WASSERMAN v. FRANKLIN COUNTY.
S23G1029
Supreme Court of Georgia
320 Ga. 624
PINSON, Justice.
FINAL COPY
The
Our standing holding in SCV requires us to revisit an earlier
I. Background
Sherran Wasserman agreed to sell land in Franklin County to Anthony Pham. The sale was contingent on the approval by the Franklin County Board of Commissioners of a conditional use permit that would allow Pham to build and operate chicken houses on the property. Pham applied for the permit, but after a public hearing, the Board voted unanimously to deny the application.
After a hearing, the trial court denied summary judgment. As
The Court of Appeals reversed. Like the trial court, the Court of Appeals assessed whether Wasserman had standing to assert Pham’s equal protection rights by applying the federal doctrine of third-party standing. Franklin County v. Wasserman, 367 Ga. App. 694, 696-697 (1) (888 SE2d 219) (2023).1 But the Court of Appeals
rejected the trial court’s conclusion that issues of fact precluded summary judgment on that question, concluding as a matter of law that Wasserman had not shown a sufficiently “close relationship” with Pham or that he faced a hindrance to bringing his own equal protection claim. Id. at 697 (1). The Court of Appeals went on to conclude that Wasserman’s “class of one” claim could be rejected as a matter of law. Id. at 699 (2).
Wasserman asked us to review the Court of Appeals’s conclusion that she lacked standing to assert Pham’s equal-protection rights.2 We granted review to consider whether a plaintiff may properly rely on the federal doctrine of third-party standing to establish constitutional standing in Georgia courts.3
II. Constitutional Standing
Time and again we have criticized our own past practice of
Just so with constitutional standing, the doctrine that polices constitutional limits on the judicial power. In the past, this Court has “uncritically adopted” certain aspects of federal standing doctrine. SCV, 315 Ga. at 45 (2) (a). But in our recent decision in SCV, we questioned and then put a stop to that practice, at least with respect to questions of constitutional standing in Georgia courts. As we explained there, federal standing doctrine is grounded in the
Although SCV put an end to our old borrowing practice, leftovers remain. One is the federal doctrine of “third-party standing,” which allows a plaintiff to bring a lawsuit by “asserting the rights of a third party” instead of her own, as long as she can meet a three-part test. See, e.g., Powers v. Ohio, 499 U.S. 400, 411 (III) (111 SCt 1364, 113 LE2d 411) (1991). This Court uncritically imported that doctrine into our law less than 18 years ago, see Burgess, 282 Ga. at 434-435 (1), and so the courts below applied it here. Having now discarded federal standing doctrine as a proper source of rules of constitutional standing in favor of our own Constitution, we must ask whether the borrowed federal doctrine of third-party standing survives as a rule of standing in Georgia courts. That might be so for one of two reasons: That theory of standing might pass muster under Georgia’s own doctrine of constitutional standing. Or, if not, stare decisis might compel us to retain the precedent that borrowed the
A. Georgia’s Law of Constitutional Standing
We start with the question whether a plaintiff may establish constitutional standing in Georgia courts under a theory of standing that looks like federal third-party standing. This is a question of constitutional construction. The doctrine of standing polices longstanding limits on a court’s power to resolve legal disputes, and in Georgia, this power — the “judicial power” — is conferred by our state
We have already established the framework for doing this constitutional construction. In SCV, we explained that
The subject of this analysis is the federal doctrine of third-party standing. That doctrine allows a plaintiff to ask a federal court to decide the legal rights of a party not before the court rather than the plaintiff’s own legal rights, as long as the plaintiff can establish an “injury in fact” and, at least in some cases, a “close relation” to
This is a different question from the ones we had to answer in SCV, where we considered whether our Constitution imposes jurisdictional standing requirements in the first place (and if so, who had standing to sue to enforce the public rights at issue there). But the construction work we did in SCV goes a long way toward answering whether a plaintiff has standing under a federal-third-party-standing theory in Georgia courts. As we determined there, both the relevant legal context (mostly the common law) and our later decisional law make clear that, at a minimum, a plaintiff must assert a violation of her legal rights — either her own private right, or a public right shared by the relevant community — to invoke the judicial power of Georgia courts, and that a plaintiff cannot establish standing by asserting merely factual harm or damage. See SCV, 315 Ga. at 62 (2) (c) (iii). So we start here by reviewing the evidence of these conclusions, with our focus trained on the implications for a plaintiff asserting a theory of third-party standing. We then move beyond the scope of SCV’s inquiry and consider directly whether anything in the
1. Minimum Standing Requirements
(a) Common Law
The reach of the “judicial power” is informed in the first instance by the legal backdrop against which it was first granted to Georgia courts in 1798. See SCV, 315 Ga. at 46 (2) (a). In 1798, that legal backdrop was largely made up of the common law.4 So the kinds of actions courts could (and could not) hear at common law are “the most critical context” of the reach of the judicial power of Georgia courts. Id. at 47 (2) (a).
At common law, actions could be classified into two broad categories: actions to resolve private rights, and actions to resolve public rights. See, e.g., 3 William Blackstone, Commentaries on the Laws of England *2 (1768) (dividing “wrongs” into “two sorts or
(i) Private Rights
We have explained before that private rights are “those belonging to an individual as an individual.” SCV, 315 Ga. at 47 (2) (a) (citing 3 Blackstone, Commentaries *2). See also 1 Blackstone, Commentaries *119 (also describing private rights as “absolute” rights that “appertain[ed] and belong[ed] to particular men[ ] merely as individuals”). According to Blackstone, at common law such private rights included three categories of “absolute” rights: a person’s rights to “personal security,” “personal liberty,” and “private
At common law, it was well understood that a core function of the courts was to resolve disputes about private rights. See SCV, 315 Ga. at 47-48 (2) (a) (“Resolving private-rights disputes has been historically recognized as ‘the core’ of judicial power.”); Marbury v. Madison, 5 U.S. (1 Cranch) 137, 170 (2 LE 60) (1803) (“The province of the court is, solely, to decide on the rights of individuals.”); 3 Blackstone, Commentaries *2 (“The more effectually to accomplish the redress of private injuries, courts of justice are instituted in every civilized society.”). As Blackstone put it, if wrongs were “considered as merely a [de]privation of right, the one natural remedy for every species of wrong is the being put in possession of that right, whereof the party injured is deprived.” Id. at *116. And a person could obtain this remedy — whether through specific performance or the payment of damages — by bringing to court “a diversity of suits and actions,” which were simply “the lawful demand of one’s right.” Id. See also 1 Blackstone, Commentaries *137 (stating that a “right of every Englishman is that of applying to the courts of justice
Given that actions in court were understood as the way to settle disputed private rights, the minimum requirement to maintain such an action is not surprising: a plaintiff needed to assert that her rights had been invaded. Two kinds of evidence from the common law make this clear.
First, common law courts would allow plaintiffs to maintain an action whenever they asserted the violation of their private rights, even when they did not seek or try to prove actual harm or damage. In such cases, if the plaintiff could establish the violation of her rights, that was enough to prevail: courts would vindicate the plaintiff’s rights by awarding at least nominal damages, a trivial sum that reflected that the plaintiff had proved the violation of her rights. And this was true for all kinds of actions at common law — torts, trespass, violation of riparian rights, infringement of voting
Second, although plaintiffs could maintain an action by asserting a violation of their rights without asserting actual damage, the opposite — asserting damage without asserting a violation of their
rights — would not suffice. This was the meaning of the common law principle that no action would lie for damnum absque injuria, or “damage without injury.” At common law, the term “damage” referred to the real-world harm suffered by a party, while “injury” typically referred to a legal injury: the violation of a legal right. See, e.g., Cable v. Rogers, 81 Eng. Rep. 259, 3 Bulst. 311, 312 (K.B. 1625) (“[I]njuria & damnum [injury and damage] are the two grounds for the having [of] all actions, and without these, no action lieth.“);6 Burton v. Thompson, 97 Eng. Rep. 500, 2 Burr. 664 (K.B. 1758) (saying that “I do not think we ought to interfere, merely to give the plaintiff [a new trial] where there has been no real damage, and where the injury is so trivial as not to deserve above a half crown compensation,” thus recognizing that there was still a legal injury since the evidence in the case showed that a right was violated); 3 Blackstone,
injury, legally speaking, consists of a wrong done to a person, or, in other words, a violation of his right. It is an ancient maxim, that a damage to one, without an injury in this sense (damnum absque injuria), does not lay the foundation of an action; because, if the act complained of does not violate any of his legal rights, it is obvious, that he has no cause to complain.
Ala. Power Co., 302 U.S. at 479 (quoting Parker v. Griswold, 17 Conn. 288, 302-303 (1845)). Describing that same common law
(ii) Public Rights
In contrast to private rights, public rights have been described as those rights that are shared by “the whole community, considered as a community, in its social aggregate capacity.” 4 Blackstone, Commentaries *5. As we have explained before, “[c]lassic examples” of public rights include “the public‘s shared rights to navigate public waters and use public highways,” “[t]he right to enforce compliance with penal law,” and “proprietary rights held by government on
At common law, many actions to vindicate public rights could not be brought by private parties at all. In fact, Blackstone largely equated “breach[es] and violation[s] of public rights and duties” (which he called “public wrongs“) with “crimes and misdemeanors,” and he explained that “the king, who ‘is supposed by the law to be the person injured by every infraction of the public right belonging to that community,’ is the ‘proper prosecutor‘” to vindicate those public rights. SCV, 315 Ga. at 48 (2) (a) (quoting 3 Blackstone, Commentaries *2; 4 Blackstone, Commentaries *2). The “king in his public capacity of supreme governor” was also generally the only party who could “have an action” for public nuisance. 3 Blackstone, Commentaries *219-220.
That said, the law sometimes granted private parties a right to
*
So, to recap: At the time Georgia adopted the English common law as its own, a plaintiff at common law could maintain an action in civil court to vindicate her private rights and, as a member of the public, certain public rights. To maintain an action to vindicate a private right, a plaintiff had to assert her own private right. To bring suit in a public rights case, the plaintiff had to assert at a minimum that she held the public right as a member of the public.
(b) Decisional Law
These common law rules were the main legal backdrop against which our Constitution granted the “judicial power” to Georgia courts in 1798. See SCV, 315 Ga. at 46 (2) (a). And since that time, as this Court has had occasion to consider the scope of that power, we have recognized rules for maintaining an action that are consistent with these common law rules: in particular, that a plaintiff must assert that a legal right of hers is at stake to maintain an action, and that alleging mere factual harm or damage is not sufficient.
In fact, we recognized both of these rules in one of this Court‘s earliest decisions. In Hendrick v. Cook, 4 Ga. 241, 263-264 (4) (1848), a riparian-rights case, we rejected the argument that a property owner could not maintain an action against mill owners for causing a stream to overflow onto the property owner‘s land because he had not proved “perceptible damage.” In doing so, we explained that “according to our understanding of the principles of the Common Law, whenever there has been an illegal invasion of the rights of another,
Over the years leading up to the ratification of our current Constitution in 1983, our decisions continued to recognize and apply
At common law, the rule that a plaintiff had to assert her own
2. Third-Party Standing
Having confirmed that a plaintiff cannot invoke the judicial power of Georgia courts without asserting a violation of her own legal rights as a general matter, we turn to so-called “third-party standing.” As we explained above, the federal doctrine of third-party standing allows a plaintiff to maintain an action by asserting that rights of another person who is not a party to the litigation have been violated, as long as he can establish an “injury in fact,” a “close
This theory of third-party standing can satisfy federal standing rules in federal court because of the way federal standing doctrine has evolved. For many years, federal standing doctrine looked a lot like Georgia‘s constitutional standing requirements described above: “it was well-understood, and had been for decades, that a plaintiff could sue only for the violation of a legal right—‘one of property, one arising out of contract, one protected against tortious invasion, or one founded on a statute which confers a privilege.‘” Sierra, 996 F.3d at 1117 (I) (B) (Newsom, J., concurring) (quoting Tenn. Elec. Power Co., 306 U.S. at 137-138). See also Henry P. Monaghan, Third Party Standing, 84 Colum. L. Rev. 277, 286 (II) (A) (1984) (“The rule that a litigant has standing to raise only his ‘own’ rights has a long
This standing landscape in federal courts is different from Georgia‘s at a fundamental level. The requirement that a plaintiff must assert a violation of her rights to maintain an action in Georgia courts is not a prudential rule subject to judge-made exceptions; it is the bedrock requirement for invoking the judicial power granted by the Georgia Constitution. So, at least on its face, Georgia‘s law of constitutional standing is not compatible with federal-style third-party standing, which would allow a plaintiff to maintain an action in Georgia courts without meeting the irreducible minimum requirement for doing so: asserting the plaintiff‘s own legal rights.
And as it turns out, that conclusion is confirmed by this Court‘s decisions spanning many decades leading up to the ratification of
In several decisions around the turn of the twentieth century, we rejected attempts by plaintiffs to vindicate legal rights or interests held by nonparties because they had asserted no legal right of their own that would have been sufficient to maintain the action. In Reid v. Town of Eatonton, for example, this Court refused to decide the merits of a white plaintiff‘s claim that a town‘s bond sale unconstitutionally discriminated against black residents, because he did not allege that any of his own rights were affected by the bond sale. See 80 Ga. at 757 (1) (“A court will not listen to an objection made to the constitutionality of an act by a party whose rights it does not affect, and who has, therefore, no interest in defeating it.” (quoting Thomas M. Cooley, A Treatise on the Constitutional Limitations Which Rest Upon the Legislative Power of the States of the American Union 197 (5th ed. 1883)) (punctuation omitted)). We applied Reid‘s rule a few years later in Braswell v. Equitable Mortg. Co., where we dismissed an estate administrator‘s challenge on appeal to the validity of a deed held by a mortgage company after the estate
After this Court‘s string of consistent decisions establishing this rule against bringing actions to vindicate the rights of nonparties, the Court of Appeals was created, and it correctly applied this “well settled” rule for decades, mostly in the context of property-based actions. See, e.g., S. Ry. Co. v. Strozier & Waters, 10 Ga. App. 157, 158 (73 SE 42) (1911) (citing Mitchell, 111 Ga. at 760); Dobbs v. Bell Laundry, 25 Ga. App. 734, 734-735 (105 SE 53) (1920) (plaintiff who was an agent of property‘s true owner could not maintain an action); Paschal v. Godley, 34 Ga. App. 321, 322 (129 SE 565) (1925) (same); Andrew v. George Muse Clothing Co., 44 Ga. App. 291, 292 (161 SE 296) (1931) (same); Eibel v. Mechs. Loan & Sav. Co., 52 Ga. App. 349, 351 (183 SE 133) (1935) (legal title had passed to vendee,
As the century marched on, this Court continued to apply the
In sum, neither the common law nor our body of decisional law that followed leaves room for a theory of standing like the federal doctrine of third-party standing to properly invoke the judicial power of Georgia courts. To the contrary, our decisions reflect a consistent understanding that a plaintiff must assert her own legal rights to have a Georgia court resolve a dispute about the relative rights of the parties to an action, and we have consistently rejected
B. Stare Decisis
Given this conclusion, we must consider stare decisis. As we just determined, properly understood, the judicial power of our courts may not be invoked by a plaintiff who seeks to maintain an action by asserting only the rights of a nonparty, as the federal doctrine of third-party standing would allow. Indeed, the parties and the Attorney General appearing as an amicus here agree on that much. Even Wasserman has now acknowledged in briefing to this Court that a plaintiff must show a “violation of his or her own rights” to establish standing in Georgia courts. Nonetheless, this Court uncritically imported the federal doctrine of third-party standing in 2007, see Burgess, 282 Ga. at 434-436 (1), well after our current Constitution was ratified. So we must decide whether principles of stare decisis compel us to retain the precedent that borrowed the federal doctrine.
1. Principles of Stare Decisis
When we consider whether to follow one of our past decisions,
“In rare cases, however, following a past decision would do more harm to the rule of law than overruling it would.” Johnson, 315 Ga. at 887 (3). See also, e.g., Ellison v. Ga. R.R. & Banking Co., 87 Ga. 691, 696 (13 SE 809) (1891) (explaining that stare decisis preserves “[m]inor errors, even if quite obvious, or important errors, if
Some of those features bear quite directly on rule-of-law concerns. As a threshold matter, precedents that are not just wrong but “unreasoned,” or which “disregard[ ] the basic legal principles that courts use to do law,” are ripe for overruling. Floam, 319 Ga. at 94 (1) n.5 (quoting Ammons, 315 Ga. at 171-172 (1)). See also, e.g., State v. Jackson, 287 Ga. 646, 653 (3) (697 SE2d 757) (2010); Gilliam v. State, 312 Ga. 60, 63 (860 SE2d 543) (2021); State v. Hudson, 293 Ga. 656, 661-662 (748 SE2d 910) (2013); Nalls v. State, 304 Ga. 168, 179 (3) (b) (815 SE2d 38) (2018). Such precedents embody just the
In addition to those concerns driven by respect for the rule of law, we have considered a limited set of more practical consequences when applying stare decisis. First, we have long considered so-called “reliance interests“: at the least, when parties have long relied on a legal rule in making decisions affecting property or contract rights, courts are especially hesitant to unsettle precedents that could disrupt or destroy such thought-to-be-settled rights. Olevik, 302 Ga. at 245 (2) (c) (iv). See, e.g., Leary v. Durham, 4 Ga. 593, 600-601 (1848) (in applying stare decisis to preserve a precedent, explaining that
Second, although the age of a precedent by itself is a poor gauge of whether it should be retained, a legal rule might be so “deeply entrenched” in the body of law that trying to dig it out would do more harm than good. Frett v. State Farm Emp. Workers’ Comp., 309 Ga. 44, 60 (3) (c) (844 SE2d 749) (2020). See also Cook, 313 Ga. at 510-511 (1) (Peterson, J., dissenting). Third, we have “typically applied stare decisis with less force” to precedents that interpret a constitutional provision than to precedents that interpret statutes, reasoning that it is harder as a practical matter for the people to correct constitutional precedents. Floam, 319 Ga. at 94 (1) n.5.
These considerations are guideposts, not a mechanical formula or a multi-factor test. At bottom, the question whether to overrule a precedent comes down to whether getting the law right is worth the cost to the rule of law of unsettling what had been settled. See Olevik, 302 Ga. at 245 (2) (c) (iv). For the overwhelming majority of
2. Application of Stare Decisis
For a number of reasons, this Court‘s precedent that adopted the federal doctrine of third-party standing is one of those rare cases.
As a threshold matter, decisions that uncritically import into Georgia law holdings of federal courts about federal law fall into the category of unreasoned and arbitrary decisions that we have been more willing to reconsider. See Ammons, 315 Ga. at 171-172 (1). Such federal-law holdings might be consistent with Georgia law, or they might not. But importing them without even checking first (at the least, taking a stab at interpreting the relevant language of Georgia law and showing our work) is little better than picking a rule out of a hat. See Buckner-Webb, 314 Ga. at 834 (1). And that arbitrary approach is a far cry from the kind of “actual legal reasoning” that, consistent with the rule of law, courts are expected to do.
This Court‘s uncritical adoption of federal third-party standing is made worse by its especially poor fit with the body of Georgia law. As explained above, that doctrine is not compatible with Georgia‘s well-settled constitutional standing rule that a plaintiff must assert her own rights to maintain an action. That bedrock limit on the judicial power, which is rooted in the common law and cemented in an unbroken line of precedent leading up to the ratification of our current Constitution, would be ignored every time a court allowed a plaintiff without any right at stake to assert the rights of a party not before the court. Call that what you will — a “departure from,” “inconsistent” or “dissonant with,” “contrary to,” or an “aberration in” our law of constitutional standing — it is not a state of affairs that ought to persist in a system that is supposed to treat like cases alike.
Finally, none of the practical consequences this Court has considered cut in favor of preserving this federal doctrine as part of Georgia law. No party has identified (nor are we aware of) any
For all these reasons, stare decisis does not spare the federal doctrine of third-party standing that we uncritically imported in Burgess. So we overrule that decision‘s adoption of the federal doctrine of third-party standing and the handful of later decisions to the extent they hold that a plaintiff may rely on the federal doctrine
*
Now that the federal doctrine of third-party standing is no longer a part of Georgia‘s law of constitutional standing, a plaintiff may not maintain an action in Georgia courts by asserting only the rights of a third party and meeting the elements of the federal test. Instead, at a minimum, a plaintiff must assert her own rights to maintain an action in Georgia courts.15
III. Application
Wasserman does not appear to dispute our basic conclusions about the nature of our constitutional standing requirements. Instead, Wasserman raises arguments that she still has standing to assert Pham‘s federal equal protection rights in Georgia courts. First, relying on the Supremacy Clause of the United States Constitution, Wasserman contends that Georgia‘s constitutional standing requirements are either unconstitutional or preempted to the extent that their application would prevent her from having her federal claim under
A. Supremacy Clause
In our federalist system, the States “have great latitude to establish the structure and jurisdiction of their own courts.” Howlett ex rel. Howlett v. Rose, 496 U.S. 356, 372 (III) (3) (110 SCt 2430, 110 LE2d 332) (1990). So “[t]he general rule, ‘bottomed deeply in belief in the importance of state control of state judicial procedure, is that federal law takes the state courts as it finds them.‘” Id. That said, a state may not simply decline to recognize federal law, including federal causes of action like the one provided by
The United States Supreme Court has applied these principles in a line of decisions addressing challenges under the Supremacy
Georgia‘s constitutional standing requirements are the second kind of rule. As we explained above, the constitutional rule that a plaintiff must assert her own rights to maintain an action has long been understood as a limitation on the judicial power of our courts. See SCV, 315 Ga. at 44 (2) (a), 50 (2) (b). And unlike the state rules that the Supreme Court has found wanting in its Supremacy Clause decisions, there is no serious argument that this constitutional standing rule targets or discriminates against federal rights or causes of action in any way. If a plaintiff brings a claim in Georgia courts asserting only the rights of a nonparty, a Georgia court lacks the power to adjudicate that claim, regardless of whether the rights asserted or the cause of action come from state or federal law. Compare Haywood, 556 U.S. at 739, 741-742 (IV) (deeming “unconstitutional” a “unique scheme adopted by the State of New York” that
B. Constitutional Standing
In a supplemental brief filed after oral argument at this Court‘s request, Wasserman contended that she has constitutional standing to assert Pham‘s equal protection rights as her own because he assigned any such claim to her in an agreement that assigned Wasserman his “rights under the Application” for the conditional use permit.17 Although our holding today does not disturb existing Georgia law on asserting assigned claims, see, e.g.,
Judgment vacated and case remanded with direction. All the Justices concur.
Certiorari to the Court of Appeals of Georgia — 367 Ga. App. 694.
George E. Butler II, for appellant.
Buckley Christopher & Hensel, Timothy J. Buckley III, Eric J. O‘Brien, for appellee.
Christopher M. Carr, Attorney General, Stephen J. Petrany, Solicitor-General, Ross W. Bergethon, Deputy Solicitor General, amici curiae.
