Timm Smith v. Township of Holly ( 2015 )


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  •                          STATE OF MICHIGAN
    COURT OF APPEALS
    TIMM SMITH and MARIA C. HOWARD-                                    UNPUBLISHED
    SMITH,                                                             November 19, 2015
    Plaintiffs-Appellants,
    v                                                                  No. 323421
    Oakland Circuit Court
    TOWNSHIP OF HOLLY,                                                 LC No. 2010-113821-CZ
    Defendant-Appellee.
    Before: JANSEN, P.J., and MURPHY and RIORDAN, JJ.
    PER CURIAM.
    Plaintiffs, Timm Smith and Maria C. Howard-Smith, husband and wife, appeal as of right
    the trial court’s order granting summary disposition in favor of defendant, Township of Holly.
    Plaintiffs also appeal the order of the trial court dividing the property at issue in this case
    pursuant to defendant’s proposed survey. We affirm.
    I. FACTUAL BACKGROUND
    We previously heard and summarized the relevant factual background of this case in
    Smith v Township of Holly, unpublished opinion per curiam of the Court of Appeals, issued
    August 13, 2013 (Docket Nos. 306406, 306758):
    This matter involves certain property located at 1031 South Holly Road,
    Fenton, MI 48430. The property has a complicated chain of title and possession.
    Plaintiffs first gained a property interest in this land in 1989, when they entered
    into a land contract for the purchase of just under 20 acres of vacant land at this
    location. Over the next 15 years plaintiffs engaged in a series of property
    transfers among family members. The transfers involved a central ten-acre
    portion of the parcel and two five-acre sections. However, neither plaintiffs nor
    their family members ever actually split the property, so despite the numerous
    property transfers, the near 20 acres remained undivided and retained one tax
    identification number. Eventually, all of the land that had been transferred to
    family members was returned to plaintiffs, such that they again owned the entire
    20-acre parcel.
    -1-
    On December 7, 2004, plaintiffs took out a mortgage on the central 10
    acres of property, on which sat their house, in the amount of $137,600. The
    mortgage did not apply to the two five-acre portions of property. The mortgagee
    was Mortgage Electronic Registration Systems, Inc. (MERS), and the lender was
    Republic Bank. Plaintiffs began to have difficulty paying their mortgage and,
    eventually, MERS foreclosed by advertisement on plaintiffs’ 10 acres of property
    and a sheriff’s sale was held on May 27, 2008. MERS was the highest bidder at
    the sheriff’s sale in the amount of $138,502.78. The recording included
    information that the “[t]he redemption period shall be 12 months from the date of
    sale[,]” namely, May 27, 2009.
    On June 3, 2008, MERS quit claimed the 10-acre property to Federal
    National Mortgage Association (FNMA). On May 21, 2009, FNMA quit claimed
    the 10-acre property to PHH Mortgage Corporation (PHH). PHH sought
    possession of the 10-acre property from plaintiffs and on July 9, 2009, obtained a
    consent judgment against plaintiffs in the district court. The district court
    judgment stated that an order of eviction would be issued against plaintiffs if they
    did not vacate the property by August 10, 2009. Thereafter, plaintiffs voluntarily
    left the property within 30 days. On November 19, 2009, PHH gifted, via quit
    claim deed, the 10-acre property to defendant. Plaintiffs moved their family back
    into the house located on the subject 10 acres in late November 2010 by entering
    through an unlocked window. [Id. at 2.]
    After the aforementioned events, plaintiffs brought the instant suit, requesting that the
    trial court quiet title in their favor and find a violation of the Land Division Act, MCL 560.101 et
    seq., wrongful eviction and forcible entry and detainer, slander of title, and constructive eviction
    and trespass. See 
    id. at 2-3.
    Defendant filed a motion for summary disposition, arguing that the
    doctrine of laches precluded plaintiffs from quieting title to the 10-acre property in their favor.
    
    Id. at 2.1
    The trial court agreed and granted defendant’s motion for summary disposition,
    holding that plaintiffs’ claims was barred by the doctrine of laches. 
    Id. at 3.
    However, the court
    refused to enter an order quieting title to the 10-acre parcel in favor of defendant. 
    Id. On appeal,
    we affirmed the trial court’s decision to dismiss plaintiffs’ claims regarding
    the 10-acre portion of property based on the doctrine of laches, but we remanded the case to the
    trial court for entry of an order quieting title of the 10-acre parcel in favor of defendant and
    proper division of the property. 
    Id. at 4-7.
    We also instructed the trial court “to consider
    plaintiffs’ claims involving the two five-acre portions of land that still belong to plaintiffs.” 
    Id. at 2,
    5.
    On remand, defendant argued that the property should be divided along the lines that
    were already established through plaintiffs’ informal division of land and mortgage of the central
    10 acres. Accordingly, it prepared a proposed property division under which plaintiffs received
    1
    Plaintiffs also filed a motion for partial summary disposition, which the trial court denied. 
    Id. at 2-3.
    -2-
    easements across the 10-acre parcel to access the remaining five-acre parcels. Plaintiffs asserted
    that a “proper division” under this Court’s previous opinion required “actual access” to the
    remaining five-acre parcels, separate parcel IDs for each parcel, and building permits for each
    five-acre parcel. After hearing the parties’ arguments, the trial court entered an order adopting
    defendant’s proposed division in accordance with the survey, legal descriptions, and easements
    prepared by defendant. The trial court also entered an order quieting title to the 10-acre portion
    in favor of defendant.
    Next, defendant moved for summary disposition under MCR 2.116(C)(8) and (C)(10). It
    argued that the remaining counts of plaintiffs’ amended complaint were not viable claims
    because they were previously disposed of, barred by governmental immunity, or solely related to
    the parcel of land owned by defendant, not the remaining five-acre parcels. Plaintiffs also
    moved for partial summary disposition pursuant to MCR 2.116(C)(10), arguing that there was no
    genuine issue of material fact that the Land Division Act had been violated, that governmental
    immunity did not apply to intentional torts, and that it had properly pleaded and proven their
    remaining tort claims. However, plaintiffs later filed a response to defendant’s motion for
    summary disposition, in which they asserted that their remaining claims pertained to the
    remaining five-acre parcels in their possession, and that there was a genuine issue of material
    fact regarding whether defendant’s acts were intentional for purposes of governmental immunity.
    The trial court denied plaintiffs’ motion for partial summary disposition and granted
    defendant’s motion. It held that plaintiffs’ claim under the Land Division Act claim had been
    disposed of, that defendant was entitled to governmental immunity as to plaintiffs’ remaining
    claims, and that plaintiffs had failed to state a claim upon which relief could be granted in light
    of the fact that their claims were solely related to the 10-acre parcel now owned by defendants.
    II. LAND DIVISION
    First, plaintiffs argue that the trial court erred in adopting defendant’s proposed land
    division because it violated the Land Division Act and local ordinances. We disagree.
    A. STANDARD OF REVIEW
    We review de novo a trial court’s ultimate decision in an action to quiet title, but we
    review for clear error the factual findings underlying its decision. Jonkers v Summit Twp, 
    278 Mich. App. 263
    , 265; 747 NW2d 901 (2008). “In resolving an issue of statutory interpretation,
    our primary aim is to effect the intent of the Legislature. We first examine the language of the
    statute and if it is clear and unambiguous, we assume that the Legislature intended its plain
    meaning, and we enforce the statute as written.” Martin v Beldean, 
    469 Mich. 541
    , 546; 677
    NW2d 312 (2004) (quotation marks and citation omitted).
    B. ANALYSIS
    Previously, this Court ordered, “On remand, the trial court shall . . . direct the parties to
    take whatever steps are necessary to properly divide the 20-acre parcel.” Smith, unpub op at 7.
    The parties agree that this directive required the division to be proper under the requirements of
    the Land Division Act, MCL 560.101 et seq., and relevant local ordinances. On appeal, the
    parties specifically focus on MCL 560.109(1), which provides that “[a] complete application for
    -3-
    a proposed division shall be approved if, in addition to the requirements of section 108, all of the
    . . . requirements” under MCL 560.109(1)(a) through (h) are met. On appeal, plaintiffs only
    challenge whether MCL 560.109(1)(e)—which requires the remaining parcels to be
    “accessible”—was satisfied by the land division in this case. The definition of “accessible,” for
    purposes of the Land Division Act, is as follows:
    (j) “Accessible”, in reference to a parcel, means that the parcel meets 1 or
    both of the following requirements:
    (i) Has an area where a driveway provides vehicular access to an existing
    road or street and meets all applicable location standards of the state
    transportation department or county road commission under 
    1969 PA 200
    , MCL
    247.321 to 247.329, and of the city or village, or has an area where a driveway
    can provide vehicular access to an existing road or street and meet all such
    applicable location standards.
    (ii) Is served by an existing easement that provides vehicular access to an
    existing road or street and that meets all applicable location standards of the state
    transportation department or county road commission under 
    1969 PA 200
    , MCL
    247.321 to 247.329, and of the city or village, or can be served by a proposed
    easement that will provide vehicular access to an existing road or street and that
    will meet all such applicable location standards. [MCL 560.102(j).]
    Plaintiffs claim that the property division was improper for two reasons. First, we will
    address plaintiffs’ argument arising out of Holly Township Ordinances, § 14-35(b), which is
    incorporated by reference under the definition of “accessibility” in MCL 560.102(j). § 14-35(b)
    provides:
    Access. All parcels, intended to be developed shall meet township requirements
    for access as set forth in section 32-93(b)(5), or as that section may be amended
    from time to time. Applicants are notified that parcels which do not meet the
    zoning requirements set out in chapter 32 for access will not be issued a building
    permit. Applicants requesting land divisions not meeting zoning requirements set
    out in chapter 32 for access shall submit a fully executed affidavit acknowledging
    their understanding that a building permit will not be issued for a parcel which
    does not comply with zoning requirements set out in chapter 32 for access.
    In particular, plaintiffs argue that the land division is invalid because they never submitted an
    affidavit in accordance with § 14-35(b). In the trial court, plaintiffs did not raise this issue or
    assert that such an affidavit was required under the circumstances of this case. “An issue is not
    properly preserved for appeal if not raised in the circuit court, and we need not address
    arguments first raised on appeal.” Green v Ziegelman, 
    282 Mich. App. 292
    , 300; 767 NW2d 660
    (2009). Nevertheless, reversal of the trial court’s adoption of defendant’s proposed land division
    is not warranted.
    An application requesting a land division was not required or appropriate in this case. It
    is apparent that our previous opinion adopted the land division that was previously, albeit
    -4-
    informally, adopted by plaintiffs before they mortgaged the central 10 acres of the 20-acre
    parcel. Our opinion expressly states, “res judicata applies to the issue of the ownership of the
    central 10 acres, and defendant is entitled to an order quieting title to the 10 acres in its favor.
    On remand, the trial court shall also direct the parties to take whatever steps are necessary to
    properly divide the 20-acre parcel.” Smith, unpub op at 7 (emphasis added). An earlier
    statement of our holding also states:
    We affirm the trial court’s grant of summary disposition in favor of defendant on
    plaintiff’s [sic] action to quiet title but remand for the trial court to enter an order
    quieting title of the central 10 acres to defendant and directing the parties to take
    any necessary action to correspondingly divide the 20-acre parcel, and also to
    consider plaintiffs’ claims involving the two five-acre portions of land that still
    belong to plaintiffs. [Id. at 1-2 (emphasis added).]
    When our remand directives are read in context with each other, it is clear that we directed the
    parties to take whatever steps are necessary in order to divide the 20-acre parcel in a manner
    consistent with the holding of our opinion, i.e., that defendant has title to the central 10 acres.
    See 
    id. Accordingly, an
    application for approval of a land division was not implicated in this
    case because we already had ordered that the land be divided consistent with defendant’s rightful
    ownership of the central 10 acres. Thus, plaintiffs were not “[a]pplicants requesting land
    divisions” for purposes of the Holly Township Ordinances. See Holly Township Ordinances,
    §14-35(b). Further, given that the boundaries of the land division already had been established,
    an affidavit confirming plaintiffs’ understanding that a building permit will not be issued for
    parcels that do not meet the applicable zoning requirements was not required before the trial
    court finalized the land division. Here, the land division was not being completed at the request
    of an owner of a parcel, as plaintiffs no longer owned the 10-acre portion, and plaintiffs clearly
    did not wish to divide the parcel. See Holly Township Ordinances, § 14-33(a) (“The owner of
    any acreage parcel who desires to divide the parcel shall make written application for the
    division with the township.” [Emphasis added.]).2
    Even if we assume, arguendo, that an affidavit was required in this case, plaintiffs’ filings
    in the trial court clearly indicate that plaintiffs were, in fact, aware that the access requirements
    under chapter 32 had to be fulfilled before a building permit would be issued for either of the
    remaining five-acre parcels. It is apparent that the purpose of the affidavit requirement, i.e.,
    “acknowledging their understanding that a building permit will not be issued for a parcel which
    does not comply with zoning requirements set out in chapter 32 for access,” Holly Township
    Ordinances, § 14-35(b), already was fulfilled in this case. Thus, any purported error in this
    regard was harmless. See MCR 2.613(A) (“[A]n error or defect in anything done or omitted by
    the court . . . is not ground for . . . vacating, modifying, or otherwise disturbing a judgment or
    2
    It is apparent that plaintiffs did not consider themselves to be applicants under the ordinance, as
    their brief submitted to the trial court did not conform to the application content requirements
    under Holly Township Ordinances, § 14-33(b).
    -5-
    order, unless refusal to take this action appears to the court inconsistent with substantial
    justice.”).
    Second, plaintiffs claim that the land division was improper because it rendered the two
    five-acre parcels unbuildable because the parcels do not meet the requirements for obtaining a
    building permit. See Holly Township Ordinances, § 32-93(b)(5). They contend that the parcels
    are now essentially worthless, and “a ‘proper’ division of land will never intend to result in
    parcels that are unbuildable.” As such, they assert, pursuant to § 32-93(b)(5), that “a ‘proper
    division’ of a parcel of property pursuant to Holly Township ordinances requires that the parcels
    all have direct access to a public or private road for those parcels to be deemed buildable.”
    However, plaintiffs have identified no provision of the Land Division Act or the Holly Township
    ordinance, apart from the provisions 
    discussed supra
    , that requires all resulting parcels to be
    buildable or fulfill the requirements under § 32-93(b)(5), and we have found no basis for
    concluding that the relevant “test” for whether a division is proper is “[p]laintiffs’ ability to
    apply for building permits.”
    Contrary to plaintiffs’ claims in the trial court and on appeal, there is absolutely no
    indication in our previous opinion that the resulting land division needed to be performed in a
    fashion that preserved plaintiffs’ ability to obtain a building permit for the five-acre parcels that
    remained in their possession, especially given our holding that defendant was entitled to
    ownership of the central 10-acres. As defendant noted in the trial court and on appeal, plaintiffs
    still retained the opportunity to apply for a variance if they wished to obtain a building permit,
    see MCL 125.3603; MCL 125.3604; Holly Township Ordinances, § 32-64(d), and plaintiffs
    provide no factual basis for their conclusion that the Township of Holly “has never issued a
    building permit for improperly divided land and they never will.” Again, there is nothing in our
    previous opinion indicating that a “proper” division required all resulting parcels to be buildable,
    and we decline to read such a requirement into our prior decision.
    III. SUMMARY DISPOSITION
    Next, plaintiffs argue that the trial court erred in granting summary disposition in favor of
    defendant. We disagree.
    A. STANDARD OF REVIEW
    Defendant moved for summary disposition pursuant to MCR 2.116(C)(8) and (C)(10), but is
    apparent from the substance of its motion that it was also moving for summary disposition pursuant
    to MCR 2.116(C)(7) on the basis of governmental immunity. The trial court stated that was
    considering defendant’s motion under MCR 2.116(C)(8) and (C)(10), but it also implicitly granted
    summary disposition pursuant to MCR 2.116(C)(7), finding that plaintiffs two of plaintiffs’ claims
    were barred by governmental immunity. Thus, we will consider the motion as being granted under
    MCR 2.116(C)(7), (8), and (10). See Johnston v City of Livonia, 
    177 Mich. App. 200
    , 208; 441
    NW2d 41 (1989) (“[T]his Court is not bound by plaintiff's choice of labels for her action because this
    would exalt form over substance.”).
    This Court reviews de novo a trial court’s grant or denial of summary disposition as well
    as “[t]he applicability of governmental immunity and the statutory exceptions to immunity.”
    Moraccini v Sterling Hts, 
    296 Mich. App. 387
    , 391; 822 NW2d 799 (2012). A trial court may
    -6-
    grant summary disposition under MCR 2.116(C)(7) when “[e]ntry of judgment, dismissal of the
    action, or other relief is appropriate because of . . . immunity granted by law.” MCR
    2.116(C)(7); 
    Moraccini, 296 Mich. App. at 391
    . “In reviewing a motion for summary disposition
    under MCR 2.116(C)(7), a court considers the affidavits, pleadings, and other documentary
    evidence presented by the parties and accepts the plaintiff’s well-pleaded allegations as true,
    except those contradicted by documentary evidence.” McLean v Dearborn, 
    302 Mich. App. 68
    ,
    72-73; 836 NW2d 916 (2013). To survive a motion for summary disposition brought under
    MCR 2.116(C)(7), a plaintiff must allege facts that “warrant[] the application of an exception to
    governmental immunity.” Plunkett v Dep’t of Transp, 
    286 Mich. App. 168
    , 180; 779 NW2d 263
    (2009). “If no [material] facts are in dispute, or if reasonable minds could not differ regarding
    the legal effect of the facts, the question whether the claim is barred by governmental immunity
    is an issue of law.” Willett v Charter Twp of Waterford, 
    271 Mich. App. 38
    , 45; 718 NW2d 386
    (2006) (internal quotation marks and citation omitted).
    “A motion under MCR 2.116(C)(8) tests the legal sufficiency of the complaint. All well-
    pleaded factual allegations are accepted as true and construed in a light most favorable” to the
    nonmoving party. Maiden v Rozwood, 
    461 Mich. 109
    , 119; 597 NW2d 817 (1999). Motions under
    MCR 2.116(C)(8) are granted only when the claims are so unenforceable “as a matter of law that no
    factual development could possibly justify recovery.” 
    Id. (quotation marks
    and citation omitted).
    When reviewing a motion for summary disposition pursuant to MCR 2.116(C)(10), this
    Court may only consider, in the light most favorable to the party opposing the motion, the
    evidence that was before the trial court, which consists of “the ‘affidavits, together with the
    pleadings, depositions, admissions, and documentary evidence then filed in the action or
    submitted by the parties.’ ” Calhoun Co v Blue Cross Blue Shield Michigan, 
    297 Mich. App. 1
    ,
    11; 824 NW2d 202 (2012), quoting MCR 2.116(G)(5). Under MCR 2.116(C)(10), “[s]ummary
    disposition is appropriate if there is no genuine issue regarding any material fact and the moving
    party is entitled to judgment as a matter of law.” Latham v Barton Malow Co, 
    480 Mich. 105
    ,
    111; 746 NW2d 868 (2008). “There is a genuine issue of material fact when reasonable minds
    could differ on an issue after viewing the record in the light most favorable to the nonmoving
    party.” Allison v AEW Capital Mgt, LLP, 
    481 Mich. 419
    , 425; 751 NW2d 8 (2008).
    B. ANALYSIS
    In the trial court, the parties agreed that the only remaining claims under plaintiffs’
    amended complaint, after our previous opinion in this matter, were Count III (Violation of the
    Land Division Act), Count V (Wrongful Eviction and Forcible Entry and Detainer), and Count
    VII (Constructive Eviction and Trespass). On appeal, plaintiffs first argue that summary
    disposition of their violation of the Land Division Act claim was improper because plaintiffs
    properly pleaded and proved a violation of the act. As we 
    held supra
    , the trial court correctly
    ruled that there was no such violation. Therefore, the trial court properly dismissed this claim.
    Secondly, plaintiffs’ sole argument regarding the trial court’s dismissal of their forcible
    entry and detainer and constructive eviction and trespass claims is that summary disposition was
    improper under MCR 2.116(C)(10) because governmental immunity did not shield the township
    from liability for those intentional torts.
    -7-
    Under the Michigan governmental immunity act, MCL 691.1401 et seq., governmental
    agencies have the benefit of extensive immunity from tort liability while they are “engaged in the
    exercise or discharge of a governmental function.” MCL 691.1407; see 
    Plunkett, 286 Mich. App. at 181
    (stating same). “[W]hen a party files suit against a governmental agency, it is the burden of
    that party to plead his or her claim in avoidance of governmental immunity.” Hannay v Dep’t of
    Transp, 
    497 Mich. 45
    , 58; 860 NW2d 67 (2014) (quotation marks and citation omitted).
    Plaintiffs rely on Odom v Wayne Co, 
    482 Mich. 459
    ; 760 NW2d 217 (2008), in support of
    their position that defendants’ acts are not protected by governmental immunity. However,
    Odom specifically addressed “the affirmative defense of individual governmental immunity”
    and, as a result, specifically focused on the circumstances under which “governmental employees
    enjoy qualified immunity for intentional torts.” 
    Odom, 482 Mich. at 461
    , 479-480 (emphasis
    added). Likewise, the Odom Court specifically held, “Under the Ross [v Consumers Power Co,
    
    420 Mich. 567
    , 595; 363 NW2d 641 (1984),] test, governmental employees enjoy qualified
    immunity for intentional torts. A governmental employee must raise governmental immunity as
    an affirmative defense . . . .” 
    Id. at 461,
    479-480 (emphasis added). Plaintiffs’ claims include no
    allegations against specific governmental employees, and plaintiffs named no individual
    governmental employees as defendants throughout the proceedings in the trial court. Thus,
    plaintiffs’ reliance on Odom is misplaced because the affirmative defense of individual
    governmental immunity is not applicable here.
    Notably, the Odom Court expressly distinguished its holding and application of the Ross
    test from cases that involve “governmental agencies . . . rather than individual governmental
    employees,” such as Smith v Dep’t of Pub Health, 
    428 Mich. 540
    ; 410 NW2d 749 (1987). 
    Odom, 482 Mich. at 472
    n 31. In Smith, the Michigan Supreme Court established that there is no
    exception to governmental immunity for intentional torts with regard to governmental agencies
    themselves. See 
    Smith, 428 Mich. at 593
    (“We agree with the reasoning of the Court of Claims;
    no intentional tort exception exists, and an act “may be [the] exercise or discharge of a
    governmental function even though it results in an intentional tort.”); 
    id. at 603
    (“[T]he
    Legislature did not intend to exclude intentional torts when committed by governmental agencies
    in the course of a governmental function.”); 
    id. at 611
    (“[I]ntentional torts are immune if
    committed within the scope of a governmental function; however, the intentional use or misuse
    of a badge of governmental authority for a purpose unauthorized by law is not the exercise of a
    governmental function.”). See also Harrison v Director of Dep’t of Corrections, 
    194 Mich. App. 446
    , 450; 487 NW2d 799 (1992).
    “Accordingly, any plaintiff who seeks to assert an intentional tort claim against a
    governmental defendant must demonstrate that the defendant committed the alleged tort outside
    the exercise or discharge of a governmental function.” Genesee Co Drain Comm’r v Genesee
    Co, 
    309 Mich. App. 317
    , 328; 869 NW2d 635 (2015). “Governmental function” is defined as
    [A]n activity that is expressly or impliedly mandated or authorized by
    constitution, statute, local charter or ordinance, or other law. Governmental
    function includes an activity performed on public or private property by a sworn
    law enforcement officer within the scope of the law enforcement officer’s
    authority, as directed or assigned by his or her public employer for the purpose of
    public safety. [MCL 691.1401(b).]
    -8-
    A plaintiff bringing an intentional tort claim has a very difficult burden to meet because the
    definition of “governmental function” under MCL 691.1401(b) “is to be broadly applied and
    requires only that there be some constitutional, statutory or other legal basis for the activity in
    which the governmental agency was engaged,” and this Court “look[s] to the general activity
    involved rather than the specific conduct engaged in when the alleged injury occurred.” Genesee
    Co Drain Comm’r v Genesee 
    Co, 309 Mich. App. at 327-328
    (quotation marks and citation
    omitted).
    Plaintiffs did not allege or argue in the trial court, nor do they argue on appeal, that the
    general activities at issue here were outside the exercise or discharge of a governmental function.
    See 
    id. Instead, in
    the trial court, they argued only in response to defendant’s motion for
    summary disposition that “[t]here is no government immunity for acts of Intentional Tort.” On
    appeal, they focus exclusively on language in Odom, which, again, is not applicable here. While
    they argue that defendant and its agents engaged in conduct that was malicious, corrupt,
    outrageous, or in “wanton or reckless disregard for the rights of another,” 
    Odom, 482 Mich. at 461
    , they provide no argument and cite no authority indicating that defendant was not
    participating in the exercise or discharge of a governmental function when it performed the acts.
    “This Court will not search for authority to sustain or reject a party’s position.” Guardiola v
    Oakwood Hosp, 
    200 Mich. App. 524
    , 536; 504 NW2d 701 (1993).
    Nevertheless, we “look to the general activity involved rather than the specific conduct
    engaged in when the alleged injury occurred.” 
    Ward, 287 Mich. App. at 84
    . Our review of the
    allegations in plaintiffs’ amended complaint and the documentary evidence attached to
    defendant’s motion for summary disposition, which was unrebutted by plaintiffs in the trial
    court, reveals that defendant’s acts were all committed in the process of acquiring, securing, and
    protecting municipally owned property,3 which constitutes a valid governmental function
    expressly or impliedly authorized by legal authority.4 See MCL 691.1401(b); see also, e.g.,
    Const 1963, art 7, § 23; MCL 41.2; MCL 42.14. Thus, the trial court properly held that plaintiffs
    failed to demonstrate that defendant committed “the alleged tort[s] outside the exercise or
    discharge of a governmental function,” Genessee 
    Co, 309 Mich. App. at 327
    , and, therefore, failed
    to plead their claims in avoidance of governmental immunity, 
    Hannay, 497 Mich. at 58
    .
    3
    We note that plaintiffs make no argument that defendant’s actions were committed during the
    operation of a proprietary function. See MCL 691.1413.
    4
    Plaintiffs’ allegations in their brief on appeal regarding defendant’s alleged act of discontinuing
    the electrical power to the five-acre parcels is not mentioned in plaintiffs’ first or amended
    complaint. Plaintiffs briefly mentioned this argument in their motion for summary disposition
    pursuant to MCR 2.116(C)(10), but they provided no documentary evidence, and cited no
    documentary evidence already in the record, in support of this allegation, as required under MCR
    2.116(G)(3). Additionally, plaintiffs never argued in response to defendant’s motion for
    summary disposition that any acts committed by defendant with regard to the electrical power
    were outside the exercise or discharge of a governmental function. Accordingly, we will not
    consider this allegation on appeal in determining whether plaintiffs pleaded their claims in
    avoidance of defendant’s governmental immunity. See 
    Hannay, 497 Mich. at 58
    .
    -9-
    IV. CONCLUSION
    Because defendant’s proposed land division does not violate the Land Division Act and
    local ordinances, and the division is consistent with dictates of this Court in our previous
    opinion, the trial court did not err in adopting defendant’s proposed land division. Because the
    land division was proper, the trial court properly dismissed Count III of plaintiffs’ amended
    complaint.
    Summary disposition of plaintiffs’ claims under Counts V and VII of their amended
    complaint was proper because plaintiffs failed to properly plead these claims in avoidance of
    defendant’s governmental immunity.
    Affirmed.
    /s/ Kathleen Jansen
    /s/ William B. Murphy
    /s/ Michael J. Riordan
    -10-
    

Document Info

Docket Number: 323421

Filed Date: 11/19/2015

Precedential Status: Non-Precedential

Modified Date: 4/18/2021