The plaintiffs brought a four count complaint against the defendants, alleging various improprieties in regard to the defendant Village’s handling of the plaintiffs’ applications for building permits. Before trial, the district court first dismissed on the pleadings the plaintiffs’ 42 U.S.C. § 1983 allegations of procedural and substantive due process violations and a state law claim. It later dismissed on summary judgment a claim under RICO and an equal protection claim. Count I (alleging violation of 42 U.S.C. §§ 1981 and 1982) proceeded to a jury trial.
The jury returned a verdict in favor of the defendants. The district court entered final judgment and denied the plaintiffs’ motions for new trial and to alter or amend the judgment. This appeal followed.
I
BACKGROUND
A. Facts
The plaintiffs in this action were James Sylvester (a developer), Mr. Sylvester’s
1. Racial animus and the proposed projects
Karagias purchased four acres of vacant land in 1969. Karagias and Reliable Roofing Corporation (Reliable) entered into a buy and sell contract in 1977, which was the first step in what Reliable planned would be the building of rental apartments on the property. However, Reliable was unable to obtain building permits and the contract eventually was rescinded. The complaint alleges that this development fell through because the Village did not want blacks to move into the rental housing.
In 1979 Karagias entered into a contract to sell the property to Sylvester. The contract provided that portions of the property would be purchased as the property was developed (“take-out” basis). The development plan was approved by the Village and called for building thirty single-family homes on the property. Because of financial difficulty, however, Sylvester built only three houses and sold just one.
In 1980 Sylvester applied for a building permit to construct one rental apartment building, to be surrounded eventually by a mixture of single-family and apartment buildings. Sylvester never applied for financing of this project, and he had no experience in building or managing apartments. Sylvester claims that no action ever was taken on this plan due to the defendants’ desire to limit the influx of blacks. The defendants dispute this conclusion: they claim that the Village’s Board of Trustees approved Sylvester’s site plan, but that the Village was concerned by Sylvester’s suggestion that initially he would build a temporary rather than a permanent road in front of the building.
In 1981 Sylvester submitted a plan to construct fourteen six-unit condominium buildings. The plaintiffs claim that the defendants requested “voluminous documentation.” Appellants’ Br. at 11. Sylvester also claims that several of the defendants at two separate dinners in 1982 threatened that he never would get building permits if he planned to rent to blacks or if he did not pay Robert Biederman (another developer and former Village attorney) $30,000 as his portion of a retention pond that would service three developments (Biederman’s, Sylvester’s, and a third party’s). Nevertheless, Sylvester received building permission and actually built four out of the planned sixteen condominium buildings.
The defendants assert that any delay experienced by Sylvester was tied to his delinquency in paying special assessment fees.
Former Village attorney Robert Bieder-man owned property (the Southpointe parcel) adjacent to the Karagias property. In 1981 Biederman began construction of condominiums on the Southpointe parcel. The plaintiffs claim that Biederman did not have to submit the same materials as they had to submit in order to secure the building'permits. Appellants’ Br. at 11. Prior to construction, Biederman was informed that he would have to construct a retention pond due to stormwater drainage problems. He first suggested that he build a private pond, but the Village preferred a public pond to service the area, including the Ka-ragias property.
Biederman purchased a parcel (known as “Outlot A”) in 1981 for $63,000. The Village, desirous of putting the retention pond on that parcel, subsequently purchased part of the parcel for $90,000 through a special assessment condemnation. A hearing on the condemnation was held in June 1983, and the Circuit Court of Cook County confirmed the special assessment in May 1984. The plaintiffs allege that the defendants assured them that, if the plaintiffs did not object to the special assessment, then the Village would grant the plaintiffs’ building permits. Appellants’ Br. at 13. In February of 1984 Sylvester applied for a building permit for a six-unit condominium. No action has been taken on this application.
II
CLAIMS DISMISSED BEFORE TRIAL
A. Standards of Review
Several of the plaintiffs’ claims were dismissed on the pleadings; others were dismissed on summary judgment. The standards of review governing each are well settled. Dismissal of a claim is appropriate if there exists no set of facts that would support the claim and entitle the plaintiff to recover. Illinois Health Care Assoc. v. Illinois Dep’t of Public Health,
Our standard for dealing with a grant of summary judgment is also well established. The movant bears the burden of establishing that there is no genuine issue of material fact and that he is entitled to judgment as a matter of law. Fed.R.Civ.P. 56(c). Any doubt as to the existence of a genuine issue for trial is resolved against the moving party. Anderson v. Liberty Lobby, Inc.,
B. RICO
The plaintiffs maintain that the defendants committed a RICO violation, 18 U.S.C. § 1962(c),
A section 1962(c) RICO claim requires “(1) conduct (2) of an enterprise (3) through a pattern (4) of racketeering activity.” Sedima, S.P.R.L. v. Imrex Co.,
The Supreme Court recently addressed the concept of “pattern” of racketeering activity in H.J. Inc. v. Northwestern Bell Tel. Co., — U.S.-,
In this case, the plaintiffs allege that they suffered numerous injuries when the defendants refused to grant each building permit and coerced them to acquiesce in the special assessment that set the value of Outlot A at a higher-than-market value. The plaintiffs attempt to characterize their injury as multifold: that Karagias was injured many times because the land was being sold on a “take-out basis”; that Sylvester was injured separately for each building he was unable to build; and that the plaintiffs were injured separately by being defrauded in connection with the special assessment. However, after independent examination of the record, we must agree with the district court that such a characterization is not compatible with the fraud actually alleged in the record before the district court: that the city withheld approval of the building permits until the plaintiffs paid Biederman $30,000 for their part of the retention pond.
We also conclude that the district court properly determined that the predicate acts alleged by the plaintiffs did not constitute a pattern of racketeering activity. That conclusion is consonant with our precedents. In Tellis v. U.S. Fidelity & Guar. Co.,
C. Due Process
The district court dismissed the plaintiffs’ procedural due process claim. In its view, Illinois provided adequate postdepri-vation procedures to remedy any wrong suffered by the plaintiffs.
In attempting to assess the plaintiffs' complaint, we are confronted at the outset with the extraordinary vagueness of the allegation. The operative paragraph simply alleges that the defendants blocked the development of the property. The district court interpreted this allegation as a claim that the plaintiffs had been denied their building permits without due process of law. We believe this was a reasonable — indeed charitable — interpretation.
This claim arises in the context of a section 1983 action. Accordingly, the plaintiffs must establish two elements: that “the conduct complained of was committed by a person acting under color of state law”; and that “this conduct deprived a person of rights, privileges, or immunities secured by the Constitution or laws of the United States.” Parratt v. Taylor,
Before a party may assert a due process argument — procedural or substantive — it must establish that it has a “legitimate claim of entitlement” to the right being asserted. Board of Regents v. Roth,
The procedural due process claim must fail because the state provides the unsuccessful applicant for a building permit with a sufficient state remedy to cure the sort of “random and unauthorized” denial of which the plaintiffs complain here. The district court dismissed the plaintiffs’ procedural due process claim on the basis that they had an adequate postdeprivation state remedy in the form of a mandamus action. Relying specifically on Parratt v. Taylor,
The substantive .due process claim also must fail. Whatever may be the eventual contours of substantive due process in the context of property interests,
D. Equal Protection
The district court granted summary judgment on the equal protection claim because it decided that “a trier of fact could not reasonably infer from the ... evidence that the Village defendants acted irrationally.” New Burnham Prairie Homes, Inc. v. Village of Burnham, Mem. op. at 12 (N.D.Ill. Dec. 2, 1988). The court noted the evidence that the retention pond was necessary, that a public pond would be aesthetically superior to several private ponds, that Sylvester was denied permits because he was delinquent in paying special assessments, and that the moratorium on building affected Biederman as well as Sylvester.
We agree with the district court. However, we also note a more fundamental problem with the plaintiffs’ claim. In order to assert a constitutional claim based on violation of equal protection, a complaining party must assert disparate treatment based on their membership in a particular group. Discrimination based merely on individual, rather than group, reasons will not suffice.
A person bringing an action under the Equal Protection Clause must show intentional discrimination against him because of his membership in a particular class, not merely that he was treated unfairly as an individual. “[T]he deci-sionmaker [must have] selected or reaffirmed a particular course of action at least in part ‘because of,’ not merely ‘in spite of,’ its adverse effects upon an identifiable group.”
Huebschen v. Department of Health and Social Servs.,
III
TRIAL OF THE RACIAL DISCRIMINATION CHARGE
A. Evidentiary Rulings
The plaintiffs raise several objections to rulings made by the district court during their trial on the section 1981 and 1982 claims. Great deference is accorded "to the evidentiary decisions of a trial court. This court will not overturn such an eviden-tiary decision by a trial judge in the absence of a clear abuse of discretion." Charles v. Daley,
At trial on the racial discrimination causes of action, the plaintiffs tendered evidence that the retention pond was just a pretext for the Village to give money to a political ally and to acquire a site for the Village hall. In the plaintiffs' view, such evidence, even if it did not relate to racial prejudice, would have impeached the testimony of numerous defense witnesses who testified about the Village's good faith concern regarding storm water problems. The district court disallowed the evidence on the ground that it did not establish that the Village's action was motivated by racial animosity. At best, the tendered evidence established that, rather than being concerned about drainage problems, the Village was concerned about a new city hall and assisting Mr. Biederman. We give great deference to relevancy determinations by the district court. Amy Travel Serv., Inc.,
Nor do we believe that the district court abused its discretion by refusing to admit Exhibit 205, a letter and draft agreement written by the Village's attorney to, among others, the plaintiffs' original attorney in this case. Federal Rule of Evidence 408 authorizes the district court to exclude settlement letters. There was a substantial showing that the letter was part of a settlement attempt, see Kritikos v. Palmer Johnson, Inc.,
The defense called ten witnesses, eight of whom were not listed in the final pretrial order. The plaintiffs objected, but the district court allowed the witnesses to testify. The defendants claim that the witnesses were listed on the order as the plaintiffs' potential witnesses, and that, when the defendants sent the pretrial order to the plaintiffs, they included a statement that all of the plaintiffs' potential witnesses were also the defendants' potential witnesses. This statement was not typed into the final pretrial order. Again, the district court's ruling must be accorded great deference. Also, Federal Rule of Civil Procedure 16(e) allows modification of the final order to prevent manifest injustice. We cannot say now that the district court abused its discretion by allowing the defendant to call these witnesses.
B. Instructions
The plaintiffs object to the failure of the district court to give several jury instructions that they had tendered. In particular, the plaintiffs object to the district court's failure to instruct the jury that whites may sue to recover damages for racial discrimination under sections 1981
This court has limited review of jury instructions. As we stated in Goldman v. Fadell,
In general, appellate review of jury instructions is limited. See Binks Mfg. Co. v. National Presto Indus., Inc.,709 F.2d 1109 , 1117 (7th Cir.1983). When reviewing the adequacy of jury instructions, the court should ‘construe them in their entirety and not in artificial isolation.’ Id. at 1117. Reversal is only mandated if the jury’s comprehension of the issues is so misguided that a litigant is prejudiced.
Based on this limited review on appeal, we determine that the failure to give the instruction that whites can recover under sections 1981 and 1982 does not mandate reversal. The jury was instructed as to what the plaintiffs had to prove in order to recover.
Contrary to the recommendation of both parties, the court declined to instruct the jury with respect to the problem of mixed motives. We believe that a mixed motive instruction would have been appropriate. See Bachman v. St. Monica’s Congregation,
Conclusion
For the foregoing reasons, we conclude that the district court’s grant of summary judgment on the RICO and equal protection counts and its dismissal of the due process counts should be affirmed. We also conclude that there was no error in the district court’s evidentiary rulings.
Affirmed.
Notes
. In 1974 the Village installed water mains and a combined sanitary and storm sewer that served in part the Karagias property (Special Assessments 36 and 37). In 1980, Exchange Avenue was constructed through the Karagias property (Special Assessment 40), and in 1981 Goodrich Avenue was completed (Special Assessment 45). A third road, Hammond Avenue, was never constructed. It was on Hammond Avenue that Sylvester had wanted to build his apartments and install the temporary road.
. "It shall be unlawful for any person employed by or associated with any enterprise engaged in, or the activities of which affect, interstate or foreign commerce, to conduct or participate, directly or indirectly, in the conduct of such enterprise’s affairs through a pattern of racketeering activity or collection of unlawful debt.” 18 U.S.C. § 1962(c).
. In contrast to these cases, we determined in Morgan v. Bank of Waukegan,
. The fact that the plaintiffs have a contract which ties payment to success in building on the land (the so-called "take-out" basis) does not change the essential character of the alleged fraud. This is not a fraud which, by its nature, is geared toward multiple parties. The alleged fraud concerns an attempt to coerce the landowner to pay a certain amount of money. The mere presence of a conditional seller of land along with a conditional buyer of land does not automatically turn the alleged fraud into one that affects multiple parties.
. It must be acknowledged frankly that the Supreme Court has yet to set the contours of any substantive due process right with respect to property interests. See Regents of the University of Michigan v. Ewing,
. In addition, the plaintiffs asserted on appeal that the district court erred by not giving their instruction that the number of witnesses testifying to a certain issue should not make the truth of that issue more plausible. The district court actually gave an instruction regarding the weight to be placed on the number of witnesses: "Also, the weight of the evidence is not necessarily determined by the number of witnesses testifying as to the existence or non-existence of any fact. You may find that the testimony of a smaller number of witnesses as to any fact is more credible than the testimony of a larger number of witnesses to the contrary.” R.140 at 6. There is no error if the instruction actually given by the district court adequately presents the party’s legal theory. McDonald v. Sandvik Process Sys., Inc.,
. First: That the defendant unreasonably and irrationally delayed or denied the issuance of building permits for the construction of residential units on the New Burnham Prairie Homes property;
Second: That a motivating factor for the failure to issue the building permits was the defendant’s intent to discriminate against black persons for the purpose of preventing them from purchasing or renting residential units in the Village of Burnham;
Third: That there is a substantial likelihood that plaintiffs would have gone forward with the construction of the residential units for which they were denied permits if it were not for the actions of the defendant; and
Fourth: That the failure of the defendant to issue building permits interfered with the right of black persons to purchase or lease real property.
R.140 at 13.
