In re Appeal of S-S Corporation/Rooney Housing Developments
No. 04-080
Supreme Court of Vermont
January 13, 2006
2006 VT 8 | 896 A.2d 67
Present: Reiber, C.J., Dooley, Johnson and Skoglund, JJ., and Gibson, J. (Ret.), Specially Assigned
William H. Sorrell, Attorney General, Kevin Leske, Assistant Attorney General, and Jill K. Reymore, Law Clerk (On the Brief), Montpelier, for Amicus Curiae State of Vermont.
¶ 1. Skoglund, J. S-S Corporation1 appeals an Environmental Board declaratory ruling requiring it to obtain an Act 250 permit for two houses it constructed for use as residential care facilities. The Board concluded the construction of the houses was “development” under
¶ 2. Yvonne and Catherine Rooney operate residential care homes for physically and mentally disabled adults. Prior to the construction of the project at issue, they maintained a facility, known as the Washington Street home, in which they provided care and living quarters for thirteen adults. Faced with costly upgrades and residents who found it increasingly difficult to navigate the two-story home, the Rooneys sought and received funding from the United States Department of Housing and Urban Development (HUD) to build two new group homes, the Owen House and the Harvey House (the Houses).
¶ 3. The Houses are approximately three-and-a-half miles apart and are seven-bedroom, ranch-style homes intended to house eight residents who pay rent or fees. Staff members are on duty twenty-four hours a day, seven days a week; no staff or owners live in either House. Visiting nurses provide nursing care, and Catherine Rooney is authorized to distribute medications. The average length of stay for residents in the Rooneys’ homes is twenty years, and at the time of the Envi
¶ 4. After funding for the Houses was secured and construction of the Owen House had begun, the Assistant District Coordinator for District Environmental Commission #4 issued a jurisdictional opinion holding that the Houses were a housing project requiring Act 250 approval under
¶ 5. This Court reviews Environmental Board decisions with deference. Upon review of administrative decisions generally, this Court presumes a given administrative action is valid and correct absent clear and convincing evidence to the contrary. In re Devoid, 130 Vt. 141, 148, 287 A.2d 573, 577 (1972). The Court will sustain Environmental Board interpretations of Act 250 “[a]bsent compelling indications of error,” and defers to the Board‘s “interpretations of Act 250 and its own rules, and to the Board‘s specialized knowledge in the environmental field.” In re Wal*Mart Stores, Inc., 167 Vt. 75, 79, 702 A.2d 397, 400 (1997). The decisions of the Environmental Board concerning questions of fact are conclusive if supported by “substantial evidence on the record as a whole.”
¶ 6. The dispute in this case centers on whether the Houses are “development” under
¶ 7. There is no dispute that the Houses were built within a five-year period, are located within five miles of one another, and were intended for human habitation in exchange for a fee. Therefore, at issue is whether: (1) the Board correctly defined the term “unit” such that the Houses together contain more than ten housing units; and (2) the Board properly determined that the Houses are commercial dwellings under Rule 2(M).
I.
¶ 8. First, we affirm the Board‘s decision to define a “unit” as a bedroom in this case. S-S Corp. argues that defining “unit” as a bedroom defies the plain meaning of the word and is inconsistent with the application of the term to other types of projects. The State argues that the definition varies depending upon the space being rented or sold and that the space being rented in a residential care facility is the bedroom. Significantly, although the parties proffer different constructions of the word “unit,” they both acknowledge, correctly, that the meaning will vary according to the type of building under consideration.
¶ 10. For example, in In re Rusin, the Board was required to determine whether an access roadway qualified as a “road” under Environmental Board Rule 2(A)(6), which extends Act 250 jurisdiction to “[t]he construction of improvements for a road or roads.” 162 Vt. at 188, 643 A.2d at 1210 (quoting Rule 2(A)(6)). In affirming the Board‘s interpretation, we recognized that because the terms “road” and “driveway” were undefined by rule or statute, “a reasonable measure of discretion inheres in the determination of what qualifies as a road” under Rule 2(A)(6). Id. at 190, 643 A.2d at 1212; see also Short, 165 Vt. at 281, 682 A.2d at 485-86 (reaffirming In re Rusin); In re Spring Brook Farm Found., Inc., 164 Vt. 282, 288-89, 671 A.2d 315, 319-20 (1995) (ruling that indirect exchange between the developer, who provided facilities to children, and contributors, who gave donations, constituted a “commercial purpose” in accordance with Rule 2(L), and stating that “[t]he term ‘commercial’ ... can have many different meanings depending on the context in which it is used.“).
¶ 11. Further, the Board‘s determination that a bedroom was a housing unit in the current case is consistent with its previous rulings. See, e.g., In re Marlboro Coll., Dec. Rul. #24 (July 26, 1973) (ruling that six cottages intended to house four students each comprised more than ten units together and therefore required an Act 250 permit); In re Burke Acad., Dec. Rul. #6 (Apr. 23, 1973) (ruling that a housing facility intended to house sixteen students and one faculty family consisted of “more than ten dwelling units” and required an Act 250 permit). Similarly, in this case, the Board based its definition of the term “unit” on the space being rented by each resident -- a bedroom. Thus, the Board properly exercised its discretion in defining the term “unit.”
¶ 13. S-S Corp. argues that where there is ambiguity in the language of a property regulation, the Court must construe the language in favor of the property owner, citing Secretary, Vermont Agency of Natural Resources v. Handy Family Enterprises, 163 Vt. 476, 481-82, 660 A.2d 309, 312-13 (1995). The Legislature granted to the Board the authority to adopt and interpret rules concerning Act 250.
¶ 14. We conclude that the Board‘s interpretation of the term “unit” is reasonable and does not reflect any compelling error by the Board. Accordingly, we affirm its conclusion that the two Houses together, which have seven bedrooms each, contain greater than ten units.
II.
¶ 15. Next, we turn to the Board‘s ruling that the Houses are “commercial dwellings.” Under Rule 2(M), a commercial dwelling is any building or structure that: (1) is for the accommodation of people;
¶ 16. Under the applicable standard of review, see supra, ¶ 5, we find no compelling indications of error warranting reversal of the Board‘s decision. In applying Rule 2(M) here, the Board correctly recognized that Act 250 “requires a focus on the impact of the land use, not the nature of the institutional activity.” In re Spring Brook Farm Found., 164 Vt. at 287, 671 A.2d at 318. (Emphasis added.) To that end, “the proper starting point for determining Act 250 jurisdiction is the actual use of the land, not necessarily the overall purpose of a development scheme.” In re BHL Corp., 161 Vt. at 490, 641 A.2d at 773. Accordingly, the Board‘s interpretation of Rule 2(M) must, first and foremost, effectuate Act 250‘s goal of preventing “usages of the lands and the environment which may be destructive ... and which are not suitable to the demands and needs of the people of the state of Vermont.” 1969, No. 250 (Adj. Sess.), § 1.
¶ 17. Here, the Board concluded that the Houses fit Rule 2(M)‘s definition of a commercial dwelling by focusing on “the character of such homes as a general group of dwellings,” not on the “subjective particulars that may result from their operation.” As the Board explained, it considered “the aspects of the Harvey House and the Owen House that are relevant to Act 250 and ask[ed] whether the type of construction and occupation at issue in this matter is typical of the sorts of housing described in Rule 2(M).” By doing so, the Board remained faithful to its duty to look to the actual use of the land as the touchstone of its Act 250 jurisdictional analysis. To conclude otherwise based on either the operators’ intent to maintain a stable group of residents or the desire of the residents to remain long-term would
¶ 18. Moreover, the Board‘s conclusion that the Houses fit Rule 2(M)‘s definition is supported by the record, and thus admits of no compelling indications of error. The Board reached its conclusion for two reasons: (1) “some residents occupy the Houses temporarily, leaving and returning intermittently, as their needs require“; and (2) the Houses resemble nursing homes for purposes of Act 250 review. Focusing on the first, the Board found that some residents do leave the Rooneys’ care for periods of time, and that, of those, some return and some do not. In addition, the Board found that some residents have other residences. As laid out in the Board‘s ruling on S-S Corp.‘s motion to alter, those findings both have support in the record -- specifically, the deposition testimony of Yvonne Rooney. Thus, those findings are supported by “substantial evidence” within the meaning of
¶ 19. In asserting that the Board‘s and the majority‘s reasoning concerning the “subjective particulars” of the Houses is inconsistent, the dissent argues that the facts that “some residents leave the care of the S-S Corp. homes for periods of time and some of those do not return” are “irrelevant because they describe any residency of any type.” Post, ¶ 33 & n.7. As the Board noted, however, Rule 2(M) specifically exempts “conventional residences” from its definition of a commercial dwelling, so it is unclear how the dissent‘s comparison of the Houses to “any residency of any type” advances its analysis.
¶ 20. We recognize there is some tension in the Board‘s decision between, on the one hand, the Board‘s duty to focus on the impact that the proposed development will have on the land and not on the specifics
¶ 21. In further support of its argument that the Houses should be treated as single-family residences, not commercial dwellings, S-S Corp. cites cases from other jurisdictions that address the status of group homes under zoning ordinances and restrictive covenants. For example, the Nebraska Supreme Court held that a group home for five mentally retarded women and their house parents complied with a restrictive covenant limiting lot use to “residential purposes” with only one “single family dwelling,” because the group home operated as “a permanent residence intended to allow [the] ... women to lead fuller and more normalized lives in the community than would be possible in an institution.” Knudtson v. Trainor, 345 N.W.2d 4, 5-6 (Neb. 1984) (quotations omitted); see also Linn County v. City of Hiawatha, 311 N.W.2d 95, 99-100 (Iowa 1981) (holding that foster home met municipal zoning code‘s definition of a single-family home, where code defined “family” as “(o)ne or more persons occupying a dwelling and living as a single housekeeping unit” (quotations omitted)); Costley v. Caromin House, Inc., 313 N.W.2d 21, 24-26 (Minn. 1981) (ruling that a group home was a single-family residence in conformance with restrictive covenant allowing construction of “[o]nly one dwelling and one garage” and local zoning ordinance permitting “one and two-family dwelling groups” (quotations omitted)). At the heart of Knudtson and the other cases cited by S-S Corp. is the application of restrictive covenants and zoning ordinances that threaten to exclude group homes altogether. Yet, in the case at bar, no such issue exists. The Harvey and Owen
Act 250 is to be distinguished from the bulk of traditional zoning and subdivision legislation, which is merely state enabling legislation permitting regulation of land use on a local or regional level. See
24 V.S.A. §§ 4401-4493 . Act 250 establishes a mechanism for review of certain land use activity at the state level. It supplements pre-existing legislation authorizing local zoning and subdivision control.
¶ 22. S-S Corp. also argues that the Board misconstrued
¶ 23. Further, the Board appeared aware of this distinction, as it merely pointed to
Affirmed.
¶ 25. Dooley, J., dissenting. To accept the holding on the second issue in this case, I must agree that residents of a community care home are transients although they are predicted to live in the home, on average, three times as long as the average Vermonter will remain in his or home.4 I also must agree that homes that are predicted to keep residents three times as long as average for all residences in Vermont are “intended for habitation on a temporary/intermittent basis.” These propositions are so obviously wrong that no standard of review or creative legal interpretation can save them. Therefore, although I agree with the majority on the first issue -- that S-S Corp. has constructed ten or more units -- I can‘t agree that its facilities are “commercial dwellings” as defined in Environmental Board Rule 2(M) and respectfully dissent.
¶ 26. S-S Corp.‘s facilities need an Act 250 permit only if they are commercial dwellings. I quote the rule:
“Commercial Dwelling” means any building or structure or part thereof, including but not limited to hotels, motels, rooming houses, nursing homes, dormitories and other places for the accommodation of people, that is intended to be used and occupied for human habitation on a temporary or intermittent basis, in exchange for payment of a fee, contribution, donation or other object having value. The term does not include conventional residences, such as single family homes, duplexes, apartments, condominiums or vacation homes, occupied on a permanent or seasonal basis.
¶ 27. The meaning of the rule with respect to the second requirement is unambiguous. A building or structure can be a commercial dwelling only if it is intended to be used and occupied for human habitation on a temporary or intermittent basis. While the rule gives examples of buildings that might meet this requirement, they are commercial dwellings only if they meet the general standard. Thus, some, but not all, hotels are commercial dwellings.
¶ 28. The evidence is clear that residents of the homes in question intend to remain in those homes permanently. More importantly, in terms of the regulation wording, the evidence is clear that S-S Corp. intends that the residents will occupy the homes permanently and not on a temporary or intermittent basis. In fact, S-S Corp. has a track record on this issue regarding its residents; in a similar home S-S Corp. owns, the average length of stay is over twenty years. Thus, S-S Corp.‘s intent and experience with permanent housing are entirely consistent.
¶ 29. In view of this evidence, how can those people whose occupancy of living places are among the most permanent in Vermont be labeled as transient? The Board and the majority appear to have three arguments to accomplish this legerdemain.
A. The Decision Must be Based on Environmental Impact of the Proposed Development
¶ 30. Exactly where this point leads is not clear from this Court‘s decision, but it is very clear from the Board‘s majority5 decision. In its reconsideration decision, the Board wrote:
Likewise, the Environmental Board is empowered to regulate property based upon its use, not the identity or the specific characteristics or attributes of its users. Thus, the Board cannot make a distinction between the Harvey and Owen Houses with their long-term residents, and other group homes, which might be identical in all relevant physical and operational respects to the Harvey and Owen Houses, but whose residents stay only a few weeks or months before, for whatever reasons, they move out.
(Emphasis supplied.) Earlier, in footnote 3 of that decision, the Board said of the distinction discussed above that “such a distinction would be irrational, something the Board must avoid.”
¶ 31. If these words appeared in a decision striking down Rule 2(M) as beyond the rule-making authority of the Board or impermissibly arbitrary, I could understand their presence. Their usage in a decision interpreting the rule demonstrates a Board at war with itself. The distinction between intended temporary occupancy and intended permanent occupancy is exactly the distinction drawn in the Environmental Board Rule and it is that distinction that the Board is now calling irrational. While we have no record of why the Board adopted this distinction in the first place, we must assume that it found a difference in environmental impacts. Without even attempting to understand why it drew that distinction in the first place, it is trashing its own work.
¶ 32. If the Board wants to strike down its own regulation, the effect of its action in this case, it at least has to give notice to persons who will rely on the language of the rule. This case is a good example of why we should not accept repeal-by-interpretation, as occurred here. S-S Corp. concluded that it did not need Act 250 permits for the Harvey and Owen Houses, accepted large federal grants for their construction and began construction on the Owen House before it was finally informed that a state official had months earlier sought an official opinion on whether an Act 250 permit was needed. Anyone who read the regulations would conclude that dwellings intended to be residences for persons for twenty years or more are not intended to be occupied on a temporary basis. Persons should not be put in the position of making investment decisions on the risk that the Board will unpredictably change the rules without warning. If the Board is to abandon the distinction it made in the rule, it must do so by rule making.
B. The Intent and Record of S-S Corporation is Irrelevant
¶ 33. In fact, both the majority and Board appear to be talking out of both sides of their mouths on this point. Although the Board said it would not rely on the “subjective particulars”6 of the operation of the homes, it went on to do just that where it thought those “subjective particulars” supported its result. The majority has followed that same path. This is particularly apparent in the Board‘s findings that some residents leave the care of the S-S Corp. homes for periods of time and some of those do not return.7 Having ruled that the specific intent and track record of S-S Corp. is irrelevant, these facts are also irrelevant if one accepts the Board‘s rationale.
¶ 34. Yet, the Board spends a third of its reconsideration decision quibbling over these irrelevant facts. The point for the Board is not that residents leave the homes for some periods, and some do not return, but that these facts differentiate the residents from others and warrant Act 250 review. Although the facts are entirely against it, the Board wants to raise the inference that the residents of S-S Corp. homes -- or mentally disabled residents of community care homes generally -- are transient and temporary. The inference is wrong, transparently an attempt to evade the permanency of occupancy in S-S Corp. homes without a factual basis. Rather than adding to the Board‘s decision, the unexplained caviling over the facts of occupancy in S-S Corp. homes raises questions about its confidence in its primary rationale.
C. All Nursing Homes are Commercial Dwellings; Community Care Homes are Indistinguishable from Nursing Homes
¶ 36. This is the actual rationale of the Environmental Board. Since the majority of this Court has not stated an alternative rationale, I assume it has accepted the Environmental Board‘s rationale without stating so. This rationale involves a construction of the rule that is patently wrong.
¶ 37. The premise of this argument is that all nursing homes are commercial dwellings since nursing homes are contained in the nonexclusive list in the regulation. The logic after the premise is that: (1) community care homes are like nursing homes so all community care homes are commercial dwellings; and (2) S-S Corp.‘s homes are community care homes so they are commercial dwellings. The problem with this construction is that the premise is clearly wrong because of the presence of the inconvenient language “that is intended to be used and occupied for human habitation on a temporary or intermittent basis.” In order to accept the premise, we must accept that the inconvenient language has no independent regulatory significance or that all nursing homes are intended for temporary occupancy as a matter of fact.
¶ 38. Not even the majority of this Court accepts that the language has no independent regulatory significance since it holds that occupancy on a temporary or intermittent basis is a requirement of a commercial dwelling. See ante, ¶ 15. Indeed, such a construction makes the language superfluous, or mere surplusage, contrary to our construction maxim to avoid such a result. See, e.g., In re Estate of Cote, 2004 VT 17, ¶ 13, 176 Vt. 293, 848 A.2d 264. We could sustain the
¶ 39. Further, such a construction necessarily means that the dependent clause in issue -- “that is intended to be used ... on a temporary or intermittent basis” -- modifies and explains the list of facilities -- “hotels, motels, rooming houses, nursing homes, dormitories” -- and not the general description of facilities “any building or structure or part thereof.” Rule 2(M) (emphasis added). The construction is impossible because the dependent clause is stated in the singular, and thus plainly limits the term “any building or structure or part thereof,” which is also in the singular. Rule 2(M). The phrase reads: “‘[c]ommercial [d]welling’ means any building or structure or part thereof ... that is intended to be used ... on a temporary or intermittent basis.”
¶ 40. Nor is there anything in the record to support the proposition that all nursing homes intend occupancy on a temporary basis. Terms like “nursing homes” or “community care homes” are broad umbrellas differentiated only by the extent to which they offer nursing care. I have no doubt that, similar to the community care homes run by S-S Corp., there are nursing homes with long-term permanent residents. In any event, if there are facts on this issue, the Board must find them. It failed to do so here.
¶ 41. Although the Board adopted the rationale that all nursing homes are commercial dwellings, it failed utterly to square that rationale with the wording of the regulation. In response to S-S Corp.‘s argument that under the regulation some nursing homes would be commercial dwellings, and others would not depending on whether or not the nursing homes were operated on an intermittent occupancy basis -- the Board answered “there is no such distinction in the Rule” and “the Board is empowered to interpret its own Rules.”8 The former statement is totally inconsistent with the wording of the rule. The latter is essentially a statement that the Board can do whatever it wants.9
¶ 43. S-S Corp.‘s homes are not commercial dwellings as a matter of law. I dissent.
