Emergency Management gave the County three possible ways to resolve the issues with the three houses: (1) the houses could be removed to a location outside the flood plain, (2) the houses could be demolished, or (3) the houses could be removed from the buy-out program by reimbursement of the County for the full amount it had paid to the original owners. The County, in turn, informed H&S that the house relocations violated the terms of the Demolition and Clearance contract, explained the three choices, and gave H&S a deadline of 10 December 2002 to \u201ccomplete corrective action.\u201d The County later threatened legal action against H&S if it did not bring the salvaged houses into compliance with the contract.\nH&S ultimately dealt with each house in a different manner. With respect to Potter\u2019s house, H&S paid more than $22,000.00 to cover the cost of relocating the house to another lot that Potter owned outside the flood plain and putting it on a foundation. Kent, however, refused to move his house a second time, so H&S was forced to reimburse the County in the amount of $52,757.00 \u2014 the amount paid by the County to the original owner of the house in the buy-out program.\nAs for Jones\u2019 house, Harrelson met with Jones to inform her of the problem. He told her that he had found a lot outside the flood plain on Water Street in the town of Bayboro and offered to relocate her house there at H&S\u2019 expense. He told her that the owner of the lot was willing to sell the lot to Jones for $12,000.00, but that H&S would make the first two months\u2019 payments for her. Jones told Harrelson she did not want to live on Water Street. Instead, she contacted a realtor and began to make arrangements to purchase a lot in the town of Reelsboro with the intent of moving the house there. On 5 December 2002, she provided H&S with written certification that the Reelsboro lot was outside the flood plain.\nThe next day, 6 December 2002, four days before the County\u2019s deadline, H&S hired defendant Turner to move Jones\u2019 house from her Swan Point lot to the Water Street lot that H&S had rented at its own expense. Harrelson acknowledged at trial that Jones had never given him permission to move the house, but said that H&S was under pressure to bring the three houses into compliance by 10 December 2002. Jones was driving to work when she discovered that her house was missing.\nOn 9 December 2002, H&S sent a letter to the County, requesting payment on its contract with the County and stating: \u201cPlease consider this request and its urgency because [H&S] has incurred considerable expense in trying to resolve these issues.\u201d The County, however, was not satisfied because \u201cthe house was still in a potential movable position, still had steel underneath of it, and . . . could still easily be moved back into the flood zone.\u201d\nOn 13 January 2003, H&S\u2019 attorney sent a letter to Jones\u2019 attorney, requesting \u201cthat your client make satisfactory arrangements for governmental approval of the location of this house by securing approval at its current location, by moving it to an appropriate location, or otherwise, putting the controversy to rest before January 29, 2003.\u201d The letter also stated that \u201c[a]bsent governmental approval, [H&S] must have the house removed by February 6, 2003. The time period between January 29, 2003 and February 6, 2003 will be used to raze the house if your client fails to make arrangements as set forth above.\u201d On 4 February 2003, when Jones had not responded, H&S demolished the house where it sat on the Water Street lot.\nJones filed suit on 10 November 2003 against H&S and Turner, asserting claims for fraud, negligent misrepresentation, conversion, and unfair and deceptive trade practices. H&S filed an answer on 20 January 2004. When Turner made no appearance, Jones obtained an entry of default against him on 2 March 2004.\nBoth Jones and H&S unsuccessfully moved for summary judgment, and the case was set for trial in February 2005. Upon motion of H&S, the compensatory and punitive damages stages of the trial were bifurcated pursuant to N.C. Gen. Stat. \u00a7 ID-30 (2007). At the conclusion of Jones\u2019 evidence in the liability phase of the trial, H&S moved for a directed verdict on all issues. The trial court denied H&S\u2019 motion, and the case proceeded with H&S\u2019 evidence. At the close of all the evidence, the trial court denied H&S\u2019 renewed motion for a directed verdict. At that time, Jones voluntarily dismissed her negligent misrepresentation claim, leaving for decision her claims for fraud, conversion, and UDTP. During the charge conference, however, the trial judge stated that he was revisiting his decision on H&S\u2019 motion for a directed verdict and had decided to grant that motion with respect to Jones\u2019 UDTP claim.\nJones\u2019 claims for fraud and conversion were submitted to the jury. The verdict sheet returned by the jury read:\nWe, the jury, by unanimous verdict, find as to the Issues as follows:\nISSUE ONE: Was the Plaintiff damaged by the fraud of the Defendant? Answer: Yes\nISSUE TWO: What amount of damages is the Plaintiff entitled to recover? Answer: $31,815\nISSUE THREE: Did the Defendant convert the house relocated at Swan Point Road by the Plaintiff? Answer: Yes\nISSUE FOUR: Did the Plaintiff abandon the home? Answer: No\nISSUE FIVE: What amount is the Plaintiff entitled to recover for the damages for the conversion of the property of the Plaintiff? Answer: $30,000\nThe morning after the verdict, H&S moved (1) for JNOV as to both claims, (2) for \u201cjudgment as a matter of law on the issue of punitive damages,\u201d or, in the alternative, (3) for a new trial on all issues. The trial court orally granted H&S\u2019 motion for JNOV as to the fraud claim, but denied it as to the conversion claim. The court also entered judgment for H&S as to Jones\u2019 claim for punitive damages. Lastly, the court denied H&S\u2019 motion for a new trial. Jones then also unsuccessfully moved for a new trial.\nOn 18 March 2005, Jones filed a motion pursuant to N.C.R. Civ. P. 52, requesting that the trial court make specific findings of fact and conclusions of law with respect to its rulings. The court denied Jones\u2019 motion and, instead, on 10 May 2005, entered a short judgment specifying the jury\u2019s verdict, setting forth the court\u2019s rulings on the parties\u2019 various motions, and entering judgment in favor of Jones in the amount of $30,000.00. Jones filed a notice of appeal on 1 June 2005.\nAppellate Rules Violations\nIn Dogwood Dev. & Mgmt. Co., our Supreme Court set out the framework for deciding whether to sanction a party for appellate rules violations. The Supreme Court explained that appellate rules violations fall into three types of \u201cdefaults\u201d: \u201c(1) waiver occurring in the trial court; (2) defects in appellate jurisdiction; and (3) violation of nonjurisdictional requirements.\u201d Id. at 194, 657 S.E.2d at 363. If the error is a nonjurisdictional default, the appellate court \u201cpossesses discretion in fashioning a remedy to encourage better compliance with the rules.\u201d Id. at 198, 657 S.E.2d at 365.\nSignificantly, \u201ca party\u2019s failure to comply with nonjurisdictional rule requirements normally should not lead to dismissal of the appeal.\u201d Id. Instead, a court may consider other sanctions for such violations. Nevertheless, the Dogwood Court cautioned that \u201cthe appellate court may not consider sanctions of any sort when a party\u2019s noncompliance with nonjurisdictional requirements of the rules does not rise to the level of a \u2018substantial failure\u2019 or \u2018gross violation.\u2019 \u201d Id. at 199, 657 S.E.2d at 366. The Court directed that \u201c[i]n such instances, the appellate court should simply perform its core function of reviewing the merits of the appeal to the extent possible.\u201d Id.\nThis Court originally dismissed Jones\u2019 appeal for two violations of the appellate rules. First, it held that Jones\u2019 assignments of error violated Rule 10(c)(1) by failing to state the legal basis for Jones\u2019 contention that the trial court erred in making its rulings with regard to the claims for fraud, UDTP, punitive damages, and prejudgment interest. Jones, 180 N.C. App. at 487, 638 S.E.2d at 229. Second, the Court held that Jones further violated Rule 10(c)(1) by failing to include, after each assignment of error, citations to the record. Id. at 487-88, 638 S.E.2d at 229. Under Dogwood, neither of these bases for the initial dismissal are jurisdictional, and they do not warrant dismissal of the appeal. The question remains whether any further action by this Court is warranted.\nTurning first to the issue of citations to the record, Rule 10(c)(1) provides that \u201c[a]n assignment of error is sufficient if it directs the attention of the appellate court to the particular error about which the question is made, with clear and specific record or transcript references.\u201d We note that Jones did not completely disregard this requirement of Rule 10(c)(1). She included appropriate references to the transcript for each of the trial court\u2019s rulings challenged on appeal, but either omitted a reference to the record or included an incorrect citation to the record. Jones\u2019 citations to the transcript constitute substantial compliance with Rule 10(c)(1), while her typographical errors in the record citations do not constitute a substantial error or gross violation warranting any sanction.\nWith respect to the substance of the assignments of error, Jones assigned error to the trial court\u2019s (1) granting defendant\u2019s motion for a directed verdict on the UDTP claim, (2) granting defendant\u2019s motion for JNOV as to the fraud claim and award of compensatory damages, (3) allowing defendant\u2019s motion to dismiss plaintiff\u2019s claim for punitive damages for conversion, (4) refusal to find conversion to be a UDTP \u201cas a matter of law,\u201d and (5) refusal to award interest from the date of conversion of Jones\u2019 house. As an initial matter, we hold that the conversion/UDTP assignment of error, although not as precise as it could be, adequately states a legal basis when it asserts that conversion in this case constituted a UDTP \u201cas a matter of law.\u201d\nThe remaining assignments of error, however, simply recite that the trial court erred without explaining why. Rule 10(c)(1) provides that \u201c[e]ach assignment of error shall, so far as practicable, be confined to a single issue of law; and shall state plainly, concisely and without argumentation the legal basis upon which error is assigned.\u201d\nAs for the assignments of error relating to the trial court\u2019s rulings granting a directed verdict on the UDTP claim, JNOV on the fraud claim, and judgment as a matter of law on punitive damages, we note that the only legal ground that could be relied upon by Jones is that sufficient evidence existed for those claims to go to the jury. See Alberti v. Manufactured Homes, Inc., 94 N.C. App. 754, 758, 381 S.E.2d 478, 480 (1989) (\u201cMotions for directed verdict or judgment notwithstanding the verdict are properly granted only if the evidence is insufficient to support a verdict for the nonmovant as a matter of law.\u201d), ajf\u2019d in part, reversed in part, and vacated in part on other grounds, 329 N.C. 727, 407 S.E.2d 819 (1991). As a result, the omission of the legal basis from these assignments of error\u2014 that the evidence was sufficient to go to the jury \u2014 does not impair our ability to review the merits of the appeal and could not have prejudiced H&S.\n. In deciding whether these assignments of error substantially violate Rule 10(c)(1), we are guided by the decisions of the Supreme Court in considering assignments of error asserting that a trial court erred in granting summary judgment. In Ellis v. Williams, 319 N.C. 413, 355 S.E.2d 479 (1987), the Supreme Court reversed the Court of Appeals when it dismissed an appeal because the appellant had failed to include in the record on appeal any assignments of error at all as to a summary judgment order. The Supreme Court held:\nThe purpose of summary judgment is to eliminate formal trial when the only questions involved are questions of law. Thus, although the enumeration of findings of fact and conclusions of law is technically unnecessary and generally inadvisable in summary judgment cases, summary judgment, by definition, is always based on two underlying questions of law: (1) whether there is a genuine issue of material fact and (2) whether the moving party is entitled to judgment. On appeal, review of summary judgment is necessarily limited to whether the trial court\u2019s conclusions as to these questions of law were correct ones. It would appear, then, that notice of appeal adequately apprises the opposing party and the appellate court of the limited issues to be reviewed. Exceptions and assignments of error add nothing.\nThis result does not run afoul of the expressed purpose of Rule 10(a). Exceptions and assignments of error are required in most instances because they aid in sifting through the trial court record and fixing the potential scope of appell\u00e1te review. We note that the appellate court must carefully examine the entire record in reviewing a grant of summary judgment. Because this is so, no preliminary \u201csifting\u201d of the. type contemplated by the rule need be performed. Also, as previously observed, the potential scope of review is already fixed; it is limited to the two questions of law automatically raised by summary judgment. Under these circumstances, exceptions and assignments of error serve no useful purpose. Were we to- hold otherwise, plaintiffs would be required to submit assignments of error which merely restate the obvious; for example, \u201cThe trial court erred in concluding that no genuine issue of material fact existed and that defendants were entitled to summary judgment in their favor.\u201d At best, this is a superfluous formality.\nId. at 415-16, 355 S.E.2d at 481 (internal citations omitted). The Supreme Court reversed the Court of Appeals and remanded for this Court to review the case on its merits. Id. at 417, 355 S.E.2d at 482.\nOur Supreme Court recently reaffirmed Ellis:\nThis Court has long held, and the law has not been changed, that for purposes of an appeal from a trial court\u2019s entry of summary judgment for the prevailing party, the appealing party is not required under Rule 10(a) of the Rules of Appellate Procedure to make assignments of error for the reason that on appeal, review is necessarily limited to whether the trial court\u2019s conclusions as to whether there is a genuine issue of material fact and whether the moving party is entitled to judgment, both questions of law, were correct.\nSchenkel & Shultz, Inc. v. Hermon F. Fox & Assocs., 362 N.C. 269, 276-77, 658 S.E.2d 918, 923 (2008) (emphasis added).\nTo deny consideration of Jones\u2019 assignments of error regarding the fraud, UDTP, and punitive damages claims because of her failure to state the only possible basis for review would amount to requiring, in the language of Ellis, that Jones engage in a \u201csuperfluous formality.\u201d Ellis, 319 N.C. at 416, 355 S.E.2d at 481. We, therefore, hold that Jones\u2019 challenges to the trial court\u2019s rulings on her fraud, UDTP, and punitive damages claims are properly before this Court for appellate review.\nWe reach a different conclusion with respect to Jones\u2019 prejudgment interest assignment of error. The legal basis for that claim of error is neither set out in the assignment of error nor apparent from the nature of the error challenged. We do not believe that consideration of this error is necessary \u201c[t]o prevent manifest injustice to a party, or to expedite decision in the public interest.\u201d N.C.R. App. P. 2. Accordingly, we decline to exercise our discretion under Rule 2 to review this assignment of error.\nIn sum, in accordance with the Supreme Court\u2019s mandate, we have reconsidered this panel\u2019s prior dismissal of the appeal in light of Dogwood and Hart. We hold that no sanction is warranted and that this Court should review Jones\u2019 appeal on the merits with the exception of the prejudgment interest assignment of error.\nThe Merits of the Appeal\nA. Grant of JNOV on Fraud Claim\nJones\u2019 first argument is that the trial court erred in granting H&S\u2019 motion for JNOV on the fraud claim. A motion for JNOV is a renewal of an earlier motion for a directed verdict, and the standards of review are the same. Bryant v. Nationwide Mut. Fire Ins. Co., 313 N.C. 362, 368-69, 329 S.E.2d 333, 337 (1985). \u201cIn considering any motion for directed verdict, the trial court must view all the evidence that supports the non-movant\u2019s claim as being true and that evidence must be considered in the light most favorable to the non-movant, giving to the non-movant the benefit of every reasonable inference that may legitimately be drawn from the evidence with contradictions, conflicts, and inconsistencies being resolved in the nonmovant\u2019s favor.\u201d Id. at 369, 329 S.E.2d at 337-38.\n\u201cThe essential elements of actionable fraud are: \u2018(1) [f]alse representation or concealment of a material fact, (2) reasonably calculated to deceive, (3) made with intent to deceive, (4) which does in fact deceive, (5) resulting in damage to the injured party.\u2019 \u201d Becker v. Graber Builders, Inc., 149 N.C. App. 787, 793, 561 S.E.2d 905, 910 (2002) (quoting Ragsdale v. Kennedy, 286 N.C. 130, 138, 209 S.E.2d 494, 500 (1974)). In this case, the parties have centered their arguments around the third element of fraud, the intent to deceive. The required scienter for fraud is not present without both knowledge and an intent to deceive, manipulate, or defraud. Myers & Chapman, Inc. v. Thomas G. Evans, Inc., 323 N.C. 559, 568, 374 S.E.2d 385, 391 (1988).\nHere, when the evidence is viewed in the light most favorable to Jones, with all inferences drawn in her favor, both knowledge and intentional deception can be attributed to H&S. There is no dispute that H&S had knowledge of the requirement that the houses be relocated outside the flood plain. Further, Jones showed Harrelson where she planned to move the house, which would permit a jury to infer that H&S knew she intended to move the house within the flood plain. Jones offered evidence that, despite this knowledge, Harrelson said nothing about the requirement that the house be moved outside of the flood plain, but rather helped her find a house mover to move the house to the new location.\nJones\u2019 evidence also suggested that once H&S learned that the County was aware that the salvaged houses had not been moved outside the flood plain, H&S falsely told the County\u2019s agent that it had written contracts requiring the new owners to comply with the flood plain requirement. H&S then, according to Jones\u2019 evidence, created after-the-fact \u201ccontracts\u201d designed to cover-up H&S\u2019 failure to disclose the flood plain requirement and failure to have a written contract. Finally, there was evidence in the record that H&S fabricated documents pertaining to other elements of its contract with the County and similarly misled two other purchasers of houses \u2014 evidence from which the jury could conclude that H&S had an overall scheme of deceit with respect to the County contract in order to maximize its profit. We hold that a jury could infer an intent to deceive from this evidence.\nApart from challenging the sufficiency of the evidence to prove an intent to deceive, H&S argues on appeal that the form signed by Jones, stating that it was her responsibility to move the house outside the flood plain, amended the parties\u2019 contract. According to H&S, Jones was, therefore, limited to suing for breach of contract. H&S, however, cites no authority supporting its assumption that a plaintiff cannot sue for fraud if she has a breach of contract claim. The law is, in fact, to the contrary: a plaintiff may assert both claims, although she may be required to elect between her remedies prior to obtaining a verdict. See First Atl. Mgmt. Corp. v. Dunlea Realty Co., 131 N.C. App. 242, 256-57, 507 S.E.2d 56, 65 (1998) (discussing principle that a person who was fraudulently induced to purchase property may elect between contract or tort remedy).\nMoreover, Jones contends that the form represented an attempt by H&S to cover up its fraud in the sales of the houses and, therefore, is evidence of H&S\u2019 intent to deceive. Our courts have acknowledged that evidence insufficient to establish a breach of contract may nonetheless be admissible to prove that a contract was fraudulently induced or that the defendant committed unfair and deceptive trade practices. See McNamara v. Wilmington Mall Realty Corp., 121 N.C. App. 400, 413, 466 S.E.2d 324, 333 (holding that evidence of the parties\u2019 negotiations was inadmissible on the breach of contract claim, but was admissible to prove fraud and unfair and deceptive trade practices), disc. review denied, 343 N.C. 307, 471 S.E.2d 72-73 (1996). It was for the jury to decide what inferences should be drawn from the form and what weight to give it. Accordingly, we reverse the trial judge\u2019s entry of JNOV with respect to the jury\u2019s fraud verdict.\nB. Damages for Fraud and Conversion\nThe parties dispute the amount of damages that Jones is entitled to recover in the event of reinstatement of the fraud verdict. Jones argues that she is entitled to recover both the damages awarded for conversion and the damages awarded for fraud, for a total amount of $61,815.00. H&S contends, however, that recovery of both verdicts would amount to a double recovery. We agree with H&S that Jones is not entitled to both awards, but rather must elect between them.\nJones\u2019 fraud claim arose out of H&S\u2019 failure to inform Jones that she would need to move the house outside the flood plain, while her conversion claim arose out of H&S\u2019 removal and eventual destruction of her house. H&S\u2019 fraudulent actions were separate and apart from its acts of conversion and required separate damages instructions. As to Jones\u2019 damages from the fraud, the trial court instructed the jury: \u201cThe plaintiff\u2019s actual damages are equal to the fair market value of the property ... at the time that the plaintiff was defrauded.\u201d It then instructed the jury to award damages for conversion based on the \u201cfair market value of the property at the time it was converted.\u201d\nIt is apparent from these instructions that the jury\u2019s awards of $31,815.00 for fraud and $30,000.00 for conversion \u2014 each involving the fair market value of the same property at a different point in time \u2014 represent overlapping damages. Jones is not entitled to recover the fair market value of the house twice. The doctrine of the election of remedies prevents \u201c \u2018double redress for a single wrong.\u2019 \u201d United Labs., Inc. v. Kuykendall, 335 N.C. 183, 191, 437 S.E.2d 374, 379 (1993) (quoting Smith v. Gulf Oil Corp., 239 N.C. 360, 368, 79 S.E.2d 880, 885 (1954)). \u201c[T]he underlying basis\u201d of this rule is \u201cthe maxim which forbids that one shall be twice vexed for one and the same cause.\u201d Smith, 239 N.C. at 368, 79 S.E.2d at 885. Accordingly, we hold that Jones is entitled to judgment in the amount of $31,815.00, the greater of the two overlapping amounts awarded by the jury.\nC. Unfair and Deceptive Trade Practices\nJones next assigns error to the trial court\u2019s entry of a directed verdict on Jones\u2019 UDTP claim. The basis of that ruling is not entirely clear since the trial judge stated that he was dismissing only Jones\u2019 independently pled UDTP claim, but would still allow Jones to argue, during the punitive damages stage of the bifurcated trial, that UDTP principles should apply in the calculation of damages, if the jury found liability on the basis of either fraud or conversion.\nThe court\u2019s ruling appears to reflect a misunderstanding of the nature of a claim brought under N.C. Gen. Stat. \u00a7 75-1.1 (2007). A UDTP claim is a substantive claim, the remedy for which is treble damages. N.C. Gen. Stat. \u00a7 75-16 (2007). Chapter 75 is not a remedial scheme for other substantive claims. See Bhatti v. Buckland, 328 N.C. 240, 245, 400 S.E.2d 440, 443 (1991) (noting that N.C. Gen. Stat. \u00a7 75-1.1 \u201cwas enacted to establish an effective private cause of action for aggrieved consumers in this State\u201d (internal quotation marks omitted)). As this Court has stated, \u201c[plaintiffs can assert both UDTP violations under N.C. Gen. Stat. \u00a7 75-1.1 and fraud based on the same conduct or transaction. Successful plaintiffs may receive punitive damages or be awarded treble damages, but may not have both.\u201d Compton v. Kirby, 157 N.C. App. 1, 21, 577 S.E.2d 905, 918 (2003). The approach followed by the trial court in this case of dismissing the UDTP claim, but allowing counsel to argue it in connection with punitive damages, was in error.\nWith respect to the trial court\u2019s dismissal of Jones\u2019 substantive UDTP claim, we need not address Jones\u2019 argument that the conversion verdict was sufficient to meet the requirements of that claim because it is well-settled that \u201ca plaintiff who proves fraud thereby establishes that unfair or deceptive acts have occurred.\u201d Bhatti, 328 N.C. at 243, 400 S.E.2d at 442. See also Hardy v. Toler, 288 N.C. 303, 309, 218 S.E.2d 342, 346 (1975) (\u201cProof of fraud would necessarily constitute a violation of the prohibition against unfair and deceptive acts . . . .\u201d); State Props., LLC v. Ray, 155 N.C. App. 65, 74, 574 S.E.2d 180, 187 (2002) (\u201c[A] finding of fraud constitutes a violation of N.C. Gen. Stat. \u00a7 75-1.1.\u201d), disc. review denied, 356 N.C. 694, 577 S.E.2d 889 (2003). \u201cOnce the plaintiff has proven fraud, thereby establishing prima facie a violation of Chapter 75, the burden shifts to the defendant to prove that he is exempt from the provisions of N.C.G.S. \u00a7 75-1.1.\u201d Bhatti, 328 N.C. at 243-44, 400 S.E.2d at 442 (internal citation omitted).\nBecause the jury found in favor of Jones on the fraud claim and because H&S has made no attempt to argue that it is exempt from the provisions of N.C. Gen. Stat. \u00a7 75-1.1, Jones is entitled, under Bhatti, to recover treble damages under N.C. Gen. Stat. \u00a7 75-16. We, therefore, remand for entry of judgment in favor of Jones on her UDTP claim and for trebling of her fraud damages. Upon remand, the trial court must also consider whether to exercise its discretion to award attorney\u2019s fees under N.C. Gen. Stat. \u00a7 75-16.1. Bhatti, 328 N.C. at 247, 400 S.E.2d at 444.\nD. Punitive Damages\nJones also challenges the trial court\u2019s decision, rendered between the two phases of the bifurcated trial, to grant H&S\u2019 \u201cmotion for judgment as a matter of law\u201d as to her claim for punitive damages. In Lindsey v. Boddie-Noell Enters., Inc., 147 N.C. App. 166, 177, 555 S.E.2d 369, 377 (2001), disc. review denied in part, 355 N.C. 213, 559 S.E.2d 803, rev\u2019d in part on other grounds, 355 N.C. 487, 562 S.E.2d 420 (2002) (per curiam), this Court stated that \u201cwhere an appellate court concludes that a case that was bifurcated at trial pursuant to N.C. Gen. Stat. \u00a7 ID-30 must be remanded for a new trial on the issues relating to punitive damages, we believe the statute requires that the case must also be remanded for a new trial on the issues of liability for compensatory damages and the amount of compensatory damages, so that the same jury may try all of these issues.\u201d\nIn other words, under the bifurcated procedure set forth in \u00a7 ID-30, this Court cannot direct a trial court, on remand, to conduct only the punitive damages phase of the bifurcated trial. Rather, any remand requires that the trial court start over at the beginning with the liability phase before proceeding to the punitive damages phase.\nWe need not address Jones\u2019 argument that the motion for \u201cjudgment as a matter of law\u201d as to punitive damages was inappropriately timed. But see Gibbs v. Mayo, 162 N.C. App. 549, 558-59, 591 S.E.2d 905, 911-12 (holding that trial court did not err in dismissing plaintiff\u2019s punitive damages claim ex mero motu at the close of plaintiff\u2019s evidence during the liability phase when \u201c[t]he only new evidence plaintiffs may have presented in the punitive damages stage was the amount of punitive damages they sought\u201d), disc. review denied, 358 N.C. 543, 599 S.E.2d 45 (2004). Confronted with the prospect of foregoing her favorable jury verdicts and retrying her substantive claims, Jones has stated on appeal that she elects to receive treble damages pursuant to her UDTP claim rather than punitive damages. See Compton, 157 N.C. App. at 21, 577 S.E.2d at 918 (\u201cSuccessful plaintiffs may receive punitive damages or be awarded treble damages [under Chapter 75], but may not have both.\u201d). Jones has, therefore, rendered the punitive damages issue moot.\nConclusion\nIn summary, we conclude that, under the test set forth by the Supreme Court in Dogwood, any appellate rules violations committed by Jones are insufficient to warrant dismissal of the appeal or the imposition of any other sanctions beyond refusal to review the prejudgment interest assignment of error. As to the merits of this appeal, the trial court\u2019s grant of H&S\u2019 JNOV motion is reversed, and the jury verdict finding H&S liable for fraud in the amount of $31,815.00 is reinstated. The trial court\u2019s entry of judgment as to Jones\u2019 UDTP claim is reversed, and this case is remanded for entry of judgment in the amount of $95,445.00 and for the court to consider, in its discretion, whether to award attorney\u2019s fees under N.C. Gen. Stat. \u00a7 75-16.1.\nWe note that H&S, in its brief, requested that this Court remand this case for a new trial. H&S did not, however, cross-assign error to the trial court\u2019s denial of its motion for a new trial. Further, H&S has not cited any authority at all supporting the grant of a new trial to H&S. Without the citation of any authority, we decline to grant H&S a new trial.\nAffirmed in part, reversed in part, and remanded.\nJudge JACKSON concurs.\nJudge TYSON concurs in the result in part and dissents in part in a separate opinion.\n. It is unclear from the record when RSM Harris Associates learned that the houses were not in compliance with the County contract. H&S\u2019 managing member, Kenneth Smith, acknowledged in an affidavit admitted into evidence that H&S \u201chad been notified\u201d by an unnamed entity that Jones\u2019 house was still in the flood plain at some time between the moving of the house on 19 August 2002 and the sending of the 13 September 2002 form.\n. H&S filed a motion to dismiss the appeal as interlocutory since the default judgment against Rodney Turner, the house mover, was not entered until after Jones appealed to this Court. In this Court\u2019s initial opinion, the majority denied the motion because although the appeal was indeed interlocutory at the time it was filed, judgment had since been entered against Turner, leaving nothing to be resolved at the trial level. See Tarrant v. Freeway Foods of Greensboro, Inc., 163 N.C. App. 504, 508, 593 S.E.2d 808, 811 (declining to dismiss appeal as interlocutory when plaintiff took voluntary dismissal of remaining claims pending in the trial court after giving notice of appeal but before case was heard in the Court of Appeals), disc. review denied, 358 N.C. 739, 603 S.E.2d 126 (2004). We see no reason to revisit that conclusion.\n. The parties have not challenged these instructions on appeal, and therefore we express no opinion regarding whether they were a correct articulation of the measure of damages for each claim.\n. \u201cJudgment as a matter of law\u201d is a phrase used in the federal court system. See Fed.R. Civ. P. 50(a). Counsel did not, in his oral motion, cite a rule under the North Carolina Rules of Civil Procedure pursuant to which his motion was made. We presume the motion was, in essence, one for a directed verdict.",
        "type": "majority",
        "author": "GEER, Judge."
      },
      {
        "text": "TYSON, Judge\nconcurring in the result in part and dissenting in part.\nWe all agree that plaintiff violated multiple nonjurisdictional requirements of the North Carolina Rules of Appellate Procedure. Dogwood Dev. & Mgmt Co., LLC v. White Oak Transp. Co., 362 N.C. 191, 657 S.E.2d 361 (2008) (hereinafter referred to as Dogwood T). The majority\u2019s opinion erroneously disregards prior precedents that impose sanctions for similar violations to those at bar and concludes plaintiff\u2019s violations do not rise to the level of \u201cgross\u201d or \u201csubstantial\u201d warranting any type of sanction. See Dogwood Dev. & Mgmt Co., LLC v. White Oak Transp. Co., 192 N.C. App. 114, 119, 665 S.E.2d 493, 499 (2008) (hereinafter referred to as Dogwood II); Odom v. Clark, 192 N.C. App. 190, 193, - S.E.2d -, - (2008). Nevertheless, as addressed later in this opinion, the majority dismisses one of plaintiff\u2019s assignments of error and declines to invoke Appellate Rule 2, despite finding no other sanctions are warranted for plaintiff\u2019s multiple rule violations. This holding shows the inherent inequity and danger in non-uniform application of the Rules of Appellate Procedure for all appellate litigants.\nPlaintiff\u2019s assignments of error numbered 1 through 5 fail to state any legal basis upon which error is assigned in violation of Rule 10(c)(1) and subjects plaintiff\u2019s broadside and ineffective assignments of error to dismissal. Consistent with our Supreme Court\u2019s mandate in this case and Dogwood I, in order to achieve the appropriate disposition of this appeal, this Court should invoke Appellate Rule 2 and proceed to the merits of plaintiff\u2019s appeal. 362 N.C. at 196, 657 S.E.2d at 364.\nOn the merits, the majority\u2019s opinion: (1) reverses the lower court\u2019s entry of judgment in favor of defendant on plaintiff\u2019s fraud and unfair and deceptive trade practices (\u201cUDTP\u201d) claims and (2) remands this case to the trial court for (a) entry of judgment in the amount of $31,815.00 on plaintiff\u2019s fraud claim; (b) entry of an award of treble damages; and (c) in the trial court\u2019s discretion, entry of an award for attorney\u2019s fees pursuant to N.C. Gen. Stat. \u00a7 75-16.1 (2005).\nI agree that the trial court erroneously granted defendant\u2019s motion for judgment notwithstanding the verdict regarding plaintiff\u2019s fraud claim and failed to reach plaintiff\u2019s UDTP claim on that basis. The trial court correctly addressed plaintiff\u2019s UDTP claim based upon defendant\u2019s act of conversion. Here, plaintiff\u2019s trial was bifurcated pursuant to N.C. Gen. Stat. \u00a7 ID-30 (2005). The trial court deprived plaintiff and defendant of the opportunity to submit their evidence to the jury regarding punitive damages and defendant was also denied the opportunity to show it was exempt from the UDTP statute or its non-applicability to these facts. The only appropriate remedy for plaintiff and defendant is to remand this case for a new trial on plaintiff\u2019s fraud claim and after the jury\u2019s verdict is returned, plaintiff\u2019s UDTP claim should be re-considered by the trial court. I respectfully concur in the result in part and dissent in part.\nI. Application of the Rules of Appellate Procedure\nIn Dogwood I, our Supreme Court re-stated that, the \u201c \u2018rules of procedure are necessary ... in order to enable the courts properly to discharge their dut[y]\u2019 of resolving disputes. It necessarily follows that failure of the parties to comply with the rules, and failure of the appellate courts to demand compliance therewith, may impede the administration of justice.\u201d 362 N.C. at 193, 657 S.E.2d at 362 (quoting Pruitt v. Wood, 199 N.C. 788, 790, 156 S.E. 126, 127 (1930)) (alteration original). Non-uniformity and inequality in the application of the Rules of Appellate Procedure and the imposition of sanctions thereunder may raise Federal and State constitutional Due Process and Equal Protection issues and strikes at the heart of fair, impartial, and equal administration of justice to all parties. See State v. Hart, 361 N.C. 309, 317, 644 S.E.2d 201, 206 (2007) (\u201cFundamental fairness and the predictable operation of the courts for which our Rules of Appellate Procedure were designed depend upon the consistent exercise of this authority. . . . [I]f the Rules are not applied consistently and uniformly, federal habeas tribunals could potentially conclude that the Rules are not an adequate and independent state ground barring review. Therefore, it follows that our appellate courts must enforce the Rules of Appellate Procedure uniformly.\u201d). \u201cIt is, therefore, necessary to have rules of procedure and to adhere to them, and if we relax them in favor of one, we might as well abolish them.\u201d Bradshaw v. Stansberry, 164 N.C. 356, 357, 79 S.E. 302, 302 (1913).\nWith these principles in mind, our Supreme Court set forth a framework in which North Carolina appellate courts analyze violations of the appellate rules. Dogwood I, 362 N.C. at 193, 657 S.E.2d at 362. The Court stated, \u201cthat the occurrence of default under the appellate rules arises primarily from the existence of one or more of the following circumstances: (1) waiver occurring in the trial court; (2) defects in appellate jurisdiction; and (3) violation of nonjurisdictional requirements.\u201d Id. at 194, 657 S.E.2d at 363. Here, defendant\u2019s noncompliance falls within the third category.\n[W]hen a party fails to comply with one or more nonjurisdictional appellate rules, the court should first determine whether the noncompliance is substantial or gross under Rules 25 and 34. If it so concludes, it should then determine which, if any, sanction under Rule 34(b) should be imposed. Finally, if the court concludes that dismissal is the appropriate sanction, it may then consider whether the circumstances of the case justify invoking Rule 2 to reach the merits of the appeal.'\nId. at 201, 657 S.E.2d at 367.\nA. Appellate Rules 25 and 34\n\u201cBased on the language of [Appellate] Rules 25 and 34, the appellate court may not consider sanctions of any sort when a party\u2019s noncompliance with nonjurisdictional requirements of the rules does not rise to the level of a \u2018substantial failure\u2019 or \u2018gross violation.\u2019 \u201d Id. at 199, 657 S.E.2d at 366.\nIn determining whether a party\u2019s noncompliance with the appellate rules rises to the level of a substantial failure or gross violation, the court may consider, among other factors, whether and to what extent the noncompliance impairs the court\u2019s task of review and whether and to what extent review on the merits would frustrate the adversarial process. The court may also consider the number of. rules violated, although in certain instances noncompliance with a discrete requirement of the rules may constitute a default precluding substantive review.\nId. at 200, 657 S.E.2d at 366-67 (internal citations omitted).\nHere, plaintiff failed to: (1) state any legal basis upon which error is assigned in her assignments of error numbered 1 through 5; (2) cite any record page reference to the order she appealed from; and (3) argue or present any reasons or authority in support of her assignments of error numbered 6 and 7.\nPlaintiff\u2019s assignments of error numbered 6 and 7 are specifically abandoned in plaintiff\u2019s brief. Plaintiff states, \u201cBased upon the stated requested relief, the appellant chooses to abandon and forego these last assignments of error.\u201d These assignments of error are abandoned and dismissed. See N.C.R. App. P. 28(b)(6) (2005) (\u201cAssignments of error not set out in the appellant\u2019s brief, or in support of which no reason or argument is stated or authority cited, will be taken as abandoned.\u201d).\nInitially, this Court must determine whether plaintiff substantially failed to comply with or grossly violated Appellate Rule 10(c)(1). N.C.R. App. P. 10(c)(1) (2005) provides, in relevant part:\nEach assignment of error . . . shall state plainly, concisely and without argumentation the legal basis upon which error is assigned. An assignment of error is sufficient if it directs the attention of the appellate court to the particular error about which the question is made, with clear and specific record or transcript references.\n(Emphasis supplied).\nThere is a presumption in favor of the regularity and validity of judgments in the lower court, and the burden is upon appellant to show prejudicial error. Without preserved, assigned, and argued assignments of error that identify the pages where the alleged error occurred, the appellate court can only rummage through the record to ascertain error.\nDogwood II, 192 N.C. App. at 118, 665 S.E.2d at 497 (internal citations and quotations omitted).\nPlaintiff submitted the following assignments of error to this Court:\n1. Did the Trial Court, . . . err in . . . granting, . . . the defendant\u2019s prior Motion for Directed Verdict on the plaintiff\u2019s unfair and deceptive trade practice claim . . . ?\n2. . . . [D]id the Trial Court err:\n(a) by . . . granting defendant\u2019s Motion for Judgment Notwithstanding the Verdict as to the fraud claim and award of compensatory damages; and\n(b) by considering and allowing the defendant\u2019s Motion to dismiss plaintiff\u2019s claim for punitive damages for conversion;\n3. Did the trial court err by refusing to make specific findings of fact and conclusions of law in its Judgment and order addressing the rulings on the defendant\u2019s Motion for Directed Verdict, Judgment Notwithstanding the verdict, and plaintiff\u2019s request to find the conversion by the defendants of plaintiff\u2019s house to be an unfair and deceptive trade practice after plaintiff had specifically moved, pursuant to North Carolina Rules of Civil Procedure 52(a)(2) and N.C. General Statute \u00a7 ID-50, for such findings?\n4. Did the Trial Court err by refusing to find the conversion of plaintiff\u2019s house by the defendant, in commerce, to be an unfair and deceptive trade practice, as a matter of law, and refusing to award treble damages and consider plaintiff\u2019s request for attorney\u2019s fees?\n5. Did the Trial Court err by refusing to award, in its judgment, interest from the date of the conversion of the plaintiff\u2019s house?\nPlaintiff\u2019s assignments of error numbered 1 through 5 fail to state any legal basis upon which error is assigned. N.C.R. App. P. 10(c)(1); see also Walker v. Walker, 174 N.C. App. 778, 781, 624 S.E.2d 639, 641 (2005) (\u201c [Assignments of error that are . . . broad, vague, and unspecific .... do not comply with the North Carolina Rules of Appellate Procedure.\u201d (Citation and quotation omitted)), disc. rev. denied, 360 N.C. 491, 632 S.E.2d 774 (2006), cert. denied, 362 N.C. 92, 657 S.E.2d 31 (2007). Plaintiffs assignments of error \u201c[are] designed to allow counsel to argue anything and everything they desire in their brief on appeal\u201d because \u201clike a hoopskirt \u2014 [it] covers everything and touches nothing.\u201d Wetchin v. Ocean Side Corp., 167 N.C. App. 756, 759, 606 S.E.2d 407, 409 (2005) (quoting State v. Kirby, 276 N.C. 123, 131, 171 S.E.2d 416, 422 (1970)).\nIn applying Dogwood I and Hart to other remanded cases, this Court has repeatedly held that an appellant\u2019s failure to state any legal basis upon which error is assigned constitutes a \u201csubstantial failure\u201d or \u201cgross violation\u201d of the North Carolina Rules of Appellate Procedure. See Dogwood II, 192 N.C. App. at 120, 665 S.E.2d at 499; Odom, 192 N.C. App. at 198, \u2014 S.E.2d at \u2014. Under these precedents, this Court must decide what sanction should be imposed under Appellate Rule 34.\nRule 34 of the North Carolina Rules of Appellate Procedure provides:\nA court of the appellate division may impose one or more of the following sanctions: (1) dismissal of the appeal; (2) monetary damages including, but not limited to, a. single or double costs, b. damages occasioned by delay, c. reasonable expenses, including reasonable attorney fees, incurred because of the frivolous appeal or proceeding; (3) any other sanction deemed just and proper.\nN.C.R. App. P. 34 (b) (2005). Our Supreme Court has stated, \u201c[i]n most situations when a party substantially or grossly violates nonjurisdictional requirements of the rules, the appellate court should impose a sanction other than dismissal and review the merits of the appeal.\u201d Dogwood I, 362 N.C. at 200, 657 S.E.2d at 366. However, our Supreme Court held that dismissal of an appeal remains appropriate for the most egregious instances of nonjurisdictional default. See id. (\u201cNoncompliance with the rules falls along a continuum, and the sanction imposed should reflect the gravity of the violation. We clarify, however, that only in the most egregious instances of nonjurisdictional default will dismissal of the appeal be appropriate.\u201d (Citation omitted)).\nNorth Carolina appellate courts have historically and consistently dismissed \u201cbroadside\u201d and \u201cineffective\u201d assignments of error because the appellant failed to bring forward or present any arguable issue for the appellate court to consider and failed to overcome the presumption of correctness in the trial court\u2019s judgment. See Kirby, 276 N.C. at 131, 171 S.E.2d at 422; see also London v. London, 271 N.C. 568, 570, 157 S.E.2d 90, 92 (1967) (\u201cThere is a presumption in favor of the regularity and validity of judgments in the lower court, and the burden is upon appellant to show prejudicial error.\u201d (Citation omitted)). \u201cOur Supreme Court\u2019s opinion in [Dogwood I] did not validate hoopskirt assignments of error nor alter the Supreme Court\u2019s precedent in Kirby or this Court\u2019s numerous precedents dismissing broadside and ineffective[] assignments of error.\u201d Dogwood II, 192 N.C. App. at 124, 665 S.E.2d at 500-01 (citations and quotations omitted). In Hart and Dogwood I, our Supreme Court neither cited nor discussed Kirby and the long line of cases following it. See Kirby, 276 N.C. at 131, 171 S.E.2d at 422; State v. Patterson, 185 N.C. App. 67, 72-73, 648 S.E.2d 250, 254 (2007), disc. rev. denied, 362 N.C. 242, 660 S.E.2d 538 (2008); Calhoun v. WHA Med. Clinic, PLLC, 178 N.C. App. 585, 602, 632 S.E.2d 563, 574 (2006), disc. rev. denied, 361 N.C. 350, 644 S.E.2d 5 (2007); State v. Mullinax, 180 N.C. App. 439, 443, 637 S.E.2d 294, 297 (2006); Wetchin, 167 N.C. App. at 759, 606 S.E.2d at 409.\nAlthough appellate jurisdiction is invoked through the filing and serving of a proper notice of appeal, if an appellant fails to bring forward or present any arguable issue for the appellate court to consider, the presumption of correctness in the trial court\u2019s judgment remains and the appeal should be dismissed. See Viar v. N.C. Dep\u2019t of Transp., 359 N.C. 400, 402, 610 S.E.2d 360, 361 (\u201cIt is not the role of the appellate courts ... to create an appeal for an appellant.\u201d), reh\u2019g denied, 359 N.C. 643, 617 S.E.2d 662 (2005). The majority\u2019s opinion\u2019s attempt to liken plaintiff\u2019s assignments of error on these issues to the single issue in an appeal from entry of summary judgment is neither persuasive nor validated by any precedent.\nIn accordance with our Supreme Court\u2019s mandate and following the analysis of Dogwood I, Hart, and the aforementioned authority, plaintiff\u2019s \u201cbroadside\u201d and \u201cineffective\u201d assignments of error subjects her appeal to dismissal. To be consistent and follow our precedents for imposing sanctions for similar \u201csubstantial\u201d and \u201cgross\u201d rule violations, plaintiff\u2019s attorney should pay double the printing costs of this appeal. See Dogwood II, 192 N.C. App. at 121, 665 S.E.2d at 500 (\u201cDefendant\u2019s \u2018broadside and ineffective[]\u2019 assignments of error numbered 1 and 2 should be dismissed. In the exercise of our discretion, defendant\u2019s attorney is ordered to pay double the printing costs of this appeal.\u201d); Odom, 192 N.C. App. at 197, -S.E.2d at-(imposing double printing costs against the defendant\u2019s attorney for violations of Rule 10(c)(1)).\nB. Appellate Rule 2\nOnce it is determined that a party\u2019s \u201csubstantial\u201d or \u201cgross\u201d noncompliance with nonjurisdictional requirements warrants dismissal of the appeal, this Court must decide whether to invoke Appellate Rule 2 to attempt to review the merits of plaintiff\u2019s appeal. Dogwood I, 362 N.C. at 201, 657 S.E.2d at 367. Appellate Rule 2 states:\nTo prevent manifest injustice to a party, or to expedite decision in the public interest, either court of the appellate division may, except as otherwise expressly provided by these rules, suspend or vary the requirements or provisions of any of these rules in a case pending before it upon application of a party or upon its own initiative, and may order proceedings in accordance with its directions.\nN.C.R. App. P 2 (2005). The decision whether to invoke Appellate Rule 2 is purely discretionary and is to be limited to \u201crare occasions\u201d in which a fundamental purpose of the appellate rules is at stake. Dogwood I, 362 N.C. at 201, 657 S.E.2d at 367. Although Appellate Rule 2 has been applied more frequently in criminal cases where severe punishments were imposed, it has also been invoked in a limited number of civil cases. Hart, 361 N.C. at 316, 644 S.E.2d at 205 (citing Potter v. Homestead Pres. Ass\u2019n, 330 N.C. 569, 576, 412 S.E.2d 1, 5 (1992); Elec. Serv., Inc. v. Sherrod, 293 N.C. 498, 500, 238 S.E.2d 607, 609 (1977)).\nSimilar to the issue at bar, in Elec. Serv., Inc., our Supreme Court invoked Appellate Rule 2 to review the merits of the appeal after the defendant failed to except to the trial court\u2019s \u201ccrucial\u201d finding of fact upon which he based his entire appeal. 293 N.C. at 500, 238 S.E.2d at 609. The Court stated \u201c[w]hile we note the defendant\u2019s \u2018broadside\u2019 exception fails to comply strictly with the requirement of Rule 10(b)(2) of the Rules of Appellate Procedure, appropriate disposition of this appeal requires that we nevertheless proceed to the merits of the case.\u201d Id. (citing N.C.R. App. P. 2; City of King\u2019s Mountain v. Cline, 281 N.C. 269, 188 S.E.2d 284 (1972)). Our Supreme Court\u2019s decision to invoke Appellate Rule 2 was based primarily upon the necessity to reverse this Court\u2019s erroneous decision. Id.\nHere, after a thorough review of the record, transcript, and briefs, the \u201cappropriate disposition of this appeal requires that we . . . proceed to the merits of the case.\u201d Id. Appellate Rule 2 should be invoked to suspend the Appellate rules in order \u201c[t]o prevent manifest injustice to\u201d plaintiff. N.C.R. App. P. 2.\nIII. Issues\nPlaintiff argues the trial court erred by: (1) granting defendant\u2019s motion for directed verdict regarding plaintiff\u2019s UDTP claim; (2) granting defendant\u2019s motion for judgment notwithstanding the verdict regarding plaintiff\u2019s fraud claim and dismissing plaintiff\u2019s punitive damages claims; (3) refusing to enter specific findings of fact and' conclusions of law in its judgment addressing its rulings as specifically requested by counsel pursuant to Rule 52; (4) refusing to find that the conversion of plaintiffs house, by defendant constituted an UDTP; and (5) by refusing to award interest from the date of the conversion of plaintiff\u2019s house. As noted above, plaintiff specifically abandoned her assignments of error numbered 6 and 7 in her appellate brief.\nIV. Directed Verdict\nPlaintiff argues the trial court erred by granting defendant\u2019s motion for a directed verdict regarding her UDTP claim.\nAt the close of all the evidence, during the charge conference, the trial court revisited defendant\u2019s motion for directed verdict on the issue of UDTP and stated \u201c[t]he court is of the opinion that after consideration of all the evidence in this case, that the conduct alleged by the plaintiff against the defendant [sic] does not constitute a practice that so offends the public policy by being either unethical, unscrupulous or injurious that it poses a threat to the consuming public.\u201d The trial court initially granted defendant\u2019s motion for directed verdict regarding plaintiff\u2019s UDTP claim. However, after further exchange with plaintiff\u2019s counsel, the trial court agreed to revisit this issue after the jury\u2019s verdicts were returned:\n[Plaintiff\u2019s counsel]: ... So if we come back and the jury comes back and finds either/or, let\u2019s say fraud or conversion, will the court then consider the legal remedies allowable under the UDTP finding to address whether that is an unfair trade practice?\n[Trial court]: The court will consider those at that time.\nThis ruling was entirely proper because unless and until the jury returned a verdict holding defendant liable and awarded plaintiff compensatory damages, there were no \u201cdamages\u201d for the trial court to consider trebling under the UDTP statute. Any alleged error in the trial court\u2019s initial decision to grant defendant\u2019s motion for directed verdict regarding plaintiff\u2019s UDTP claim was harmless and cured when the trial court announced that it would reserve its ruling on this claim until after the jury\u2019s verdicts were returned. This assignment of error is without merit.\nV. Actionable Fraud\nA. Judgment Notwithstanding the Verdict\nPlaintiff argues the trial court erred by granting defendant\u2019s motion for judgment notwithstanding the verdict regarding plaintiffs fraud claim. I agree.\n1. Standard of Review\n[A] motion [for judgment notwithstanding the verdict] is essentially a renewal of an earlier motion for directed verdict. Accordingly, if the motion for directed verdict could have been properly granted, then the subsequent motion for judgment notwithstanding the verdict should also be granted. In considering any motion for directed verdict, the trial court must view all the evidence that supports the non-movant\u2019s claim as being true and that evidence must be considered in the light most favorable to the non-movant, giving to the non-movant the benefit of every reasonable inference that may legitimately be drawn from the evidence with contradictions, conflicts, and inconsistencies being resolved in the non-movant\u2019s favor. This Court has also held that a motion for judgment notwithstanding the verdict is cautiously and sparingly granted.\nBryant v. Nationwide Mut. Fire Ins. Co., 313 N.C. 362, 368-69, 329 S.E.2d 333, 337-38 (1985) (internal citations omitted). \u201cOn appeal our standard of review for a judgment notwithstanding the verdict is the same as that for a directed verdict; that is, whether the evidence was sufficient to go to the jury.\u201d Whitaker v. Akers, 137 N.C. App. 274, 277, 527 S.E.2d 721, 724 (internal citations and quotations omitted), disc. rev. denied, 352 N.C. 157, 544 S.E.2d 245 (2000). A judgment notwithstanding the verdict may also be entered when the trial court determines a fatal flaw exists in the proceedings or a jury\u2019s verdict to prevent a judgment from being entered thereon. See generally N.C. Gen. Stat. \u00a7 1A-1, Rule 50 (2005).\n2. Analysis\nHere, the trial court considered the sufficiency of the evidence to submit plaintiffs fraud claim to the jury on two separate occasions. The trial court first denied defendant\u2019s motion for directed verdict on the issue of fraud at the close of plaintiff\u2019s evidence and expressly stated, \u201c[tjhere is . . . some evidence from which at this point the court concludes that the jury may be able to infer that the concealment of this material fact might be fraudulent!.]\u201d At the close of all the evidence, the trial court again denied defendant\u2019s renewed motion for directed verdict on all of plaintiff\u2019s claims.\nOur Supreme Court has stated:\nWhen plaintiffs have made out a case sufficient to go to the jury ... it is error for the trial court to enter judgment for the defendant notwithstanding the verdict. Since plaintiffs\u2019 evidence was sufficient to withstand defendant\u2019s earlier motion' for a directed verdict, the trial court\u2019s entry of judgment notwithstanding the verdict was improper ....\nBryant, 313 N.C. at 378, 329 S.E.2d at 342 (citations omitted) (emphasis supplied). The issues before us center upon whether plaintiff\u2019s evidence was sufficient to withstand defendant\u2019s earlier motions for a directed verdict on the question of actionable fraud.\nWhile fraud has no all-embracing definition and is better left undefined lest crafty men find a way of committing fraud which avoids the definition, the following essential elements of actionable fraud are well established: (1) False representation or concealment of a material fact, (2) reasonably calculated to deceive, (3) made with intent to deceive, (4) which does in fact deceive, (5) resulting in damage to the injured party.\nMyers & Chapman, Inc. v. Thomas G. Evans, Inc., 323 N.C. 559, 568-69, 374 S.E.2d 385, 391 (1988) (citation omitted) (original emphasis omitted), reh\u2019g denied, 324 N.C. 117, 377 S.E.2d 235 (1989).\nNorth Carolina courts are extremely hesitant to allow plaintiffs to attempt to manufacture a tort action and allege UDTP out of facts that are properly alleged as a breach of contract claim. See Broussard v. Meineke Discount Muffler Shops, Inc., 155 F.3d 331, 346 (4th Cir. 1998) (\u201cIn this, plaintiffs\u2019 case is remarkably like Strum v. Exxon Company, where we found a similar \u2018attempt by the plaintiff to manufacture a tort dispute out of what is, at bottom, a simple breach of contract claim\u2019 to be \u2018inconsistent both with North Carolina law and sound commercial practice.\u2019 \u201d (Quoting Strum v. Exxon Company, 15 F.3d 327, 329 (4th Cir. 1994)). This hesitancy remains even if defendant\u2019s actions in breaching the contract were intentional. See Watson Elec. Constr. Co. v. Summit Cos., 160 N.C. App. 647, 657, 587 S.E.2d 87, 95 (2003) (\u201c[I]t is well recognized... that actions for unfair or deceptive trade practices are distinct from actions for breach of contract, and that a mere breach of contract, even if intentional, is not sufficiently unfair or deceptive to sustain an action under [N.C. Gen. Stat.] \u00a7 75-1.1.\u201d (Citation and quotation omitted)).\nHere, undisputed evidence tends to show that defendant had knowledge of the specific contractual requirement that the salvaged houses had to be relocated to property situated outside the 100 year flood plain. During the trial, defendant conceded multiple times that he had failed to disclose this requirement to plaintiff. Defendant further testified that \u201cthere [was] nowhere in the documents\u201d or \u201cpublic access\u201d where plaintiff could have discovered this requirement. Defendant assisted plaintiff in making arrangements for the relocation of her house and recommended she contact defendant Turner to provide this service for her.\nAdditional evidence presented at trial tended to show that after defendant was notified by the County that it had breached the terms of the demolition contract, defendant sent a responsive letter dated 10 September 2002, which falsely stated \u201cit had written contracts with each of the three owners of the houses that required the houses to be relocated outside the 100-Year Flood Plain.\u201d At that time, defendant did not have written contracts with any of the three owners, including plaintiff. On 13 September 2002, over a month after plaintiff had purchased and relocated her house to Swan Point Road, defendant requested she sign a document stating, \u201cI understand the house has to be relocated outside the 100 year flood plain.\u201d Plaintiff testified she complied with this request based upon defendant\u2019s assertion that they needed her to sign the document \u201cfor [their] records.\u201d As a result of defendant\u2019s non-compliance with the mandatory provisions of the demolition contract, plaintiff\u2019s house was further relocated to Bayboro, North Carolina, without her knowledge or permission, where it was subsequently demolished. Viewed in the light most favorable to plaintiff and giving her the benefit of every reasonable inference that may legitimately be drawn from the evidence, plaintiff presented sufficient evidence to submit her fraud claim to the jury. Bryant, 313 N.C. at 369, 329 S.E.2d at 337-38.\n\u201cSince [plaintiffs] evidence was sufficient to withstand defendant\u2019s earlier motion for a directed verdict, the trial court\u2019s entry of judgment notwithstanding the verdict was improper[.]\u201d Id. at 378, 329 S.E.2d at 342.1 concur with the majority\u2019s holding that the trial court\u2019s order granting defendant\u2019s motion for judgment notwithstanding the verdict regarding plaintiff\u2019s fraud claim should be reversed.\nB. UDTP\nBecause the trial court erroneously granted defendant\u2019s motion for judgment notwithstanding the verdict, it never revisited the issue of plaintiff\u2019s UDTP claim on the basis of defendant\u2019s fraudulent conduct. Our Supreme Court has repeatedly held that proof of fraud necessarily constitutes a prima facie violation of the prohibition against unfair and deceptive acts pursuant to N.C. Gen. Stat. \u00a7 75-1.1. Hardy v. Toler, 288 N.C. 303, 309, 218 S.E.2d 342, 346 (1975); see also Bhatti v. Buckland, 328 N.C. 240, 243, 400 S.E.2d 440, 442 (1991) (\u201cThe case law applying Chapter 75 holds that a plaintiff who proves fraud thereby establishes that unfair or deceptive acts have occurred.\u201d); Pearce v. American Defender Life Ins. Co., 316 N.C. 461, 470, 343 S.E.2d 174, 180 (1986) (\u201cIt is axiomatic that proof of fraud itself necessarily constitutes a violation of the prohibition against unfair or deceptive trade practices.\u201d (Citation omitted)). \u201cOnce the plaintiff has proven fraud, thereby establishing prima facie a violation of Chapter 75, the burden shifts to the defendant to prove that he is exempt from the provisions of [N.C. Gen. Stat.] \u00a7 75-1.1.\u201d Bhatti, 328 N.C. at 243, 400 S.E.2d at 442 (citations omitted) (emphasis supplied).\nHere, when the jury returned a verdict in favor of plaintiff for fraud and awarded compensatory damages in the amount of $31,815.00, a prima facie violation of N.C. Gen. Stat. \u00a7 75-1.1 was established. Id. Bhatti requires that the burden of proof shift to defendant \u201cto prove that he is exempt from the provisions of [N.C. Gen. Stat.] \u00a7 75-1.1.\u201d Id. Because the trial court erroneously granted defendant\u2019s motion for judgment notwithstanding the verdict on plaintiff\u2019s fraud claim, it did not consider plaintiff\u2019s UDTP claim pertaining to defendant\u2019s fraudulent conduct. Since defendant was the prevailing party at trial on this issue, defendant was never afforded the opportunity to prove it was exempt from N.C. Gen. Stat. \u00a7 75-1.1. The majority\u2019s opinion erroneously holds that it may impose treble damages by appellate fiat, denies defendant the opportunity to prove it was exempt from the UDTP statute, and usurps the trial court\u2019s duty to rule on plaintiff\u2019s UDTP claim on remand.\nC. Punitive Damages\nThe majority\u2019s opinion\u2019s holding on this issue is also erroneous because plaintiff asserted a claim for punitive damages based upon defendant\u2019s fraudulent conduct. Defendant\u2019s motion for a bifurcated trial was granted.\n\u201cOur appellate courts have clearly held that actions may assert both [N.C. Gen. Stat. \u00a7] 75-1.1 violations and fraud based on the same conduct or transaction and that plaintiffs in such, actions may receive punitive damages or be awarded treble damages, but may not have both.\u201d Mapp v. Toyota World, Inc., 81 N.C. App. 421, 426, 344 S.E.2d 297, 301 (citations omitted) (emphasis supplied), disc. rev. denied, 318 N.C. 283, 347 S.E.2d 464 (1986); see also Compton v. Kirby, 157 N.C. App. 1, 21, 577 S.E.2d 905, 918 (2003) (\u201cPlaintiffs can assert both UDTP violations under N.C. Gen. Stat. \u00a7 75-1.1 and fraud based on the same conduct or transaction. Successful plaintiffs may receive punitive damages or be awarded treble damages, but may not have both.\u201d (Citation omitted)). In Mapp, this Court addressed the question of when a plaintiff in such cases must elect the basis of recovery and stated: \u201cWe hold that it would be manifestly unfair to require plaintiffs in such cases to elect before the jury has answered the issues and the trial court has determined whether to treble the compensatory damages found by the jury and that such election should be allowed in the judgment.\u201d 81 N.C. App. at 427, 344 S.E.2d at 301 (emphasis original).\nHere, the trial court erroneously: (1) granted defendant\u2019s motion for judgment notwithstanding the verdict regarding plaintiff\u2019s fraud claim; (2) dismissed the jury before it was allowed to consider plaintiff\u2019s claim for punitive damages; and (3) dismissed plaintiff\u2019s punitive damages claim. After the jury returned a verdict in favor of plaintiff for fraud and awarded compensatory damages, the trial court should have proceeded to Phase II, where plaintiff and defendant would have been afforded the opportunity to submit evidence to the jury relating to punitive damages.\nN.C. Gen. Stat. \u00a7 ID-30 (2005) provides:\nUpon the motion of a defendant, the issues of liability for compensatory damages and the amount of compensatory damages, if any, shall be tried separately from the issues of liability for punitive damages and the amount of punitive damages, if any. Evidence relating solely to punitive damages shall not be admissible until the trier of fact has determined that the defendant is liable for compensatory damages and has determined the amount of compensatory damages. The same trier of fact that tried the issues relating to compensatory damages shall try the issues relating to punitive damages.\n(Emphasis supplied). The trial court\u2019s erroneous actions caused plaintiff to be denied the opportunity for the jury to consider punitive damages on her fraud claim and for plaintiff to elect the basis of her recovery after \u201cthe jury ha[d] answered the issues and the trial court ha[d] determined whether to treble the compensatory damages found by the jury[.]\u201d Mapp, 81 N.C. App. at 427, 344 S.E.2d at 301 (emphasis original).\nBased upon N.C. Gen. Stat. \u00a7 ID-30 and prior governing precedent, the only remedy for the trial court\u2019s erroneous granting of the judgment notwithstanding the verdict is to remand plaintiff\u2019s fraud claim for a new trial. This Court has stated:\nwhere an appellate court concludes that a case that was bifurcated at trial pursuant to N.C. Gen. Stat. \u00a7 ID-30 must be remanded for a new trial on the issues relating to punitive damages, we believe the statute requires that the case must also be remanded for a new trial on the issues of liability for compensatory damages and the amount of compensatory damages, so that the same jury may try all of these issues.\nLindsey v. Boddie-Noell Enters., Inc., 147 N.C. App. 166, 177, 555 S.E.2d 369, 377 (2001) (emphasis supplied), disc. rev. denied in part, 355 N.C. 213, 559 S.E.2d 803, per curium rev\u2019d on other grounds, 355 N.C. 487, 562 S.E.2d 420, reh\u2019g denied, 355 N.C. 759, 565 S.E.2d 668 (2002). Further, prior to the codification of N.C. Gen. Stat. \u00a7 ID-30, our Supreme Court stated:\nA bifurcated trial is particularly appropriate where separate submission of issues avoids confusion and promotes a logical presentation to the jury and where resolution of the separated issue will potentially dispose of the entire case. The better practice is to retain the same jury for all issues, even though it may hear the issues at different times.\nIn re Will of Hester, 320 N.C. 738, 743, 360 S.E.2d 801, 804 (internal citations omitted) (emphasis supplied), reh'g denied, 321 N.C. 300, 362 S.E.2d 780 (1987).\nThe trial court\u2019s erroneous granting of defendant\u2019s motion for judgment notwithstanding the verdict and dismissal of the jury before it heard evidence relating to punitive damages requires us to remand this case to the trial court for a new trial \u201con the issues of liability for compensatory damages and the amount of compensatory damages\u201d regarding plaintiff\u2019s fraud claim. Lindsey, 147 N.C. App. at 177, 555 S.E.2d at 377; N.C. Gen. Stat. \u00a7 1D-30. If the jury returns a verdict in favor of plaintiff and awards compensatory damages for fraud, the trial court shall then proceed to Phase II and the parties shall be allowed to submit evidence to the jury regarding punitive damages. After the jury renders its decision on punitive damages, the trial court shall consider whether defendant\u2019s actions constituted UDTP as a matter of law. If defendant fails to prove that it is exempt from the provisions of N.C. Gen. Stat. \u00a7 75-1.1, plaintiff must then elect the basis of her recovery between punitive and treble damages. Bhatti, 328 N.C. at 243, 400 S.E.2d at 442. The trial court\u2019s order granting defendant\u2019s motion for judgment notwithstanding the verdict regarding plaintiff\u2019s fraud claim is properly reversed and, under controlling case law and statutes, this case must be remanded for a new trial. Lindsey, 147 N.C. App. at 177, 555 S.E.2d at 377; N.C. Gen. Stat. \u00a7 1D-30.\nD. Erroneous Jury Instructions\nBecause our statutes and case law require this Court to award plaintiff a new trial on her fraud claim, I note in passing that the trial court erroneously instructed the jury on the measure of actual damages, if any, to be awarded for fraud. Here, the trial court stated:\nThe second issue reads: What amount is the plaintiff entitled to recover for damages for the fraud of the defendant.\nIf you have answered the first issue yes in favor of the plaintiff, the plaintiff is entitled to recover nominal damages, even without proof of actual damages. Nominal damages consist of some trivial amount, such as one dollar, in recognition of the technical damages incurred by the plaintiff. The plaintiff may be entitled to recover actual damages.\nOn this issue the burden of proof is on the plaintiff. This means that the plaintiff must prove by the greater weight of the evidence the amount of actual damages caused by the fraud of the defendant. The plaintiff\u2019s actual damages are equal to the fair market value of the property at the time it was \u2014 at the time that the plaintiff was defrauded. . . .\n(Emphasis supplied). It appears the trial court was reading the North Carolina Pattern Jury Instruction 810.60 regarding \u201cproperty damage\u201d in relation to plaintiff\u2019s fraud claim. However, plaintiff never alleged that her property had been damaged by defendant\u2019s fraudulent conduct.\nAt trial, plaintiff testified that had she been informed of the contractual provision requiring the relocation of the house to property situated outside the 100 year flood plain, she would not have purchased the house from defendant. Plaintiff explained that the lot on Swan Point Road, where she originally moved the house, was \u201cfamily\u201d property and she did not possess the money required to buy a separate lot.\nThis Court has stated:\nIt is elementary that a plaintiff in a fraud suit has a right to recover an amount in damages which, will put him in the same position as if the fraud had not been practiced on him. The measure of damages for fraud in the inducement of a contract is the difference between the value of what was received and the value of what was promised, and is potentially trebled by N.C.G.S. \u00a7 75-16. It is the jury\u2019s responsibility to determine the exact amount of damages from the evidence presented at trial.\nGodfrey v. Res-Care, Inc., 165 N.C. App. 68, 79, 598 S.E.2d 396, 404 (internal citations and quotations omitted) (emphasis supplied), disc. rev. denied, 359 N.C. 67, 604 S.E.2d 310 (2004).\nThe majority\u2019s opinion correctly states, \u201c[defendant\u2019s] fraudulent actions were separate and apart from its acts of conversion and required separate damages instructions.\u201d Here, the undisputed evidence shows plaintiff purchased the house from defendant for the price of $500.00 and paid defendant Turner the sum of $4,300.00 to relocate the house to Swan Point Road. A jury verdict in the amount of $4,800.00 would place plaintiff \u201cin the same position as if the fraud had not been practiced on [her].\u201d Id. Although the record does not disclose the precise reason the trial court granted defendant\u2019s motion for judgment notwithstanding the verdict, it is possible the trial court used defendant\u2019s motion to correct its instructional error on fraud in the inducement.\nVI. Conversion\nA. Punitive Damages\nPlaintiff further argues the trial court erred by granting defendant\u2019s motion to dismiss plaintiff\u2019s claims for punitive damages regarding her conversion claim.\nOur Supreme Court has stated, \u201cwhere sufficient facts are alleged to make out an identifiable tort, . . . the tortious conduct must be accompanied by or partake of some element of aggravation before punitive damages will be allowed.\u201d Newton v. Insurance Co., 291 N.C. 105, 112, 229 S.E.2d 297, 301 (1976) (citation omitted).\nThe aggravated conduct which supports an award for punitive damages when an identifiable tort is alleged may be established by allegations of behavior extrinsic to the tort itself... [o]r it may be established by allegations sufficient to allege a tort where that tort, by its very nature, encompasses any of the elements of aggravation.\nId. (internal citation omitted) (emphasis original). In Morrow v. Kings Department Stores, this Court held that \u201c[conversion is not a tort which by its very nature contains elements of aggravation.\u201d 57 N.C. App. 13, 24, 290 S.E.2d 732, 739 (citation omitted), disc. rev. denied, 306 N.C. 352, 294 S.E.2d 210 (1982). Plaintiff\u2019s complaint is devoid of any allegations of aggravating circumstances regarding defendant\u2019s act of conversion. Id. This assignment of error is without merit. The trial court\u2019s ruling on this issue is properly affirmed.\nB. IJDTP\nPlaintiff also argues the trial court erred by refusing to find the conversion of plaintiff\u2019s house to be an UDTP as a matter of law. I disagree.\n\u201cUnder [N.C. Gen. Stat. \u00a7] 75-1.1, an act or practice is unfair if it is immoral, unethical, oppressive, unscrupulous, or substantially injurious to consumers. An act or practice is deceptive if it has the capacity or tendency to deceive.\u201d Ace Chemical Corp. v. DSI Transports, Inc., 115 N.C. App. 237, 247, 446 S.E.2d 100, 106 (1994) (internal citations and quotations omitted). Here, plaintiff contends the act of defendant moving her house from Swan Point Road to a lot located in Bayboro, North Carolina and its subsequent destruction are sufficient to establish a claim for UDTP. However, with regards to her conversion claim, plaintiff failed to allege any aggravating factors or offer any evidence tending to establish defendant engaged in an act or practice that meets the definition of unfair or deceptive as defined by our appellate courts. Id. Plaintiff failed to show the trial court erred in concluding that defendant\u2019s act of conversion did not constitute an UDTP. This assignment of error is without merit. The trial court\u2019s ruling on this issue is properly affirmed.\nC. Interest\nThe majority\u2019s opinion inexplicably and erroneously holds that plaintiff\u2019s assignments of error violate nonjurisdictional requirements of the Appellate Rules, but finds these violations are not a \u201csubstantial failure\u201d or \u201cgross violation\u201d of the appellate rules to warrant sanctions. Nonetheless, it essentially dismisses plaintiff\u2019s assignment of error relating to the accrual of interest. In its mandate to this Court, our Supreme Court remanded this case to us \u201cfor reconsideration in light of Dogwood Development & Management Co. v. White Oak Transport Co., 362 N.C. [191], [657] S.E.2d [361] (2008) (303A07), and State v. Hart, 361 N.C. 309, 644 S.E.2d 201 (2007).\u201d Jones v. Harrelson and Smith Contr\u2019rs, LLC, 362 N.C. 226, 227, 657 S.E.2d 352, 353 (2008). In light of that mandate and consistent with Dogwood I, I address this assignment of error.\nPlaintiff argues the trial court erred by refusing to award interest from th\u00e9 date of the conversion of plaintiff\u2019s house. I disagree.\nPlaintiff\u2019s argument in support of this contention misconstrues the holding in Lake Mary Ltd. Partnership v. Johnston, 145 N.C. App. 525, 551 S.E.2d 546, disc. rev. denied, 354 N.C. 363, 557 S.E.2d 546 (2001). In Lake Mary, the trial court entered a directed verdict against the defendant for conversion, breach of contract, and unfair and deceptive practices arising from the retention of tenant rent checks. Id. at 530, 551 S.E.2d at 551. On appeal, the defendant argued, inter alia, that the trial court erred by \u201cawarding interest from the date each check was \u2018converted,\u2019 as opposed to the date the complaint was filed.\u201d Id. at 532, 551 S.E.2d at 552.\nThis Court emphasized that the trial court had entered directed verdict against the defendant for breach of contract and conversion and stated \u201cthe breach occurred on the dates that [the defendant] deposited or converted each check.\u201d Id. at 532-33, 551 S.E.2d at 552. This Court held that pursuant to N.C. Gen. Stat. \u00a7 24-5(a), the trial court properly awarded interest \u201cfrom the date of breach.\u201d Id. at 532, 551 S.E.2d at 552; see also N.C. Gen. Stat. \u00a7 24-5(a) (2005) (\u201cIn an action for breach of contract.. . the amount awarded on the contract bears interest from the date of breach.\u201d).\nHere, plaintiff alleged claims for fraud, negligent misrepresentation, conversion, and UDTP. Plaintiff failed to allege any claim for breach of contract. N.C. Gen. Stat. \u00a7 24-5(b) (2005) provides that \u201c[i]n an action other than contract, any portion of a money judgment designated by the fact finder as compensatory damages bears interest from the date the action is commenced until the judgment is satisfied.\u201d (Emphasis supplied). This assignment of error is without merit. The trial court\u2019s ruling on the date of accrual of interest on plaintiff\u2019s conversion claim is properly affirmed.\nVIL Conclusion\nPlaintiff\u2019s failure to state any legal basis for her assignments of error numbered 1 through 5 constitutes a \u201csubstantial failure\u201d or \u201cgross violation\u201d of the North Carolina Rules of Appellate Procedure. Dogwood II, 192 N.C. App. at 121, 665 S.E.2d at 499; Odom, 192 N.C. App. at 198,-S.E.2d at-. Plaintiff\u2019s \u201cbroadside\u201d and \u201cineffective\u201d assignments of error numbered 1 through 5 subjects her appeal to dismissal. Kirby, 276 N.C. at 131, 171 S.E.2d at 422. Pursuant to our Supreme Court\u2019s mandate remanding this case and in the exercise of this Court\u2019s discretion, Appellate Rule 2 should be invoked to review the merits of plaintiff\u2019s appeal.\nViewed in the light most favorable to plaintiff and giving her the benefit of every reasonable inference that may legitimately be drawn from the evidence, sufficient evidence was presented to submit plaintiff\u2019s fraud claim to the jury. Bryant, 313 N.C. at 369, 329 S.E.2d at 337-38. We all agree the trial court erroneously granted defendant\u2019s motion for judgment notwithstanding the verdict regarding plaintiff\u2019s fraud claim.\nThe trial court also erroneously dismissed the jury prior to its consideration of plaintiff\u2019s punitive damages claim based on defendant\u2019s fraudulent actions. See Newton, 291 N.C. at 112, 229 S.E.2d at 301 (\u201c[F]raud is ... one of the elements of aggravation which will permit punitive damages to be awarded.\u201d (Citation omitted)).\nThe only remedy available to plaintiff under N.C. Gen. Stat. \u00a7 ID-30 and prior precedents is to remand this case to the trial court for a new trial \u201con the issues of liability for compensatory damages and the amount of compensatory damages\u201d regarding plaintiff\u2019s fraud claim. Lindsey, 147 N.C. App. at 177, 555 S.E.2d at 377. If the jury returns a verdict for plaintiff and awards punitive damages, the trial court must conduct a hearing to allow defendant to show it is exempt from the UDTP statute. If the trial court rules as a matter of law that defendant\u2019s conduct constituted UDTP, plaintiff must then elect the basis of her recovery. Plaintiff must choose between the punitive damages verdict or the trebling of the jury\u2019s award of compensatory damages.\nThe trial court\u2019s entry of judgment on plaintiff\u2019s conversion claim should remain undisturbed and its ruling on the accrual of interest is properly affirmed. I vote to affirm in part, reverse in part, and remand for a new trial on plaintiff\u2019s fraud and UDTP claims. I respectfully dissent.",
        "type": "concurring-in-part-and-dissenting-in-part",
        "author": "TYSON, Judge"
      }
    ],
    "attorneys": [
      "William F. Ward, III, P.A., by William F. Ward, III, for plaintiff - appellant.",
      "Hopf & Higley, P.A., by Donald S. Higley, II, for defendantappellee Harrelson and Smith Contractors, LLC."
    ],
    "corrections": "",
    "head_matter": "DARVELLA JONES, Plaintiff v. HARRELSON AND SMITH CONTRACTORS, LLC, a North Carolina Corporation, and RODNEY S. TURNER, d/b/a Rodney S. Turner Housemovers, Defendants\nNo. COA05-1183-2\n(Filed 16 December 2008)\n1. Appeal and Error\u2014 rules violations \u2014 not substantial\u2014 citation to record and authority\nAppellate Rules violations were not sufficient to warrant dismissal of the appeal or the imposition of sanctions beyond the refusal to review an assignment of error involving prejudgment interest; consideration of that assignment of error was not necessary to prevent manifest injustice to a party. Violations that were not jurisdictional did not warrant sanctions; those violations involved citing to the transcript but not the record and not setting forth the basis of the claim sufficiently\n2. Fraud\u2014 sale of house following flood \u2014 relocation of house \u2014 flood plain\nThe trial court erred by granting a motion for judgment notwithstanding the verdict by defendant H&S on a claim for fraud arising from the sale of a house after a flood and the disputed relocation of the house to a new lot. Viewed in the light most favorable to plaintiff, both knowledge and intent could be attributed to defendant concerning the requirement that the houses be relocated outside the flood plain.\n3. Damages\u2014 sale of house after fraud \u2014 fraud and conversion \u2014 election\nPlaintiff must elect between damages for fraud and damages for conversion in an action arising from the sale and subsequent move of a house after a flood. It is apparent from the court\u2019s instructions that the jury\u2019s award represented overlapping damages; plaintiff is not entitled to recover the fair market value of the house twice.\n4. Unfair Trade Practices\u2014 fraud or conversion \u2014 damages\nThe trial court erred by dismissing on a directed verdict motion an independently pled unfair practices claim where plaintiff was then allowed to argue that UDTP principles should apply in the calculation of damages for fraud or conversion. However, the jury found for plaintiff on the fraud claim and defendant made no attempt to argue that it was exempt from Chapter 75, so that the matter was remanded for entry of judgment for plaintiff on her UDTP claim and for trebling of her fraud damages.\n5. Damages\u2014 punitive \u2014 unfair trade practices election\nThe issue of punitive damages was moot where plaintiff, confronted with the possibility of foregoing favorable jury verdicts and retrying her substantive claims, stated on appeal that she elected to receive treble damages pursuant to her UDTP claim.\nJudge TYSON concurring in the result in part and dissenting in part.\nAppeal by plaintiff from judgment entered 10 May 2005 by Judge Jerry Braswell in Pamlico County Superior Court. This case was originally heard in the Court of Appeals 29 March 2006. Upon remand by order from the North Carolina Supreme Court, filed 7 March 2008.\nWilliam F. Ward, III, P.A., by William F. Ward, III, for plaintiff - appellant.\nHopf & Higley, P.A., by Donald S. Higley, II, for defendantappellee Harrelson and Smith Contractors, LLC."
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  "file_name": "0203-01",
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