Pursuant to Ind. Appellate Rule 65(D),
this Memorandum Decision shall not be
regarded as precedent or cited before                   Jan 14 2015, 9:33 am
any court except for the purpose of
establishing the defense of res judicata,
collateral estoppel, or the law of the case.



ATTORNEYS FOR APPELLANT:                            ATTORNEY FOR APPELLEES:

JOSEPH C. KLAUSING                                  JOHN A. KRAFT
STEPHANIE L. CALDWELL                               Young, Lind, Endres & Kraft
O’Bryan, Brown & Toner, PLLC                        New Albany, Indiana
Louisville, Kentucky



                               IN THE
                     COURT OF APPEALS OF INDIANA

CELEBRATION WORSHIP CENTER,                         )
INC.,                                               )
                                                    )
       Appellant/Plaintiff/                         )
       Counter-Claim Defendant,                     )
                                                    )
               vs.                                  )       No. 22A01-1405-PL-229
                                                    )
PATRICK TUCKER and CAROLYN P.                       )
TUCKER a/k/a PATTY TUCKER,                          )
                                                    )
       Appellees/Defendants/                        )
       Counter-Claim Plaintiffs.                    )


                        APPEAL FROM THE FLOYD CIRCUIT COURT
                            The Honorable J. Terrence Cody, Judge
                               Cause No. 22C01-1106-PL-948



                                         January 14, 2015

                 MEMORANDUM DECISION - NOT FOR PUBLICATION

BRADFORD, Judge
                                    CASE SUMMARY

       On June 30, 2011, Appellant/Plaintiff/Counter-Claim Defendant Celebration Worship

Center, Inc. (“CWC”) filed a complaint seeking a declaratory judgment against the

Appellees/Defendants/Counter-Claim Plaintiffs Patrick and Carolyn P. Tucker (collectively,

the “Tuckers”), regarding a land dispute. Specifically, CWC sought a declaration that it was

the rightful owner of certain real property. For their parts, the Tuckers argued that they had

either acquired ownership of the land at issue by means of adverse possession or had a

prescriptive easement over the land in question. After the parties filed competing motions

for summary judgment, the trial court granted summary judgment in favor of the Tuckers on

both the adverse-possession and prescriptive-easement claims. Because we conclude that the

trial court erred in granting summary judgment in favor of the Tuckers and that summary

judgment should have instead been granted in favor of CWC in both regards, we reverse and

remand to the trial court with instructions.

                       FACTS AND PROCEDURAL HISTORY

       The instant matter involves a land dispute over a portion of Plat 349, Lot Three (“the

land at issue”) located in Floyd County. CWC claims that it is the rightful owner of the land

at issue. The Tuckers claim that they have acquired ownership of the land at issue by means

of adverse possession.     Alternatively, the Tuckers argue that they have acquired a

prescriptive easement for use of the land at issue.

       On June 30, 2011, CWC filed a complaint seeking declaratory judgment against the

Tuckers with regards to the parties’ land dispute. On August 15, 2011, the Tuckers filed a



                                               2
counterclaim against CWC in which they claimed that they had either acquired of the land at

issue by means of adverse possession or had acquired a prescriptive easement over the land at

issue. The parties subsequently filed competing motions requesting summary judgment. The

trial court conducted a hearing on the parties’ summary judgment motions on June 25, 2013.

On July 16, 2013, the trial court issued an order in which it denied CWC’s motion for

summary judgment and granted summary judgment in favor of the Tuckers on both the

adverse-possession and prescriptive-easement claims. The parties have subsequently filed

numerous motions to correct error and for clarification. CWC appeals following the trial

court’s denial of its most recent motion.

                            DISCUSSION AND DECISION

       CWC contends that the trial court erred in granting summary judgment in favor of the

Tuckers on the theories of adverse possession and creation of a prescriptive easement.

                                  I. Standard of Review

       Pursuant to Rule 56(C) of the Indiana Rules of Trial Procedure, summary judgment is

appropriate when there are no genuine issues of material fact and when the moving party is

entitled to judgment as a matter of law. Heritage Dev. of Ind., Inc. v. Opportunity Options,

Inc., 773 N.E.2d 881, 887 (Ind. Ct. App. 2002).

       When reviewing the grant or denial of a motion for summary judgment “we
       stand in the shoes of the trial court.” City of Gary v. Ind. Bell Tel. Co., 732
       N.E.2d 149, 153 (Ind. 2000).… “In reviewing cross-motions for summary
       judgment, we consider each motion separately.” Girl Scouts of S. Ill. v.
       Vincennes Ind. Girls, Inc., 988 N.E.2d 250, 253 (Ind. 2013). Where, as here,
       the dispute is one of law rather than fact, our standard of review is de novo.
       See Spangler v. Bechtel, 958 N.E.2d 458, 461 (Ind. 2011). Further, the trial
       court in this case entered findings of fact and conclusions of law, “neither of


                                             3
       which are required nor prohibited in the summary judgment context.” City of
       Gary, 732 N.E.2d at 153. “Although specific findings aid our review of a
       summary judgment ruling, they are not binding on this Court.” Id. Finally,
       “we are not limited to reviewing the trial court’s reasons for granting or
       denying summary judgment but rather we may affirm a grant of summary
       judgment upon any theory supported by the evidence.” Wagner v. Yates, 912
       N.E.2d 805, 811 (Ind. 2009).

Alva Elec., Inc. v. Evansville-Vanderburgh Sch. Corp., 7 N.E.3d 263, 267 (Ind. 2014).

               A party seeking summary judgment bears the burden to make a prima
       facie showing that there are no genuine issues of material fact and that the
       party is entitled to judgment as a matter of law. American Management, Inc. v.
       MIF Realty, L.P., 666 N.E.2d 424, 428 (Ind. Ct. App. 1996). Once the moving
       party satisfies this burden through evidence designated to the trial court
       pursuant to Trial Rule 56, the non-moving party may not rest on its pleadings,
       but must designate specific facts demonstrating the existence of a genuine
       issue for trial. Id. A trial court’s grant of summary judgment is “clothed with
       a presumption of validity,” and the appellant bears the burden of demonstrating
       that the trial court erred. [Best Homes, Inc. v. Rainwater, 714 N.E.2d 702, 706
       (Ind. Ct. App. 1999)] (quoting Barnes v. Antich, 700 N.E.2d 262, 264-65 (Ind.
       Ct. App. 1998)).

Heritage Dev., 773 N.E.2d at 888.

                                 II. Adverse Possession

           A. Historical Overview of Law Relating to Adverse Possession

       In Fraley v. Minger, 829 N.E.2d 476 (Ind. 2005), the Indiana Supreme Court set forth

a detailed history of the theory of adverse possession. Specifically, the Indiana Supreme

Court stated:

              The common law doctrine and application of adverse possession has a
       long history. As early as 2250 B.C. the Code of Hammurabi discussed adverse
       possession and the misuse of land, including provisions that punished land
       waste, rewarded long-term development, and allowed one who worked the
       land of another for three years to take and keep the land. See Brian Gardiner,
       Note, Squatters’ Rights and Adverse Possession, 8 Ind. Int’l & Comp. L. Rev.
       119, 123 (1997) (hereafter “Gardiner”); John G. Sprankling, An Environmental


                                             4
Critique of Adverse Possession, 79 Cornell L. Rev. 816, 821 n. 17 (1994)
(hereafter “Critique”). In England, the history of adverse possession can be
traced back to the Norman Conquest in 1066. See Gardiner at 125. The
common law doctrine of adverse possession was applied to resolve land
disputes between colonists in Virginia as early as 1646, where it was used “in
an effort to help resolve the proverbial conflicts between speculators and
squatters.” Critique at 823 n. 29. The first statutory recognition of adverse
possession in the New World appeared in a 1715 statute of limitations in North
Carolina. Jeffry M. Netter, et al., An Economic Analysis of Adverse Possession
Statutes, 6 Int’l Rev. L. & Econ. 217, 219 (1986) (hereafter “Netter”).
        With the western migration of pioneers, the federal government initially
prohibited settlement of the western lands unless purchased from the
government, but that requirement was gradually relaxed; anti-squatting
prohibitions were abandoned, recognition of preemptive purchase rights were
extended, and land was distributed to military veterans. See John G.
Sprankling, The Antiwilderness Bias in American Property Law, 63 U. Chi. L.
Rev. 519, 528-29 (1996). Eventually, with the 1852 passage of the Homestead
Act, land was freely available to such settlers. Id. At the same time, whereas
the courts had originally followed the English example of requiring that the
adverse possesser engage in activities giving notice to an inspecting owner
such as residence, cultivation, fencing, and other improvements, American
courts began to focus upon acts by the adverse possessor in keeping with the
nature and character of the land involved. Id. at 538-39. The policy behind
favoring adverse possession was the same as that of land distribution: favoring
the productive use of the land. Id. at 534-40; see also Netter at 219 (adverse
possession rewards the use of land and punishes those who sit on their rights).
        Claims of adverse possession were litigated in Indiana from the early
years of statehood. In Doe v. West, 1 Blackf. 133, 135 (Ind. 1821), the Court
observed that “[i]n England, and in some of our sister States, it has been
decided that 20 years’ peaceable possession gives a right which is sufficient to
maintain ejectment.” The common law doctrine of adverse possession
received legislative approval in Indiana with the enactment of specific 20-year
statutes of limitation in 1820 and again in 1823. Id. at 136 ed. n. 1. In 1853,
this Court stated that for a claim of title based in adverse possession to defeat a
legal title to property, “strict proof must be made not only that the possession
was, from its inception, under a public claim of title adverse to that of the real
owner, but that both such claim and possession have been continuous and
uninterrupted ... through the full period of twenty years.” Doe v. Brown, 4 Ind.
143, 145 (Ind. 1853). In 1951, the General Assembly demonstrated its
continued approval of the doctrine by shortening the applicable statute of
limitations from twenty years to ten years. See Acts of 1951, ch. 301, § 2; see
also Phar-Crest Land Corp. v. Therber, 251 Ind. 674, 683-684, 244 N.E.2d


                                        5
644, 649 (Ind. 1969) (Hunter, J., concurring); Berrey v. Jean, 401 N.E.2d 102,
104-105 (Ind. Ct. App. 1980).
        During the latter nineteenth century, many of the Indiana adverse
possession cases began to articulate specific elements required to establish
adverse possession. See, e.g., Hargis v. Inhabitants of Congressional
Township, 29 Ind. 70, 71 (Ind. 1867) (requiring the claimant be “in actual,
open, notorious, and exclusive possession thereof, claiming to be the owner in
fee.”). A relatively consistent list of similar elements of common law adverse
possession developed and is found thereafter even in more recent cases. Citing
Penn Central Transportation Co. v. Martin, 170 Ind. App. 519, 353 N.E.2d
474 (1976), the parties each assert that to establish title by adverse possession,
the claimant has the burden of proving the possession was: (1) actual; (2)
visible; (3) open and notorious; (4) exclusive; (5) under claim of ownership;
(6) hostile; and (7) continuous for the statutory period. Brief of Appellant
Fraley at 5, Brief of Appellees Minger at 4. See also Marengo Cave Co. v.
Ross, 212 Ind. 624, 630, 10 N.E.2d 917 (Ind. 1937). Later cases from this
Court have used a slightly different formulation that omits “visible” and
“hostile” but adds “adverse,” and substitutes “claim of right” for “claim of
ownership.” This Court’s opinions in Beaver v. Vandall, 547 N.E.2d 802, 804
(Ind. 1989), and McCarty v. Sheets, 423 N.E.2d 297, 300 (Ind. 1981), state that
adverse possession is established by “open, continuous, exclusive, adverse and
notorious possession of property under a claim of right for the statutory
period.” As authority for this statement, McCarty cited Worthley v. Burbanks,
146 Ind. 534, 45 N.E. 779 (1897). But Worthley lists the “five indispensable
elements” of adverse possession as “1, It must be hostile and under a claim of
right; 2, it must be actual; 3, it must be open and notorious; 4, it must be
exclusive; and 5, it must be continuous.” 146 Ind. at 539, 45 N.E. at 781
(emphasis in original). Emphasizing that the nature and situation of the
disputed land must be taken into consideration, Worthley cites the following as
a generally accepted proposition:
        An entry upon land with the intention of asserting ownership to
        it, and continuing in the visible, exclusive possession under such
        claim, exercising those acts of ownership usually practiced by
        owners of such land, and using if for the purposes to which it is
        adapted, without asking permission and in disregard of all other
        conflicting claims, is sufficient to make the possession adverse.
146 Ind. at 543, 45 N.E. at 782 (quoting Collett v. Board, 119 Ind. 27, 34, 21
N.E. 329, 331 (1889) (emphasis added in Worthley)).
        In addition to Worthley, many other early Indiana cases recognized that
a person may claim adverse possession based solely upon entry and actual
possession of land, without any initial claim of color of title. See Bell v.
Longworth, 6 Ind. 273, 276-77 (1855); Vancleave v. Milliken, 13 Ind. 105


                                        6
       (1859); May v. Dobbins, 166 Ind. 331, 333-34, 77 N.E. 353, 354 (Ind. 1906);
       Martin, 170 Ind. App. at 524, 353 N.E.2d at 477; Swanson v. New York
       Central R.R. Co., 83 Ind. App. 580, 583, 149 N.E. 353, 354 (1925). It is not
       necessary that possession be under color of title; what is required is claim of
       right. In May v. Dobbins, 166 Ind. at 333, 77 N.E. at 354, this Court rejected
       an instruction “which stated that if appellant took possession of the land
       without color of title, and knew or had reason to believe who the rightful
       owner was, his occupancy would not be such good-faith occupancy under
       claim of ownership as would confer title, however long continued.” Id. The
       Court recognized that such an instruction “accords with good morals, but it is
       not sound in law.” Id. “The acquisition of title by adverse possession is
       predicated upon the statute of limitations, and the running of the statute may be
       instituted without even color of title, and without reference to the good or bad
       faith of the adverse claim asserted by the occupant.” Id.; see also Moore v.
       Hinkle, 50 N.E. 822, 824, 151 Ind. 343, 347-48 (1898). Where one enters the
       land with the intention of asserting ownership and possesses the land openly
       and exclusively, exercising the usual acts of ownership upon the land for the
       full time under the statute of limitations, title will pass to the possessor. May,
       166 Ind. at 334, 77 N.E. at 354-55. While cases listing the elements of adverse
       possession frequently recite that the adverse claimant must occupy the land
       under a claim of right, that claim of right can be established by entering upon
       and occupying land with the intent to hold the land as one’s own. See Martin,
       170 Ind. App. at 524, 353 N.E.2d at 477. The Martin court succinctly stated
       that a “claim of right may be inferred in favor of the party in possession”
       where the party uses the land “in the same manner that an owner ordinarily
       uses his land.” Id. (citing Swanson v. New York Central R.R. Co., 83 Ind. App.
       580, 583, 149 N.E. 353, 354 (1925)); and Abel v. Love, 81 Ind. App. 328, 337,
       143 N.E. 515, 518 (1924).

Fraley, 829 N.E.2d at 483-86 (Ind. 2005) (footnotes omitted).

                    B. Current Law Relating to Adverse Possession

       In Fraley, the Indiana Supreme Court rephrased the elements of adverse possession

and reiterated that adverse possession requires clear and convincing proof of control, intent,

notice, and duration. Flick v. Reuter, 5 N.E.3d 372, 379 (Ind. Ct. App. 2014) (citing Fraley,

829 N.E.2d at 486), trans. denied; see also Hoose v. Doody, 886 N.E.2d 83, 92 (Ind. Ct. App.

2008), trans. denied. Specifically, the Indiana Supreme Court rephrased the elements of


                                               7
adverse possession to read as follows:

        (1) Control—The claimant must exercise a degree of use and control over the
        parcel that is normal and customary considering the characteristics of the land
        (reflecting the former elements of “actual,” and in some ways “exclusive,”
        possession);
        (2) Intent—The claimant must demonstrate intent to claim full ownership of
        the tract superior to the rights of all others, particularly the legal owner
        (reflecting the former elements of “claim of right,” “exclusive,” “hostile,” and
        “adverse”);
        (3) Notice—The claimant’s actions with respect to the land must be sufficient
        to give actual or constructive notice to the legal owner of the claimant’s intent
        and exclusive control (reflecting the former “visible,” “open,” “notorious,” and
        in some ways the “hostile,” elements); and,
        (4) Duration—the claimant must satisfy each of these elements continuously
        for the required period of time (reflecting the former “continuous” element).

Flick, 5 N.E.3d at 379 (quoting Fraley, 829 N.E.2d at 486). These elements must be satisfied

for the statutory period of ten years. Hoose, 886 N.E.2d at 92. An adverse-possession claim

will fail if any of the required elements are not proven. Flick, 5 N.E.3d at 380 (citing

Altevogt v. Brand, 963 N.E.2d 1146, 1152 (Ind. Ct. App. 2012).

        Indiana Code section 32-21-7-1, which was first enacted by the Indiana General

Assembly in 1927, imposes an additional requirement for adverse possession.1 Fraley, 829

N.E.2d at 829; Flick, 5 N.E.3d at 380. In order for one to acquire title by means of adverse

possession, Indiana Code section 32-21-7-1 requires the adverse possessor to pay and

discharge “all taxes and special assessments that the adverse possessor reasonably believes in

good faith to be due on the real property during the period the adverse possessor claims to

have adversely possessed the real property.” Ind. Code § 32-21-7-1(a). Indiana Code section


        1
          The statute was enacted following “‘great agitation in the northern part of the state caused principally
by ‘squatters’ who were obtaining original titles to land” that belonged to a number of large corporations by
means of adverse possession. Fraley, 829 N.E.2d at 488 (quoting James H. Neu, Adverse Possession in

                                                        8
32-21-7-1 “does not relieve any adverse possessor from proving all the elements of title by

adverse possession required by law.” Ind. Code § 32-21-7-1(a).

                                          C. Analysis

       In Fraley, the Indiana Supreme Court held that the trial court erred in determining that

the Mingers had obtained ownership of certain real property by means of adverse possession.

829 N.E.2d at 493. In reaching this holding, the Indiana Supreme Court noted that the trial

court “made no finding that the Mingers paid, intended to pay, or believed that they were

paying, the taxes on the disputed tract.” Id. The Indiana Supreme Court further noted that

“[t]here is no finding that during the period of adverse possession the Mingers ‘paid and

discharged all taxes and special assessments of every nature falling due on such land’ as

required by the adverse possession tax statute, nor is there a finding of substantial

compliance.” Id.

       In Flick, we concluded that the trial court erred in granting summary judgment to

Reuter on Reuter’s adverse possession claim because there was no evidence that Reuter paid

taxes on the land in question. 5 N.E.2d at 381. We therefore concluded that “Flick, not

Reuter, was entitled to summary judgment on this issue.” Id. Furthermore, in Hoose, we

concluded that the Hooses’ claim that they had acquired certain real property by means of

adverse possession failed because the Hooses had failed to establish that they had paid

property taxes on the land in question or had a reasonable good faith belief that the property

in question was exempt from property taxes. 886 N.E.2d at 93.

       Similarly, in the instant matter, the designated evidence fails to prove that the Tuckers


Indiana, 16 Notre Dame Lawyer 216, 219 (1941)).
                                                  9
paid taxes on the land at issue. The land at issue was located in Lot Three. Tax records and

property assessments dating from 2005 to 2011 explicitly set forth the value and tax rate of

Lot Four. While the tax records indicate that the Tuckers paid property taxes on Lot Four,

none of these documents contain any reference to Lot Three. Further, the Tuckers

acknowledged that the relevant property tax documents did not indicate that they had paid

any taxes on the land at issue. The Tuckers did not designate any evidence which establishes

that they had paid taxes on the land in question or that they had a reasonable good faith belief

that the land in question was exempt from property taxes.

        Again, summary judgment is only appropriate when the moving party affirmatively

shows that there are no genuine issues of material fact with regard to a particular issue or

claim. Flick, 5 N.E.2d at 379. As such, the Tuckers were only entitled to summary judgment

on their adverse possession claim if they showed that there were no issues of material fact

regarding the elements of control, intent, notice, and payment of taxes for the required ten-

year period. See id. at 380. CWC argues that the trial court erred in awarding summary

judgment to the Tuckers in this regard because the designated evidence does not prove that

the Tuckers paid property taxes on the land at issue for the required ten-year period. We

agree. Because the designated evidence demonstrates that the Tuckers did not pay the taxes

on the parcel of land at issue for the required ten-year period, we conclude that the trial court

erred in granting summary judgment in favor of the Tuckers.2 We further conclude that


        2
          The Tuckers make reference to the fact that they, as well as their predecessor in interest, paid taxes
on an old garage before it was torn down in 2003 or 2004. This fact, however, is irrelevant to the question of
whether the Tuckers paid taxes on the land at issue, which again was located on Lot Three, because it is
undisputed that the old garage was located on Lot Four, i.e., the Tuckers’ lot, and nothing in the record

                                                      10
CWC, not the Tuckers, was entitled to summary judgment on this issue.

                                     III. Prescriptive Easement

                          A. Law Relating to Prescriptive Easements

        The law disfavors prescriptive easements. Id. at 381 (citing Wilfong v. Cessna Corp.,

838 N.E.2d 403, 406 (Ind. 2005). “For this reason, the party claiming a prescriptive

easement must meet stringent requirements.” Id. (citing Wilfong, 838 N.E.2d at 406).

        Like with adverse possession, a party claiming the existence of a prescriptive
        easement “must establish clear and convincing proof of (1) control, (2) intent,
        (3) notice, and (4) duration.” Whitman v. Denzik, 882 N.E.2d 260, 264-65
        (Ind. Ct. App. 2008). In other words, Fraley’s adverse-possession
        reformulation applies to prescriptive easements. Wilfong, 838 N.E.2d at 406.
        There must be evidence of “an actual, hostile, open, notorious, continuous,
        uninterrupted adverse use for twenty years under a claim of right.” Whitman,
        882 N.E.2d at 264-65 (citation omitted).

Id. at 381-82. “For the element of intent to be satisfied, the party claiming a prescriptive

easement must demonstrate intent to claim the right to use the portion of land for a specific

purpose.” Sagarin v. City of Bloomington, 932 N.E.2d 739, 747 (Ind. Ct. App. 2010), trans.

denied. “And as with adverse possession, each element must be shown, and failure to

establish any one element will cause a prescriptive-easement claim to fail.” Flick, 5 N.E.3d

at 382. In addition, we have held that “‘an adverse claimant must produce evidence that he

or she actually communicated, either explicitly or implicitly, to the servient owner that he or

she was using the disputed property under a claim of right....’” Id. at 382 (quoting Whitman,

882 N.E.2d at 269). Generally, “[t]he existence or non-existence of a prescriptive easement

is a question of fact for the trier of facts.” Searcy v. LaGrotte, 175 Ind. App. 498, 501, 372


indicates that any part of the old garage was located on any part of Lot Three.

                                                     11
N.E.2d 755, 757 (1978).

                                         B. Analysis

       Again, to establish a prescriptive easement, the claimant must use or exercise control

of the land for a specific purpose for a period of twenty years. See Hoose, 886 N.E.2d at 94.

“The acquisition of a prescriptive easement may be defeated by a showing that the use was

not continuous and uninterrupted for the necessary twenty year period. Either an interruption

from an act of the owner of the servient estate or a voluntary abandonment by the adverse

user may prevent the easement from ripening.” Bromelmeier v. Brookhart, 570 N.E.2d 90,

92 (Ind. Ct. App. 1991). “[M]ere intermissions in use of reasonable duration do not present

acquisition of an easement.” Id. “Abandonment denotes the subjective element of intent as

well as mere nonuse.” Id. “Furthermore, while enjoyment of an easement will not be

extended by implication … the proper function of a particular easement should be determined

by the purpose it is intended to serve.” Id. (internal citation omitted).

       The Tuckers claim that their predecessor-in-interest had used the land in question for a

specific purpose, i.e., as a primary form in ingress to and egress from the old garage, for a

period of more than twenty years. However, at the time they claimed the prescriptive

easement in the land at issue, it is undisputed that the garage no longer existed, but rather had

been torn down by the Tuckers in either 2003 or 2004. Upon tearing down the old garage,

the Tuckers built a new garage. The new garage, however, does not require use of the land at

issue as it has direct access to a public roadway. As such, the Tuckers need not use the land

in question as their primary form of ingress to and egress from the new garage. Thus, even



                                               12
assuming that the Tuckers could prove an actual, hostile, open, notorious, continuous,

uninterrupted adverse use for a specific purpose for a term of twenty years, as of 2003 or

2004 when the Tuckers tore down the old garage, the Tuckers no longer used the land in

question for the stated specific purpose.

       The designated evidence indicates that the Tuckers voluntarily abandoned the

previously-stated specified purpose for using the land in question, i.e., as a primary means of

ingress to and egress from their old garage, when they tore down the old garage in 2003 or

2004, and constructed a new garage that had direct access to a public roadway. Thus, even if

the Tuckers could previously have satisfied their burden of proving each of the elements

necessary to obtain a prescriptive easement, we conclude that by voluntarily abandoning the

specified particular use for the land at issue, the Tuckers have voluntarily abandoned any

prescriptive easement that may have previously existed. We therefore further conclude that

the trial court erred in granting summary judgment in favor of the Tuckers on their

prescriptive-easement claim. In light of the Tuckers’ voluntary abandonment of the specified

purpose for the claimed prescriptive easement, CWC, not the Tuckers, was entitled to

summary judgment on this issue.

                                      CONCLUSION

       In sum, we conclude that the trial court erred in granting summary judgment in favor

of the Tuckers on both their adverse-possession and prescriptive-easement claims. We

further conclude that CWC, not the Tuckers, was entitled to summary judgment on each of

these claims. As such we remand the matter to the trial court with the instruction to enter



                                              13
summary judgment in favor of CWC on both the Tuckers’ adverse-possession and

prescriptive-easement claims.

       The judgment of the trial court is reversed and remanded to the trial court with

instructions.

NAJAM, J., and MATHIAS, J., concur.




                                          14
