Court Opinion

ID: 2707906
Source: CourtListenerOpinion
Date Created: 2014-08-05 13:43:16.480878+00
Date Added: 2024-06-11T12:24:42.217899
License: Public Domain

[Cite as Pearson v. Ewing, 2014-Ohio-645.]

                                    IN THE COURT OF APPEALS

                           TWELFTH APPELLATE DISTRICT OF OHIO

                                             MADISON COUNTY

JAMES V. PEARSON, JR.,                             :

        Plaintiff-Appellee,                        :      CASE NO. CA2013-07-026

                                                   :           OPINION
   - vs -                                                       2/24/2014
                                                   :

ADAM EWING, et al.,                                :

        Defendants-Appellants.                     :

         CIVIL APPEAL FROM MADISON COUNTY COURT OF COMMON PLEAS
                              Case No. 20110129

Robert D. Holmes, 7100 North High Street, Suite 201, Worthington, Ohio 43085, for plaintiff-
appellee

Adam Ewing, 4759 US Highway 40, West Jefferson, Ohio 43162, defendant-appellant, pro
se

Charles W. Ewing, 5375 Cosgray Road, Dublin, Ohio 43016, third-party defendant/appellant,
pro se

        PIPER, J.

        {¶ 1} Defendant-appellant, Adam Ewing, appeals a judgment entered against him in

the Madison County Court of Common Pleas in favor of plaintiff-appellee, James Pearson.

        {¶ 2} Pearson operated a business on 39.4 acres of land that had been used as a

salvage yard for approximately 50 years. The property had once been owned by Pearson's

father and uncle. Pearson purchased his uncle's one-half interest in the property, and began
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to independently operate the salvage yard business. When Pearson's father passed away,

he left his interest to his wife, Pearson's mother. Upon the passing of Pearson's mother,

Pearson and his sister, Carol, inherited the other 50 percent interest in the property. Carol

then quitclaimed her interest in the property to Pearson, and he held full ownership of the

land. Pearson ultimately contracted to sell the property to Ewing, who had performed various

jobs for Pearson's salvage business.

        {¶ 3} In March 2006, the parties entered into a contract, written by Ewing's father,

Charles, whereby Pearson sold Ewing the real property and buildings for $250,000. That

amount was due 180 days after the sale of the Amlin Farm, which was property owned by

Ewing and his family, the proceeds of which were going to help pay for the salvage yard

purchase.1 The contract provided that regardless of the sale date of the farm, the purchase

price for the salvage yard was due and owing no later than March 1, 2011. Pearson also

sold Ewing an inventory of parts, equipment, and salvaged automobiles for $270,000, which

was payable in monthly installments of $4,500 for 60 months.2

        {¶ 4} In the contract, the parties also agreed that Ewing would pay taxes on the

property, and that the parties would be jointly responsible for "any existing EPA problems and

seller will execute necessary documents showing any known possible problems." Ewing also

agreed to pay for liability insurance on the property.

        {¶ 5} After Ewing took possession of the premises, Ewing told Pearson that he had

discovered extensive hidden environmental issues on the property, which included an

accumulation of tires, old rail road ties, buried car parts, and spilled gasoline. Despite the

environmental issues not being resolved between the parties, Ewing paved the property with

1. The record suggests that the Amlin Farm property was never sold and remains in the ownership of the Ewing
family.

2. The $270,000 purchase of inventory and related materials had been paid, and is not a part of the suit.

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approximately 50,000 square feet of concrete, and also erected a building. However, Ewing

refused to pay the $250,000 purchase price to Pearson by 2011.

      {¶ 6} After Ewing failed to pay taxes, did not name Pearson as an insured party, and

withheld payment of the contract purchase price, Pearson brought suit against Ewing, and

later filed a request to amend his complaint to include Ewing's father, Charles. However, the

trial court denied Pearson's motion, and Charles was never added as a party to the suit.

      {¶ 7} After the discovery period passed, the matter was scheduled for a jury trial to

commence on October 30, 2012. However, Pearson's counsel failed to appear for the trial,

and the matter was bound over for rescheduling. The trial court issued an entry to address

the rescheduling, and also addressed Ewing's pending motion that had asked the court to

permit the Ohio EPA to decide significant issues in the case. However, the trial court denied

Ewing's motion, and in the entry stated its intention to apply the doctrine of caveat emptor,

rather than proceed with the theory that Ewing was excused from performance on the

contract because Pearson failed to fulfill a condition precedent. The court also ordered

discovery reopened on the issue of what potential EPA violations were actually present on

the salvage yard property as of March 1, 2006, the contract's effective date.

      {¶ 8} Ewing procured the services of an expert witness, and such disclosure was filed

with the court on March 25, 2013. Thereafter, and once the reopened discovery time was

closed again, Ewing's expert informed Ewing that he was no longer willing to appear as a

witness on Ewing's behalf. Ewing claimed that his expert told him that he no longer wanted

to participate in the trial after receiving a combative phone call from Pearson's attorney.

Ewing then filed a motion with the trial court to request sanctions against Pearson's counsel

and to set a status conference. The trial court denied Ewing's motion, and ordered discovery

closed.

      {¶ 9} The two-day jury trial commenced, and Ewing acted pro se. Ewing did not
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present any expert testimony, and his only witness was his father, Charles.                            During

deliberations, the jury asked the trial court if it was possible to force the parties to use any

damage award to remediate any environmental issues on the property, and the trial court told

the jury that it was not possible. The jury then rendered a verdict in favor of Pearson, and the

trial court entered judgment ordering Ewing to pay $250,000 to Pearson for the unpaid

purchase price of the land and building, as well as $25,696.26 for real estate taxes that

Pearson was forced to pay in order to avoid foreclosure of the property. Ewing and his

father, Charles, now appeal the trial court's judgment, raising the following assignments of
         3
error.

             {¶ 10} Assignment of Error No. 1:

             {¶ 11} THE TRIAL COURT ERRED WHEN IT DETERMINED WITHOUT A MOTION

BY EITHER PARTY THAT CONDITION PRECEDENT [sic] TO THE PURCHASE OF THE

PROPERTY WAS WAIVED BY APPELLANT.

             {¶ 12} Ewing argues in his first assignment of error that the trial court erred by sua

sponte ruling that no defense existed for failure to comply with a condition precedent within

the contract and by ruling that the doctrine of caveat emptor applied.

             {¶ 13} Despite Ewing's contention that the trial court sua sponte ordered that caveat

emptor would apply and that the contract did not contain a condition precedent, the trial

court's entry specifically noted that Ewing had filed a motion captioned "Motion to Allow the

Issue of Environmental Compliance to be Determined by State Authorities." In his motion,

Ewing moved the court to permit the parties to have the Ohio EPA determine whether there

existed any environmental concerns regarding the property.                      More specifically, Ewing

3. Although the trial court denied Pearson's motion to join Charles Ewing as a party, see ¶ 6 above, this court
permitted Charles to appeal the trial court's judgment so that Charles could argue he should have been permitted
to file his own pleadings in the trial court. See Assignment of Error No. 2 below.

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asserted, "the major issue in this case is the two fold question of whether plaintiff has

disclosed all known environmental issues either in writing as the contract requires or

otherwise. In addition, the question involves whether the property is in compliance with

environmental requirements."

       {¶ 14} The trial court specifically referenced the fact that the motion was pending and

that the motion was "before it" for consideration. After recognizing that the motion was ripe

for determination, the trial court began discussion of the contract term referenced above,

which provided, "Seller & [sic] buyer to be jointly responsible for any existing EPA problems

and seller will execute necessary documents showing any known possible problems. Buyers

to be responsible for any EPA issues caused after the effective date of this agreement." The

trial court then reviewed the possibility of applying either caveat emptor or condition

precedent to the proceedings, and decided that there were no conditions in the contract

based upon the plain language found therein.

       {¶ 15} The trial court's discussion of the issues of caveat emptor and condition

precedent was not raised in a sua sponte entry, but rather, was made in response to Ewing's

motion to have the Ohio EPA determine liability in the case. The trial court was merely

pointing out that the contract terms dictated the outcome of the suit, and that according to the

unambiguous contract language, caveat emptor would apply rather than an argument that

Pearson failed to perform a condition precedent.

       {¶ 16} In support of his argument that the trial court erred by sua sponte raising the

issue of caveat emptor, Ewing relies upon HomEq Servicing Corp. v. Schwamberger, 4th

Dist. Scioto No. 07CA3146, 2008-Ohio-2478, for the proposition that a trial court errs by sua

sponte granting judgment without a motion being filed. However, the Schwamberger case is

easily distinguishable from the case sub judice.

       {¶ 17} In Schwamberger, the Fourth District Court of Appeals reversed because the
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trial court entered a judgment that had the same effect as either summary judgment or

judgment on the pleadings without any pending motion to which the Schwambergers had the

opportunity to respond. The Schwamberger court held that "by acting in the absence of a

pending motion, the trial court denied the Schwambergers due process because they did not

have notice and an opportunity to contest a sua sponte disposition." Id. at ¶ 13. The

Schwamberger court further took issue with the fact that in the absence of any pending

motion, the defendants "did not have an opportunity to marshal evidence to defeat summary

judgment because they did not receive notice" of the trial court's intention to grant judgment

without a trial or any further proceedings. Id.

       {¶ 18} Here, however, the trial court's ruling did not have a dispositive effect on the

proceedings, and instead, the matter proceeded to a jury trial where both parties were able to

offer their full litany of evidence to the jury in support of their claims. The trial court made its

entry, in part, to address Ewing's request to have the Ohio EPA intervene in the case and

decide whether or not there existed environmental violations on the property. It did not,

however, amount to summary judgment or judgment on the pleadings.

       {¶ 19} The trial court's entry also served to place the parties on notice that the

discovery period would be reopened in order to better establish what, if any, environmental

concerns existed on the property as of the contract date. The reason the trial court reopened

discovery for this limited purpose was its ruling that the doctrine of caveat emptor, rather than

condition precedent, would apply at trial.

       {¶ 20} The trial court analyzed the doctrine of caveat emptor, and correctly found it

applicable to the case at bar. As this court has explained, "the principle of caveat emptor

applies to sales of real estate relative to conditions open to observation." Kearns v. Huckaby,

12th Dist. Butler No. CA2005-12-507, 2006-Ohio-5196, ¶ 17.

       {¶ 21} Where disputed conditions are discoverable and the purchaser has the
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opportunity for investigation and determination without concealment or hindrance by the

seller, the purchaser has no just cause for complaint. Id. This is true even if there are

misstatements and misrepresentations by the seller, so long as such are not "so

reprehensible in nature as to constitute fraud." Id., citing Traverse v. Long, 165 Ohio St. 249,

252 (1956).

        {¶ 22} The rationale underlying the doctrine is that "a party has no right to rely on

certain representations regarding the property when the true facts are equally open to both

parties." Huckaby at ¶ 18. The doctrine of caveat emptor will apply when (1) the condition

complained of is open to observation or discoverable upon reasonable inspection, (2) the

purchaser had the unimpeded opportunity to examine the premises, and (3) there is no fraud

on the part of the seller. Sexton v. Wiley, 12th Dist. Butler No. CA2004-05-115, 2005-Ohio-

2269, citing Layman v. Binns, 35 Ohio St.3d 176 (1988).

        {¶ 23} The trial court set forth the doctrine, and then ruled that discovery would be

reopened so that the parties could determine "what known latent potential EPA problems

existed on the property [sic] March 1, 2006."4 The trial court's ruling regarding the application

of caveat emptor and the reopening of discovery, therefore, did not have any dispositional

impact on the case, as would be the case with summary judgment or judgment on the

pleadings. The opposite is true in this case. The trial court specifically gave Ewing the

opportunity to procure evidence to prove that the environmental concerns were not open to

observation and were not discoverable upon investigation. Instead of disposing of Ewing's

defense theory, the trial court's ruling gave Ewing the opportunity to discover evidence

necessary to prove that caveat emptor did not bar judgment in his favor.

        {¶ 24} The same is true for the trial court's conclusion that the contract did not contain

4. The trial court is making reference to the fact that sellers have a common law "duty to disclose material facts
that are latent." Binns, 35 Ohio St.3d at 178.

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a condition precedent. A condition precedent is an act or event that must occur before the

agreement of the parties become operative. Webb v. Pewano, Ltd., 12th Dist. Fayette Nos.

CA2008-10-036, CA2008-12-042, 2009-Ohio-2629, ¶ 15. If a condition precedent is not

fulfilled, the parties are excused from performing under the contract. Id. "Whether a

contractual provision is a condition precedent or merely a promise to perform is a question of

the parties' intent. A court ascertains that intent from the language of the particular provision,

the language of the entire agreement, and the subject matter of the agreement." (Internal

citations omitted.) Evans, Mechwart, Hambleton & Tilton, Inc. v. Triad Architects, Ltd., 196

Ohio App.3d 784, 2011-Ohio-4979, ¶ 14 (10th Dist.).

       {¶ 25} In regard to the environmental clause of the contract, Ewing argues that the trial

court erroneously held that the contract clause did not constitute a condition precedent.

However, we agree with the trial court's determination that the clause was not a condition

precedent. Stated once more, and in full, the contract provision at issue provides, "seller &

[sic] buyer to be jointly responsible for any existing EPA problems and seller will execute

necessary documents showing any known possible problems. Buyers to be responsible for

any EPA issues caused after the effective date of this agreement."

       {¶ 26} The contract unambiguously obligated (1) Pearson and Ewing to be jointly

responsible for any existing EPA problems as of the date of the contract, and (2) Pearson to

execute necessary documents showing any known possible problems. However, nowhere

did the contract language condition the sale of the salvage yard on either of these

obligations. Instead, the contract language merely sets forth an unconditional promise by

both parties to jointly remediate existing EPA violations and Pearson's promise to provide

documents showing known possible problems. If Ewing intended to structure the transaction

in such a way as to make his purchase contingent upon either the joint responsibility to

remediate or upon Pearson's responsibility to provide documentation, he could have easily
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included such language to that effect, especially as the party who drafted the contract.

However, he did not.

       {¶ 27} Moreover, and even if we were to find that the trial court should have waited for

a more opportune time to rule that caveat emptor applied rather than condition precedent,

such as at trial or after a hearing on the issue, we cannot say that the timing of the court's

ruling was reversible error. According to Civ.R. 61,

              No error in either the admission or the exclusion of evidence and
              no error or defect in any ruling or order or in anything done or
              omitted by the court or by any of the parties is ground for
              granting a new trial or for setting aside a verdict or for vacating,
              modifying or otherwise disturbing a judgment or order, unless
              refusal to take such action appears to the court inconsistent with
              substantial justice. The court at every stage of the proceeding
              must disregard any error or defect in the proceeding which does
              not affect the substantial rights of the parties.

       {¶ 28} The record clearly demonstrates that the trial court's ruling did not affect

Ewing's substantial rights, and that the ruling was not inconsistent with substantial justice.

Instead, and as we have already established, the trial court correctly ruled that caveat emptor

applied and that there was not a condition precedent within the contract, the non-

performance of which, excused Ewing from performing.

       {¶ 29} Additionally, a review of the transcript reveals that the trial court gave Ewing

latitude in presenting his arguments to the jury. Instead of prohibiting Ewing from presenting

any evidence that he did not perform on the contract because of Pearson's nonperformance,

the trial court allowed Ewing to argue that his nonperformance was excused because the

remediation never occurred and because Pearson never produced any documentation of

possible EPA problems.

       {¶ 30} During Ewing's opening, he told the jury, "I have not executed on that end of the

contract, because [Pearson] has also not executed on portions of the contract which he

needs to execute before we can go forward." Throughout the trial, Ewing presented
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evidence to support his claims that Pearson had not performed on the contract as agreed,

and the jury was offered the opportunity to determine if Ewing's breach of the contract was

excused because of any breach perpetuated by Pearson. During closing, Ewing reviewed

the evidence and suggested to the jury that Pearson should not be awarded judgment

"because they have not performed their disclosure of environmental issues related to the

property or participation in the cleanup of such items."

       {¶ 31} While the jury was never instructed on condition precedent, the trial court did

not deny Ewing the opportunity to offer evidence and present an argument emphasizing that

he should not have to perform under the contract because of Pearson's own non-

performance. Therefore, and even absent any jury instruction on the issue, the jury could

have ruled in favor of Ewing by finding that Pearson failed to perform his obligations, which

would have had essentially the same effect as finding that a condition precedent was not

performed.

       {¶ 32} By virtue of its verdict, however, the jury found that Ewing was not excused

from performing his contractual duties. This verdict would not have changed even if the trial

court had, for some reason, not issued its previous ruling that caveat emptor, rather than

condition precedent, would apply.

       {¶ 33} Therefore, the trial court did not err in issuing its entry, and any tangential error,

if one had occurred, would be completely harmless. As such, Ewing's first assignment of

error is overruled.

       {¶ 34} Assignment of Error No. 2:

       {¶ 35} THE TRIAL COURT ERRED WHEN IT REFUSED TO RECOGNIZE THE

ANSWERS AND COUNTERCLAIMS FILED BY CHARLES EWING ON TWO SEPARATE

OCCASIONS.

       {¶ 36} Ewing and his father, Charles, argue in the second assignment of error that the
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trial court erred by denying Charles the opportunity to file an answer and counterclaims.

       {¶ 37} Charles asserts that he was entitled to file a counterclaim and has standing to

participate in the suit because he is either a third-party beneficiary on the contract, or an

assignee. In support of his contention, Charles argues that he is a third-party beneficiary

because Pearson understood that part of the purchase price of the salvage yard was coming

from the sale of the Amlin Farm, of which Charles had an ownership interest. However, and

even if part of the purchase price was intended to come from the sale of the Amlin Farm, the

record is clear that Pearson has never received the purchase price for the property, even if it

was to come from the farm proceeds.

       {¶ 38} Moreover, there is no indication in the record that Charles was meant to directly

benefit from the contract between his son and Pearson. According to the Ohio Supreme

Court, "only a party to a contract or an intended third-party beneficiary of a contract may bring

an action on a contract in Ohio." Grant Thornton v. Windsor House, Inc., 57 Ohio St.3d 158,

161 (1991). In explaining who constitutes a third-party beneficiary, the court adopted the

Restatement of Contracts, and noted that,

              (1) Unless otherwise agreed between promisor and promisee, a
              beneficiary of a promise is an intended beneficiary if recognition
              of a right to performance in the beneficiary is appropriate to
              effectuate the intention of the parties and either

              (a) the performance of the promise will satisfy an obligation of
              the promisee to pay money to the beneficiary; or

              (b) the circumstances indicate that the promisee intends to give
              the beneficiary the benefit of the promised performance.

              (2) An incidental beneficiary is a beneficiary who is not an
              intended beneficiary.

Hill v. Sonitrol of Southwestwen Ohio, Inc., 36 Ohio St.3d 36, 40 (1988).

       {¶ 39} The Sonitrol Court also noted that while "performance of a contract will often

benefit a third person" no duty to that person is created unless the person is an intended
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beneficiary to the contract. Id. The court then adopted a test, first set forth by the Sixth

Circuit Court of Appeals in Norfolk & Western Co. v. United States, 641 F.2d 1201, 1208 (6th

Cir.1980). Therein, the Sixth Circuit utilized the "intent to benefit" test to determine whether a

third party is an intended or incidental beneficiary.

              Under this analysis, if the promisee * * * intends that a third party
              should benefit from the contract, then that third party is an
              "intended beneficiary" who has enforceable rights under the
              contract. If the promisee has no intent to benefit a third party,
              then any third-party beneficiary to the contract is merely an
              "incidental beneficiary," who has no enforceable rights under the
              contract. * * * [T]he mere conferring of some benefit on the
              supposed beneficiary by the performance of a particular promise
              in a contract [is] insufficient; rather, the performance of that
              promise must also satisfy a duty owed by the promisee to the
              beneficiary.

       {¶ 40} Here, there is no indication that Charles was a third-party beneficiary to the

contract entered into by Ewing and Pearson. The language of the contract does not express

any intent that Charles benefit from the contract. The only parties to the contract were Ewing

and Pearson, and no mention was made of any promises that conferred a benefit upon

Charles. While it is possible that the parties originally understood that part of the purchase

price was coming from the sale of the property owned by Charles, there is no indication that

Charles' offer to help Ewing pay for the property was anything more than an arrangement

between a father and son to help Ewing start his business.

       {¶ 41} The record does not indicate, and Charles has not pointed to evidence, that

Ewing and Pearson anticipated that performance of the contract terms would satisfy a duty

owed by either party to Charles. While it may be true that Charles currently helps Ewing run

the salvage yard and may himself profit from the business, any such benefit derived by

Charles is incidental because there is no indication that he had any right to performance of

the contract terms. There is no evidence in the record that the performance of the promise

would have satisfied an obligation of the parties to pay money to Charles and there are no
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circumstances that indicate the parties intended to give Charles the benefit of the promised

performance. Therefore, Charles is not a third-party beneficiary to the contract.

        {¶ 42} Charles also asserts that he was an assignee on the contract, thus granting him

standing to pursue his counterclaims against Pearson. However, Charles presented no

evidence of the supposed assignment before the trial court made its decision regarding

Charles' standing. Ewing's answer did not assert that Charles was an assignee, only that his

father was a "third party beneficiary of the contract." Furthermore, Charles asserted in his

answer and counterclaim that he was a "third party defendant," a "third party beneficiary,"

and made a "third party beneficiary's counter claim," but never asserted that he was an

assignee on the contract.

        {¶ 43} Instead, Charles filed a memorandum in opposition to Pearson's motion to

strike his answer and counterclaim, and claimed therein that the contract anticipated the

prospect of assignments and that he "could be" an assignee. While the subsection specific

to the assignment issue within the memorandum is titled "Movant is an assignee," Charles

never attached a copy of the assignment or any documentation to demonstrate that an

assignment occurred. Although Charles argued in his filing that the contract anticipated the

possibility of assignments and that he "could be" an assignee, there is no evidence to
                                                                        5
substantiate the claim that he actually was an assignee on the contract. The trial court did

not have any evidence before it that Charles was an actual assignee on the contract, and

5. The record contains two references by Ewing wherein he makes reference to his family's corporation, C&E
Enterprises, having been assigned the rights to the personal property purchased from Pearson, while no claim of
assignment of the property is ever made. According to Ewing's trial brief, "the purchase of the personal property
was assigned to my family's corporation, C&E Enterprises, Inc. ('CE') who has paid all obligations for the
purchase of the personal property and is not obligated to purchase the real estate." Additionally, Ewing filed a
Memorandum Contra Certain Provisions of Plaintiff's Motion for a Judgment Debtor Exam in which he stated,
"the contract in question allowed and contemplated the assignment of purchase rights by me. From the
beginning, C&E assumed the rights and obligations to purchase the personal property and subsequently paid the
Plaintiff the entire $270,000.00 for the purchase of the personal property." However, Ewing never asserts that he
has assigned the contract in regard to the property to anyone, including Charles.

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properly ruled that Charles could not bring a counterclaim.

       {¶ 44} Having found that the trial court properly denied Charles standing to bring a

counterclaim, Ewing and Charles' second assignment of error is overruled.

       {¶ 45} Assignment of Error No. 3:

       {¶ 46} THE TRIAL COURT ERRED WHEN IT DECLINED TO DEAL WITH WITNESS

TAMPERING BY COUNSEL FOR PLAINTIFF/APPELLEE ULTIMATELY LEADING TO THE

LOSS OF DEFENDANT/APPELLANT'S EXPERT WITNESS, FALSE AFFIDAVITS BY

PLAINTIFF/APPELLEE, AND FALSE REPRESENTATIONS TO THE COURT.

       {¶ 47} Ewing argues in his third assignment of error that the trial court erred by not

finding that Pearson had tampered with Ewing's expert witness, and that Pearson's attorney

had made false representations to the court.

       {¶ 48} While Ewing does not cite or rely upon any particular rule of civil procedure in

regard to what sanctions he was seeking, he does state in his brief that "rules of discovery

have a purpose of insuring that a fair trial be held." Therefore, we will construe Ewing's

argument as claiming that the trial court abused its discretion by not ordering sanctions

against Pearson and his attorney for alleged discovery violations.

       {¶ 49} According to the Ohio Supreme Court, "the discovery rules give the trial court

great latitude in crafting sanctions to fit discovery abuses. A reviewing court's responsibility is

merely to review these rulings for an abuse of discretion." Nakoff v. Fairview Gen. Hosp., 75

Ohio St.3d 254, 256 (1996). An abuse of discretion is more than an error of judgment; it

means that the trial court was unreasonable, arbitrary, or unconscionable in its ruling.

Blakemore v. Blakemore, 5 Ohio St.3d 217, 219 (1983).

       {¶ 50} As previously discussed, Ewing procured the services of an expert to determine

whether there existed environmental concerns on the property as of the date of the contract.

Once Ewing hired his expert and reported such to the trial court, Pearson's attorney sent the
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expert a copy of a letter he had written to Ewing. The letter essentially stated that any testing

that was performed or set to be performed needed to be disclosed to Pearson and shared

with Pearson's own expert. Pearson's attorney also asked their own expert to contact

Ewing's expert to discuss any findings and to share testing results. At some point after the

letter was sent and the experts spoke to one another, Ewing's expert informed Ewing that he

would no longer be willing to participate in the trial process. Ewing moved the court for a

status conference, and asked for sanctions against Pearson's attorney for tampering with his

witness.

          {¶ 51} Ewing also made other claims that Pearson's attorney had filed false affidavits

and had made other misrepresentations to the court as additional reasons why sanctions

should be granted. The trial court denied Ewing's motion for a status conference and

sanctions, and closed discovery.

          {¶ 52} Despite Ewing's contention that his witness was tampered with, the record does

not indicate that Ewing's expert declined to appear at trial because of anything done or said

by Pearson's attorney or expert witness. Instead, Ewing reported to the trial court that his

expert terminated his participation in the matter because of "a personal family health crisis."

While the record suggests that Ewing's expert had been contacted by both Pearson's

attorney and expert, Ewing's expert did not assert that his unwillingness to proceed had

anything to do with the communications, and there is no indication in the record that Ewing's

expert declined to participate further for any reason other than his personal family health

crisis.

          {¶ 53} Regarding Ewing's argument that Pearson's attorney made misrepresentations

to the court, the court declined to make such a finding. At some point before trial, Pearson's

attorney submitted an invoice regarding the amount of work he had performed up to a certain

point. On the invoice, Pearson's attorney noted approximately three hours of work reviewing
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an ante-nuptial agreement entered into between Pearson's mother and her second

husband.6 However, Pearson then stated in an affidavit that no copy of the ante-nuptial

agreement existed, and provided in an answer to one of Ewing's interrogatories that no copy

of the agreement had been found.

        {¶ 54} After reviewing the record, we find no abuse of discretion in the trial court's

decision to overrule Ewing's request for sanctions. The record does not contain any

indication that the invoice submitted by Pearson's attorney established that Pearson had

access to the ante-nuptial agreement. The invoice "for professional services" merely stated

that Pearson's attorney "read Defendant's Memorandum on claim of title, Summary

Administration, waiver of spousal rights, Antenuptial [sic] agreement referred to in Will and
                                                                                                               7
Review of exceptions preserved in paragraph 4 of title Option of attorney Gary Londergan."

The reference to reviewing the agreement may have been in regard to several tasks

associated with the agreement, such as searching for the agreement among the probate

documents, reviewing law specific to ante-nuptial agreements, or simply reviewing all of the

documents regarding the transfer of title from Pearson's father to his mother and the chain of

title issues presented therein.8

        {¶ 55} Regardless, we find no need to speculate as to why Pearson's attorney charged

his client for the three hours of service, and that is a matter left to Pearson and his attorney.

Instead, the trial court had before it multiple filings by Pearson regarding the title issue, and

6 As discussed within Ewing's fifth assignment of error, the ante-nuptial agreement pertains to the title dispute
and Ewing's claim that Pearson's mother hid the salvage yard from her second husband so that she could not
pass clean title.

7. Pearson's attorney forwarded a copy of an invoice wherein review of the ante-nuptial agreement was
referenced again. In this invoice, the charges relate to, "Letter regarding fee. Review Antenuptial [sic]
Agreement Referred to in Pearson's mother's Will." Our analysis applies equally and in the same manner to both
invoices, or any mention made of Pearson's attorney reviewing the ante-nuptial agreement.

8. Pearson's mother made reference to the ante-nuptial agreement in her will.

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hundreds of pages of documents specific to the probate and distribution of the estate of

Pearson's mother. The trial court was not persuaded that either Pearson or his attorney

violated any discovery rule regarding the ante-nuptial agreement, and we will not disturb that

finding on appeal. As such, Ewing's third assignment of error is overruled.

       {¶ 56} Assignment of Error No. 4:

       {¶ 57} THE TRIAL COURT ERRED WHEN IT REFUSED TO INSTRUCT THE JURY

ON THE DOCTRINE OF STRICT LIABILITY OF AN OWNER FOR ENVIRONMENTAL

ISSUES AND THE DOCTRINE OF INNOCENT OCCUPIER.

       {¶ 58} Ewing argues in his fourth assignment of error that the trial court erred by

instructing the jury on the doctrine of caveat emptor, rather than the doctrines of strict liability

and innocent landowner as those doctrines relate to the Comprehensive Environmental

Response and Liability Act (CERCLA).

       {¶ 59} "A trial court has the duty to instruct the jury as to the applicable law on all

issues presented in the case that are supported by the evidence." Silver v. Jewish Home of

Cincinnati, 190 Ohio App.3d 549, 2010-Ohio-5314, ¶ 80 (12th Dist.). Determining whether a

jury instruction is relevant rests within the sound discretion of the trial court. Id. When

considering the appropriateness of a jury instruction, or when a specific jury instruction is in

dispute, a reviewing court must examine the instructions as a whole, and should not reverse

unless the trial court abused its discretion by failing to give the requested instruction and the

complaining party was prejudiced as a result. Id. at ¶ 90.

       {¶ 60} Ewing asserts that the trial court erred in instructing the jury on the doctrine of

caveat emptor because the trial court should have applied legal principles pertinent to

CERCLA. CERCLA was promulgated by Congress in order to remediate "land contaminated

with hazardous substances and to make 'responsible' parties pay for the clean-up."

Advanced Technology Corp. v. Eliskim, Inc., 87 F.Supp.2d 780, 784 (N.D.Ohio 2000).
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According to CERCLA, both the current owner of a given site and the owner of the site at the

time of contamination are considered potentially responsible parties to whom liability can

attach. Id.

       {¶ 61} "CERCLA encourages private individuals to clean up environmental hazards by

permitting them to recover specified costs of cleanup from parties defined by CERCLA to be

responsible for the hazards." Norfolk Southern Ry. Co. v. Shulimson Bros. Co., Inc., 1

F.Supp.2d 553, 555-56 (W.D.N.C.1998). In order to recover the costs of cleanup pursuant to

CERCLA, a plaintiff must show "(1) that the defendant 'owned or operated' a 'facility' from

which there was a 'release' or 'threatened release' of a hazardous substance, (2) that the

defendant is a 'potentially responsible person,' and (3) that the plaintiff incurred necessary

cleanup costs 'consistent with the national contingency plan.'" Id.

       {¶ 62} Ewing argues that if he is forced to purchase the property, he will be liable for

all EPA violations because CERCLA imposes strict liability on property owners for any

environmental remediation. Ewing asserts that the jury should have been made aware of

that fact, and also given an instruction as to the doctrine of innocent occupier, which is an

affirmative defense to CERCLA's strict liability. According to Ewing's argument, he is able to

demonstrate that he is an innocent occupier because the environmental concerns were on

the property before he took possession of it. Ewing's argument fails for multiple reasons.

       {¶ 63} First, CERCLA does not apply to the case at bar because Ewing has not

incurred liability for the clean-up of hazardous substances.          The testimony at trial

demonstrated that neither the federal nor Ohio EPA has ever cited Pearson or Ewing for any

EPA violation. Instead, Pearson testified that an Ohio EPA representative came onto the

property to investigate a possible water contamination issue on a near-by property, but found

that Pearson had not done anything to cause the contamination. Pearson asked the EPA

representative to determine if there were any EPA violations or concerns on his property, and
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none were found.

         {¶ 64} Additionally, Pearson's expert witness, who is a licensed professional engineer,

testified that he had performed environmental regulation assessments for approximately 25

years, whereby he investigates whether a property contains potential EPA violations. The

expert testified that he performed one such assessment of the salvage yard and that the

"goal of [the] walkthrough assessment was to identify any environmental compliance issues

associated with the operations of the salvage business." After performing his assessment,

the expert noted that the only violations included the existence of large amounts of tires on

the property and improper storm water drainage.9

         {¶ 65} The expert further testified that the existence of buried car parts, rail road ties,

batteries, drums, and etc. on the property did not equate to EPA violations, and instead, were

actually "anticipated at a facility like this* * * ." After being cross-examined about there being

no EPA violations, Ewing asked Pearson's expert whether dumping gasoline onto the ground

would constitute an EPA violation. Pearson's expert then reiterated that he did not find any

other EPA violations besides the tires and storm water drainage issue, and that in his opinion

he did not believe that the poured gasoline would be a compliance issue. Moreover, the

expert testified that the EPA does not regulate the soil within the salvage yard into which the

gasoline would have allegedly absorbed because "it's not a leaking underground storage tank

site."

         {¶ 66} Ewing never once submitted any evidence that he had incurred liability for any

ordered remediation, or that there were, in fact, any environmental concerns on the property

besides the tires and storm water issues. Although Ewing vehemently asserts that the

9. According to the expert's written report, the drainage issues were specific to several small drainage ditches
that could not be followed past the property boundary lines because of dense vegetation. The expert noted that
"the discharge of storm water from the subject site will require authorization and compliance with the new Ohio
EPA General NPDES Permit Number * * *," which became effective in January 2012.

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gasoline and buried car parts constitute EPA violations, he did not submit any evidence to

support that claim, and never claimed that he had incurred liability for any remediation

required by the EPA.

         {¶ 67} Nor did Ewing present evidence to demonstrate that he would be subject to

liability based on CERCLA's requirement that he owned or operated a facility from which

there was a release or threatened release of a hazardous substance, that he is a potentially

responsible party, or that he incurred necessary cleanup costs consistent with the national

contingency plan. Therefore, Ewing's reliance on CERCLA is misplaced, and the trial court

did not abuse its discretion by declining to instruct the jury on a federal statute that did not

apply.

         {¶ 68} Even if we were to somehow find that CERCLA is pertinent, the record

demonstrates that Ewing could not successfully defend any future and potential liability as an

innocent occupier. In order to employ the affirmative defense of innocent occupier, Ewing

would be required to prove by a preponderance of the evidence that,

               (1) a third party was the sole cause of the release of hazardous
               substances; (2) Plaintiff acquired the property after the
               hazardous substances were disposed of there; (3) at the time
               Plaintiff bought the property, it did not know that any hazardous
               substance was deposited there; (4) Plaintiff undertook
               appropriate inquiry prior to purchasing the property; and (5) once
               it became aware of the presence of hazardous substances at the
               site, it exercised due care under the circumstances.

(Emphasis added.) Containerport Group, Inc. v. Am. Financial Group, Inc., 128 F.Supp.2d

470, 479, (S.D.Ohio 2001).

         {¶ 69} The record clearly demonstrates that Ewing knew of the EPA concerns at the

time he took possession of the property, and cannot claim that he was an innocent occupier.

Testimony elicited at trial, by both parties, indicates that Ewing was familiar with the salvage

yard before he contracted to purchase it. Ewing was an employee of Pearson and performed

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                                                                                Madison CA2013-07-026

various jobs over a two-year period for the salvage yard, which gave him access to the

property. Both Pearson and Charles Ewing testified that Ewing had access to the salvage

yard and was familiar with the state of the property before he contracted to purchase it.

        {¶ 70} Furthermore, photographs offered as evidence at trial indicate the presence of

large amounts of tires on the property. These tires, which constituted one of only two

environmental concerns, had been on the property for many years, as indicated by the

growth of trees, shrubbery, and other vegetation in and around the tire piles. The tires are

not hidden from view, and were obvious to anyone who came upon the property. Even

though some pockets of tires and other debris were later found once Ewing took possession

and began to operate the salvage yard, the tires and other debris were prevalent enough in

the open spaces that Ewing cannot say he was unaware of their existence.

        {¶ 71} We would also note that Ewing was aware of the tires and other issues, as he

and Pearson included a clause in the contract referencing the environmental concerns.10

Even before he agreed to purchase the property, Pearson and Ewing had a conversation

regarding the EPA issues, and according to Charles' testimony, the parties "talked about the

EPA issues." Although Ewing claims that he did not know about the buried car parts and

other materials found on the property, those issues did not constitute EPA violations, and

Ewing has not incurred any remediation liability for the other materials he claims constitute

EPA violations.

        {¶ 72} After reviewing the record, as well as the jury instructions as a whole, the trial

court did not abuse its discretion in denying Ewing's request to instruct the jury on the impact

10. According to Ewing's pretrial brief, Pearson indicated to him before the contract was signed that there were
two EPA issues on the salvage yard property, "a massive amount of tires stored in semi-trailers and solid waste
primarily in the form of hundreds of rotting railroad ties and some household garbage and trash." While pretrial
briefs do not constitute evidence, Ewing, nonetheless, admitted that he knew about the tire situation before he
agreed to purchase the land.

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                                                                                Madison CA2013-07-026

of strict liability or innocent occupier as those issues are contemplated within CERCLA. As

such, Ewing's fourth assignment of error is overruled.

        {¶ 73} Assignment of Error No. 5:

        {¶ 74} THE COURT ERRED WHEN IT DETERMINED THAT TITLE TO THE REAL

PROPERTY PASSED TO PLAINTIFF WITHOUT PROBATE OR DISCLOSURE IN

SUMMARY ADMINISTRATION.

        {¶ 75} Ewing argues in his final assignment of error that the trial court erred when it

found that Pearson held proper title to the property in question.

        {¶ 76} Ewing asserts that Pearson never held proper title to the property so that he is

not obligated to purchase the salvage yard as he contracted to do. In July 2012, the issue of

who held proper title was decided upon summary judgment by the trial court. Therein, the

court determined that Pearson held proper title based upon probate documents and recorded

deeds.11 We find no error in the trial court's determination, and affirm the grant of summary

judgment.

        {¶ 77} This court’s review of a trial court’s ruling on a summary judgment motion is de

novo. Lindsay P. v. Towne Properties Asset Management Co., Ltd., 12th Dist. Butler No.

CA2012-11-215, 2013-Ohio-4124. Civ.R.56 sets forth the summary judgment standard and

requires that (1) there be no genuine issues of material fact to be litigated, (2) the moving

party is entitled to judgment as a matter of law, and (3) reasonable minds can come to only

one conclusion being adverse to the nonmoving party. Slowey v. Midland Acres, Inc., 12th

Dist. Fayette No. CA2007-08-030, 2008-Ohio-3077, ¶ 8. The moving party has the burden of

demonstrating that there is no genuine issue of material fact.                       Harless v. Willis Day

11. The trial court's entry did not contain language indicating that its decision was a final appealable order.
Therefore, Ewing was not under an obligation to appeal that decision to this court, and has not waived that issue
on appeal. Civ.R. 54(A).

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                                                                     Madison CA2013-07-026

Warehousing Co., 54 Ohio St.2d 64 (1978).

       {¶ 78} The nonmoving party "may not rest on the mere allegations of his pleading, but

his response, by affidavit or as otherwise provided in Civ.R. 56, must set forth specific facts

showing the existence of a genuine triable issue." Mootispaw v. Eckstein, 76 Ohio St.3d 383,

385 (1996). A dispute of fact can be considered "material" if it affects the outcome of the

litigation. Myers v. Jamar Enterprises, 12th Dist. Clermont No. CA2001-06-056, 2001 WL

1567352,*2 (Dec. 10, 2001). A dispute of fact can be considered "genuine" if it is supported

by substantial evidence that exceeds the allegations in the complaint. Id.

       {¶ 79} The record indicates, and proper evidence was presented to establish that, the

salvage yard property was owned first by Pearson's father and uncle. In 1982, Pearson

purchased his uncle's one-half interest in the property and operated the auto body salvage

yard on his own. In 1987, Pearson's father died and his one-half interest in the property

passed to Pearson's mother. Pearson's mother, who lived in Florida at the time, later

remarried and executed an ante-nuptial agreement with her new husband in which the two

released any claim against the assets in each other's estate, other than a life estate in the

marital home. Pearson's mother died in 1993, and her husband made no claim to any of her

assets, and even signed a petition for summary administration, which provided no distribution

of assets to himself as the surviving spouse.

       {¶ 80} Once Pearson's mother passed, her estate was divided among Pearson and his

sister, Carol. The salvage yard passed to Pearson and Carol through a trust that Pearson's

mother established, of which Pearson was trustee and held the right of distribution. Pearson

quitclaimed the salvage yard property held in trust to himself and Carol, and then Carol

quitclaimed her interest in the salvage yard to Pearson. Pearson recorded both the deed that

quitclaimed the property from the trust to himself, as well as the quitclaim deed from his sister

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                                                                                   Madison CA2013-07-026

wherein she conveyed her interest to Pearson.12 This chain of title demonstrates that

Pearson owned 100 percent of the salvage yard.

        {¶ 81} Additionally, in 2010, and after Ewing had occupied the property for four years

without paying the property taxes, the property was foreclosed upon for failure to pay taxes.

Although Pearson eventually paid all of the taxes himself to avoid losing the property, the

foreclosure process included a judicial determination that Pearson owned the property in full

and that he held valid title.

        {¶ 82} Although Ewing asserts that Pearson should reopen his mother's probate in

Ohio in order to obtain "a certificate of transfer or an order dealing with the property," the

record indicates that the estate of Pearson's mother was properly disposed of through the

Florida courts. Moreover, Pearson was deemed by the Madison County, Ohio, court to be

owner of the property, and was held solely responsible for the taxes accrued and owed upon

the salvage yard.

        {¶ 83} Ewing has not pointed to any evidence to demonstrate that Pearson does not

hold proper title to the salvage yard. Although Ewing alleges that Pearson somehow

concealed the salvage yard from his stepfather during the probate of Pearson's mother's

estate, there is no evidence that the stepfather or his heirs ever made any claim against any

asset within the estate of Pearson's mother or that he was not aware of the land his wife held

in Ohio.

        {¶ 84} Ewing may not rest on the mere allegations that Pearson did not hold proper

title, and his response to Pearson's motion for summary judgment failed to set forth specific

facts showing the existence of a genuine triable issue. As such, the trial court properly

12. The record indicates that Carol purchased a home in Ohio from her mother, and that Pearson's mother held
a $75,000 mortgage on that property as a result. However, this debt was forgiven in the will of Pearson's mother.
Carol quitclaimed her share of the salvage yard to Pearson in order to offset the effect of her mother forgiving the
debt as an inheritance.

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                                                               Madison CA2013-07-026

granted summary judgment, and Ewing's final assignment of error is overruled.

      {¶ 85} Judgment affirmed.

      RINGLAND, P.J., and HENDRICKSON, J., concur.

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