Plaintiff, Oak Brook Park District (Park District), appeals from the judgment of the circuit court of Du Page County, entered upon a jury verdict, finding the amount of just compensation due defendants (owners) for the taking of a 32.7-acre tract of land to be $17,063,196 and damages to the remaining .8 acre not
The issue at trial was the value of the subject property on April 9, 1984, taken by the Oak Brook Park District from the defendants under the Park District’s power of eminent domain and the amount of damages, if any, to the remaining .8 acre of land which was
Defendants argued that, although the property had been zoned residential since 1978, there was a reasonable probability of rezoning
Plaintiff, in addition to disputing defendants’ theory of highest and best use, argued there was no reasonable probability of rezoning to permit defendants’ claimed highest and best use. The jury returned a verdict in favor of defendants, adopting the identical value of the subject property as testified to by defendants’ expert appraisal witness. In addition, the jury also found the remainder to have been damaged in the exact amount to which defendants’ expert appraisal witness testified.
On appeal, plaintiff raises numerous issues. Plaintiff claims the trial court erred in the following regards: (1) in its rulings concerning numerous evidentiary issues on the admissibility of certain evidence relevant to value and the issue of the reasonable probability of rezoning; (2) in its instructions to the jury; (3) in overruling plaintiff’s objection to defendants’ final argument; and (4) that the verdict was a result of passion and prejudice caused by defendants’ improper final argument.
A detailed description of the subject property and surrounding area is not necessary to our disposition of this appeal. However, a history of the actions and relations surrounding the subject property is required to understand plaintiff’s arguments. The subject property is located at the northeast comer of Route 83 and 31st Street in Oak Brook. The subject property consists of 33.5 acres of unimproved land of which 32.7 acres was taken by plaintiff under its power of eminent domain. The valuation date at trial was April 9, 1984. At that time defendants were the owners of the subject property. The interest of defendants in the subject property arose by way of the actions of Paul Butler and through the will of Paul Butler, upon his death.
Plaintiff sought to introduce evidence of the actions of Paul Butler and the Village of Oak Brook board of trustees concerning the subject property in 1978. Plaintiff argues on appeal that this evidence
On January 12, 1978, the Village of Oak Brook rejected the application of the Butler Company and McDonald’s to '.rezone the GHQ property from residential (R-l) to commercial (ORA-3). Sometime in late January or early February 1978, the Village of Oak Brook rescinded its rejection of the GHQ rezoning. On April 17, 1978, Paul Butler caused a declaration of covenants and restrictions to be executed which purported to restrict the subject property to residential uses only. On May 4, 1978, the “Village Comprehensive Plan” was amended by the board of trustees to show the subject property zoned residential (R-3), and the GHQ property zoned as commercial (ORA-3), which permitted the McDonald’s development presently in existence. On May 31, 1978, the board of trustees of the Village of Oak Brook passed the relevant ordinances effectuating the rezoning of the subject property from commercial to residential (B-ll to R-3) and the GHQ property from residential to commercial (R-l to ORA-3) as reflected in the Village’s comprehensive plan of May 4, 1978. On September 8, 1983, after the death of Paul Butler, á document purporting to be a release of the covenants and restrictions was filed by the children of Paul Butler who were the beneficial owners of the subject property at the time the release was filed.
I. EVIDENTIARY RULINGS
1978 COVENANTS AND RESTRICTIONS
First, we address plaintiff’s contentions directed at the trial court’s rulings on several motions in limine filed by defendants concerning the 1978 covenants and restrictions and their purported release,
Plaintiff argues on appeal that the trial court’s ruling was error and prejudiced its case. Plaintiff argues that this ruling prevented any proof as to the binding effect of the covenants upon Paul Butler and his successors and any proof of reliance by the Village of Oak Brook upon these covenants in their actions rezoning the subject property in 1978. Plaintiff argues this ruling barred proof of the surrounding facts and circumstances which existed in 1978. The record, however, does not support plaintiff’s characterization of the trial court’s ruling.
The trial court’s ruling concerned defendant’s motion in limine to exclude the covenants and restrictions as not relevant to the issue of value. Plaintiff succeeded in convincing the trial- court that these documents were relevant and that ruling is not before us on review. However, the trial court did exclude extrinsic evidence of the intent of the parties who executed these documents. The documents at issue were clear and unambiguous. Plaintiff, while arguing the relevance of the documents, stated: “The face of the documents say [sic] who the restrictive covenant runs to and the intention of the parties is absolutely crystal clear. It can’t be denied from the face of it.” The trial court properly excluded extrinsic evidence as to the intent of the parties who executed the documents, since the documents were clear and unambiguous. Where a contract is clear and unambiguous, the parties’ intent is to be drawn only from the words used. Scheduling Corp. of America v. Massello (1983),
Plaintiff contends the trial court erred in granting defendants’ motion in limine No. 1 which sought to bar the admission into evidence or testimony about all minutes of any public body in Oak Brook relating to any zoning action or comprehensive plan because such minutes collaterally attack duly enacted ordinances and/or reflect the motives and reasons behind the vote of individual board members. Individual member’s motives in enacting an ordinance, defendants argued, are not competent evidence as to the motives of the board as a body. The motion further argued that since the individual board members could not testify regarding their motives or reasons for enacting the zoning classification, plaintiff could not indirectly place before the jury such matters. Plaintiff contends that the trial court’s ruling prevented: (1) proof that the GHQ rezoning from residential to commercial was done only with the assurance that the instant property would remain residential; and (2) proof that the GHQ rezoning did not affect growth patterns since the instant property was rezoned from commercial to residential at approximately the same time, thus, showing the actual nonresidential use in the area was increased only slightly in 1978. Plaintiff argues that such evidence is admissible on the issue of the probability of rezoning the subject property on April 9,1984.
The minutes at issue were the transcription of one trustee’s opinion as to why the board of trustees should vote to approve the GHQ rezoning in 1978. A zoning ordinance is a legislative act and courts lack the power to inquire into the wisdom of the ordinance or motives which prompted its enactment, with the exception that municipal ordinances may be impeached for fraud by persons injuriously affected thereby. (Anthony v. City of Kewanee (1967),
A reading of ordinance No. S — 408 of the Village of Oak Brook, which rezoned the GHQ property to permit the McDonald’s development, establishes that the trial court did not err in its ruling. The ordinance was admitted at trial. The ordinance specifically mentions and incorporates the fact that the rezoning application was filed by McDonald’s Corporation and the Butler Company. Further, section
EXPERT TESTIMONY: PROBABILITY OF REZONING
Plaintiff's next contention on appeal is that the trial court erred in allowing the defendants to present evidence on the issue of a reasonable probability of rezoning to the jury. The trial court held an in camera hearing to determine whether defendants had presented sufficient evidence to allow their expert to testify to an opinion as to the reasonable probability of rezoning. The trial court ruled in favor of defendants, finding that defendants had made a sufficient showing to admit evidence of a reasonable probability of rezoning before the jury for its consideration on the issue of the value of the subject property. At the in camera hearing, plaintiff introduced no witnesses or evidence in rebuttal. Plaintiff’s counsel simply stated that he “disagreed” with defendants. On appeal, plaintiff argues that the evidence was insufficient and argues that the evidence, especially the evidence excluded by the trial court, shows there was no probability of rezoning. Plaintiff also argues on appeal that defendants are estopped from arguing the issue of rezoning in light of the restrictive covenants executed by their father. Plaintiff has failed to preserve this issue for review by failing to specify at the hearing the grounds upon which he “disagreed” with the trial court’s ruling. (Psye v. Byrd (1983),
Plaintiff also contends the trial court erred in granting defendants’ motion in limine No. 4. Defendants’ motion in limine No. 4 was similar to their motion in limine No. 1. Defendants sought to exclude testimony by plaintiff’s experts concerning their review of the minutes and their opinions about the actions of the Village of Oak Brook board of trustees in granting the rezoning of the GHQ property to allow the McDonald’s development and. the experts’ opinions as to the GHQ rezoning’s effect on the probability of rezoning the subject property. The trial court considered this motion to be identical to defendants’ motion in limine No. 1 and granted the motion. As discussed relative to defendants’ motion in limine No. 1, extrinsic evidence as to the motives and intent of the board of trustees concerning the 1978 rezoning (ordinance No. S — 408) was inadmissible. The trial court did not err in barring such testimony by plaintiff’s experts.
Additionally, plaintiff’s argument at trial was directed at the relevance of its experts’ testimony on the issue of a reasonable probability of rezoning. However, evidence must be more than relevant; it must be competent for the purposes offered before a jury will be allowed to hear the evidence. (Lombard Park District v. Chicago Title & Trust Co. (1968),
“Without purporting to set forth all of such factors, some of the significant factors may be the rezoning of nearby property, growth patterns, change of use patterns and character of neighborhood, demand within the area for certain types of land use, sales of related or similar properties at prices reflecting anticipated rezoning, physical characteristics of the subject and of nearby properties and, under proper circumstances, the age of the zoning ordinance.” (103 Ill. App. 2d at 8 ,242 N.E.2d at 444 .)
Just prior to this statement, we discussed our holding in Department of Public Works & Buildings v. Rogers (1966), 78 Illc. App. 2d 141,
DEPOSITION OF PAUL BUTLER
Defendants’ motion in limine No. 5 sought exclusion of a 1979 deposition of Paul Butler, taken in an unrelated case, involving different parties. Paul Butler was deceased at the time of trial. Defendant argued that Paul Butler’s deposition testimony was inadmissible because it failed to meet the requirements for admission of prior testimony of an unavailable witness. (See George v. Moorhead (1948),
However, we will address the issue of whether Paul Butler’s statements, made in 1979 concerning the value of the subject property, should have been admitted into evidence. The trial court did not state the grounds upon which Paul Butler’s statements were excluded. It appears from the record that the trial court accepted defendants’ arguments and rejected plaintiff’s. We hold that the trial court erred in granting defendants’ motion in limine No. 5 as to Paul Butler’s statements concerning the value of the subject property in 1979. The statements were relevant and competent evidence on the
The trial court’s exclusion of Paxil Butler's statements as to residential value was not prejudicial to plaintiff. In a condemnation proceeding, the improper admission or exclusion of a value witness will not constitute reversible error when there is other evidence of value on both sides and the jury is given the opportunity to weigh the conflicting evidence. (Lake County Forest Preserve District v. Frecska (1980),
SALE OF 12 ACRES
Plaintiff argues the trial court erred in granting defendants’ motion in limine to exclude evidence of the sale by the Butler Company of 12 acres of land to plaintiff for $527,000. Plaintiff sought to introduce this sale as a comparable sale to show the value of the subject property for residential uses. Defendants’ motion sought to exclude the sale because it was made under threat of condemnation and did not reflect fair market value of the subject property. “It is a well-established doctrine that the amount of condemnation awards or purchase price under threat of condemnation are not admissible as evidence because they are the result of forced transactions rather than voluntary ones.” (Department of Public Works & Buildings v. Kelly (1976),
“GAZEBO”PROPERTY
Plaintiff also argues it was error for the trial court to overrule plaintiff’s objection to defendants’ cross-examination of plaintiff’s witness concerning the “Gazebo” sale. The “Gazebo” property, which is approximately three-quarters of an acre, was purchased by plaintiff in November 1983. Plaintiff’s witness testified to this fact on direct examination. Defendants cross-examined plaintiff’s witness on this sale without objection from plaintiff until defendant asked for the purchase price of the “Gazebo.” At this point, the record indicates a sidebar conference occurred at which plaintiff argued that the “Gazebo” sale involved “a half acre piece of property with a commercial use as of the time its purchased [sic]; certainly not relevant to value on [sic] the piece, the 34 acres or so that [sic] zoned residential at the time.” Defendants replied that it was relevant. Defendant argued that the price paid for the “Gazebo” property, which was approximately three-quarters of an acre with a commercial use, was relevant to the amount of damages to the remainder, which was .8 acre and under defendants’ theory had a highest and best use as commercial property. We agree. The trial court’s ruling that the testimony was relevant and, therefore, admissible was not an abuse of discretion. (Department of Conservation v. Aspegren Financial Corp. (1978),
“MASTER PLAN” OF DU PAGE COUNTY
Plaintiff contends the trial court erred in admitting the. 1985 “Master Plan” of Du Page County. Defendants’ expert testified to his reliance on the plan. Plaintiff’s experts were cross-examined about their knowledge of the plan. The testimony of the experts established that the county often helps municipalities with their planning; that municipal input is a key element of the consideration upon which the “Master Plan” is developed; that the plan was not binding on the Village of Oak Brook; that the plan attempts to minimize conflicts between different land uses and environmental impact; that the “Master Plan” indicated the highest and best use of the subject property was
On appeal, plaintiff argues that the “Master Plan” was adopted February 1985, after the relevant valuation date of April 9, 1984, and, therefore, it is not relevant to a determination of the highest and best use of the property on the valuation date and should have been excluded. Although the “Master Plan” at issue was adopted approximately nine months after the April 9, 1984, valuation date, the testimony elicited concerning the plan indicated that the plan, although not binding upon the Village of Oak Brook, was being developed based on facts and circumstances which existed in 1984, that knowledgeable planning officials developed this plan, and the plan indicated a highest and best use of the subject property as commercial. In light of this testimony concerning the time period upon which the Du Page County “Master Plan” was based, the trial court did not abuse its discretion in admitting the plan over plaintiff’s objection. Board of Junior College District No. 515 v. Wagner (1971),
II. JURY INSTRUCTIONS
REASONABLE PROBABILITY OF REZONING
Plaintiff claims the trial court erred in refusing to give plaintiff’s tendered instruction No. 12 on the issue of reasonable probability of rezoning. Plaintiff’s instruction No. 12 reads as follows:
“It is proper to base value upon the highest and best use permitted, not only under existing but also under other zoning classifications where there is a reasonable probability of obtaining legislative relief in the near future. The burden of proof of the reasonable probability of rezoning is on the landowner.”
The trial court refused this non-IPI instruction stating it had a “problem” with the first sentence. The trial judge said he would be available the next morning if either party wished to tender further or revised instructions. The next morning plaintiff resubmitted the same instruction with no changes, and the trial judge again rejected plaintiff’s instruction No. 12. The trial court has considerable discretion in determining the form in which a jury instruction shall be given.
Plaintiff’s instruction No. 12 is a correct statement of the applicable law. (Department of Public Works & Buildings v. An Association of Franciscan Fathers (1977),
DAMAGE TO REMAINDER
Plaintiff argues the trial court erred in giving defendants’ and not plaintiff’s tendered instruction on damages to the remainder. Plaintiff argues that the giving of defendants’ instruction instead of plaintiff’s prejudiced plaintiff by failing to present plaintiff’s theory that the remainder was not damaged at all. Instead, defendants’ instruction implies that plaintiff admits damage to the remainder and only disputes the amount of damage. Plaintiff’s instruction was lilinois
“The defendant has filed a cross petition claiming that the remainder will be [has been] damaged by the taking. Plaintiff denies that there will be [has been] any damage to the remainder.
You are to decide the following questions:
First, what is the amount of just compensation to be paid the defendant for the property which will be [has been] taken.
Second, [will] [has] the remainder [be] [been] damaged by the taking and, if so, then,
Third, what is the amount of money which will reasonably and fairly compensate the defendant for that damage.”
Defendants’ instruction, given by the trial court, was Illinois Pattern Jury Instructions, Civil, No. 300.12 (2d ed. 1971) (hereinafter IPI Civil 2d No. 300.12), which provides in relevant part:
“The defendant has filed a cross petition claiming that the remainder will be [has been] damaged by the taking. Plaintiff denies damage in the amount claimed.
You are to decide the following questions:
First, what is the amount of just compensation to be paid the defendant for the property which will be [has been] taken.
Second, what is the amount of money which will reasonably and fairly compensate the defendant for damage to the remainder.”
The comments to these two instructions make it clear that where the plaintiff denies any damage to the remainder, IPI Civil 2d No. 300.11 is the proper instruction. (Illinois Pattern Jury Instructions, Civil, Nos. 300.11, 300.12, Comments (2d ed. 1971).) The record shows plaintiff’s theory included a denial of any damage. Two of plaintiff’s three experts testified that the remainder was not damaged at all. In addition, defendants’ instruction should not have been given because it assumes damage, which was a disputed fact that the jury should have been allowed to resolve. (Pietka v. Chelco Corp. (1982),
However, plaintiff is not entitled to have a reversal of the trial court unless plaintiff was prejudiced by the trial court’s improper refusal of plaintiff’s tendered instruction. (Kohutko v. Four Columns, Ltd. (1986),
III. FINAL ARGUMENT
Plaintiff’s last contention on appeal is that defendants’ final argument to the jury was improper and prejudiced plaintiff’s right to a fair trial. Plaintiff takes issue with numerous arguments made by defendants in their final argument. Plaintiff, however, only objected once during defendants’ final argument. First, we address the one argument of defendants to which plaintiff objected during closing argument and on which the trial court had a chance to rule at the time the statements were made.
IMPROPER MOTIVES
Plaintiff argues that defendant improperly argued that plaintiff had improper motives in condemning defendants’ property, specifically, to interfere with defendants’ plans for the property. Plaintiff’s
In addition, we do not find defendants’ statements questioning the motives of plaintiff to be equivalent to the closing arguments discussed in the authority cited by plaintiff. (See Department of Conservation v. Strassheim (1981),
Next, we address plaintiff’s contentions that defendants made numerous statements in closing argument, which although unobjected to at the time by plaintiff, were so prejudicial to plaintiff that plaintiff was denied a fair trial. It has been consistently held that experienced counsel cannot take a chance of failing to make objections and then, upon receiving an adverse jury verdict, claim error. (County of Cook v. Colonial Oil Corp. (1958),
COVENANTS AND RESTRICTIONS
Plaintiff argues that defendants’ statements concerning the covenants and restrictions were in violation of defendants’ own motions in limine. Plaintiff’s argument is based on a mischaracterization of the trial court’s rulings and is not supported by the record. We find no merit to plaintiff’s contention that defendants’ closing argument violated any of the trial court’s prior rulings on defendants’ motions in limine.
FAILURE TO CROSS-EXAMINE DEFENDANTS’ EXPERT
Nor do we agree with plaintiff’s contentions that defendants’ closing argument improperly commented on plaintiff’s failure to cross-examine defendants’ expert McCann on certain prior testimony given in another case and plaintiff’s failure to cross-examine McCann on prior appraisals for the Department of Transportation. Plaintiff did extensively cross-examine McCann as to his prior testimony in another case concerning his opinion of highest and best use of property located near the subject property. As to McCann’s other appraisals for the Department of Transportation, plaintiff states defendants’ argument “presupposes that it would have been proper to cross-examine on these sales or other appraisals.” Plaintiff on appeal argues that it would have been improper for plaintiff to cross-examine on these “other sales and appraisals.” Plaintiff never attempted to cross-examine McCann on these “other sales or appraisals,” and the record does not show whether such cross-examination would have been improper. Plaintiff’s argument asks this court to presuppose that such cross-examination would have been improper. Plaintiff’s argument, along with the record, fails to support the drawing of such a conclusion. Accordingly, we do not find this portion of defendants’ argument to have been prejudicial to plaintiff.
CHARACTERIZATION OF PLAINTIFF’S WITNESSES
Plaintiff also contends that defendants’ closing argument
We affirm the judgment of the circuit court of Du Page County.
Affirmed.
INGLIS and HOPE, JJ., concur.
