RF&P CORPORATION v. GEORGE B. LITTLE, ET AL.; VIRGINIA RETIREMENT SYSTEM, ET AL.
Record Nos. 930376 and 930379
Supreme Court of Virginia
February 25, 1994
309
JUSTICE KEENAN
Present: All the Justices
J. Burke McCormick; George B. Little (Janet Singletary Thomas; Little, Parsley & Cluverius, on brief), for appellees. (Record No. 930376)
Anthony F. Troy; Richard L. Walton, Jr., Senior Assistant Attorney General (Stephen D. Rosenthal, Attorney General, Mary Yancey Spencer, Deputy Attorney General; Michael K. Jackson, Senior Assistant Attorney General; James C. Roberts; Alexander M. Macaulay; Mays & Valentine, on briefs), for appellants. (Record No. 930379)
J. Burke McCormick; George B. Little (Janet Singletary Thomas; Little, Parsley & Cluverius, on brief), for appellees. (Record No. 930379)
JUSTICE KEENAN delivered the opinion of the Court.
These appeals arise from the trial court‘s interpretation of the Virginia Freedom of Information Act,
I.
In December 1991, Little filed his petition for injunctive and other relief under the Act, naming, among others, the Virginia Retirement System (VRS), the Board of Trustees of the Virginia Retirement System (the VRS Board), System Holdings, Inc. (SHI), the RF&P Board, and Epps, Chair of the VRS Board and a director of SHI. He asked the trial court, among other things, to find that the defendants had violated the Act and to enjoin them from any further violations. Little also asked the trial court to find that Epps had willfully and knowingly violated the Act and to award him reasonable costs and attorney‘s fees.
VRS was established by the General Assembly to maintain a retirement system for state employees. It is administered by a Board of Trustees appointed by the Governor.
The evidence shows that in March 1990, as part of its investments, VRS held approximately 20% of the stock in RF&P Corporation (RF&P). Based on this interest, VRS was entitled to appoint two directors to the RF&P Board. The VRS Board appointed two of its members, Epps and Mark T. Finn, to those positions.
In June 1991, as part of its plan to acquire ownership of 100% of RF&P‘s stock as authorized by
VRS eventually acquired 100% of RF&P‘s stock through its ownership of SHI. However, RF&P and each of its subsidiaries have continued to operate as for-profit Virginia stock corporations. These corporations do not receive any appropriations from the Commonwealth. The value of VRS‘s investment in RF&P is approximately $500,000,000.
Upon its acquisition of 100% of RF&P‘s stock, VRS, through SHI, was authorized by
In February 1991, Little had written a letter to VRS, informing it that he had not been receiving notice of VRS meetings, which he earlier had requested pursuant to
On August 15, 1991, at a meeting of the VRS Board of which Little was notified, Epps initially refused to allow a photographer from the Richmond News Leader to take photographs of the meeting, stating, “I know the law and there is nothing that says you have to let someone take pictures.” Epps testified that she had directed Glen Pond, VRS‘s Director, to seek advice from the Office of the Attorney General regarding this request. Relying on what she understood that advice to be, Epps initially prohibited the taking of any photographs. However, after an attorney representing the Richmond News Leader came to the meeting and read portions of
On November 4, 1991, the SHI Board held a meeting to which the VRS Board members were invited. Epps testified that she was “shocked” that all the members of the VRS Board attended. She stated that she had scheduled the meeting to discuss hiring a consultant for SHI. Epps conceded, however, that VRS business also was discussed at the meeting. Little was not notified of this meeting.
S. Buford Scott, a VRS Board member, testified that VRS business was discussed at the meeting, including the fact that Epps and Finn had failed to consult any other members of the VRS Board concerning their appointment of the new RF&P directors. Scott stated that several VRS Board members were upset about Epps‘s and Finn‘s conduct, and that one member stated an opinion that the VRS Board had been “blind sided” by their actions.
Scott also testified that he was not furnished with a copy of the Act, either when he was appointed to the VRS Board in 1984 or when he was reappointed in 1988. Epps also was not furnished with a copy of the Act
Epps testified that she was familiar with the Act, having interpreted its provisions as part of her prior duties as an Assistant Attorney General. However, Epps also stated that she was not familiar with every provision of the Act. The record also shows that, earlier in Epps‘s tenure as VRS Board Chair, Little had filed another suit against VRS under the Act. In that case, a judge of the Circuit Court of the City of Richmond ruled that VRS had committed technical violations of the Act.
Here, after a two-day hearing, by letter opinions and order, the trial court held, among other things, that the RF&P Board “was effectively created as a committee to perform VRS‘s function of investing for the state employee retirement plan; therefore, the Board is a public body subject to [the Act].” The trial court also held that Epps had willfully and knowingly violated the Act and ordered her to pay $250 to the State Literary Fund, pursuant to the civil penalty provision of
The trial court enjoined VRS, the VRS Board, and “committees or subcommittees of the Board” from holding any further meetings without complying with all requirements of the Act. However, the trial court, noting “the uniqueness of the relationship” between VRS and the RF&P Board, suspended execution of “such portion of the VRS injunction which reaches to the RF&P Board of Directors” during the pendency of this appeal. Finally, the trial court found that Little had substantially prevailed in his suit and, pursuant to
II.
RF&P argues that the trial court erred in ruling that the RF&P Board is a “public body,” within the meaning of the Act. RF&P contends that the trial court‘s holding disregards the settled principle that a corporation is a legal entity completely distinct from its shareholders. RF&P further asserts that the record does not support the trial court‘s decision to “gently lift” the corporate veil and to “look realistically at the relationship between the managing boards of VRS, SHI, and RF&P.” In response, Little first contends that, since the General Assembly amended the Act in 1993 to include RF&P and SHI specifically within the Act‘s definition of “public body,” the issue raised by RF&P is moot. Little also argues that resolution of the RF&P Board‘s status as a “public body” under the Act does not require a piercing or lifting of the corporate veil. Rather, Little asserts that, because the Act must be liberally construed, the pre-amendment definition of “public body” applied by the trial court plainly encompasses the RF&P Board. We disagree with Little.
Initially, we hold that RF&P‘s appeal is not moot. While the trial court did not order direct injunctive relief against the RF&P Board, the court stated in its final order that since the RF&P Board “is a committee or subcommittee of the VRS Board of Trustees, meetings held by the RF&P Board of Directors in violation of [the Act] would also be in conflict with the specific injunction against VRS.” Thus, the trial court recognized that the terms of its injunction covered the RF&P Board‘s actions.
Injunctive relief under the Act is an “extraordinary and drastic remedy [and] is not to be casually or perfunctorily ordered.” Nageotte v. King George County, 223 Va. 259, 270, 288 S.E.2d 423, 428 (1982). If this Court does not address the issue whether the trial court erred in ruling that the RF&P Board was a “committee or subcommittee” of the VRS Board and, thus, fell within the definition of “public body” in effect at the trial of this case, that portion of the injunction reaching the RF&P Board will remain in effect indefinitely, irrespective of its validity. Thus, since the issue here is not one in which there is no actual controversy or in which no relief can be afforded, it is not moot. See Hankins v. Town of Virginia Beach, 182 Va. 642, 643-44, 29 S.E.2d 831, 832 (1944).
any legislative body, authority, board, bureau, commission, district or agency of the Commonwealth . . . and other organizations, corporations or agencies in the Commonwealth, supported wholly or principally by public funds . . . including any committees or subcommittees of the public body created to perform delegated functions of the public body or to advise the public body.
The trial court found that the RF&P Board fell within this definition, ruling that it “was effectively created as a committee to perform VRS‘s function of investing for the state employee retirement plan.” The record, however, contains no evidence to support this finding.
Applying a liberal construction to the statutory definition, we hold that there is no evidence that the RF&P Board was created as a committee or subcommittee of VRS or SHI to perform delegated functions. The RF&P Board was created upon the filing of RF&P‘s articles of incorporation and the organizational meeting of its initial directors. See
Moreover, the contention that the RF&P Board is a subcommittee or committee of a public body completely disregards RF&P‘s corporate identity. RF&P and SHI are distinct legal entities. The fact that SHI is RF&P‘s sole shareholder does not alter the separate character of the two corporations. See Appalachian Power Co. v. Greater Lynchburg Transit Co., 236 Va. 292, 296, 374 S.E.2d 10, 12 (1988).
A corporate entity cannot be disregarded unless it is proved that the corporation is “the alter ego, alias, stooge, or dummy of the individuals sought to be [held personally accountable] and that the corporation was a device or sham used to disguise wrongs, obscure fraud, or conceal crime.” Cheatle v. Rudd‘s Swimming Pool Supply Co., 234 Va. 207, 212, 360 S.E.2d 828, 831 (1987). The record here contains no evidence that RF&P occupied such a status in relation to VRS, the VRS Board, SHI, or the SHI Board.
Rather, the record shows that RF&P is a holding company that comprises several subsidiary corporations engaged in the acquisition, development, and management of real estate. RF&P and its subsidiaries conduct these activities both individually and in co-ventures with private entrepreneurs. RF&P is exclusively responsible for its conduct of this business and neither VRS nor SHI instructs or advises RF&P regarding these operations.
The evidence also shows that RF&P‘s business was conducted in substantially the same manner after VRS acquired 100% of RF&P‘s stock as it had been conducted prior to the acquisition, except for the change in composition of the RF&P Board. Further, the five new directors appointed by Epps and Finn were not affiliated with VRS or SHI. Based on the above evidence, and considering the absence of any evidence that RF&P is a sham corporation, we hold that the trial court erred in concluding that the RF&P Board is a “public body” subject to the Act.
III.
In reviewing whether the trial court erred in finding that Epps willfully and knowingly violated the Act, we initially must determine the applicable standard of proof in the trial of such cases. The Act‘s penalty provision,
finds that a violation was willfully and knowingly made, [it] shall impose upon such member in his individual capacity, whether a writ of mandamus or injunctive relief is awarded or not, a civil penalty of not less than $25 nor more than $1,000, which amount shall be paid into the State Literary Fund.
Epps argues that the trial court erred in applying the evidentiary burden of a preponderance of the evidence. She asserts that
In response, Little argues that a higher standard of proof is not warranted in proving a violation of
The General Assembly has authorized the imposition of civil penalties for violations of various statutes regulating the conduct of both public officials and private citizens.1 In none of these instances has the General Assembly stated that such statutory violations must be proved by clear and convincing evidence. In fact, these statutes occasionally specify that a preponderance standard is applicable.2 More frequently, however, the statutes are silent regarding what burden of proof should be applied.
As a general rule, civil litigants are assigned the burden of proving their cases by a preponderance of the evidence. Burks v. Webb, 199 Va. 296, 307, 99 S.E.2d 629, 638 (1957). The requirement of proof by clear and convincing evidence generally is limited to certain cases that are equitable in nature, such as suits involving fraud and misrepresentation, undue influence, estoppel, and requests for the imposition of constructive and resulting trusts. Friend, The Law of Evidence in Virginia § 9-9 (4th ed. 1993); see also Bacon v. Bacon, 3 Va. App. 484, 489, 351 S.E.2d 37, 40 (1986). The case before us involves no such equitable principles.
In addition, we find it significant that, of several statutes authorizing the imposition of civil penalties on public officials, none states that a higher standard of proof is required for enforcement of its provisions. Further, the conduct prohibited by these statutes is such that a proven violation would be at least as damaging to a public official‘s reputation as a proven violation of
The absence of language stipulating a higher standard of proof in these instances, as in the case of violations under the Act, is consistent with the policy underlying all similar statutory provisions, that of holding public officials accountable under the law for the breach of duties entrusted to them. If this Court were to apply a standard of
proof not
Further,
IV.
We next consider whether the evidence is sufficient to support the trial court‘s finding that Epps willfully and knowingly violated the Act. In accordance with
Epps argues that the evidence is insufficient to support the trial court‘s finding that she committed both a willful and a knowing violation of the Act. Specifically, she contends that there is no evidence to support the trial court‘s conclusion that she deliberately avoided becoming familiar with the Act‘s provisions. Rather, Epps asserts that, given the “uniqueness” of the relationship involving VRS, SHI, and the RF&P Board, as well as the complexity of the Act, the evidence shows only that any violations of the Act on her part arose from confusion concerning its requirements.
Little agrees that a finding of willful and knowing misconduct under the Act requires evidence of more than mere negligence. He argues, however, that the evidence is sufficient to support the trial court‘s conclusion that Epps‘s conduct was willful and knowing, in
that it was based on a “conscious failure to familiarize herself with the [Act].”
The terms “willfully” and “knowingly” are separate and distinct elements that must be proved before a penalty can be imposed under
As the trial court recognized, Little not only had to prove that Epps willfully and knowingly violated the Act, but also that his own rights had been violated by her conduct. However, the trial court held that it could consider evidence of other violations not affecting Little for the limited purpose of determining Epps‘s “state of mind,” relative to her claim of good faith ignorance and confusion regarding the Act‘s provisions.
We agree with Little that the trial court could consider this evidence, since it was probative of Epps‘s knowledge of the Act and the extent to which she was on notice of the consequences of its violation. As such, this evidence was relevant to the issue whether her violation of the Act at the November 4, 1991 meeting was “knowingly made,” within the meaning of
In reaching its conclusion that Epps‘s conduct was both willful and knowing within the meaning of the Act, the trial court relied on the aggregate of Epps‘s knowledge and conduct, rather than on any one incident. Further, the trial court rejected Epps‘s assertion that her conduct resulted from confusion in interpreting the Act. The trial court stated, in part, that
there is nothing complex about the [requirement in
Code § 2.1-343 ] that public meetings be open to non-interfering photography . . . ; and there is nothing complex about the requirement that meetings of three or more members of a public body (or two, if that number constitutes a quorum), called to discuss business of that public body, be open to the public unless formally held in executive session . . . .
The trial court made a factual finding that the November 4, 1991 meeting was both a SHI and a VRS Board meeting from the outset. This finding, in large part, was based on the trial court‘s assessment of the credibility of Epps‘s explanation that the meeting was not called to discuss any VRS business, and that she was shocked when all the VRS directors appeared at the meeting. The trial court found that it could not accept Epps‘s explanation, given the significance of the RF&P investment to SHI and VRS. The court also found it doubtful that, given the relationship between SHI and VRS, Epps could believe that SHI‘s business was separable from VRS‘s business.
Finally, the trial court deemed Epps‘s testimony that she had never read the entire Act “a remarkable admission for a VRS Chairperson in light of past . . . litigation [under the Act] involving the VRS.” Thus, the court concluded that Epps had made a “conscious decision to avoid familiarity with [the Act].”
As trier of fact, the trial court is the judge of the credibility of the witnesses. Cheatham v. Gregory, 227 Va. 1, 4, 313 S.E.2d 368, 370 (1984). Its finding is not to be set aside on appeal unless it is plainly wrong. Morris v. Mosby, 227 Va. 517, 522, 317 S.E.2d 493, 497 (1984). Here, the trial court concluded that, given Epps‘s prior knowledge of the content of the Act and of its significance, her actions as VRS Board Chair could not be reconciled with her assertion of good faith ignorance. We cannot say, as a matter of law, that this assessment of Epps‘s credibility was plainly wrong.
The evidence also showed that Epps knew VRS Board meetings are subject to the notice provisions of the Act, that she knew no notice was given regarding a VRS Board meeting on November 4, 1991, and that she knew VRS business was being discussed openly at that meeting, which she and all the other VRS Board members attended. Thus, once the trial court rejected Epps‘s explanation of the reasons for her conduct, the evidence concerning her actions, when viewed in the context of her prior exposure to the Act and her notice of VRS‘s past violations, was sufficient to support the court‘s judgment. Therefore, we affirm its holding that Epps willfully and knowingly violated the Act.4
V.
VRS and SHI argue that the trial court erred in failing to substantially discount the attorney‘s fees claimed by Little in his action against them.
[i]f the court finds the denial [of rights and privileges] to be in violation of the provisions of this chapter, the petitioner shall be entitled to recover reasonable costs and attorney‘s fees from the public body if the petitioner substantially prevails on the merits of the case, unless special circumstances would make an award unjust.
The trial court awarded Little costs and attorney‘s fees of $133,170.55. In support of his request for costs and attorney‘s fees, Little submitted into evidence affidavits that included 37 pages of detailed billing records relating to this case. Little also submitted into evidence affidavits of two Richmond attorneys who attested to the reasonableness of the fees requested. VRS and SHI, however, failed to offer any evidence regarding the reasonableness of Little‘s request for costs and fees.
Under
(1992); Mullins v. Richlands Nat‘l Bank, 241 Va. 447, 449, 403 S.E.2d 334, 335 (1991). Since the affidavits and time records submitted by Little were wholly unrefuted by any evidence offered by VRS and SHI, we hold that the amount fixed by the trial court is supported by the evidence in this case, and we find no abuse of discretion in the trial court‘s award. See Tazewell Oil, 243 Va. at 112, 413 S.E.2d at 621.5
For these reasons, we will affirm the judgment of the trial court that Epps violated the Act and its award of costs and attorney‘s fees to Little; we will reverse the trial court‘s judgment concerning the RF&P Board and enter final judgment in favor of RF&P.
Record No. 930376 - Reversed and final judgment.
Record No. 930379 - Affirmed.
CHIEF JUSTICE CARRICO, with whom JUSTICE HASSELL joins, dissenting.
With respect to the trial court‘s finding that the chair of the board of trustees of the Virginia Retirement System violated the Virginia Freedom of Information Act, I would hold that the court erred in applying a burden of proof by a preponderance of the evidence. The Act requires a finding that a violation has been willfully and knowingly made, and I think the necessity for such a finding calls for a higher burden of proof.
I would require proof of a violation by clear and convincing evidence. And, judged by that standard, the evidence, in my opinion, falls far short of establishing a willful and knowing violation of the Act. Indeed, it seems to me that one has to struggle mightily to make out a violation by a preponderance of the evidence, much less by clear and convincing evidence.
Accordingly, I would reverse the finding that the chair of the board of trustees of the Virginia Retirement System willfully and knowingly violated the Act. And, since I agree with the majority that the trial court erred in ruling that the RF&P board is a
