Donald Gould v. Town of Monkton
No. 14-470
Supreme Court of Vermont
Opinion Filed July 29, 2016
2016 VT 84 | 150 A.3d 1084
Present: Reiber, CJ., Dooley, Skoglund, Robinson and Eaton, JJ.
535
¶ 33. I would point out further that defendant had the capacity to make repeated decisions of legal import during processing, he was calm, compliant and nonthreatening throughout his time at the barracks, and he had the ability to take an evidentiary breath-alcohol test. Those facts do not support a conclusion that the defendant was incapacitated.
¶ 34. Chapter 94‘s purpose is to ensure “alcoholism and alcohol abuse are correctly perceived as health and social problems rather than criminal transgressions.”
¶ 35. I am authorized to state that Justice Robinson joins this concurrence.
James F. Carroll and Constance Tryon Pell of English, Carroll & Boe, P.C., Middlebury, for Defendant-Appellee.
¶ 1. Reiber, C.J. Landowner appeals three rulings of the superior court‘s civil division pertaining to the Town of Monkton‘s new zoning regulations. He argues that the trial court erred by finding (1) that it had no jurisdiction to hear a declaratory judgment action seeking to invalidate the new zoning regulations; (2) that landowner had no due process interest in the process by which zoning regulations were adopted; and (3) that landowner had no due process property interest in the application of the previous zoning regulations. We affirm.
¶ 2. For several years, Monkton planned to replace its 1978 zoning regulations and their 1986 amendments. In February 2011, the Monkton planning commission held its final public hearing on a new set of zoning regulations, which it called the Unified Planning Document (UPD). After approving the UPD, the planning commission presented it to the Monkton selectboard. On August 4, 2011, the selectboard published notice for its first public hearing on the UPD, and the town began reviewing all zoning applications under the UPD rather than under the 1978 regulations. The selectboard then held the first public hearing later in August and its second, final public hearing in January 2012. After approving the UPD, the selectboard submitted it to the Monkton town clerk to be voted on at a special election by town residents.
¶ 3. However, before the town vote was held, the planning commission submitted an updated report on the UPD to the selectboard addressing several issues. In response to this report, the selectboard made revisions to the UPD without notice of a public hearing. These revisions included modifying the requirements for obtaining a certificate of occupancy, increasing the number of lots needed to create a mobile home park, and increasing the required
¶ 4. Landowner alleges that the new zoning regulations under the UPD interfere with his long-held development plans and reduce the potential economic return on his property in Monkton. Namely, by increasing the minimum lot size from one acre to two and by increasing the lot frontage minimum, the UPD reduces the number of lots into which landowner can subdivide his property. In January 2012 — prior to both the selectboard‘s approval of the UPD revision and the town vote — landowner had sent a letter to the selectboard objecting to the process through which the selectboard approved the UPD. In the letter, landowner alleged that the selectboard had not fulfilled the statutory public notice requirements for adopting new zoning regulations and that the UPD was therefore invalid.
¶ 5. In March 2013 — thirteen months after the town vote adopting the UPD — landowner filed a declaratory judgment action with the civil division of the superior court seeking to invalidate the UPD on the ground that it was enacted in violation of
¶ 6. In April 2013, Monkton responded to landowner‘s action through a motion to dismiss, arguing that the civil division did not have subject matter jurisdiction because the Environmental Division has exclusive jurisdiction to hear matters arising under
¶ 7. In May 2014, landowner applied to the Monkton Development Review Board to subdivide his property to create a one-acre lot. Landowner did so in response to the court‘s question regarding standing, which had suggested that he lacked an injury in fact or that his claim was not ripe without a permit denial. Even so, landowner maintained that he was not required to apply for a permit to have standing. Notably, landowner‘s application was made in accordance with the 1978 regulations, not with the UPD. Because of this, the Development Review Board rejected landowner‘s application. Landowner did not appeal this denial to the Environmental Division of the superior court.
¶ 8. In November 2014, after reviewing the parties’ briefs on the issue of standing, the trial court granted Monkton‘s motion to dismiss on three grounds. First, the court held that it had no jurisdiction to hear a declaratory judgment action seeking to invalidate the UPD on statutory grounds because such jurisdiction lies exclusively with the Environmental Division.
I. Statutory Argument
¶ 9. Landowner first argues that the Legislature did not intend to divest the civil division of its jurisdiction over declaratory judgment actions seeking to invalidate municipal zoning regulations as violations of
¶ 10. We disagree: through its 2010 reorganization of the superior court, the Legislature not only divested the civil division of exclusive jurisdiction over matters arising under
¶ 11. This analysis is not changed by the fact that
¶ 12. But landowner further argues that he would unconstitutionally be left without a remedy if he cannot pursue his claims in the civil division; in other words, that he would have no forum for his claims. He contends that he cannot bring a declaratory judgment action against Monkton to contest the UPD in the civil division and that “the Environmental Division regularly dismisses standalone facial challenges to the validity of zoning regulations.” He further alleges that this situation violates the Vermont Constitution. See
¶ 13. We disagree. First, the record does not show that landowner has no remedy in the Environmental Division. Landowner did not appeal the denial of his permit application and challenge the validity of the statute in the context of that appeal. Second, he did not actually bring a declaratory judgment action in the Environmental Division, so his presumptions about what the Environmental Division would do are merely speculative. They do not support his claim that he has no forum to challenge Monkton‘s compliance with
¶ 14. Building off this argument — which landowner claims is a “constitutional challenge,” landowner next argues that even if the Legislature generally divested the civil division of jurisdiction over matters arising under
¶ 15. But landowner‘s characterization of his argument regarding
¶ 16. Instead, landowner‘s statutory challenge is governed by
II. Constitutional Challenges
¶ 17. The civil division asserted jurisdiction with respect to landowner‘s procedural due process claims and dismissed them for failure to state a claim. The trial court concluded that landowner had failed to allege a cognizable property interest protected by the due process clause. On appeal, landowner reiterates his claims to two distinct constitutional property interests that he was denied without due process. First, landowner argues that Monkton deprived him of his property interest in “strict compliance with statutory procedures required in the adoption of zoning regulations.” Second, landowner argues that he had a vested interest in continued application of the prior, 1978 regulations, primarily because he had taken substantial steps to develop his property in reliance on those regulations.
A. Interest in Town‘s Compliance With Governing Statutes
¶ 18. We now address landowner‘s procedural due process challenges to the UPD. Landowner first argues that the UPD was improperly enacted and therefore violated his due process rights by infringing on a constitutionally protected property interest. According to landowner, this property interest is “strict compli- ance with statutory procedures required in the adoption of zoning regulations.” The trial court found that no such property interest existed and that “[holding otherwise would permit the untenable result of turning mere violations of state statute into full-blown federal cases.” We agree.
¶ 19. To maintain a procedural due process claim properly, a plaintiff must allege facts showing that governmental action deprived plaintiff of a property interest protected by the Fourteenth Amendment. LaFlamme v. Essex Junction Sch. Dist., 170 Vt. 475, 480, 750 A.2d 993, 997 (2000) (“To maintain a procedural due process action against a governmental entity, a plaintiff must show that he was deprived of interests protected by the Fourteenth Amendment.“). To do so, the plaintiff must demonstrate more than a mere expectation; rather, he or she must demonstrate that state law has created a legitimate claim of entitlement to the property interest. Ahern v. Mackey, 2007 VT 27, ¶ 11, 181 Vt. 599, 925 A.2d 1011 (mem.) (“A protected property interest arises where the plaintiff can demonstrate a legitimate claim of entitlement created by state law, rather than a mere unilateral expectation.” (quotations and citations omitted)); see also Bd. of Regents of State Colleges v. Roth, 408 U.S. 564, 577 (1972) (“Property interests . . . are not created by the Constitution. Rather they are created and their dimensions are defined by existing rules or understandings that stem from an independent source such as state law — rules or understandings that secure certain benefits and that support claims of entitlement to those benefits.“).
¶ 20. Procedural due process requirements apply only with respect to governmental adjudicative decisions rather than legislative decisions. See In re Stratton Corp., 157 Vt. 436, 442, 600 A.2d 297, 300 (1991) (“Due process requirements apply to the procedures that must be used in reaching agency determinations only if they are adjudicative, rather than rulemaking or legislative, in nature.” (citation omitted)). Those who disagree with the adoption of a legislative enactment can pursue relief through the democratic political process. See Bi-Metallic Inv. Co. v. State Bd. of Equalization, 239 U.S. 441, 445 (1915) (“Where a rule of conduct applies to more than a few people, it is impracticable that everyone should have a direct voice in its adoption. . . . Their rights are protected in the only way that they can be in a complex society, by their power, immediate or remote, over those who make the rule.“).
¶ 21. In Vermont, three factors from Stratton Corp. determine whether an agency action is legislative rather than adjudicative:
(1) whether the inquiry is of a generalized nature, rather than having “a specific, individualized focus“; (2) whether the inquiry “focuses on resolving some sort of policy-type question and not merely resolution of factual disputes“; and (3) whether the result is of “prospective applicability and future effect.”
Stratton, 157 Vt. at 443, 600 A.2d at 301 (quoting 1 C. Koch, Administrative Law & Practice § 2.3, at 61-62 (1985)). As a general rule, a party may not challenge a legislative enactment through the courts simply because that enactment particularly or disproportionately affects that party. See id. at 445, 600 A.2d at 302 (explaining that landowner‘s interest “may be different from that of other members of the public, but it has no right to turn a public issue into a private contest“).
¶ 22. We consistently apply the three Stratton factors to municipal and land use decisions. In Lake Bomoseen Ass‘n v. Vermont Water Resources Board, 2005 VT 79, 178 Vt. 375, 886 A.2d 355, we applied the factors to a wetlands reclassification by the Vermont Water Resources Board. We found that the reclassification not only implicated “the interests of all the state‘s citizens and its environment, not simply the interests of owners of property adjacent to the wetland” but also was “policy judgment — based on a consideration and balancing of numerous scientific, economic, and aesthetic factors” and affected “potential future land uses, not past conduct.” See id. ¶ 12. We therefore found that the reclassification was a legislative
¶ 23. Applying the three Stratton factors in this case, we find that Monkton‘s adoption of the UPD was a legislative enactment. First, the UPD affects the entire Monkton community by generally detailing how the Town‘s land may be developed. It does not pertain specifically to landowner‘s property. Second, the adoption of the UPD was not concerned with determining underlying facts. Rather, it was a process for developing policy involving the judgment and participation of government bodies and the general public. Third, the adoption of the UPD affects future land use in Monkton, not past land use.
¶ 24. Because Monkton‘s adoption of the UPD was a legislative enactment, landowner cannot assert a constitutionally protected property interest in the Town‘s strict compliance with the statute concerning the adoption of zoning ordinances. We do not address landowner‘s argument that the procedures used by Monkton failed to meet the requirements of procedural due process.
B. Interest in Development of Property Under 1978 Regulations
¶ 25. Landowner finally argues that he personally has a vested, constitutionally protected property interest in the 1978 regulations. He relies on three legal theories to support his argument. First, landowner alleges that he not only applied for but also obtained a permit under the 1978 regulations, and this gives him a vested property interest in those regulations. We dispose of this argument because we are unable to assess it: the alleged permit is neither part of the record nor part of the allegations in landowner‘s complaint. Second, landowner argues that the UPD “never took effect due to its deficient enactment,” so the 1978 regulations remain “in existence.” Indeed, landowner specifically applied for a permit on May 2, 2014, on this premise. Although his permit application was designed to conform to the 1978 regulations, it was filed after the UPD became effective. He alleges that he has a constitutionally protected property interest in the 1978 regulations because he applied for a permit under them and was improperly denied.
¶ 26. Finally — and perhaps most important to his claim that he has a vested interest in continued application of the 1978 regulations — landowner argues that he “took substantial action in developing his property and preparing for subdivision, in reliance on the 1978 Regulations” and also “relied on the statutory requirement that he would be provided sufficient notice before adoption of any amendment to the 1978 Regulation.” In other words, landowner believes that his intentions and expectations to develop his property under the 1978 regulations grants him a constitutionally protected property interest in doing so. As landowner points out, federal case law has recognized this interest under certain circumstances. See Gagliardi v. Vill. of Pawling, 18 F.3d 188, 192 (2d Cir. 1994) (“[A] constitutionally protected property interest in land use regulation arises only if there is an entitlement to the relief sought by the property owner“). So has Colorado law. See Eason v. Bd. of Cty. Comm‘rs of Cty. of Boulder, 70 P.3d 600, 605-06 (Colo. App. 2003) (“Colorado law recognizes a protected property interest in a zoning classification when a specifically permitted use becomes securely vested by the landowner‘s substantial actions taken in reliance, to his or her detriment, on representations and affirmative actions by the government“).
¶ 27. But a closer look at the case law cited by landowner shows that those circumstances are very narrowly prescribed. The federal case involved residential plaintiffs alleging that their municipality had improperly refused to enforce zoning laws against a commercial company and had improperly granted building permits to that same company. The plaintiffs were not entitled to the enforcement of the zoning laws or building permits as they wished. Rather, the court found that “[a]n entitlement to a benefit arises only when the discretion of the issuing agency is so narrowly circumscribed as to virtually assure conferral of the benefit.” Gagliardi, 18 F.3d at 192 (quotations omitted). Likewise, in the Colorado case, the plaintiff “paid for a ‘building permit,’ purchased and installed the semitrailers, and began his self-storage business” because he “was told by the government that his use was permitted under its interpretation of the zoning ordinance, and he relied, to his detriment, on that assertion.” Eason, 70 P.3d at 606. In other words, unlike here, the plaintiff directly relied on a communication from the government authorizing his development. This communication was necessary to a finding that plaintiff had a protected property interest. Our interpretation of the Colorado case is that anything less would not constitute a “legitimate claim of entitlement.” See Ahern, 2007 VT 27, ¶ 11.
¶ 28. Furthermore, Vermont case law is clear: only filing a permit application vests a right in existing regulations, and it does so only in the regulations at the time of filing. See Smith v. Winhall Planning Comm‘n, 140 Vt. 178, 181-82, 436 A.2d 760, 761 (1981) (adopting minority rule that filing permit application vests rights against future changes in zoning regulations because rule prevents legal maneuvering, increases certainty of administration, and is fair to applicants); see also In re Keystone Dev. Corp., 2009 VT 13, ¶ 5, 186 Vt. 523, 973 A.2d 1179 (mem.) (discussing Smith, and describing that “a permit applicant gains a vested right in the governing regulations in existence when a full and complete permit application is filed.“). It cannot vest a right in any other regulations. Indeed, we have previously held that a permit application cannot prospectively vest a right in future regulations. See In re Times & Seasons, LLC, 2011 VT 76, ¶ 11, 190 Vt. 163, 27 A.3d 323 (holding that Act 250 “applicant on reconsideration may not simultaneously take advantage of the laws in effect at the time of the initial application and those in effect at the time of the reconsideration application — it is not a two-way street“). Here, the existing regulations at the time of the permit application were the UPD. We hold that a permit application cannot retroactively vest a right in prior regulations.*
Affirmed.
