OPINION
In this appeal involving a boundary dispute, the question presented is whether privity of estate between succeeding landowners is required to support tacking periods of ownership to form the requisite twenty-one-year period under acquiescence theory.
Appellants, Frank and Tammy Zeglin, and Appellees, Sean and Kimberlee Gahagen, own adjoining properties in Windber, Paint Township, Somerset County. The Zeglins purchased in 1977 from Cora Murphy, who, together with her late husband, had owned the property since 1937. The Gahagens bought from Margaret Swincinski in 1989, who had acquired the parcel in 1979 from the previous owners since 1972.
In 1995, the Gahagens employed a professional to survey their property and learned that their deed described a boundary on the Zeglins’ side of a line marked by a row of bushes, utility pole, and fence that had been added by the Zeglins. The surveyor therefore concluded that the Gahagens’ рroperty extended over such visible line, and this was confirmed in a subsequent survey commissioned by the Zeglins. The Gahagens notified the Zeglins that a portion of their driveway encroached on their land, removed the bushes, and constructed a retaining wall adjacent to the surveyed boundary. The Zeglins responded by filing a complaint against the Gahagens sounding in ejectment and trespass and claiming ownership up to the line previously demarcated by the bushes, utility pole, and fence. In furtherance of this position, the Zeglins relied, inter alia, on the doctrine of acquiescence in a boundary, alleging that their occupancy and possession, together with that of their predecessors in title, for a period of more than twenty-one years established the visible line as the legal boundary. The Gahagens filed an answer and counterclaim.
*324 In March of 2000, following a non-jury trial, the common pleas court issued a decree nisi in favor of thе Zeglins, which it later made final. In accompanying opinions, the court summarized the acquiescence doctrine as follows:
an occupation up to a fence on each side by a party or two parties for more than 21 years, each party claiming the land on his side as his own, gives to each an incontestable right up to the fence, whether the fence is precisely on the right line or not; and this is so although the parties may not have consented specifically to the fence in question.
Zeglin v. Gahagen,
No. 869 Civ.1999,
slip op.
at 4 (C.P. Somerset Feb. 10, 2000) (Gibson, J.) (“Common Pleas Court Opinion”) (quoting
Berzonski v. Holsopple,
28 Som. Leg. J. 842, 358 (1973) (Coffroth, P.J.)). The court identified as the basis for the principle public policy favoring peace and the repose of titles. It reasoned that, for a period of more than twenty-one years, the Zeglins, the Gahagens, and their predecessors in interest had recognized and acquiesced in a boundary line demarcated by thе hedgerow (and also highlighted by the fence maintained by the Zeglins through a portion of that time period). Although the Zeglins had occupied the property for only eighteen years prior to the Gahagens’ actions, the court permitted them to tack the period of ownership by the Murphys, despite the fact that Cora Murphy had not specifically and formally conveyed her purported interest in the disputed tract to the Zeglins in the written deed. As pertаins to tacking under the doctrine of adverse possession, the court recognized the requirement in Pennsylvania of privity of estate, namely, a higher degree of relation than that of mere grantor and grantee of a main parcel, generally comprised of specific and formal conveyance of the predecessor’s interest in the disputed tract where the transfer is between unrelated parties.
See
Common Pleas Court Opinion,
slip op.
at 15 (quoting
Baylor v. Soska,
On the Gahagens’ appeal, the Superior Court reversed in a published decision.
See Zeglin v. Gahagen,
Presently, the Zeglins argue that privity of estate as a prerequisite to tacking is inappropriate to, and contrary to the doctrine of, acquiescence in a boundary, since an underlying premise of such theory is that the evidence of longstanding acquiescence in a physical boundary by adjoining property owners will control over contrary deed calls. The Zeglins distinguish Plott v. Cole, cited by the Superior Court, as allowing for creаtion of privity by “other acts,” and not solely by references culled from a deed. The Gahagens concede that the privity of estate requirement has not expressly been attached by Pennsylvania courts in acquiescence cases, but contend that such a requirement would alleviate confusion among landowners.
The establishment of a boundary line by acquiescence for the statutory period of twenty-one years has long
*326
been recognized in Pennsylvania.
1
Two elements are prerequisites: 1) each party must have claimed and occupied the land on his side of the line as his own; and 2) such occupation must have continued for the statutory period of twenty-one years.
See Jedlicka v. Clemmer,
Although the elements are simply stated, courts have had difficulty tracing the theоretical underpinnings of. the acquiescence precept.
2
In Pennsylvania, courts frequently have distinguished the doctrine from adverse possession,
see, e.g., Niles v. Fall Creek Hunting Club, Inc.,
This confluence between acquiescence and adverse possession principles militates against the Zeglins’ position, in light of this Court’s determination, presently recognized by both the Superior Court and the common pleas court, that privity of estate is a prerequisite to tacking under adverse possession theory.
See Baylor,
Even so, the contrary analysis reflected in the Somerset County decisions is noteworthy and merits further consideration. Prior to Baylor, in the decision presently relied upon by the common pleas court, President Judge Coffroth made the case that the lesser standard of privity of possession *329 should govern tacking successive periods of adverse possession, at least in boundary controversies. He reasoned that:
[t]he circumstances of unified use, and physical transfer of possession of the disputed tract, and continued adverse use thereof and of the conveyed tract as an incorporated and unified whole, show that the parties intended to transfer not only the title to the conveyed tract, but also the possession to the disputed area whosе use was integrated with the conveyed tract, notwithstanding the omission from the deed of any mention of the disputed area.
Berzonski,
28 Som Leg. J. at 370. Further, he described privity of possession as “the almost universal rule” supporting tacking in the boundary dispute context.
See id.
at 367 (citing 3 Am.Jur.2d Adverse Possession § 80 (Supp.2002)).
7
,
8
With
*330
regard to Pennsylvania, President Judge Coffroth observed that both this Court’s decision in
Scheetz v. Fitzwater,
Berzonski
nonetheless acknowledged a contrary line of Superior Court authority, exemplified by
Masters v. Local Union No. 472, United Mine Workers,
Subsequent Pennsylvania cases generally followed
Masters
without reference to the view of a majority оf jurisdictions as embodied in the reasoning of President Judge Coffroth.
See Glenn v. Shuey,
[¡Interested parties have a right to discern from the record the state of the title of any parcel of land. If tacking were to be permitted because of vague, undefined “circumstances,” there could and most likely would be no way for *332 one not a party to the conveyance to know this. But the law mandates that a person asserting a claim of adverse possession make this assertion openly and notoriously to all the world. There must be no secret that the adverse possessor is asserting a claim to the land in question. If the adverse possessor’s claim is to be passed on to a successоr in title, therefore, there must be some objective indicia of record by which it can be discerned with some degree of certainty that a claim of title by adverse possession is being made and that the duration of this claim has been passed on to a successor in title.
Id.
at 440,
Although
Baylor
was a boundary case, it proceeded on the theory of adverse possession, as opposed to acquiescence. While we recognize that this is a fine basis for distinction given the relatedness of these doctrines, strict application of Baylor's holding in the acquiescence paradigm would eliminate tacking in cases involving successive owners and mistaken boundaries, which would appear to be the prevailing set of circumstances in this line of decisions.
See
Annotation,
Tacking Adverse Possession,
*333 As President Judge Coffroth aptly observed, the reason why privity of estate should not be deemed necessary to support tacking in this setting is, simply, because a prospective purchaser will see the fence or similar marking; given its “obvious presence as apparent boundary,” he is therefore put on notice to inquire about its origin, history, and function. See Berzonski, 28 Som. Leg. J. at 361 (“After 21 years, the chips will be allowed to fall where they may, fоr reasons of equity and peace.”).
Accordingly, we find the majority view (requiring only privity of possession) better suited to claims brought under a theory of acquiescence in a boundary. We hold, therefore, that tacking is permitted in such context upon sufficient and credible proof of delivery of possession of land not within (but contiguous to) property described by deed of conveyance, which was previously claimed and occupied by the grantоr and is taken by the grantee as successor in such interest.
The order of the Superior Court is reversed, and the case is remanded for reinstatement of the final decree of the common pleas court.
Notes
.
See Reiter v. McJunkin,
.
See generally
Herbert Thorndike Tiffany, The Law of Real Property § 1159 (1975 & Supp.2001) ("The decisions of a particular court [concerning acquiescence in boundaries] are not infrequently lacking in entire consistency, one with another, and occasionally the judicial discussion of the subject is such as to leave us somewhat in doubt as to the exact position of the court on the question.”); Annotation,
Fence as a Factor in Fixing Location of Boundary Line
— Modern
Cases,
.
See also Corbin v. Cowan,
.
See, e.g., Reiter,
.
See generally Baylor,
. Mistake, however, does not in and of itself negate application of adverse possession in Pennsylvania.
See Schlagel v. Lombardi,
The modern trend and the better rule is that where the visible boundaries have existed for the period set forth in the Statute of Limitations, title will vest in the adverse possessor where there is evidence of unequivocal acts of ownership. In this view it is immaterial that the holder supposed the visible boundary to be correct or, in other words, the fact that the possession was due to inadvertence, ignorance, or mistake, is entirely immaterial.
Tamburo v. Miller,
. The citations to secondary authorities employed by President Judge Coffroth are updated here.
. As summarized by one commentator:
At the present time, making allowance for contrary rulings still apparently adhered to in a few jurisdictions, the cases, especially the later ones, run generally to the effect that in order to permit the tacking of successive adverse possessions of vendor and purchaser of an area not within the premises as described in the deed or contract but contiguous thereto, the composite fact to be established is the intended and actual transfer or delivery of possession of such area to the grantee or vendee as successor in ownership or claim.
Annotation,
Tacking Adverse Possession of Area Not Within Description of Deed or Contract,
. In
Scheetz,
. The Masters reasoning has been similarly critiсized in the commentary, as, for example, in the following passage from an annotation:
In Masters v. Local Union No. 472, ... it was held that "the insurmountable difficulty” confronting defendant in making out title by adverse possession to the area on which the buildings stood was that in title by adverse possession to the area on which the buildings stood was that in neither "the deed” to the association nor in the deed from the latter’s trustee in bankruptcy to the defendant was there "any conveyance" of the rights acquired by the grantor by possession.... The court quoted as controlling the language of Zubler v. Schrack, (a case not on its facts within the scope of this annotation, nor at all similar to the ones here dealt with) to the effect that “each succeeding occupant must show title under his predecessor, so as to preserve a unity of possession,” a statement which it seems would be erroneously construed to mean that such "title” must be transferred by a deed, or by а deed describing the land subsequently in controversy. In fact, somewhat strangely, because not supporting the position taken by the court in the Masters Case, the court therein quoted from the opinion rendered in the Schrack Case, in the subsequent appeal in46 Pa. 67 , that "an adverse possession begun and continued for a time, in order to be available to a successor, must be transferred to such successor in some lawful manner. This is true as that property can only be rightfully acquired with the assent of its owner, or vested by operation of law.” The latter language, it will be observed, is *331 clearly open to the construction that the "adverse possession” need not be transferred by a deed describing the premises held adversely, but simply "in some lawful manner."
Annotation,
Tacking Adverse Possession,
. Part of the confusion in the cases results from the fact that, courts have employed the definition of privity of possession,
see
3 AmJur2d Adverse Possession § 79 (“Privity of possession is a succession of relationship to the same thing, whether created by deed or by other act, or by operation of law.”), in defining privity of estate.
See, e.g., Baylor,
.
See, e.g., Plauchak,
