Plaintiffs Mosdos Chofetz Chaim, Inc. (“Mosdos”), Yeshiva Chofetz Chaim, Inc.
Wesley Hills Defendants, New Hemp-stead Defendants, Chestnut Ridge Defendants, and Montebello Defendants move to dismiss this action pursuant to Federal
I. Background
A. Factual Background
For the purpose of resolving the instant Motions, the Court accepts as true all facts alleged in Plaintiffs’ Complaint.
1. The Parties
Plaintiffs are religious corporations and individuals affiliated with the Chofetz Chaim sect of the Orthodox Jewish community, all of whom allege an interest in the operation of Kiryas Radin, “a religious educational institution and center for religious activity and prayer,” at a location known as the Nike Site.
2
(Compl. ¶¶ 4, 8-13, 40.) Plaintiff Mosdos is a religious corporation that owns the Nike Site.
(Id.
¶ 8.) Plaintiff YCC, also a religious corporation, is the former owner of the Nike Site, and it has partnered with Mos-dos to operate Kiryas Radin. (Compl. ¶¶ 31-33.)
See Vill. of Chestnut Ridge v. Town of Ramapo,
No. 07-CV-9278,
2. The Village Incorporation Movement
Beginning in the 1970s, Orthodox and Hasidic Jewish families “began to reside in [Ramapo] in increasing numbers.” (Id. ¶ 45.) According to Plaintiffs, the influx of Orthodox and Hasidic Jews to Ramapo and its surrounding areas prompted a “village incorporation movement,” in which residents of Ramapo “began to establish villages for the purpose of controlling who resided within each village.” (Id. ¶¶ 45-46 (internal quotation marks omitted).) Defendant Villages Montebello, Chestnut Ridge, Wesley Hills, and New Hempstead were allegedly formed as part of this movement. (Id. ¶ 46.) Specifically, Plaintiffs contend that “[t]he purpose of the village formation movement was to exercise control over zoning and planning and not provide for or otherwise accommodate” the increasing Orthodox and Hasidic Jewish population. (Id. ¶ 47.) While Plaintiffs do not allege that Defendant Pomona was incorporated as part of this movement, Plaintiffs allege that Pomona also was “incorporated to ... provide local zoning regulations inconsistent with the religious practices of the Orthodox and Hasidic Jewish communities.” (Id. ¶ 100.)
3. Defendant Villages’Allegedly Discriminatory Zoning
Plaintiffs allege that Defendants have enacted discriminatory zoning provisions with the purpose of excluding members of the Orthodox Jewish community.
(Id.
¶¶ 98, 101-03, 117, 119, 122.) New Hemp-stead’s zoning code is allegedly “designed to create enormous difficulty for ultra reli
J. The Prior New Hempstead Litigation
YCC purchased the Nike Site from the federal government around May 30, 1997. (Def. Vills. of Chestnut Ridge, Montebello, Wesley Hills, and New Hempstead’s (“Def. Vills.’ ”) Ex. C, Stipulation and Order of Dismissal, Yeshiva Choeftz Chaim Radin, Inc. v. Vill. of New Hempstead, No. 97-CV-4021 (S.D.N.Y. Dec. 14, 2000) 2). At the time, the Nike Site was under the jurisdiction of New Hempstead. (Id. at 1.)
Around the time YCC purchased the Nike Site, New Hempstead officials allegedly “informed various government agencies,” including the Occupational Safety & Health Administration, the United States Army Corps of Engineers, and the Environmental Protection Agency, that the Nike Site was contaminated with lead and friable asbestos. (Compl. ¶ 81.) During the same time period, New Hempstead officials also allegedly notified the East Ramapo Local School Board “that the work involved in renovating the property would endanger the young lives attending the Colton School,” which is located near the Nike Site. (Id. ¶ 84.) Further, New Hempstead officials allegedly notified the New York State Department of Environmental Conservation (“DEC”) that the Nike Site was unsafe due to the presence of asbestos. (Id. ¶ 88.) Plaintiffs allege that the New Hempstead officials’ representations to these government bodies were false and that they “were made to thwart [YCC’s] development and religious use” of the Nike Site. (Id. ¶¶ 82-90.) Indeed, the “DEC [allegedly] evaluated the property and found no merit behind” the claims. (Id. ¶ 91.) Nonetheless, Plaintiffs allege that the representations by New Hempstead officials “had the effect of chilling community relations and creating an environment of fear and hatred towards [YCC] and the local Hasidic community.” (Id. ¶ 92.)
On June 2, 1997, YCC filed suit (“the Prior New Hempstead Litigation”) against New Hempstead, its Mayor, its Board of Trustees, and its Deputy Building inspector, alleging, inter alia, that New Hemp-stead had incorporated as a village in 1984 in order to “exercise control over zoning and planning and not accommodate the housing needs or religious practices of ultra-Orthodox Jews.” (Def. Vills.’ Ex. B, Compl., Yeshiva Choeftz Chaim Radin, Inc. v. Vill. of New Hempstead, No. 97-CV-4021 (S.D.N.Y. June 2, 1997) ¶¶24-25. ) YCC’s complaint in the Prior New Hempstead Litigation further alleged that New Hempstead had adopted exclusionary zoning provisions that excluded multi-family homes from its boundaries. (Id. ¶¶ 25-26. ) The complaint did not include any claims regarding New Hempstead’s aforementioned false representations, which Plaintiffs assert in the instant action.
On December 14, 2000, Magistrate Judge Lisa Margaret Smith so ordered a stipulation of settlement between all parties to the Prior New Hempstead Litigation (the “New Hempstead Stipulation”). (Def. Vills.’ Ex. C.) In the New Hempstead Stipulation, the Parties agreed that the Nike Site would be transferred from the
5. Revisions to Ramapo’s Zoning Code
In 2001, Ramapo initiated a review of its Comprehensive Zoning Law (“CZL”), and, according to Plaintiffs, determined that the Orthodox and Hasidic Jewish population in the jurisdiction were in need of adequate housing. (Compl. ¶¶ 49-53.) To address this issue, Ramapo proposed to revise its CZL to re-zone for multi-family use certain areas previously zoned for single-family use.
(Id.
¶ 54.) In addition, in spring 2004, Ramapo proposed a local law, the Adult Student Housing Law (“ASHL”), “to permit, as a conditional use, the construction and operation of ‘adult student living facilities’ in certain residential zones.”
Vill. of Chestnut Ridge v. Town of Ramapo,
Plaintiffs allege that during the “period of review and comment on” the revised CZL, Defendants “started an organized campaign to defeat and block the [revised CZL] and the [ASHL] from adoption.” (Compl. ¶¶ 64-67.) Defendants “complained about the [ ][p]lan based upon issues of density,” despite “approv[ing] the development of over one thousand multifamily, high-density units in their own respective [Vjillages” and “over eight senior units” located in Ramapo, neither of which was related to the Orthodox or Hasidic Jewish community. (Id. ¶ 56.) Wesley Hills Defendants allegedly advocated, through an organization called “Preserve Ramapo,” to prevent Plaintiffs from using the Nike Site for its religious purpose. (Id. ¶¶ 108-116.) Further, New Hemp-stead Defendants allegedly made false representations regarding environmental problems at the Nike Site to federal, state, and local agencies. (Id. ¶¶ 76, 81-97.) They also allegedly “used racist remarks and racial stereotyping to install fear and misinformation” about the revised CZL. (Id. ¶ 66.) In particular, Plaintiffs allege that Rhodes, a former Trustee of Wesley Hills, made discriminatory public statements about the Orthodox Jewish community on more than one occasion. (Id. ¶¶ 108-09,115.)
Defendants’ actions notwithstanding, Ramapo enacted the ASHL, Local Law No. 9-2004, on June 15, 2004.
See Chestnut Ridge I,
6. The Chestnut Ridge Action
On October 13, 2004, four of the Defendants in this action — the Villages of Chestnut Ridge, Montebello, Pomona, and Wesley Hills (the “Four Village Plaintiffs”)— along with two individual residents of Ramapo (the “Individual
Chestnut Ridge
Plaintiffs”) (collectively, the
“Chestnut Ridge
Plaintiffs”), commenced a proceeding in New York Supreme Court, Westchester County (the
“Chestnut Ridge
Action”) challenging the enactment of the ASHL, pursuant to Article 78 of the New York Civil Practice Law and Rules (“N.Y.C.P.L.R.”).
See Chestnut Ridge I,
On June 13, 2005, the New York Supreme Court granted an injunction to the two Individual
Chestnut Ridge
Plaintiffs, but dismissed the Four Village Plaintiffs’ claims, holding, inter alia, that they lacked standing to raise their claims.
See Chestnut Ridge II,
On December 8, 2009, the New York Supreme Court issued an unpublished decision resolving many of issues raised in the hybrid Article 78 proceeding. See Vill. of Chestnut Ridge v. Town of Ramapo [hereinafter Chestnut Ridge III], No. 16876-2004, at 20 (N.Y.Sup.Ct. Dec. 10, 2009). For example, the Court rejected the challenges to the ASHL based on alleged SEQRA violations. Id. at 3-8. Specifically, the Supreme Court held that Ramapo’s “determination to issue a negative declaration was neither arbitrary and capricious nor irrational, and that [Ramapo] identified the relevant areas of environmental concern, took the required ‘hard look’ and provided a reasoned elaboration for its [negative] determination.” Id. at 6. The Supreme Court similarly rejected SEQRA-based objections to the CZL adopted by Ramapo. Id. at 8-10. Also rejected were the claims that the ASHL amounted to impermissible spot zoning, id. at 10-12, that the ASHL violated the Municipal Home Rule Law, id. at 13, that the ASHL violated the General Municipal Law, id. at 14, and that the Ramapo Town Board’s actions in adopting the ASHL and the CZL were ultra vires, id. at 14-15. However, the Supreme Court held that the Ramapo Town Board had violated SEQRA when it issued the negative declaration as to the Nike Site, specifically noting that the Board had failed to take the required “hard look” at several areas of environmental concern, including the increased density on the character of the surrounding (Wesley Hills) community, the traffic impact of the planned use of the Nike Site, as well as the public sewer and water impacts. Id. at 15-19.
In the instant action, Plaintiffs allege that the filing of the
Chestnut Ridge
Action was motivated by Defendants’ discriminatory animus against Orthodox Jews. (Compl. ¶¶ 71, 104-05.) According to Plaintiffs, “[although the pretext of the lawsuit is environmental concerns, the goal ... is to prevent the spread of the Orthodox and Hasidic communities through intimidation.”
(Id.
¶ 71.) Plaintiffs allege
B. Procedural History
Plaintiffs filed their Complaint in this action on January 8, 2008. (Dkt. No. 1.) On July 7, 2008, Wesley Hills Defendants, New Hempstead Defendants, Chestnut Ridge Defendants, and Montebello Defendants filed a Motion to Dismiss this action pursuant to Federal Rules of Civil Procedure 12(b)(1), 12(b)(6), and 13(a). (Dkt. No. 31.) On July 8, 2008, Pomona Defendants filed a separate Motion to Dismiss this action pursuant to Federal Rules of Civil Procedure 12(b)(1) and 12(b)(6) (respectively, “Rule 12(b)(1)” and “Rule 12(b)(6)”). (Dkt. No. 35.)
II. Discussion
A. Standard of Review
1. Rule 12(b)(1)
Where, as here, “[a] court [is] presented with a motion to dismiss under both [Federal Rule of Civil Procedure] 12(b)(1) and 12(b)(6)[, it] must decide the jurisdictional question first because a disposition of a Rule 12(b)(6) motion is a decision on the merits, and therefore, an exercise of jurisdiction.”
Homefront Org., Inc. v. Motz,
Pursuant to Federal Rule of Civil Procedure 12(b)(1), a court must dismiss a claim if it “lacks the statutory or constitutional power to adjudicate it.”
Morrison v. Nat’l Austl. Bank Ltd.,
2. Rule 12(b)(6)
The Supreme Court has held that “[w]hile a complaint attacked by a Rule 12(b)(6) motion to dismiss does not need detailed factual allegations, a plaintiffs obligation to provide the ‘grounds’ of his ‘entitle[ment] to relief requires more than labels and conclusions, and a formulaic recitation of the elements of a cause of action will not do.”
Bell Atl. Corp. v. Twombly,
B. Standing
To satisfy Article Ill’s standing requirements, Plaintiffs must show that (1) they have “suffered an injury in fact that is (a) concrete and particularized and (b) actual or imminent, not conjectural or hypothetical; (2) the injury is fairly traceable to the challenged action of the defendant; and (3) it is likely, as opposed to merely speculative, that the injury will be redressed by a favorable decision.”
Pac. Capital Bank, N.A. v. Connecticut,
1. Injury in Fact
To demonstrate an injury in fact, Plaintiffs must allege an “invasion of a legally protected interest which is (a) concrete and particularized and (b) actual or imminent.”
Lujan,
Mosdos and YCC argue that they have suffered “clear[ ], ... demonstrable harm” from the delay in their ability to operate Kiryas Radin. (Mem. of Law in Opp. to Defs.’ Mot. to Dismiss (“Pis.’ Mem.”) 11.) The Court agrees. Specifically, Plaintiffs Mosdos and YCC have sufficiently alleged that they personally and actually suffered injury, as they jointly claim an interest in operating Kiryas Ra-din on the Nike Site, and they have been barred from doing so, despite spending money and undertaking other efforts to complete construction on the Site. (Pis.’ Mem. 11.)
See Vill. of Arlington Heights v. Metro. Hous. Dev. Corp.,
Plaintiffs Bernstein and Ambers also have sufficiently alleged an injury in fact, as they allege that they plan to study and live at Kiryas Radin, but are barred from doing so. (Compl. ¶¶ 12-13.) Specifically, based on these allegations and those of Mosdos and YCC, the Court finds that there is a substantial probability that Bernstein and Ambers will be able to live and study at Kiryas Radin if they get the relief they seek.
See Vill. of Arlington Heights,
In contrast, Plaintiffs Aryeh Zaks and Meyer Zaks have failed to allege that they have personally suffered any injury from the delay in Plaintiffs Mosdos’s and YCC’s ability to operate Kiryas Radin, as required to show an injury in fact. For example, they do not allege that they intend to work, teach, or study at Kiryas Radin. Nor do they allege any other basis for finding that they themselves have been injured personally by the delay in the operation of Kiryas Radin. While both these Plaintiffs generally allege that they are “religious leaders of the [YCC]” (Compl. ¶¶ 10-11), the Court is aware of no authority, and the Plaintiffs have cited none, that confers standing on the leaders of a religious corporation based on the religious corporation’s injury.
See Alternate Fuels, Inc. v. Cabanas,
2. Causation and Redressability
A plaintiff “satisfies] the causation requirement [of Article III] if the complaint ‘avers the existence of an intermediate link between the ... [challenged government action] and the injury.’ ”
Pac. Capital Bank,
The redressability requirement demands that there is a “ ‘non-speculative likelihood that the injury can be remedied by the requested relief.’ ”
Coal, of Watershed Towns v. EPA
Here, Plaintiffs have sufficiently alleged that their injuries were caused by the pursuit of the
Chestnut Ridge
Action by Wesley Hills Defendants, Pomona Defendants, Chestnut Ridge Defendants, and Montebello Defendants. For example, Plaintiffs Mosdos and YCC adequately allege that they have been injured by having to expend resources litigating the
Chestnut Ridge
Action. In addition, the filing of the
Chestnut Ridge
Action and the resulting issuance of the TRO prevented Kiryas Ra-din from operating on the Nike Site, thereby causing Plaintiffs’ alleged injuries. The redressability requirement of the standing analysis also is met because the injuries allegedly caused by the filing of the
Chestnut Ridge
Action could be redressed at a minimum through compensatory damages, which Plaintiffs have requested.
9
There
To the extent Plaintiffs seek to challenge the Defendant Villages’ allegedly discriminatory zoning laws, however, Plaintiffs have not adequately alleged a link between those zoning laws and their claimed injuries. Plaintiffs generally allege that Defendants designed their zoning laws to keep the Orthodox Jewish community out of the Villages. (Compl. ¶¶ 98, 101, 117, 119, 122.) However, Plaintiffs have not alleged that they suffered any injury in fact as a result of Defendants’ allegedly discriminatory zoning laws. For example, Plaintiffs have not alleged that they have “a present interest in any ... property” within the Villages, that they are personally “subject to the [challenged] ordinance[s],” or that they have “been denied a variance or permit by ... officials” of the Defendant Villages.
Warth,
lages’ zoning laws in the immediate future.
Cf. Vill. of Arlington Heights,
Also, nothing in Plaintiffs’ Complaint suggests that the Villages’ zon
Plaintiffs Mosdos, YCC, Bernstein, and Ambers therefore have standing to pursue their claims against Wesley Hills Defen
C. Failure to Allege Compulsory Counterclaims
Defendants argue that Plaintiffs Mosdos and YCC are barred from pursuing their claims against the Village Defendants because those claims should have been filed as compulsory counterclaims in the
Chestnut Ridge
Action under Federal Rule of Civil Procedure 13 (“Rule 13”). For the following reasons, this Court agrees. Plaintiffs Mosdos and YCC filed their Answer in the
Chestnut Ridge
Action on October 19, 2007, three days after Mosdos removed the case to federal court.
See
Answer and Counterclaims,
Chestnut Ridge II
(S.D.N.Y. Oct. 19, 2007). Because Plaintiffs Mosdos and YCC submitted their answer while the case was pending in federal court, they were “required to set up [their] defenses and compulsory counterclaims, if any, subject to the terms and exceptions of Rule 13.”
Donnkenny, Inc. v. Nadler,
A pleading must state as a counterclaim any claim that — at the time of its service — the pleader has against any opposing party, if the claim ... arises out of the transaction or occurrence that is the subject matter of the opposing party’s claim____
Fed.R.Civ.P. 13(a)(1)(A). “[A]n absolute identity of factual backgrounds” is not required to render a counterclaim compulsory.
Jones v. Ford Motor Credit Co.,
Here, the claims asserted by Plaintiffs Mosdos and YCC were compulsory counterclaims that should have been raised (and, indeed, some were raised) as counterclaims in the Chestnut Ridge Action. In the Chestnut Ridge Action, the Defendant Villages claimed that Ramapo’s enactment of the ASHL and the CZL violated various statutory and constitutional provisions and that the Ramapo Planning Board failed to comply with SEQRA in connection with YCC’s site plan application. In their counterclaims in the Chestnut Ridge Action (“Chestnut Ridge counterclaims”), Plaintiffs Mosdos and YCC alleged the same factual background that forms the basis for this action — namely, in sum, that the operation of Kiryas Radin on the Nike Site is critical to Plaintiffs’ religious practice, that the Villages have historically exhibited discriminatory animus against the Orthodox and Hasidic Jewish community, that Defendants mounted a racially-charged campaign to prevent Ramapo’s enactment of the ASHL and CZL, and that after the enactment of the ASHL and CZL, the Four Village Plaintiffs filed the Chestnut Ridge Action out of discriminatory animus toward the Orthodox and Hasidic Jewish community. Defs.’ Answer and Counterclaims ¶¶ 333-36, Chestnut Ridge II (S.D.N.Y. Oct. 19, 2007) (alleging that construction and operation of a rabbinical college on the Nike Site is critical to the religious practice of the Orthodox Jewish community); id. ¶¶ 337-42 (alleging that the Villages surrounding Ramapo incorporated in order to discriminate against the Orthodox Jewish community); id. ¶¶ 343-62 (explaining the background of Ramapo’s adoption of its CZL and ASHL); id. ¶¶ 363-64 (alleging that Defendants had illicit motives in filing the Chestnut Ridge Action). Of particular relevance here, the Chestnut Ridge counterclaims alleged that in “fíl[ing] suit to stop the promulgation of the [ASHL],” the Villages’ “pretext ... [was] environmental concerns, [but] the goal of the Village[s][was] to prevent the spread of the Orthodox and Hasidic communities through intimidation.” Id. ¶ 363. The Chestnut Ridge counterclaims also alleged that “[t]he Villages’ challenge to [Ramapo’s] Recent Enactments, which are set forth in the instant lawsuit, was designed to create a forum to impede the development of Mosdos’s Real Property through the use of the judicial process.” Id. ¶ 367. Based on these factual allegations, Plaintiffs Mosdos and YCC asserted claims for injunctive relief under § 1983 for violations of the Free Speech and Free Assembly Clauses of the First and Fourteenth Amendments, RLUIPA, and the FHA. See id. ¶¶ 369, 373, 377, 381, 385-86. Based on the same factual allegations, Plaintiffs in this action have alleged claims under §§ 1982,1983 and 1985 for violations of the Free Exercise and the Free Assembly Clauses of the First and Fourteenth Amendments, the Equal Protection Clause of the Fourteenth Amendment, RLUIPA, the FHA, the New York State Constitution, Article I, §§ 3 & 11, and New York Civil Rights Law Section 40-c, and they seek injunctive and compensatory relief.
The Second Circuit addressed a parallel factual scenario in
Critical-Vac. See
Here, Plaintiffs allege that the Chestnut Ridge Action was a pretext for illegal actions by the Village Defendants. As in Cñtical-Yac, the question of whether the Chestnut Ridge Action is a mere pretext for illegal action is one that is logically intertwined with the validity of the Village Defendants’ legal claims. Because the validity of these claims will be determined in the Chestnut Ridge Action, the “essential facts of the[se] claims are so logically connected that considerations of judicial economy and fairness dictate that all the issues should be resolved in one lawsuit.” Id. at 699 (internal quotation marks and emphasis omitted). Also, as in Crtical-Vac, Plaintiffs “ha[ve] not now alleged any facts that arose after the filing of its answer in the [first] litigation.” Id. at 700. Indeed, “all these facts were not only known to [Plaintiffs], they were pleaded in the first action.” Id. (internal quotation marks and brackets omitted). Thus, Plaintiffs Mos-dos and YCC were required to raise their claims against the Village Defendants as compulsory counterclaims in the Chestnut Ridge Action. Accordingly, those claims are hereby dismissed.
A slightly different question arises with regard to Individual Defendants because these Defendants were not parties to the
Chestnut Ridge
Action. The answer turns on whether Individual Defendants, sued in their personal or official capacities, could be considered “opposing parties” within the meaning of Rule 13(a). The Court recognizes that the plain language of Rule 13(a) applies only to “opposing parties.”
See
Fed.R.Civ.P. 13(a)(1) (“A pleading must state as a counterclaim any claim that ... the pleader has against an
opposing party
....” (emphasis added));
see also HID Global Corp. v. Leighton,
No. 07-CV-1972,
However, Defendants have asserted no argument, and the Court can think of none, supporting the proposition that the Individual Defendants, sued in them individual capacities, would be “functionally equivalent” to or “one and the same” as the Village Defendants. Indeed, the Second Circuit has recently noted that when a plaintiff sues in one capacity, a defendant may not assert a compulsory counterclaim against that plaintiff in a different capacity.
DEF v. ABC,
No. 08-CV-4908,
In sum, Mosdos and YCC are barred by Rule 13 from bringing their claim regarding the filing of the
Chestnut Ridge
Action against the Village Defendants and the Individual Defendants as sued in their offi
D. The First Amendment Right to Petition and the Noerr-Pennington Doctrine
Defendants argue that their pursuit of the
Chestnut Ridge
Action was protected by the First Amendment right to petition, and therefore, it cannot serve as a basis for liability on any of Plaintiffs’ claims. The First Amendment provides that the government cannot abridge the right of the people to “petition the Government for a redress of grievances.” U.S. Const, amend 1. The Supreme Court has made clear that the “right to petition [is] one of ‘the most precious of liberties safeguarded by the Bill of Rights.’ ”
BE & K Constr. Co. v. Nat’l Labor Relations Bd.,
Among other things, the right to petition protects “[t]he rights to complain to public officials and to seek administrative and judicial relief.”
Gagliardi v. Vill. of Pawling,
To determine whether the
Chestnut Ridge
Action constitutes protected activity, the Court also has considered the applicability of the
Noerr-Pennington
doctrine. The
Noerr-Pennington
doctrine derives from two antitrust cases decided by the Supreme Court, and is rooted in First Amendment principles.
See E. R.R. Presidents Conference v. Noerr Motor Freight, Inc.,
The Second Circuit has yet to decide whether “the
Noerr-Pennington
doctrine ... must be applied mechanically in cases outside the antitrust area.”
Robinson,
The Second Circuit also has yet to address whether the
Noerr-Pennington
analysis applies to claims alleging civil rights violations, and courts within this Circuit have not reached consensus on this issue.
Compare Weiss v. Willow Tree Civic Ass’n,
However, outside the Second Circuit, the majority of circuit courts have embraced the view that the
Noeyr-Pennington
doctrine and related First Amendment protections bar liability for alleged violations of the civil rights laws.
See, e.g., Kearney v. Foley & Lardner, LLP,
The Court concurs with the view of the majority of circuit courts that the framework of the
Noerr-Pennington
doctrine can be applied in the context of civil rights actions. In developing the
Noenn-Pennington
doctrine, the Supreme Court sought to protect conduct that falls within the ambit of the First Amendment right to petition, “regardless of intent or purpose” behind that conduct, so long as that conduct does not constitute sham activity.
Pennington,
Of course, even the
NoerrPennington
doctrine does not grant unlimited license to those who wish, for allegedly discriminatory reasons, to exercise their right to petition. Indeed at its origin,
Noerr-Pennington
immunity extends only to activities (including litigation) that are not “ ‘a mere sham to cover ... an attempt to interfere directly with the business relationships of a competitor.’ ”
Prof'l Real Estate Investors,
While the framework prescribed by
Noerr-Pennington
mirrors the First Amendment right to bring a viable lawsuit regardless of the underlying motivation, it also preserves the ability of those injured by such conduct to protect their constitutional or statutory rights when an objectively baseless lawsuit is brought, particularly when the lawsuit involves unlawful or discriminatory motivation. In contrast, denying such protection to any viable lawsuit, initiated even for allegedly improper reasons, would unnecessarily undermine First Amendment principles.
See Video Int’l Prod., Inc.,
While
Noerr-Pennington
immunity can restrict civil rights claims based on a defendant’s petitioning activity, the applicability
of the Noerr-Pennington
doctrine to the instant case is further complicated because Plaintiffs challenge the conduct of municipal actors (in addition to the Individual Defendants sued in their individual capacities). The. Supreme Court has yet to decide whether or to what degree government actors are protected by the First Amendment, let alone whether such a right includes petitioning the courts.
See United States v. Am. Library Ass’n,
However, a more explicit recognition of a municipality’s First Amendment right to
In concluding that
Noerr-Pennington
and the First Amendment right to petition protect government actors, the Ninth Circuit has emphasized the representative
Government officials are frequently called upon to be ombudsmen for their constituents. In this capacity, they intercede, lobby, and generate publicity to advance their constituents’ goals, both expressed and perceived. This kind of petitioning may be nearly as vital to the functioning of a modern representative democracy as petitioning that originates with private citizens.
Manistee Town Ctr.,
[The municipality had] a constitutional right under the First Amendment to speak and act in opposition to [a project] ... [that in] [i]ts view ... represented] a danger to [ ] residents ... [by] exercising its power to petition any agency of government including the legislature, administrative agencies and the courts.
LILCO,
As explained, the fact that speech is allegedly motivated by or may have overtones of discriminatory animus does not generally strip away the speaker’s First Amendment rights.
See Creek, 80
F.3d at 192 (noting that a racially motivated lawsuit may still be protected as an exercise of free speech).
20
However, while municipalities may be shielded by
Noerr-Pennington,
or the related First Amendment principles, their authority to petition (including their authority to initiate litigation) is limited by other constitutional provi
For example, a government actor may not be entitled to the full measure of First Amendment protection in the face of claims that it engaged in “selective” petitioning in violation of the Equal Protection Clause. Such a claim is akin to a selective enforcement claim, in which a plaintiff alleges that an otherwise valid law has been selectively enforced against him, but not against others similarly situated, based on impermissible factors.
See Zahra v. Town of Southold,
However, in light of the Second Circuit’s willingness to extend
NoerrPennington
protection to government actors in
Miracle Mile,
and given the other decisions within and outside the Second Circuit described above, the Court is persuaded that government actors are afforded some measure of protection under the
Noerr-Pennington
doctrine and the First Amendment to petition when they
None of this is changed by the subsequent decision by the New York Supreme Court to dismiss some of the Villages’ claims regarding the ASHL and the CZL.
See Hartford Life Ins. Co. v. Variable Annuity Life Ins. Co.,
As noted above, however, the actions of municipalities in undertaking litigation must also be consistent with the Constitution. Thus, as relevant here, municipal officials may not pursue even potentially meritorious claims if they do so in a discriminatory fashion. One way that discrimination could be established, as discussed, is for Plaintiffs to demonstrate that the Village Defendants were improperly selective in litigating to protect their interests. To establish such a claim, Plaintiffs must allege that “(1) ... compared with others similarly situated, [they were] selectively treated, and (2) the selective treatment was motivated by an intention to discriminate on the basis of impermissible considerations, such as race or religion, to punish or inhibit the exercise of constitutional rights, or by a malicious or bad faith intent to injure the person.”
Zahra,
Here, Plaintiffs only allege that [Defendant Villages] ... approved the development of over one thousand multifamily, high-density units in their own respective villages without any alarm over infrastructure or sewer capacity. In addition, an additional 1,200 units north of [Ramapo] are being, or have been connected to [Ramapo’s] infrastructure. In addition, over eighty senior units were approved by the Villages throughout Ramapo without any opposition. These newly approved projects were not a concern to the Villages, as they are residential units not for Orthodox or Hasidic Jews.
Thus, as currently alleged, the Court finds that Plaintiffs have not made out a claim that defeats Defendants’ qualified immunity, as defined here, under the Noerr-Pennington doctrine and the First Amendment, to prosecute the Chestnut Ridge Action. Accordingly, the NoerrPennington doctrine and the First Amendment right to petition bar Plaintiffs from pursuing claims against Defendants for their filing of the Chestnut Ridge Action. 23 However, the Court finds that under the circumstances, Plaintiffs should be allowed leave to amend their Complaint to address this issue. Thus, the motion to dismiss is granted without prejudice.
III. Conclusion
For the reasons discussed above, Defendants’ Motions to Dismiss are granted without prejudice. The Clerk of Court is respectfully directed to terminate the pending Motions (Dkt. Nos. 31 and 35).
SO ORDERED.
Notes
. Specifically, as explained in more detail below, Plaintiffs’ allegations of religious discrimination and interference with their First Amendment rights fall into three main categories. First, Plaintiffs allege that certain Defendants filed a lawsuit in New York state court challenging the Plaintiffs' religious housing project because of environmental concerns. (Compl. ¶¶ 71-75, 104-05.) Plaintiffs allege that the environmental concerns were a "pretext," and that the real purpose of the lawsuit was to intimidate Plaintiffs and to prevent Plaintiffs from building their religious student housing project on account of Plaintiffs’ religion. {Id. ¶¶ 71, 74-75, 104-05.) Next, Plaintiffs object to Defendants' zoning laws, alleging that the Defendant Villages were incorporated in order to "provide local zoning regulations inconsistent with the religious practices of the Orthodox and Hasidic Jewish communities.” {Id. ¶¶ 79, 100, 107, 119, 122.) For example, Plaintiffs allege that New Hempstead Defendants adopted zoning regulations in order to "create enormous difficulty” for the Orthodox and Hasidic communities {id. ¶ 98), that Pomona Defendants enacted restrictive zoning laws for the purpose of unfairly discriminating against, and restricting the religious assembly and speech of, the Jewish community {id. ¶¶ 101-03), and that the other Defendants enacted similarly discriminatory zoning laws or aided in the effort to violate Plaintiffs’ Constitutional and statutory rights, {id. ¶¶ 108-17, 120, 122). Lastly, Plaintiffs allege that New Hempstead Defendants made false representations to federal, state, and local government agencies regarding environmental contamination on Plaintiffs’ property in order to "thwart the Yeshiva’s development and religious use” of the property. {Id. ¶¶ 80-97.) Plaintiffs also allege that these false allegations ”chill[ed] community relations and creat[ed] an environment of fear and hatred towards the Yeshiva and the local Hasidic - community” {id. It 92), and were part of a continuous pattern of action by Defendants to discriminate against Plaintiffs and to prevent the construction of their religious housing project, {id. ¶ 97).
. As this Court noted in its decision in
Village of Chestnut Ridge v. Town of Ramapo,
No. 07-CV-9278,
. YCC had first submitted its site plan for the Nike Site to Ramapo in 2001, but the original plan was rejected, as the then-existing dormitory zoning ordinance would not "fit housing for married students.” (Compl. ¶ 60.)
. "The primary purpose of SEQRA is 'to inject environmental considerations directly into governmental decision making.’ ”
Akpan v. Koch, 75
N.Y.2d 561,
. In deciding that the
Chestnut Ridge
Plaintiffs had standing to raise these claims, the Second Department determined that; (1) with respect to claims under New York General Municipal Law Section 239-m, which intends to “bring pertinent inter-community and countywide planning, zoning, site plan, and subdivision considerations to the attention of neighboring municipalities and agencies having jurisdiction^] ... adjoining municipalities necessarily have the ... interest” required to confer standing under the statute; (2) with respect to claims challenging the ASHL and CZL under SEQRA, the Village Plaintiffs, as neighboring municipalities, had sufficiently
. The TRO was modified to permit Mosdos to apply for certificates of occupancy for sixteen housing units and a synagogue upon a $75,000 undertaking.
. After it learned that YCC had conveyed the deed to the Nike Site to Mosdos in December 2005, the New York Supreme Court directed the
Chestnut Ridge
Plaintiffs to substitute Mosdos as a defendant in the case.
See Chestnut Ridge II,
. Because the Court dismisses Mayer Zaks and Aryeh Zaks as Plaintiffs in this action, all references hereinafter made to "Plaintiffs” refer only to Plaintiffs Mosdos, YCC, Bernstein, and Ambers. It bears noting, however, that even if Mayer Zaks and Aryeh Zaks had standing, the other grounds for dismissal of Plaintiffs’ claims, which are discussed below, would apply to them as well.
. Plaintiffs also request injunctive relief to "restraint] Defendants, their officers, agents, employees, and attorneys from enforcing or endeavoring to prohibit Plaintiffs from using” the Nike Site “as a place of worship.” (Compl. 26.) However, the Court is without authority to enjoin the
Chestnut Ridge
Action or the enforcement of the TRO, as the Anti-Injunction Act, 28 U.S.C. § 2283, "absolutely] prohibit[s] ... any injunction of any state-court proceedings, unless the injunction falls within one of the three specifically defined exceptions in the Act, which courts must construe ‘narrowly.’ "
Bosch v. Lamattina,
No. 08-CV-238,
. The Court notes that Plaintiffs’ Complaint only asserts that the zoning laws were unconstitutional as applied to Plaintiffs because the restrictiveness of the laws unfairly discriminated against the Orthodox community and the building of yeshivas. (Compl. ¶ 98) (asserting that New Hempstead’s zoning laws were “designed to create enormous difficulty for ultra religious and Hasidic Jews"); id. ¶ 101 (asserting that Pomona’s zoning laws "unfairly discriminat[ed] against people of the Jewish faith”); id. ¶¶ 107, 119, 122 (asserting that the other Village Defendants' zoning laws were “inconsistent with the religious practices of the Orthodox and Hasidic Jewish communities.”) Thus, Plaintiffs have not asserted any potential facial challenge to the zoning laws, and, therefore, the Court need not consider such a claim.
. To the extent Plaintiffs seek to challenge the zoning laws of Defendant New Hemp-stead (to which the Nike Site was subject prior to entry of the New Hempstead Stipulation), those claims are barred by the doctrine of res judicata. An "order of dismissal [will] ... bar [an] action by way of
res judicata,
[if] four factors [are] satisfied ....[:] '[the] earlier decision [must be] (1) a final judgment on the merits, (2) by a court of competent jurisdiction, (3) in a case involving the same parties or their privies, and (4) involving the same cause of action.' ”
Esquire Trade & Fin., Inc. v. CBQ, Inc.,
Likewise, Plaintiffs Mosdos, Bernstein, Ambers are barred from pursuing these claims, as these Plaintiffs constitute persons in privity with YCC.
"Res judicata
[] bar[s] non-parties to earlier litigation ... when the interests involved in the prior litigation are virtually identical to those in later litigation.”
Chase Manhattan Bank, N.A. v. Celotex Corp.,
. In any event, Plaintiffs could not pursue claims based on alleged false representations made in 1997 and 2004 under §§ 1982, 1983, and 1985 as such claims would be time barred by the applicable three-year statute of limitations.
See Pearl v. City of Long Beach,
. Because the Court dismisses New Hemp-stead Defendants in this action, hereinafter "Defendants” refers only to Wesley Hills Defendants, Pomona Defendants, Chestnut Ridge Defendants, and Montebello Defendants. The term "Village Defendants” hereinafter refers only to the Villages of Wesley Hills, Pomona, Chestnut Ridge, and Montebello. References hereinafter made to "Individual Defendants” refers to the officials and former officials of the Villages of Wesley Hills, Pomona, Chestnut Ridge, and Montebello named as Defendants in this action.
. The Court notes that Plaintiffs have pursued their claims regarding the filing of the Chestnut Ridge Action against the Individual Defendants in both their personal and official capacities. (Compl. ¶¶ 15-19, 21-22, 24, 26-27, 29-30, 72-75.)
. In their Reply Memorandum of Law, Defendants asserted, for the first time, that all Plaintiffs should be barred from suing all Defendants in this action because Defendants could have been brought in as necessary parties under Fed.R.Civ.P. 13(h) and 20. (Reply Mem. of Law in Further Supp. of Defs.’ Mot. to Dismiss ("Defs.' Reply”) 8.) The Court, however, will not favorably consider an argument initially made in a reply brief.
See United States v. Yousef,
On a related but distinct note, the Individual Plaintiffs (Bernstein and Ambers) were also not Parties to the
Chestnut Ridge
Action, and they are therefore not barred by Rule 13(a). The plain language of Rule 13(a) applies only to the "pleader” in the previous lawsuit.
See
Fed.R.Civ.P. 13(a)(1). Even applying the "functional equivalent” test sometimes used to determine the meaning of "opposing party,” the Individual Plaintiffs are not "one and the same” as or alter egos of Mosdos or YCC, nor did they control the previous litigation.
See Sony Fin. Servs.,
. The Court notes that even if Mosdos and YCC are not barred by Rule 13 from bringing this claim against Village Defendants or Individual Defendants as sued in their official capacities, the claim would be dismissed for the reasons explained below.
. In
Suburban Restoration,
the Second Circuit dismissed the First Amendment language of
Miracle Mile
as dicta, and limited that holding as a straight-forward application of the statutory roots of
Noerr-Pennington.
The Second Circuit’s decision in
City of New York v. Beretta U.S.A. Corp.,
. While the Second Circuit mostly affirmed the judgments entered in
LILCO,
reversing only the attorneys’ fees determination, it did not address the question of the county’s First Amendment rights.
County of Suffolk v. Long Island Lighting Co.,
. In
Crosby,
the Supreme Court affirmed the First Circuit’s holding that the Massachusetts law at issue was preempted by a federal statute.
. To be clear, it would be greatly disturbing if Plaintiffs’ allegations of Defendants’ allegedly discriminatory motivation in bringing the Chestnut Ridge Action are proven to be true, and of course for purposes of the instant motion, the Court assumes them to be true. But, this does not change the First Amendment calculus.
. The Court notes that, to the extent that Plaintiffs have sued the Individual Defendants in their individual capacities for the filing of the
Chestnut Ridge
Action, the analysis is the same.
See Weiss,
. The Court notes that it is unclear from the Complaint whether Plaintiffs are suing the Individual Defendants in their individual capacities as current or former town officials, or simply as private citizens. The Court also notes that to the extent the Individual Defendants are sued as private citizens,
Noerr-Pennington
protection would apply to their wholly private conduct even if, as Plaintiffs allege, the Individual Defendants’ motivations in bringing the lawsuit had discriminatory overtones.
See Creek,
. Because the Court dismisses the remaining claims against the remaining Defendants (after resolving the standing issues), the Court need not address Defendants’ argument that the Court should abstain in deference to the Chestnut Ridge Action.
