Court Opinion

ID: 4286663
Source: CourtListenerOpinion
Date Created: 2018-06-21 13:57:37.866637+00
Date Added: 2024-06-11T14:36:33.395585
License: Public Domain

#28205, #28227-a-DG
2018 S.D. 45

                          IN THE SUPREME COURT
                                  OF THE
                         STATE OF SOUTH DAKOTA

                                   ****
CITY OF RAPID CITY, a
Municipal Corporation,                    Plaintiff and Appellant,

     v.

BIG SKY, LLC and
DOYLE ESTES, Individually,                Defendants and Appellees.

                                   ****

                 APPEAL FROM THE CIRCUIT COURT OF
                   THE SEVENTH JUDICIAL CIRCUIT
                 PENNINGTON COUNTY, SOUTH DAKOTA

                                   ****

                 THE HONORABLE WARREN G. JOHNSON
                           Retired Judge

                                   ****

JOHN K. NOONEY
ROBERT J. GALBRAITH of
Nooney & Solay LLP
Rapid City, South Dakota                  Attorneys for plaintiff
                                          and appellant.

DONALD A. PORTER
JESS M. PEKARSKI
CHRISTOPHER A. CHRISTIANSON of
Costello, Porter, Hill, Heisterkamp,
 Bushnell & Carpenter LLP
Rapid City, South Dakota                  Attorneys for defendants
                                          and appellees.

                                   ****

                                          ARGUED JANUARY 9, 2018
                                          OPINION FILED 06/13/18
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GILBERTSON, Chief Justice

[¶1.]        The City of Rapid City filed an action against real-estate developers

Big Sky LLC and Doyle Estes (collectively, “Developers”), seeking to recover the

prospective cost of repairing roads in the Big Sky development outside Rapid City.

A jury returned a general verdict in favor of the Developers. The City appeals the

general verdict, arguing the circuit court erred by: (1) denying the City’s motion for

summary judgment on the issue of liability; (2) excluding evidence of the

Developers’ litigation and settlement with their subcontractors; (3) granting Estes’s

motion for judgment as a matter of law; (4) instructing the jury on period-of-

limitation, waiver, and estoppel defenses; and (5) refusing to instruct the jury on

nuisance. We affirm.

                          Facts and Procedural History

[¶2.]        This case involves the development of real property known as the Big

Sky subdivision, which is located within the extraterritorial jurisdiction of Rapid

City. The Developers acquired real property in this area and applied to the City for

approval of 15 subdivision plats. Under the City’s municipal code, a plat will not be

approved unless the subdivider completes the construction of certain public

improvements or offers a bond guaranteeing such construction. The Developers

either completed the improvements or provided bonds for each of the 15 plats, and

the City approved these plats between 1998 and 2005.

[¶3.]        Following approval of the plats, the City identified several deficiencies

in the public improvements installed by the Developers’ contractor and

subcontractors. In particular, some of the subdivision’s streets had settled

significantly since their construction. The City indicated it would not assume
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ownership of the public improvements until the deficiencies were corrected. The

Developers did not correct the identified deficiencies, and the City did not conduct

subsequent inspections. The bonds posted by the Developers expired without the

City attempting to collect on them. Eventually, litigation ensued.

[¶4.]        The procedural history of this case is complex and involves several

parties. In May 2003, Big Sky filed a complaint against J. Scull Construction

Service Inc., the subcontractor that worked on Phases 1 through 3 of the

subdivision. And in March 2007, Big Sky filed a complaint against R.C.S.

Construction Inc., the subcontractor that worked on Phase 4. Big Sky alleged that

Scull and R.C.S. breached their contracts with Big Sky by failing to properly

compact the soil underlying the streets in Phases 1 through 4. Big Sky and Scull

settled shortly after Big Sky filed its complaint against R.C.S.

[¶5.]        In January 2008, the City filed a separate complaint against the

Developers, seeking specific performance and an injunction requiring the

Developers to complete the repairs. The circuit court granted summary judgment to

the Developers on the City’s complaint, reasoning that the expiration of the bonds

absolved the Developers of their obligation to complete the public improvements.

This Court reversed the grant of summary judgment and remanded in City of Rapid

City v. Estes, 2011 S.D. 75, 805 N.W.2d 714. On remand, the Developers filed a

third-party complaint against Rapid Construction LLC, the general contractor.

Rapid Construction, in turn, filed a fourth-party complaint against Dream Design

International Inc., the Developers’ engineering firm. And to bring things full circle,

Dream Design International counterclaimed against the City. The court then

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consolidated the Developers’ action against R.C.S. with the City’s suit against the

Developers. In April 2016, the City amended its complaint to allege nuisance as an

additional cause of action.

[¶6.]         The various parties settled most of the foregoing litigation. As noted

above, Big Sky settled with Scull in 2007. Big Sky also settled its complaints

against R.C.S. and Rapid Construction. Rapid Construction settled with Dream

Design International. And finally, the Developers and the City settled in regard to

all disputed project phases other than Phases 1 through 4. So prior to trial, Scull,

R.C.S., Rapid Construction, and Dream Design International were each removed as

parties, and the issues were narrowed to the dispute between the City and the

Developers regarding Phases 1 through 4 of the subdivision. 1 Citing this Court’s

decision in Estes, the City moved for summary judgment on the issue of the

Developers’ liability for these phases. The circuit court denied the motion.

[¶7.]         A jury trial was held January 23 through 27, 2017. During the trial,

the circuit court excluded evidence offered by the City regarding Big Sky’s litigation

and settlement with Scull and R.C.S. Estes filed a motion for judgment as a matter

of law, which the court granted because the City did not dispute that Big Sky was

the sole owner of the properties at issue in Phases 1 through 4. And over the City’s

objection, the court instructed the jury on the Developers’ period-of-limitation,

waiver, and estoppel defenses. The court did not instruct the jury on the City’s

1.      It is unclear how Dream Design’s counterclaim against the City was resolved.

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nuisance theory. The jury returned a general verdict in favor of the Developers,

denying any relief to the City.

[¶8.]          The City appeals, raising the following issues 2:

               1.     Whether the City was entitled to summary judgment on
                      the issue of the Developers’ liability.
               2.     Whether the circuit court erred by excluding evidence of
                      Big Sky’s claims against, and settlements with, Scull and
                      R.C.S.
               3.     Whether the circuit court erred by granting Estes’s
                      motion for judgment as a matter of law.
               4.     Whether the circuit court erred by instructing the jury on
                      the Developers’ period-of-limitation, waiver, and estoppel
                      defenses.
               5.     Whether the circuit court erred by not instructing the jury
                      on the City’s public-nuisance claim.

                                 Analysis and Decision

[¶9.]          1.     Whether the City was entitled to summary judgment
                      on the issue of the Developers’ liability.

[¶10.]         The City first argues the circuit court erred by denying the City’s

motion for summary judgment on the issue of the Developers’ liability. In the City’s

view, the Developers’ liability was established as the law of the case in Estes. In

Estes, this Court held that the expiration of bonds given in lieu of completing public

improvements did not release the Developers from the obligation of making those

2.       By notice of review, the Developers also raise a constitutional issue.
         According to the Developers, the “City’s claims were based on its Municipal
         Code section 16.16.010 that requires subdividers to ‘install or construct’
         public improvements, including streets, street lights, sanitary sewers and
         water mains.” But as Developers point out, the Legislature is prohibited
         from “delegat[ing] to any . . . private corporation . . . any power to make . . .
         any municipal improvement[.]” S.D. Const. art. III, § 26. Because we affirm
         on all other issues presented, it is not necessary to reach this constitutional
         question.
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improvements. 2011 S.D. 75, ¶¶ 1, 11, 15, 805 N.W.2d at 715, 718-19. In the

opinion’s concluding paragraph, this Court said: “Under the ordinances and

specifications, Developers remain liable until the City accepts the improvements by

a final acceptance letter.” Id. ¶ 15, 805 N.W.2d at 719. On remand, the City moved

for summary judgment, reasoning that “[b]ecause the Developers remain liable to

the City until the City accepts the improvements by a final acceptance letter and

because it is undisputed that the City never issued any final acceptance letters, it

must also be undisputed that the Developers are liable to the City in this litigation.”

[¶11.]       The City’s argument fails. In Estes, the circuit court granted the

Developers’ motion for summary judgment on the basis that “when the sureties

expired, [the Developers] were no longer liable for the improvements under” the

City’s municipal code. Id. ¶ 9, 805 N.W.2d at 717. This Court’s review of that

decision was therefore confined to a question of law: interpreting the meaning of the

controlling statutes and ordinances. See id. ¶ 12, 805 N.W.2d at 718. But on

remand, as evidenced by the issues raised in this appeal, the Developers asserted

several defenses that were not at issue in Estes. In particular, the circuit court

determined there were genuine issues of material fact regarding the Developers’

waiver defense. Because Estes had nothing to do with the defenses at issue in this

appeal (i.e., period of limitation, waiver, and estoppel), the City was not entitled to

summary judgment in regard to those defenses, and the court correctly denied the

City’s motion for summary judgment on the issue of the Developers’ liability. See

Nicolay v. Stukel, 2017 S.D. 45, ¶ 21, 900 N.W.2d 71, 79-80 (holding entitlement to

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summary judgment on issue of liability requires entitlement to summary judgment

on defendant’s affirmative defenses).

[¶12.]         2.    Whether the circuit court erred by excluding
                     evidence of Big Sky’s claims against, and
                     settlements with, Scull and R.C.S.

[¶13.]         Next, the City argues the circuit court erred by excluding evidence that

Big Sky sued and settled with Scull and R.C.S. regarding their work on Phases 1

through 4. In both complaints, Big Sky alleged that it would “be caused and

required to incur additional costs for engineering and other consulting services in

the future and will be caused and required to incur additional costs for remedial

work in the future necessary to further correct the defective and unworkmanlike

performance of [Scull and RCS.]” 3 According to the City, “Big Sky’s allegations in

that litigation are direct admissions by Big Sky of continuing obligations to the

City.” The Developers respond that “[t]he fact and terms of Big Sky’s settlement

with [Scull and R.C.S.] were clearly inadmissible under SDCL 19-19-408.”

[¶14.]         The admission of evidence relating to the settlement of a claim is

governed by SDCL 19-19-408. With limited exception, evidence of “accepting . . . a

valuable consideration in compromising . . . [a] claim”—i.e., a settlement—“is not

admissible . . . either to prove or disprove the validity or amount of a disputed claim

or to impeach by a prior inconsistent statement or a contradiction[.]” SDCL 19-19-

408(a). “The court may admit this evidence for another purpose, such as proving a

witness’s bias or prejudice, negating a contention of undue delay, or proving an

3.       This language is taken from Big Sky’s complaint against Scull. The language
         used in Big Sky’s complaint against R.C.S. has minor, immaterial variations.
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effort to obstruct a criminal investigation or prosecution.” SDCL 19-19-408(b)

(emphasis added). But as the emphasized word indicates, admission of such

evidence under Rule 408’s exception is not mandatory. Nothing in Rule 408

suggests that the exclusion overrides other applicable rules of evidence. Thus, even

if the City had offered the settlement evidence for some purpose that fit within

Rule 408’s exception, the circuit court’s decision to admit or exclude that evidence is

still a matter of discretion.

[¶15.]         In light of the foregoing, the City’s argument is incomplete. Here, the

circuit court permitted Estes to testify, over objection, that the contractors had

failed to properly compact the soil and correct the deficiencies and that there would

be additional costs to fix the roads. The only evidence disallowed by the court was

the Developers’ lawsuit and settlement with the contractors. The circuit court

determined that the evidence was inadmissible because it was cumulative with

other evidence already presented and because it would invite the jury to speculate

regarding the amount of settlement. Under SDCL 19-19-403, a circuit court is

permitted to exclude such evidence. 4 In order to show error on this issue, then, the

City must show that the court’s Rule 403 analysis was an abuse of discretion. See

Donat v. Johnson, 2015 S.D. 16, ¶¶ 24, 26, 862 N.W.2d 122, 130-31. However, the

City confines its argument to the question whether the purpose for which the City

offered the settlement evidence fell within Rule 408’s exception; the City does not

4.       SDCL 19-19-403 states: “The court may exclude relevant evidence if its
         probative value is substantially outweighed by a danger of one or more of the
         following: unfair prejudice, confusing the issues, misleading the jury, undue
         delay, wasting time, or needlessly presenting cumulative evidence.”
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argue the court abused its discretion. Because the City has failed to show either an

abuse of discretion or prejudice, there is no basis for reversing the court’s

evidentiary decision.

[¶16.]       3.     Whether the circuit court erred by granting Estes’s
                    motion for judgment as a matter of law.

[¶17.]       The City also argues the circuit court erred by granting Estes’s motion

for judgment as a matter of law. Prior to trial, the parties settled all claims except

those relating to project Phases 1 through 4. The circuit court granted the motion

for the following reasons:

             Based upon the evidence presented, I find that Big Sky, LLC
             was a valid limited liability corporation; that Big Sky was the
             owner of the property involved in Phases 1 through 4 of the
             development; that Doyle Estes was the sole owner and manager
             of Big Sky, LLC. I find no evidence that Mr. Estes operated in a
             personal capacity during the development of Big Sky Phases 1
             through 4, but at all times acted as the manager/owner of Big
             Sky, LLC; that Big Sky, LLC was a valid, functioning
             corporation throughout the development of the project. I cannot
             find any legal basis to hold Mr. Estes as an individual
             defendant.

Even so, the City asserts that Estes personally received compensation in exchange

for releasing Big Sky’s claims against Scull in regard to Phases 1 through 4. In the

City’s view, “Estes’[s] receipt of funds in litigation brought for the sole purpose of

fixing the roads creates liability, or at the very least, a jury question for Estes.”

[¶18.]       This argument also fails. “Except as otherwise provided in [SDCL 47-

34A-303] subsection (c), the debts, obligations, and liabilities of a limited liability

company, whether arising in contract, tort, or otherwise, are solely the debts,

obligations, and liabilities of the company.” SDCL 47-34A-303(a). The City does

not dispute that Big Sky was the sole owner of the plats involved in Phases 1

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through 4; indeed, the City’s amended complaint indicates as much. And the City

never pleaded, does not now assert, and in fact specifically disclaimed arguing that

Estes acted in such a way that he should be stripped of the protections of a limited-

liability company. Considering the court’s undisputed findings, the City has not

advanced any theory that either directly attributes or imputes liability to Estes for

Phases 1 through 4. Therefore, the court did not err by granting Estes’s motion for

judgment as a matter of law.

[¶19.]       4.     Whether the circuit court erred by instructing the
                    jury on the Developers’ period-of-limitation, waiver,
                    and estoppel defenses.

[¶20.]       Next, the City challenges the circuit court’s jury instructions regarding

the Developers’ period-of-limitation, waiver, and estoppel defenses. The City

contends the court’s period-of-limitation and waiver instructions were incorrect as a

matter of law. The City also contends there was insufficient evidence to instruct the

jury on the Developers’ waiver and estoppel defenses. Because the jury returned a

general verdict for the Developers, that verdict must be affirmed if the circuit court

correctly instructed the jury on at least one of the Developers’ affirmative defenses.

See Lenards v. DeBoer, 2015 S.D. 49, ¶ 14, 865 N.W.2d 867, 871 (“In a civil case, if a

general verdict is handed down and the jury could have decided the case on two

theories, one proper and one improper, the reviewing court will assume that it was

decided on the proper theory.” (quoting Thomas v. Sully County, 2001 S.D. 73, ¶ 7,

629 N.W.2d 590, 592)).

[¶21.]       The City contends there was insufficient evidence to warrant the

estoppel instruction. A circuit court should instruct the jury on issues that are

“supported by competent evidence in the record[.]” Johnson v. Armfield, 2003 S.D.
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134, ¶ 7, 672 N.W.2d 478, 481 (quoting Artz v. Meyers, 1999 S.D. 156, ¶ 8,

603 N.W.2d 532, 534). This Court reviews “the circuit court’s decision to grant or

deny a specific jury instruction for an abuse of discretion.” Montana–Dakota Utils.

Co. v. Parkshill Farms, LLC, 2017 S.D. 88, ¶ 25, 905 N.W.2d 334, 343. “A claim

that the evidence was insufficient to [warrant an instruction must be] viewed ‘in the

light most favorable to upholding the verdict.’” Armfield, 2003 S.D. 134, ¶ 7,
672 N.W.2d at 481 (quoting Parker v. Casa Del Rey, 2002 S.D. 29, ¶ 5, 641 N.W.2d
112, 115).

[¶22.]       The doctrine of equitable estoppel is “[a] defensive doctrine preventing

one party from taking unfair advantage of another when, through false language or

conduct, the person to be estopped has induced another person to act in a certain

way, with the result that the other person has been injured in some way.” Estoppel,

Black’s Law Dictionary (10th ed. 2014). “[T]he doctrine of estoppel is available

against a municipal corporation.” City of Rapid City v. Hoogterp, 85 S.D. 176, 179,

179 N.W.2d 15, 16-17 (1970). When the doctrine is asserted against a municipal

corporation, the party asserting the defense must show that “municipal officers

have taken some affirmative action influencing another which renders it

inequitable for the municipality to assert a different set of facts.” Even v. City of

Parker, 1999 S.D. 72, ¶ 12, 597 N.W.2d 670, 674 (quoting Hoogterp, 85 S.D. at 180,

179 N.W.2d at 17). According to the City, “[t]here was no evidence presented at

trial that Big Sky in any manner altered its position or did something it would not

have otherwise done to its prejudice.”

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[¶23.]          The Developers respond that an estoppel instruction was warranted

because they commenced paving the streets and installing curbs only after one of

the City’s inspectors concluded the underlying dirt had been compacted to the City’s

specifications. According to the Developers, the cost of correcting compaction errors

significantly increases after paving. This argument is supported by the testimony

of Lawrence Kostaneski, the former manager of the City’s engineering division, and

Ron Eikenberry, the City’s inspector on all four phases at issue in this case.

Kostaneski testified that typically, a City engineer is assigned to each phase of a

subdivision and that each engineer is assigned one or more inspectors to assist in

daily oversight. Eikenberry testified that as an inspector, his “primary

responsibility was to be a construction observer[,]” which involved “mak[ing] sure

that [the contractors] are, in general, following the specifications of the City of

Rapid City[.]” He testified that on nearly a daily basis, he would visit the job site,

speak with the foreman, inspect the actual work, and fill out a “daily construction

diary” documenting “the events of the day[.]” Eikenberry’s daily notes were

admitted into evidence at trial and indicate that Phases 1 through 3 each passed

compaction testing. Other City documentation—a “construction close-out

checklist”—was also introduced into evidence and similarly indicates that Phase 4

passed compaction testing. And when asked if the City would have had notice of—

and the opportunity to respond to—a compaction-test failure, Kostaneski answered

affirmatively, indicating that “[c]ompaction test failures [would be] readily apparent

to everyone.”

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[¶24.]       In light of the foregoing, the circuit court did not err by instructing the

jury on estoppel. The testimony of Kostaneski and Eikenberry, as well as

documentary evidence, is competent evidence to support the Developers’ argument

that they would not have proceeded to paving roads and installing gutters in

Phases 1 through 4 had the City not affirmatively indicated that the soil compaction

was satisfactory. See id. ¶ 14, 597 N.W.2d at 675 (“[T]he City may not, through its

agents, affirmatively create an objectively reasonable impression in an applicant

that he has fully complied with all zoning requirements and then proceed to

withdraw permission after the applicant has taken steps towards construction

which result in a substantial detriment to the applicant.”). Because the jury’s

general verdict could properly rest on the Developers’ estoppel defense, the

questions whether the court erred by instructing the jury on the Developers’ period-

of-limitation and waiver defenses are moot. See Lenards, 2015 S.D. 49, ¶ 14,
865 N.W.2d at 871.

[¶25.]       5.      Whether the circuit court erred by not instructing
                     the jury on the City’s public-nuisance claim.

[¶26.]       Finally, the City argues the circuit court erred by refusing to instruct

the jury on the City’s nuisance claim.

             On issues supported by competent evidence in the record, the
             trial court should instruct the jury. The trial court is not
             required to instruct on issues lacking support in the record.
             Failure to give a requested instruction that correctly sets forth
             the law is prejudicial error. Jury instructions are reviewed as a
             whole and are sufficient if they correctly state the law and
             inform the jury. Error is not reversible unless it is prejudicial.
             The burden of demonstrating prejudice in failure to give a
             proposed instruction is on the party contending error.

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Sundt Corp. v. State ex rel. S.D. Dep’t of Transp., 1997 S.D. 91, ¶ 19, 566 N.W.2d
476, 480 (quoting Kuper v. Lincoln-Union Elec. Co., 1996 S.D. 145, ¶ 32, 557 N.W.2d
748, 758). Among other occurrences, “[a] nuisance consists in unlawfully doing an

act, or omitting to perform a duty, which act or omission . . . renders dangerous for

passage . . . any public park, square, street, or highway[.]” SDCL 21-10-1(3).

Because the Developers’ engineer testified that there were areas in the development

that were “unsafe to travel,” the City contends there was evidence to support giving

a nuisance instruction. The Developers argue that ownership is an element of

nuisance under SDCL 21-10-6, that the Developers do not own the properties at

issue, and that therefore, a nuisance instruction was not warranted.

[¶27.]       The City’s view of nuisance is incomplete. SDCL 21-10-1 does not state

a complete cause of action—it is simply one of four statutes in SDCL chapter 21-10

that define what constitutes a nuisance. And even when a nuisance exists, the

available remedies are enumerated in chapter 21-10. If a nuisance occurs, the

remedies are: “(1) [a] civil action; (2) [a]batement; and (3) [i]n cases of public

nuisance only, the additional remedy of indictment or information as prescribed by

statute and rules relating thereto.” SDCL 21-10-5. In a civil action, “the nuisance

may be enjoined, or ordered abated, and damages recovered in addition.” SDCL 21-

10-9. A municipality may also bring a civil action after abating a public nuisance to

recover the cost of abatement. SDCL 21-10-6. Thus, the relief available to the City

in this civil action is limited to: (1) an injunction requiring the Developers to abate

the alleged nuisance; (2) reimbursement for costs already incurred by the City in

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abating the alleged nuisance; and (3) damages for legal injuries caused by the

alleged nuisance.

[¶28.]           In light of the foregoing, the City was not entitled to a jury instruction

on nuisance. The City’s amended complaint alleges the City had “been damaged in

an amount to be determined at the time of trial.” But from a review of the record

and the parties’ briefs, it is apparent that the basis for the City’s “damages” claim is

simply the anticipated cost of abatement and not some additional legal injury

caused by the alleged nuisance. It is undisputed that at the time of trial, the City

had not undertaken any abatement efforts in Phases 1 through 4. And neither

chapter 21-10 nor any other authority identified by the City entitles a municipality

to “recover” the cost of abatement prior to undertaking such abatement. Because

the City simply has not incurred any abatement costs to defray, and because the

City does not allege any other damages, the City was not entitled to a nuisance

instruction. 5

5.       Even if chapter 21-10 authorized a civil action to recover the anticipated cost
         of abatement that had not yet occurred, SDCL 21-10-6 suggests such an
         action could only be maintained against the owner of the property on which
         the nuisance exists. Under SDCL 21-10-6, a municipality’s primary method
         of defraying the cost of abatement is to “tax[] the cost thereof by special
         assessment against the real property on which the nuisance occurred.”
         (Emphasis added.) A municipality may “commence a civil action against the
         owner of the real property for its costs of abatement in lieu of taxing the cost
         by special assessment” only when “the nuisance abated is an unsafe or
         dilapidated building, junk, trash, debris, or similar nuisance arising from the
         condition of the property[.]” Id. (emphasis added). Thus, commencing a civil
         action to recover the cost of abatement is meant to be a limited alternative to
         taxing the property by special assessment. And if a municipality that has
         actually undertaken abatement can only recover the cost of abatement by
         taxing the property or bringing an action against the property’s owner, a
         municipality that has not undertaken abatement must be similarly limited.
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                                     Conclusion

[¶29.]        This Court’s decision in Estes did not address the Developers’ period-

of-limitation, waiver, and estoppel defenses; therefore, the circuit court did not err

by denying the City’s motion for summary judgment. The court did not abuse its

discretion in excluding the evidence of Big Sky’s litigation and settlement with Scull

and R.C.S. The City does not dispute that Big Sky was the sole owner of Phases 1

through 4, and the City failed to identify any legal theory for imputing liability to

Estes; therefore, the court did not err by granting Estes’s motion for judgment as a

matter of law. Finally, there is no reversible error in the court’s instructions to the

jury. Because the jury’s general verdict can be explained by the Developers’

estoppel defense, the questions whether the court erred by instructing the jury on

the Developers’ period-of-limitation and waiver defenses are moot. And a nuisance

instruction was not necessary because SDCL chapter 21-10 does not permit a

municipality to recover the prospective cost of abatement not yet undertaken.

[¶30.]       We affirm.

[¶31.]       JENSEN, Justice, and COMER, DAMGAARD, and BERN, Circuit

Court Judges, concur.

[¶32.]       COMER, DAMGAARD, and BERN, Circuit Court Judges, sitting for

ZINTER, SEVERSON, and KERN, Justices, disqualified.

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