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8637cc97-865a-4bd5-bb40-93eb099706dc | Ex parte Don Davis | null | 1140456 | alabama | Alabama Supreme Court | STATE OF ALABAMA -- JUDICIAL DEPARTMENT
THE SUPREME COURT
OCTOBER TERM, 2014-2015
1140456
Ex parte Don Davis,
Judge of Mobile County Probate Court
oRDER
The petition filed in this Court by the Mobile County
Probate Judge on February 9, 2015, in substance is a request
for an advisory opinion. Section 12-2-10, Ala. Code 1975,
authorizes this Court to address requests for advisory
opinions fron only the Governor or the Legislature. See
opinion of the Justices No, 199, 286 Ala. 156, 158, 238 So. 2d
326, 327 (1970). Because this Court is not authorized to
address this petition, the petition is dismissed,
PETITION DISMISSED
stuart, Main, Wise, and Bryan, JJ., concur.
Bolin, Murdock, and Shaw, JJ., concur specially.
Parker, J., concurs in the result
Moore, C.d., recuses himself.
hherowith set out as same appear(s) of recordin aid
Wiese my hae this Ly op orcs 1
conccloerlonn asta
1140456
BOLIN, Justice (concurring specially).
“What has been an orderly process, I suspect, will soon
resemble a three-ring circus." Tyson v. Macon Cnty, Greyhound
Kk, Inc., 43 So, 3d 587, 595 (Ala, 2010) (Woodall,
dissenting). Admittedly this quotation is taken out of
context. From the perspective of a probate judge in Alabama,
however, the events that have unfolded subsequent to the
issuance of the memorandum opinion and order by United States
District Judge Callie S$. Granade, in the United states
District Court for the Southern District of Alabama, Southern
Division, in Civil Action No. 14-0208-cG-N surely brings to
mind this quotation. I do not intend to trivialize the
important constitutional questions presented by this
controversy, but the unfortunate path this litigation has
taken so far has resulted in mass confusion that I suspect has
led the public to wonder what has happened to the orderly rule
of law.
As a former probate judge, I am aware of the many duties
imposed by law upon the office of probate judge, only one of
waich is judicial. Some of the other "hats" worn by some or
all probate judges include being the keeper of records and
1140456
documents that must be maintained for posterity, serving as
the chief election official of the county in all elections,
and, although this particularly may vary from county to
county, issuing a variety of licenses, e.g., hunting licenses,
fishing licenses, driver's license renewals, automobile-tag
renewals, and marriage licenses.
Although I concur fully with the dismissal of the action
herein, as will be addressed further below I am disappointed
and concerned that, amongst everyone heretofore connected with
the constitutional issues and the litigation, nowhere has
there been a probate judge with a seat as a party at any of
these proceedings, except for Mobile County Probate Judge Don
Davis, who was diemissed from the proceedings on duly 25,
2014, and added again as a party on February 10, 2015. The
only two judicial participants who exercised wisdom,
restraint, and discretion on the record were United states
Supreme Court Justices Thomas and Scalia. I specifically refer
to Justice Thomas's dissent to the United states Supreme
Court's denial of a stay in the federal court matter, which
Justice Scalia joined and which states as follows:
wThe Attomey General of Alabama asked us to
stay a federal injunction preventing him from
1140456 '
enforcing several provisions of Alabama law defining
marriage as a legal union of one man and one woman
pending our consideration of Obergefell v. Hodses,
No. 14-556; Tanco v. Haslam, No. 14-562; DeBoer v.
Snyder, No. 14-571; and Bourke v. Beshear, No.
14-574, Those cases are scheduled to be argued this
‘Term and present the same constitutional question at
issue here: Whether the Fourteenth Amendment
requires States to recognize unions between two
people of the same sex as a marriage under state
law.
en courts declare state laws unconstitutional \
and enjoin state officials from enforcing then, our
ordinary practice is to suspend those injunctions
from taking effect pending appellate review. see,
e.g., Herbert v. Kitchen, (Ms. 13A687, January 6,
2014] 571 U.S. (2014); see also san Diegans for
Mt, Soledad Nat War Menoxial v. Paulson, 548 9.8.
1301 (2006) (Kennedy, J., in chambers) (staying an i
injunction requiring a city to renove its religious |
memorial). Although a stay is not a matter of right,
this practice reflects the particularly strong
showing that States are often able to make in favor
of such a stay. Because States are required to i
comply with the Constitution, and indeed take care
to do so when they enact their laws, it is a rare
case in which a State will be unable to make at
least some showing of a likelihood of success on the
merits. States also easily meet the requirement of
irreparable injury, for '"{alny time a state is
enjoined by a court from effectuating statutes
enacted by representatives of its people, it suffers
a form of irreparable injury."' Maryland v, King,
(Ms. 12948, July 30, 2012] 567 U.S. (2012)
(quoting New Motor Vehicle Bd. of Cal. v. Orrin W,
Fox Co,, 434 U.S. 1345, 1351 (1977) (Rehnquist, J.,
in chambers)). The equities and public interest
likewise generally weigh in favor of enforcing duly
enacted state laws
(slip op., at 2-3) (Roberts, C.J., in chambers) |
1140456
"It was thus no surprise when we granted a stay
in eimilar circumstances a little over a year ago.
See Herbert v. Kitchen, gupra. Nor was it a surprise
when we granted a stay in similar circumstances less
than six months ago. McQuigg v, Bostic, [Ms. 140196,
Aug. 20, 2014] 573 U.S. _ (2024). Those decisions
reflected the appropriaté respect we owe to States
as sovereigns and to the people of those States who
approved those laws.
"This application should have been treated no
differently. That the Court more recently denied
several stay applications in this context is of no
moment. Those denials followed this Court's decision
in October not to review seven petitions seeking
further review of lower court judgments invalidating
state marriage laws. Although I disagreed with the
decisions to deny those applications, Armstrong v.
Brenner, ante, p. __; Hilson v. Condon, ante, D. _i
Moser v. Marie, ake, p. __, 1 acknowledge that
there was at least an argument that the October
decision justified an inference that the Court would
be less likely to grant a writ of certiorari to
consider subsequent petitions. That argument is no
longer credible. The Court has now granted a writ of
certiorari to review these important issues and will
do so by the end of the Term. The Attorney General
of Alabama is thus in an even better position than
the applicant to whom we granted a stay in Herbert
yet rather than treat like applicants alike,
the Court looks the other way as yet another Federal
District Judge caste aside state laws without making
any effort to preserve the status quo pending the
Court's resolution of a constitutional question it
left open in United States v. Windsor, [Ms. 12-307,
June 26, 2013] 570 U.S (2013) (slip op., at
25-26). This acquiescence may well be seen as a
signal of the Court's intended resolution of that
question. This is not the proper way to discharge
our Article III responsibilities. And, it is
1140456
indecorous for this Court to pretend that it is.
Today's decision represents yet another example
this rt's increasingly cavi
toward the States. Over the past few montns, the
Court has repeatedly denied stays of lower court
judgments enjoining the enforcement of state laws on
questionable constitutional grounds. See, e.g.,
Mari ey v z-Valenzuela, (Ms. 140493,
Nov. 13, 2014) 574 U.S. __, (2014) (slip op.,
at 2) (Thomas, J., joined by Scalia, J., respecting
denial of application for stay) (collecting cases)
It has similarly declined to grant certiorari to
review such judgments without any regard for the
people who approved those laws in popular
referendums or the elected representatives who voted
for them. In this case, the Court refuses even to
grant a temporary stay when it will resolve the
issue at hand in several months.
"I respectfully dissent from the denial of this
application. I_would have shown the people of
Alabama the x: they deserve and preserved the
1 Et resol: his important
constitutional question."
Strange v. Searcy, [Ms. 140840, February 9, 2015] 574 U.S
, —— (2015) (emphasis addeq) .
The highly emotional issue involved in the federal
proceeding, on both sides of the argument, it appears will be
decided only by the United states supreme Court. The
plaintiffs in the two cases decided by the federal district
court could have joined the various probate judges in the
State as parties, if nothing else, as relief parties. For
1404s
chat matter, the federal district court could have provided
chat the probate judges were made defendants. see Rules 19
and 20, Fed. 8. Civ. P, (allowing for joinder and permissive
joinder, respectively). This would have allowed the probate
judges notice and an opportunity to be heard. Rather, the
only probate judge made an original party to the federal court
action was Judge Davis, the petitioner in the instant
proceeding, who was later dismissed from that action with
prejudice and who has now been added as a party again, The
federal district judge in her order acknowledged both that the
united states Supreme Court has granted certiorari in a case
to be decided in this Term of Court and that that case will
"definitively" decide the important constitutional issues
involved, However, the same federal district court denied a
stay past February 9, 2015, although the definitive decision
lies just four months ahead. rt is my judgment that the
united states Court of Appeals for the Eleventh Circuit, with
due respect, also contributed to the resulting confusion by
refusing to take further action in this and similar same-sex-
marriage cases in that circuit until the United States Supreme
Court issues a decision and by denying a stay of the federal
1140456
court matter before Judge Granade. While all of the above was
occurring, the Chief Justice of the Alabama Supreme Court sent
a letter to the probate judges giving them advice on how to
address this issue, together with a memorandum of law, and
finally issued an order to the probate judges on the eve of
yn of the federal court's temporary stay that
the expiral
reflected a view of the law that directly conflicted with the
federal judge's view of the law as espoused in her order.
The ensuing legal "circus" has left the probate judges,
who had no voice or opportunity to be heard in this matter,
an untenable position -- caught between a federal district
judge's order, the statewide precedential value of which is
uncertain, and an order from the Chief Justice of the Alabama
Supreme Court. If the term "circus" is hyperbole, the current
predicament at least qualifies as a "darned if I do, darned if
1 don't" dilemma for the probate judges, and this is no way to
wisely, fairly, and deliberately administer justice.
‘The Chief Justice has wide powers pursuant to § 12-2-
30(b) (7) and (8), Ala, Code 1975, but the question arises as
to whether those powers apply to probate judges’
administrative, as opposed to judicial, actions. should a
1140456
probate judge follow the order of the chief judicial officer
in the State of Alabama? Or should the probate judge follow
an order of a federal district judge, of which he or she has
possibly been made aware by media or by word of mouth through
his or her professional association, not by having had a seat
at the table in the courtroom as a party? There are many
federal district judges in the three federal districts in
Alabama, From a precedential standpoint, what happens if the
which
opinions of two federal district judges conflict:
opinion, if either, would be the binding precedent on a
federal question? who wins if there is a conflict between a
federal court order and a state-court opinion on a federal
question? Although I do not agree with the entirety of the
article, these questions were recently examined in the
introduction to that article in the Vanderbilt Law Review,
which does state correctly the following pivotal questions:
"Lower federal court precedent cannot bind state
courts, or so we are told, Most state courts assert
that they are free to reach their own conclusions
about the meaning of federal law, even when doing so
creates a conflict with the federal court of appeals
presiding over the geographic region in which they
sit. Several federal circuits have conceded that
their decisions are not binding on state courts,
and, in concurring opinions, two justices have
emphatically agreed. A number of federal courts
1140456
scholars have declared that state courts need not
follow lower federal court precedent because state
courts are ‘coordinate’ with lower federal courts
and not ‘subordinate! to them.
‘and yet, upon closer inspection, the role of
lower federal court precedent in state court
decisionmaking remains unclear. A few state courts
appear to believe that they are bound to follow the
decisions of the federal courts of appeals on
questions of federal law, and many others have
issued inconsistent opinions on that question. The
U.S. Courts of Appeals for the Bighth and Ninth
Circuits claim that state courts must follow their
lead on federal questions, creating a circuit split
that has never been resolved by the Supreme Court.
only a handful of legal scholars have opined on the
matter, and most have done so in passing in articles
devoted to other subjects. Remarkably, then, this
significant question about the interplay between the
state and federal judicial systems lingers
anresolved more than two-hundred years after the
Constitution's ratification. t
"the xelationship between the lower federal
courts and the state courts raises foundational
questions about the place of those federal courts in
Gur constitutional structure, Are the lower federal
rts’ interpretatis f_federal lay
i the
Supreme Col
Alternatively, are state _and lower federal courts |
soequals under the Constitution such that neithe:
1_the other's ruling:
‘the Supreme Court have the constitutional authority
fo Tequire that stare courte follow lower federal
Z
oR
‘sourt_pr 2 i inci ft
federalien forbid ouch intexference with state
institutions, or bec: ni
Judicial independence, or both?
"similar foundational questions were
10
1140456
seventy-five years ago in Erie Railroad v, Tompkins,
[304 U.S. 64, 71 (1938),] when the Supreme Court
overruled swift v, Tyson, [41 U.S. (16 Pet.) 1, 18
(1842),] and held that federal courts must follow
state law as articulated by a state's highest court.
The Court explained that federal courts undermined
state sovereignty by failing to treat state courts’
views on state law as controlling. Although Exie
focused on the federal courts’ obligation to adopt
state common law, the decision confirmed that
federal courts ‘must follow state courts’
interpretations of state positive law as well. The
bottom line after Erie is that state courts have the
final word on the meaning of state law.
“Exie is one of a handful of iconic cases that
has shaped our understanding of not only the
relationship between state and federal courts but
s0 our entire federal system, According to John
Hart Ely, Brie ‘implicates, indeed perhaps it is,
the very essence of our federalism.’ And yet Brie
left the job half done. The case tells us how
federal courts should treat state courts’ precedent
on state law, but it does not address how state
courts should respond to federal courts’
interpretation of federal law. Of course, some might
argue that Exie supports the conclusion that state
courts are bound only by the Supreme Court on
questions of federal law, just as federal courts are
required to follow only the precedent of the highest
court of the state on questions of state law. And
yet the unique and limited role of the Supreme Court
creates a significant disjunction: the Court cannot
quickly resolve disputes between state and federal
courts on the meaning of federal law, leaving
intrastate splits to linger between these court
systems for decades.”
Amanda Frost, Inferiority Complex: Should State Courts Follow
Lower Federal Court Precedent on the Meaning of Federal Law?,
a
3404s
68 Vand. L. Rev. 53, 55-59 (2015) (footnotes omitted; emphasis
added) .
The purpose of this writing is not to try today to answer
the questions posed by the article quoted above. It is
offered solely to illustrate the probable angst and
consternation that each of the 68 probate judges of this state
has undergone since the federal court's order and Chief
Sustice Moore's order were issued, and it did not have to be
this way.
Ae stated above, I place the blame for the confusion that
now exists in the various probate courts of this State since
the two-week stay expired at the feet of everyone involved,
save the Attorney General, who has properly requested a stay
at all levels, and gustices Thonas and Scalia, who offered a
solution that would have delayed this matter for only four
months or less -- after which we would have had the final
answer, no confusion, and, most importantly, an orderly
administration of justice
In conclusion, I feel compelled to comment on a portion
of the amended pleading in the “In Rem Action" that is
actually before thie Court and that the Court properly
12
1140456
dismisses. There is 2 portion contained in the "action" with
which T sharply disagree. 1 quote from paragraph 7 of the
"action":
"7, If this Court either fails to docket this
amended in rem action regarding the Administrative
Order or fails to address this amended in rem action
filed within this Court before the federal court in
the Southern District of Alabama enters an Order
requiring Judge Davis to abide by the above federal
court orders, then Judge Davis will accept this
Honorable Court's failure to act on this amended in
xem _matter ae an implicit directive to Judge Davis
to abide by the Orders of the Southern District of
Alabama on January 23rd and also January 28th, 2015
Judge Davis anticipates that Judge Granade could
enter this Order as quickly as tomorrow based on the
Order the judge has entered today."
(Bmphasis added.)
With due regard for the fact that the above document was
submitted to this Court by a probate judge who is suffering
the uncertainties set forth in this writing, I would caution
any litigant coming before this court that, although,
proverbially, silence may be golden, the silence of this
court, as an institution, should never be treated as an
“implicit directive" to take any particular course of action.
13
1140456
MURDOCK, Justice (concurring specially).
‘The amended petition before us quotes from the February
2015, order of Judge Granade in the case of Searcy v.
Strange (Ms, 14-0208, S.D, Ala., gan, 23, 2015), stating that
her injunction in that case “enjoined ... [the] Attorney
General for the state of Alabama" and those under his
supervision and that, because the petitioner was not a party
to that case, his actions or inactions did not constitute a
“fail[ure] to comply with th[at] order." ‘The petitioner asks
this Court for guidance with respect to the issue of the
constitutionalicy of the various statutes enacted by the
Alabama Legislature providing for the governmental licensing
and recognition of what are referred to in those statutes as
vmarriages," see Ala. Code 1975, §§ 30-1-3 through -19.
Inherent in the petitioner's request for guidance,
particularly given the facts alleged in the petition, is
whether, under the terms of those statutes, particularly § 30-
1-9, @ probate judge has an affirmative obligation to issue
marriage licenses at all, and whether, under the principles
articulated in such cases as Newton v, City of Tuscaloosa, 251
Ala, 209, 36 So, ad 487 (1948), and City of Birmingham v.
14
1140456
smith, 507 So, 24 1312 (Ala. 1987), and considering the
meaning of the term "marriage" intended by the Legislature in
those statutes, they may be deemed to survive, or mist be
stricken as wholly void, i¢ they are not to be applied solely
co a union between a man and a woman.’ These are substantial
questions. These questions, however, are not before us in an
adversary proceeding or in the context of a request for an
advisory opinion by the Governor or the Legislature, Nor has
exe been a showing that these questions are properly before
us on some other basis. I therefore concur in the order of
this court.
inthe act ‘ought not to be wholly void unless the invalid
portion is so important to the general plan and operation of
the law in its entirety as reasonably to lead to the
conclusion that it would not have been adopted if the
legislature had perceived the invalidity of the part so held
to be unconstitutional.'" 251 Ala. at 217, 36 So. 2d at 493
(quoting A, Bertolla & Sons v. State, 247 Ala. 269, 271, 24
So. 2d 23, 25 (1945)). "The test is ... whether the
legislature would have passed the statute without the
[unconstitutional aspect included therein]." 507 So. 2d at
1317.
1s
1140456
SHAW, Justice (concurring specially)
In the matter before this Court, Mobile County Probate
court Judge Don Davis references an order of the United states
District Court for the Southern District of Alabama that
states: "Ala. Const. Art. I, § 36.03 (2006) and Ala. Code
1975, § 30-1-19 are unconstitutional ...." Searcy v, Strange
(Ms. 14-0208, Jan. 23, 2015). Judge Davis then notes that on
February 8, 2015, Alabama's Chief Justice issued an
administrative order stating that “no Probate Judge of the
State of Alabama nor any agent or employee of any Alabama
Probate Judge shall issue or recognize a marriage license that
is inconsistent with Article I, Section 36.03, of the Alabama
Constitution or § 30-1-19, Ala. Code 1975."
‘he matter Judge Davis filed in this Court states that it
"is filed in order to give this Honorable Court acting as the
entixe Supreme Court of Alabama the opportunity to review the
application of the above Administrative order." ‘This
invitation to "review" the administrative order issued by the
Chief gustice, in my view, is a request for an advisory
opinion. However, only the governor or the legislature may
request an advisory opinion. Ala. Code 1975, § 12-2-10 ("The
16
1140456
Governor, by a request in writing, or either house of the
Legislature, by a resolution of such house, may obtain a
written opinion of the justices of the Supreme Court of
Alabama or a majority thereof on important constitutional
questions."). See also Opinion of the Justices No, 199, 236
Ala. 156, 158, 238 So. 24 326, 327 (1970) ("[T]he present
request originated not with the Governor, but with the Contest
Subcommittee of the State Committee ..., which course of
action is not within the purview of (§ 12-2-10). To hold
otherwise would add a new concept to the prerogatives of [§
22-2-10] and set a new precedent for litigants to request
advisory opinions whenever the constitutionality of a law
arises."). This Court is not empowered "'to give advisory
opinions, however convenient it might be to have these
questions decided for the government of future cases.'*
Stamps_v. Jefferson Cnty. Bd. of Hduc., 642 So. 2d 941, 944
(Ala. 1994) (quoting Town of Warrior v. Blaylock, 275 Ala
113, 114, 152 So. 24 661, 662 (1963) (emphasis omitted)). See
also AIRCO, Inc, v. Alabama Pub. Serv. Comm'n, 360 So, 24 970,
971 (Ala. 1978) ("To render an opinion based solely upon the
Commission's alleged improper actions (without seeking a
a7
1140456
remedy therefrom) or upon its prospective improprieties would
be to render impermissible advisory opinions.)
28
| b513f47fa3d1518ad1b3372e111f9170de149bc934637678449f598a1553bf52 | 2015-02-11T00:00:00Z |
7b8c2141-c097-44a3-ac90-858fcc7b15cc | Ex parte Scottsdale Insurance Company. | null | 1140631 | alabama | Alabama Supreme Court | STATE OF ALABAMA -- JUDICIAL DEPARTMENT
THE SUPREME COURT OF ALABAMA
OCTOBBR TERM, 2014-2015
1140631
Ex parte Scottsdale Insurance Company. PETITION FOR WRIT OF
MANDAMUS (In re: Har-Mar Collision, Inc. v. Scottsdale
Insurance Company et al.) (Mobile Circuit Court: cv-11-838)
ORDER
The petition for a writ of mandamus of Scottsdale
Insurance Company directed to the Honorable Michael A
Youngpeter, Judge of the Circuit Court of Mobile County,
having been filed and submitted to the Court,
IT IS ORDERED that the petition for a writ of mandamus is
denied.
IT IS FURTHER ORDERED that the emergency motion to stay
the proceedings in the trial court is moot
Moore, C.J., and Stuart, Bolin, Parker, Shaw, Main, Wise,
and Bryan, JJ., concur.
Murdock, J., concurs specially.
1140631
MURDOCK, Justice (concurring specially}.
Scottsdale Insurance Company seeks mandamus relief fron
this Court in regard to the Mobile Circuit Court's decision to
deny its motion to dismiss certain claims against it for lack
of standing. I concur in the denial of this petition
As a general rule, interlocutory appellate review is not
available by way of a petition for a writ of mandamus seeking
to overturn a trial court's denial of a motion to dismiss or
its denial of a motion for a summary judgment. x par:
Liberty Nat'l Life Ing, Co., 825 So. 24 758, 761-62 (Ala.
2002). Among the exceptions to this general rule is one that
allows this Court to consider a petition for a writ of
mandamus when the petitioner's motion asserts a lack of
subject-matter jurisdiction in the trial court. Bx_paxte
Heal hcorp., 974 So. 24 288, 292 (Ala. 2007). Here,
Scottsdale Insurance asserts a lack of subject-matter
jurisdiction on the ground that Har-Mar Collision, Inc., the
plaintiff below, does not have "standing" to file an action
alleging breach of contract and bad faith because, according
to Scottsdale Insurance, Har-Mar is not a party to the
contract at issue.
1140631
It may be considered axiomatic, however, that a party who
claims a private right of action against another has standing
to assert its claim in our courts. The claim may fail for
lack of support in the law or in the facts, including, in the
case of a claim of breach of contract, a lack of proof of the
existence of a contract between the plaintiff and the
defendant. such a failure, however, is a failure on the
merits, not a failure of standing on the part of the plaintiff
to assert its claim and to attempt to prove the claim. And
the prospect of failure of a claim on such grounds certainly
does not deprive the trial court of the subject-matter
jurisdiction to decide whether a claim properly presented to
At does in fact find support in the law and in the facts. Our
precedents are now clear to this effect. See Ex parte
Home Loans Servicing, LP, (Ms. 1110373, Sept. 13, 2013]
So. 34__, ___ (Ala. 2013) (overruling Cadle v. Shabani, 950
So. 2d 277 (Ala. 2006), and discussing at length the
inapplicability of standing as a gatekeeping mechanism in
private-law actions, as opposed to public-law actions);
Ex parte Rhodes, 144 So, 34 316, 318-19 (Ala. 2013); Whitty v.
Montgomery cnty,, 141 So. 3d 1015, 1020-21 (Ala. 2013);
1140631,
EX parte MERSCORP, , 141 So, 3d 984, 991-92 (Ala. 2013);
Ex parte Kohlberg Kravis Roberts & Co., 78 So, 34 959, 978-79
(Ala. 2011); Steele v, Federal Nat'l Mortg. Ass'n, 69 So. 34
89, 91 n.2 (Ala. 2010); and Wyeth, Inc. v. Blue Cross & Blue
Shield of Alabama, 42 So. 3d 1216, 1219-21 (Ala. 2010).
| 2690f4041034027ba9bf76c0cf14524289fa087b1a00b1d77f9ae038483b0dff | 2015-04-17T00:00:00Z |
fcbe0fa9-12b0-4ced-b522-6cf855361420 | Ex parte Corey Beantee Melton. PETITION FOR WRIT OF CERTIORARI TO THE COURT OF CRIMINAL APPEALS (In re: Corey Beantee Melton v. State of Alabama) (Shelby Circuit Court: CC-06-1139; Criminal Appeals : CR-08-1767). Writ Denied. No Opinion. | null | 1100327 | alabama | Alabama Supreme Court | RELEASED.
WAR 11 2011
ures CSOT OF MARA
Yotice: Tals opinion ie subject to forms! revision before publication in the advance sh
ot Southern Heporter. Readers are requested co nobity she Reporter of Deckelons, Alabata
Kepeilace Coures, 300 Dexter hvense, Nonegowary, Alabana 36104-3741 { (224) 229-0609), oF any
Cypoarapaical or’ other ezvora, in Seder ease corrections may be ade betore the opinion 1s
printed’ in Zoutharn Reporter.
SUPREME COURT OF ALABAMA
OCTOBER TERM, 2010-2011
1100327
Bx parte Corey Beantee Melton
PETITION FOR WRIT OF CERTIORARI
10 THE COURT OF CRIMINAL APPEALS
(tm xe: Corey Beantee Melton
ve
State of Alabama)
(Shelby Circuit Court, CC-06-1139;
Court of Criminal Appeals, CR-08-1767)
WOODALL, Justice.
WRIT DENIED, NO OPINION
Cobb, C.J., and Stuart, Bolin, Parker, and Shaw, JJ.,
Murdock, J., concurs specially
Main and Wise, JJ., recuse themselves.*
*gustice Main and Justice Wise were members of the Court of
Criminal Appeale when that court considered this case.
1100327
MURDOCK, Justice (concurring specially).
I concur in denying the petition for the writ of certiorari
in this case. The sole question raised in the petition to this
Court is whether the holding of the Court of Criminal Appeals in
its opinion in this case conflicts with the holding of the
United States Supreme Court in Walter v, United States, 447 U.S.
649 (1980). The facts of the two cases and, consequently, the
holdings of the two courts are sufficiently different that those
holdings do not conflict with one another. In Walter, there was
no dispute that the government clearly exceeded the scope of the
search actually conducted by a third party. Likewise, in the
present case, there is little dispute that the government
exceeded the scope of the search actually conducted by a third
party. In Walter, however, there was no dispute but that the
government exceeded the scope of any search that had been
authorized by the defendant. The same cannot be said here.
More specifically, the petition focuses on evidence
indicating that employees of Best Buy electronics retail stores
who were working on customers’ computers were restricted by
their employer from opening computer files they suspected of
containing illegal content. The petition does not address, nor
assert a conflict or an issue of first impression with respect
to, whether Corey Beantee Melton knew or reasonably should have
2
1100327
known that employees of Best Buy would need to open certain
folders on his computer and thereby gave up any expectation of
privacy with respect to such folders. Compare Commonwealth v.
Sodomsky, 939 A.2d 363 (Pa. Super. Ct. 2007) (finding that a
defendant reasonably should have expected that a third party
hired to install a new DVD drive in his computer might use
videos already in his computer as a method to test the newly
installed equipment) .
Although I concur in denying the petition for the writ of
certiorari in this case, I do not wish to be understood as
agreeing in all respects with the analysis employed by the Court
of Criminal Appeals. Among other things, I am concerned about
the treatment of the inquiry, in the second half of Part II of
that court's opinion, into whether any expectation of privacy
Melton retained in his computer files was "an expectation that
society is prepared to consider reasonable," __ $0. 3d at _,
as somehow different from the inquiry in the first half of Part
II into "whether Melton had a reasonable expectation of privacy
in the files," ___ So, 3d at __. By definition, the two
inquiries are the same. See United States v, Jacobsen, 466 U.S.
109, 113 (1983) ("A ‘search' occurs when an expectation of
privacy that society is prepared to consider reasonable is
infringed.)
| 412c852714804141fcefddcd2e2fe319b17c882d47573628bd332c30a8d6eddd | 2011-03-11T00:00:00Z |
58a726ac-425b-4249-8d13-bcad1ec83fbb | Chris Dwayne Williams v. Alabama Department of Corrections | null | 1180400 | alabama | Alabama Supreme Court | LEASED
supe COURT OE ALABAMA
STATS OF ALABAMA -- JUDICIAL DEPARTMENT
THE SUPREME COURT
SPECIAL TERM, 2019
1180400
Chris Dwayne Williams v. Alabama Department of Corrections
(Appeal from Montgomery Circuit Court: CV-18-667).
PARKER, Chief Justice.
AFFIRMED. NO OPINION
Seo Rule 53{a) (1) and (a) (2) (P), Ala. 8. App. P
Shaw, Wise, Bryan, and Mendheim, JZ., concur.
Mitchell, J., recuses himself.
| 8e89c0138f7044056b3778a60e493f69201d950cbf1e7b1d2350a5abda3a9af7 | 2019-08-09T00:00:00Z |
e3fd4e28-0f32-4484-8d13-d38cca31bb52 | Ex parte Clarence E. Haynes, Talladega County Circuit Clerk, and Amber Edwards, Talladega County Juvenile Intake Officer. PETITION FOR WRIT OF CERTIORARI TO THE COURT OF CIVIL APPEALS (In re: Ex parte G.L. (In the Matter of H.C.L., a minor child)) | null | 1081171 | alabama | Alabama Supreme Court | RELEASED
Notice: This opinion is subject to fora! revision before publication in the advance
‘sheets of Southern Reporter. eaders are rogsasted to notity the Raporear Of Deciaionay
Alabama. appellate” Courtsy. 300, Dexter Avenue, Mantgcnacy, Alabama 36106-3761 (S00)
Zascaeto}, ‘of any typograpnice: or other errors, in eeder that corrections may be sade
otore the opinion is printed in gesthasn Rapoxtar
SUPREME COURT OF ALABAMA
SPECIAL TERM, 2009
1081171,
Ex parte Clarence E. Haynes, Talladega County
Circuit Clerk, and Amber Edwards, Talladega County Juvenile
Intake Officer
PETITION FOR WRIT OF CERTIORARI
TO THE COURT OF CIVIL APPEALS
(in re: Ex parte G.L.
(in the Matter of H.C.L.,
@ minor child))
(Talladega Juvenile Court;
Court of Civil Appeals, 2080260)
SHAW, Justice.
‘The petition for the writ of certiorari is denied.
1081271
In denying the petition for the writ of certiorari, this
Court does not wish to be understood as approving all the
language, reasons, or statements of law in the Court of Civil
Appeals' opinion, Horsley v, Horsley, 291 Ala. 782, 280 So.
24 185 (1973).
WRIT DENIED.
Cobb, C.J., and Lyons, Woodall, Stuart, Smith, Bolin,
Parker, and Murdock, JJ., concur.
| 445287ab5bc588e6146aa4e2ab599d57a28367ce6def5edca8ba0479ef4516c9 | 2009-09-04T00:00:00Z |
c6e49f67-47eb-4f37-a060-dfe365faec05 | Ex parte State of Alabama ex rel. Alabama Policy Institute, Alabama Citizens Action Program, and John E. Enslen, in his official capacity as Judge of Probate for Elmore County. | null | null | alabama | Alabama Supreme Court | IN THE SUPREME COURT OF ALABAMA
March 10, 2015
1140460
Bx parte State of Alabama ex rel, Alabama Policy Institute,
Alabama Citizens Action Program, and John &. Enslen, in his
official capacity as Judge of Probate for Elmore County.
ORDER
In an opinion issued on March 3, 2015, this Court ordered
Judge Don Davis, the Probate Judge for Mobile County,
"to advise thie Court, by letter brief, no later
than 5:00 p.m. on Thursday, March 5, 2015, as to
whether he is bound by any existing federal court
order regarding the issuance of any marriage license
other than the four marriage licenses he was ordered
to issue in Strawser (yv. Strange (Civil Action No
14-0424-cG-c, Jan. 26, 2015)]. [*]
on March 5, dudge Davis filed a motion seeking an 11-day
extension of time, until March 16, 2015, to comply with this
court's order. On March 9, Judge Davis filed a "Response to
Show Cauge Order" in which he asserts that he should not be
included in this Court's March 3 order out of concern that
doing so would require him to violate the federal district
‘The decision of the federal district court in strawser
was premised on its earlier decision in Searcy v. Strange,
[Civil Action No. 14-0208-CG-N, Jan. 23, 2015] __ F. Supp. 34
__. (8.D. Ala. 2015).
1140460
court order previously entered in Strawser.? Because we find
Judge Davis's concern to be without merit, and for the
additional reasons discussed below, Judge Davis's motion for
extension is denied, and he is added as a respondent to this
mandamus proceeding and is enjoined from issuing any further
marriage licenses contrary to Alabama law.
Judge Davis asks for the 11-day extension to respond to
this Court's question because he has asked for a "ruling* as
to that question from the Alabama Judicial Inquiry Conmission
(tthe are") :
"As grounds for this Motion, Judge Davis sets out as
follow:
"2, Judge Davis has sought instruction today
from the Alabama Judicial Inquiry Coumission.
"3, Proper response to this Court is best made
after [United States District Court] Judge Granade
rules and/or after the Alabama Judicial Inquiry
Commission rules."
(amphasis added.) Our inguiry to Judge Davis was intended as
a factual one. We fail to see what knowledge the JIC might
have as to the facts regarding whether Judge Davis is bound by
2, "corrected" copy of Judge Davis's response has since
been filed with this Cour.
aaaoaso
an order in any case other than Strawser v. Strange (Civil
Action No. 14-0424-CG-C, Jan. 26, 2015), or the fact of what
the gtrawser order says. As to the latter, the task of
reading the order in Strawser and understanding what it says
is the task of this court, not the JIC.”
Judge Davis also notes that he has asked the federal
district court "for a stay" of its order in Strawser. The
fact of this request offers no basis for delay here; indeed,
the prospect of such a stay by the federal court is compatible
with the action of this Court. Further, Judge Davis has made
no showing that the federal court order for which he seeks a
stay is one that has not already been executed, i.e., one that
concerns any license other than those already issued to the
plaintiffs in that case.
‘The latter task is to read the Strawser order and to
consider the import, if any, of that order as a decision by a
court in a coordinate judicial system. The JIC is a tribunal
commissioned solely for the investigation and prosecution of
"complaints" against judges regarding violation of the Canons
of Judicial mthics and the physical and mental ability of
judges to perform their duties. Ala. Const. 1901, § 156. It
is not a court of law, and it has no authority -- and no role
in the performance by this Court of its
nal duties as a court of law to decide the cases
brought before it.
1140460
Our opinion of March 3 serves as binding statewide
precedent. To ensure compliance with that precedent, we also
entered on that date and as part of our opinion an order
specifically directing Alabama probate judges not to issue
marriage licenses contrary to that precedent. Davis has made
no showing that he was, or is, the subject of any previously
entered federal court order other than the one issued in
Strawser, and he makes no showing that that order has any
continuing, binding effect on him as to any marriage-license
applicants beyond the four couples who were the plaintiffs in
that case and who already have received the relief they
requested. The inapplicability of the federal court order to
any other couple is evident from the terms of the order
itself:
"probate Judge Don Davis is hereby ENJOINED from
refusing to iseue marriage licenses to plaintiffs
due to the Alabama laws which prohibit same-sex
marriage. If Plaintiffe take all steps that are
required in the normal course of business as a
prerequisite to issuing a marriage license to
opposite-sex couples, Judge Davis may not deny them
a_license on the ground th intifts r
same-sex Couples er because it is prohibited by the
Sanctity of Marriage Amendment [, Ala. Const. 1901,
§ 36.03,] and the Alabama Marriage Protection Act [,
Ala, Code 1975, § 30-1-19,] or by any other Alabama
law or Order pertaining to same-sex marriage."
1140460
(capitalization in original; emphasis added.)
In his motion, Judge Davis himself places emphasis on the
same passages we have emphasized above, In the absence of a
showing otherwise, we are left to read this language in
accordance with its plain meaning: It grants injunctive
relief against gudge Davis only as "to [the] plaintiffs" in
Strawser. our reading of this plain language is confirmed by
the fact that the plaintiffs in Strawser sought relief only on
their own behalf, not on behalf of any others, and by the fact
that federal jurisprudence contemplates that a federal court
decides only the case before it, see Ex parte State ex rel.
natitute, IMs. 1140460, March 3, 2015]
So. 34, ___ (Part 11.¢.) (Ala. 2025),4 in turn binding the
‘as we noted in Part II.C., "'"[a] decision of a federal
district court judge is not binding precedent in either a
different judicial district, the same judicial district, or
even upon the game judge in a different case,"'*" So. 3d at
(quoting Camreta v, Greene, U.S. H.7, 1318.
GT 2020, 2033 n.7 (2021), quoting in turn i8 ¢. Moore et al.,
Moore's Federal Practice § 134.02(1] (dl, pp. 134-26 (3d ed.
2011)), much less upon'a defendant sued by new plaintiffs in
a different case. The principle quoted above from the United
States Supreme Court decision in Camreta was manifestly
reflected in orders entered on this date by the United states
istrict Court for the Middle District of Alabama, in which
that court chose to stay its consideration of a case similar
to Strawser and stated that "{tJhis court is not bound by
Searcy.". Hard v, Bentley (Case No. 2:13-cv-00922-WKW;
5
1140460
parties before then only with respect to the other parties in
the case.*
Notwithstanding the plain description of the activity
enjoined by the quoted language in the federal court order
requiring Judge Davis to issue licenses "to [the] plaintiffs"
in the Strawser case, dudge Davis questions whether the
following language somehow was intended to enjoin him in
relation to persons other than the four couples who sued and
obtained a judgment against him for their personal benefit:
March 10, 2015) (M.D. Ala.)
°tn Brenner v. Scott (No. 4:14cvi07, Jan. 1, 2015) (N.D.
Fla.), a case similar in many respects to the present one, the
court explained that "[t]he Clerk has acknowledged that the
preliminary injunction requires her to issue a marriage
license to the two unmarried plaintiffs," but that, in "the
absence of any request by any other plaintiff for a license,"
"(t}he preliminary injunction now in effect does not require
the Clerk to issue licenses to other applicants." See also
Vikram David Amar, Justia-Verdict, February 13, 2015;
https: //verdict justia. com/2015/02/13/ just-lawless-alabama-
state-court-judges-refusing-issue-sex-marriage-licenses
(explaining that generally a federal district court can enjoin
a defendant only with respect to the defendant's treatment of
plaintiffs actually before the court and that the remedial
limitation on federal district courts is defined by the
identity of the plaintiffs, not just the identity of the
defendants) (last visited March 10, 2015; a copy of the Web
page containing this information is available in the case file
of the clerk of the Alabama Supreme Court)
6
1140460
“This injunction binds Judge Don Davis and all his
officers, agents, servants and employees, and others
in active concert or participation with any of them,
who would seek to enforce the marriage laws of
Alabama which prohibit or fail to recognize same-sex
marriage."
‘The apparent purpose of this latter passage was to
clarity who is bound by the federal court's order, not what
action that order requires of those persons. ‘The question of
wwhat" is the subject of the clear statement in the previous
paragraph quoted above, i.e., that the enjoined parties are
directed to issue marriage licenses specifically “to [thel
plaintiffs." The subsequent reference to persons who "would
seek to enforce the marriage laws of Alabama" is in reference
to Judge Davis and his agents, employees, etc., to the extent
that they would seck to enforce the marriage laws of Alabaa
as “to [the] plaintiffs.” We are further confirmed in our
reading of the federal court's order by our understanding, as,
discussed in notes 4 and 5, supra, that federal court
jurisprudence contemplates that a federal district court
adjudicates the obligations, if any, of a defendant or
defendants only with respect to the plaintifé or plaintiffs in
the case before the court. See also Meinhold v, United States
Dep! fense, 34 F.3d 1469, 1480 (9th Cir. 1994) ("An
1140460
injunction ‘should be no more burdensome to the defendant than
necessary to provide complete relief to the plaintiffs.’
califano v. Yamasaki, 442 U.S. 682, 702, 99S. Ct. 2545, 2558,
61 L, Ra, 24176 (1979). ... This is not a class action, and
Meinhold sought only to have his discharge voided and to be
reinstated. ... Beyond reinstatement ..., DOD should not be
constrained from applying its regulations to Meinhold and all
other military personnel." (emphasis added)); Zepeda v, United
States Inmig, & Naturalization Serv., 753 F.2d 719, 727 (9th
Cir. 1983) ("A federal court ... may not attempt to determine
the rights of persons not before the court."); Hollon v.
Mathis Indep, Sch, Dist., 491 F.2d 92, 93 (sth Cir. 1974)
(holding that "the injunction against the School District from
enforcing its regulation against anyone other than [the
plaintiff] reaches further than is necessary" (emphasis
added) ).
‘As we explained in our March 3 opinion, this Court has
acted to ensure statewide compliance with Alabama law in an
orderly and uniform manner. We have before us in this case @
petitioner in the form of the State that has an interest in
and standing as to the actions of every probate judge in the
aas0aso
State. Moreover, as we noted in the opinion, Alabama's
probate judges took a variety of different positions in the
wake of the federal district court's decisions, and no single
circuit court has jurisdiction over all probate judges to
enable it to address that disarray. The inclusion of oudge
Davis, along with all the other probate judges in this state,
as a respondent subject to this Court's March 3 order as to
future margiage-License applicants is necessary and
appropriate to the end of achieving order and uniformity in
the application of Alabama's marriage laws. :
Based on the foregoing, Judge Davis is added to this
mandamus proceeding as a respondent and is subject to this
court's order of March 3, 2015. Section 30-1-9, Ala. Code
1975, provides that gudge Davis "may" issue "marriage
licenses." To the extent he exercises this authority, he must
issue those licenses in accordance with the meaning of the
term "marriage" in that Code section and in accordance with
other provisions of Alabama law, as discussed in our March 3
opinion.
Murdock, Main, Wise, and Bryan,
dissents
1140460
SHAW, Justice (dissenting)
As explained in my dissent in Ex parte State ex re.
Ali 2 , (Ms. 1140460, March 3, 2015)
So. 3d __, ___ (Ala. 2015), I do not believe that this Court
has jurisdiction in this case; therefore, I dissent.
a
| 5c825c09e40b29d15c56a1b425aac1801964b07fe0ff0ce7c2c30875f7da1706 | 2015-03-10T00:00:00Z |
6e438a17-bd5a-4380-91b0-a765623039da | Korte v. Betsey Bayless, ...Preserve Arizona -- Yes on Proposition 100 Committee... (Supreme Court Order) | null | CV-00-0308-AP/EL | arizona | Arizona Supreme Court | FILED
‘AUG 3 1 2000
SUPREME COURT OF ARIZONA
VIRGINIA KORTE; CARLA, Arizona Supreme Court
No. CV-00-0308-AP/EL
Plaintiffs/Appeliees,
Maricopa County Superior
court
No. cv 2000-01435
BETSEY BAYLESS, Secretary of
State for the State of Arizona,
Defendant,
PRESERVE ARTZONA--YES ON
PROPOSITION 100 COMMITTEE, RUTH
HAMILTON, Chairwoman,
Defendant /Appeliant.
ORDER
>
)
)
)
>
)
)
)
)
)
)
)
)
)
)
i
)
)
‘The court having considered this expedited appeal,
IT 18 ORDERED vacating and reversing the judgment of the trial
court entered on August 14, 2000. A formal opinion of the court will
follow in due course
DATED this lst day of August, 2000.
THOMAS A.
Chief Justice
Supreme Court No. CV-00-0308-AP/EL
Page 2 of 2
To:
Andrew § Gordon, Esq., Coppersmith & Gordon PLC
‘Timothy J Casey, Esq., Snell & Wilmer LLP
Hon. Janet A Napolitano, Arizona Attorney General
Hon. Joseph A Kanefield, Esq., W Scott Bales, Esq.
Jack Pfister
John # Lundin, Esq., Jeffrey D Gross, Esq., John D DiTullio, Esq,
Gallagher @ Kennedy
Hon Susan R Bolton, Maricopa County Superior Court
Hon Colin F Campbell, Presiding Judge, Maricopa County Superior Court
Michael K Jeanes, Clerk, Maricopa County Superior Court, Central Court
Building
ame
| e5f34f2e1b4be23a967b01163955b0a4d64e39b2f1d1c38bd821f3221b173485 | 2000-08-31T00:00:00Z |
77f5a6e2-0631-40ee-977a-9a87e97d7dcd | MARK V. SCHEEHLE v JUSTICES OF THE SUPREME COURT et al | null | CV-04-0103-CQ | arizona | Arizona Supreme Court | SUPREME COURT OF ARTZONA
MARK V. SCHEEHLE, Arizona Supreme Court
No, CV=04-0103-co
Plaintife,
United states District
court
No. CIV-98-1095-PHx-siat
QUSTICES OF THE SUPREME COURT
OF THE STATE OF ARIZONA:
STANLEY G. FELDMAN, CHARLES =
JONES, FREDERICK J. MARTONE,
RUTH V. MCGREGOR, and THOMAS A.
2UAKET; JUDGES OF THE SUPERIOR
COURT OF THE STATE OF ARIZONA,
IN_AND FOR THE COUNTY OF
MARICOPA: MICHAEL R. MoVEY,
ROBERT D. MYERS, JONATHAN H.
SCHWARTZ and CHRISTOPHER M
SKELLY,
oprNnron
Defendants.
Certified Question from the
United states District Court for the District of Arizona
‘The Honorable Stephen M. McNamee, Chief Judge
QUESTION ANSWERED
MARK V. SCHEEHLE Fountain Hills
Plaintiff Pro Se
TERRY GODDARD, ARIZONA ATTORNEY GENERAL Phoenix
sy Paula S. Bickett, Chief Counsel, Civil Appeals
Attorneys for Defendants
SNOW, tude
a ‘The United States District Court for the District of
Arizona has asked us whether this Court ‘can promulgate court rules
mandating experienced attorneys to serve as arbitrators in light of
the statutory language of Arizona Revised statutes (*A.R.S.")
section 12-133 (2000) authorizing only voluntary service?" We h
Jurisdiction to decide the certified question pursuant to A.R.S
§ 12-1861 (2001) .*
2 We hold that this Court has authority to promulgate a
court rule authorizing the superior courts in each county of this
state to require active members of the state bar to provide limited
service as arbitrators, We further hold that the exercise of that
authority is neither constricted by, nor inconsistent with, A.R.S.
12-133.
FACTS AND PROCEDURAL HISTORY
x3 In 1971, the legislature passed a statute permitting the
superior courts to implement by court rule non-binding mandatory
arbitration programs. The statute assigned to the courts the
responsibility for appointing arbitrators in such cases and further
specified that courts opting to create a mandatory arbitration
Program ‘shall maintain a list of qualified persons within its
jurisdiction who have agreed to serve as arbitrators, subject to
the right of each person to refuse to serve in a particular
The district court also requested that we determine
whether the Maricopa County Superior Court had authority under
A.R.S. § 12-133 to promulgate a program mandating experienced
attorneys to serve as arbitrators. Because, as we explain in this
opinion, the Supreme Court Rule explicitly authorizes the superior
court to include active members of the Arizona bar on its list of
eligible arbitrators, this question is not presented by the facts
of this case. We thus decline to answer it.
2
assigned case.*? 1971 Ariz. Sess. Laws, ch. 142, § 1 (current
version codified at A.R.S. § 12-133(C) (2003)). The legislature
has amended the statute several times, to raise the mandatory
arbitration limits and to require, as opposed to merely permit,
superior courts to create mandatory arbitration programs, among
other reasons. See, e.g., 1978 Ariz. Sess. Laws, ch. 35, § 1; 1984
Ariz. Seas. Laws, ch. 53, § 1; 1986 Ariz. Seas. Lawa, ch. 360, § 1;
1991 Ariz. Sess. Laws, ch. 110, § 1; 1992 Ariz. Sess. Laws, ch. 9,
$2) 2000 Ariz. Seas. Laws, ch. 35, § 1.
ry In 1974, this Court promulgated the Uniform Rules of
Procedure for Arbitration. Rule 1 indicated that the Uniform Rules
were for those superior courts that implemented a mandatory
arbitration program under A.R.S. § 12-133, and further directed the
superior courts how to enact rules for such programs. Rule 2
specified how arbitrators would be appointed. That rule provided
that if the parties could not stipulate to an arbitrator, the court
would, through a randon selection procedure, appoint an arbitrator
froma list. The list would be comprised of ‘members of the Bar of
the State of Arizona residing within the County in which the Court
is located." Unif. R.P. Arb. 2(b) (1980). The rule allowed
* the statute also provided that an arbitrator be paid
fifty dollars per day for conducting an arbitration hearing. The
statute has since been amended to raise the payment to seventy-five
dollars per day. A.R.S. § 12-133(6)
This rule and its successor, Arizona Rule of Civil
Procedure 73, have been modified several tines. Rule 73 currently
3
attorneys to remove their names from the list and also allowed then
to refuse to serve if appointed as an arbitrator.
5 In 1984, pursuant to the rule and the statute, Maricopa
County added a local rule implementing the mandatory arbitration
program.*
x6 In 1986, the legislature amended the statute to require,
8 opposed to merely permit, superior courts to implement mandatory
arbitration programs by rule. in 1989 and 1990, the State Bar of
Arizona, the Maricopa County Superior Court, and other attorneys,
judges, and court administrators, petitioned this Court to remove
the provisions from Rule 2 allowing attorneys to opt out of
arbitration service absent good cause. In response, we adopted
four changes to Rule 2. First, we omitted the provisions allowing
practicing attorneys to renove their names from the list of
Potential arbitrators. Second, we specified the reasons that would
permit an arbitrator to be excused from service. Third, we added
@ provision allowing an attorney who “has served as an Arbitrator
provides that ‘all residents of the county in which the court is
located, who, for at least four years, have been active members of.
the State Bar of Arizona” may be placed on a county's list of
eligible arbitrators. Ariz. R. Civ. P. 73(b) (1). Tt also permits
the superior court to place on this list other lawyers of any bar.
both active and inactive, who “have agreed to serve as arbitrators
in the county where the action is pending.” Ariz. R. Civ. P.
73(b) (2).
<The Maricopa County Superior Court initially set the
mandatory arbitration threshold at $15,000. Ariz. Local R. Prac.
Super. Ct. (Maricopa) 3.10 (1984), In 1994 it adopted the $50,000
maximum threshold authorized by A.R.S. § 12-133.
Pursuant to these Rules for two or more days during the current
year to be excused." Unif, R.P. Arb. 2(e)(3) (1992). Fourth, we
‘added a comment to the rule confirming that "[i]t is the obligation
of all qualified lawyers to serve as Arbitrators and only
exceptional circumstances should justify removal from the list.*
Unit. R.P, Arb. 2 emt, (1992). Im 2000, the Uniform Rules for
Arbitration were incorporated into the Arizona Rules of civil
Procedure as Rules 72-76. Rules 1 and 2 of the Uniform Rules are
how renumbered respectively as Arizona Rules of Civil Procedure 72
and 73.°
0 In this case, attorney Mark V. Scheehle challenges the
provision of Rule 73 authorizing the Maricopa County Superior Court
to include him on its list of eligible arbitrators without his
consent. Scheehle’s federal court complaint alleged that mule 73
violated a number of his federal constitutional rights. scheehle
also raised a pendent state law claim that Rule 73 was invalid
because it compelled him to serve as an arbitrator, whereas A.R.S.
§ 12-133 authorized the appointment only of arbitrators who had
agreed to serve.
5 In 2000, this provision was amended to excuse an
appointed arbitrator who had “completed contested hearings and
ruled as an arbitrator . . . in two or more cases assigned during
the calendar year.* Ariz. R. Civ. P. 73(e) (3).
‘The balance of this opinion will refer to these rules as
they are currently codified in the Arizona Rules of Civil
Procedure.
x8 The district court granted summary judgment a
Scheehle on his federal civil rights claims. It then declined to
exercise supplemental jurisdiction over the state law clains after
resolution of all the federal questions and accordingly dismissed
the state law claims. The Ninth Circuit initially affirmed the
decision, Scheehle v. Justices of the Supreme Court, 257 F.3d 1082
(9th Cir, 2001), but then withdrew that opinion. Scheehle v.
Justices of the Suprene Court, 269 P34 1127 (9th Cir. 2001). It
then certified a question to this Court asking whether A.R.S. § 12-
133 mandated compulsory participation of attorneys as arbitrators
ry This Court, addressing only that very limited question,
held that A.R.S. § 12-133 does not require that lawyers serve as
arbitrators. Scheehle v. Justices of the Supreme Court, 203 Ariz.
520, $22, 4 6, 57 P.34 379, 381 (2002). after our decision, the
Ninth Circuit remanded the case to the district court for further
consideration. Scheehle v. Justices of the Supreme Court, 315 F.3d
3191 (9th cir. 2003).
mo Upon remand, the district court again reaffirmed its
rejection of Scheehle’s federal constitutional arguments and
dismissed them from this case
mi In the same order, the district court certified the
following question to this Court:
Whether the Arizona Supreme Court under its
exclusive constitutional authority to regulate
the practice of law can promulgate court rules
6
mandating experienced attorneys to serve as
arbitrators in light of the statutory language
of A.R.S. § 12-133 authorizing only voluntary
The district court stayed all further consideration as to
Scheehle’s state law claim pending the anewer to its certified
question.”
ANALYSIS
uz In his briefing on the certified question, Scheehle makes
three alternative arguments. First, Scheehle argues that Rule 73
violates the Takings Clause, U.S. Const. amend, V, and the Equal
Protection Clause, U.S. Const. amend. XIV. Second, he argues that
Rule 73 impermissibly conflicts with the legislation authorizing
the mandatory arbitration program. Third, he asserts that this
Court’s power to regulate the practice of law does not extend to
compelling attorneys to serve as arbitrators. we analyze each
argument in turn,
The District Court Was Already Decided scheehi
Federal Law Claims.
m3 Scheehle acknowledges that the district court has already
dismissed his federal constitutional claims, But he nonetheless
asserts that it would be improper for this Court “to answer the
Upon certification, Scheehle objected to the
participation of Justices McGregor, Berch, Ryan, and Murwitz in
answering the certified questions because they are defendants in
the underlying federal court complaint. We considered and rejected
Scheehle’s objections in a previous order that is appended to thi
decision and incorporated herein.
7
certified questions, when the district court seeks answers from
this Court devoid of any analysis of the impact of the Constitution
of the United States on such state law authority.” We disagree
4 It is not the role of this Court in responding to a
certified question of state law to review the federal law rulings
of the certifying federal court. The authority pursuant to which
we respond to the district court's questions permits us to answer
only questions of state law. A.R.S. § 12-1861 (The supreme court
may answer questions of law certified to it . . . if there are
involved in any proceedings before the certifying court questions
of the law of this state which may be determinative of the
cause"). This opinion is thus limited to the question certified:
Does this Court have authority under state law to promulgate the
rules at issue and, if it does, is that authority limited by the
provisions of A.R.S. § 12-1337
Rule 73 Does Not Conflict with A.R.S. § 12-133,
ms Scheehle next contends that A.R.S. § 12-133(c), by
requiring each superior court to “naintain a list of qualified
persons within its jurisdiction who have agreed to serve as
arbitrators," limits the court to appointing arbitrators from that
List. A.R.S. § 12-133(c). We disagree.
wus In interpreting a statute, we “try to determine and give
effect to the legislature's intent.” Hayes v. Cont’l Ing. Co., 178
Ariz. 264, 268, 872 P.2d 668, 672 (1994). T£ we cannot do so by
looking at the plain language of the statute, “we consider the
statute’s context; its language, subject matter, and historical
background; its effects and consequences; and ite spirit and
purpose." Id. We also avoid interpretations that unnece:
ily
implicate constitutional concerns. In re Shannon, 179 Ariz. 52,
78, 876 P.2d 548, 574 (1994) (opting for statutory interpretation
that does not limit this court in interpreting range of sanctions
it could impose on attorneys so as not to implicate constitutional
concerns); Hayes, 178 Ariz. at 273, 872 P.2a at 677.
7 The language upon which Scheehle relies has been in
A.R.S. § 12-133 since its adoption in 1971. ‘The full text of the
relevant provision states:
‘The court shall maintain a list of qualified
persons within its jurisdiction who have
agreed to serve as arbitrators, subject to
the right of each person to refuse to serve
in a particular assigned case and subject
further to the right of any party to show
good cause why an appointed arbitrator should
Rot serve in a particular assigned case. ‘The
court rules shall provide that the case
Subject to arbitration shall be assigned for
hearing to a panel of three arbitrators, or
in the alternative, to a single arbitrator,
each of whom shall be selected by the court.
ALRS. § 12-133(¢).
us Scheehle argues that under this statute the list of
voluntary arbitrators is the only source from which the superior
court may appoint arbitrators. Nowhere, however, does the statute
say so. Rather, the plain text of the statute vests in the
superior court the authority, without limit, to select each
arbitrator. “The court rules shall provide that the ca:
subject
to arbitration shall be assigned . . . to [an arbitrator or
arbitrators] . . . each of whom shall be selected by the court.*
ALR.S. § 12-233(¢)
m9 While implying a limitation not explicitly stated in a
statute may be appropriate in some circumstances, it is not in this
case for several reasons. First, the legislature has been aware
since 1974 that this Court, by rule, authorized superior courts to
Place active members of the bar on their lists of eligible
arbitrators. After we promulgated the rule, the legislature
repeatedly amended the statute, but never indicated that the court
could appoint only arbitrators who volunteered. we, therefore
presume that the legislature approved of the rule’s operation. as
we have said in the context of statutory interpretation:
it is universally the rule that where a
statute which has been construed by a court
of last resort is reenacted in the same or
Substantially the same terms, the legislature
is presumed to have placed its approval on
the judicial interpretation given and to have
adopted such construction and made it part of
the reenacted statute.
State v. Superior Court of Pima County, 104 Ariz. 440, 442, 454
P.2d 982, 984 (1969) (quoting Madrigal v. indus. Comm'n, 69 Ariz
338, 142, 210 P.24 967, 971 (1949)).
20 After this Court promulgated the rule authorizing
superior courts to appoint active members of the bar as
10
arbitrators, the legislature amended the statute both to increas
the jurisdictional limit on cases that must be referred to
mandatory arbitration and to require, as opposed to merely
authorize, each superior court to adopt a mandatory arbitration
Program. In doing so the legislature mist have anticipated a
corresponding increase in the demand for arbitrators. Yet it made
no provision for additional arbitrators. We therefore presume that
the legislature relied on this Court's rule authorizing the service
of the members of the bar as arbitrators to meet that demand,
21 Second, nothing in the statute seeks to regulate
attorneys. To imply in the statute a limitation on the court's
power of appointment would limit not only a superior court's power
to appoint arbitrators but also the scope of this Court's power to
require bar menbers to assist in the administration of justice by
authorizing superior courts, on a limited basis, to appoint menbers
of the bar as arbitrators. We do not interpret a statute as
intending to limit the court's ability to otherwise act unless the
legislature explicitly indicates such an intent. Hayes, 178 ariz.
at 273, 872 P.2d at 677. None is evident here
s22 As Scheehle acknowledges, this Court has exclusive
authority over the regulation of attorneys. “[T]he practice of law
is a matter exclusively within the authority of the Judiciary. The
determination of who shall practice law in Arizona and under what
condition is a function placed by the state constitution in this
un
court." Hunt v, Maricopa County Employees Merit Sys. Comm'n, 127
Ariz. 259, 261-62, 619 P.24 1036, 1038-39 (1980).
23 This Court fulfills the administrative responsibilities
assigned to it under the constitution by, among other methods,
promulgating rules. Those rules are distinct from those enacted by
state administrative agenci
Pursuant to legislation. when this
Court promulgates rules pertaining to attorneys or to court
Procedures, it does so pursuant to its own constitutional authority
over the bench, the bar, and the procedures pertaining to them.
Heat Pump Equip. Co. v. Glen Alden Corp., 93 Ariz. 361, 363, 380
P.2d 1036, 1017 (1963) (stating that courts have constitutional
Power to promulgate rules on judicial matters); Burney v. Lee, 59
Ariz. 360, 363, 129 P.2a 308, 309 (1942) (courts have power to
promulgate rules to fulfill constitutional mandates).
24 Such rules are valid even if they are not completely
cohesive with related legislation, so long as they are an
appropriate exercise of the court’s constitutional authority.
Although the legislature may, by statute, regulate the practice of
Jaw, such regulation cannot be inconsistent with the mandates of
this Court. Creasy, 198 Ariz. at 544, 4 18, 12 P.3d at 219
* Since the early days of statehood, we have recognized
that our constitution gives authority to this Court to regulate the
Practice of law. See, e.g., State Bar of Ariz. v. Ariz. Land Title
& Trust Co., 90 Ariz. 76, 366 P.2d 1 (1961); In re Miller, 29 Ariz.
582, 244 P. 376 (1926); In re Bailey, 30 Ariz, 407, 248 P. 29
(2326).
12
(stating that legislature cannot authorize by statute activity that
would result in the unauthorized practice of law because a court
rule governing the practice of law “trumps statutory law"); see
also Ariz. Land Title & Trust Co., 90 Ariz. at 95, 366 P.2d at 14
(although the legislature may impose additional restrictions which
affect the licensing of attorneys, it cannot infringe on the
ultimate power of the courts to determine who may practice law")
(citing In re Greer, 52 Ariz. 385, 389-90, 81 P.24 96, 98 (1938);
Conway, 60 Ariz. at 81, 132 P.2d at 988 (*When, however[,) it
appears that the legislative rule unduly hampers the court in the
@uties imposed upon it by the Constitution, the rule adopted by the
court will prevaii.*).
ss We are reluctant to imply a statutory limitation that
would create a conflict in the constitutional prerogatives of
Separate branches of Arizona government. Shannon, 179 Ariz. at 78,
876 F.2d at 574; Hayes, 178 Ariz. at 273, 872 2.24 at 677.
Scheehle’s proposed interpretation would unnecessarily create such
a conflict.
$26 We therefore hold that A.R.S, § 12-133 does not limit the
courts right to appoint persons other than volunteers to serve as
arbitrators
B
This Court’s Responsibility to Administer an
Integrated Judicial system Gives it Authority
to Promilgate Rules Requiring Limited Service
by Attorneys to the Judiciary.
27 Scheehle finally argues that the power to regulate the
practice of law does not permit this Court to oblige attorneys to
serve as court-appointed arbitrators because appointing such
arbitrators “is not a function of regulating the practice of law.*
This argument reflects a misunderstanding of the constitutional
basis from which this Court derives its power to regulate the
Practice of law.’ This Court's power to regulate the practice of
law is a function of its responsibility to administer an integrated
judiciary. The power to administer the judicial branch allows this
Court to regulate the practice of law to further the administration
of justice.
x28 Article 6, section 1 of our constitution vests the
judicial power "in an integrated judicial department,” which
includes a11 of the courts of this state. Because “the practice of
law is so intimately connected and hound up with the exercise of
judicial power in the administration of justice . . . the right to
° Wholly apart from the power to regulate the bar given by
our state constitution to the judiciary, extensive authority
supports the inherent authority of the courts to regulate the
practice of law. Shannon, 179 Ariz. at 75, 876 P.2d at 571 (*the
judiciary’s authority to regulate and control the practice of law
is universally accepted and dates back to the year 1292.");
Bridegroom v. State Bar, 27 Ariz. App. 47, 49, 550 P.2d 1089, i091
(2976) (“There is no question but that the Supreme Court has
inherent power to integrate the bar of this state.*) (citations
omitted) .
a4
define and regulate its practice naturally and logically belongs to
the judicial department.* Shannon, 179 Ariz. at 76, 876 P.24 at
572 (quoting In re Integration of Neb. state Bar Ass'n, 275 N.W.
265, 268 (1937)).
m9 Consequently, the Arizona Constitution's creation of an
integrated judiciary gives to this Court the power not just to
Fegulate all courts but also to regulate the practice of law.
Shannon, 179 Ariz. at 76, 876 P.2d at 572; see also Creasy, 198
Ariz. at $41, 97, 12 P.3d at 216 (“The court’s authority over the
practice of law is also based on the creation of an integrated
judicial department and the revisory jurisdiction of this court as
Provided in article VI sections 1 and 5(4) of the arizona
Constitution. *); In re Smith, 189 Ariz. 144, 146, 939 2.24 422, 424
(2997) (The State Bar exists only by virtue of this court’s rules,
adopted under authority of article III and article VI, §§ 1 and 5
of the Arizona Constitution.) .
30 The constitution’s mandate in article 6, section 3 that
this Court shall have ‘administrative supervision” over the courts
of this state enables this Court to supervise judicial officers,
including attorneys. “Administrative supervision contemplates
managing the conduct of court personnel. . . . attorneys are
universally recognized as ‘officers of the court,’ . . . and
officers of the court, attorneys are amenable to the court as their
Superior.* Shannon, 179 Ariz. at 76-77, 876 P.2d at 573 (citations
15
omitted); Bailey, 30 Ariz. at 412, 248 P, at 30 (quoting In re
Splane, 16 A. 421 (Pa. 1899)) (*The attorney is an officer of the
court, and is brought into close and intimate relations with the
court.*)
31 By virtue of our constitutional power over attorneys ai
officers of the court, this Court created the State Bar of Arizona.
Ariz. R. Sup, Ct. 32(a)(1). We require those practicing law in
this state to be members of this bar. Ariz. R. Sup. Ct. 31. As
officers of the court, State Bar members are invested with
significant rights and responsibilities. As the United states
Supreme Court has observed:
As an officer of the court, a menber of the
bar enjoys singular powers that others do not
possess; by virtue of admission, members of
the bar share a kind of monopoly granted only
to lawyers. Admission creates a license not
only to advise and counsel clients but to
appear in court and try cases; as an officer
Of the court, a lawyer can cause persons to
drop their private affairs and be called as
witnesses in court, and for depositions and
other pretrial processes that, while subject
to the ultimate control of the court, may be
conducted outside courtrooms.
In re Snyder, 472 U.S. 634, 644 (1985). Attorneys are invested
with these powers because they have an individual and collective
role in achieving “(t]he primary duty of courts (which) is the
Proper and efficient administration of justice.* Shannon, 179 Ariz.
at 76, 876 P.2d at 572 (quoting In re Integration of Neb. State Bar
Ass‘n, 275 N.W. at 268)
16
32 Contrary to Scheehle’s argument, this Court’s exclusive
authority to regulate the practice of law is therefore not
independent from its responsibility to supervise an integrated
judiciary, Tt is derived from that very power. The power extended
to this Court by the constitution includes the authority to
Promilgate regulations assigning limited quasi-judicial functions
to lawyers as judicial officer
23 Scheehle cites Schware v. Board of Examiners of the State
of New Mexico, 363 U.S. 232, 239 (1957), and its progeny, for the
Proposition that any qualification a state places on the entry to
the practice of law ‘mist have a rational connection with the
applicant's fitness or capacity to practice law.* The obligation
to perform limited service as an arbitrator, however, is not a
restriction placed on the entry to the practice of law in this
state. Rather it is a uniform regulation requiring limited service
to the judiciary for those already admitted to practice relating to
their roles as officers of that judiciary.
4 A state may engage in reasonable regulation of licensed
professionals. See, e.g., Lupert v. Cal. State Bar, 761 F.24 1325,
3328 (9th Cir. 1985) (citing Williamson v. Lee Optical, 342 U.S.
483, 487-89 (1955)); Watson v. Md., 218 U.S. 173, 177 (1910); se0
also Ohralik v. Ohio state Bar Ase’n, 436 U.S. 447, 460 (1978).
Our precedents involving attorney regulation underscore this point.
25 For example, this Court has rejected a challenge to its
uv
constitutional authority to require annual continuing legal
education ("CLE") as a condition of continued practice. smith, 189
Ariz. at 146, 939 P.2d at 424; Ariz. R. Sup. Ct. 45. Compliance
with the mandatory CLE rule generally requires not only that an
attorney spend unreimbursed time attending the courses but also
that the lewyer pay for the course. Nevertheless, we rejected a
constitutional challenge to such a rule because, like the
requirement to provide limited arbitration services to benefit the
Judiciary, “auch requirements . . . are rationally related to the
court’s obligation to serve the public interest.* zd.
36 An attorney's right “to pursue a profession is subject to
the paramount right of the state . . . to regulate .
professions . . . to protect the public . . . welfare." Cohen v.
State, 121 Ariz. 6, 10, 588 P.2d 299, 303 (2978) (citing Ariz. state
‘Bd. of Dental Exam’rs v. Hyder, 114 Ariz. 544, 546, 562 P.24 727,
719 (1977)). In addition to exacting time and money to meet the
continuing standards necessary to retain a license, the state may
exact @ reasonable consideration from those who are engaged in a
profession that it regulates. Duncan v. Truman, 74 Ariz. 328, 332,
248 P.24 879, 883 (1952) (*[A] ‘License’ is a ‘permit, granted by
the sovereign, generally for a consideration . . . to a person,
firm, or corporation to pursue some occupation or to carry on sone
business subject to regulation
) (quoting State Bd. of Barber
sxam‘rs v. Walker, 67 Ariz, 156, 167, 192 P.2d 723, 730 (2948))
18
(emphasis added). that consideration need not be exclusively
monetary, but can also be in the form of limited service to the
bench, bar, or community
337 Scheehle, citing zarabia v. aradshaw, 185 Ariz. 1, 912
P.2d 5 (1996), argues that whatever this Court's authority to
tion in
compel service from attorneys without adequate compen:
individual cas
+ it has no authority to enact rules that
systematically deprive attorneys of their time, no matter how small
the deprivation. We do not so read Zarabia.
38 Jn Zarabia, attorneys and defendants challenged Yuna
County's procedures for providing criminal representation to
indigent defendants. 185 Ariz. at 2, 912 P.2d at 6. At the tine,
Yuma County had no public defender’s office and provided
representation to indigent defendants in criminal cases through a
mix of contract attorneys and attorneys appointed from the private
bar. Id. The private practitioners were appointed on a rotational
basis and were obliged to provide the representation regardless of
experience or expertise. These lawyers were reimbursed “a total of
$375 for up to twenty hours’ work on a case ($17.50 per hour), and
$50 an hour if more than twenty hours [were] required to complete
the representation.” Id. at 3, 912 P.2d at 7.
x9 In reviewing that appointment system, we decided no
constitutional questions. Rather we held that the system violated
both A.R.S. § 13-4013, which requires that an attorney receive
a3
*reasonable* compensation when appointed to represent an indigent
criminal defendant, and Arizona Rule of Criminal Procedure 6.5(C),
which requires that in appointing an attorney to represent a
Gefendant in a criminal matter the court take “into account the
skill Likely to be required in handling a particular case.”
Zarabia, 185 Ariz. at 3, 912 P.2d at 7
40 We expressly recognized in zarabia, however, that the
court has authority to require a lawyer's services, even on a pro
bono basis, to assist in the administration of justice. ~{NJothing
we say here should be interpreted as limiting a judge's inherent
authority to achieve justice by appointing a particular lawyer to
represent a [party] in a particular case, even if the appointment
is pro bono or causes financial hardship to the appointed lawyer.”
Id, at 4, 912 P.2d at 8. We thus confirmed, as have other courts,
the ability of a court to require attorneys, by virtue of their
effice, to provide pro bono publico service in certain
circumstances. See, e.g., United States v. 30.64 Acres of Land,
795 F.24 796, 800 (9th Cir. 1986) ("Courts have long recognized
that attorneys, because of their profession, owe some duty to the
court and to the public to serve without compensation when called
on... . This duty of public service is a condition of
Practicing law, and constitutes neither a taking under the fifth
amendment, nor involuntary servitude under the thirteenth
amendment.) (citations omitted): see algo United States v. Dillon,
20
346 F.2d 633 (9th Cir. 1965) (the state can condition a lawyer‘s
ability to practice law upon the acceptance of certain
responsibilities in the furtherance of the administration of
justice)
wat Stressing that such power was limited, however, we
remarked upon the difference between “requiring @ lawyer to handle
one case or @ few and conscripting lawyers to handle “all cases
regardless of their ability or willingness to do so." Zarabia, 185
Ariz. at 4, 912 P.2d at 8, We therefore noted that “{w)hatever
appointment process a court adopts should reflect the principle
that lawyers have the right to refuse to be drafted on a systematic
basis and put to work at any price to satisfy a county's obligation
vo provide counsel to indigent defendants.* rd.
42 Contrary to the appointment system in Zarabia, which was
neither quantitatively nor qualitatively limited, the system
authorized by Rule 73 contains several inherent limitations.
First, Rule 73 does not, in and of itself, compel a lawyer to be an
arbitrator. It merely authorizes superior courts to place
attorneys on a list of eligible arbitrators. thus, presumably, if
sufficient volunteers exist in a particular county to meet that
county’s need for arbitrators, that county’s superior court need
not place eligible members of the state bar on the list of persons
eligible for appointment.
43 Second, Rule 73 provides for random appointment of
au
arbitrators from the list. Thus, placement on the list does not
necessarily result in service as an arbitrator in any given year.
m4 Third, when a lawyer is randomly selected to serve, Rule
73 explicitly limits the extent of that service, Under Rule 73, an
attorney cannot be compelled to accept arbitrations in any year in
which the attorney has already held hearings and ruled on two
matters. According to Schechie’s own affidavit, service as an
arbitrator typically requires only four to eight hours of his time
Because Schechle
and imposes only minor out-of-pocket expen
was asked to serve twice in 1997, he would have provided no more
than sixteen hours of arbitration service in that year. this
simply does not constitute the systematic deprivation condemned in
zarabia.
sas Citing Hackin v. Lockwood, 361 F.2d 499, 503 (9th Cir.
1966), Scheehle also argues that this Court cannot condition his
practice of law on the deprivation of his constitutional rights.
The district court, however, has already determined that no such
rights were infringed upon here.
“When the annual time an attorney might be required to
serve as an arbitrator is combined with the fifteen hours of
continuing legal education an attorney is obliged to obtain, it is
still well within the range of training hours required by state
administrative agencies from other professionals. See, @.9.,
A.A.C. R4-1-453(D) (requiring accountants to obtain between sixty
and eighty hours of continuing education every two years); ALAC,
R4-26-207 (requiring psychologists to obtain sixty hours every <wo
years); A.A.C. R4-11-1203 (requiring dentists to obtain seventy-two
hours every three years); A.A.C. R4-16-101 (requiring physicians co
obtain forty hours every two years).
22
conctusroN
a6 We therefore answer the Certified Question as follows
This Court has the constitutional authority to require active
menbers of the state bar to serve as arbitrators pursuant to
Arizona Rules of Civil Procedure 73. Further, A.R.S. § 12-133 does
not restrict this Court’s authority to promulgate that rule.
G Murray Snow, Juage™
Ruth V. McGregor, Chief Justice
Rebecca white Berch, Vice Chief Justice
Michael D. Ryan, Justice
Rndrew D. Hurwitz, Justice
‘The Honorable Charles E. Jones recused himself; pursuant
to Article 6, Section 3, of the Arizona Constitution, the Honorable
G. Murray Snow, Judge of the Court of Appeals, Division One, was
designated to sit in his stead.
23
SUPREME COURT OF ARIZONA
MARK V. SCHEBHLE, Arizona Supreme Court
No. CV-04-0103-cQ
Plaintite,
United States District
court
No. CV-98-1095-PHX-siat
QUSTICES OF THE ARIZONA SUPREME
COURT OF THE STATE OF ARIZONA:
STANLEY G. FELDMAN, CHARLES E.
JONES, FREDERICK J. MARTONE,
RUTH V. MCGREGOR, and THOMAS A.
ZLAKET; JUDGES OF THE SUPERIOR
COURT OF THE STATE OF ARIZONA,
IN AND FOR THE COUNTY OF
MARICOPA: MICHAEL R. MevEY,
ROBERT D. MYERS, JONATHAN H.
SCHWARTZ and CHRISTOPHER M.
SKELLY,
ORDER
Defendants.
When this Court accepted questions certified to it by the
United States District Court for the District of Arizona, chief
Justice Jones recused himself, Thereafter, the Plaintiff in the
underlying federal action, Mark V. Scheehle, filed with this Court
an “Objection to Defendants in Plaintiff’s Federal Action
Participating in the Adjudication of the Questions Certified to
this Court by the District Court." In it, ur. Scheehle argues that
the remaining four permanent members of this Court, gustices
MeGregor, Berch, Ryan, and Hurwitz, are disqualified from answering
the certified questions. We here decide that objection.
FACTS AND PROCEDURAL HISTORY
‘The Maricopa County Superior Court assessed a $900 fine
against ur. Scheehle for his refusal to accept assignment as an
arbitrator pursuant to court rules that require Arizona attorneys
with more than five years’ of experience to serve as arbitrators in
matters in which a Limited damage amount is at issue. Mr. Scheehle
filed a special action in this Court challenging the fine and the
right of the superior court to require his service as an
arbitrator. This Court declined to exercise its special action
jurisdiction. Thereafter, instead of seeking appellate review of
the fine, Mr. Scheehle filed a civil rights complaint in federal
court pursuant to 42 U.S.C. § 1983 (2000)
Im his First Amended Complaint in the federal action, Mr.
Scheehle named a number of defendants. Among them he named che
superior court judge who had assessed the fine, several other
judges of the superior court who enforced the arbitration program,
the Maricopa County Superior Court, and “the Justices of the
Arizona Supreme Court, Stanley G. Feldman, Charles =. Jones,
Frederick J. Martone, Ruth V. McGregor, and Thomas A. Zlaket.*
Although Mr. Scheehle sued all of the judyes
individually, he specified that the action was brought against them
in their official capacities. Thus, he alleged, they were not
immune from his federal civil rights action.
In the federal complaint, Mr, Scheehle attacked the
arbitration program on both constitutional and state law grounds.
He asked for declaratory relief establishing that the Arizona
statute and court rule implementing the program are
unconstitutional. He also sought injunctive relief ordering the
Maricopa County Superior Court to remove his name from the list of
arbitrators and enjoining the court from enforcing the $900
sanction entered against him. He finally requested that he be
awarded costs and his co-counsel’s reasonable attorney fees
pursuant to 42 U.S.C. § 1988(b) (2000).!
The district court entered summary judgment in the
defendants’ favor on all of Mr. Scheehle’s § 1963 claims and
declined to exercise supplemental jurisdiction over the State law
claims. The Ninth Circuit initially affirmed, Scheehle v. Justices
of the Supreme Court, 257 F.34 1082 (9th Cir. 2001), but later
withdrew the opinion. Scheehle v. Justices of the Supreme court,
269 F.3d 1127 (9th Cir. 2001). The Ninth Circuit then certified a
2 Of course “[sJuits brought against individual officers
for injunctive relief are for all practical purposes suits against.
the State itself. Hutto v. Finney, 437 U.S. 678, 700 (1978). The
public officials sued are not personally liable for any attorneys"
fees that might be awarded. Id.; see also Scott v. Flowers, 910
F.2d. 201, 213 (Sth Cir. 1990) (“Any such [attorneys’ fees) award,
however, must be paid by the state and cannot be assessed against
the defendants in their individual capacity, as the injunctive
relief sought and won by Scott can be obtained from the defendants,
only in their official capacity as commissioners."); Echols v.
Parker, 909 P.2d 795, 800 (Sth Cir. 1990) (concluding State liable
for attorneys’ fees and costs under 42 U.S.C. § 1988 when county
prosecutor, district attorney, and justice court judge were sued in
Official capacities as enforcing agente of an unconstitutional
statute)
question to our Court asking whether Arizona Revised statutes
(A.R.S.") section 12-133 (Supp. 2001) authorized a system of
compulsory participation of attorneys in the mandatory arbitration
system, Scheehle v. Justices of the Supreme Court, 203 Ariz. 520,
521, 4 1, $7 P.34 379, 380 (2002),
After accepting jurisdiction of the certified question,
all justices named in the complaint recused themselves. ‘Their
positions on this Court were filled for purposes of responding to
the certified question by four judges from the Court of Appeals and
@ judge from the Yuma County Superior Court.! This court then
Fesponded that A.R.S. § 12-133 does not authorize the creation of
an arbitration system mandating lawyer participation. rd. at 522,
416, 57 P.3d at 381, The Ninth Circuit then remanded the case to
the district court for further consideration in light of our
answer. Scheehle v. Justices of the Supreme Court, 315 F.3d 1191
(seh cir. 2003).
After remand, pursuant to A.R.S. § 12-1861 (2003), the
Gistrict court certified the following state law question to this
court:
‘These judges were the Honorable Edward C. Voss, Susan A.
Ehrlich, John C. Genmill, and Jefferson L. Lankford, of the Arizona
Court of Appeals, Division one, and the Honorable Tom C. Cole,
Presiding Judge of the Yuna County Superior Court. Scheehle, 203
Ariz. at 523 n.2, $7 P.2d at 382.
4
Whether the Arizona Supreme Court under ite
exclusive constitutional authority to regulate
the practice of law can promulgate court rule:
mandating experienced attorneys to serve as
arbitrators in light of the statutory language
of A.R.S. § 12-133 authorizing only voluntary
service?
Tf the answer to the above question is in the
affirmative, then the district court aleo requests that we answer
the following question:
Whether the Maricopa County Superior court,
pursuant to A.R.S. § 12-133, has authority
independent from the Arizona Supreme Court, to
promulgate a program mandating experienced
attorneys to serve as arbitrators in light of
statutory language that the superior courts
‘shall maintain a list of qualified persons
. who have agreed to serve?"
The district court stayed all further consideration of
Mr. Scheehle’s state law claim pending the answer to these
questions.
After the district court certified the questions to thie
Court, and before filing his objection, Mr. Scheehle filed with the
district court a “Motion to Tdentify for the Record and to Notify
the Arizona Supreme Court of Current Defendants and Counsel." in
that motion, Mr. Scheehle noted that the caption on the action
reflected the nai
of the individual defendants against whom he
had originally brought suit, but who had left office since that
time. He requested that the court update the caption and inform
the individual menbers of this court that, pursuant to the
operation of the Federal Rules of Civil Procedure, they were
automatically substituted as defendants in this action
Mr. Scheehle noted that Federal Rule of Civil Procedure 25(a)
provides that a public official sued in an official capacity is
automatically replaced as a defendant in any action by his
successor in office
In denying Mr. Scheehie’s motion to amend the caption,
the district court acknowledged that becaui
Mr. Scheehie only
brought suit againat the original defendants in their official
capacities, the federal rule automatically substituted their
successors as defendants in this case. Nevertheless it denied ur.
Scheehle’s request to anend the caption because, given the length
of the case and the number of officials originally named, there
would be many such substitutions, and it is clear from the record
that all current defendants were avare of their status as
defendants in the action.
Two weeks after this order was entered, Mr. Schechle
filed his objection to the four justices answering the certified
question. We treat it as a motion to disquality.
ANALYSIS
Im his objection, Mr. Scheehle asserts that the
participation of the permanent members of this Court in this case
® Mr. Scheehle also filed documente in this Court in which
he apparently requested that this Court update the caption. The
questions certified to us are certified from the case in which they
arose. We have no authority to alter the district court’s caption.
is prohibited by two of the rules set forth in Canon 3(B) of the
Arizona Code of Judicial Conduct. He alleges that the justices are
Gisqualified from hearing the case because they are parties to it
and are thus interested in it. Model Code of Jud. Conduct Canon
3(B) (1) (4) (4. He also alleges that they are biased and prejudiced
with respect to the case, rd. at 3(E)(1) (a). In addition to these
reasons, Mr. Schechle asserts several other reasons for
Aisqualification that are not related to the Code of Judicial
Conduct. We examine each in turn.
The Code of Judicial conduct
Justices as Parti
to the Proceeding
Canon 3(B) (1) (a) (i) requires a judge to ‘disqualify
himself or herself in a proceeding in which . . . (a) the judge
(4) is a party to the proceeding. Mr. Scheehle argues that
this canon admits of no exceptions and that if a judge is named as
@ defendant in an action, the judge is disqualified from hearing
it.
Although we have no doubt that the canon requires such a
result in the general run of cases, Mr. Scheehle is incorrect that
it admits of no exceptions. This Court, in a similar factual
context, has recognized at least one.
In In re Ronwin, Baward Ronwin, a repeatedly unsuccessful
applicant to the Arizona bar, filed a number of civil rights and
antitrust actions in federal court alleging that a conspiracy
existed to keep him from being admitted to the practice of law in
this state. 139 Ariz. $76, 580-81, 680 P.2d 107, 111-12 (1983).
Ronwin named the menbers of this Court as defendants in a nunber of
those actions. id. After filing the claims, Ronwin filed yet
another application for admission to the Arizona bar. zd. Because
“(t]he ultimate responsibility for admitting candidates for the
practice of law is vested in* the supreme court, id. at 578, 680
P.24 at 109, we ruled on the application directly. in raising and
Giscussing the ethical issues created by each justice’s status as
@ defendant in the federal court actions, we noted:
If we are to recuse ourselves simply because
we have been sued by the applicant, then who
is left to decide this case? As the Ninth
Circuit stated: **(A) judge is not
disqualified merely because a litigant sues or
threatens to sue him.’ Such an easy method
for obtaining disqualification should not be
encouraged or allowed.’* Ronwin v. State Bar
of Arizona, 686 F.2d at 701, quoting United
States v. Grismore, $64 F.2d 929, 933 (10th
Cir. 1977); see also smith y. Smith, 115 Ariz.
299, 303, 564 P.2d 1266, 1270 (App. 1977). we
agree; the mere fact that a judge has been
sued by reason of his rulings in a case does
not require recusal. Nor can the fact that
all judges in the court have been sued require
yecusal. To honor such a technique would be
to put the weapon of disqualification in the
hands of the most unscrupulous.
Id. at 586, 680 P.2d at 117.
We thus decided that it was the obligation of the
individual justices comprising this Court to decide on Ronwin's
application, despite any possible appearance of impropriety. rd.
We did so, ultimately denying that application. Id. at 587, 680
P.2d at 118.
Even though in Ronwin we did not specially identify a
doctrine that justified our decision to sit, euch a doctrine, known
as the rule of necessity, is widely applied by other jurisdictions.
Although there are several formslations of the rule, a common one
is that the rule of necessity will prevail over disqualification
standards when it is not possible to convene a body of Judges who
fare not subject to the disqualification standards. United states
v. Wi21, 449 U.S. 200, 212 (1980); Dacey v. Conn. Bar Ass'n, 368
A.2d 125, 129 (Conn. 1976); State v. Rome, 685 P.24 290, 296 (Kan.
1984); Jeffrey M. Shaman et al., Judicial Conduct and Ethics
§ 4.03, at 112 (34 ed. 2000) (*(DJisqualification mst yield to
necessity if recusal would thwart the only tribunal where relief
[is] available.
In Ronwin we concluded that because it was ultimately the
responsibility of the supreme court to determine who could be
admitted to the bar, the supreme court would have to answer the
question. 139 Ariz. at 578, 680 P.2d at 109. ‘Thus, practically,
the permanent members of the Court could not recuse thenselves.
Similarly in this case, Mr. Scheehle’s suit requires a
definitive interpretation of the scope of this Court's
administrative authority to regulate the practice of law in this
state. Such questions are inevitably questions of Arizona law.
This Court is the court of last resort on the interpretation of
such questions. Ariz. Const. art. 3; Hedlund v. superior court,
171 Ariz. 566, 567, 832 P.24 219, 220 (1992) (The supreme court has
the final say on the interpretation of rules.). It is presumably
for this reason that the legislature authorized only this court to
answer questions of state law certified by other jurisdictions.
A.R.S. § 12-1861 ("The Supreme Court may answer questions of law
certified to it by* federal and tribal courts involving dispositive
questions of state law.). Mr. Scheehle’s objection thus presente
the same question this Court asked in Ronwin, “If we are to recuse
ourselves simply because we have been sued by the applicant, then
who is left to decide this case?" Ronwin, 139 Ariz. at 586, 680
P.ad at 117.
Although Mr. Scheehle does not raise the rule of
necessity in his objection, and hence offers no argument why it
should not apply, we have an independent ethical obligation to
ensure that this exception to the general rule of disqualification
does apply before sitting on this case. we note that there are
some distinctions between this matter and Ronwin. Though the Court
was called upon to exercise authority that ultimately rested with
it, as we are here, the matter at issue in Ronwin did not also
require the Court, as it does here, to determine the scope of its
own authority. Moreover, the Ronwin Court did not consider whether
each justice should recuse as the justices did the last time a
10
question was certified to this Court in this matter. Given that
recusal is possible, it could be argued that it is not "necessary"
that any single justice sit on this case, because a replacenent can
be appointed to sit in each justice’s stead. Finally, in Ronwin,
unlike the present case, the justices thenselves were not parties
to the matter they decided.
Courts in other jurisdictions have determined that when
@ litigant names each menber of a state's highest court as a party
to litigation challenging the court's authority or actions, and
then moves to disqualify each menber of the court from sitting on
the case, the rule of necessity obliges the individual members of
the court to sit. See New York State ass’n of Criminal Def.
Counsel v. Kaye, 744 N.B.24 123 (N.¥. 2000) (holding that the rule
of necessity required the individual judges of the New York Court
of Appeals to serve even though they were named defendants in
Proceeding challenging capital fee structure promulgated by that
court); Vermont Supreme Ct. admin. Directive No. 17 v. vermont
Supreme Court, 576 A.2d 127, 132 (Vt. 1990) (determining that the
rule of necessity required individual justices to serve even though
they were named defendants in proceeding challenging administrative
order that they had entered); see also Office of State Ct. Adn’r v.
Background Info. Servs., 994 P.24 420, 425-26 (Colo. 1999)
(upholding rule that required members of supreme court to sit in
determining whether its own order restricting access to court
un
records was valid); Rome, 685 P.2d at 296 (determining that supreme
court must sit even though it is interpreting its own authority);
x parte Farley, 570 S.W.2d 617, 623 (Ky. 1978) ( Board of
Overseers of the Bar v. Lee, 422 A.2d 998, 1002 (Me. 1980) appeal
dismissed by 450 U.S. 1036 (1981) (same); Berberian v. Kane, 425
A.24 527, 527 (R.T. 1981) (same); Cameron v, Greenhill, 582 $.W.2d
778, 776 (Tex. 1979), cert. denied, 444 U.S. 868 (1979) (same);
State ex rel. Hash v. Mcgraw, 376 $.£.24 634, 638 (W. Va. 1988)
(same). The rule of necessity applies even when there are
provisions for a member of the court to be temporarily replaced in
@ matter, See Kaye, 744 N.E.2d at 128 (*The constitutional
provision for the designation of substitute Judges is not to be
used as a vehicle to force removal of the constitutionally
appointed members of this Court by naming them as parties when
challenging adninistrative actions of the Court.*).
For the following reasons, we agree that the rule of
necessity obliges us to sit in answering the questions certified in
this case even though we are nominal parties to the action.
As Mr. Scheehle’s complaint and subsequent motions
indicate, he has sued the permanent menbers of this Court in their
offic:
1 capacities only, He does not argue that any of the four
justices he seeks to disqualify has a personal stake in the
Litigation, when a justice has a personal conflict or is otherwise
unable to serve, there is a procedure for the substitution of that
2
individual justice Substitution based on individual
considerations, however, is very different from an assertion that
every sitting justice is disqualified by virtue of his or her
position as a member of this Court.
Téa permanent menber of this Court being sued in an
official capacity steps aside so that another judge can be
appointed to sit, the person temporarily appointed then becomes a
temporary member of this Court. That person thus suffers from the
me infirmity, albeit on a temporary basis, that caused the
Permanent menber’s recusal. [If] . . . the court could be
regarded as an adversary of the petitioners, how would matters be
any different if its regular members saw fit to vacate the bench?
‘The special members appointed temporarily to replace them would
still constitute that same court and, perforce, they too would be
@isqualified.* Farley, 570 $.W.2d at 623; see also Morgenthau v.
Cooke, 436 N.E.24 467, 469 n.3 (N.Y. 1962) (finding use of
substitutes for all menbers of the court would turn the substitutes
into the Court of Appeals); Vermont Supreme Court, 576 A.2d at 132
(stating that ‘[s]ince the actions challenged in this proceeding
were taken in our official capacity as the Vermont Supreme Court,
the asserted disqualification to act cannot be eliminated simply by
a temporary reconstitution of the Court")
Mr. Scheehle bases his objection, in part, on the
operation of Federal Rule of Civil Procedure 25(d), which
B
automatically substitutes as defendants to a federal lawsuit
Successors in office to those public officials who are sued in
sued the
their public capacities. Because Mr. Scheehle hi
permanent members of this Court only in their official capacity, it
appears that, should a menber recuse or be disqualified, the
temporary replacement would be substituted in by operation of the
Rule. The replacement would thus also be subject to
Gisqualitication under the Rule.
Even if temporary successors were not automatically
substituted in as parties, the reconstituted Court still could not
address Mr. Scheehle's objections as set forth in his First Amended
Complaint. That complaint alleges that ‘Arizona courts do not
provide an impartial forum for litigating this cause because if
Plaintiff is successful in his challenge of the System, arizona
judges may face a substantial increase in workload. Thus, even
assuming the merit of Mr. Scheehle’s objection, if any Arizona
court would be incapable of answering the certified question
without bias, it would not be possible, by appointing temporary
replacements on this Court, to cure the basis of his objection.
Even assuming disqualification or recusal could cure the
problem, it would create additional problems of constitutional
@imension if the menbers of this Court recused for the reasons
Suggested by Mr. Scheehle. The Arizona Constitution specifies the
qualifications for justices of this Court and the process by which
1a
justices mist be appointed and retained. Ariz. Const. art. 6,
55 6, 36-38. The constitution further specifies the unique duties
and prerogatives of this Court, ‘These constitutional prerogatives
involve both administrative responsibilities, Ariz. const. art. 6
S$ 1, 3 (placing judicial power in an integrated judicial
Gepartment and providing the supreme court with administrative
Supervisory authority over all lower courts), and the authority to
interpret the law. Ariz. Const. art. 3 (creating a judicial
Gepartment separate from executive and legislative departments)
The constitution requires that’ those _—_ constitutional
responsibilities be exercised by the justices appointed to this
Court. A disqualification of all menbers of this Court based only
on an asserted conflict that arises from each justices’s
performance of his or her constitutional function would be an
abdication of duty by those who are constitutionally designated to
perform such functions. Other courts have also recognized this
Problem. See Kaye, 744 N.E.2d at 126 (“If disqualification were
vequired whenever the Judges were sued as individuals upon a
challenge to an act of the Court, the result could be substitution
of the entire constitutionally appointed court, leaving ‘the most
fundamental questions about the Court and its powers’* to be
decided by persons who were not appointed to that purpose.);
Berberian, 425 A.2d at 528 (Disqualifying the justices of the
supreme court each time their administrative powers are challenged
a5
would “render the rule-making process self-defeating and
hugatory."); Vermont Supreme Court, 576 A.2d at 226 (finding
Substitution of all members of the court “leaves the most
fundamental questions about the Court and its powers to persons
whose selection and retention are not tested by constitutional
processes")
Further, as we previously recognized in Ronwin, if
Sisqualification were allowed in this case, it would provide
Litigants the ability to disqualify the membership of this entire
Court merely by naming each member as a party. 139 Ariz. at 586,
680 P.2a at 117, Such an easy method for obtaining
@isqualification should not be encouraged or allowed." 1d.
This Court is regularly called upon to interpret or
decide the validity of its own rules. see, e.g., State ex rel.
Napolitano v. Brown, 194 Ariz. 340, 342, 43 6-8, 982 P.24 815, 817
(2999) (rule granting 120 days to file a petition for post
conviction relief upheld); In re Smith, 189 Ariz. 144, 146, 939
P.24 422, 424 (1997) (upholding rule imposing mandatory continuing
legal education); Stapleford v. Houghton, 185 Ariz. 560, 562, 917
P.2d 703, 705 (1996) (finding provision of Rules of Criminal
Procedure superseded by Victim's Bill of Rights); state v. Rosco
105 Ariz. 68, 912 F.2d 1297 (1996) (same) .
Our adoption of a rule does not constitute a prior
determination that the rule is valid and constitutional against any
16
challenge. (CJourt rules and comments thereto cannot be given
effect if they conflict with valid provisions of the constitution.”
Stapleford, 185 Ariz. at 562, 917 P.2d at 705, Such a
determination awaits a judicial proceeding in which opposing
interests are provided a full opportunity to be heard. See, e.9.,
Kaye, 744 N.B.24 at 127 (quoting Vermont Supreme Court, 576 A.24 at
30) (*COlur promulgation of the [rule] is not a prior determination
that it is valid and constitutional. That determination must await
the adjudication in this or a future case.*). Both this Court and
lower Arizona courts have upheld challenges to the validity of
rules promulgated by this Court in such settings. See, e.g.,
Stapleford, 185 Ariz, at 560, 917 P.2d at 70:
Roscoe, 185 Ariz. at
68, 912 P.2d at 129
State v. Uriarte, 194 Ariz. 275, 981 P.2d 575
(App. 1996) (holding court rules must give way to statutes
appropriately implementing constitutional provisions).
It is unusual, however, for the individual justices of
this Court to be named as nominal defendants to a suit challenging
@ court rule. Declaratory judgment actions brought in state court
challenging procedural or administrative rules of this Court do not
require that the individual justices be named to obtain relief.
Although Mr. Scheehle’s § 1983 action brought in federal court
presumably does require that a public official be named,
Mr. Scheehle named a number of officials, including the superior
court judge who enforced the rule and imposed the
nction against
rd
him. Presumably, therefore, he did not have to name each justice
of this Court as a defendant to obtain the relief identified in his
complaint.‘ That he did so, however, does not, under these facts.
require our disqualification. the rule of necessity mandates our
individual participation in responding to the questions certified.
See will, 449 U.S. at 214
2, Bias and Prejudice
Me. Scheehle alleges that each of the four permanent
justices should be disqualified because each is already committed
to a view on the certified questions. This partiality, according
to Mr. Scheehle, constitutes bias or prejudice sufficient to
@isqualify the justices pursuant to Canon 3(#)(1)(a), which
specifies that [a] judge shall disqualify himself or herself in a
proceeding . . . where . . . the judge has a personal bias or
prejudice concerning a party or a party's lawyer.”
The objection asserts that the bias of the justices is
clear because of “the pleadings and papers filed over the past
< Opinion 96-14 of the Arizona Supreme Court Judicial
Ethics Advisory Committee, entitled “Limitations on
Disqualification Requirement,” November 21, 1996, posits that if a
disinterested but informed observer would conclude that suit was
brought against a judge solely to disqualify the judge from
presiding over litigation, the judge is not disqualified, so lang
as the judge feels that he or she can fairly preside over the case.
We need not decide whether a disinterested but informed observer
would make such a determination as to Mr. Scheehle’s suit against
the individual menbers of this Court because we conclude that the
rule of necessity requires the permanent menbers to sit in
answering the certified questions.
38
seven years or so by the defendants in (this action] (which
include, of course, the four justices in question).* sven
suning
that the pleadings filed by the Attorney General representing all
the defendants could be attributed for purposes of this motion to
represent the views of each of the permanent menbera of this Court,
ech, Ryan and Hurwitz) are relatively
three of the four justices (
recent appointees to the Court, and Mr. Scheehle suggests no
pleading filed during the tine of their service on the Court that
would suggest that any of them has a preconceived view on the
Sasue,
‘The only specific pleading mentioned in the objection is
the brief filed by defendants with our reconstituted supreme court
when the Ninth Circuit first certified a question to us in this
same proceeding in 2002. According to Mr. Schechle, in that
pleading the defendants took the position that the supreme court
“had the inherent power to require the attorneys it regulates to
serve as arbitrators." Because Justice McGregor was a menber of
the Court at that time, Mr. Scheshle asserts that the defendants’
position can be attributed to her for purposes of establishing her
personal bias. There are both legal and factual problens with this
argunent.
As a matter of law, even if Mr. Scheehle could establish
that any of the justices has a view on the question at issue, such
an allegation does not constitute the kind of bias or prejudice
as
required for disqualification under the canon. Canon 3(8) (1) (a)
specifies that disqualification is appropriate when “the judge has
@ personal bias or prejudice concerning a party or a party's
lawyer.* “Bias and prejudice means a hostile feeling or spirit of
ill-will . . . towards one of the litigants. The fact that a judge
may have an opinion as to the merits of the cause or a strong
feeling about the type of litigation involved, does not make the
judge biased or prejudiced.* State v. Perkins, 141 Ariz. 278, 286,
686 P.24 1248, 1256 (2984) (quoting State v. Myers, 117 Ariz. 79,
86, 570 P.2a 1252, 1259 (1977) (quoting In re Guardianship of
Styer, 24 Ariz. App. 148, 151, 536 P.24 717, 720 (1975))); Shaman
etal., supra, § 4.04, at 113 (*However, neither bias nor prejudice
refer to the attitude that a judge may hold about the subject
matter of @ lawsuit... . That a judge has a general opinion
about a legal . . . matter that relates to the case before him or
her does not disqualify a judge from presiding over the case.)
(citations omitted); see also Leslie W. Abramson, Judicial
Disqualification Under Canon 3 of the Code of Judicial conduct 24
(24 ed. 1992) (“only personal bias or prejudice constitutes a
disqualifying factor.*).
Thus, Mr. Scheehle’s allegation that the four permanent
justices already have a view about the questions certified does not
constitute a basis for disqualification even if it could be
established.
20
And, even as a factual matter, Mr. Scheehle ie unable to
establish such a pre-existing view. when the supreme court or
other departments of the State require representation, they obtain
that representation from the Attorney General’s office. For cases
involving the supreme court, the legal representation is
coordinated with the Chief Justice, only he was aware of the
position taken by the defendants in this case. That is the basis
for his own recusal in this matter, Ae the New York Court of
Appeals noted in Kaye, “[i]t is not an uncommon practice for the
Chief [Justice] alone to be recused in similar appeals involving
judicial administration.* 744 N.E.2d at 125 n.2.
Neither Justice McGregor nor any of the other justices
who are challenged by Mr. Scheehle’s motion tock any role in the
defense, nor were they aware of the positions or theories advocated
by the State before the State's papers were filed. Mr. Scheehle
challenges the validity of a court rule, names each of the
individual justices as nominal party defendants, and then asserts
that any answer or argument advanced by the State in favor of the
validity of the rule mist be attributed to each of the justices for
the purpose of establishing his or her individual bias. In cases
in which the rule of necessity requires the permanent members of
this Court to sit on a question, and the justices have taken no
role in the preparation of the defense, such an attribution cannot
be made. The rule of necessity itself requires such an
accommodation. Cf, Disqualification Concerns When the Attorney
General's Office Represents Judges, Op. 02-05 Ariz. Supreme ct.
Jud, Ethics Advis. Comm. (Sept. 12, 2002) (While normally a judge
should recuse from hearing a case in which the Assistant Attorney
General representing him in other mattera appears before him, “if
the lawyer currently represents all judicial officers in the county
or state (e.g., in a challenge to entire court’® authority or an
attack on a judicial policy or rule), the ‘rule of necessity’ may
prevail, making disqualification impractical and unnecessary.
B. Other Arguments for Disqualification
In addition to these argunents, Mr. Scheehle also briefly
argues that the individual justices should recuse because (1) he
has filed a complaint against the individual justices with the
Arizona Commission on Judicial Conduct resulting from their failure
to recuse themselves in this matter, and (2) the naned defendant
justices previously recused themselves when a question was earlier
certified in this same matter.
41. Complaint to the Commission on Judicial conduct
Mr. Scheehle asserts that the individual justices are
disqualified from deciding this matter because he has filed a
complaint against each of them with the Commission on Judicial
Conduct resulting from their failure to recuse.
As far as we can discern, every state that has considered
the question, including Arizona, has determined that a complaint to
22
the Commission on Judicial Conduct alone does not require recusal.
“The mere fact that a complaint has been made against a judge
alleging the judge is biased and cannot be impartial does not
require automatic disqualification or recusal by the judge. Tf
this were so any party or attorney could easily disrupt court
proceedings at any time by filing a complaint against the judge.
Disqualification Considerations When Complaints Are Filed Against
Judges, Op. 98-2 Ariz. Supreme Ct. Jud. Ethics Advie. Comm. (Mar.
, 1998) (quoting Shaman et al., Judicial Conduct and Ethics
§ 4.06 (24 ed, 1995)); see also Op. No. 98-04 Wash. Ethics Advis.
comm. (Apr. 20, 1998); Op. 45 calif. (gan. 23, 1997).
‘Thus, Mr. Scheehle’s complaint against the justices with
the Commission on Judicial Conduct does not alone merit
disqualification.
2. The Justic
Previously Recused in this Matter
Mr. Scheehle correctly asserts that when the Ninth
Circuit previously certified a question to us in this matter, the
five permanent justices then on the Court all recused themselves.
‘The recusal did not cone as a result of an objection brought by Mr.
Scheehle. Each justice recused on his or her own motion. We have
no record of their reasons for recusal. Even when the canons do
not require recusal, a judge may recuse from judicial duties
Zuniga v. Superior Court, 17 Ariz. 222, 224, 269 P.2d 720, 721
(2954) ("A judge may on his own motion, if he acts timely, recuse
23
himself even though the reason given might not be sufficient to
form the basis of a legal disqualification. *)
We do not now question the decision of each of the
members of this Court at that time to recuse themselves. Nor are
we bound by that decision. zt is, however, our determination for
the reasons set forth above that Mr. Scheehle presents no legal or
factual argument requiring the disqualification of ali four
Permanent justices, merely because the last time a question was
certified in this matter each individual justice chose to recuse.
concuusron
We recognize that each justice in this case has a
continuing individual responsibility to exercise “considerable
introspection and intellectual honesty,“ in determining whether he
or she may appropriately sit upon any matter that cones before the
Court. op. 98-2 Ariz. Supreme Ct. Jud. Ethics Advis. Comm. (Mar.
24, 1998). Such an evaluation depends on considerations that may
be unique to each justice and cannot be evaluated or discussed in
this collective opinion. Apart. «from such individual,
considerations, however, we here determine that Mr. Scheehle has
set forth no arguments in his objection that would compel
@isqualification of any of the four justices from sitting on the
certified questions. Therefore,
24
XT IS ORDERED, denying Scheehle’s motion to disqualify.
G. Murray Snow, Judge
CONCURRING:
Ruth V. McGregor, Vice Chief Justice
Michael D. Ryan, Justice
Rndvew D. Hurwitz, Justice
* The Honorable Charles E. Jones recused himself, pursuant to
article 6, Section 3 of the Arizona Constitution. The Honorable ¢.
Murray Snow, Judge of the Court of Appeals, Division One, waa
designated to sit in his stead.
25.
| 3a4c836b03cf83e156dc0e2039f60131b81830475a4bf59d5272848f30afb21b | 2005-10-05T00:00:00Z |
8e048733-33a0-4851-9a0c-235c696a3abd | State of Alabama ex rel. Luther Strange v. Tyrone Clark, Sr. | null | 1151021 | alabama | Alabama Supreme Court | In the Supreme Court of Alabama
duly 27, 2016
State of Alabama ex rel. Luther Strange,
Attorney General
1151021
Tyrone Clark, sr.,
Sheriff of Sumter County
PER CURIAM.
In January 2015, Tyrone Clark, Sr., began his present
term of office as the sheriff of sumter County. on June 30,
2016, the State of Alabama, by and through its attorney
General, pursuant to §§ 36-11-4 and 36-11-5, Ala. Code 1975,
filed an information of impeachment and a prayer for ouster,
charging that sheriff Clark, during his present term of
office, willfully neglected his duty and engaged in corruption
while in office, in violation of § 36-11-1, Ala. Code 1975,?
'section 36-11-1 provides, in pertinent part:
(a) The following officers may be impeached and
removed from office: ... sheriffs
"(b) The officers specified in subsection (a) of
this section may be impeached and removed from
office for the following causes:
"(1) Willful neglect of duty;
"(2) Corruption in office;
3151021
and Art. VII, § 173 and § 174, Ala. Const. 1901.7
‘The information contained two charges: willful neglect of
"(3) Incompetency;
(4) Intemperance in the use of
intoxicating liquors or narcotics to such
an extent in view of the dignity of the
office and importance of its duties as
unfits the officer for the discharge of
such duties; or
"(5) Any offense involving moral
turpitude while in office or committed
under color thereof or connected
therewith."
*article VII, § 174, Ala. Const. 1901, provides:
“The chancellors, judges of the circuit courts,
judges of the probate courts, and judges of other
courts from which an appeal may be taken directly to
the supreme court, and solicitors and sheriffs, may
be removed from office for any of the causes
specified in (Art. VII, § 173,] or elsewhere in this
Constitution, by the supreme court, under such
regulations as may be prescribed by law. The
legislature may provide for the impeachment or
removal of other officers than those named in this
article.”
Article VII, § 173, Ala. Const. 1901, provides that
officials "may be removed from office for willful neglect of
duty, corruption in office, incompetency, or intemperance in
the ‘use of intoxicating liquors or narcotics to such an
extent, in view of the dignity of the office and importance of
the duties, as unfits the officer for the discharge of such
duties, or for any offense involving moral turpitude while in
office, or committed under color thereof, or connected
therewith ...." See also § 36-11-1, Ala. Code 1975
2
3151021
@uty and corruption in office. With regard to Charge one in
the information, willful neglect of duty by Sheriff clark
during his present term of office, the information included
the following nine specifications, namely that Clark
1. “{WJillfully neglected his duty to secure and
Supervise inmates in his custody under Ala. Code
(1975,] § 14-6-1[,] when he made Rodney Coats, an
inmate in the Sumter County Jail, a trust [y]. Coats
had an extensive criminal history for drug-related
offenses, and he was placed in jail under these
criminal’ — charge: Trafficking in Cocaine,
Trafficking in Methamphetamine, Possession of a
Controlled Substance, Possession of Marijuana First
Degree, Receiving stolen Property Second Degree,
Certain Persons Forbidden to Possess a Pistol,
Assault First Degree, and Possession of Drug
Paraphernalia. His bond for these charges totaled
$675,000.00.
“when he made Coats a trust(y], Sheriff Clark
gave Coats privileges, including allowing him to
move freely about both the Jail and Administration
Buildings of the Sumter County Sheriff's Office and
allowing Coats to leave the Jail, sometimes without
law enforcement oversight."
2. "{W)illfully neglected his duty to prevent the
introduction of contraband into the Jail and
supervise the inmates housed therein under Ala. Code
(1975,] §§ 14-6-1 and 13A-10-37 and -38.
Specifically, Sheriff Clark aided Rodney Coats in
bringing contraband into the Sumter County Jail by
ordering the Sumter County Detention Officers not to
search Coats when he would return to the Jail after
being outside of the Jail and free of law
enforcement oversight. This contraband included
controlled substances, cell phones, and cigarettes
1181021
"sheriff Clark also protected Coats from ‘shake
downs’ performed by the Sumter County Jail Staff, as
well as ‘drug sweeps’ at the Jail by outside la
enforcement agencies, by removing him from the Jail
or instructing Jail staff to leave Coats alone.
"Furthermore, Sheriff Clark allowed Coats to
receive visitors at the Sumter County Sheriff's
Office Administrative Building who were not searched
or subjected to any security measures before meeting
with Coats. These visitors were also allowed to
access the Sumter County Sheriff's Office
Administrative Building through an entrance that was
not monitored by surveillance cameras."
3. _"(W]illfully neglected his duty under Ala.
Code [1975,] § 14-6-1[,] to supervise the inmates in
the Sumter County Jail and prevent inmates from
possessing a deadly weapon under Ala. Code (1975, ]
§ 13A-10-36, by allowing Rodney Coats to have access
to firearms, even though Coats had pending charges
for Assault First Degree and Certain Persons
Forbidden from Possessing a Handgun."
4, "{W]ilifully neglected his duty under Ala.
code [1975,] § 14-6-16[,] to safely preserve the
process or order by which prisoners are committed to
jail by permitting Rodney Coats, himself an inmate,
to process prisoners."
5. "{W]illfully neglected his duty under Ala,
code [1975,] § 14-6-1[,] to maintain custody of
inmate Ronald James. Sheriff Clark gave James, who
was serving a 10-year sentence, split to serve 14
months, for the violent offense of Burglary Second
Degree, a ‘jail pass.' This allowed James to leave
the custody of the Sumter County Jail for extended
periods of time, endangering the safety of the
victim involved in the case for which James was
incarcerated, as well as endangering the safety of
the residents of sumter County."
1152021
6. "(W]illfully neglected his duty under Ala.
Code [1975,] § 14-6-1[,] to maintain custody of
inmate James Markell Bell. Sheriff Clark also
failed to swear out an arrest warrant, apprehend, or
arrest Bell after Bell escaped from the Sumter
County Jail in violation of Ala. Code [1975,] §
13A-10-32."
" (w] il1fully neglected his duty to supervise
jail inmates and secure the Jail under Ala. Code
[1975] § 14-6-11,] by giving inmate Rodney Coats
access to an unsecured room in the administration
building, where Coats had sexual intercourse with
female visitors. The visitors were never searched,
and the entrance to the room was not monitored by
cameras or otherwise."
" (w] i11 fully neglected his duty to supervise
jail inmates, secure the Jail, and enforce the law
under Ala. Code [1975,] §§ 14-6-1 and 36-22-3[,]
when he provided an environment in the
Administration Building that allowed Rodney Coats to
engage in Human Trafficking in the Second Degree, in
violation of Ala. Code (1975,] § 13A-6-153 (a) (2
9. "{W]illfully neglected his duty to properly
appoint and supervise deputies under Ala. Code
(1975,]_ § 36-22-3[,] when he appointed Johnny
Archibald a deputy sheriff and directed Archibald to
patrol on his own, even though Archibald had not
been certified as a law enforcement officer by the
Alabama Peace Officers Standards and Training
Commission, in violation of Ala. Admin. Code [ (Peace
Officers Training), Rule] 650-X-2-.01."
With regard to Charge two in the information, corruption
in office by Sheriff Clark during his present term of office,
the information included the following three specifications,
namely that Clark:
3181022
1. "[U)sed his official position or office to
benefit himself by personally and privately
employing inmates of the Sumter County Jail, namely
Rodney Coats and Glenn Brown, in violation of Ala
Code [1975,] §§ 14-5-11 and 36-25-5. Among other
things, Sheriff Clark directed Coats and Brown to
perform work at his personal home
"[U]sed his official position or office to
benefit himself by operating an undocumented work
release program, wherein he allowed inmates from the
Sumter County Jail to be released for the purpose of
working for individuals and/or businesses on the
condition that the inmates pay Sheriff Clark a
portion of their wages, in violation of Ala. Code
(2975,] §§ 36-22-16 and 14-8-37.
3. "{A] tempted to use his official position or
office to coerce a female employee to have sexual
intercourse with him."
On June 30, 2016, this Court ordered Sheriff Clark to
appear before it on July 25, 2016, to answer the information
filed against him. The clerk of this Court issued a summons,
ordering Terry W. Peeler, the coroner of Sumter County, to
serve the summons to appear and the attached order and
information on Sheriff Clark. ‘That same day, Peeler served
Sheriff Clark with the summons and the attached order and
information
on duly 25, 2016, Sheriff Clark appeared before this
Court, waived the reading of the information, denied each and
every specification charged in the information, and entered a
2151022
plea of not guilty. The Court then heard ore tenus testimony.
Alabama caselaw is well settled that a proceeding brought
pursuant to Art. VII, § 174, Ala. Const. 1901, is criminal in
nature. Alonzo v. State ex rel, Booth, 283 Ala. 607, 219 So.
2d 858 (1969); State ex rel. Mullis v. Matthews, 259 Ala. 125,
66 So, 24 1105 (1953). The State must prove the charges on
which the proceeding is based beyond a reasonable doubt.
State ex rel. Mullis, supra; State ex rel. Attorney Gen, v.
Robinson, 111 Ala. 482, 20 So. 30 (1896); and State v.
Buckley, 54 Ala. 599 (1875).
Justice McClellan, concurring specially in State ex rel.
Attorney General v. Martin, 180 Ala. 458, 461, 61 So. 491, 492
(1913), defined "willful neglect of duty" as an "intentional
failure or omission of an officer to perform a plain and
manifest duty which he is able to perform when he omits to do
80. “Corruption in office," also known as “official
misconduct," has been defined as "[a] public officer's corrupt
violation of assigned duties by malfeasance," misfeasance,
°Malfeasance is defined as "(a] wrongful, unlawful, or
dishonest act; esp., wrongdoing or misconduct by a public
official." Black's Law Dictionary 1100 (10th ed. 2014).
‘Misfeasance is defined as "[a] lawful act performed in
a wrongful manner." Black's Law Dictionary 1151 (10th ed.
7
1151021
or nonfeasance."" Black's Law Dictionary 1150 (10th ed
2014) (defining "official misconduct" as an entry under the
term "misconduct®) .
Based on specifications 1, 2, 3, 5, 6, 7, and 8 of Charge
one in the information and the evidence adduced in support
thereof, the Court finds that Sheriff Tyrone Clark, Sr., is
guilty beyond a reasonable doubt of willful neglect of duty
during his present term of office. Based on specifications 1,
and 3 of Charge two in the information and the evidence
adduced in support thereof, the Court finds that Sheriff
Tyrone Clark, Sr., is guilty beyond a reasonable doubt of
corruption during his present term of office. It is the
judgment of this Court that sheriff Clark be impeached, and
Tyrone Clark, Sr., is hereby ousted from the office of sheriff
of Sumter County, Alabama.
Parker, Murdock, and Wise, JJ., concur.
Stuart, Bolin, Shaw, Main, and Bryan, JJ., concur
specially.
2014).
‘Nonfeasance is defined as "(t]he failure to act when a
duty to act exists." Black's Law Dictionary 1216 (10th ed.
2014).
2181021
BOLIN, Justice (concurring specially).
I concur fully with the findings of the per curiam
opinion that Sheriff Tyrone Clark, Sr., is guilty beyond a
reasonable doubt of corruption in office during his present
term of office, as set forth in Charge two of the information,
and that Sheriff Tyrone Clark, Sr., is guilty beyond a
reasonable doubt of willful neglect of duty during his present
term of office, as set forth in Charge one of the information,
and as reflected in the seven acts specified in the opinion as
supporting that finding. I write specially to state that I
find from the evidence that Sheriff Tyrone Clark, Sr., is also
guilty beyond a reasonable doubt of specified acts 4 and 9 in
charge one.
Stuart, Shaw, Main, and Bryan, JJ., concur.
| c247d7fd516e3483b10fb161a02b82308b7880e2990369d1e110db84fb6f1b2a | 2016-07-27T00:00:00Z |
07932394-a56b-4791-9436-6b7073efdecf | Zimmerman v. Betsey Bayless, ...and House of Representatives and Senate of the State of Arizona ...and Arizonans for Wildlife Conservation (Supreme Court Order) | null | CV-00-0316-AP/EL | arizona | Arizona Supreme Court | FILED
AUG 3 1 2000
SUPREME COURT OF ARIZONA
DOUGLAS G. ZIMMERMAN, Arizona Supreme Court
No. C¥-00-0326-a8/E2,
Plaintiff-Appellant/
Cross-Appeliee, ) Maricopa County Superi:
Cours
No. CV 2000-15083
BETSEY BAYLESS, Secretary of
State for the State of Arizona,
De!
dant-Appellee,
and
‘THE HOUSE OF REPRESENTATIVES and
SENATE OF THE STATE OF ARIZONA,
by and through BRENDA BURNS,
President of the Senate and JEFF
GROSCOS?, Speaker of the House,
Real Parties in Intere
Appellee/Cross Appellat
ORDER
and
ARIZONANS FOR WILDLIFE
CONSERVATION,
Intervenor-Appellee/
Gross-Appellant,
,
)
‘
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This Court has read and considered all the briefs
in this case on appeal and cross-appeal. hile the late
filing in superior court may not have prejudiced that
court's consideration of this matter on the merits, the
matter reached this Court far too late for the Court to
address the merits in a meaningful yet timely way. Harris v.
Purcell, 193 Ariz. 409, 973 P.2d 1166 (1998). Therefore,
dismissing the appeal.
ORDERED dismissing the cross-appeal
as moot.
DATED this 31" day of August, 2000.
THOMAS A. Zi
Chief Justice
10:
Stephanie Nichols-Young, Esq.
Lisa T. Hauser, Esq., Meyers Taber Meyers P.C.
Hon. Janet A. Napolitano, Esq., Arizona Attorney General
Attn: Joseph A. Kanefield, Esq.
Hon. Robert D. Myers, Judge, Maricopa County Superior Court
Hon. Colin F, Campbell, Presiding Judge, Maricopa County Superior
Court
Michael K. Jeanes, Clerk, Maricopa County Superior Court
| 432888e5dadaf4f7644881b856d8a24c956154c61abc29c9c758e75957230ec9 | 2000-08-31T00:00:00Z |
e235637a-3976-4140-9396-52ad51cab9c1 | THOMAS HANEY v TOM RICE et al | null | CV-08-0195-AP/EL | arizona | Arizona Supreme Court | FILED
JUL 11 2008
soieueueic
SUPREME COURT OF ARTZONA
In Division
THOMAS HANEY, an individual and
qualified elector,
Arizona Supreme Court
No. CV-08-0195-AP/EL
Appellant, ) Maricopa County
Superior Court
No. cv2008-014383
‘THE HONORABLE R. FULTON BROCK,
DON STAPLEY, ANDREW KUNASEK, MAX
W. WILSON and MARY ROSE WILCOX,
THE DULY ELECTED or APPOINTED
MEMBERS OF THE MARICOPA COUNTY
BOARD OF SUPERVISORS, WHO ARE
NAMED SOLELY IN THEIR OFFICIAL
CAPACITY: THE MARTCOPA COUNTY
)
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>
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) MEMORANDUM DECISION
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BOARD OF SUPERVISORS; THE )
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(Not for Publication -
Ariz. R. Sup. Ct. 111)
HONORABLE HELEN PURCELL, THE
DULY ELECTED MARICOPA COUNTY
RECORDER, WHO IS NAMED SOLELY IN
HER OFFICIAL CAPACITY, AND THE
HONORABLE KAREN OSBORNE, THE
DULY APPOINTED MARICOPA’ COUNTY
DIRECTOR OF ELECTIONS, WHO 15
NAMED SOLELY IN HER OFFICIAL
capacrTy,
Appellees,
‘ToM RICE, an individual,
Real Party in Interest.
Appeal from the Superior Court in Maricopa County
‘The Honorable Douglas L. Rayes, Judge
AFFIRMED
WILLIAMS & ZINMAN, P.C. Scottsdale
By Scott £. Williams
Mark B. Zinman
Attorneys for Thomas Haney
RAYMOND, GREER @ SASSAMAN, P.C. Phoenix
By Michael J. Raymond
Attorneys for Tom Rice
BERCH, Vice Chief Justice
a We have been asked to decide whether nominating
petitions that contain only twelve signature lines per page
comply with Arizona Revised Statutes ("A.R.S.") section 16-
315(A) (3) (2006). Under the facts of this case, we hold that
they do.
I. FACTS AND PROCEDURAL HISTORY
2 Tom Rice seeks his party’s nomination to run for
Justice of the Peace of the Dreamy Draw Justice Precinct. To be
eligible, Rice needed to submit 441 valid signatures to the
Maricopa County Elections Department. Rice submitted forty-five
petition sheets that contained 498 valid signatures. only
thirty-six of the forty-five petition sheets contained the
statutorily prescribed fifteen signature lines; the other nine
contained only twelve lines per page. Those nine sheets bore a
total of sixty-seven valid signatures.
2 Thomas Haney, a qualified elector, challenged Rice’s
petitions on the ground that the nine petition sheets containing
only twelve signature lines were invalid, and therefore, Rice
-2-
failed to submit the required 441 signatures (498 less 67 is
431). On June 23, 2008, the superior court conducted a hearing
and held that the deficient petition sheets substantially
complied with § 16-315(A)(3). Haney subsequently appealed to
this Court, and by an order dated July 1, 2008, we affirmed. In
that order we informed the parties that a written decision would
follow; this is that decision.
oo We have jurisdiction pursuant to Rule 8.1 of the
Arizona Rules of Civil Appellate Procedure and A.R.S. § 16-
391(A) (2006).
II. pIscussrow
45 Arizona law prescribes the form in which nominating
petitions must be made. At the center of this controversy is
A.R.S. § 16-315(A) (3), which provides as follows:
A, The nomination petitions shall be in substantially
the following form:
3. There shall be fifteen lines spaced three-eighths
of an inch apart and consecutively numbered one
through fifteen.
a6 Haney argues that the text of § 16-315(A)(3) is clear
on its face ~ that is, because the statute uses the word
“shall,” the doctrine of “substantial compliance” does not
apply, and the petitions are therefore deficient because they
contain only twelve lines. To support his argument, Haney
-3-
asserts that our decision in Clark v. Pima County Board of
Supervisors, 128 Ariz. 193, 624 P.24 871 (1981), requires strict
adherence to the statute's text. He also maintains that
accepting Rice's position would open the door to future
interpretations of § 16-315(A), which would frustrate the
statute’s purpose. Haney urges us to reject the nine petitions
containing only twelve signature Lines.
7 Rice agrees that the text of § 16-315(A) governs.
Unlike Haney, however, Rice argues that the prefatory clause of
§ 16-315(A) requires only that the petition substantially comply
with the specific enumerated subsections. Rice distinguishes
Clark and asserts that our decisions in Moreno v. Jones, 213
Ariz. 94, 139 P.3d 612 (2006), Clifton v. Decillis, 187 Ariz.
112, 927 P.2d 772 (1996), and Marsh v. Haws, 111 Ariz. 139, 526
P.2d 161 (1974), support the textual conclusion that substantial
compliance suffices.
a8 Resolution of this case requires us to answer two
related inguiries: first, whether substantial compliance is the
correct standard, and second, if so, whether Rice's petitions
satisfy that standard. Both questions present issues of law,
which we review de novo. Moreno, 213 Ariz. at 101-02, $ 40, 139
P.3d at 619-20.
A. The Applicable Standard
9 We agree with the trial court that the correct standard
is substantial compliance. Although Haney is certainly correct
that § 16-315(A) uses the term “shall,” the term must be viewed
in context with the remaining parts of § 16-315(A). See Ariz.
Dep't of Rev. v. Action Marine, Inc., 218 Ariz. 141, 143, $ 10,
181 P.3d 188, 190 (2008) (construing statutes as a whole,
considering context, language, and purpose). The prefatory
clause of § 16-315(A) requires the nominating petitions to be in
“substantially the . . . form” of the enumerated subsections.
Reading subsection (3) in isolation, as Haney does, without
reference to the prefatory clause, would strip the words
“substantially the following form” of meaning and purpose.
Although the term “shall” and the phrase “substantially the
following form” are not entixely consistent, the statute should
be read to avoid a construction that would render the latter
meaningless, while also giving due weight to the former. See
Keiz v. Buckeye Petroleum Co., 145 Ariz. 374, 379, 701 P.2d
1182, 1187 (1985). Thus, we conclude that the best reading of
§ 16-315(A) gives weight to both; that is, the statute requires
substantial compliance with the mandatory enumerated statutory
subsections.
s10 We concluded similarly in Clifton. There, we decided
whether nominating petitions for a general election complied
-~5-
with the requirements of A.R.S. § 16-341(D) when the petition
forms did not designate the party affiliation of an independent
candidate who left the party designation portion of the petition
blank. 187 Ariz. at 113, 927 P.24 at 773. Like § 16-315(A),
the statutory provision at issue in Clifton required that “(t}he
nomination petition shall be . . . substantially” in the form
provided by the statutory text requiring the candidate to
indicate the party name or its equivalent. To be sure, Clifton
explored a different statute, but we find its analysis
particularly persuasive because the prefatory clause in § 16-
341(A) is almost identical to that for § 16-315(A).
saa The statutory purpose behind nominating petitions also
supports our conclusion, As we stated in Clifton:
(WJominating petitions were designed to “in some
measure [weed] out the cranks, the publicity seekers,
the frivolous candidates who have no intention of
going through with the campaign” . . . “yet not keep
out those who are serious in their efforts and have a
reasonable nunber of supporters.”
187 Ariz. at 115, 927 P.2d at 775 (second alteration in Clifton)
(quoting Adams v. Bolin, 77 Ariz. 316, 320, 271 P.2d 472, 475
(1954)). Requiring only substantial compliance furthers this
statutory purpose, and we therefore conclude that § 16-315(A)
“does not mandate perfection but only that candidates
substantially comply with its requirements.” Id. at 116, 927
P.2d at 776.
m2 Finally, we find Haney's citation to Clark unhelpful.
The issue in Clark was whether “the signers of nominating
petitions must sign with the exact name under which they are
registered to vote,” not whether the forms thenselves
substantially complied with the statutory requirements. 128
Ariz. at 194, 624 P.2d at 872. Clark required only that the
proponent be prepared to offer additional proof that the
signatories were properly registered when their names did not
natch voter registration affidavits. Id. at 195, 624 P.2d at
873; see also 1993 Ariz, Sess. Laws, ch. 98, $ 22 (Ist Reg.
Sess.) (modifying statutory section at issue in Clark).
B. Substantial Compliance with A.R.S. § 16-315
3 Having determined that substantial compliance is the
appropriate standard, we must now determine whether the
petitions containing only twelve lines substantially comply with
§ 16-315. We conclude that they do.
na ‘In determining whether a nomination petition form
substantially complies with the statutory requirements, this
court has focused on whether the omission of information could
confuse or mislead electors signing the petition.” Moreno, 213
Ariz. at 102, $ 42, 139 P.3d at 620. To be sure, § 16-315(A)
‘allows a measure of inconsistency” so long as it does not
affect the result. Id. (quoting Clifton, 187 Ariz. at 116, 927
P.2d at 776).
1s Here, the nominating petition sheets containing only
twelve signature lines were identical, in both form and
substance, to the unchallenged petition sheets with the
exception that the bottom three lines were cut off. This was
likely the result of copier error. Indeed, all the information
necessary to understand the petitions was present - the name of
the court and office sought, the party affiliation, the nane of
the candidate, the candidate’s address, the county, and the date
of the election. No potential signer would distinguish between
the deficient and non-deficient sheets, and any signer would be
able to reject or accept the petition on its face.
s6 We believe that having fewer lines than required by
$ 16-315 does nothing to confuse or mislead an elector.
Finally, having fewer lines is considerably less substantial
than those deficiencies that were not disqualifying in Moreno,
213 Ariz. at 102, J 44, 139 P.3d at 620 (omission of day and
month of primary election date), Clifton, 187 Ariz. at 116, 927
P.2d at 176 (omission of party designation for independent
candidate), and Marsh, 111 Ariz. at 140, 526 P.2d at 162 (using
“SO. PHX. Precinct” as an abbreviation for the South Phoenix
Precinct). Thus, we hold that the petitions in this case
substantially comply with § 16-315(A) (3).
III. CONCLUSION
m7 For the foregoing reasons, we affirm the judgment of
the superior court.
Rebecca White Berch, Vice Chief Justice
CONCURRING:
Michael 0. Ryan, Justice
W Scott Bales, Justice
| 0bed4ca1c78ba52b77a95d28d963f66f23d166b29dec2f79b89ed7e47fcd5c40 | 2008-07-11T00:00:00Z |
80f28235-b70d-42bf-aa20-f1d67a2c845d | Certain Underwriters at Lloyd's, London v. Southern Natural Gas Company | null | 1110698 | alabama | Alabama Supreme Court | e1:06/26/2013,
Wotice: Tis opinion i aubject to fomsl revision before publication in the advance
shects of Southern Reporter, Readers are requested to notity the Reportar of Decisions,
Alabama Appellate Courts, 300 Dexter Avenue Montgomery, Alabama 36106-3741 ((334) 229"
9648) of any Papograpnical or ether grrore, sn order that corrections may ba made bafore
She Qpsion Le Betneed in ssuchers neporeac ¥
SUPREME COURT OF ALABAMA
OCTOBER TERM, 2012-2013
1110698
Certain Underwriters at Lloyd's, London, and Certain London
Marketing Insurance Companies
Southern Natural Gas Company
1110769
Southern Natural Gas Company
Certain Underwriters at Lloyd's, London, and Certain London
Marketing Insurance Compan:
Appeals from Jefferson Circuit Court
(cv-01-6388)
BOLIN, Justice.
This appeal and cross-appeal result from a multiphase
trial involving liability-insurance policies regarding
roverage af anvirnnmantal-ramadiatinn enste On Aetnher 15,
2001, Southern Natural Gas Company ("Sonat") sued Certain
Underwriters at Lloyd's, London, and Certain London Marketing
Insurance Companies (hereinafter referred to collectively as
"IMI") alleging that LMI had breached numerous umbrella and
excess-liability-insurance policies by failing to pay Sonat
for coxtain cnvironmental remediation coote, Thio io the
third time this case has come before this Court. See Certain
Underwriters at Lloyds, London v. Southern Natural Gas Co.,
939 So. 2d 21 (Ala. 2006) (dism:ssing appeal following Phase I
of the trial as not being from a final judgment); Certain
Underwriters at Llovds, London v. Southern Natural Gas Co., 41
So. 3d 56 (Ala. 2009) (dismissing appeals following Phase II of
the trial as not being from a final judgment). The trial
court entered a summary judgment in favor of LMI during Phase
III of the trial, adjudicating all the claims before it. The
appeal and the cross-appeal are now properly before this
court.
1110698 and 1110769
E Procedural Hi
Sonat operates a natural-gas pipeline that spans an area
from Texas to Georgia. A series of 38 compressor stations are
positioned on the pipeline (11 are located in Alabama) in
order to maintain the flow of natural gas through the
pipeline, Suuat's inteyiated pipeline system alou includes
numerous mercury-metering stations, 131 of which are in
Alabama, The integrated pipeline system is controlled from
Sonat's headquarters in Birmingham.
From 1057 ta the early 147s, Sonat emplayass need the
lubricating oil, "Pydraul," in the air-compressor engines at
the compressor stations. in 1989, Sonat Learned that vyaraul
contained the toxin polyctlorinated biphenyl ("PCBN) .
Environmental testing conducted by Sonat on its own initiative
revealed the presence of PCBs at 13 of the 38 compressor
stations. Sonat conducted remedial activities at the
compressor stations to remove the PCB and to prevent further
migration of the PCB into the groundwater.
Sonat also discovered that mercury may have been
discharged from mercury-metering stations located along the
pipeline. For years, Sonat used manometers or mercury-
1110698 and 1110769
metering stations along its pipeline to measure the flow of
natural gas through its pipeline. The mercury meters were
used to determine if there were leaks in the pipeline and to
determine customers’ qas usage for billing purposes. Those
mercury meters were eventually replaced with newer technology.
we Buvisul Ue
However, in 1992, weulal Protection Ayeuuy
EPA") notified other gas-pipeline companies that mercury
meters may have leaked. Sonat was notified in 1994 by the
Louisiana Department of Environmental Quality that it had
hegnn investigating Sonat's merenry meters located in
Louisiana. In 1994, Sonat conducted remedial activities at
hundreds of its mercury stations to prevent rurtner migration
of mercury into the groundwater.
IMI had issued umbrella and excess-liability-insurance
policies to Sonat from 1949 to 1987. Most of the policies in
effect during those years defined an "occurrence" as:
"An accident or a happening, event or a
continuous or repeated exposure to conditions which
results unexpectedly and unintentionally as applied
to the Assured seeking indemnity hereunder, in
property damage ... during the policy period. All
ouch oxpocurce to oubotantially the oame goncral
conditions existing at or emanating from one
premises location shall be deemed one occurrence."
Other policies in effect during those years defined an
1110698 and 1110769
occurrence as “one happening or series of happenings arising
out of or caused by one event taking place during the term of
this contract
All the policies limited coverage to sums
Sonat became “leaally obligated" to pay “as damages." The
policies barred coverage of claims for damage to property
wumued Ly" sunat.
On August 28, 1991, and September 3, 1991, Sonat notified
LMI of the PCB contamination et the 13 compressor stations
Sonat informed LMI that it was informing all affected
nnderuritars af Sonat'a potential Mahiliry with regard te the
contamination cleanup costs. 0n November 2, 1994, Sonat sent
um notice that tne cleanup process was completed.
On November 13, 1995, LMI issued a reservation-of-rights
letter to Sonat. In that letter, LMI asked for copies of
additional underlying policies from 1959 to 1962, in order to
determine coverage for contamination at the compressor sites
under the umbrella and excess-liability-insurance policies
issued by IMI. LMI reserved its right to deny coverage under
the policies issued from 1962 to 1978 for several reasons.
ltt ie unclear when fonat notified IME of the
contamination at the mercury-metering stations
5
1110698 and 1110769
IMI also reserved its right to deny coverage in “Whiteshield
No. 31" and "Pike County Drum Superfund."*
In 1996, Sonat notified LMI that it would appear from the
cost of the cleanup that LMI's volicies would not be impacted.
However, Sonat reserved its rights to seek coverage under the
policies in Ule eveul Liat sual received alleyatious of
third-party property damage or bodily injury.
Subsequently, Sonat notified LMI that it would be seeking
coverage for its PCB and mercary-remediation programs under
the nmbrella and excess-1iahi
vy policies taaned hy TMT. Th
July 2001, LMI filed a declaratory-judgment action against
Sonat in Georgia, seeking a resolution of tne coverage issue.
The Georgia action was removed to federal court and was later
dismissed.
On October 15, 2001, Sonat filed in the Jefferson Circuit
Court a "an action for a declaratory judgment and for breach
of contract and anticipatory breach of contract and avoidance
of contractual obligations under umbrella and excess liability
°rt fe unclear from the bricfe what contamination had
occurred at these sites.
1110698 and 1110769
insurance policies"? against LMI. In its complaint, Sonat
asserted that the EPA, “other governmental agencies and
departments and/or private parties," including Alabama
residents, “have brought or asserted lawsuits, claims, and
demands against Sonat alleging property damage, personal
injury, bodily injury, aud otter damayef] and causes of
action, including, without limitation, nuisance, trespass,
negligence and strict liability, allegedly as a result of
Sonat's operations and ownership" of the natural-gas
integrated-pipeline system. Sonat asserted that ir has "paid
substantial amounts under legal obligation for the remediation
or gamage in, at, and around tne vicinity ot compressor
stations, and for mercury damage arising from mercury meters."
Sonat alleged as follows:
Claims, demands and suits have been asserted
against Sonat concerning property damage and other
damages arising out of Sonat's integrated operations
at compressor stations -- including 11 compressor
stations located in the State of Alabama. The
claimants in the environmental actions, allege,
inter alia, damage and other injury ‘based on
‘The “liability insurance policies" referred to in the
complaint are those "Known Primary, Umbrella and Excess
General Liability Insurance Policies issued to [Sonat] by
Cortain Underwritere at Lloyd'e" and licted in Appendix 1 to
Sonat's complaint.
1110698 and 1110769
purported damage including the presence of
polychlorinated biphenyls and other substances of
concern including petroleum-related hydrocarbons,
volatile o1yanic chemicals, semi-volatile vryanic
chemicals, polycyclic aromatic hydrocarbons, and
various metals, in the groundwater, surface water,
air and general environment in, at, around, and in
the vicinity of the compressor stations. Claimants
seek damages for past and future response costs for
alleged property damage and personal injury which is
voutinuvus and pruyessive, Leyiuuing in ur befure
1949 and extending until at least 1986. The monies
spent and to be spent in response to demands of a
governmental agency, or a private party are
‘damages' under the Liability Insurance Policies.
Alabama viating Uo. v. united states rigelity ana
Guar. Co., 690 So. 2d 331 (Ala. 1997). As such, the
Liability Insurance Policies respond to and are
reqnired ta pay for all damages hecanse of property
damage, bodily injury or personal injury (or a
combination thereof) which Sonat is or becomes
legally obligated to pay as respects the compressor
Stations. Ine damages tnat Sonat nas paid or 1s
likely to become legally obligated to pay because of
property damage, bodily injury and personal injury
ariging ont of environmental and fart actiane
concerning Sonat's compressor stations are within
the jurisdictional limits of this Court.
“Claims, demands and suits nave been assertea
against Sonat concerning property damage and other
damage[] arising out of Sonat's integrated
operations at mercury metering stations -- including
131 mercury metering stations located in the State
of Alabama. The claimants in the environmental and
tort actions, allege, inter alia, damage and other
injury based on purported damage including the
prcocnes of moroury in the groundwater, ourface
water, air and general environment in, at, around,
and in the vicinity of the mercury metering
stations. Claimants seek damages for past and
future response costs for alleged property damage
1110698 and 1110769
which is continuous and progressive, beginning in or
before 1949 and extending until at least 1986. The
monies spent and to be spent in response to demands
of @ yovernmental agency, o: a private party are
‘damages’ under the Liability Insurance Policies.
Alabama Plating Co. v. United States Fidelity and
Guar. Co., 690 So. 2d 331 (Ala. 1997). As such, the
Liability’ Insurance Policies respond to and are
required to pay for all damage because of property
damage, bodily injury or personal injury (or a
combination Uterecf) whieh Sonal is ur becomes
legally obligated to pay as respects the mercury
metering stations. The damages that Sonat has paid
or is likely to become legally obligated to pay
because of property danage, bodily injury and
personal injury arising out or environmental ana
tort actions concerning Sonat's mercury metering
stations are within the jurisdictional limits of
this Cont.”
Sonat went on to list in its complaint the location of
tne atrected compressor stations. sonat's asserted claims tor
relief included: (1) that IMI was obligated to pay in full
Sonat's legal liabilities arising out of or in connection with
the previously described “environmental and tort actions" and
had "failed, or threatened to fail, to fulfill, or acknowledge
completely [its] insuring obligations to pay in full Sonat's
legal liabilities"; (2) that there was an actual and
justiciable controversy as to IMI's obligations; (3) that LMI
had breached its insuring obligations to Sonat and was
obligated to pay Sonat “all direct, indirect, consequential,
1110698 and 1110769
incidental, special, compensatory and other damages resulting
from" the breaches of contract; (4) that LMI's conduct
effected a waiver of its right "to enforce any contractual
obligation, limitation, exclusion, or other provisions running
in [its] favor" and Sonat was entitled to a judicial
Ueelaralion Ly Ulal effects 15) Wiel EME had breached ite
contracts of insurance by "disclosing confidences of Sonat and
confidential settlement communications of Sonat in violation
of [its] contractual duties to act with good faith and with
reasonable care and pridence with regard to [ite] inanred,™
thereby waiving LMI's “ability to enforce any contractual
obligation, limitation, exclusion, or other provision running
in [its] favor," entitling Sonat to a judicial declaration to
that effect; and (6) that LMI's conduct represented an
anticipatory breach of contract entitling Sonat to damages.
In its concluding “prayer for relief," Sonat demanded a
judgment declaring that LMI was "obligated to pay or reimburse
in full Sonat's cost and expenses for investigation and
defense of the environmental and tort actions and to pay or
reimburse in full Sonat's legal liabilities in connection with
said environmental and tort actions" and to pay an award for
10
1110698 and 1110769
"compensatory damages in an ancunt or amounts to be determined
by the trier of fact at trial, and attorneys’ fees and costs."
Because of the size and complexity of the case, the
parties aqreed that the trial should be conducted in phases.
The trial court entered an order on October 25, 2002, that the
(adel be cumducLed 1 pases because IL would nul be pussible
to try the issues related to all the sites involved in Sonat's
complaint at one trial. The parties proposed to the trial
court that two sites be chosen for the initial phase of the
frial, ane chosen by each party. Sonat chase the compressor
station located in Tarrant, and LMI chose the compressor
station Locatea in Kerorm.
IM filed several sunmary-judgment motions in Phase I.
In one of its motions, IMI argued that the Tarrant and Reform
compressor-station sites were separate "occurrences" under the
majority of policies, which limited coverage to occurrences at
a single-premises location. LMI also argued that no costs at
either site would implicate the attachment points of the
umbrella and excess policies. IMI also moved for a summary
judgment on the ground that the policies do not provide
coverage for liability arising out of damage to Sonat's own
nu
1110698 and 1110769
property. Additionally, LMI argued that the remediation costs
had been voluntarily incurred by Sonat and were not
recoverable without third-party compulsion. The trial court
concluded that there were genuine issues of material fact
remaining and denied the motions.
AL Ute Cluse uf Lie evidence in Phase I, Lie Lidal court
submitted special interrogatories to the jury, which the jury
marked as indicated below:
INTERROGATORIES: You are hereby directed to
answer the following Questions after you have fully
considered all the evidence relating ta your answers
and the applicable rules of law as explained to you
by the Court:
Question 1: Did Sonat reasonably satisfy you by
the evidence af the existence of each nf the
following insurance policies?
“voLicy No. volacy verioa
. cu 1887 1952-65 _X Yes __No
. K 11477 1985-68 —X Yes __No
2 cu 10353 1958-71 TE Yes No
K 23900 1971-71 —X Yes __No
1K 24880 1971-72 ie Yes To
: K 25800 1972-75 Tx ves No
uct 1330 1975-76 Tr veo “ne
ua 1370 1976-77 Tc ves Two
: VIL 1680 1977-78 Tx ves No
"If your answer to all parts of this Question(]
2
1110698 and 1110769
is 'No,' stop, have the foreperson sign at the end
of this verdict form and Notify the Court.
If your answer to any part of this Question is
"Yes," proceed to Question No.
OCCURRENCE:
"Question 2: (A) Did Sonat reasonably satisfy
you that there was an ‘occurrence’ under the
iusurauce policies in force Cxum 1962 uulil 19727
"An occurrence is defined in those policies as
follows:
“tyne term “vccurrence” wnenever usea nerein
shall mean an accident or a happening, event or a
continuous or repeated exposure to conditions which
reanits nnexpectadly and nnintentianally as applied
to the Assured seeking indemnity hereunder, in ...
property damage ... during the policy period. All
such exposures to substantially the same general
conditions existing at or emanating trom one
premises location shall be deemed one occurrence.’
see Policy Numbere cl 1A77; K 11477 and cit
10353
X_ Yes No
"(B) Did Sonat reasonably satisfy you that there
was an ‘occurrence’ under the insurance policies in
effect from 1971 until 1978?
"An occurrence for these policies means as
follows:
"tthe word Yocourrence" shall be underotood to
mean "one happening or series of happenings arising
out of or caused by one event taking place during
the term of this contract."'
B
1110698 and 1110769
"See Policy Nos. K 23900; K 24880; K 25800; UGL
1330; UHL 1370; UJH 1680
"I£ your answers to all of the parts of this
Question are 'No,' stop, have the foreperson sign at
the end of this verdict form and Notify the Court.
"If your answer to any part of this Question is
proceed Lu Question No. 3.
tres,
LATE NOTICE:
‘Question 3:
(A) Was Sonat's Notice to IMI of any occurrence
at the Tarrant Compression Station late?
Yes X_ No
(8) Was Sonat's Notice to LMI of any occurrence
at the Kerorm Compressor station Late?
Yes X_No
"If your answer to either Question 3(A) or 3(B)
is "Yes," please proceed to Question 4. If your
answer to both Questions 3(A) and 3(B) is ‘No,’
Please proceed to Question >.
‘WAIVER
‘Question 5: Did LMI reasonably satisfy you by
the evidence that Sonat waived its claim?
Yes X_ No
"IE your answer to this Question is "Yes," stop,
have the foreperson sign at the end of the verdict
rT)
1110698 and 1110769
rorm, ana notiry tne vourt. if your answer to tnis
Question is 'No,' proceed to Question 6.
INIIMRER /OCCHRRENCE (8!
"Question 6: Did Sonat reasonably satisfy you by
the evidence that a sincle occurrence caused the
property damage|) at Yarrant Compressor station ana
Reform Compressor Station?
x Yes No
‘Question 7
(A) Are you reasonably satisfied from the
evidence that there wae damage to property owned by
anyone other than Sonat at the Tarrant Compressor
Station?
X_ Yes No
"(B) Are you reasonably satisfied from the
evidence that there waco damage to property owned by
anyone other than Sonat the Reform Compressor
Station?
X_ Yes No
"IE your answer to both Questions 7(A) and 7(B)
io to, otop, have the foropereon oign at the end
of the verdict form, and notify the Court. If your
answer to either Question 7(A) or 7(B) is 'Yes,*
Proceed to Question 8.
TRIGGER:
‘Question 8
"(A) When did any property damage begin at
Tarrant Compressor Station?
wpate __1997
15
1110698 and 1110769
“(s) wnen aia any property damage begin at tne
Reform Compressor Station?
nate 1957
"(C) When did the property damage at the Tarrant
Compressor Station end?
Date __1988
"(D) When Aid the property damage at the Reform
Compressor Station end?
"Date __1988
IAS DAMACES:
‘Question 9
(A) Were the amounts paid by Sonat at the
Tarrant Compressor Station incurred because Sonat
was legally obligated to pay them as damages?
X_ Yes __ No
"(B) Were the amounts paid by Sonat at the
Reform Compressor Station incurred because Sonat was
legally obligated to pay =hem as damages?
x Yeo No
"If your answer to both Questions 9(A) and 9(B)
is 'No,' stop, have the foreperson sign at the end
of the verdict form, and notify the Court. If your
auswer Lo citer Question 9(A) ur 9(B) is "Yes,"
please proceed to Question 10.
EXPECTED AND INTENDED:
"Question 10:
7 (A) bo you CLud Wat Sonal expected ur intended
16
1110698 and 1110769
011 contamination at tne ‘warrant compressor
Station?
Yes Xx No
"(B) Do you find that Sonat expected or intended
soil contamination at the Reform Compressor Station?
'___ Yes No
"TF your aneuar to hath Qnestians 1004) and
10(B) is 'Yes,' stop, have the foreperson sign at
the end of the verdict form, and notify the Court.
If your answer to either Question 10(A) or 10(B) is
'No,' please proceed to Question 11.
BREACH OF CONTRAC’
‘Question 11: Did LMI breach the contracts?
X_ Yes No
"r£ your anower to thie Queotion ic 'No,! have
the foreperson sign at the end of this verdict form
and notify the Court. If your answer to this
Question is 'Yes,' then what is the date when the
breach occurred?
"Month Nov Day_13__ Year 1995
'QUANTUM/COSTS:
"Question 12: Please state the total amount, if
any, that Sonat is entitled to recover as a result
LL PCB CuuLawinalion al Uke Tazraul Compressor
Station Site.
xe Million Three Hundred Ninety Two Thousané
Nine Hundred Fifty Eight and 87/1
($4,392, 958.87)
vv
1110698 and 1110769
“yuestion 13: ¥lease state tne total amount, ir
any, that Sonat is entitled to recover as a result
of PCB Contamination at the Reform Compressor
Station Site
‘Five Hundred Twelve Thousand Eight Hundred
Eighty Four and 57/100
($512, 884.57)
ATTACHMENT POTTS:
Question 14: Are policies CU 1887 (in effect
between 1962-65), K 11477 (in effect between 1965-
68), and CU 10353 (in effect between 1968-71),
exesee of $1,050,000.00 in limite of underlying
insurance or $50,000.00 in underlying insurance?
"__ $1,050,000.00 _x_ $50,000"
Based on the jury's answers to the interrogatories, the
txial court entered an order making a pro rata allocation of
the loss based on each policy year's share of the loss. The
trial court determined that LMI owed Sonat $974,277. The
trial court purported to make its order final pursuant to Rule
54(b), Ala. R. Civ. P. LMI appealed, and this Court concluded
that because there was no adjudication of any single claim in
Sunal"s Complaint, Ue Lidel court lad impeoperly cezticied
the judgment as final. Certain Underwriters of Lloyd's,
London v. Southern Natural Gas Co., 939 So. 2d 21 (Ala. 2006).
18
1110698 and 1110769
subsequentiy, tne parties proceeded to rnase 11 of tne
case, which involved the remaining 11 compressor stations
where PCB had been found and remediated. The LMI excess-
liability policies were the sare policies involved in Phase I.
Sonat filed a motion for a summary judgment in Phase IT
fn the grannd that there was nn gannine taane af material fant
with respect to Sonat's unitary-pipeline operation and that
the PCB-cleanup project constituted a single occurrence under
the LMI policies based on the jury's findings in Phase I of
the case. The trial court entered the following order:
"This matter is before the court on [Sonat's]
motion for summary judgment on the following:
Insurance Related Findings.
"(LMI] concedes the following:
"(1) Phase I established that LMI
insurance policies exist;
(2) Phase I established (erroneously)
the attachment points of the LMI policies;
(3) Phase I established (erroneously)
Wal Sonal did Hol waive ils claim undez
the LMI policies.
[LMI1 contests [Sonat's] motion of the
remaining issues.
This Court finds that the jury made factual
Uelerminalious wich are bindluy in Phase IZ un Lhe
19
1110698 and 1110769
Tollowing:
(4) The PCB Remediation Program
constituted an torenrrence! under the
policies;
"(5) The PCB Remediation Expenses
incurred by [Sonat] vere recoverapie;
"(6) [Sonat] provided timely notice to
IMT af the PCR Contaninatian isane
The Court finds that there is a jury issue
whether LMI breached the contracts with [Sonat].
2. Single Occurrence.
"[LMI] contends that there was a common cause
and, therefore, each site is distinct and separate.
However, the trial in Phase I was for two
representative sites. The issue presented was
whether Pydraul was the common cause of the
contamination in the pipeline oyetem. The jury
decided it was. Therefore, this court finds that
the jury determination that there was a single
occurrence is binding on che Phase II trial.
"Therefore, it is Ordered as follow:
1. The LMI inourance policice exicty
2. The attachment points are established;
3. Sonat did not waive its claim;
4. The Remediation Program was an ‘occurrence’;
‘5. The Remediation Expenses are recoverable:
[Sonat] provided timely notice; and
The PCR Cleanup was a Sluyle vecurcenee.
20
1110698 and 1110769
vyne motion ror sunmary jJuagment is aeniea
except as provided herein.
At the close of the evidence in Phase TT, the trial conrt
submitted interrogatories for the jury to answer, which the
jury answerea as inaicatea:
"Question 1:
‘Are you reasonably satisfied from the evidence
that, prior to the PCB remediation at the sites,
there was damage to the property of a third party or
an imminent threat to third party property,
{noluding groundwater and eurface water, at the
following compressor stations?
"DeArmanville Yes XL No
"Ellerslie _% Yes No
"BImore KL. veo Ne
"Enterprise __ Yes XL No
"Gallion _& Yes No
"Louisville _X Yes __ No
"McConnells yes _X_ No
"Ocmulgee _& Yes _—_ No
wad A res we
Rankin __ Yes XL No
"Thomaston Yes XL No
If your answer to this Question as to all
Compressuz Station sites 1s "Nu," slop, have Uke
2
1110698 and 1110769
Toreperson sign at tne end or tne verdict rorm,
notify the Court.
"Tf your answer te this Qnestion as to any
Compressor Station Site is 'Yes,' please proceed to
Question 2.
wyuestion 2.
"Are you reasonably satisfied that [Sonat]
neither expected nor intended property damage at the
following Compressor Station Sites?
"Dearmanville __ Wo
ELlorelio __ wo
"Elmore _X Yes __ No
Enterprise XK ves __ No
"Galion _X Yes __ wo
Louisville x Yes __ wo
"wcconnells _X Yes __ No
*ocmulgee _& Yes __ Wo
lonward i eo __ wo
"Rankin _X Yes wo
Thomaston _X Yes No
"If your answer as to all Compressor Station
Sites is 'No,' stop, have the foreperson sign at the
end of the verdict form, notifv the Court.
"If your answer as to any Compressor Station
Site is 'Yes," please proceed to Question 3.
22
1110698 and 1110769
“yuestion 3
"Are you reasonably satisfied that LMI breached
its contracts with (Sonat?
X_ Yes No
“ir you answered "No to uestion 3, stop, nave
the foreperson sign at the end of the verdict form,
and notify the Court.
If you answered 'Yes' to Question 3, what is
the date when the breach occurred?
"Month November Day 13. Year 1995
"If you answer 'Yes' to Question, 3, then
proceed to Question 4.
‘Question 4.
"Please state the tctal amount, if any, that
Sonat io ontitled to recover a0 a rcoult of PCB
Contamination at the DeArmanville, Alabama
Compressor Station Site:
Zero DOLLARS
($0.00)
Please state the tctal amount, if any, that
Sonat is entitled to recover as a result of PCB
Contamination at the Elmore, Alabama Compressor
Station Site:
‘Two Hundred One Thousand Nine Hundred Forty Six
and 36/100 DOLLARS
” ($201,946.36)
Please state the tctal amount, if any, that
Sunt ls entitled Ly recover as a sesull Of PCB
23
1110698 and 1110769
Contamination at the Gallion, Alabama compressor
Station Site:
a Hundred Righty Two Thousand Five Hundred
Eifty Four and 63/100 DOLIARS
” (582,554.63)
Please state the tctal amount, if any, that
Sonat is entitled to recover as a result of PCB
Contaminatian at the MeCannells, Alahama Comprasenr
Station Site:
Zero DOLLARS
"Please state the tctal amount, if any, that
Sonat is entitled to recover as a result of PCB
Contamination at the Ellerslie, Georgia Compressor
Station Site:
Onc Hundred Gixty Two Thousand Bight Hundsod
Twenty Eight and 69/100 DOLLARS
” ($162,828.69)
Please state the tctal amount, if any, that
Sonat is entitled to recover as a result of PCB
Contamination at the Ocmslgec, Ccorgia Compressor
Station Site:
"Three Hundred Ninety Four Thousand One Hundred
Six and 95/100 DOLLARS
(9394, 106.95)
Please state the tctal amount, if anv, that
Sonat is entitled to recover as a result of PCB
Contamination at the Thoraston, Georgia Compressor
Station Site:
24
1110698 and 1110769
Zero VULLAKS
($0.00)
Please state the tctal amount, if any, that
Sonat is entitled to recover as a result of PCB
Contamination at the Enterprise, Mississippi
Compressor Station site:
Zero DOLLARS
(30.00)
"Please state the tctal amount, if any, that
Sonat is entitled to recover as a result of PCB
Contamination at the Louieville, Mieeicoippi
Compressor Station Site:
‘Six Hundred Thirty Nine Thousand Sixty Three
and 237100 DOLLARS
" ($639,063.23)
Please state the tctal amount, if any, that
Sonat is entitled to recover as a result of PCB
Contamination at the Onward, Mississippi Compressor
Station Site:
"Four Hundred Twenty Two Thousand Three Hundred
ive ona 71/100
($422,305.74)
Please state the total amount , if any, that
Sunal is entitled Lu secover ao @ ‘resull Of PCB
Contamination at the Rank:n, Mississippi Compressor
Station Site:
"Zero DOLLARS
(30.00)
25
1110698 and 1110769
“yuestion 3.
“What is the amount of interest that [Sonat] is
entitled to on its damages?
Two Million Four Hundred Thirty Two One Hundred
Ten and 40/100 DOLLARS
(92,432,110. 40)
Raced nn the jury's anawers ta the aperial
interrogatories, the trial court entered an order finding
that, based on its prior orders and answers to the special
interrogatories from Phase I and Phase II, (1) the PCB
remediation program constituted an "occurrence" as defined in
the policies; (2) the attachment point of the policies for
LMI" cxceos coverage was $50,000, (3) fonat was legally
obligated to pay for the remediation program and, therefore,
Sonat had incurred damage; and (4) the PCB-remediation program
constituted a single occurrence under the policies. The trial
court concluded that LMI had breached its contracts with
Sonat. The court divided the total damages awards from Phase
To qud Phase I ou a piu tala basis aud cuueluded Ula LMT owed,
Sonat $2,377,962.45 in damages in Phase II. The court
purported to certify the order as final pursuant to Rule
54(b), Ala. R. Civ. PL
26
1110698 and 1110769
Lm appeaiea. Un vecemper 30, 2009, this Court conc1uaea
that the order certified pursuant to Rule 54(b) was not a
final judgment and, therefore, was not appealable because the
issue of the mercury contamination was still before the trial
court and the same policies issued by IMI were involved in
Sonatte allegatians that IMT had hraachad ite rantracte in
refusing to pay for the cleanup of the PCB-contaminated sites
and the sites contaminated with mercury from the mercury-
metering stations. Certain Underwriters at Llovds, London v.
Southern Natural Gas Co., 41 So. 3d 56 (Ala. 2009).
Accordingly, this Court dismissed the appeal as not being from
@ final judgment.
The parties proceeded to Phase III regarding the sites
contaminated with mercury, Sonat's cleanup of the mercury-
metering stations, and Sonat's claims that the umbrella and
excess-liability policies issued by IMI provided coverage for
the environmental cleanup. Both Sonat and LMI moved for a
Summary Judyuent. Ou Febiucry 8, 2022, Une etal cout
entered an order, denying both parties" motions. The parties
proceeded with additional discovery.
On September 9, 2011, LMI filed a motion in limine to
2
1110698 and 1110769
exclude 171 mercury-contaminatea sites that sonat allegealy
had failed to disclose in accordance with a prior discovery
order of the trial court in which Sonat had identified 737
mercury-contaminated sites. LMI also sought to exclude 59
sites (of the 737 disclosed sites) because Sonat allegedly had
Failed te produce dacnments ar reparts af the work performed
at those sites. LMI also argued that Sonat should not be
allowed to present aggregate costs of its mercury remediation.
IMI argued that evidence of aggregate costs without site-
specific damage figures might confuse the jury because some of
the costs related to Sonat's investigation and remediation of
ito own property and oites, which wore not damaged by moroury
contamination. On September 19, 2011, the trial court held a
hearing on the motion and subsequently granted the motion.
That same day, LMI moved for a partial summary judgment,
arguing:
"In prior trial phases of this case, the Court
required Sonat to prove the value of the damage and
AUS iemedialion efforts al each compressuz stallun
site. This necessarily required Sonat to prove, not
only that each site sustained 'property damage, ' but
also that the amount expended at each location is
covered ‘as damages' under the terms of the LMI
policies. Both Phase I and Phase II juries were
asked to identify the dollar amount of the covered
expendiluzes al each remediation site. This
28
1110698 and 1110769
requirea tne juries to ‘state tne total amount, ir
any, that Sonat is entitled to recover as a result
of PCB contamination at' each individual station.
Sonat raised no objection to this requirement
Because some of the sites were owned by Sonat, no
amount was awarded to Sonat for contamination at
those sites.
In Phase III discovery, Sonat failed to produce
any evidence demonstrating the amount spent on
marenry-ralated activities at any single lncatian
Additionally, in its proposed jury interrogatories,
Sonat revealed that it did not intend to prove the
costs expended at each individual mercury location.
Specifically, the proposed jury interrogatories
cubmitted by Sonat, unlike the interrogatories weed
in the earlier phases, do not ask the jury to
identify the covered damages at each site.
Instead, Sonat proposed only that the jury identify
a ‘total amount’ of covered damages at all locations
‘along its pipeline operations’ in a single
interrogatory. Sonat admitted in open court on
Soptomber 19, 2011, that io hao no ability to prove
amounts spent at any one of the 737 mercury sites
that Sonat proposed were at issue in the Phase IIT
trial.
"In open court on September 19, 2011, the Court
geanted LMI's Motion in Limine to Preclude Certain
Evidence Regarding Mercury Expenditures. In their
motion in limine, LMI argued that Sonat should not
be allowed to present invoices and summaries to the
Phase III jury because those invoices and summaries
are undifferentiated as to any of the sites at issue
du Phase IIT, On Lue basis Uf Ulal motion aud Lu
light of Sonat's admitted inability to present any
evidence of costs or damages at individual Phase III
sites, IMI hereby moves for summary judament as to
all mercury sites placed at issue in Phase III
and/or Sonat's complaint in this action.
In gesponse Lo LMZ"S suiwary~Judymenl wollun, Sonal
29
1110698 and 1110769
arguea that aamages do not nave to be proven to a matnematical
certainty. Sonat also argued that other jurisdictions have
allowed proof of aggregate damages.
The trial court granted LMI's summary-judgment motion.
on January 24, 2012, the trial court entered a final judgment
hhased an the prior triala in Phase T and Phase TT af the case.
and based on its partial summary judgment in favor of LMI in
Phase III. LMI appeals; Sonat cross-appeals.
LMI's Appeal (No. 1110698)
LMI argues (1) that environmental contamination occurring
at different geographical locations and at different times
conotituted coparate Mocourrences") (2) that none of the
policies provide coverage for damage to Sonat's own property?
(3) that the trial court erred in its instruction to the jury
regarding imminent threat; (4) that Sonat's cost for a
voluntary remediation of environmental contamination is not
recoverable because Sonat neve: became "legally obligated" to
vay any sums as “Uamayes7 (9) Ulal Ue Ural court erred in
instructing the jury regarding Sonat's compliance with
environmental regulations; (6) that Sonat failed to present
substantial evidence that LMI breached its contracts because
30
1110698 and 1110769
um. reservea its rights to challenge its 1iapiiity; (7) tnat
Sonat failed to present substantial evidence that LMI breached
its contracts when Sonat had expressly stated that LMI could
close its files on the claims; (8) that the umbrella and
excess-liability policies involved had not attached because
the damages did nat exceed the limite nf the nndarlying
insurance; and (9) that the trial court erred in imposing in
Phase II findings by the jury in Phase I.
First, we will address IMI's argument that the trial
court erred in applying the jury's findings in Phase I to the
jury in Phase IT. LMI complains that the trial court
improperly applicd the jury!o findingo from Phase I -~ that
the PCB contamination was a single occurrence, that the
remediation program was the cause of the costs Sonat incurred
as damages, and that Sonat gave timely notice of its
remediation claim related to the PCB contamination. In
support of its argument, LMI cites Black v. Comer, 920 So. 2d
1083, 1089-30 (Ala. 2005), fur Le yeneral prupusition What
the grant of an offensive motion for a summary judgment is
proper only when a plaintiff conclusively proves every element
of its claim. LMI then goes on to argue that the only issues
3
1110698 and 1110769
berore tne jury in rhase 1 irvolvea tne varrant ana kerorm
compressor sites and that the Phase I jury was not presented
with any evidence regarding the 11 compressor sites involved
in Phase II.
IMI also cites Beacon Theatres, Inc. v. Westover, 359
HS. 800, 81-11 (1959), for the propnsitinn that applying the
finding from Phase I to Phase II effectively denied LMI its
right to trial by jury. Although not noted by LMI, Beacon
concerned legal and equitable issues brought in the same
action where there were common issues of fact between the two
claims so that a court's resolution of an issue would
forcelooe rolitigation of that icouc before a jury under the
doctrine of res judicata or collateral estoppel, and the court
in Beacon held that the legal claims must be tried first to
ensure that the right to a jury trial of legal issues is not
lost.
Rule 42(b), Ala. R. Civ.
» provides:
wrhe uutl, in Curtiezanve Uf convenience, or Lo
avoid prejudice, or when separate trials will be
conducive to expedition and economy, may order a
separate trial of any claim, cross-claim,
counterclaim, or third-party claim, or of any
separate issue or of any number of claims, cross-
claims, counterclaims, third-party claims, or
dssues, always presezviuy invivlale We right of
32.
1110698 and 1110769
trial py jury as declarea py article 1, section 11
of the Alabama Constitution of 1901."
mtrnle 42(b) allows the court te order a separate trial
of any claim.... Separate trials usually will result in one
juagment .
vavis v. Hanson aggregates soutneast, inc.,
952 So. 2d 330, 339 (Ala. 2006) (quoting 9 Charles Alan Wright
& Arthur R. Miller, Federal Practice and Procedure: Civil 2d
§ 2387 (1995)). In short, Rule 42 authorizes the trial court
te bifureate triale in furthorance of convenience or to avoid
prejudice or when separate trials will be conducive to
expedition and econony.
Here, the parties agreed that it would be inefficient to
try the issues related to all 13 compressor-station sites
contaminated with PCB at once, and they therefore chose 2
sites to try in Phase I, The trial court cannot be put in
error for doing what the partico had agreed to do. Walker
Southern Trucking Corp., 283 Ala. 551, 219 So. 2d 379 (1968).
Also, we note that nothing in LMI's brief indicates that LMT
objected to the interrogatories posed to the jury in Phase I.
Failure to timely object to a special interroaatorv waives the
objection. MWetterhan v. Vesta Ins. Group, Inc., 844 So. 2d
968 (Ala. 2002); Nusfulk Su. Ry. vs BraUley, 772 Su. 2d 1147
33
1110698 and 1110769
(ala. 2000). Furthermore, it is not tne auty or tne appellate
court to search the record for evidence to support an
appellant's contention of error. Roberts v. NASCO Equip. Co.,
986 So. 2d 379 (Ala. 2007).
LMI now complains that it should not have been bound in
Phase TT hy the anawars ta the interragatarias given hy the
jury in Phase I of the trial. However, the factual
determinations in Phase I should not be reexamined by a second
or subsequent jury because to do so would lead to the
unacceptable risk that the jury at each phase would consider
evidence differently with possibly inconsistent results.
Baced on the facte and argumento before uo, wo cannot say that
the trial court erred in applying the facts as found in Phase
I to the jury in Phase II. We recognize that following Phase
I IMI objected to the trial court's application of the jury's
findings in Phase I to the Phase II jury. However, LMI had
agreed to a multiphased trial, and it had agreed to try the
issues related lu two compressur-stalion sites ay
representative. LMI apparently agreed to, or at least failed
to object to, the questions asked of the jury in Phase I.
Accordingly, we cannot say tha: the trial court erred in this
34
1110698 and 1110769
regara.
IMI argues that PCB contanination occurring at different
compressor stations at different times and by different means
of contamination from PCBs amounted to separate "occurrences"
under the terms of the policies. “Where an insurance policy
fafines cartain wards ar phrases a court mist defer ta the
Paul,
definition provided by the policy." $ re & Marine
Ins. Co. v. Christiansen Marine, Inc., 893 So. 2d 1124, 1136
(Ala. 2004). The majority of the policies at issue here
define an * " as follows:
courrenc
"An accident or a happening, event or a
continuous or repeated exposure to conditions which
rooulto uncxpectedly and unintentionally ac applied
to the Assured seeking indemnity hereunder, in ...
property damage ... during the policy period. All
such exposures to substantially the same general
conditions existing at or emanating from one
premises location shall be deemed one occurrence."
The other applicable policice define an "occurrence" act
"[O]ne happening or series of happenings arising out
of or caused by one event taking place during the
term of this contract.
IMI argues that the trial court should have entered a
judament as a matter of law based on the unambiquous
definitions of an “occurrence” in the policies. However, in
ALS Uriyinal Liles Lu Uuds appeal, LMT dues nul address Lhe
35
1110698 and 1110769
gerinitions containea in tne pelicies. instead, uM relies on
caselaw from Alabama and other jurisdictions interpreting an
"occurrence" and focuses its argument on the cause of the
"occurrence."
It is well settled that,
"[w)hen a trial court Ge [faced] with a contract
issue, it is important for the trial court to
determine as soon as practicable the ‘threshold
issue’ whether the contract is ambiguous. If the
trial court determines that there is no ambiguity,
it muet 'Wdotermine the force and offect of the
terms of the contract as a matter of law.""
Cherokee Farms, Inc. [v. Fireman's Fund Ins. Co.l,
526 So. 2d [871,] 873 [(Ala, 1988)], quoting
Wigington ‘v. Hill*Soberq Co., 396 So. 2d 97, 98
(Ala. 1981). However, if the trial court finds the
contract to be ambiguous, it ‘must employ
cotabliched rulceo of contract conctruction to
resolve the ambiguity.’ Voyager Life Ins. Co. v.
Whitson, 703 So. 2d 944, 948 (Ala. 1997). If the
application of such rules is not sufficient to
resolve the ambiguity, factual issues arise:
If one must go beyond the four
cornero of the agreement in conotruing an
ambiguous agreement, the surrounding
circumstances, including the practical
construction put on the language of the
agreement by the parties to the agreement,
aie cuntrelliny in aesulving Lue
ambiguity.’
"Id. at 949, Where factual issues arise, the
resolution of the ambiguity becomes a task for the
jury. McDonald v. U.S. De Casting & Dev. Co., 585
So. 2d 853 (Ala. 1991).
36
1110698 and 1110769
alta Lire ins. Corp. v. yonnson, 822 0. 2a 400, 404-09 (Ala.
2001).
Without a discussion from LMI of the specific definitions
in the policies, we cannot say that the trial court erred in
concluding that the policies were ambiguous and that the
Interpretation af the dafinitinns af Tacenrrence™ in the
policies should have been submitted to the jury.
This Court has addressed in other cases the term
"occurrence" and whether there had been more than one
occurrence. In United States Fire Insurance Co. Safeco
Insurance Co., 444 So. 2d 844, 846 (Ala. 1983), the insurance
policy provided that, "[£]or the puspoos of determining the
limit of the company's liab:lity, all bodily injury and
property damage arising out of continuous or repeated exposure
to substantially the same general conditions shall be
considered as arising out of one occurrence." When called on
to look at the definition in that policy, this Court
Revuyiized Ula insurance cuuLiacls, Like auy uLie: CunLLacly
must be construed to give effect to the intent of the parties
and that, if the terms of the contract are clear and
unambiguous, there is no need for judicial construction. The
7
1110698 and 1110769
excess insurer in sareco naa arguea tnat tne terms
"substantially" and "general" were ambiguous. The Court did
not find those terms to be ambiguous and construed them in
accordance with their common meaning and import.
In Safeco, water had leaked through the roof of a
Initding, damaging the marchandiae af the lasses arenpying the
building. Subsequently, the lessee incurred additional damage
by rainfall when the roofing crew repairing the roof failed to
effectively cover a portion of the roof on which it was
working. The excess insurer argued that these instances were
two occurrences because some of the damage resulted from
negligent acte of the roofing crew. The Court determined
that the issue was whether the definition of the term
"occurrence" in the policy involved the question whether
“substantially the same general conditions," 444 So. 2d at
846, existed at the time of the damage. The Court recognized
that the definition of "occurrence" in the policy contemplated
Ula one ULcuLLeHLY may Mave MULLIple aud disparale impacts on
individuals and that injuries may extend over time. The Court
went on to address the question whether the damage stemmed
from one proximate cause and concluded that there was a
38
1110698 and 1110769
separate intervening cause pecause tne initial water leaking
through cracks in a roof and the subsequent negligent act of
a roofing crew in failing to effectively cover a portion of
the roof so that further damzge resulted during additional
rains were two separate occurrences. "[I]f the cause is
interrupted ar replaced hy annther eanae, the chain nf
causation is broken and more than one accident or occurrence
has taken place." Safeco, 444 So. 2d at 847. The Court
recognized that a majority of courts have recognized the
"cause" theory rather than looking to the number of claimants
or injuries.‘ In short, a separate, intervening cause can
break the chain of causation 20 that there io more than one
"occurrence."
In Home Indemnity Co. v. Anders, 459 So. 2d 836 (Ala.
1984), the City of Mobile sought a judgment declaring its
liability under § 11-93-2, Ala. Code 1975 (limiting recovery
of damages against governmental entities), to numerous flood
victims why lad pending ayainst Une city actions seeking
compensation for property damage. Because there was no
‘the minority view "focuses on the effect of the insured's
action and considers each event or each injury a separate
eccurrence-" Quneze Ine. Co. vs Salmoneon, 266 .C. 936, 339,
622 8.B.2d 525, 526 (2005).
39
1110698 and 1110769
gerinition or “occurrence” in tne statute, tnis Court statea:
We recently had occasion to define the phrase
tone ocenrrence.! [Inited States Fire Insurance Co
Safeco Insurance Co., 444 So. 2d 844 (Ala. 1983).
We concluded that 'as long as the injuries stem from
one proximate cause there is a single occurrence.’
dd. at 8a» (quoting Appalachian Ins. Co. v. Lipert
Mut. Ins. Co., 676 F.2d 56, 61 (3rd Cir. 1982)).
While in Safeco we were attempting to give effect to
the intentian af the parties ta the inanrance
contract and here we are trying to give effect to
the intention of the Legislature, we find that
difference to be of no consequence, since in both
situations the drafting parties were attempting to
accomplich the camo objective. They cought to limit
liability by limiting recoveries for injuries that
result from a common source.
459 So. 2d at 843.
In St. Paul Fire & Marine Insurance Co. v. Christiansen
Marine, Inc., 893 So. 2d 1124 (Ala. 2004), this Court was
asked to determine the deductible applicable to a towing
company's claims against the buyer of seven barges where one
barge began taking on water caucing the tow to break apart.
The marine-insurance policy did not define "accident" or
"occurrence" so this Court looked to Black's Law Dictionary to
define those terms and to Sefeco, supra, for guidance in
determinina whether there had been one accident, event. or
continuing condition that resulted in property damage that was
nelle: expected uur luLended by Lue barge umes. The CouZL
40
1110698 and 1110769
statea:
"In this case, [the barge owner's] barges were
not operating separately and were not involved in
separate incidents; they were all bound together and
under the control of the same two tugboats.
Although the exact cause of the loss has not been
identified, the record re-iects that one or more or
[the barge owner's] barges took on water while being
towed and that this event caused the entire tow to
break apart. (The fowing company] snstained damage
as a result. The fact that all seven barges were
involved in the incident giving rise to [the towing
company's] damage does not establish that there were
seven ‘occurrences, ' for purposes of calculating the
deductible duc under the policy. Moreover, [the
insurer] has not offered any evidence to establish
that [the towing company's] damage resulted from
more than one proximate cause or that another cause
intervened to break the chain of causation created
by [the towing company's} tow taking on water."
292 60. 2d at 1137,
In the present case, Sonat presented testimony during
Phase I that it operated an integrated pipeline as a part of
which the compressor stations worked in unison to move natural
gas though the pipeline. Sonat presented testimony that
Pydraul was used to lubricate the engines at the compressor
statiuus alld Uual Pydiaul was Une uly material coutaLuiiy
PCBs used at the compressor stations. Sonat presented
testimony that Pydraul had leaked through the seals in the
air-compressor cylinders and had mixed with moisture in the
a
1110698 and 1110769
stream of compressea air anc tnat russ trom tne ryaraul
thereby had seeped into the soil and groundwater.
LMI contends that some of the compressor sites were
contaminated in different ways and that, because the
contamination was caused by different acts or omissions, there
was nn camman chain af cansatian at all the sites and,
therefore, there was more than one occurrence. LMI cites
testimony from Phase II of the trial that indicated that
contamination had occurred at different places at each
compressor station. LMI refers to testimony from Phase II of
the trial, indicating, for exanple, that contamination at one
bite had rcowlted from omploycco! washing rago contaminated
with PCBs or throwing rags contaminated with PCBs into a burn
pit after those rags had been used to lubricate the compressor
stations. We note that the jury in Phase I found that Sonat
proved that there had been an "occurrence" as that term was
defined in the applicable policies and that the jury in Phase
IT was bound by iat Cludiny. The Jury Lu Phase T found Chat
there had been one “occurrence” under the applicable policies.
‘The jury in Phase II answered the questions whether there was
a threat of contamination to a third party's property and
42
1110698 and 1110769
wnetner the rUs contamination was expected or intenaea at tne
remaining 11 compressor stations. Even if we limit our
discussion to evidence presented at Phase II as LMI has done,
IMI still has not shown that there was more than one
occurrence.
The taatimany from Phase TT froma retired Sanat engineer
explains how Pydraul was used in lubricating the compressor
stations:
In the utilization of the air compressor in
that system and that storage tank, do you ever have
occasion to have some of the lubricant actually end
up in the air system?
"A: Yes. You're lubricating the walls of a
rooiprocating compressor end thio comprcooor hao got
rings on it just like rings on a car, so with wear
and with time, you're going to get some oil
carryover into the air system. It's just a normal
part of the operation is to get some carryover, just
like you get some oil carryover in the rings of a
piston on a car engine and therefore have to
replenich the oil from tine to time.
I may have asked you this, if I have I
apologize. Do you also get water vapor or water
condensate that builds up in the storage or receiver
(awk for Chese al: Compressor systeus?
: Especially, with the humidity that we have
here in the south, when vou take air at atmospheric
pressure and compress it, then there's water
squeezed out basically. The air is not capable of
holding as much moisture in a vapor form at two
undred aud Cifly PSE ay LL is al almusphesie
43
1110698 and 1110769
pressure. so yes, you would nave some tree water
that would drop out typically in the air receivers
and it was common practice just to drain that water
nt of that receiver once a day so it didn't take np
space that could be occupied by the compressed air.
: What do you mean it was common procedures to
arain that water out? explain that ror us.
Well, you would have a valve in the bottom
of the air receiver, again, jnat Tike yon wanld have
in the bottom of an air compressor that you went to
Lowe's and picked up today, there's a little drain
cock in the bottom of those tanks and it's to drain
the water off that's going to accumulate in that
eank to keop it from cecupying epace and alco to
keep it from creating a corrosion problem in the
bottom of the vessel. These are steel tanks that
the air was stored in so any liquids that was in
there would over time cause some corrosion problems
if you weren't draining that out on a daily basis.
"or T undorotand thar in the mid to late 1800
that your procedures changed a little bit, but
before that time, was it the practice to remove the
condensate by opening the blowdown valve and letting
it go to the ground?
‘Ar Yes. It was typically just water. Like I
aid, occaoionally there would be a little oil in
that that had carried over into the tank, but
essentially, it was water that was being blown out
and it was a routine part of an operator's day is to
go by the tank, the air receivers periodically and
pen Lie valve aid blow iL wall Lieze was uULlLig
but air coming out and close the valve back off."
IMI's own expert testified that all compressors have to
be "blown down" and that doing so is part of the routine
uperation uf Lie compressu:. Sunal's early praclice was Lo
44
1110698 and 1110769
aiscnarge tne condensate plowdown onto the ground. vart or
the air-compressor-station operator's routine is wiping off
the machines and cleaning up the rags used in the blowdown
process. The operator would open the valve and discharge the
condensate, and the water containing Pydraul would go into the
gronnd. ‘The operatar wanld take the rags need in this process
and wash them and then the water they were washed in, which
contained Pydraul, would go into the ground at that location.
Based on the arguments before us, we cannot say that
there was a separate intervening cause. Sonat had cleanup
areas at each site where Pydraul (and the PCBs in that
lubricant) had contaminated the groundwatery that
contamination was caused by the use of Pydraul through a
unitary pipeline, and the manner of operating each compressor
station was the same. In Safeco, the excess insurer was not
liable under its policy for the additional damage to the
lessee that resulted from the intervening cause of the roofing
company's nol covering Ue 200f where Lt was perfurmluy Une
repairs. In the present case, some compressor stations
exhibited PCB at different places. In Safeco, we recognized
that the definition of “occurrence” in that policy
45
1110698 and 1110769
contemplatea that one occurrence may nave multiple ana
disparate impacts on individuals and that injuries may extend
over time. Accordingly, we cannot say that LMI has shown that
the trial court erred in finding that there had been one
"occurrence."
Next, IMT argnes that sane af the palietes provide
coverage for damage to Sonat's own property, including the
PCB-contaminated groundwater on Sonat's property, The
policies bar coverage of “any claim ... brought by the named
Assured for damages to or destruction of its property,” and
other applicable policies bar coverage of “property owned by
tho named inoured ...." IMT argues that the policice cxelude
coverage of Sonat's costs to clean up the contaminated
groundwater that had not migrated from Sonat's own property.
In Alabama Plating Co. v. United States Fidelity &
Guaranty Co., 690 So. 2d 331 (Ala. 1996), this Court addressed
the insurer's argument that the costs of performing
euvicoumental remediation ordered by Lie Alabama Departmen Of
Environmental Management are not "damages" under a
comprehensive-general liability ("CGL") policy and that the
“owned-property" exclusion in its CGL policy precluded
46
1110698 and 1110769
coverage ror cleanup or water or soil within tne pounaaries or
an insured's property. We stated:
‘This Court has not previously addressed these
specific issues, and the relevant terms are not
defined in the CGL policies at issue. However, as
noted previously, tne policies in question are
standard-form policies issued nationwide, so the
rulings of courts in other states are of some
omidance. Wa find that as ta each iaane ahve, the
clear majority of courts that have answered the
questions have ruled against the arguments made by
USF & G. Thus, we adopt the majority position on
each issue: environmental remediation costs are
damagee covered by CCL policice, and tho ‘owned
property’ exclusion does not exclude coverage for
the costs of remediating groundwater contamination.
‘These rulings are consistent with prior decisions of
this Court. We have prev-ously refused to narrowly
limit the type of costs covered as damages under a
liability policy. National Union Fire Ins. Co. v.
City of Leode, 630 Go. 24 206 (Als. 1988). Wo have
also held that a landowner's interest in the
groundwater beneath his property is a limited right,
see Martin v. City of Linden, 667 So. 2d 732 (Ala.
1995), not one of ownership.”
690 So. 2d at 336-37 (footnotes omitted) .
In support of our holding in Alabama Plating that the
owned-property exclusion does not preclude coverage for the
cools Uf emediaLing yruunlmile: CUnLaminaliony we ciled
numerous cases addressing groundwater spread. In Claussen v
etn rt i a» 754 F, Supp. 1576 (S.D. Ga.
1990), Aetna's insurance policy did not cover claims based
a7
1110698 and 1110769
solely on damage to its insurea’s property. accoraing to
Aetna, the pollution discharge from the property damaged only
the groundwater beneath the :nsured's own land, and Aetna
asserted that under Georgia law a property owner owns all that
is below and above his property. Accordingly, Aetna argued
that the anviranmantal diaastar at the site damaged anly the
insured's own property and that Aetna was not liable. The
Georgia court held that Aetna's argument failed for three
reasons. First, under controlling law, the insured did not own
the groundwater under the insured's land. Thus, the owned-
property exclusion did not bar coverage for any damage to the
groundwater. econd, the toxic dumping damaged not only the
insured's land, but also surrounding land and water. Third,
the EPA had required the insured to clean up the site to
prevent damage to third person's property as well as to the
insured's own property.
In Upiohn Co. v. New Hampshire Insurance Co., 178 Mich.
App. 706, 444 N.W.20 613 (1989), rev'd UH ULL grounds, 436
Mich. 197, 476 N.W.2d 392 (1991), the insured discovered
contamination and cleaned up its own subsoil as contaminants
Were slowly making their way into the groundwater. The Court
48
1110698 and 1110769
or Appeais or michigan notea:
"(We agree with the trial court that governmental
agencies conld have ordered lpjahn ta act and, had
they done so, Upjohn vould have been legally
obligated to pay the cost of cleanup .... We note
that the improper release of toxic wastes may cause
property damage not only to tne actual owner or tne
land, but also the government because of its
independent interest, behind the titles of its
citizens, in all the air and earth (ie, ite
natural resources) within its domain. We believe
that it makes no difference that Upjohn took the
remedial action it did before being ordered to do
so, and, in fact, we believe that such swift
romedial’ action ehould be encouraged, rathor than
discouraged.”
178 Mich. App. at 719-20, 444 N.W.2d at 819 (internal
citations omitted).
In Northorn States Powcr Co. vs Fidelity ¢ Caoualty Co.
of New York, 504 .N.W.2d 240 (Minn. Ct. App. 1993), aff'd, 523
N.W.2d 657 (Minn. 1994), the Court of Appeals of Minnesota
rejected an insurer's argument that certain environmental
cleanup costs were excluded from coverage by an owned-property
exclusion. The insurer argued that it did not have to pay for
aemuval Uf CUuLaminaled sud Crom ils insured"s properly
because no money had been spent to remedy the contamination of
the groundwater but only to excavate and remove contaminated
soil. The court held that "because groundwater pollution has
49
1110698 and 1110769
occurred, tne ‘own property’ exclusion aces not par coverage
for cleanup expenses needed to correct already existing soil
contamination which continues to damage the groundwater." 504
N.W.2d at 246.
This Court in Alabama Plating also cited Patz v. St. Paul
Fire £ Marine Insurance Co, 817 Fo Supp 781 (FN wis
1993), in which the insurer ergued that the owned-property
exclusion did not bar coverage of the costs of preventing
future harm to groundwater or adjacent property that might
arise from contamination that has already taken place, whether
such contamination had occurred on the insured's property or
on the property of others.
In the present case, testimony presented at Phase I and
Phase II showed that the soil and groundwater on Sonat's
property were contaminated with PCBs. Additionally, testimony
from both phases indicated an imminent threat to third
parties’ property based on the levels of PCBs found both in
Ure suLl aud sediment, Ue movement uf FEDS Lu Ute
environment, and the toxic nature of PCBs. Moreover, there
was testimony indicating that the PCB contamination at several
of the compressor stations had already migrated from Sonat's
50
1110698 and 1110769
property.
In conjunction with its argument that the owned-property
exclusion did not provide coverage for remediation of Sonat's
property, LMI argues that the trial court erred in instructing
the jury, over its objection, as follows:
"(W]ith ragard te the awn property qmeation an
insured may recover, notwithstanding the own
property exclusion, where the remediation was the
result of imminent threat of harm to third parties
or third party property."
In Arthur v. Bolen, 41 So, 3d 745, 749 (Ala. 2010), this
Court stated:
"A trial court has broad discretion in
formulating its jury instructions, provided those
inotructions accurately reflect the law and the
facts of the case.’ Pressley v. State, 770 So. 2d
115, 139 (Ala. Crim. App. 1999). Thus, ‘generally
speaking, the standard of review for jury
instructions is abuse of discretion." Pollock v. CCC
Invs. I, LLC, 993 So. 2d 572, 574 (Fla. Dist. Ct.
‘App. 2006) .”
This Court has also stated:
"Under Alabama law, '"[a] party is entitled to
proper jury instructions regarding the issues
pieseuled, aid an incursecl uz misleading charge may
be the basis for the granting of a new trial." King
v.W.A. Brown & Sons, Inc., 585 So. 2d 10, 12 (Ala.
1981) (citation omitted). When an objection to a
jury charge has been prorerly preserved for review
on appeal, as this one was, we ‘"look to the
entirety of the [jury] charge to see if there was
feversible wizur,°" gid seversal 1s wassauted unly
51
1110698 and 1110769
ne error 18 prejudicial. sing, 989 So. Za at
George H. Lanier Mem'! Hosp. v. Andrews, a9 Sn. 24 AN, ROK
(Ala. 2001).
in the present case, tne trial court‘s instruction is a
correct statement of the law as stated in Alabama Plating: The
owned-property exclusion does not bar coverage for the costs
of remediating groundwater contamination. We recognize, as
did the Court in Alabama Plating, that a landowner'e interest
in the groundwater beneath the landowner's property is a
limited right and not one of ownership. Accordingly, on-site
soil cleanup is not barred by an owned-property exclusion
where there is a threat that the contaminants in the soil on
the insured's property will migrate to groundwater or to the
property of others. Next, IMI argues that Sonat's costs for
ito voluntary remediation of the PCB contamination were not
recoverable under the terms o: the policies. Specifically,
LMI argues that Sonat's cleanup costs were not "damages" that
it was legally obligated to pay because the PCB-remediation
project was an internal business decision and not the result
of any compulsory process by a court or a state or federal
agency.
52
1110698 and 1110769
he applicable policies requirea im to
“indemnify the Assured for all sums which the
Assured shall he obligated to pay by reason of the
liability (a) imposed upon the Assured by law, (b)
assumed under contract or agreement by the Named
Assured ... for damages, direct or consequential and
expenses ... on account ot ... vroperty damage ...
used by or arising out of each occurrence happening
anywhere in the world."
IMI does not cite a definition of "damages" in its
policies; instead, it refers to the definition of damages
found in Jenolle Mime March ¢ Charlee W. Camblo, Alabama Law
of Damages § 1.1 (5th ed. 2004): "{A] pecuniary compensation
or indemnity which may be recovered in the courts by any
person who has suffered loss ... through the unlawful act,
omission, or negligence of another." We note that if a word
or phrase is not defined in an insurance policy, then a court
construing the policy should construe the word or phrase
according to the meaning a person of ordinary intelligence
would reasonably give it. Lambert v. Coregis Ins. Co., 950
So. 2d 1156 (Ala. 2006).
In Alabama Plating, 690 So. 2d at 336, besides addressing
the issue whether an owned-property exclusion barred recovery
of the costs to clean up the groundwater, this Court addressed
Uke question wuelue: envizonmenLal-semediation costs wese
53
1110698 and 1110769
“gamages” covered by the ULL policies. ne ULL policies
provided that they covered all sums the insured was "legally
obligated to pay as damages." 690 So. 2d at 333. This Court
adopted the majority position that environmental-remediation
costs were damages the insured was legally obligated to pay.
Th auppart af any halding in Alahama Plating, we cited
numerous cases from other jurisdictions, including Bausch §
Lomb Inc. v. Utica Mutual Insurance Co., 330 Md. 758, 625 A.2d
1021 (1993). In Bausch & Lomb, relevant environmental
statutes imposed strict liability upon the insureds to clean
up their polluted properties. Although the state had not
filed an adminictrative proceeding, it had lioted the
insured's property on a list of hazardous sites and later
conducted an investigation. ‘The insured cleaned up the site
before any action was filed. The Maryland Court took the
position that “response costs, undertaken in the regulatory
context, represented a sum the corporation was legally
Ubligated Lo pay" because Une “Lacit Ulmeat of formal state
intervention was always present." 330 Md. at 780, 625
A.2d at 1032.
We also cited Atlantic Wood Industries, Inc. v.
54
1110698 and 1110769
humpernan‘s underwriting Alliance, 198 Ga. App. 903, 398
$.£.2d 541 (1990), in which the term “damages” in the policy
was not being used in its legal and technical sense, and the
court held that it was a ter susceptible of more than one
definition.
Clearly there ia a specific, technical dafinitian
for the word ["damages"]: “payments to third person:
when those persons have a legal claim for damages.
[Cit.] If the insurer intended that "damages" have
only this meaning, it should have so indicated in
the policy. The incured vould then have undereteed
that cleanup costs incurred pursuant to government
mandate were not covered, and would have been able
to enter into other insuring agreements. Because
such a limiting definition was not included in the
policy, we must conclude that the parties did not
intend “damages” to have a specific technical
meaning in tho inowrancs policy. thor, they
intended to use its ordinary meaning.
196 Ga. App. at 505, 396 S.E.2d at 543 (quoting C.D. Spangler
Constr. Co. v. Industrial Crankshaft, Etc. Co., 326N.C. 133,
151, 368 6.8.24 557, S68 (19901).
Although not cited in Alabama Plating, we believe
Weyerhaeuser Co. v. Aetna Casualty & Surety Co., 123 Wash. 2d
891, 874 P.2d 142 (1994), conveys the reason remedial cleanup
beaun prior to aovernmental action or the actual filina of a
lawsuit should be treated the same as cleanup performed as a
gesull of yuverimental action vz Judicial dizectiow. Zu
55
1110698 and 1110769
Wevernaeuser, tne policy provicea coverage wnen tne
policyholder's legal obligation to pay was “imposed by law.
The insured argued that its liability was imposed by law by
its liability under pollution statutes and that it did not
need to await the overt threat of suit before cleaning up
pollntinn damage. The Snprame Conrt af Washington recagni zed
that "(i]nsurance coverage in the environmental claims area
may be quite different than in other insurance settings.
Environmental statutes impose liability, often without fault,
on polluters in order to safeguard society in general." 123
Wash. 2d at 909, 874 P.2d at 152. The court stated:
"A number of commentators have oxprcoocd the
concern that the environment will suffer severe harm
if owners have to postpone a cleanup until a clear
third party claim prompts a lawsuit. One recent
text explains that claims for coverage for
environmental cleanup arise in three contexts: the
insured may be held liable for the costs of cleanup
incurred by a third party (typically the federal
government or a state); the insured may incur
cleanup costs pursuant to administrative order,
judicial injunction, or consent decree directing
cleanup; or the insured nay voluntarily undertake
Cleauup, possibly in guticipation of iucurriuy une
of the forms of liability just described. The author
points out that if the three forms of liability were
treated differently for insurance coverage purposes,
the policyholder would have a strong incentive not
to undertake voluntary cleanup which, in turn, would
delay cleanup, exacerbate the degree of
conlaminallvn ald increase Lie ullimale cost of
56
1110698 and 1110769
cleanup. He also observea tnat it would severely
impede the ability of the federal and state
governments to accomplish cleanup at the thousands
of contaminated sites extant. This anthar notes
that most courts (either implicitly or explicitly)
have consequently, and he deems correctly, treated
all three contexts the sane.
123 Wash. 2d at 910, 874 P.2d at 910 (footnote omitted). The
court eanelnded that liahilities impnsed hy Taw can reasonahl y
ions taken at hazardous-waste
be read to encompass remedial
sites before liability to a third party is fixed.
Sonat presented testimony in Phase I of the case that the
Toxic Substances Control Act, 15 U.S.C. § 2601 et seq.,
required Sonat to report PCB ccntamination to the EPA. Sonat
precented tcotimony regarding the goncral way the EPA handled
PCB contamination and remediation programs and testimony that
Sonat was on a list of companies against which the EPA would
pursue enforcement actions. Furthermore, Sonat also presented
evidence of a consent order issued in Mississippi in which the
Mississippi Commission on Environmental Quality had required
Sunal Ly clea up Une cumpiessu: slaliuis luvaled in
Mississippi.
Sonat presented evidence indicating that it had a legal
obligation to remediate the PCB contamination at its
37
1110698 and 1110769
compressor sites, anda we will not limit 1s aamages to tnose
arising out a suit, claim, or action by a third party.
Furthermore, in the present case, a third party had required
such action. Additionally, in its answer, IMI argued as an
affirmative defense that Sonat failed to mitigate, minimize,
fpr avaid seme af ar all the damage referancad in the
complaint. "(FJorcing a policyholder to both promptly act to
mitigate further environmental damage and to await formal
threat of legal action creates an unresolvable conflict and
results in destroying the contractual right to liability
coverage in many cases involving environmental pollution
damagco." Hoyorhscuocr, 123 Wooh. 2d at 913, 074 P.2d at 154.
In conjunction with its argument that the policies did
not provide coverage for damage Sonat was not legally
obligated to pay, LMI argues that he trial court in Phase I
erred in instructing the jury as follows:
"An insured is legally obligated for cleanup if
it was required to engage in such cleanup activities
by law. TU is nut mecessary Ulal auyuue actually
commenced a lawsuit to compel the cleanup. It is
sufficient that a statute or regulation imposed
responsibility for such a cleanup.
As we noted earlier, a trial court has broad discretion
Au Cormulaling Jury Lusteuctiuus, provided Ube Lusteuctions
58
1110698 and 1110769
accurately reriect tne law. Adaitionaliy, reversal 1s
warranted only if the error in the instructions is
prejudicial. Here, the trial court's jury charge regarding
damages is in accordance with our holding in Alabama Plating
and with the facts of this case as discussed above.
Next, TMT argnas that Sonar failed to prasant euherantial
evidence that LMI breached its contracts because, it says, LMI
simply reserved its rights to challenge its liability. IMI
argues that a reservation-of-rights letter does not amount to
a breach of contract.
IMI is correct that a reservation of rights allows the
Anourer to challenge ito Liability on the underlying claim
while still fulfilling its obligations under the policy. Twin
City Fire Ins. Co. v. Colonial Life & Accident Ins. Co., 839
So. 2d 614 (Ala. 2002). In the present case, Sonat presented
evidence at Phase I and Phase II indicating that LMI initially
received notice of Sonat's potential claims in 1991. on
Novewber 13, 1995, LMT seseived ils siylils Lo deny coveraye
while it decided whether the policies provided coverage. At
no time has LMI conducted an investigation into Sonat's
claims. In 1996, Sonat notified LMI that it would appear that
59
1110698 and 1110769
uui's policies would not pe impactea py tne rUs-remeaiation
project. However, Sonat reserved its rights to seek coverage
under the policies. At some point that is unclear in the
briefs, the parties began discussing coverage under the
policies. In 2001, IMI sued Sonat in Georgia, seeking a
Judgment daclaring whether the palieies provided eovarage far
Sonat's claims. During Phase I of the case in 2005, a
corporate representative for LMI testified that LMI had still
not formed an opinion on coverage and was awaiting more
information. We note that, in its order denying LMI's
postjudgment motion following Phase I, the trial court
concluded that the jury!o findings of LMI'o broachco of
contract could properly be based on the evidence indicating
that LMI had not acted reasonably in its delay after issuing
its reservation-of-rights letter. Under the facts of this
case, after being notified in 1991 of the PCB contamination,
IMI's 10-year delay after issuing its reservation-of-rights
letter (1999 Lo 2003) in detenm.
Hing whelle: Lv provide
coverage under the policies is not reasonable.
LMI argues that Sonat failed to present substantial
evidence that LMI breached its contracts when Sonat expressly
60
1110698 and 1110769
stated in 1996 that Limi could close its riles on tne claims.
In support of this argument LMI cites only one case for the
general proposition that a plaintiff is required to prove that
performance is due under a ccntract and that the defendant
failed to perform. | Authority supporting only general
propasitians af law is nat a anffieient argumant for reversal
Beachcroft Props. LLP v. City of Alabaster, 901 So. 2d 703
(Ala. 2004). Furthermore, Sonat, in notifying LMI that it
could close its files, specifically reserved its right to seek
coverage under the policies.
Last, LMI argues that three of the policies had not
attached beoaucc the remediation costs did not cxcced the
limits of Sonat's underlying insurance. Specifically, LMI
argues that three of the applicable polices did not reach the
attachment points of its umbrella and excess-liability
policies because Sonat had not exceeded the limits of the
underlying primary policies. LMI argues that the trial court
eiaed in submilting Lids issue Lo Ue jury because LL coutenus
that policies CU 1887, K 11477, and CU 10353 were unambiguous.
IMI cites a schedule of underlying insurance that it says is
similar to the schedules in the three policies. LMI then goes
a
1110698 and 1110769
on to aiscuss only CU 1887." We will likewise limit our
discussion to CU 1887.
CU 1887 is an umbrella policy. An umbrella policy is
different from an excess-liability policy in that they are
meant to fill gaps in coverage both vertically (by providing
execs coverage) and horizontally (hy providing primary
coverage). Roval Ins. Co. of America v. Thomas, 879 So. 2d
1144 (Ala. 2003). The schedule provides as follows:
"Schedule of Underlying Insurance
(1) General and Autonobile B.I. [bodily injury]
& P.D. (property damage] CSL (including $1,000,000
each occurrence Products and Watercraft) excess of
the following:
(A) General Liability (including Products and
Watercraft)
B.I. $50, 000/$100,060/$1, 000, 000
aggregate products
PD. $50, 000/$100,060 except opecial
B.D. C.C.C. $25,000/$100, 000
(B) Automobile Liability
B.I. §100,000/$500, 600
P.D. $50,000"
LMI's argument is that its policy was not triggered or
SLMI sometimes refers to "CU 1887" as "CV 1887."
62
1110698 and 1110769
aia not attach until tne damage incurrea under tne unaeriying
policies exceeded $1,050,000. According to LMI, there are two
underlying primary insurance policies: one insurance policy
attachment point with a $1,000,000 per occurrence limit, and
another policy identified in subsection (A) with a $50,000
aeenrrancea limit IMT antenda that the langnage i
unambiguous and, therefore, that the trial court erred as a
matter of law and should not have submitted the attachment-
point issue to the jury. We disagree.
First, IMI cites only cases concerning general
propositions of law regarding ambiguities. | "Authority
oupporting only 'goncral propooitions of law! doce not
constitute a sufficient argument for reversal." Beachcroft
Brops., 901 So. 2d at 708 (quoting Geisenhoff v. Geisenhoff,
693 So. 2d 489, 491 (Ala. Civ. App. 1997)). LMI does not
discuss the nature of umbrella policies or whether CU 1887 was,
the main or controlling umbrella policy for the period it was
An effecl. LMT dues HuL discuss “cSb," which is in section
(1) of the schedule and stands for "combined single limit."
IMI does not discuss “drop-down coverage" in the umbrella
policy. LMI does not discuss "split" limits of liability,
63
1110698 and 1110769
wnicn are rererrea to in tne scneaule witn property aamage
limited to a certain amount and bodily injury limited to a
certain amount. It is not the function of this Court to create
arguments for an appellant. McLemore v. Fleming, 604 So. 2d
353 (Ala. 1985). In order to secure a reversal, the
appellant has an affirmative duty of showing arrar upon the
record. Tucker v. Nichols, 431 So. 2d 1263 (Ala. 1983).
Second, in section (1), the schedule references
“underlying insurance." No underlying primary insurer or
insurers is referred to by name. Cf. American Res. Ins. Co
Y.-H & H Stephens Constr. Inc., 939 So. 2d 868 (Ala.
2006) (diccuscing coverage under an umbrella policy and the
schedule of underlying insurance policies where those policies
referred to the underlying primary-insurance carriers by
name). The failure to name the primary insurer alone would
not create an ambiguity because CU 1887 requires Sonat to
maintain insurance, but the schedule does not appear to refer
Lu Uwe primary Lusurers as LM argues. Section (1) referenves:
combined single limit of coverage in the amount of $1,000,000.
The schedule then refers to general liability in subsection
(A) and automobile liability in subsection (B). Under
64
1110698 and 1110769
subsection (a), the scheaule rerers to split limits petween
bodily injury and property damage involving general liability.
Subsection (A) refers to property damage "C.C.C." which stands
for property in Sonat's care, custody, or control but not
owned by Sonat and is not applicable here. Subsection (A)
refers te property damage af $80,000 far each arenrrance and
$100,000 where applicable and also is not involved in the
present case. The schedule could be interpreted as being
triggered by $50,000 in property damage where section (1)
refers to a combined single linit of $1,000,000 split between
bodily injury and property damage. Tellingly, section (1) has
2 oubocction (1) (A) and (1) (B), and it refero to a combined
single limit. CU 1887 was in force from 1962 to 1965, and the
underlying insurance referred to in the schedule could be read
to refer to a single $1,000,000 that sits over two underlying
limits, one of which is the $50,000 in property damage that
triggered LMI's liability. Accordingly, we cannot say, based
uu Ube arguments before us, Wat Ue Urlal court ened in
concluding that CU 1887 was ambiguous.
Sonat's Cross-Appeal (No. 1110769:
Sonat argues that the trial court erred in granting LMI's
65
1110698 and 1110769
partial-summary-Juagment motion.
This Court's review of a summary judgment is de
nove. Williams v. State Farm Mut. Ruka, Ins. Ca.,
886 So. 2d 72, 74 (Ala. 2003). We apply the same
standard of review as the trial court applied.
Specifically, we must determine whether the movant
has made a prima racie snowing that no genuine issue
of material fact exists and that the movant is
entitled to a judgment as a matter of law. Rule
Be(o), Ala R Civ. Pos Bine Croce g Bina Shield of
Alabama v. Hodurski, 899 So.2d 949, 952-53 (Ala.
2004). In making such a determination, we must
review the evidence in the light most favorable to
the nonmovant. Wilson v. Brown, 496 So. 2d 756, 758
(Ala. 1996), Once tho movant makee a prima facio
showing that there is no genuine issue of material
fact, the burden then shifts to the nonmovant to
produce "substantial evidence’ as to the existence
of a genuine issue of material fact. Bass v.
SouthTrust Bank of Baldwin County, 538 So. 24 794,
797-98 (Ala. 1989); Ala. Code 1975, § 12-21-12.
'[elubotantial evidence ie ovidence Sf ouch weight,
and quality that fair-minded persons in the exercise
of impartial judgment can reasonably infer the
existence of the fact sought to be proved.’ West v.
Founders Life Assur. Co. cf Florida, 547 So. 2d 870,
871 (Ala. 1989).
Dow v. Alabama Democratic Party, 897 co. 24 1025, 1020-29
(Ala. 2004).
During Phase III of the trial, the trial court granted a
motion in limine to exclude any reference to mercury sites
that had not been disclosed or documents that had not been
produced. The trial court also concluded that Sonat should
MUL be allowed Lu presen ayyzeyale costs of Is mezcury
66
1110698 and 1110769
remediation. A trial court nas broad aiscretion in
determining whether to grant a motion in limine. Jefferson
Cnty. v. Southern Natural Gas Co., 621 So. 2d 1282 (Ala.
1993).
Sonat argues that the trial court's requirement that
damages far the marenry ramadiatinn he proven an a aiteshy-
site basis would likely mislead the jury because such an
approach contradicts Sonat's single-occurrence theory. As
discussed earlier regarding tne damage arising out the PCB
contamination, Sonat presented evidence of its single-
occurrence theory where damages at the compressor stations
wore diccusced on a oite-by-oite baoic, Thio ic concietent,
with our caselaw that damage from a single occurrence may have
multiple and disparate impact on individuals and property and
that injuries may extend over time. Assuming that the leaking
of the mercury meters was a single occurrence, we cannot say
that the damage was the same at each site simply because Sonat
Wid Wel ULLcerenLiale Lie CusLs assuciated WLU Lie Cleanup of
each site.
Sonat argues that because the mercury remediation was
conducted in a uniform manner to address damage caused by the
7
1110698 and 1110769
systematic use or mercury at nunareas or tne metering
stations, it makes sense that contractors would account for
its activities by region rather than send several hundred
smaller invoices, Sonat cites the transcript from Phase I of
the trial for the proposition that it remains prepared to
prove cnats on a ragian-hy-reginn hasia for the mercury
remediation. This testimony regarded Sonat's ability to look
at accounting summaries and determine the specific costs for
specific compressor stations regarding the PCB remediation. We
cannot say that Sonat should get a second bite at the apple to
do the same now.
Sonat citce E.t. Du Pont De Nemours ¢ Co. vs Allotate
Insurance Co., (Ms. C.A. No. 99C-12-253 JTV, July 31, 2006)
(Del. Super. Ct. 2006)(not reported in A.2d), for the
proposition that overall costs from an occurrence need not be
divided or spread when costs were not originally accounted for
on that basis. Du Pont is distinguishable; it involved excess
policies Liat Covered Liligaliun expenses azisiny oul uf mass
tort claims and two of the insurers attempted to allocate
specific litigation expenses across multiple policy years when
all the insurers were jointly and severally liable and each
68
1110698 and 1110769
policy coverea tne ruil amount of tne expenaitures. sonar
also cites Newmont Mines, Ltd. v. Hanover Insurance Co., 784
F.2d 127 (2d Cir. 1986), for the proposition that a jury
should be allowed to decide damage on proof of a unitary
damage number as between two occurrences. In Newmont, the
Inanred annght enverage far damage te a hit lding canaed hy tun
separate roof collapses. The insurers argued that the insured
failed to prove the amount of damage that should be allocated
to each occurrence. The court disagreed, stating:
Because the two collapses were discovered only
three days apart, they were repaired simultaneously
and no effort was made at that time to allocate
repair costs between the two collapses. The parties
otipulated that the aggregate coot of repairing the
building was $6,600,000 (Canadian). In addition,
Newmont introduced the estimate of its engineering
expert, Calder, that the cost of repairing the hole
in the lower portion of the roof was $1,936,606; the
balance of the aggregate $6,600,000 (Canadian) cost
of repair, it followed, could be attributed to the
eccond collapse. Hence, the jury's finding of
damages in the amount of $4,663,394 (Canadian) for
the second collapse was arrived at not by
speculation, as Hanover and Utica contend, but by
simple subtraction ($6,600,000 - $1,936,606). The
Jury plaluly was eutitied Lo base its Couclusious on
Calder's estimate, see W.L. Hailey & Co. v. County
of Niagara, 388 F.2d 746, 753 (2d Cir. 1967), and we
find that the subtraction method described above
provided a rational basis for computing damages
attributable to the second occurrence with an
acceptable degree of certainty, see Lexington
Feuuucts, Lid. v. B.D. communications, iuc., 677
69
1110698 and 1110769
Fiza 251, 293 (2a Lar. 1962).
784 F.2d at 137-38. Newmont indicates that the damages were
not speculative when there was an estimate upon which the jury
could base its damages.
Conclusion
Rased nn the faregaing, the duegmant af the trial ennrt
made the subject of LMI's appeal and of Sonat's cross-appeal
is due to be affirmed.
1110698--AFFIRMED.
Moore, C.J., and Stuart, Parker, Shaw, Main, Wise, and
Bryan, JJ., concur.
Murdock, J.) diocento.
1110769--AFFIRMED.
Moore, C.J., and Stuart, Parker, Murdock, Shaw, Main,
Wise, and Bryan, JJ., concur.
70
1110698 and 1110769
MUMUULR, Justice (aissenting in appeal no. 1110698).
I respectfully dissent as to this Court's affirmance of
the trial court's judgment in case no, 1110698. I question
the rejection by this Court of more than one of the arguments
made by Certain Underwriters at Lloyd's, London, and Certain
London Marketing Insurance Conpanies (hereinafter "IMI") in
their appeal of this judgment. among other things, I disagree
with the main opinion's understanding and application of the
term "occurrence" in the IMI policies at issue. The release
of PCBs occurred at separate geographical locations at
separate times, resulting in separate "occurrences." Each
ocenrrance resnited from some practice in which the insured
engaged at each of the contaminated locations that was
specific to that location (notwitnstanaing tne ract tnat some
of these practices were repeated from one location to
another) .
I also question the application by the trial court and by
this Compt nf the Mowned-property" evelusian in the mut
policy, including this Court's approval of the trial court's
anstruction to the jury that an imminent threat ot narm to a
third party or to the property of a third party was sufficient
to avoid the application of this exclusion. I am concerned
n
1110698 and 1110769
that tnis application or tne “ownea-property” exclusion 1s
inconsistent with the language of the insurance policy
voluntarily agreed to by the insurer and the insured.
72
| 504cc020be43ba33e6b4b9adca2068e1b6b533928a8e5735a44764b95fd60730 | 2013-06-28T00:00:00Z |
783ca9cc-ce7e-424b-9f59-fb561f8885d3 | In re First Judicial Cir. (Unknown) | null | 15-371 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS
No. 15-371
‘Order Detnered November 19, 2015
IN RE FIRST JUDICIAL CIRCUIT,
CROSS COUNTY DISTRICT COURT
ORDER
Pursuant to amendment 66 of the Arkansas Constitution, the Arkansas Judicial
Discipline & Disability Commision filed on November 17, 2015, formal charges against Cross
County District Judge Joseph Boeckman. The Commission alleges, inter alia, that Judge
‘Boeckman has exhibited gender bias in sentencing, has used his judicial status to form
personal and sexual relationships with certain litigants, and has solicited sexual relations from
certain litigants in exchange for reductions or dismissals of court fines and costs. Alljudges are
afforded the rights provided in amendment 66, and this order should not be deemed as a
Judgment about, or determination of, any charges pending before the Arkansis Judicial
Discipline & Disability Commission
‘Amendment 80 to the Arkansas Constitution provides thatthe supreme cour, through
the Chief Justice, shall exercise general superintending control over district courts, which
includes the power to temporarily appoint special judges. See Ark. Const. amend. 80, § 4. If
the Chief Justice determines that “there is... [a] ned fora Special Judge to be temporarily
to serve during the period
appointed, a Special Judge may be assigned by the Chief Justice .
of... need,” Ark. Const amend. 80, § 13(C),
To prosectthe integrity ofthe judicial system and to maintain public confidence in the
‘administration of justice, I find it necessary to appoint by separate order, a special judge, or
judges, tothe Cross County District Court, Wynne, Cherry Valley, and Parkin Departments,
to hear all pending cases and any cates led while this order iin effect. The special judge, o
judges, shall have exclusive authority over the Cross County District Court docket from the
ate of this order until further notification.
Hesmd We Brash
Chief justice
| 67328bf1f020722e6c6e6dc17a1a8c8b8e02b4e08bc6bf5e8df3b6ab55a4e75a | 2015-11-19T00:00:00Z |
f0d30bf6-1007-45aa-9962-6ff38eb56a5a | William Dale Morrison v. State of Arkansas | null | CR08-572 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS
No, CROB-572
WILLIAM DALE MORRISON, Opinion Delivered 6-508
APPELLANT, | MOTION FOR RULE ON CLERK
vs.
STATE OF ARKANSAS,
MOTION GRANTED.
APPELLE!
PER CURIAM
Appellant, William Dale Morrison, by and through his attomey, Thurman Ragar, Je,
has filed a motion for rule on clerk. The clerk of the supreme court and court of appeals
refused to docket this appeal or accept the record due to a failure to comply with Arkansas
Rll of Appellate Procedure ~ Civil 5(6)(1)().
In McDonald v, State, 356 Ark, 106, 146 S.W.34 883 (2004), this court clarified our
treatment of motions for belated appeals and motions for rule on clerk. We explained:
Where an appeal is not timely perfected, either the party or attomey filing the
appeal is at fault, or there is good reason that the appeal was not timely
perfected. ‘The party or attorney filing the appeal is therefore faced with two
‘options. First, where the party or attorney filing the appeal is at ful, faule
should be admitted by affidavit filed with the motion or in the motion itself
There is no advantage in declining to admit frult where fault exists. Second,
where the party or attorney believes there is good reason the appeal was not
perfected, then the case for good reason can be made in the motion, and this
court will decide if good reason is present.
an affidavit
Id, 146 S.W.3d at 891 (Ootnote omitted). While this court no longer req
admitting faule before we will consider the motion, an attorney should candidly admit fault
‘where he has erred and is responsible for the failure to perfect the appeal. See id
In accordance with McDonald v. Site, supra, Mr. Ragar has candidly admitted that it
‘was his responsbility to assure compliance with Rule 5(b)(1)(C) and that this was not done.
‘The motion is, therefore, granted. A copy of this opinion will be forwarded to the
Committee on Professional Conduct.
Motion granted.
‘CRO8-S72
| c1cf13476d026dd3ed4c5ac21ea1837def13f279bb60ffa8047ecde054eb3c73 | 2008-06-05T00:00:00Z |
851eacf0-aa8c-4d0e-a2fd-9d8fed085883 | Mark Brown v. Laura Brown | null | 07-994 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS
Ne. 07-994
MARK BROWN, Opinion Detivered May 1, 2008
APPELLANT,
APPEAL FROM THE UNION
vs. COUNTY CIRCUIT COURT,
NO. DR-05-766-6,
LAURA BROWN, HON, DAVID FREDERIC GUTHRIE,
JUDGE,
AEEIRMED.
ANNABELLE CLINTON IMBER, Associate Justice
Appellant Mark Brown appeals from an order of the Union County Circuit Court,
which divided marital property and set child support. He cites the following four points
where the circuit court erred: 1) in determining the amount of child support when it
considered the income attributable to Mark ina limited partnership; 2) in considering Mark's
interest in the limited partnership to justify an unequal division of marital property; 3) in
finding that the increase in value of the limited partnership's stock brokerage accounts was
marital property; and 4) in finding that two residences were marital property, Because this
appeal presents issues of first impression and of significant publi
terest, our jurisdiction is
pursuant to Ark. Sup. Ct. R. 1-2(6)(1) & (4) (2007). We find no error and affirm,
‘Mark and Laura Brown were married in September of 1986 and separated in July of
2005. Laura sought a divorce from Mark on the grounds that they had been living separate
and apart for eighteen continuous months. Following 2 tral, the circuit court entered a
decree of divorce, granting temporary custody of the two minor children to Laura, setting
temporary child support at $250 per week, and taking all issues of property division under
advisement until such time as postrial brief were submitted. A letter opinion confirmed by
final decree granted custody ofthe children to Laura and ordered Mark to pay child support
in the amount of $384 per week, based on his two-year average income. ‘The circuit court
determined that the increase in value of Mark's inheritance from his father, which was
‘maintained ina limited partnership with Mark's mother, was marital property. The court also
found thatthe marital residence and another piece of real estate, both of whiek his mother had
helped to purchase with funds from the limited partnership, were marital property. Because
‘Mark’sonmartal estate was valued at $3,032,703, while Lauras was valued at only $306,780,
the court found an unequal division ofthe marital property to be appropriate. Mark filed a
timely notice of appeal!
‘The limited partnership at ise in this appeal was formed in 1995 under the laws of
the State of Louisiana. Mark's father, George A. Brown, had eamed considerable income as
the owner of cocktail lounges, liquor store, and commercial real estate. He died in 1990 and
had bequeathed to Mark, his only child, all property owned at his death, with the exception
of the marital home and certain furnishings within it and his wife's one-half share of their
community property estate. George A. Brown's will noted that Mark's inheritance was
“subject to the usuffuct heretofore granted to my wife, Billie Jean Brown[,]” Mark and his
"Laura filed a notice of cross-appeal but has since abandoned her argument.
‘mother, Billie Brown, created the G.A. Brown Properties Limited Partnership after George
‘A. Brown's death, for the purpose of managing the estate
Billie Brown was the sole general partner and was also a Class A limited partner; Mark
‘was a Class B limited partner. Each owned 2 fifty percent partnership interest. Mark
contributed tothe partnership the property he had inherited from his father, and Billie Brown
contributed her one-half share of the community property estate. The partnership agreement
contained the following provision:
Mark S. Brown specifically acknowledges that pursuant to the Judgment of
Possession rendered by the First Judicial District Court, Caddo Parish,
Louisiana in the Succession of George A. Brown on August 25, 1993, as
amended by said Court on November 12, 1993, the property which’ he
contributes to this Partnership is subject to 2 usuffuct in favor of his mother
Billie J, Brown and that such usufruct attaches to and continues over the Class
B Limited Partnership interest which he receives in exchange for such property
‘on the same terms and conditions as the usuffuct over the contributed property
itself]
According to the agreement, the partnership's profits and losses were to be allocated
ified
proportionately between the partners, according to their partnership interests. Mark:
that his mother had discretion as to whether to share the partnership's income with him. He
stated that his mother had gifted certain amounts of money to him from the partnership's
assets, but that he had not received income from the partnership. An accountant testified,
however, that Mark's mother had the option to “yield” the usuffuct with respect to properties
in the partnership that had been changed fom their original form. Ifthe property was no
longer part of the original corpus, Billie Brown could allocate a portion of its income to her
son, provided that he was willing to accept the income and to pay taxes on it. According to
the accountants testimony, Billie Brown had in the past chosen to allocate certain income to
‘Mark, and he had accepted the income.
‘The marital residence was purchased with funds provided by Mark’s mother from the
G.A. Brown Properties Limited Partnership. Testimony by the parties and by Mark's mother
indicated that the home was intended to be a gift. Mark and Laura later acquired a mortgage
‘on the house to pay for an addition. Payments on the note were made by Mark and Laura.
The other property at issue, known as the West Oak Street property, was purchased
‘asa home for Mark's mother, who at one point intended to relocate to El Dorado from her
former home in Shreveport, Louisiana. The funds for the down payment on the property and
forsome, ifnot al, of the mortgage payments came from the G.A. Brown Properties Limited
Partnership. For estate-tax purposes, however, the property was titled jointly in the names
‘of Mark and Laura, At the time of tril, Mark’s mother had not yet moved into the home,
and Mark was residing there. While Laura agreed thatthe purpose of purchasing the property
‘was to provide a home for Mark's mother, she contended that she had an interest in the
property, as it was titled in her name along with Mark's,
1. Child Support
For his first point on appeal, Mark argues that it was error for the circuit court to
consider his income from the limited partnership in determining the appropriate amount of
child support, because that income was not available for his use. He contends that the
usuffuct in fivor of his mother prevented him from realizing any income from the partnership
and that the only distribusions made to him were provided so that he could pay taxes on the
income attributed to him,
(Our standard of review for an appeal from a child-support order is denove, and we will
not reverse a finding of fact by the circuit court unless it is clearly erroneous. Hardy .
Wilboune, 370 Ark. 359, __S.W.3d__ (2007). In reviewing a circuit cour’s findings, we
give due deference to that cour’s superior position to determine the credibility of the
witnesses and the weight to be accorded to their testimony. Id However, a circuit court's
conclusion of law is given no deference on appeal. Id
In determining an appropriate amount of child support, courts are to referto the family
support chart contained in our Administrative Order Number 10. See Ark. Code Ann, § 9-
12-312(a)(2) (Repl. 2008). ‘The family support chart provides a means of calculating child
support based on the payor’s net income. Administrative Order Number 10 defines income
as “any form of payment, periodic or otherwise, due to an individual, regardless of source,
including wages, salaries, commissions, bonuses, workers’ compensation, disability, payiments
pursuant to a pension or retirement program, and interest less proper deductions"
Administrative Order No. 10, section II. It is well established that this definition of income
is broadly construed, intended to encompass the widest range of potential income sources.
Davis v. Office of Child Support Enforcement, 341 Ark. 349, 20 S.W.3d 273 (2000); White v
White, 95 Ark, App. 274, 236 S.W.3d 540 (2006). The administrative order also states that
for self-employed payors, support isto be calculated based on the last two years’ federal and
state income tax returns and the quarterly estimates for the current year.’ Administrative
Order No. 10, section III(c)
‘The circuit court in the instant case calculated Mark's child-support obligation based
‘upon the income reported on his 2004 and 2005 tax returns. Thus, pursuant to the
administrative order and its broad definition of income, the calculation was correct. We ate
‘unconvinced by Mark's argument that his income from the partnership should not have been
considered because it wasnot realized. The administrative order does not distinguish between
realized and recognized income, While our court of appeals has cautioned that income for
child-support purposes may differ from income for tax purposes, the cases articulating a
difference have done so only when the circuit court disallowed depreciation deductions or
recognized gain as income upon the sale or disposition of property. See White v. White, supra;
Brown v. Brown, 76 Ark. App. 494, 68 S.W.3d 316 (2002); Stepp v. Gray, 58 Ark. App. 229,
‘947 S.W.24 798 (1997),
Moreover, the administrative order instructs that the court should also consider “the
amount the payor is capable of earning or a net worth approach based on property, life-style,
etc.” Administrative Order No, 10, section III(e). We affirmed the use of the net-worth
approach for child-suppost determinations in Tucker. Office of Child Support Enforcement, 368
Ark, 481, __S.W.3d __(2007)._ It is clear chat Mark’s ownership interest in the G.A.
The panies do not dispute the contention that Matk a elemployed payor. He was,
employed athe time of trial aan analyst with El Dorado Chemis, where he eared
spproximately $40,000 per year. However, the occupation fed on his 2004 and 2005 eax
eturns wat “managerinvetment.”” His tetimony eal confined that he considered hinsel co
bbe a manager-investor, with that being his primary occupation throughout the mariage
6
Brown Properties Limited Partnership is a significant portion of his net worth; thus, that
ownership interest would be 2 proper consideration. In the instant case, we cannot say that
the circuit court clearly erred in finding that Matk’s income for child-support purposes was
that reflected on his tax returns,
HL, Unequal Division of Marital Property
For his second point on appeal, Mark contends that it was error for the circuit court
‘to consider his interest inthe limited partnership in determining that an unequal division of
the marital property was appropriate. He argues that, due to the usufruct in favor of his
‘mother, the property in the partnership has no present value, and perhaps even no future
value, to him.
‘With respect to the division of property in a divorce case, we review the chancellor's
findings of fict and affirm them unless they are clearly erroneous or against the preponderance
of the evidence. Conlee v. Conlee, 370 Ark, 89, S:W.34 __ (2007). The division of
property itself is also reviewed, and the same standard applies. Id, A finding is clearly
erroneous when the reviewing court, on the entire evidence, is eft with the definite and firm
conviction that a mistake has been committed. Id. In order to demonstrate that the
‘chancellor's ruling was erroncous, an appellant must show that the tral court abused its
‘discretion by making a decision that was arbitrary or groundless, Id, We give due deference
to the chancellor's superior position to determine the credibility of witnesses and the weight
to be given their testimony. Id
A circuit court has discretion to consider the partes’ potential opportunities for further
acquisition of property when determining the appropriate division of marital asets. At the
time a divorce decree is entered, all marital property is to be distributed one-half to each
party, unless the court finds such a division to be inequitable, Ark. Code Ann, § 9-12-
315(a)(1)(A) (Repl. 2008). In that event, the court is to make some other division that the
court deems equitable, taking into consideration several factors: the length of the marriage;
age, health, and station in life of the partes; occupation of the parties; amount and sources of
income; vocational skill; employability; estate, lubilities, and needs of each party and
‘opportunity of each for further acquisition of capital assets and income; contribution of each
party in acquisition, preservation, or appreciation of marital property, including services as a
homemaker; and the federal income tax consequences of the cour’s division of property. Id.
Clearly, in reaching a determination as to the equitable division of marital property under this
statute, the circuit court was free to consider Mark’s interest in the G.A. Brown Properties
Limited Partnership, and his opportunity to double the size of his estate upon the death of his
‘mother. The limitation on Mark's interest in the partnership, in the form of the usufruct, is
‘of no relevance, as the opportunity to add to his estate is a proper consideration.
In addition, Mark has received some present value from the partnership. He testified
to routine distributions from the partnership since its inception, noting specifically two pieces
of ral estate; a boat, motor, and trailer; vacations; gas for his vehicle; and cellular telephone
service. Therefore, his contention that his interest in the partnership should have been
ignored by the court because it had no present value to him is unavailing.
Likewise, his claim thatthe partnership may have no fature value to him is without
‘merit. Under Louisiana law, Mark will receive the value of his contribution to the
partnership at the termination of the usuffuct, which will occur at the time of his mother’s
remarriage or death. The Louisiana Civil Code defines consumable things as things “that
‘cannot be used without being expended or consumed, or without their substance being
‘changed, such 2s money, harvested agricultural products, stocks of merchandise, foodstulls,
and beverages.” La. Civ. Code Art. 536. With respect to consumables subject to a usuftuct,
the usufuctuary becomes the owner ofthem. La. Civ. Code Art. 538. Thus, Mark's mother
“may consume, alienate, or encumber them as [s}he sees fit.” Id. However, at the
termination of the usufiuct, she is “bound to pay to the naked owner either the valte thatthe
things had at the commencement ofthe usufruct or deliver to him things ofthe same quantity
and quality.” Id.
Conversely, nonconsumable things are defined as things “that may be enjoyed without
akeration of their substance, although their substance may be diminished or deteriorated
naturally by time or by the use to which they are applied, such as lands, houses, shares of
stock, animals, furniture, and vehicles." La. Civ, Code Art. 537. With respect to
nonconsumable things subject to a usufruct, “the usufructuary has the right to possess them
and to derive the utility, profits, and advantages that they may produce, under the obligation
Of preserving their substance.” La, Civ. Code Art. 539, However, as the usufructuary,
‘Mark's mother is “bound to use them as a prudent administrator and to deliver them to the
raked owner at the termination of the usuffuct.”. Id
‘Mark will receive value from his interest in the limited partnership at the time of his,
‘mother’s remarriage or death. He has already been the recipient of distributions from the
partnership. Therefore, the circuit court did not err in considering his partnership
determining that an unequal division of the marital property was appropriate.
IL Irease im Velue of Partnership Interest
For his third point on appeal, Mark contends thatthe increase in value of the limited
partnerships stock brokerage accounts is hs separate property. Hie also argues thatthe circuit
court erred in failing to set forth its reasons for awarding the increase in value of those
accounts to him in the division ofthe marital assets
‘The definition of marital property excludes property “acquired prior to marriage orby
‘ft orby reason of the death of another, including, but not limited to, life insurance proceeds,
payments made under a deferred compensation plan, or an individual retirement account, and
property acquited by right of survivorship, by a tust distribution, by bequest or inheritance,
oor by a payable on death or a transfer on death arrangement{]” Atk. Code Ann, § 9-12-
315(b)(1). Under this exclusion, Matk’s interest in the G.A. Brown Properties Limited
Partnership, which he received by inheritance, was properly deemed nonmarital property,
‘The definition of marital property also excludes the “increase in value of property acquired
prior to marriage orby gift or by reason of the death of another” Ark. Code Ann. § 9-12-
31505).
(Our case law has articulated an exception to this rule for the active appreciation of
nonmarital assets. In Layman v. Layman, 292 Ark. 539, 543, 731 S.W.24 771, 774 (1987), we
held that “when one spouse makes significant contributions of time, effort and skill which are
10.
directly atributable to the increase in value of nonmarital property the presumption arises
that such increase belongs to the marital estate.” We affirmed this rule under the current
version of the statute in Farell v. Farell, 365 Ark, 465, 476, 231 S.W.3d 619, 627 (2006),
‘wherein we stated that “we follow an ‘active appreciation’ analysis in determining if one
spouse's efforts significantly contributed to the increase in value of nonmatital assets[” In
accordance with these decisions, the circuit court in the instant case did not err in determining
that the increase in value of the nonmarital accounts was marital property. By Mark’s own
admission, he expended considerable time and effort during the marriage managing and
investing the assets of the partnership.
Mark nonetheless contends that the Fanell decision is inapplicable here because the
Farell court did not decide whether the increase in value of the stocks at isue was marital or
nonmarital property. We disagree. This court, in addressing the issues on cross-appeal, held
that the trial court “correctly concluded thatthe increase in value of the nonmarital stock was
due in large part to Ms, Farrell's efforts. As we follow an ‘active appreciation’ analysis... we
cannot say thatthe trial court erred in finding that the increase in value was a marital asset.”
1d, at 476, 231 S.W.3d at 627. In short, the Farell decision supports the circuit court's
conclusion in the instant cae that Mark's efforts, which resulted in the increase in value of the
accounts, caused the inerease to be classified as marital property
We also fail to see any merit in Mark's argument that the circuit court filed to set
forth its reasons for awarding him the increase in value of the accounts, It is true chat the
circuit court is required to state its basis and reasons for not dividing the marital property
equally between the partes, and that the basis and reasons should be recited in the order. Ark,
Code Ann. § 9-12-315(2)1)(B). The circuit court isnot required to lst each factor in the
order or to weigh al fctors equally. Hemandez v. Hemandex, 371 Ark. 323, _S.W.34d__
(2007). Furthermore, the specific enumeration of the factors within the statute does not
preclude a circuit court from considering other relevant factors, where exclusion of other
factors would lead to absurd results or deny the intent of the legislature to allow for the
equitable division of property. Id
‘The statute does not require thatthe circuit court ls its basis and reasons regarding
cach individual piece of marital property. Instead, it “must state its basis and reasons for not
dividing the marital property equally between the parties[” Ark. Code Ann. § 9-12-
315(@)(1)(B). We have never required the circuit court to state individual reasons for each
piece of property. Moreover, the circuit court in the instant case sufficiently set forth its
reasons for determining that an equal division of the marital property was inappropriate:
ACA. §9-12-315 sets forth the factors to consider in an unequal division of
property. In this case the parties have been married 20 years, are in the 40s
(Plaintiff, 43; Defendant, 45); in good health and have an affluent lifestyle
PhincitVs the corporate credit manager for Murphy Oil Corporation with a
salary and bonuses of approximately $90,000. Defendant is lab analyst for El
Dorado Chemical Company with asilary of $41,598. In addition, Defendant
‘manages his investments which produced $70,322 in earings and capital gains
for 2005. Each party has above average vocational skills as a resule of their
‘education and work experience and should maintain stable employment at the
present or ahigherlevel. The factor which weighs most heavily inthe decision
for an unequal division of the marital property isthe size ofthe estate and the
‘opportunity of each party to increase their estate, The value of Plant's
nonmarital estate is $306,780 while Defendant's is $3,032,703. Defendant's
‘tate could double in value with an inheritance from his mother. ‘There was
no evidence of any possibilty of a similar inheritance by Plaintiff, Plaintiff's
retiement plans will have to arise from her continued employment.
“n-
Defendant’ retirement plans can be satisfied from his present estate. From the
consideration of the statutory factors, I find that an unequal division of marital
Property is appropriate.
IV, Real Estate
For his final point on appeal, Mark argues that the circuit court erred in its disposition
‘ofboth the marital residence and the West Oak Street property. With respect to the marital
residence, he contends thatthe circuit court should have either divided it equally or set forth
its reasons for refusing to do so. With respect to the West Oak Street property, he argues that
a purchase-money resulting trust was established in favor of Billie Brown and that the
property therefore should not have been considered in the division of marital property.
1. Marital Residence
Mark relies on Ark. Code Ann. § 9-12-317 (Repl. 2008) for the proposition that
“entirety property” is not marital property and that it isto be divided equally between the
parties unless the court finds that an equal division would be inequitable, in which case the
‘court must use the criteria set forth in Ark. Code Ann. § 9-12-315 to distribute the property.
[He contends that the marital residence was entirety property that should have been divided
equally, rather than granted to his wife in the court's unequal division of the marital assets.
However, section 9-12-317 actually says that estates by the entirety or by survivorship held
by parties to a divorce are automatically dissolved upon divorce, unless a court order
specifically provides otherwise. Ark. Code Ann. § 9-12-317(2). The patties are to be treated
thereafier as tenants in common. Id, The statute also provides that when a court “dissolves
estates by the entirety or survivorship in real or personal property under this section, the court
Ee
ay distribute the property 2s provided in § 9-12-315. ‘The court shall et forth its reasons
in writing in the decree for making an other than equal distribution to each party, when all
the property is considered together, taking into account the fictors enumerated in § 9-12-
315(@)(1).” Ark. Code Ann. § 9-12-317(0)
‘The marital residence was owned by Mark and Laura as tenants by the entirety. ‘Thus,
the circuit court had the option of disposing of the property in the manner required for the
distribution of marital property, that is, one-half to each party unless such a division would
be inequitable, The circuit court adequately set forth its reasons for the unequal division of
the property, as outlined earlier in this opinion. The court was not required to provide
reasons specific to the marital residence, but rather to provide reasons for the unequal division
“when all the property is considered together[.]” Ark. Code Ann. § 9-12-317(¢). Thus, the
court fulfilled its obligation to supply its reasoning.
2. West Oak Steet Property
Matk r
ls on this court's opinion in Eduurds v. Eiluands, 311 Ark. 339, 843 S.W.2d
£846 (1992), in support of his argument that Billie Brown owned a purchase-money resulting
trust in the West Oak Street property. As we stated in Edwards, a resulting trust arises where
‘one disposes of property under circumstances that raise an inference that he or she docs not
intend that the putative grantee should have the beneficial interest in the property. Id
Instead, the inference is that the transferor intends to transfer only bate legal title. HM. A
resulting trust arises in favor of the person who transfers the property or causes it to be
transferred. Id. More specifically, a purchase-money resulting trust “arises where property
is purchased and the purchase price is paid by one person and at his/her direction the vendor
converts the property to another person.” Id. at 343, 843 $.W.2d at 849.
‘We stated in Edwards that when a grantor directs that the property be conveyed to a
third party who is a stranger, there is presumption that there has been no gift to the third
party but a conveyance of the property to be held in trust for the grantor. Id. “If, however,
the third party stands in such relationship to the party furnishing the purchase money as to be
the natural object of his/her bounty, things get more complicated, as 2 gift may have been
intended.” Id. at 344, 843 S.W.2d at 849 (citing G.G, Bogert and G.T. Bogert, The Law of
‘Trusts and Trustees § 459 (2d ed, 1991)). Generally, a resulting trust must be proven by clear
and convincing evidence. Id. In situations involving third partes who are the natural objects
‘of the grantor’s bounty, the presumption of a gift must be overcome by clear and convincing
proof that no such gift was intended. Id, We stated the following in Edwards:
Where a motheris the payor and a child is made the grantee, with the mother’s
consent, the courts have not been entirely unanimous in their application of
presumption. Most decisions, however, treat the ease inthe same way as where
the father pays the price, and presume a gif, whether the child be an adult oF
an infant... . Gifs from her to her children, out of mere generosity or for the
purpose of distributing her estate at the end of her life, are quite natural and
1M, at 345, 843 S.W.2d at 849 (quoting Bogert, supra, § 460, at 360-365) (emphasis in
original.
In the instant case, the testimony indicated that the West Oak Street property was
tiled in Mark’s and Laura's names in order to avoid estate taxes. As contemplated in the
Bogert treatise, Mark's mother made a gift to her child “for the purpose of distributing her
“1s.
‘state at the end of her life” 1d. Moreover, Mark testified thatthe property was placed in
his and his wife's names “justso it wouldn't be an esate. Ifmother pases away, we wouldn't
hhave that 28 a tax consequence. It woul already be ours.” This testimony suggests that Billie
Brown intended for her son and his wife to have a beneficial interest in the property, subject
only to her use of it during her lifetime, In addition, Mark was residing in the West Oak
Street house at the time of trial, and his mother was not, indicating a beneficial interest in
Mark’ favor. Finally, Billie Brown testified as follows, when asked about her intentions with
respect to the West Oak Street property: “[I]nstead of paying cash frit like T usually do
everything else I decided I was going to get some interest, you know, and I thought it might
as well go to him so I went ahead and just put it in his name, but I'm paying fori.” Again,
the evidence suggests an intention on the part of Billie Brown to grant her son a beneficial
interest in the property. Thus, the presumption of gift has not been overcome by clear and
convincing proof, and no purchase-money resulting trust arose. The property was correctly
deemed marital property.
Affirmed.
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| 116000406682271fc79f4fcb03b3bc221e2a90560ea84065291f5d34cbd7c9c5 | 2008-05-01T00:00:00Z |
99f059ae-c716-4daa-88d0-6627729b04ca | Arkansas Game and Fish Commission, Sheffield Nelson, Sanford SSonnyVarnell, Freddie Black, Brent Morgan, John Benjamin, George Dunklin, Jr., Ronald Pierce, Kimberly G. Smith, and Scott Henderson, Director of the Arkansas State Game and Fish Commission, in their official capacities v. Bill Mills, White County Circuit Court Judge, on Petition for Writ of Prohibition | null | 07-227 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS
No. 07-227
ARKANSAS GAME AND FISH
COMMISSION, SHEFFIELD NELSON,
SANFORD “SONNY” VARNELL,
FREDDIE BLACK, BRENT MORGAN,
JOHNBENJAMIN, GEORGE DUNKLIN,
JR. RONALD PIERCE, AND
KIMBERLY G, SMITH, AND SCOTT
HENDERSON, DIRECTOR OF THE
ARKANSAS STATE GAME AND FISH
COMMISSION, IN THEIR OFFICIAL
CAPACITIES
PETITIONERS,
vs,
BILL MILLS, WHITE COUNTY
CIRCUIT COURT JUDGE
RESPONDENT,
Opinion Datvere Ocaber 28,2007
PETITION FOR WRIT
PROHIBITION.
WRITDENIED,
or
TOM GLAZE, Associate Justice
‘On August 16, 2006, Respondents John Tarlton Morrison and Cynthia Mortison,
husband and wife, William Price Morrison, Jr, and Gray J. Morrison, husband and wife, Joseph
‘McCaughan Morrison and Brandon G. Morrison, husband and wife, Carl Eugene Morrison,
IM, and Nancy Morsisor
husband and wife, William Todd Carlisle and Carolyn Morrison
(Carlisle, husband and wife, Westley Cooper Morrison and Grace Ann F. Morrison, husband and
wife, (herein after the "Morrison Family”), filed a lawsuit in White County Circuit Court
against the Arkansas Game and Fish Commission, Sheffield Nelson, Sanford “Sonny” Carnell,
Freddie Black, Brent Morgan, John Benjamin, George Dunkin, Jr, Ronald Pierce, and
7-207
Kimberly G. Smith, and Scott Henderson, Director of the Arkansas Game and Fish
‘Commission, in their representative capacities, (hereinafter “AGFC”), seeking an injunction
enjoining the AGFC from leasing, conveying, encumbering or otherwise transferring the
‘mineral rights to land located in White and Prairie Counties. The complaint requested that the
‘circuit court reform four (4) warranty deeds so that the Morrison Family could maintain the
‘mineral interestin the land. AGFC filed a motion to dismiss, contending Ark. Code Ann. § 16-
{60-103 & Ark, Code Ann, § 16-160-101(d) mandated that the actions against the AGFC and
its commissioners be filed only in Pulaski County. Moreover, contending that there was five-
‘year statute of limitations pursuant to Ark. Code Ann. § 16-56-111(a), AGEC argued that the
Morrison Family no longer had a eause of action asthe complaint was filed six years afer the
contract at issue had been executed. ‘The circuit court entered an order finding that, because
this was a dispute over a contract, 2 deed, and realestate in White and Praitie Counties, this
action could be properly filed in White County Circuit Court. Additionally, the circuit court
‘concluded that the statute of limitations did not begin to run on the issue of mutual mistake
“until the mistake was discovered or until the facts proved laches. ‘Therefore, the circuit court
held that the Morrison Family's cause of action was not barred by the statute of limitations
Now, AGFC bring this petition for writ of prohibition in this court, contending that the
White County Circuit Court was entiely without authority or jurisdiction to make this
decision. We deny the petition for writ of prohibition.
[A writ of prohibition isissued to prevent or prohibit the lower court from acting wholly
‘without jurisdiction, Hatfield». Thomas, 351 Ark, 377, 379, 93 S.W.3d 671, 672 (2002). The
purpose ofthe wit of prohibition isto prevent a court from exercising a power not authorized
oo 07-227
by law when there is no adequate remedy by appeal or otherwise, ld, Thus, a wit of
prohibition lies only where itis apparent on the fice of the record that (1) the citeuit court is
‘wholly without jurisdiction and (2) there is no other adequate remedy. 1d.
‘Writs of prohibition are prerogative writs, extremely narrow inseope and operation, and
they are to be used with great caution and forbearance. Id. Prohibition should issue only in
cases of extreme necessity. Id, A characteristic of prohibition is that it docs not lie as a matter
‘of right but asa matter of sound judicial discretion. 1d. When considering a petition for writ of
prohibition, jurisdiction is tested on the pleadings, not the proof. Nucor-Yamato Steel Co. .
(Gree Cour forthe Osceola Disc of Missippi County, 317 Ark. 493, 878 S.W.2d 745 (1994)
‘Again, a wit of probibition is appropriate only when there is no other remedy, such as an
appeal, available. Pike v. Benton Circuit Court, 340 Ark. 311, 10 S.W.3d 447 (2000).
A review of the pleadings reveals thatthe writ of prohibition is not warranted. First, the
<icuit court was not wholly without jurisdiction in denying the motion to dismiss. Arkansas
‘Code Annotated Section 16-60-101 (Repl. 2008) provides:
Actions for the following causes must be brought in the county in which the
subject ofthe action, or some part thereof, is situated, except as provided in § 16-
60-1644)
(1) The recovery of real property, ov of am estate or interest therein;
(2) The partition of teal property;
(3) The sale of real property under a morgage, lin, or other encumbrance or
charges and
(4) An injury to real propery
1M, (Emphasis added.) Moreover, Atk. Code Ann. § 16-60-103 (Repl. 2005) states
a 07-227
The following actions must be brought in the county in which the seat of
government is situated:
(3) All actions against the state and all actions against state boards, state
commissioners, or state officers on account of thei offical acts, except that ifan
‘action could othenvise be brought in another countyor counties under the venue laws ofthis
state, as provided in § 16-60-101 et seq, then the action may be brought ether in
Pulaski County oF the other county or counties]
(Emphasis added.) The plain language of these statutes provides the circuit court with the
authority to conclude that venue was properin White County; thats, the eireuit court was not
‘wholly without jurisdiction to determine that the action could be maintained in White County
and not Pulaski County.
Relying on Ark, Code Ann. § 16-106-101(4) (Repl. 2006), AGFC argues that Pulaski
‘County isthe only place for proper venue, That section states,
(4) All actions for debts due the State of Arkansas, ll actions in favor of any state
officer, state board, or commissioner, in their official capacity, all actions which
are authorized by the provisions ofthis code orby law to be broughtin the name
of the state, and all ations against the board, commissioner, oF sate oficer for
‘or on account of any oficial act done or omitted to be done shall be brought and
prosecuted in the county where the defendant resides,
As pointed out by the Morrison Family, ths statute was enacted in 1871 by Act 48. However,
‘Ark, Code Ann. § 16-60-103(3) was amended to include the exception as set forth in Act 806
‘0f2001, which, s quoted above, sates thatthe action may be brought in a county other than
Pulaski County ifthe action could otherwise be brought in another county as provided by § 16-
{60-101 et seq, While we are not to reach the underlying merits in a petition for writ of
hibition, we can certainly recognize the express authority given to the circuit court by § 16-
prot en
60-103, as amended, in determining that venue may lie in 2 county other than Pulaski
4 07-227
Moreover, our case law relied on by AGFC is inapposite to the instant appeal. Specifically, for
the proposition that this writ should be granted, AGFC: cites Daniels v. Weaver, 367 Atk. 327,
—_S.W.3d __ (2006); Ark. Game & Fish Comm'n v. Harkey, 345 Ark. 279, 45 S.W.3d 829
(2001); Wills v. Circuit Court of Phillips Cty., 342 Ark. 128, 27 $.W.3d 372 (2000); Valley v.
Bogard, 342 Ark. 336, 28 S.W.3d 269 (2000); Tortorich v. Tortorch, 333 Ark. 15, 968 S.W.2d
53 (1998); Ark, Game & Fisk Comm’n v, Lindiey, 292 Atk, 314, 730 S.W.2d 474 (1987);
Downey v. Toler, 244 Ark. 334, 216 S.W.2d 305 (1963); Fomest City Machine Works v. Colin,
257 Atk, 889, 521 S.W.2d 206 (1975); Dean v. Cole, 236 Ark. 64, 364 S.W.2d 305 (1963); and
Liquefied Petroleum Gas Bd. v. Newton, 230 Ark. 267, 322 S.W.2d 67 (1959). Notably, the
majority of those cases are not writ cases. See Davies v. Weaver, supra; Valley v. Bogard, sup;
Tortovich v. Tortovich, supa; Ark. Game & Fish Come’ v. Lindsey, prs; Dean v. Cole, supra; and
Liquefied Petolewn Gas Ba. v, Newton, supra. In addition, the remainder of the cases cited that
involve petitions for writs ether do not involve real property or were cases decided prior tothe
2001 amendment. See Ark. Game & Fish Comm'n v. Harkey, supra; Wills v. Circuit Court of
Phillips Cty., supra; Downey v. Toler, supa Fomest City Machine Works v. Calvin, supra, Thus,
despite AGFC’s argument otherwise, the circuit court was not wholly without jurisdiction to
determine that venue was proper in White County
‘As to the second prong, AGFC possesses another adequate remedy. Specifically, AGFC
«an appeal this decision, once a final order is entered. Consequently, given the narrow scope
and operation of writ of prohibition, and the availabilty ofanother adequate remedy, we hold
that wit of prohibition would not be appropriate.
Finally, AGEC argues that a writ of prohibition lies because the circuit court was wholly
Se 07-227
‘without jurisdiction because the statute of limitations barred the Morrison Family’s cause of
action. A writ of prohibition is not warranted with respect to this argument as this is a
procedural argument, not a jurisdictional one.
‘We addressed this issue in Tatrov. Langston, 328 Ark. 548, 944 S.W.24 118 (1997). In
that case, the petitioner filed a writ of prohibition with this cour, arguing that the circuit court
‘was wholly without jurisdiction as the three-year statute of limitations had expired on the
underlying produet-lability tort claim, ‘The court denied that writ, and we explained that
statutes of limitations constitute an affirmative defense, see Ark. R. Civ. P. 8(¢), and are
generally not jurisdictional. 1 Those statutes of limitations that are jurisdictional are tied to
the right itself, and not jut the remedy. For instance, the statute of imitations for wrongful-
cath claims is jurisdictional because it is tied to the right itself See Vermeer Mf Cov. Steel
_Judge, 263 Ark, 323, 564 S.W.24 518 (1978). ‘Thus, ina wrongfl-death ase, prohibition may
be proper to raise a statute-of limitations challenge. However, prohibition is not an available
remedy if the statute of limitations governing a particular proceeding is not jurisdictional, but
muy be raised as an affirmative defense. Tato v. Langston, supra.
Here, the underlying complaint raises a cause of action for specific performance ~
reformation of a contract. Because the applicable statute of limitations is not tied to the right
to bring that claim, the statute-of-limitations argument made in this petition for writ of
prohibition must be denied asi is not jurisdictional, but procedural. In addition, AGFC is fee
to appeal this issue, once a final order is entered.
Writ denied
6 07-227
| ff1bf17354cee6ca3d2f34b27de7bf4e0f0dd60f0a2be92883ade6f5a9c4143b | 2007-10-25T00:00:00Z |
cf1148c2-7321-4c8d-969b-c98d03516502 | State of Arkansas v. Agustin Moreno | null | CR07-327 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS
se. CR 07-327
STATE OF ARKANSAS, pina Daered Oder 25,2007
APPELLANT, | AppEAL FROM THE CRAWFORD
COUNTY CIRCUIT COURT,
vs NO. CR-2005-622,
HON. GARY RAY COTTRELL,
AGUSTIN MORENO, JUDGE,
APPELLEE,
DISMISSED.
PAUL E. DANIELSON, Associate Justice
‘The appellant, the State of Arkansas, appeals ftom the circuit court’s order granting
the motion to suppress of the appellee, Agustin Moreno. For its sole point on appeal, the
State argues that the circuit court erred in granting the motion to suppress because the
defendant was given valid Miranda warnings in his native tongue before he was given a
second set of warnings at the beginning of his videotaped statement, the set which was later
found to be unconstitutional. Because we hold that this is an improper state appeal, we
dismiss the appeal.
‘The underlying facts are these. On December 4, 2005, Moreno was questioned by
Crawford County Sheriff Deputy Halbert Torraca regarding events that had allegedly
‘occurred earlier in Moreno’s home. Moreno does not speak English, While he can speak
Spanish, he is unable to read it.
Additional facts were established at the October 23, 2006 suppression hearing by the
testimony of Deputy Torraca. Torraca testified that he Mirandized Moreno in Spanish at his
residence, translating it from an English Miranda waming card. While Torraca never
received any formal education on reading and writing in Spanish, he grew up speaking
Spanish as he lived with his grandparents who were Puerto Rican and could not speak any
English, Atage eleven, Torraca moved in with his mother and stepfather, a man of Mexican
descent, and both English and Spanish were spoken in that houschold. While he is
admittedly “a litle bit slow at it," Torraca testified that he can read English and transate it
into Spanish.
‘Torraca began to question Moreno regarding the allegations and Moreno started to
answer affirmatively that he had inappropriately touched his niece, a minor child, At that
time, Torraca noticed that the battery on his recording device had gone out and he decided
to place Moreno under arest and take him to the Crawford County Sheriff's Department,
‘where he had access to audio and video recording. Moreno was then placed in an interview
room at the sherif's department
Before questioning Moreno further, a videotape was started and Torraca went over
the rights form with him. Torraca had 2 copy of the English rights form and tried to explain
the rights to Moreno, who was equipped with the Spanish rights form. Moreno never
indicated that he could not understand what Torraca was explaining and signed the rights
form when asked
‘The interpreter from the Administrative Office of the Courts provided the circuit
cR07-327
‘court with a transcript ofthe translation of Torraca’s interview with Moreno. The transcript
provides in pertinent part:
ToRRACcA:
‘MORENO:
ToRRAca:
Moreno:
ToRRACa:
MoRENO:
ToRRaca:
Moreno:
TORRACA:
Moreno:
TORRACA:
Sorry that took awhile there are a lot of (unintelligible). Ok .. ok,
right now Iam going to re... um, I'm going to read you ...eh .. Pm
going to read you the rights again, ok? Because I want you to
understand your rights well, ok?’ Ok. And here you put
(oninteligible). Ok, before uh ... ask you questions, uh ... you ca .
you ... uh... you ha’... you have the right of to remain silent, do you
understand that?
Ushu.
‘OK? Uh... you, each thing that you says, can use it uh ... against you
in... a court of law, ok? Uh .. you have the right to consulta lawyer,
before I ask you rights. Do you understand that?
Yes
Yes? Ok, uh. ifyou don't uh... you .» ifyou want a lawyer and
and ... don't have the money for a lawyer, we can writ .. write you
down a law ... a lawyer, before I ask you rights. You do understand,
that right?
Mb-hu,
OK? Uh.... Ifyou de ... decide to uh ... to answer my questions, ok?
‘Then some eh ..ats0 .. ome time, that you decide yourself you want
a lawyer, you can stop to answer our question you can stop and eh
to wait fora lawyer. You do understand that right? Ok, uh. ok, and
here it says that uh ...uh .. Can you read Spanish?
Very litte
Very little? Ok. Here it says the place, ok. You see here that it says
place?
Yes. And here?
Here ... here goes write down, this is the name of the ... of our
cR07-327
‘MoRENo:
ToRRaca:
‘Moreno:
TORRACA:
Moreno:
ToRRACA:
Moreno:
TorRaca:
department, ok? Ok, today’s date
time is; one thirty five, ok? Uh ..
fora moment?
‘twelve, four, zero five and the
uh... do you want to read this
Let's see what it says (unintelligible) more or less.
Uh... uh... ok, you do understand your rights?
Yes, yes I understand.
(Ok, uh. alo under .. uh. nobody hasn't threatened you or
promised you nothing.
No.
(Ok, uh ... uh .. I didn’t promise you ... I haven't promised you
anything, uh ... |haven’t threatened you, so you answer my questions,
uh ... yes? Have I threatened you?
No. No.
No? Ok, uh ... [want you to sign here
Moreno did sign the form indicating that he understood his rights and continued to
make several incriminating statements during the course of the questioning by Torraca, On
October 18, 2006, Moreno filed a motion to suppress any statement that he made to Torraca
without the presence of counsel, claiming that his statements were made prior to his being
properly informed of his Miranda rights and in violation of his constitutional right to the
advice of counsel. The circuit court granted Moreno’s motion on January 26, 2007, finding
that: Moreno did not speak English with enough proficiency sufficient for him to understand
‘Miranda warnings and rights; Moreno could not, in English, have made an intelligent waiver
‘of those rights; and, the transcript ofthe interrogation showed that Torraca sufficiently filed
a cR 07-327
to advise Moreno of his Miranda rights in Spanish, The State filed a notice of appeal, which
appeal is now before this court
In its jurisdictional statement, the State argues that the instant appeal involves the
correct and uniform administration of the law because the circuit court erroneously
interpreted the law to conclude that the second of two sets of Miranda warnings given in
Spanish was inadequate to support Moreno’s waiver of his Miranda rights and there isa risk
that the circuit court’s interpretation of Ark. R. Crim. P, 16.2(¢) (2007) will be at odds with
the interpretations of other circuit courts. The State contends that the circuit court erred by
finding that Moreno did not receive proper Miranda warnings and that his waiver of those
rights was not knowingly, intelligently, and voluntarily made, as the State proved by a
preponderance of the evidence that Moreno was given fll and correct warnings not only
atthe time the video recording was made, but also when he was first arrested at his residence.
Furthermore, the State alleges the circuit court erred in applying the law regarding Mivanda
‘warnings when it suppressed Moreno’s statements.
Moreno responds that the State’s arguments realistically tum on the circuit courts
application of the law under the specific facts of this case, that Moreno did not advance his
‘motion to suppress based on any new, novel, or untested legal theories, and that, for those
reasons, the instant appeal is an improper state appeal. As to the merits, Moreno contends
that the circuit court correctly decided thatthe insufficiency of Torraca’s translation of the
‘Miranda warnings into Spanish prevented Moreno from fully understanding the Miranda
rights he waived.
cR07-327
Arkansas Rule of Appellate Procedure-Criminal 3(a)(1)_ provides that “[ajn
interlocutory appeal on behalf of the state may be taken only from a pretrial order in a felony
prosecution which (1) grants a motion under Ark. R. Crim. P. 162 to suppress seized
evidence[” Ark. R. App. P—Crim. 3()(1) (2006). Ie further states:
(0 When a notice of appeal is filed pursuant to either subsection (a) or
(0) ofthis rule, the clerk of the court in which the prosecution sought to be
appealed took place shall immediately cause a transcript ofthe tral record to
be made and transmitted to the attomey general, or delivered to the
prosecuting attomey, to be by him delivered to the attorney general. Ifthe
attomey general, on inspecting the tral record, is satisfied that error has been
committed to the prejudice of the state, and that the comect and uniform
«administration of the criminal law requites review by the Supreme Court, he may
take the appeal by filing the transcript of the trial record with the clerk of the
Supreme Court within sixty (60) days after the filing of the notice of appeal.
‘Atk, R. Crim. P, 3(¢) (emphasis added).
This court has frequently observed that there i a significant and inherent difference
between appeals brought by criminal defendants and those brought on behalf of the State
See State v. Nichols, 364 Ark. 1, 216 S.W.3d 114 (2005). The former is a matter of right,
whereas the latter is not derived from the Constitution, nor is it a matter of right, but is
granted pursuant to Ark. R. App. P—Crim. 3. See id. We accept appeals by the State when
cour holding would be important to the correet and uniform administration of the eriminal
law. See id.
[As a matter of practice, this court has only taken appeals which are narrow in scope
and involve the interpretation of law. See State v. Pittman, 360 Ark. 273, 200 S.W.3d 893
(2005). We do not permit State appeals merely to demonstrate the fact thatthe circuit court
6 cR07-327
erred. See id, Thus, where an appeal does not present an issue of interpretation of the
criminal rules with widespread ramifications, this court has held that such an appeal docs not
involve the correct and uniform administration of the law. See id. Similarly, where the
resolution of the issue on appeal tus on the facts unique to the case or involves a mixed
‘question of law and fact, the appeal is not one requiring interpretation of our criminal rules
‘with widespread ramification, and the matter is not appealable by the State. See id. Finally,
where an appeal raises an issue of the application, not interpretation, of a criminal rule or
statutory provision, it does not involve the correct and uniform administration ofthe eriminal
law and is not appealable by the State under Ruule 3. See id
Here, the State specifically concludes in its brief that the circuit court “erred in
pplying the aw regarding Miranda warnings.” The State does not allege thatthe citeuit court
misinterpreted the law; rather, the State argues that the circuit court erred in finding that
Torraca did not adequately translate the Miranda warnings in such a way that Moreno fully
understood what rights he was being asked to waive, The State does not argue how the
Circuit court misinterpreted the law; instead, it attempts to prove how the facts in this case
are more analogous to cases that the State finds more favorable. In order to make a ruling.
‘on Moreno’s motion to suppress, the circuit court was required to review the facts and
circumstances surrounding the Miranda warnings given to him and the waiver of his rights
While the State, in its reply, contends that the question presented to this cout is
“whether non-English language Miranda warnings are sufficient if they convey the esence
ofthe Miranda rights and, alternatively, whether a previous giving of Miranda warnings in
cR 07-327
4 suspect's native language is sufficient to supplant a later, arguably flawed, giving of those
wamings,” both suggested questions presuppose that the wamings given in this case did
properly convey the esence of the Miranda rights, which the circuit court did not find, and
that a previous set of warnings were given fully inthe suspects native language. Those are
‘both large presumptions and would require an intensive factual investigation by this court
Indeed, this appeal is not one requiring interpretation of our eriminal rules; instead,
it raises issues involving the application of our rules to the specific facts ofthis cae. It does
not appear that a review of this appeal would have widespread ramifications on the
interpretation of our criminal law. As such, this appeal clearly does not involve the correct
and uniform administration ofthe criminal law and does not fall within the confines of Ark
R. App. P-Crim. 3. We, therefore, dismiss the appeal.
Appeal dismissed.
R 07-327
| 402b11bc4916ff1b878eae528b912c6835112098a498dfb6ab8a9e3db45e0eae | 2007-10-25T00:00:00Z |
6d2c6528-33d8-410f-b023-5c547345a9dd | State of Arkansas v. Carey L. Owens | null | 07-58 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS
Ne. 07-58
STATE OF ARKANSAS, Opbion Daweret ° SUN 28 2007
APPELLANT, | ppEAL FROM THE PULASKI
COUNTY CIRCUIT COURT,
NO. PCN 92-1268,
HON. ALICE SPRINKLE GRAY,
JUDGE,
vs.
CAREY L. OWENS,
APPELLEE,
REVERSED & REMANDED.
PAUL E. DANIELSON, Associate Justice
“The State of Arkansas brings this appeal fom the order ofthe Pulaski County Circuit
Cour, which granted appellee Carey L. Owen's motion to dismis for lack of jurisdiction.
“The State's sole point on appeals thatthe circuit court erroneously interpreted Arkansas
Code Annotated § 5-2-316 (Repl. 2006) a depriving the cour ofjursdicion. We reverse
and remand the circuit coun’s order of dismissal.
‘Owens was acquitted by reason of mental disease or defect forthe June 6, 1991 murder
of his Either and was committed to the Arkanss State Hospital on August 14, 1992, A
conditional-release order was initially entered on behalf of Owens on August 6, 1993. Since
that time, Owens has been the subject of several conditional-release orders and their
revocation oF modification, A review of the record reveals the following:
02/23/1994 Modified Order of Conditional Release
06/17/1994 Modified Order of Conditional Release
08/01/1994 Modified Order of Conditional Release
10/24/1994 Conditional Release
03/02/1995 Modified Order of Conditional Release
01/17/1996 Order Revoking Conditional Release
04/30/1997 Order of Conditional Release
06/09/2000 Order Revoking Conditional Release
12/06/2000 Order of Conditional Release
01/28/2004 Order of Modified Conditional Release
01/31/2005. Order Revoking Conditional Release
03/21/2006 Case Reopened for Act 911 Report
in March 2006, the Arkansas State Hospital petitioned the Pulaski County Circuit
Court for the conditional release of Owens. On March 31, 2006, the circuit court denied the
petition and found that Owens “still pose(d] a substantial risk of bodily injury to another
person or serious damage to property of another due to a present mental disease or defect.”
Its recorded on the circuit court docket sheet that an order of commitment was issued on
March 31, 2006.
The Arkansas State Hospital again petitioned the circuit court for the conditional
release of Owens in September of 2006. The circuit court granted the petition and entered
an order of conditional release on behalf of Owens on September 22, 2006, releasing him into
the custody of Mid South Health Systems/Jonesboro Transitional Unit. However, Owens
ea 07-38
alternatively moved the court for an outright dismissal in a letter to the court filed on
September 29, 2006, which memorialized his oral motion. Owens argued that, pursuant to
‘Atk. Code Ann. § 5-2-316, the court lost jurisdiction over this case in 1998, five years after
the initial order of conditional release entered on August of 1993. The court entered an order
of dismissal on behalf of Owens on October 25, 2006, stating thatthe court did not have
Jurisdiction because five years had lapsed since the initial order of conditional release. It is
from that order of dismissal thatthe State now appeal.
Arkansas Code Annotated § 5-2-316 (Repl. 2006), in effect at the time of the cour’s
‘order, provided in pertinent part:
{@)(1) any person conditionally released pursuant to § 5-2-314 or § 5-2-315
may apply to the court ordering the conditional release for discharge from or
‘modification ofthe order granting conditional release on the ground that he or
she may be discharged or the order modified without danger to himself or
herself or to the person or property of another.
{(b)Within five (5) years after the order pursuant to § 5-2-314 or § 5-2-315
granting conditional release, and after notice to the conditionally released
person and a hearing, ifthe court determines that the conditionally released
person has violated a condition of release or that for the safety of the
conditionally released person or for the safety of the person or property of
another his or her conditional release should be revoked, the court may:
(1) Modify a condition of release; oF
(2) Order the coriditionally released person to be committed to the custody
of the Director of the Arkansas State Hospital or another appropriate facility
subject to discharge or release only in accordance withthe procedure prescribed
in §5-2-315,
We review issues of statutory interpretation de novo because it is for this court to
determine the meaning ofa statute. See McMickle v. Grifin, _ Ark. __,__S.W.3d__
(Apr. 5, 2007). ‘The basic rule of statutory construction is to give effect to the intent of the
3 07-58
legislature. Seed. Where the language of a statute is plain and unambiguous, we determine
legislative intent from the ordinary meaning ofthe language used. See id. In considering the
‘meaning ofa statute, we construe it just sit reads, giving the words their ordinary and usually
accepted meaning in common language. Se id. We construe the statue so that no word is
Jefe void, superfiuous or insignificant, and we give meaning and effect to every word in the
statute, if possible. See id
In the instant case, the circuit court found that section 5-2-316(b) instructs that a court
loses jurisdiction over a case five years after an intial order of conditional release. Owens
suggests that the commentary to the statute is quite significant in supporting his claim that the
plain and ordinary meaning of the statute is that jurisdiction always tolls after five years from
the initial conditional-release order. ‘The commentary prior to 2007" read in pertinent part:
Section (b) is limitation on the state's right to hospitalize a person subsequent
to 2 “conditional release.” Such hospitalization must take place within five
years of the initial conditional release order. ‘The Commission believed it
unwise and unfiir to subject an individual to the special commitment
procedures established by 5-2-314, -315 for an indefinite period of time.
Dangerous persons can always be hospitalized under the civil commitment
statutes.
While the commentary to a statute isa highly persuasive aid to construing the statute,
itisnot controlling over the statute's clear language. See Huffman v. Arkansas Judicial Discipline
& Disability Comm'n, 344 Ark. 274, 42 S.W.34 386 (2001). Here, we hold that the plain
language of the statute is clear and, even prior to amendments that were made during the
"We note that during the 2007 legislative session, amendments were made to
section 5-2-316 to specifically refute any confusion caused by the original commentary.
Po 07-38
2007 legislative session, cannot be interpreted to suggest that the court automatically loses
Jurisdiction over a case five years after an initial conditional-release order.
In addition, while the commentary may suggest that there i imitation on the State's
right to hospitalize and that hospitalization must occur within five years of the intial
conditional-release order, it does not suggest that jurisdiction is lost aftr five years. The plain
language of the statute simply instructs that within five years ofthe order pursuant to section,
5-2-314 or section 5-2-315 granting conditional release, the court may modify a condition
of the release or order commitment if the court determines that the conditionally released
person has violated 2 condition of release or if s for the safery of that person, the safety of
another person, or the safety ofanother person’s property. See Ark. Code Ann. § 5-2-316(b).
Hid the legislature intended for the five years to an only fom the initial order of conditional
release, it could have easly sad so by including such language in the statute.
The basic question presented is what this statute means by “the order pursuant to § 5-2-
314 or § 5-2-315 granting conditional release.” 1d. (emphasis added). Owens urges that “the
order” references the initial order granting conditional release. However, a already noted,
the initial order and several subsequent orders in this case were revoked. The initial
congitional-release order was filed on August 6, 1993, and an order revoking that conditional
release was entered on January 17, 1996, within the five years permitted by the statute.
To revoke is “to annul by recalling or taking back.” Webster's Third Naw Intemational,
itionary 1944 (3d ed. 2002). A recognized synonym forthe term revoke is “cancel.” Id
‘See also Wells v. Hayes, 235 Ark. 891, 362 S.W.24 700 (1962) (wherein this court equated the
Ss 07-38
cancelled and
‘word cancel to revoke). Ifan initial order of conditional release is revoked, i
sno longer in effect. ‘Thus, it ean only be reasoned that a new order pursuant to section §-2-
314 orsection 5-2-315 must be then sought and that an individual would have to be granted
‘anew orderto again be conditionally released. Accordingly, “the order” described in section
5-2-316(b) could only be refering to the order of conditional release currently in effect, and
the circuit court would have the sathe options to modify that order or to commit the
conditionally released person if tis within five years. See Ark. Code Ann. § 5-2-316(b).
A review ofthe record reveals that the most recent order granting conditional release
to Owens was entered on December 6, 2000. However, that order was revoked on January
31, 2005, within the five years allowed by the statute. Therefore, the circuit court had proper
jurisdiction over the casein September of 2006 when the Arkansas State Hospital petitioned
it yet again for Owens's conditional release. Moreover, the circuit court had proper
jurisdiction to enterits order of September 22, 2006, releasing Owens into the custody of Mid
South Health Systems/Jonesboro Transitional Unit.
To hold that Ark. Code Ann, § 5-2-316(b) limits a circuit court's jurisdiction to five
years after the initia order of conditional release could yield potentially devastating results in
these types of cases. For example, it would potentially allow for the release of an individual
‘who still poses a danger to themselves or others, and even forthe release ofan individual who
thas been recommitted since the first order of conditional release so long as the five years had
‘run, We will not interpreta statute to yield an absurd result that defies common sense, See
Hanwell-Williams v. Arkansas Dep't of Human Sens, 368 Ark. 183, __ S.W.3d__ (2006).
6 07-38
Accordingly, we hold that the circuit court erred in its order dismissing the case for lack of
jurisdiction, and we reverse and remand,
Reversed and remanded.
1 07-38
| 741e9a9425acd9de0afad1d1ea5f64546ccb4a3359db6524b43d99963d07577c | 2007-06-28T00:00:00Z |
5c508f9b-a110-4622-80d4-32f026545ce4 | Running M Farms, Inc. and S&K Company, Inc. v. Farm Bureau Mutual Insurance Company of Arkansas, Inc. | null | 07-212 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS,
No. 07-212
RUNNING M FARMS, INC. AND S&K
COMPANY, INC.,
pinion Datvered Osuber 28, 2007
AN APPEAL FROM THE CIRCUIT
COURT OF MILLER COUNTY,
ARKANSAS, NO, CV-03-230-3,
HONORABLE KIRK D. JOHNSON,
CIRCUIT JUDGE
APPELLANTS,
vs.
FARM BUREAU MUTUAL
INSURANCE COMPANY OF
ARKANSAS, INC.
APPELLEE ,
TOM GLAZE, Associate Justice
“This cas isthe third appeal arising from a lawauit over a crop-hail insurance policy.
See Farm Bur, Mut, Ins. Co, v. Ruiing M Farms, 366 Ark. 480, _S.W.3d__ (2006), and
Far Bur. Mut, Ins, Co v. Running M Farms, 348 Ark. 313, 72S.W-3d 502 2002). At issue
in he instant appeal isthe trial cours award of attorney's Fes to counsel for che appellans,
Running M Farms and S&eK Company, Inc. (collectively referred to as “Rsnning M").
In March of 1997, Running M purchased crop-hailinsurance from the appellee in thi
case, Farm Bureau Mutual Insurance Co. (“Farm Bureau"), In Apri of 1997, Running M's
young wheat crop was badly damaged by a hail storm. However, when Running M Sled a
claim under its crop-hil policy with Farm Bureau, the insurance company iniilly denied
coverage, Afra reinspection ofthe crops, Farm Bureau offered to sete the matter for
$6,900. Running M declined the offer and filed suit, alleging that Farm Bureau had breached
07-212
its contract and caused damages inthe amount of $124,000 to both farms. See Farm Bur. Mut
Ins. Co, v, Running M Farms, 348 Ark. 313, 72 S.W.3d $02 (2002) (Running M 1).
Running M filed several amended complaints during the course of this litigation,
aiding various claims for extra-contractual damages, fraud, bad th, and tortious interference
with a business expectancy. The case was originally scheduled to go to trial on August 23,
1999, but after Farm Bureau filed a pleading entitled “Confession of Judgment,” admitting
liability under the insurance policy in the amount of $76,000, the matter was continued, and
anew tral was scheduled for June of 2000. Running M 1, 348 Ark. at 316, 72.W.3d 2t $04.
Farm Bureau subsequently fled a motion to withdraw its confession of judgment on
the basis thatthe parties were in dispute regarding the effect of the confession and that it was
not possible to avoid a tial. The trial court granted Farm Bureau's request, and the ease
proceeded to trial on June 22, 2000. ‘The jury, however, was unable to reach a verdict, and
the trial court declared a mistrial. Following the mistrial, Farm Bureau filed a motion for
judgment notwithstanding the verdict. The trial court denied Farm Bureau's motion, and
Farm Bureau appealed. Running M 1, 348 Ark, at 316-17, 72 8.W.3d at 504-05. On appeal,
however, this court determined that the trial cour’s denial of Farm Bureau's motion for
NOV was not a final, appealable order. Id. at 321-22, 72 S.W.3d at 508.
Afier the mistrial and the first appeal, Farm Bureau again confessed judgment of
$76,500, Farm Bureau Ins. Co. v. Running M Farms, 366 Ark, 480, 484, _S.W.3d__,__
(2006) (Running M 1). A second tial took place in 2004, and the jury, on special
interrogatories, found in Running M's fvor on both its contract and tort claims. The trial
2 07-212
‘court awarded Running M the contract damages previously confessed by Farm Bureau, 38
‘well as the damages assessed by the jury on the tort claims. However, the court declined to
award Running itsattomey’s fees orthe statutory 12% penalty pursuant to Ark. Code Ann,
§ 23-79-208 (Repl. 2005). Id at 484, _S.W.3d at __.
Farm Bureau appealed, and this court reversed the jury's verdicts on Running M's tort
claims, Running M also eross-appealed, arguing that the trial court erred in declining to
award attomey's fees. This court agreed, holding that “the attomey’s fee and penalty attaches
ifthe insured is required to file suit, even though judgment is confessed before tial. A good
faith denial of liability is no defense to the claim for attomey’s fee and penalty.” Id. at 495,
—_S.W.3d at __ (citing Equitable Life Assurance Society v. Gordy, 228 Ark. 643, 647, 309
‘S.W.2d 330, 333 (1958)). ‘Thus, this court held that Running M was entitled to the 12%
penalty and reasonable attorney's fes, and we reversed and remanded forthe circuit court to
award 2 12% penalty based on the confessed judgment for breach of contract and to determine
reasonable attomey’s fees. Id
‘The case then returned to the circuit court, and the circuit court entered an order on
February 5, 2007, In that order, the court noted that, on August 17, 1999, Farm Bureau
confessed judgment on the plaintiff claim for contract damages. Pursuant to the confession
of judgment, the court awarded Running M Farms judgment in the amount of $45,000
against Farm Bureau for contract damages; $16,800 for attorney's fes related to the contract
claim; $5,400 forthe 12% penalty pursuant to Ark. Code Ann, §23-79-208; and prejudgment
interest in the amount of $5,520.40 for the time period from August 1, 1997, until August 17,
3 07-212
1999, the date on which Farm Bureau confessed judgment. The court also awarded S&K
‘Company $31,500 in contract damages; $11,760 in attorney's fees; $3,780 for the 12%
penalty; and prejudgment interest of $3,864.28.
In awarding fees, the court, citing Phelps v. U.S. Credit Life Ins. Co., 340 Ark. 439, 10
S.W.3d 854 (2000), noted that the fee provided for in Ark. Code Ann. § 23-79-208 was
allowed only to reimburse an insurance policyholder or beneficiary for expenses incurred in
enforcing the contract and to compensate him in engaging counsel thoroughly competent to
protect his interest, The court also noted that it was basing its decision as to a “reasonable”
fee on the factors set out in Phelps, supra. Running M filed a timely notice of appeal, and now
‘urges that the tral court erred in its award of attorney's fees.
In its Gist argument on appeal, Running M contends thatthe tral court ersed in
awarding attorney's fees based on a percentage of the plaintiffs’ recovery, as opposed to an
award based upon the number of hours worked by counsel and legal staff. Running M and
its attomeys, the Texarkana law firm of Crisp, Jondan & Boyd, L.L-P., had a contingency fee
agreement whereby counsel would receive anywhere ffom one-third to one-half of the
amount recovered by the plaintiff, depending on whether the matter went to tral or not,
‘Our court has held that attomeys’ fees are not allowed except where expressly
provided for by statute. Harris v, City of Fort Smith, 366 Ark. 277, _S.W.3d (2006);
Chris w, Sun Indus.,304 Ark, 227, 800 S.W.2d 717 (1990). An award of attorney's fees will
not be set aside absent an abuse of discretion by the trial court. Hanis, supra. Given the tral
judge's close familiarity with the trial proceedings and the quality of service rendered by the
ao o7-212
prevailing party’s counsel, appellate courts usually recognize the superior perspective of the
trial judge in determining whether to award attorney's fees. See FMC Corp. v. Helton, 360
‘Ark, 465, 202 S.W.3d 490 (2005); Chris, supra.
‘Arkansas Code Annotated § 23-79-208(a)(1) (Repl. 2004) provides for attorney's fees
in insurance eases as follows:
In all cases in which loss occurs and the . . . insurance company . .
liable therefor shall fail to pay the losses within the time specified in the policy
after demand is made, the person, firm, corporation, or association shall be
Tiable to pay the holder of the policy or his or her assigns, in addition to the
amount of the loss, twelve percent (12%) damages upon the amount of the loss,
together with all reasonable attomey's fees for the prosecution and collection
of the los
‘This court has interpreted § 23-79-208 a providing that “Jn the event an insurer wrongfilly
refuses to pay benefits under an insurance policy, the insured may recover the overdue
benefits, twelve percent (12%) damages upon the amount ofthe loss, and reasonable attorneys’
fees.” Phelps v. U.S. Credit Life ns. Co., 340 Ark. at 442, 10 S.W.3d at 856 (quoting
[Novtiwestem Nat Life Ins. Co. v. Heslip, 309 Ark. 319, 326-27, 832 8.W.2d 463, 467 (1992).
Morcover, our court has held that the reasonableness ofthe attorney's fee is determined
by examining the following factors: (1) the experience and ability ofthe attorney; (2) the time
and labor required to perform the service properly; (3) the amount in controversy and the
result obtained in the case; (4) the novelty and difficulty of the issues involved: (5) the fee
customarily charged for similar services in the local area; (6) whether the fee is fixed or
contingent; (7) the time limitations imposed upon the client in the circumstances; and (8) the
likelihood, if apparent to the client, that the acceptance of the particular employment will
07-212
preclude other employment by the attorney. Newrourt Financial v. Canal Ins. Co. 341 Ark.
452, 17 S.W.34 83 (2000); Southall ». Farm Bureau Mut, Ins. Co, of Ark, 283 Atk, 335, 676
S.W.24 228 (1984). While courts should be guided by the foregoing factors, there is no fixed
formula in determining the reasonableness of an award of attomey’s fees. See Neweourt
Financial, supra; Shepherd v. State Auto Prop. & Cas. Ins. Co., 312 Atk, 502, 850 S.W.2d 324
(1993).
‘On appeal, Running M argues that the trial court erred in awarding fees on a
contingency basis, citing Equitable Life Assurance Society ofthe United States v. Rummell, 257
‘Ark, 90, 514 S,W.2d 224 (1974), for the proposition that “reasonable attorney's fees” should
not be contingent on the outcome of the case. Running M also cites Fuller. Harford Life
Insurance Co,, 281 F.3d 704 (8 Cir, 2002) (interpreting Ark. Code Ann. § 23-79-208), in
‘which che Eighth Circuit awarded attomey’s fees totaling $125,000 on a plaintiff's award of
$500,000. The attorney in Fuller had submitted two affidavits: the frst one set out an hourly
tate of $350 for an estimated 250-300 hours worked on the case, plus additional hours by an
associate attorney and a paralegal; the second affidavit set forth the contingent fee agreement
whereby the expected fee would be one-third of the $500,000 insurance policy limits. ‘The
Eighth Circuit affirmed the district court's award of $125,000 (although it noted the award
was “very generous”), concluding that the trial court had properly taken into account the
appropriate factors to consider in determining the reasonableness of the attorney's fees
pursuant to § 23-79-208. Fuller, 281 F.3d at 708-09 (citing Shepherd v. State Auto Prop. &
as, Ins. Coy 312 Atk. 502, 850 S.W.2d 324 (1993)). Running M urges that, based on the
07-212
Fuller ase, even where there might be a fixed contingency fee agreement, the court should
still consider all cight fictors when determining a reasonable attomey’s fee
As mentioned above, Running M and its counsel had a contingency-fee agreement for
attomey’s fees. On appeal, Running M farther asserts thatthe trial court effectively viewed
that contingency-fee contract as an “absolute ceiling on the attorney's fees to be awarded.”
Here, i cites Blanchard v, Bergeon, 489 U.S. 87 (1988), in which the Supreme Court held that
the existence of a contingency-fee agreement should not serve as a cap on reasonable
aromey’s fees. However, Blanchard involved a suit brought pursuant to 42 U.S.C. § 1983,
‘The central theme of the Court’ opinion was that ivi-rights cases fequently involve non-
‘monetary compensation, and to limit attomey’s fees solely to a percentage of the monetary
awards recovered might put undue pressure on counsel to pursue money damages and to
forego “important civil and constitutional rights that cannot be valued solely in monetary
terms.” Blanchard, 489 US. at 95.
‘The policy concems that are present in a civil-rights action are simply not present in
a case such a the one at hand. Ths, Running M's reliance on this and other eivil-rghts cases
is inapposite. Contrary to the Supreme Court's reluctance to impose a cap in civil-rights
‘cases, this court has held that, in insurance eases involving § 23-79-208, “the fee awarded
should not exceed the amoune that che client is responsible for paying, otherwise the statute
‘would be susceptible to abuse.” Phelps, 340 Ark. at 443, 10 S.W.3d at 857, While our court
has stated that the existence of a contingency fee is but one of the factors forthe tral court
to consider, se id, there is no indication in the trial court’s decision thatthe existence of the
07-212
contingency-fee agreement dominated over the other factors or that the court viewed the
contingeney-fee agreement as a “eap” on the amount it could award. Indeed, the court
explicitly stated that it found the fee awarded to be reasonable based on a consideration of
all ofthe cight factors.
Other than the number of hours worked on the case, Running M does not specifically
point to any other fictor that it claims would support a larger attorney's fee. However,
among the factors to consider are the time required to perform the service properly, s well
as the amount in controversy and the result obtained in the case. We note that the only issue
fon which Running M ultimately prevailed was the contract damages. Running M_ was
awarded $76,500 in contract damages — the same amount for which Farm Bureaus confessed
Judgment, Had Running M accepted this confession of judgment and settlement, it would
have avoided much of the time and expense involved in this case. While we certainly
understand that many factors must have gone into counsel’s decision to pursue the matter
through mull trials and appeals, we nonetheless cannot say that the tral court abused its
discretion in its determination of what constituted a “reasonable” attorney's fee.
In its second point on appeal, Running M argues that, assuming the tial court based
itsaward of attorney's fees on the existence of the contingency-fee agreement, then the court
crred in only awarding one-third of the recovery in attorney's fees. Running M points to the
fee agreement, which provides that, in the event the matter is not settled until affer the
completion of a trial, counsel would be entitled to receive fifty pereent of the amount
07-212
recovered, Because this case went to trial twice, Running M argues that tis entitled to a fifty
percent attomey’s fee.
However, as noted above, there is nothing in the trial court’s order that indicates that
the court was guided solely by the contingency-fee agreement. Instead, the court determined
that the amount of the attorney's fee was reasonable based on all eight of the factors
enumerated by this court in countless cases, Because the trial court did not award the
attorney's fee on the basis ofthe contingeney-fee contract, there is no merit to Running M's
contention that it should have been awarded the fifty-percent fee provided for in the
agreement.
Finally, Running M argues that the trial court erred in its calculation of prejudgment
interest. ‘The trial court awarded prejudgment interest for the time period from August 1,
1997, until August 17, 1999, the date on which Farm Bureau frst confessed judgment. On
appeal, however, Running M argues that the tial court should have awarded additional
prejudgment interest for the time from June 11, 2000, until January 22, 2004, which
represents the time from the date on which the trial court allowed Farm Bureau to withdraw
its confession of judgment until the date on which the confession of judgment was reinstated
following the remand after the fist appeal. Running M argues that it is entiled to this
additional amount of prejudgment interest because it did not concede to Farm Bureau's
‘withdrawal of its confession of judgment, and therefore did not waive its claim for these
additional prejudgment interest amount
- 07-212
rejudgment interest is compensation for recoverable damages wrongfully withheld
from the time of the loss until judgment. Reynolds Health Care Servs, Inc. HMINH, Inc, 364
‘Ark, 168, 217 S.W.3d 797 (2005); Perkins v. Cedar Mountain Sewer Improvement Dist, 360
‘Ark, 50, 199 S.W.34 667 (2004). Thus, in determining whether Running M is entitled to
the additional prejudgment interes it claims, the first question to be addressed is whether it
‘was entitled to recover damages that were “wrongfully withheld” from the time of the los
until judgment. See Reynolds Health Care, supra. Here, the trial court found that, based on
Farm Bureau’s confession of judgment, the insurer owed Running M the $76,500 that it
confessed. However, the question is whether, in withdrawing its confession of judgment,
Farm Bureau “wrongfilly withheld” those monies.
Farm Bureau's motion to withdraw its confession appeats neither inthe record nor in
the Addendum before us. Therefor, itis unclear why the insurer withdrew its confession of
judgment. The only mention of Farm Bureau’s reasons is found in Running M I, where this,
court noted that Farm Bureau “subsequently filed a motion to withdraw its confession of
Jjudgment on the basis thatthe parties were in dispute regarding the effect ofthe confession
and that it was not possible to avoid atrial.” Running M I, 348 Ark. at 316-17, 72.S.W.3d
at 504-06.
In its brief, Running M offers no proof or argument that Farm Bureau's withdrawal
ofits confesion of judgment was wrongful it asserts only that it “did not concede to the
withdrawal of the confession of judgment.” Moreover, it cites to no authority that would
suppor this court’s drawing ofan inference that the withdrawal was in any way wrongful
-10- 07-212
Iisa well-setled principle of appellate law that we will not make a party’s argument for him.
See Kinchen v. Wilkins, 367 Ark. 71, S.W.3d__ (2006); Arkansas Dep't of Human Sens.
+. Schroder, 353 Ark. 885, 122 S.W.3d 10 (2003). Accordingly, we conclude that Running
‘Mis not entitled to reversal on this issue.
Affirmed.
ae 07-212
| 036e3f7b8956a94dcd52df59a4f4d4a78b448f4b6f220613633178db93b0b7be | 2007-10-25T00:00:00Z |
7ceee406-c42d-41c1-b8ab-8e96ce86db84 | Kevin Ray Adkins v. State of Arkansas | null | CR06-1082 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS:
a, CRO6-1082
KEVIN RAY ADKINS, plan Dever Otte 4, 2007
APPELLANT, | ny APPEAL FROM THE CIRCUIT
COURT OF BENTON COUNTY,
ARKANSAS, NO. CR-04-988-1 and
CR-05-1587-1, HONORABLE TOM
KEITH, CIRCUIT JUDGE
vs.
STATE OF ARKANSAS,
APPELLEE,
1
TOM GLAZE, Associate Justice
Appellant Kevin Adkins was convicted by a Benton County jury of aggravated assault
‘on a correctional facility employee, possession of marijuana, and flute to register as 2 sex
offender. The jury recommended sentences of fiteen years’ imprisonment and a $10,000 fine
for the falure-to-register conviction; fifteen years’ imprisonment and a $10,000 fine for
aggravated asaul
'30 years in prison and a $5,000 fine forthe possession convietion. ‘The
trial court then sentenced Adkins to fifteen years for failure to register and thirty years for
possession of marijuana, to run concurrently; the court also suspended imposition of sentence
forthe aggravated-assault conviction for fiffcen years and ordered payment ofa $10,000 fine.
On appeal, Adkins does not challenge his conviction for aggravated assault on an
‘employee of a correctional facility. Instead, he argues that the tial court 1) should have
granted his directed-verdiet motion on the filure-to-register charge; 2) erred in allowing
certain testimony during the sentencing phase of the trial; and 3) erred in allowing testimony
about the sate of Adkins’ clothing at the time of his initial encounter with police.
CRO6-1082
In his first point on appeal, Adkins argues that the State filed to prove that he
possessed a culpable mental state and thus filed to meet its burden of proving all of the
clements of the crime of filing to register as a sex offender under Ark. Code Ann. § 12-12-
901 et sq. (Repl. 2003). For that reason, he urges thatthe tral court erred in denying his
mation for directed verdict.
‘We treat a motion for directed verdict asa challenge tothe sufficiency of the evidence.
So Sta 45 Ak. 77,238 8:.34 373 200; Cine Sa, 356 ok 2416.9
‘712 (2004). This court has repeatedly held that in reviewing a challenge to the sufficiency of
the evidence, we view the evidence ina light most fivorable to the State and consider only
the evidence that supports the verdict. Stone v. State, 348 Ark. 661, 74 S.W.3d 591 (2002).
‘We affirm a conviction if substantial evidence exists to support it. Id. Substantial evidence
is that which is of sufficient force and character that it wll, with reasonable certainty, compel
4 conclusion one way or the other, without resorting to speculation or conjecture. Id
‘Adkins angues on appeal that the State filed to prove that he violated the requirements
of the Sex Offender Registration Act because it did not establish that he possessed the
requisite mental state atthe time of the alleged offense. Under the Act, a person who has
been adjudicated guilty of a sex offense has a duty to register as a sex offender using a
registration form prepared by the Arkansas Crime Information Center. See Atk. Code Ann.
§ 12-12-906 (Repl. 2003 & Supp. 2005); Ark. Code Ann. § 12-12-907 (Repl. 2003). The
failure to register under the act was, atthe time of Adkins’s arrest, a Class D felony. Ark
CRO6-1082
Code Ann. § 12-12-904(a)(1) (Repl. 2003)." Adkins does not deny that he was a sex offender
who was required to register under the Act; rather, he urges thatthe Actis not strict lability
offense, and the State was therefore required to prove that he acted with a culpable mental
state
With some exceptions, when a statute defining an offense does not specifically
Aelineate a culpable mental state, “a culpable mental state is nonetheless required and is
‘established only ifa person acts purposely, knowingly, or recklessly.” Ark. Code Ann. § 5-2-
203(b) (Repl. 2006). Those exceptions are found in Ark. Code Ann. § 5-2-204 (Repl. 2006),
‘which provides, in pertinent part, as follows:
(6) A person does not commit an offense unless he or she acts with a
culpable mental state with respect to each element of the offense that requires
a culpable mental state,
(© However, a culpable mental state is not required if
(2) An of defined by a statte nota pat ofthe Arkansas Crinsnal Code
leat indicates a legislative intent to dispense with any culpable mental state requirement
forthe offense or for any element of the offense,
(Emphasis added)
In the instant case, the Sex Offender Registration Act is not a part of the Arkansas
Criminal Code: rather, it is located in Title 12 of the Code, which deals with “Law
Enforcement, Emergency Management, and Military Affits.” Thus, under § 5-2-204(c)(2),
4 culpable mental state is not required if the offense “clearly indicates 4 legislative intent to
" Act 1743 of 2006 amended the classification of the offense to a Class C felony.
‘See Ark, Code Ann, § 12-12-904(a)(1)(A)() (Supp. 2006).
3 CRO6-1082
dispense with any culpable mental state requirement forthe offense of for any clement of the
offense."
‘Adkins argues that the Acti silent 2s to the requirement ofa culpable mental state, and
he relies on three cases — State v. Setzer, 302 Ark, 593, 791 S.W.2d 365 (1990); Yorum v.
‘State, 325 Ark, 180, 925 S.W.2d 385 (1996); and McDougal v. State, 324 Ark. 354, 922
'.W.24 325 (1996) — in support of his argument that this court should “graft” a mental-state
requirement onto § 12-12-904, However, in each of those three cases, the crimes of which
the defendants were accused were found in the Arkansas Criminal Code. Here, the erime of
falling to register as a sex offender is not a part of the Criminal Code, and accordingly,
‘Adkins’ reliance on these case as examples of instances in which this court will graft a mens
rea requirement into a erime is inapposite.
More akin to the instant case is Stivers v, Sate, 354 Ark. 140, 118 S.W.3d 558 (2003),
in which this court found a strict-liability offense in a violation of Ark. Code Ann. § 27-53-
101 (Supp. 2003), which requires the driver ofa vehicle involved in an accident resulting in
injury to return to and remain at the scene ofthe accident. In Stiven, the defendant had asked
the trial court to give a jury instruction that would have required the jury to find that the
State had to prove that Stivers knew the accident victim had been injured and purposely ued
to.top his vehicle atthe scene of the accident. Stivers, 354 Ark. at 144, 118 S.W.3d at 560-61
(emphasis in original). The trial court refised to give the requested instruction, and on
appeal, Stivers argued that the tial court was statutorily required to graft a mens rea
requirement onto § 27-53-101. Id, 118 $.W.3d at 561.
+ CRO6-1082
This court rejected his argument, however, noting that the “language of the statute
itself docs not explicitly enunciate any particular mental state,” but rather stated that the diver
of a vehicle involved in an accident resulting in injury or death to any person “shall
immediately top the vehicle atthe scene of the accident.” Id, at 145-46, 118 S.W.3d at 562-
63. Our court concluded that “[tJhis mandatory language is a clear indication that the
accident-causing driver's mental state is irrelevant.” Id. at 146, 118 S.W.3d at 562,
In addition, the Stivers court noted that other statutes contained within the “Accidents”
and “Accident Reports” chapters of Title 27 of the Arkansas code clearly set out the required
‘mental states necessary before a person could be penalized for violating those statues. Id. For
‘example, the court cited Ark. Code Ann, §27-53-201(b) (Supp. 2001), which provided that,
“(for wilful refusal to comply [with other asiociated statutes), the commissioner shall revoke
the driver’ license ... ofthe person so convicted.” 1d. Our court then concluded as follows:
Clearly, when the General Assembly desires to incorporate 2 mens rea element
into the statutes governing trafic accidents, it can and, as seen in § 27-53-
201(6), has done so. Hire, the legislature clearly intended to dispense with any
intent requirement in § 27-53-101. Therefore, the trial court did not err in
<eclning to engraft an element of intent into the statute, or in refusing Stivers's
proffered instruction.
ia.
In Stivers, there was.a clear legislative intent to dispense with any mens rea requ
ment.
‘Here, unless there is a clear legislative intent to dispense with any culpable mental state
requirement forthe offense of falling to register a a sex offender, “a culpable mental state is
nonetheless required and is established only if a person acts purposely, knowingly, or
CRO6-1082
recklessly” under § 5-2-203(b), because the Sex Offender Registration Act does not prescribe
‘culpable mental state. Accordingly, we must examine the Act itself,
‘As mentioned above, a person is “guilty of a Clas (D] felony who . . fils to register
or verify registration 2s required under this subchapter.” § 12-12-904(a)(1). The portions of
the statute that set out an offender's duty to register are found in Ark. Code Ann. § 12-12-
906, which provides as follows:
(2(1)(A) At the time of adjudication of guilt, the sentencing court shal
‘enter on the judgment and commitment or judgment and disposition form
‘whether or not the offender is required to register as a sex offender and shall
indicate whether the offense is an aggravated sexual offense under § 12-12-903,
(B) The Department of Correction shall ensure that a sex offender
received for incarceration completes the sex offender registration form prepared
by the Director of the Arkansas Crime Information Center pursuant to § 12
12-908.
(0)@) Immediately prior to the release of a sex offender... , the
Department of Correction . . . shall update the registration file of the sex
offender who is to be released
‘Atk, Code Ann. § 12-12-906 (Supp. 2005).?
Further subsections of the Act provide that, when registering or updating the
registration fle of a sex offender, the Department of Correction is required to inform the
offender of the duty to submit to assessment and to register and obtain the information
required for registration, Ark, Code Ann. § 12-12-906(c)(1)(A)(i); inform the offender of the
need to advise the ACIC of any changes of address, § 12-12-906(c)(1)(A)(i); inform the
# As mentioned above, the Act was amended in 2006 and now incorporates several
new provisions; however, because the new language was not in effect at the time of
‘Adkins's arrest, they do not apply to his situation,
6 CRO6-1082
offender of the need to register in another state ifthe offender moves out of Arkansas, § 12-
12-906(¢)(1}(A)Gii); obtain fingerprints and a DNA sample, § 12-12-906(€)(1)(A)(iw) ~ (v)s
and require the sex offender to complete the entire registration process, “including, but not
limited to, requiring the sex offender to read and sign a form stating that the duty of the sex
‘offender to register under this subchapter has been explained.” § 12-12-906(€)(1)(A)(vi.
Reading these provisions as a whole with the rest of the Act certainly indicates a
legislative intent to place the burden of knowing the gravity of the situation, as well as the
‘mandatory nature of the registration scheme, on the sex offender. As in Stivers, supra,
although the General Assembly did not specifically spell out an intention to dispense with a
scienter requirement, itis obvious that the registration requirements are mandatory, and that
failure co comply with those duties isa strict Habilty offense
Moreover, in Kellar v. Fayetteville Police Department, 339 Ark. 274, 5 S.W.3d 402
(1999), this cour stated that “no sienteris indicated in Arkansas's Act, and we conclude the
offender’ filure to register alone is sufficient to trigger the Act’ provisions.” Kelle, 339 Ark.
3¢ 285, 5 S.W,3d at 409, Kellarwas concerned with whether the Act violated the ex pest fato
provisions of the United States and Arkansas Constitutions. In making that determination,
this court had to consider whether the Act was punitive in nature, or was merely regulatory
To that end, the Kellar court examined the seven factors set out in Kennedy v. Mendoza-
‘Martinez, 372,US. 144 (1963). Among those seven factors was whether the sanction imposed
by the Act (the “sanction” in this case being the registration requirement itself) “comes into
a CRO6-1082
phy only on a finding of scienter” Kellar, 339 Ark. at 282, 5 SW.3d at 407, Our court
discussed the scenter factor as follows:
‘The third factor in Kennedy concerns the scenter element. States have
taken at least two approaches with this factor. Some recognize that scienter
“comes into play when the offender is adjudicated guilty of the underlying
offense.” Colle [v. Site] 710 So, 2d [1000,] 1010 [(Fla. App. 1998)]; see also
[State v.] Manning, 532 N.W.2d [244,] 247-48 [(Minn. App. 1995)] (because
the registration requirement s dependent upon the conviction of an underlying
crime, there will necessarily be a finding of scentey). Other states hold that there
no element of scenter inherent in the registration statute, stating rather that the
‘affender need only be released into the community to trigger the provisions of these
statutes.” [State v.] Cook, (83 Ohio St. 34 404,] 700 N.E.2d [570,] 573; [People
| Logan, 705 N.E.2d [152,] 159 [(Il. 1998)]. In our case, no sinter is indicated
in Arkansas's Ac, and we condude the offender's are to register alone is sufcent to
trigger the As provisions. Accordingly, we hold this facor is not indicative of @
punitive fe.
Kellar, 339 Ark. at 285, § S.W.3d at 408-09 (emphasis added).
‘Combining these statements from Kellar with an analysis ofthe entie statutory scheme,
‘we conclude that itis clear tha failure to register i a strict lability offense. Because the State
proved that Adkins was required to register but filed to do so, and because it was not
required to prove that he filed to do so with any particular culpable mental state, the trial
court did not err in denying Adkins’s motion for directed verdict,
In his second argument on appeal, Adkins contends that the trial court erred by
“allowing irrelevant highly prejudicial hearsay testimony during the sentencing phase” of
‘Adkins’ tial A trial court's decision to admit evidence in the penalty phase of a trial is
reviewed for an abuse of discretion. Buckley v. State, 349 Ark. 53, 76 S.W.3d 825 (2002).
Pursuant to Ark. Code Ann. § 16-97-103 (Repl. 2006), certain evidence is admissible at
CRO6-1082
sentencing that would not have been admisible at the guilt phase of the trial. Craufordv.
‘State, 362 Ack, 301, 208 S,W.3d 146 (2005). Section 16-97-103 provides in pertinent part
Evidence relevant to sentencing by either the court or jury may include,
Dut is not limited to, the following
(6) Relevant character evidence}
(© Evidence of aggravating and mitigating circumstances. The criteria
for departure from the sentencing standards may serve as examples of this type
of evidence;
(7) Evidence relevant to guilt presented in the frst stage:
{© Evidence held inadmissible in the fist stage may be resubmitted for
consideration in the second state ifthe basis for exclusion did not apply to
sentencing; and
(9) Rebutal evidence,
‘While evidence introduced during the sentencing phase may include evidence deseribed in
this section, the list is not exhaustive. Crawford v. State, supra. However, the admissibility of
proofin the penalty phase ofa jury trial is governed by the Arkansas Rules of Evidence. Hill
1, State, 318 Ark. 408, 887 S.W.2d 275 1994), The Hill court alo noted that the State should
not be precluded from introducing relevant evidence at a sentencing proceeding. Id. at 415,
887 S.W.2d at 278 (emphasis added)
‘Adkins argues thatthe testimony of three sentencing witnesses — Nancy Large, Kathy
Taylor, and Corporal Keith Foster of the Rogers Police Department — constituted
inadmisible hearsay evidence. Hearsay is defined by the Arkansas Rules of Evidence as a
stement, other than one made by the declarant while testifying at the trial or hearing,
offered in evidence to prove the truth of the matter asserted.” Ark. R. Evid. 801. Even if
hearsay is deemed relevant and admissible under one of the hearsay exceptions, see Ark. R.
Evid. 803 & 804, it may nonetheless still be excluded under Ark. R. Evid, 403 “if its
CRO6-1082,
probative value is substantially outweighed by the danger of unfir prejudice, confision of the
issue, or misleading the jury, or by considerations of undue delay, waste of time, or needless
presentation of cumulative evidence.”
‘As mentioned above, the challenged testimony came from Nancy Large and Kathy
Taylor during the sentencing phase of Adkins's trial. Both women testified generally that they
had seen Adkins “acting suspiciously” in the neighborhood park on the day of his intial
contact with police. Large stated that her daughter came home from the park and said that
there was “a man down there that was watching her” and who “kept her from going on the
slide and freaked her out.” Large aso testified that she approached the man, who tuned out
to be Adkins, and asked him ifhe gd a problem. She stated that she asked Adkins why he
‘was talking to her daughter, and Adkins replied that he had asked the girl her name and that
hhe knew a gil who lived down the street ffom a few years ago,
‘Taylor stated that her daughter was also playing in the park that day; when Taylor
‘went to the park, she saw a man sitting on the play equipment, and she gathered up her
children and brought them home. Later, Taylor had a conversation with Large about the man
in the park, and she called the police to report it.
Officer Foster testified that he came to bein the park because he had gotten a call rom
dispatch regarding a “suspicious incident of a person talking to kids in the park.” Upon
arriving at the park, Foster saw Adkins, who was the only person in the park, and conffonted
him, Adkins told Foster that he had asked a little git] her name because he thought he
=10- ‘CRO6-1082
recognized her. On cross-examination, Foster acknowledged that Adkins had said he was
sorry if he caused any alarm, and that he had seemed sincere in that statement.
During the guilt phase of Adkinss trial, the trial court had deemed Large and Taylor's
testimony inadmissible; however, during sentencing, the court allowed the testimony,
informing the jury that the women's testimony was not being offered for the truth of the
‘matter asserted, but instead to explain why Large and Taylor may have subsequently called
the police. Regarding Foster’s testimony, the court found that he could “testify 2s to what
hhe saw, heard, or experienced. He can’t testify 2s to what other people said to him.”
‘On appeal, Adkins argues that the testimony of Large, Taylor, and Officer Foster was
inadmissible hearsay that was not relevant for purposes of sentencing under Ark. Code Ann.
{§16-97-103. He contends thatthe State introduced the testimony in an effort to inflame the
_jurors by suggesting that he was engaged in improper conduct for which he was not charged
and had no real bearing on the issues in the ease.
‘The State responds by asserting thatthe trial court correctly found that the statements
were not hearsay, because they were not being offered for the truth of the matter asserted
This contention is correct; the trial court specifically instructed the jury that Large and
‘Taylor’ testimony was only to be considered to show why the women called the police.
However, even ifthe testimony was not hearsay, we must still determine whether it
‘was admissible under Rule 403 — that is, whether its probative value was substantially
‘outweighed by the danger of unfair prejudice, We conclude that this testimony was not
unduly prejudicial. In Crawford v. State, supra, this court held that evidence of subsequent
ote CRO6-1082
drug offenses, introduced during the sentencing phase of Crawford's tial for possession of
drug paraphernalia with intent to manufacture, was relevant character evidence, Noting that
character evidence that might not be admissible at the guilt phase could, under Ark. Code
‘Ann. § 16-97-103(5), be admissible at sentencing, this court determined that evidence of
Crawford's subsequent drug activity provided proof of his character and was relevant to the
jury's determination of an appropriate punishment, Crawford, 362 Ark. at 306, 208 S.W.34
at 149, Similarly, we conclude that Large and Taylor’ testimony went to Adkins's character,
and we cannot say that the trial court abused its discretion in admitting it.
Finally, Adkins challenges the trial court's decision to allow Officer Tom Helmich, of
the Rogers Police Department, to testify that Adkins’s pants were unbuttoned and unzipped
atthe time of his arest, Adkins maintains that this evidence was irrelevant to the ise of
Whether he was guily of the crimes of filure to register asa sex offender and possession of
marijuana
[At trial, Officer Helmich testified that, on August 12, 2005, he and a police trainee
‘were driving through the Maple Grove Park when they saw two men sitting on a park bench.
[Helmich and the other officer drove back by several other times, and the two men were still
there, which “seemed odd” in light of some complaints of “some activity in the park.”
[Helmich stated that he recognized Adkins and knew him to be a sex offender; Helmich also
testified that he knew there “had been some issues with him filing to register.” Helmich
then contacted Adkins and also had dispatch check for any warrants on him for the
registration issue.
2 CRO6-1082,
At this point, Adkins objected and argued to the trial court that Helmich was going
to testify that he saw Adkins’ pants unbuttoned and unzipped, and that this testimony would
be irrelevant and prejudicial. However, the court overruled Adkins’s objection, and Helmich
then proceeded to testify that, as he approached Adkins and Adkins stood up, Helmich
noticed something bulging on the sides in front of him and wanted to make sure it wasn'ta
‘weapon. Helmich asked what it was, and Adkins replied that it was just his pants; Adkins
lifted his shiet and revealed that his pants were unbuttoned and unzipped. Helmich was
concemed as to why Adkins's pants were open, and Adkins said that his pants were too tight,
so he unbuttoned them. Helmich also asked if Adkins had anything illegal on him, to which,
‘Adkins said he did not. Helmich then searched Adkins and discovered a marijuana cigarette
in his pocket.
(On appeal, Adkins argues that this testimony was unduly prejudicial because it
“suggest[ed) he was engaged in improper sexual conduct for which he was not charged, and
hhad no real bearing on the ultimate issues in the case.” However, Adkins cured any potential
prejudice when he cross-examined Helmich. On that cross-examination, Helmich stated that
although Adkins’ pants were unbuttoned, he did not observe Adkins “doing anything sexual”
with the other man on the bench, and he did not observe “any activity . .. that was of a
sexual nature” or see Adkins “doing anything sexual to himself” Helmich stated that,
{w]hen he stood up, his pants were unbuttoned, and his explanation was they were too tight;
the was sitting down and he had them unbuttoned."
13 (CRO6-1082
Moreover, as the State suggests, the appearance of Adkins’s clothing was relevant to
‘why Helmich searched him in the frst place. As mentioned above, Helmich noticed a bulge
in Adkins's clothing and wanted to make sure Adkins was not carrying a weapon. Because
‘Adkins’s appearance was part of the reason Helmich decided to search him, the state of his
‘clothing was arguably relevant to the issue at hand.
ae CRO6-1082
| 44e6a4463c96f55f50b87bae7a326f27fb0a2a27eb42ddc46d8e51e031ee3c00 | 2007-10-04T00:00:00Z |
024504cc-4975-4ae7-9412-c6b8ab6b16aa | Jones v. Ark. Dep't of Correction | 2010 Ark. 129 | null | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS.
No. 10-260
JACK HAROLD JONES, Opinion Dativere 31210,
APPELLANT/MOVANT, | ition FOR STAY OFEXECUTION
vs.
ARKANSAS DEPARTMENT OF
CORRECTION AND RAY HOBBS, IN
HIS OFFICIAL CAPACITY AS ACTING
DIRECTOR OF THE ARKANSAS.
DEPARTMENT OF CORRECTION,
APPELLEE/RESPONDENTS, | MOTTON MOOT.
PER CURIAM
(On March 11, 2010, Jack Harold Jones, Jr. received a stay of execution from the
United States District Court for the Eastern District of Arkansas. See Jones v. Hobbs, No.
5:10CV00065 (E.D. Ark) (Document #12) (March 11, 2010). Because this stay is currently
in effect, Jones's motion fora stay of execution before this court is moot.
wit
J., not participating.
| 93c862c572a9dc4c43e401204c8d0dc98370fed758e0b7ba905d7b8280a55f85 | 2010-03-12T00:00:00Z |
8d2112c0-2bb8-4fd4-9e4d-a155faa2ba85 | In re McIlroy | null | 29526 | hawaii | Hawaii Supreme Court | No. 29526
a
8
8
=
g
ORIGINAL PROCEEDING
ORDER GRANTING PETITION TO RESIGN AND SURRENDER LICENSE
33.)
Moon, C.J., Levinson, Nakayama, Acoba, and Duffy,
upon consideration of Petitioner Robert McTiroy’s
Petition to Resign and Surrender License, the attached
affidavits, and the lack of objections by the Office of
Disciplinary Counsel, it appears that the petition complies with
the requirements of Rule 1.10 of the Rules of the Supreme Court
of the State of Hawai'i (RSCH). Therefore,
IT 1S HEREBY ORDERED that the petition
IT 1S FURTHER ORDERED that Petitioner McTiroy shall
is granted.
return his original license to practice law to the Clerk of this
The Clerk shall retain the original license as
Petitioner McIlroy shall comply with the
(ad, tb,
court forthwith.
part of this record.
notice, affidavit, and record requirements of sections
(a), and (g) of RSCH 2.16.
I? IS FINALLY OROERED that the Clerk shall remove the
name of Robert McIlroy, attorney nunber 1934, from the roll of
attorneys of the State of Hawai'i, effective with the filing of
this order.
DATED: Honolulu, Hawai'i, December 24, 2008.
Peeater £6. rreseey ance
Darn e Baby
oats
| a26e7bcb6174fa4572a583a9897a61c69f0ac01bffd53f1cb99456493419a876 | 2008-12-24T00:00:00Z |
762914fc-9eaf-47e3-b46e-b08528b527b7 | Rebecca R. Price, Individually and as the Administratrix of the Estate of Jessica R. Price, Deceased et al. v. Thomas Built Buses, Inc. and Merls Bus Sales | null | 06-1074 | arkansas | Arkansas Supreme Court | SUPREME COURT OF ARKANSAS,
REBECCA R. PRICE, INDIVIDUALLY
AND AS THE ADMINISTRATRIX OF
THE ESTATE OF JESSICA R. PRICE,
DECEASED, et al,
APPELLANTS,
vs.
‘THOMAS BUILT BUSES, INC. and
MERLS BUS SALES,
APPELLEES,
06-1074
opinion Davered June 28, 2007
APPEAL FROM THE CIRCUIT
COURT OF BENTON COUNTY,
NO. 06-1074,
HON. JAY
JUDGE,
FINCH, CIRCUIT
ANNABELLE CLINTON IMBER, Associate Justice
‘On May 19, 2003, a school bus carrying 43 students from the Siloam Springs School
District ran off the road, flipped onto its side, and slid down an embankment. One student,
Jessica Price, was killed, and ten other students sustained serious injuries. At the time of the
accident, the bus was not outfitted with seat belts forall ofits passengers. ‘The specifications
governing school bus design promulgated by the Arkansas Department of Education do not
include passenger seat belts. Ina suit filed against the school bus manufacturer and distributor,
the circuit court entered 4
mmary judgment, dismissing all tort claims based upon the
manufacturers filure to provide passenger seatbelts. In so ruling, the court concluded that
the General Assembly's decision not to require seat belts in school buses precluded 3 jury from
deciding the issue again. Pursuant to the separation-of-powers doctrine, we agree and affirm
the circuit court's sumnmary-judgment order.
Appellants Rebecca Price, as administratrix of the Estate of Jessica Price, and the
parents, as next of friends, of the ten injured students, filed suit against Appellees Thomas
Built Buses, Inc, the bus manufacturer, and Mer!'s Bus Sales, the bus retailer." Appellants
specifically pleaded that Appellees were negligent (a) in filing to warn the purchasers, users,
and riders ofthe bus about the dangers of riding in the bus unrestrained by seatbelts, (b) in
failing to test the safety of the bus in side rollover accidents, (€) in failing to create a safer
altemative product, and (4) in failing to recall the bus for retrofitting with seat bels.
Appellants also asserted claims based on strict lability and breach of express and implied
warranties. In a motion for summary judgment, Appellees aserted they could not be held
liable for any alleged defect from a lack of seat belts due to their compliance with the Arkansas
Department of Education’s specifications for school bus design and safety. Furthermore,
according to Appellees, because the General Assembly has declined to require seat belt in
school buses, the issue oftheir negligence for filing to outfit the Siloam Springs bus with seat
belts was not an issue a jury should decide. After hearing, the circuit court granted summary
judgment, concluding that the legislature has spoken to the issue of requiring seat bets on
school buses, and it was not appropriate fora jury to be allowed to decide the issue again.
(On appeal, Appellants allege three points of error: (I) the circuit court erred in
concluding that Appellants were precluded from bringing a tort action against Appellees when
Appellees had complied with the federal and state minimum safety standards, (2) the circuit
"Appellants did not file any claim against the Siloam Springs School District or the school
district's insurance company; nor did they file claims with the Arkansas State Claims Commission.
de
‘court erred in concluding that the doctrine of acquired immunity applied to Appellees, and
(@) the circuit court erred in deciding that there was no genuine ise of material fet as t0
whether the bus was defective or unreasonably dangerous for purposes of strict liability,
‘whether the lack of seat belts on the bus was the proximate cause of Appellants’ injuries, and
‘whether there was evidence that Appellees breached the express and implied warranties. We
have jurisdiction over the instant case because it involves an isue of fint impression and an
issue of statutory interpretation, Ark. Sup. Ct. R. 1-2 (b)(1) & (6) (2007).
‘A party is entitled to summary judgment if “the pleadings, depositions, answers to
interrogatories and admissions on file, together with the afidavits, if any, shows that there is
rho genuine issue as to any material fact and that the moving patty is entitled to judgment as
‘a matter oflaw” on the isue set forth in the party’s motion. Ark. R. Civ. P. 56 (€)(2) (2007).
‘The burden of proving that there is no genuine issue of material fact is upon the moving.
party. Windsong Enteprises, In. v. Upton, 366 Ark. 23, _S.W.3d___ (2006). On appellate
review, we must determine whether summary judgment was proper based on whether the
evidence presented by the moving party let a material question of fact unanswered. Id, This
court views the proofin the light most favorable to the party resisting the motion, resolving
any doubts and inferences against the moving party, to determine whether the evidence left
a material question of fact unanswered. Id
‘The issues in the instant case necessitate our interpretation of the statutes and
regulations governing the design of school buses in Arkansas, ‘This court reviews a circuit
‘court's interpretation ofa statute de nove because itis for this court to determine what a statute
3
‘means. Morgan v. Chandler, 367 Ark. 430, __S.W.3d (2006). In the absence of a
showing that the circuit court erred, however, this court will accept the circuit court's
interpretation as correct on appeal. Id. The basic rule of statutory construction is to give
effect to the intent ofthe legislature. Ward v. Doss, 361 Ark. 153, 205 $.W.3d 767 (2005).
‘Where the language of the statute is plain and unambiguous, we determine the intent from
the ordinary meaning ofthe language wed. Id, We construe the statute just as it reads, giving
the words their ordinary and usually accepted meaning in common language. Id. When a
statute is ambiguous, we must interpret it according to legislative intent. Id. ‘Then, our
review becomes an examination of the whole act, reconciling the provisions to make them,
consistent, harmonious, and sensible in an effort to give effect to every part. Id. We must
ako look atthe legislative history, the language and the subject matter involved, Id. Similar
rules of construction apply to the interpretation of rules and regulations. See, e.., Srcelinv
Hays, 332 Ark. 270, 965 S.W.24 103 (1998).
Under the Arkansas Constitution Article 14 § 4, the General Assembly is vested with
the “supervision of public schools, and the execution of laws governing the same.” Ark,
Const. art. 14 § 14. The General Assembly has given the State Board of Education the
authority to “adopt and enforce regulations . . . to govern the design and operation of all
school buses used for the transportation of school children . ... and] such regulations shall
by reference be made a part of any contract with a school district.” Ark. Code Ann. § 6-19-
111 (a)-(o) (Repl. 1999). Individual school districts are authorized to use district funds to
purchase buses or transporting students to school asthe districts deem best, “affording safe and.
+
convenient transportation to the pupils.” Ark, Code Ann, § 6-19-102 (a)-(b) (Repl. 1999).
More specifically, the buses “shall be of such specifiations as may be prescribed by uniform
rules and regulations of the State Board of Education.” Ark. Code Ann. § 6-9-102 (e) (Repl.
1999) (emphasis added).
‘When purchasing a school bus, a school district must solicit bids from sellers, and the
local school board has the exchisive jurisdiction to make bus purchases. Ark. Code Ann. §
6-21-304 (a) & (b)(1) (Supp. 2005). However, under section § 6-21-304 (b) (2) & (3), the
Department of Education, in consultation with a committee of school administrators, “shall
be responsible for drawing up the minimum specifications for all school buses,” and under
section § 6-19-102 , any bus purchased by a school board “shall be ofsuch specifications.”
‘See Atk. Code Ann. §§ 6-21-304 (b)(2) & (3) and 619-102 (¢) (Repl. 1999 & Supp. 2008).
‘The Arkansas Department of Education's specification for passenger seating design
states that “fall seats... must comply with all requirements of FMVSS 222.” THE
ARKANSAS DEPARTMENT OF EDUCATION RULES FOR THE SPECIFICATIONS GOVERNING.
SCHOOL BUS DESIGN, § 63.00 (Mar. 2004), FMVSS 222 is a federal safety standard
promulgated pursuant to the Federal Motor Vehicle Safety Act (FMVSA), see 49 US.C §
3010, et seq (2000), that provides occupant protection requirements for school bus seating and
restraining bartiers, See 49 C.E.R. § 571.222, S1 (2006). Although FMVSS 222 sets out
restraining-barrier and impact-zone requirements, it does not address seat bet for school bus
pasiengers. See 49 CLR. § 571.222 (2006).
Appellants nonetheless suggest that the Department of Education only promulgates
Se
“minimum specifications” for school bus design, and that, although a bus manufacturer must
‘comply with the minimum specifications, nothing precludes manuficturers fom exceeding
those specifications. Appellants point out that, because the General Assembly has not spoken
to the issue of seat belts on school buses, the legislature did not prevent bus manufacturers
from exceeding the minimum specifications by installing seat belts. They also point out that
the federal courts have not interpreted the Federal Motor Safety Vehicle Act as preempting
common-law tort claims against manufacturers. Instead, the federal courts have held that
compliance with minimum standards only constitutes evidence of ordinary cate. See Geer.
American Honda Motor Co., Inc, 529 US. 861 (2000); Hanis v. Great Dane Trailers, In, 234
F.3d 398 (8th Cir, 2000). Accordingly, Appellants assert that a plaintiff should be able to
bring a common-law action against a manufieturer when safety measures beyond the
‘minimum would have better protected passengers from injury.
Appellees, onthe other hand, insist that the General Assembly has repeatedly addressed
the issue of mandatory seat bets in school buses, deciding each time not to require seat beks.
[Appellees alo point out that the term “specification” isnot equivalent tothe term “standard”
— that is, standards are aspirational in nature, whereas specifications are detailed technical
descriptions of design requirements. According to Appellees, the Department of Education,
{snot common consumer thats ignorant concerning bus safety features, and, therefore, bus
‘manufacturers may not deviate from the exact specifications set out by the department absent
‘consumer’ contrary request. Because Appellees assert that the legislature has spoken to the
issue of mandatory seat belts in school buses, they claim that the judicial branch would violate
6-
the separation-of-powers doctrine by deciding the question again.
Although the statutes and regulations conceming school-bus designs are silent with
regard to seat belts in school buses, the language of the act read as a whole indicates that a
‘manufacturer must comply with the specifications set out by the Department of Education.
Specifications are defined as “a technical description or other description of the physical or
fanctional characteristics of a commodity.” Ark, Code Ann. § 6-21-304 (a)(B)() (Supp.
2005). Any contract for the purchase of a school bus in Arkansas must contain the
specifications promulgated by the Department of Education— that is, the bus must contain
features that comply with the Department's technical descriptions. ‘The term standards, on
the other hand, means an “object or quality or measure serving a a bass or example or degree
of excellence.” OXFORD AMERICAN DICTIONARY AND THESAURUS, 2d Ed. 814 (2001),
‘Thus, contrary tothe federal governments decision to adopt “standards” through the FMVSS,
‘which serve asa bass and example for school bus design, the Arkansas legislature has chosen,
to adopt particular specifications that will dictate the exact physical characteristics ofall school
buses in Arkansas.
Appellants assert that, because Arkansas has adopted the standards under FMVSS 222
by reference, the General Assembly intended to adopt the federal courts’ approach that
compliance with minimum standards does not preclude common-law actions. Appellants,
however, fail to recognize that the Department of Education has adopted the safety
requirements under FMVSS 2s a mandatory specification for Arkansas school buses:
‘These rules are enacted pursuant to the authority under Ark.
Code Ann. § 6-21-304 .... It is the purpose of these rules to
2
‘establish specifications governing school bus design forthe State
‘of Arkansas... . All seats shall have a minimum cushion depth
‘of 15 inches and must comply with all requirements of FMVSS,
222. School bus design capacities shall be in accordance with
FMVSS 222 ..... All school buses (Including Type ‘A’) shal be
‘equipped with restraining baniers which conform to FMVSS 222.
ARKANSAS DEPARTMENT OF EDUCATION RULES FOR THE SPECIFICATIONS GOVERNING
SCHOOL BUS DESIGN, §§ 1.02, 2.01, 63.01 & 63.06 (Mar. 2004) (emphasis added).
Appellants farther confuse the federal statutory scheme with our own when they assert
that our legislature, like Congress, did not intend to preclude common-law actions against
‘manufacturers that have complied with the minimum specifications. The federal courts have
held that Congress did not intend for common-law actions to be precluded in such cases
because Congress included a savings clause in the MVSA that expressly states “[cJompliance
with a motor vehicle safety standard prescribed under this chapter does not exempta person
from lability at common law.” 49 U.S.C. § 30103 (¢) 2000). In contrast, no such savings
clauses included in Arkansas's statutory scheme. Also, while Appellants cite to an Oklahoma
«ease as support for their proposition, the decision by the Oklahoma Court of Appeals centered
con the issue of preemption under the federal at, an issue not argued by either party in this
case, See Attocknie v. Carpenter Manufacturing, In, 901 P.2d 221 (Okla, Civ. App. 1995)
‘To the extent that any ambiguity may exist in the meaning of our state's school-bus
safety statutes, it is laid to rest by the legislative history surrounding the issue of seat bets in
school buses. In 1931, school districts were granted the authority to purchase school buses
for the safe and convenient transportation of students to school, and, in 1937, the legislature
gave the Department of Education the authority to promulgate regulations governing the
8
design of school buses. See Popes Digest § 675%(a) (1937); see also 1937 Ark. Acts 300 § 102
and 1931 Ark, Acts 169 § 102, From that point on, the Department of Education has never
required passenger seat belts on school buses.
In 1984, following a school-bus accident near Newport, the General Assembly's
Legislative Council issued a report entitled “Feasibility of Requiring School Districts to Install
Seat Belts on School Buses.” After discussing several national studies on the issue of
‘mandatory passenger seat belts on school buses, the Council made a detailed lst of the pros
and cons for requiring seatbelts in Arkansas school buses. STATE OF ARKANSAS LEGISLATIVE
COUNCIL, FEASIBILITY OF REQUIRING SCHOOL DISTRICTS TO INSTALL SEAT BELTS ON
ScHOOL BUSES (Sept. 20, 1984). On the pro side, the Council found only two factors
supporting the use of seat belts in buses, (1) riders would be better off restrained than
‘unrestrained in accidents where the bus rolls over, crashes into another object, or stops
suddenly and (2) because seatbelts are required in cars, seatbelts on buses would encourage
the habit of buckling-up in school children. Id. at7. On the con side, however, the Council
found several reasons that militate against requiring seat belts on buses, including: (1) the
increased danger that a small child would be trapped by his oF her seat belt in a erash; (2)
students could use seat belts as weapons, increasing the risk of accidental injury; (3) seat belts
‘would require an asistant to the driver, thus increasing costs; (4) monitors would be required
to ensure that the students wore their belts property; (5) seat belts would be vandalized,
increasing replacement expenses; (6) seat belts would result in a 60% los of passenger seating
‘capacity, necesitating the purchase of more buses; (7) seat belts do not protect a student's
9
hiead, neck, ices, and upper torso from injury; (8) some seat belt designs could cause injuries
to young students immature anatomies ina erash; and (9) lability insurance forthe use of seat
belts could be excessive. Id, t 7-8. The Legislative Council concluded thatthe installation
‘of seat belts in school buses should not be mandated by the legislature. Id. at 8-9.
‘Then, in 1985, the legislature enacted legislation requiring school bus drivers to wear
seat belts; but, in accordance with the Legislative Council’s recommendation, the legislature
<i not mandate the same for school bus pasengers. See Ark. Code Ann. § 6-19-109 (Repl
1999); 1985 Ark. Acts 757 § 5. ‘The General Assembly considered the issue of passenger seat
belts on school buses again in 2001, but the proposed bill, which would have mandated seat
belt in all school buses purchased after January 1, 2003, died in committee. 2001 Ark. HLB,
1134.
Based upon the legislature's extensive involvement in the regulation of school-bus
‘design and the legislature's repeated consideration of mandatory seat belts in school buses, we
‘conclude that the legislature has indeed spoken on the issue of whether manufacturers should
include seat bels in theie bus designs. ‘The Supreme Court of Alabama considered a case
involving similar issues in Denton v, Eidins & Lee Bus Sales, In, 491 So.24 942 (1986). In
that ease, the plaintiff alleged that, although the Alabama legislature had not mandated seat
belts on school buses, the legisature had not conclusively determined that a manufacturer or
seller that distributed buses without seat belts could not be held liable under products-lability
law. Id, Despite the absence of legislative history for the Alibama court to consider, the
‘court conchided that when the legislature decided to require seat belts for schoo! bus drivers,
“10.
the legislature ako considered the isue of passenger scat belts. Id. Thus, the Alabama court
held that the legislature had impliedly decided that seat belts were not required in school
buses, and a manufacturer could not be held liable under products-liability law for filing to
install seat belts in school buses. Id
Here, as in Dentson, the General Assembly has decided to require seat belts for school
bus drivers but not for passengers. See Ark, Code Ann. § 6-19-109 (Repl. 1999). In
‘Dentson, the Alabama Supreme Court concluded that the legislature's decision to require
driver seatbelts reflected an implied intent to relieve manufacturers of lability for buses not
‘outfitted with passenger seat belts In this case, we have clear evidence, in the form of the
1984 report by the Legislative Council and the legislation following that report, that the
legislature has caefilly considered the sue of mandating passenger seat belt in school buses
but repeatedly declined to do so
Based upon the statutory and regulatory framework governing the specifications for
school bus design in Arkansas, we conclude that the Arkansas General Assembly has
afirmatively decided not to require passenger seat belts in school buses, In fact, the General
‘Assembly has expressly stated that the specifications adopted by the Department of Education
‘must be a part of every school bus contract in Arkansas. See Ark. Code Ann. § 6-19-102 (@)
(Repl. 1999), ‘Thus, a manufacturer must comply with those specifications. We hold that the
General Assembly has thereby preempted any common-law tort claims against school bus
‘manufacturers that have complied with the Department of Education's design specifications.
Ifwe were to hold otherwise, we would risk violating the separation-of-powers doctrine by
ole
deciding a public policy question over which the General Assembly has already affirmatively
exercised its authority, For these reasons, we affirm the circuit court’ summary-judgment
order?
Affirmed.
2 tm view of our holding tht an action cannot be maintained against the school bus
smanuficturer and dsuibutor, we need not addes the osher points on zppeal
2
| 23336d1ac1d01a74a5157bec6e90ec8c278f1ef4b1cc4862cb529adf98fd054e | 2007-06-28T00:00:00Z |
b2415988-37c8-4960-aac0-782e12806e79 | Blaisdell v. State | null | 29514 | hawaii | Hawaii Supreme Court | No. 29514
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
RICHARD BLAISDELL, Petitioner,
STATE OF HAWAI'I, Respondent. 2
ORIGINAL PROCEEDING s
‘ORDER
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Petitioner Richard Blaisdell, by papers dated
December 8, 2008, petitions this court to invoke its original
jurisdiction to issue a writ of habeas corpus pursuant to HRS §
660-3 (1993). The relief requested in the December 8, 2008
papers is the same relief that petitioner requested in papers
dated October 25, 2008 and filed with this court in No. 29458.
We disposed of No. 29458 on November 12, 2008 by denying
petitioner habeas corpus relief, without prejudice te seeking
such relief in the circuit court pursuant to HRS § 660-3.
‘Therefore,
IT IS HEREBY ORDERED that the clerk of the appellate
court shall file petitioner's December 8, 2008 papers as a
petition for a writ of habeas corpus without payment of the
filing fee.
IT IS FURTHER ORDERED that the petition for a writ of
habeas corpus is dismissed.
DATED: Honolulu, Hawai'i, De
ass
| fd33ea2456557fc398914b37d36a5f07a29154f6ad8b3b721b690b71b14babc7 | 2008-12-22T00:00:00Z |
0fb9b87a-eee0-4459-90b7-34b2c2e7f62e | In re Boyce | null | 29509 | hawaii | Hawaii Supreme Court | No. 29509
IN THE SUPREME COURT OF THE STATE OF HAW 3
IN RE LEROY C. BOYCE, Petitioner.
ORIGINAL PROCEEDING
ORDER GRANTING PETITION TO RESIGN AND SURREND!
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.
upon consideration of Petitioner LeRoy C. Boyce’s
Petition to Resign and Surrender License, the attached
affidavits, and the lack of objections by the Office of
Disciplinary Counsel, it appears that the petition complies with
the requirements of Rule 1.10 of the Rules of the Supreme Court
of the State of Hawai'i (RSCH). Therefore,
IT IS HEREBY ORDERED that the petition is granted.
IT TS FURTHER ORDERED that Petitioner Boyce shall
return his original license to’ practice law to the Clerk of this
court forthwith. The Clerk shall retain the original license as
part of this record. Petitioner Boyce shall comply with the
notice, affidavit, and record requirements of sections (a), (b),
(4), and (g) of RSCH 2.16.
IT IS FINALLY ORDERED that the Clerk shall remove the
name of LeRoy Clifford Boyce, attorney number 3544, from the roll
of attorneys of the State of Hawai'l, effective with the filing
of this order.
DATE!
Honolulu, Hawai'i, December 22, 2008.
| c13bfed233d5d96d1ac6c2678f680660db30fd91d7a64f3fc7fba754e04a4f8d | 2008-12-22T00:00:00Z |
ff919e11-e86c-4e4d-ba10-ec94fc38f6d5 | In re Fisher | null | null | hawaii | Hawaii Supreme Court | No. 29510
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
IN RE SHERES MICHELLE FISHER, Petitioner
ORIGINAL PROCEEDING
TITION TO RESIGN AND
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.
upon coneideration of Petitioner Sheree Michelle
Fisher's Petition to Resign and Surrender License, the attached
affidavits, and the lack of objections by the Office of
Disciplinary Counsel, it appears that the petition complies with
the requirements of Rule 1.10 of the Rules of the Supreme Court
of the State of Hawai'i (RSCH). Therefore,
IT IS HEREBY ORDERED that the petition is granted.
IT IS FURTHER ORDERED that Petitioner Fisher shall
return her original license to practice law tothe Clerk of this
court forthwith. The Clerk shall retain the original License 2s
part of this record. Petitioner Fisher shall comply with the
notice, affidavit, and record requirements of sections (a), (bl,
(a), and (g) of RSCH 2.16.
IT IS FINALLY ORDERED that the Clerk shall remove the
name of Sheree Michelle Fisher, attorney number 6396, from the
roll of attorneys of the State of Hawai'i, effective with the
filing of this order.
Honolulu, Hawai'i, December 22, 2008.
aad
| f219204c31d2807d0cfdf4f16a2a2d331abb43176af6a3ad23514fdfb43bfffb | 2008-12-22T00:00:00Z |
5fd3e081-8a1d-4123-89fc-5fccb1946e85 | Tataii v. Cronin. | 119 Haw. 337 | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
on ILICATION. i oo
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
---000-
STEVE TATAII, Plaintiff,
KEVIN B. CRONIN,
the State of Hawai'i and NETL ABE:
omg
No.
29477
ORIGINAL PROCEEDING s
DECEMBER 16, 2008
MOON, C.J., LEVINSON, NAKAYAMA, ACOBA, AND DUFFY, JJ.
Pex Curiam. In this original proceeding, plaintiff
Steve Tataii, an unsuccessful congressional candidate in the
November 4, 2008 general election, challenged, pursuant to
Hawai'i Revised Statutes (HRS) § 11-172 (1993)! and HRS § 11-
174.5 (Supp. 2007)%, the election results for the first
HRS § 11-172 (1993) Contests for cause; generally.
With respect to any election, any candidate, or qualified
political party directly interested, or any thirty voters of
‘any election district, may file @ complaint in the supreme
court. The complaint shall set forth any cause or causes,
such as but not limited to, provable fraud, overages, or
underages, that could cause a difference in the election
results. The complaint shall also set forth any reasons for
reversing, correcting, or changing the decisions of the
precinct officials or the officials at a counting center in
Sn election using the electronic voting system. A copy of
the complaint shall be delivered to the chief election
officer of the clerk in the case of county elections.
* RS § 11-174.5 (Supp. 2007) Contests for cause in
general, special general, special, and runoff elections
fa) In general, special general, special, or runoff
elections, the complaint shall be filed in the office of the
Clerk of the supreme court not later than 4:30 p.m. on the
twentieth day following the general, special general,
special, of runoff election and shall be accompanied by a
(continued...)
FOR PUBLI WAT! WIC a
congressional district seat in the U.S. House of Representatives.
Pursuant to HRS § 11-174.5(b), we issued, concurrently with this
opinion, Findings of Fact, Conclusions of Law, and Judgment in
favor of defendant chief election officer Kevin Cronin and
defendant Neil Abercrombie and against plaintiff Tataii
We hold that: (1) plaintig£ Tataii’s election contest
complaint, filed after 4:30 p.m. on the twentieth day following
the November 4, 2008 general election, was filed within the time
provision of HRS § 11-174.5(a); and (2) plaintiff Tataii failed
(.. continued)
deposit for costs of court as established by rules of the
suprene court. The clerk shall issue to the defendants
named in the complaint a summons to appear before the
suprene court not later than 4:30 p.m. on the tenth day
after service thereof.
(b) In cases involving general, special general,
special, or runoff elections the complaint shall be heard by
the suprene court in which the complaint was filed as soon
as it reasonably may be heard. On the return day, the
Court, upon its motion or otherwise, may direct summons to
be isfued to any person who may be interested in the result
of the proceedings.
‘At the hearing, the court shall cause the evidence to
be reduced to writing and shall give judgment, stating all
findings of fact and of law. The judgment may invalidate
the general, special generai, special, or runoff election on
the grounds’ that a correct result cannot be ascertained
because of a mistake or fraud on the part of the precinct
officials: or decide that a certain candidate, or certain
candidates, received a majority or plurality of votes cast
and were elected. If the Judgnent Should be that che
general, special general, special, or runoff election was
invalid, a\certitied copy thereof shall be filed with the
governor, and the governor shall duly call a new election to
be held not later than one hundred twenty days after the
judgment is filed. If the court shall decide which
Candidate or candidates have been elected, a copy of that
judgment shail be served on the chief election officer or
Gounty clerk, who shall sign and deliver to the candidate or
candidates certificates of election, and the same shall be
Conclusive of the right of the candidate or candidates to
the offices.
_*** FOR PUBLICATION IN WEST'S HAWATL REPORTS AND PACIFIC REPORTER ***
to meet his burden of demonstrating errors, mistakes, or
irregularities that could cause a difference in the election
results.
1. Background
Plaintiff Tataii was the Republican candidate in the
November 4, 2008 general election for the office of U.S.
Representative, District I. The election results for that office
were: (1) Neil Abercrombie (0): 154,208 votes; (2) Steve Tataii
(R): 38,118 votes? and (3) Li Zhao (L): 7,594 votes.
Plaintiff Tataii challenged the above results by filing
an election contest complaint pursuant to HRS §§ 2
-172 and 11-
174.5. The complaint was filed in the supreme court on Novenber
24, 2008 at 4:32 p.m. The complaint alleged tha
(2) defendant
Neil Abercrombie, despite representations that he would
participate in pre-election debates with plaintiff Tataii,
refused to debate plaintiff Tataiis (2) the absence of debates
left Hawai's voters “in (the] dark about which candidate {was}
the best choice”? (3) plaintiff Tatail’s 38,115 votes “could have
been considerably higher if debates had taken place”; and (4)
defendant Abercrombie’ s refusal to debate caused plaintiff Tataii
to lose the election. Plaintiff Tataii sought a judgment from
this court ordering a new election for the office of U.S.
Representative, District I and ordering defendant Abercrombie to
participate in a series of televised debates with plaintiff
Tataii prior to a new election.
Defendant Abercrombie moved to dismiss the complaint
(TER
for failure to state a claim upon which relief could be granted
and as untimely filed after 4:30 p.m. on November 24, 2008.
Defendant Cronin also moved to dismiss the complaint for failure
to state a claim upon which relief could be granted and noted
that this court
acked jurisdiction over this proceeding “unless
[this court) determine [4] that the 4:30 p.m. deadline [prescribed
by HRS § 11-174.5(a)] is dizectory as opposed to mandatory.”
Ii. Discussion
A. The 4:30 P.M. Provision of HRS § 11-174
Dixectory.
Plaintiff Tataii filed his election contest complaint
in the supreme court at 4:32 p.m. on November 24, 2008, the
twentieth day after the Novenber 4, 2008 general election. HRS §
11-174.5(a) provides that the complaint “shall be filed [in the
suprene court] not later than 4:30 p.m. on the twentieth day
fo!
wing the general . . . election{.J.”
“Where the language of a statute is plain and
unambiguous that a specific time provision must be met, it is
mandatory and not merely directory.” Coon v. City and County of
Honolulu, 98 Hawai'i 233, 255, 47 P.3d 348, 370 (2002) (quoting
State v. Himuro, 70 Haw. 103, 105, 761 P.2d 1148, 1149 (1988).
“We have also recognized, however, that while the word ‘shall’ is
generally regarded as mandatory, in certain situations it may be
given a directory meaning.” Coon, 96 Hawai'i at 256, 47 P.3d at
371 (quoting Himuro, 70 Haw. at 105, 761 P.2d at 1149).
“In determining whether a statute is mandatory or
directory, the intent of the legislature must be ascertained.”
4
a “ATION IN HAWATI REPORTS AND PACIFIC REPORTER ***
Himuro, 70 Haw, at 105, 761 P.2d at 1149 (citing Jack Endo
Electric, Inc. v. Lear Siegler, Inc., 59 Haw. 612, 617, 585 P.2d
1265, 1269 (1978). “The legislative intent may be determined
fron ‘a consideration of the entire act, its nature, its object,
and the consequences that would result from construing it one way
or the other.'” Id. (ellipsis omitted). “we are also mindful
that ‘our primary duty in interpreting statutes is to ascertain
and give effect to the intention of the legislature, which, in
the absence of a clearly contrary expression is conclusively
obtained by the language of the statute itself.” Id. (ellipsis
and citation omitted) .
As to the time provisions of HRS § 11-174.5(a), the
twenty-day provision 1s clear and must be given a mandatory
reading. A directory reading of the “no later than 4:30 p.m.”
provision as being tantamount to “the close of business” would
not be contrary to the legislature's intent to restrict the
period for a general election challenge to twenty days and the
consequences of @ directory reading of the 4:30 p.m. provision
Would not extend the period for a general election challenge
beyond twenty days and would not confound the statutory schene of
HRS § 11-174.5(a). We hold that the twenty-day provision of HRS
§ 11-174.5(a) is mandatory and the “no later than 4:30 p.m.”
provision of HRS § 11-174.5(a) is directory. Plaintiff Tataii’s
complaint filed at 4:32 p.m. on Novenber 24, 2008 was filed
within the time provision of HRS § 11-174.5(a).
tee . "$ HAWAII " ORTER***
Denonstrath Tereaul
That Could Cause A Difference In The Election
Resulta,
An election contest complaint “shall set forth any
cause or causes, such as but not limited to, provable fraud,
overages, or underages, that could cause a difference in the
election results.” HRS § 11-172. “A complaint challenging the
results of (a general] election pursuant to HRS § 11-172 fails to
state a claim unless the plaintiffs demonstrate errors that would
change the outcome of the election(.]” Akaka v, Yoshina, 64
Hawai"i 363, 387, 935 P.2d 98, 102 (1997) (citing Elking vs
Ariyoshi, 56 Haw. 47, 48, 527 P.2d 236, 237 (1974) and Funakoshi
vsKing, 65 Haw. 312, 317, 651 P.2d 912, 915 (1982) (**Difference
in the election results’ in [HRS § 11-172] mean[s] a difference
sufficient to overturn the nomination of any particular candidate
or candidates in the primary.”)).
[The (plaintift) must show that he or she has
actual information of mistakes or errors
sufficient to change the result. The [plaintiff]
has the burden of demonstrating that the specific
acts and conduct of which [he or she] complain[s]
would have had the effect of changing the
Eesults. in the absence of facts showing that
irregularities exceed the reported margin between
the candidates, the complaint is legally
insufficient because, even if its truth were
assumed, the result Of the election would not be
affected.
It is not sufficient that the [plaintif#]
points to a poorly run and inadequatels
Supervised election process that evinces room for
abuse or possibilities of fraud. An election
contest cannot be based upon mere belief or
indefinite information...
Akaka v. Yoshina, 84 Hawai'i at 387-388, 935 P.2d at 102-103,
6
FOR PUBLICATION IN WEST'S HAWAFT REPORTS AND PACIFIC REPORTER *
(internal quotation marks, internal brackets, and citations
omitted).
Upon considering a complaint contesting a general
election, this court “may invalidate the general . . . election
on the grounds that a correct result cannot be ascertained
because of a mistake or fraud on the part of the precinct
officials; or decide that a certain candidate, or certain
candidates, received a majority or plurality of votes cast and
were elected." HRS § 11-174.5(b).
When reviewing a motion to dismiss a complaint for
failure to state a claim upon which relief can be granted, the
court must accept plaintiff’s allegations as true and view them
in the light most favorable to the plaintiff; dismissal is proper
only if it appears beyond doubt that the plaintiff can prove no
set of facts in support of his or her claim that would entitle
him or her to relief, AELv. Bosque, 110 Hawai'i 318, 321, 132
P.3d 1229, 1232 (2006).
‘The court's consideration of matters outside the
pleadings converts a motion to dismiss into one for summary
judgment. Buscher v, Boning, 114 Hawas'i 202, 212, 159 P.3d 814,
824 (2007). Summary judgment is appropriate where there is no
genuine issue as to any material fact and the moving party is
entitled to a judgment as a matter of law, Silva y, City and
County of Honolulu, 115 Hawai'i 1, 6, 165 P.2d 247, 252 (2007).
Plaintiff Tataii made no showing that defendant
Abercrombie was under any obligation to debate plaintiff Tataii.
‘OR PUBLICATION IN WEST'S HAWATI REPORTS AND PACIFIC REPORTER
‘Therefore, the refusal to debate was not an error, mistake, or
irregularity that would change the results of the election for
£ Tataii
vu ve, District I. We hold that plaint
= Represen’
failed to meet his burden of demonstrating errors, mistakes, or
irregularities that could cause a difference in the election
results. The renedy of ordering 2 new election with televised
debates was not authorized by HRS § 11-174.5(b).
steve Tataii
plaintiff pro se Gor
Aaron #. Schulaner -
for defendant Bt inee—
Kevin 8. Cronin
Corianne W. Lau and Pesta Ene (ae EL
Shannon M-i, Lau (of
Aleson Hun!
Floya
& Ing) for defendant
Neil Abercrombie
Kane. Rul tr
| f4b61231202daae5377ef8aba40c06c38c8ebfc562a74afac90a0d9095528e9c | 2008-12-16T00:00:00Z |
f52e03a0-3a6c-45fe-8bf6-800cfeff911f | Office of Disciplinary Counsel v. Chun | null | null | hawaii | Hawaii Supreme Court | No, 29333
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
OFFICE OF DISGIPLINARY COUNSEL, Petitioner,
a
TERRIE CHUN, Respondent
Wavy 1 VHRON
uv
ORIGINAL PROCEEDING
(Dc 08-049-8692)
@2+1 K4 C- 24 eud
RECIPROCAL SUSPENSION ORDER
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of the Office of Disciplinary
Counsel's ex parte petition for issuance of reciprocal dis
notice to Respondent Terrie Chun, pursuant to Rule 2.15(b) of the
Rules of the Suprene Court of the State of Hawai'i (RSCH), the
memorandun, affidavits, and exhibits thereto, and the record, it
appears that: (1) on April 15, 2008, the Supreme Court of
California suspended Respondent Chun for two years for her
violation of Rule 3+-110(R) (failing to act competently) of the
California Rules of Professional Conduct? (2) RSCH 2.15(b)
requires issuance of notice and entry of an order imposing the
same or substantially equivalent discipline, or restrictions or
conditions upon the attorney's license to practice law in the
State of Hawai'i, unless Respondent Chun shall show cause under
RSCH 2.15(c) as to why imposition of the same or substantially
equivalent discipline should not be imposed; (3) Respondent Chun
did not respond to our Septenber 15, 2008 notice and order to
show cause; and (4) a similar discipline in this jurisdiction is
suspension for two years. Therefore,
aa
ID 1s
|EREBY ORDERED that Respondent Terrie Chun i:
suspended in the State of Hawai'i for two years. Notwithstanding
RSCH 2.16(c), Respondent Chun’s suspension is effective upon
entry of this order.
IT IS FURTHER ORDERED that Respondent Chun’ s
reinstatement in the State of Hawai'i is conditioned (1) upon
Payment of all costs of this proceeding, and (2) compliance with
the conditions imposed by the Suprene Court of California.
DATED: Honclulu, Hawai'i, December 3, 2008.
hhc HeCcrnse
Pracetes Naat tee
BN
Ga kts
| 59fa72b04b7feb681f2d10cfc1a2ee810f3a6ec7cdd437784f39b62b0e0f8284 | 2008-12-03T00:00:00Z |
9385771f-7355-4f4f-9cda-80a60b354068 | Eline v. Frank | null | null | hawaii | Hawaii Supreme Court | Wo, 29487
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
RICHARD C. ELINE, Petitioner,
61 230 6002
CLAYTON FRANK, Respondent
a0 3
SHAY
ORIGINAL PROCEEDING
Sie
ORDER
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of Richard C. Eline's petition for a
weit of habeas corpus, it appears that habeas corpus relief is
available to petitioner in the circuit court and petitioner
presents no special reason for invoking the supreme court’ s
original jurisdiction. See Qiliv, Chang, 57 Haw. 511, 512, 557
P.2d 787, 788 (1976). Therefore,
IT IS HEREBY ORDERED that the clerk of the appellate
court shall process the petition for writ of habeas corpus
without payment of the filing fees.
IT IS FURTHER ORDERED that the petition for a writ of
habeas corpus is denied without prejudice to seeking habeas
corpus relief in the circuit court pursuant to HRS § 660-3
(2993).
DATED:
Honolulu, Hawai'i, December 19, 2008.
Spr
ah licaI haste
Psa Cadtoe ee
aD
Gore Kutt dy
| 3dec9d790421c6340a6e57f9c8615a47d3f3fad68a16f26e42e013501a83aee6 | 2008-12-19T00:00:00Z |
18cdf398-6b7a-4a19-89f2-a4b5aef70574 | PIERCE v. THE STATE | null | S09A0663 | georgia | Georgia Supreme Court | In the Supreme Court of Georgia
Decided: NOV 23 2008
090663. PIERCE v. THE STATE.
NAHMIAS, Justice.
In 2005, a Cobb County jury convicted Baretta Harold Pierce of felony
‘murder and other crimes arising out of the shaking death of her gitlfriend’s four-
month-old baby, Donte West (Donte). The trial court denied Pierce's motion for
new trial, and Pierce appealed. For the reasons that follow, we affirm,’
1. The evidence at trial, viewed in the light most favorable to the
verdict, showed the following. Pierce met Candis West, Donte’s mother, in
* Pierce committed her erimes on January 24, 2004. The Cobb County grand jury indicted
hheron October 7, 2004. At the conclusion ofa jury trial conducted on October 19-25, 2008, the jury
acquitted Pierce of malice murder but convicted her of two counts of felony murder, two counts of
aggravated battery, and one count of cruelty to achild inthe first degree. ‘The second felony murder
‘conviction, one of the aggravated battery convictions, and the cruelty to a child inthe first degree
conviction merged into the first felony murder conviction. The trial court sentenced Pierce on
October 25, 2005, to life in prison for felony murder plus 15 years consecutive for aggravated
battery. Pierce filed a motion for new trial on October 28, 2005, and a supplemental motion on,
March 8, 2007, Following a hearing on March 27, 2008, the trial court denied the motion on April
10, 2008. Pierce filed a notice of appeal to the Court of Appeals on May 2, 2008, and an amended
notice of appeal on August 26, 2008, The Court of Appeals transferred the appeal to this Court on
January6,2009. The case was docketed inthis Court on January 7,2009, and submitted for decision,
‘on the briefS on March 2, 2008.
carly 2003 when West was three months pregnant with Donte. Pierce and West
became romantically involved, and a month later, Pierce moved in with West.
Pierce was abusive, both verbally and physically, throughout West’s pregnancy,
and she actively worked to isolate West from her family.
Donte was born six weeks premature, weighing just three pounds, 19
ounces. Pierce and West were eventually able to take Donte home from the
hospital, and Pierce’s domineering, abusive treatment of West was thereafter
visited on Donte as well. Pierce would yell and curse at the infant for crying,
pick him up by his pajama collar, spank him on the leg, and shake him. Pierce
prevented West from holding or nurturing her infant son, saying that it would
spoil him and turn him into a “punk.” The abuse continued for several months.
On the morning of January 24, 2004, Donte was especially fussy, cried
much, and refused to eat. Irritated by his crying, Pierce demanded that West
“shut him up, put his pacifier in his mouth, try to feed him.” West readied
Donte for daycare at Carla Echols’s apartment, and Pierce drove West to work
before heading to Echols’s apartment to drop off Donte.
Echols saw Pierce drive into the apartment complex’s parking lot. Five
or six minutes later, Pierce called Echols and told her that Donte would not
2
wake up. When Echols arrived at the car, Pierce was removing Donte from his,
car seat. According to Echols, Donte was “just limp” and “gasping for air.”
Pierce did not try CPR or ask Echols to call 911. Instead, she worried that the
Department of Family and Children Services would be notified, Donte was
nauseous, unresponsive, and slipping in and out of consciousness, and he
eventually became comatose. Echols’s daughter called 911, and Donte was
rushed to Scottish Rite Hospital. Donte suffered several seizures in the
ambulance.
At the hospital, the medical staff found that Donte had suffered severe
brain damage. There was bleeding in his head, around the brain, and in all three
layers of his retina. He also had extensive and severe optic nerve edema, or
swelling. Both his legs were broken, Donte died two-and-a-half weeks later
when life support was withdrawn. He was just four months old, After
conducting an autopsy, the medical examiner concluded that Donte died from
hypoxic-ischemic encephalopathy caused by violent shaking, or shaken baby
syndrome.
Viewed in the light most favorable to the verdict, the evidence presented
at trial was sufficient to authorize a rational jury to find Pierce guilty beyond a
3
reasonable doubt of the crimes for which she was convicted. See Jackson v,
Virginia, 443 U. S. 307, 319 (99 SC 2781, 61 LE2d 560) (1979).
2. Pierce contends that her convictions must be reversed because the
State suppressed color photos of Donte’s autopsy, which she claims were
exculpatory evidence under Brady v, Maryland, 373 U.S. 83,87 (83S. Ct. 1194,
10L. Ed. 2d 215) (1963). Pierce complains that the State turned over only black
and white copies, not color copies, which prevented the defense’s consulting,
forensic pathologist from being able to determine the time frames in which
Donte’s various injuries were sustained. Pierce claims that had the color copies
been made available to her, her consultant would have testified at trial and made
a compelling argument that Donte’s injuries occurred in the hospital and not
while he was with Pierce,
To prevail on a Brady claim, a defendant must show that: (1) the State
possessed evidence favorable to the defendant; (2) the defendant did not possess
the evidence and could not obtain it through reasonable diligence; (3) the
prosecution suppressed the favorable evidence; and (4) had the evidence been
disclosed to the defense, a reasonable probability exists that the outcome of the
proceeding would have been different. Blackshear v. State, 285 Ga. 619, 622
4
(680 SE2d 850) (2009). However, Pierce did not raise a Brady claim at trial or
in her motion for new trial, and she has therefore waived the right to raise this
objection on appeal. Jones v, State, 258 Ga. 249, 249 (368 SE2d 313) (1988).
Even if we overlooked Pierce's waiver, the claim fails on the merits. First,
Pierce did not show that the State suppressed the autopsy photos. Instead, the
iscovery certificate attached to the State’s supplemental disclosure stated
clearly that copies of the autopsy photos were being provided to the defense and
that the original autopsy photos were available for viewing. Pierce's failure to
examine the originals made available to her cannot be held against the State.
Second, even if the color versions of the photos had been suppressed,
Pierce has failed to show that there is a reasonable probability that their
disclosure to the defense would have altered the outcome of her trial ~ a
conclusion also dispositive of her related ineffective assistance of counsel claim
discussed below. Pierce argues that: (1) if her consulting forensic pathologist
had been able to review the color photos, he would have been better able to
determine when the infant's various injuries were inflicted; (2) trial counsel
‘would have then placed the consultant on the stand at trial, and he would have
opined to a reasonable degree of medical certainty that the injuries that led to
5
Donte’s death were inflicted at a time when the baby was not in Pierce’s care;
and (3) this opinion testimony would have been so compelling that it would
have convinced at least one juror to acquit. The recitation of Pierce's line of
argument reveals its entirely speculative nature.
Moreover, the affidavit from Pierce’s consulting forensic pathologist is,
to say the least, unconvincing. The affiant’s qualifications to offer expert
testimony in a case of this type are dubious.’ The opinions he offers in his
affidavit are inconclusive. The most he is willing to commit to is that “the
injury more probably occurred on January 21, 2004,” not three days later as the
prosecution contended at trial; that it is “conceivable” that Donte could have
been hurt by his mother because she was under great stress; and that the
chronology from the hospital “points to the baby-sitter as the perpetrator.”
Furthermore, the time line recited in the affidavit is contradicted by the time line
of events as established by the record evidence, and at some points in the
? The defense’s consultant, who styles himself “Robert Goldberg M.D., J.D." and claims to
bbe an expert forensic pathologist, isnot, in fat, licensed to practice medicine in the United States,
‘nor, a far as we can tll from the record, is he licensed to practice law inthe United States, He did
not complete an accredited pathology program, which takes four years, and he does not have the
training necessary to become a forensic pathologist. Nevertheless, because he is referred to as a
“forensic pathologist” in the record and Pierce’s brief on appeal, we refer to him in that manner
throughout this opinion.
affidavit, the affiant appears to have confused Pierce and her girlfriend, Donte’s
mother. Finally, the affidavit does not rule out the possibility that Pierce
inflicted Donte’s fatal injuries, as the jury found.
In fact, the lead prosecutor submitted an affidavit in connection with the
motion for new trial stating that he had personally spoken to the defense's
consulting forensic pathologist before Pierce’s trial to determine the subject
‘matter of his potential testimony. According to the lead prosecutor, in response,
the consultant “vehemently insisted” that he would not be called by Pierce to
testify at trial, he “laughed a little bit,” and he then “stated firmly that he actually
agreed with the State’s doctors’ reports and the theory of our case, ie., that per
the timeline of events and the medical evidence, the Defendant was the person
that committed the act that killed D[o}nte West.” In sum, given the speculative
nature of Pierce's argument for materiality and the weakness of the evidence she
offered in support of it, in contrast to the strength of the evidence against her,
she failed to demonstrate that there is a reasonable probability that obtaining the
color copies of the autopsy photos would have changed the outcome of her trial.
3. Pierce claims that her convictions must be reversed because the trial
court erred in allowing into evidence four supposedly inflammatory, prejudicial,
7
and duplicative photos of Donte in the hospital. She asserts that because the
baby’s injuries were all internal, the photos could not assist the jury by showing
the location and nature of his injuries, Pierce’s argument is based on a false
premise. The fact that Donte did not have external injuries bolstered the State's
argument that he died from shaken baby syndrome rather than some other cause,
Accordingly, the photos could assist the jury in determining the nature and
location of Donte’s injuries, and the trial court did not abuse its discretion in
admitting them. See Bradley v. State, 281 Ga. 173, 174 (637 SE2d 19) (2006).
4. Pierce argues that the trial court erred in denying her claim of
ineffective assistance of trial counsel. Ineffective assistance of counsel claims
are generally evaluated under the two-part test established in Strickland v,
Washington, 466 U.S. 668, 686 (104 S. Ct. 2052, 80 L. Ed. 2d 674) (2004). To
prevail, a defendant must demonstrate both that counsel’s performance was
professionally deficient and that, but for the deficiency, there is a reasonable
probability that the outcome of the trial would have been different. Id, at 687-
696; Jones v. State, 279 Ga. 854, 855 (622 SE2d 1) (2005). We need not
determine whether counsel's performance was deficient if we determine that the
prejudice prong is not satisfied in any event. Jackson v, State, 282 Ga. 494, 497
(651 SE2d 702) (2007).
The general requirement is that the defendant must “affirmatively prove”
prejudice, because “attorney errors come in an infinite variety and are as likely
to be utterly harmless in a particular case as they are to be prejudicial.”
Strickland, 466 U.S. at 693. Consequently, mere speculation on the defendant's
partis insufficient to establish Strickland prejudice, see Cormier v. State, 277
Ga, 607, 608 (592 SE2d 841) (2004), and counsel’s failure to raise a claim that
is meritlessis, by definition, not prejudicial, Hampton v, State, 282 Ga. 490, 492
(651 SE2d 698) (2007).
Pierce contends her trial counsel's performance was prejudicially
unprofessional in three respects. First, she points to trial counsel's failure to
obtain the color copies of the autopsy photos. Second, she alleges inadequate
investigation in waiting until 18 months after the crimes took place to secure
funds from the court to hire an investigator. These two claims are plainly
meritless. As explained in the discussion of her Brady claim in Division 2
above, Pierce has failed to show that there is a reasonable probability that the
‘outcome of the trial would have been more favorable to her had trial counsel
9
obtained color copies of the autopsy photos. Similarly, Pierce has failed to
allege, much less show, any harm to her defense from trial counsel’s alleged
undue delay in seeking funds from the trial court to hire an investigator.
Pierce’s failure to show Strickland prejudice is fatal to these two claims of
ineffective assistance of counsel.
Pierce's third claim of ineffective assistance of counsel involves trial
counsel’s failure to object, under Batson v, Kentucky, 476 U.S. 79 (106 S. Ct.
1712, 90 L. Ed. 2d 69) (1986), to the State’s alleged racially discriminatory use
of its peremptory strikes to obtain the all-white jury that convicted Pierce. In
denying the motion for new trial, the trial court stated that Pierce “failed to
provide any evidence as to the composition of the jury pool or the jury in this
case,” and that “[wJithout such evidence, it is impossible to tell whether (trial
counsel’s] failure to raise a Batson challenge prejudiced the defense.” The trial
court's summary of the record evidence, however, is not entirely accurate,
‘At the motion for new trial hearing, Pierce presented testimony from her
trial counsel, Kevin Joseph Rodgers, as well as the notes Rodgers took during
voir dire, Rodgers testified that his failure to raise a Batson claim at trial was
nota strategic decision, explaining that he intended to object but “just forgot to
10
keep track of it” after the third or fourth potential juror was questioned, On the
merits of the Batson issue, Rodgers testified that “[iJt’s hard to find a black juror
in Cobb County.” While he recalled that there were “five or six” African-
Americans among the 46 potential jurors questioned in voir dire (even though
his incomplete notes only indicated two African-Americans in the pool), no
African-Americans were selected to serve on the jury. Thus, Pierce did present
some evidence regarding the racial composition of both the jury pool and the 12
jurors and two alternates chosen to try her. Nevertheless, we will affirm the trial
court’s denial of Pierce’s motion for new trial under the “right for any reason”
rule if, despite its erroneous statement, the ultimate judgment was correct. See
Abdulkadirv. State, 279 Ga, 122, 125 n.16 (610 SE2d 50) (2005),
To succeed on her claim of ineffective assistance of counsel, Pierce was
required to show not only that trial counsel should have raised a Batson
challenge, but also that the challenge would have been successful. Batson
established a three-step process for ferreting out racial discrimination in jury
selection:
First, the defendant must make out a prima facie case “by showing
that the totality of the relevant facts gives rise to an inference of
discriminatory purpose.” Second, once the defendant has made out
n
a prima facie case, the “burden shifts to the State to explain
adequately the racial exclusion” by offering permissible race-neutral
justifications for the strikes. Third, “[i]f' race-neutral explanation
is tendered, the trial court must then decide . . . whether the
opponent of the strike has proved purposeful racial discrimination.”
Johnson v. California, $45 U.S. 162, 168 (125 S. Ct. 2410, 162 L. Ed. 2d 129)
(2005) (alterations in original, footnote and citations omitted). See also
Rakestrau v. State, 278 Ga. 872, 874 (608 SE2d 216) (2005).
The first step of the Batson inquiry is not particularly onerous; adefendant
need only “produc{e] evidence sufficient to permit the trial judge to draw an
inference that discrimination has occurred.” Johnson, 45 U.S. at 170. Pierce
presented evidence that she is African-American, that the State used at least one
peremptory strike to remove an African-American from the jury pool, that there
were “five or six” potential African-American jurors, and that the jury that
convicted her was all-white. In addition, Pierce’s counsel, an experienced
criminal defense attorney, testified that African-American jurors are a rarity in
Cobb County. See Johnson, 545 U.S. at 169 (noting “wide variety” of evidence
that can be enlisted to make out prima facie case of discrimination). See also
Miller-Elv. Dretke, 545 U.S. 231, 240-266 (125 S. Ct. 2317, 162 L. Ed. 2d 196)
(2005).
2
Pierce did not, however, show how many of the African-Americans in the
jury pool were removed by the State as opposed to being struck by the defense
or being among the final eight potential jurors, who were neither struck nor
selected to serve, because a jury of 12 with two alternates was chosen before
their numbers were reached in the jury selection process. Moreover, the record
shows that the defense struck at least two of the at most “five or six” African-
Americans in the jury pool, and of the two African-Americans Pierce identified
as having been struck by the State, one was actually struck by the defense.’
Thus, we cannot conclude that Pierce presented sufficient evidence for the trial
court to draw an inference of racial discrimination in the State’s use of its
peremptory strikes.
In addition, even if such an inference were drawn, the remaining record
is insufficient for us to conclude that the Batson claim would have been
successful. Had a Batson objection been raised at trial and the inference of
purposeful discrimination accepted, the burden would have then shifted to the
> Pierce's counsel testified that he was particularly surprised by the State's use of a
peremptory strike to remove an Aftican-American he thought would be an ideal juror from the
prosecution's standpoint: a retired veteran whose military experience consisted of prosecuting
‘lefendants in courts martil. As Rodgers pu it atthe motion for new tral hearing, “I thought
the State would love him.” Apparently the State agreed asthe record shows thatit was the defense,
not the State, that used a strike ~ indeed, Pierce's inal strike —to remove this potential juror.
B
State to come forward with race-neutral explanations for its peremptory strikes,
However, in the context of an ineffective assistance of counsel claim, it was
Pierce’s burden, not the State’s, to ensure that the trial court had sufficient
information to determine the merit of a Batson challenge. See Stanley v. State,
283 Ga, 36, 39 (656 SE2d 806) (2008) (holding that to show ineffectiveness
based on counsel's failure to file a motion to suppress, the defendant must make
a strong showing that the evidence would have been suppressed if the motion
had been filed, even though the States would have had the burden of proving the
search was lawful at a pre-trial suppression hearing). See also Rakestrau, 278
Ga, at 874 (“The ‘ultimate burden of persuasion regarding racial motivation
rests with, and never shifts from, the opponent of the strike.”” (citation
omitted).
Pierce did not call the prosecutors in her case to testify at the motion for
new trial hearing, nor did she seek their notes or other evidence from voir dire.
‘The trial court could have requested such evidence on its own, but it was not
required to do so. See Trammel v. State, 265 Ga. 156, 156 (454 SE2d 501)
(1995) (affirming where trial court, on motion for new trial, held sua sponte
Batson hearing at which State introduced race-neutral reasons for challenged
4
strikes). Absent this evidence, or at least the State’s response to Pierce's
attempts to gather this evidence,* the trial court had no way of knowing whether
the State could produce race-neutral explanations for whatever strikes it made
and, if so, of evaluating their credibility so that it could decide, at step three of
the Batson analysis, whether there was purposeful racial discrimination in the
selection of Pierce’s jury. Pierce's mere speculation that the State had no such
explanations, or that the trial court would have found the State’s race-neutral
explanations to be pretextual, is insufficient to establish a meritorious Batson
claim. See Johnson, 545 U.S. at 172 (“{S]peculation does not aid our inquiry
into the reasons the prosecutor actually harbored for a peremptory strike.”)
(citation and internal quotation marks omitted). Accordingly, the trial court did
not err in rejecting Pierce's ineffective assistance of counsel claims and denying
her motion for new trial.
“ See Johnson, $45 U.S. at 171 n.6 (“Inthe unlikely hypothetical in which the prosecutor
declines to respond to a trial judge’s inquiry regarding his justification for making a strike, the
‘evidence before the judge would consist not only of the original facts from which the prima facie
‘case was established, but also the prosecutor's refusal to justify his strike in light ofthe court's
request. Such a refusal would provide additional support for the inference of discrimination raised
bya defendants prima facie case”)
1s
| 06433d0d6799747ad336b05c745e8abf84d590a5d4f592a585495bbe93742da1 | 2009-11-23T00:00:00Z |
5e1ed538-5597-4940-8084-01272a8ed4a4 | State v. Iseke | null | null | hawaii | Hawaii Supreme Court | No. 27807
REME COURT OF THE STATE OF HAWAY'E
2 930 000d
Wa
z
neil Nd
STATE OF HAWAT', Respondent /Plaintiff-appelleg;
DONALD J, ISEXE, Petitioner/Defendant-Appellant
CERTIORARI 10 THE INTERMEDIATE COURT OF APPEALS
(HPD CR. NO. $D0502454)
aT OF CERTH:
(By: Moon, C.J., for the court")
Petitioner/defendant-appellant Donald J. Iseke’s
application for writ of certiorari, filed November 13, 2008,
hereby rejected.
DATED: Honolulu, Hawai'i, December 26, 2008.
ee
fipee—
Shier sustic (or ®y
SEAl
Cees
Considered by: Moon, C.., Levinson, Nakayama, and Duffy, 39.5
Acoba, J., Dissenting
| d5e413b97ed18a9734342d352004bc1ab1d28013e947fbca5ca76a118d9568cd | 2008-12-26T00:00:00Z |
ac0e9c19-305a-4638-8fef-396e8ec194ff | In re Harrison | null | 29412 | hawaii | Hawaii Supreme Court | No. 29412
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
IN RE: CRAIG S. HARRISON, Petitioner.
ORIGINAL PROCEEDING
ORDER DENYING PETITION TO RESIGN AND SURRENDER LICENSE
: Nakayama, Acoba, and Duffy, JJ.)
Moon, C.J., Levinson,
Upon consideration of Petitioner Craig S. Harrison’s
Petition to Resign and Surrender License, the attached
affidavits, and the lack of objections by the Office of
Disciplinary Counsel, it appears that the Petitioner Harrison's
motion to waive the $125.00 filing fee required by RSCH 1.10(b)
was denied on December 16, 2008, and Petitioner Harrison has not
paid the $125.00 filing fee. Therefore,
IT 18 HEREBY ORDERED that the petition is denied
Hawai'l, December 22, 2008.
DATED: Honolulu,
COsKY 22 930 eo
aad
| b7536b5ad15a4beb0f538a62e8f790a1c54ed28f35c0847134541b55f6221cc9 | 2008-12-22T00:00:00Z |
3e617ee4-4778-4f50-b618-ae09305ee459 | In re Coleman | null | null | hawaii | Hawaii Supreme Court |
No. 29515
IN THE SUPREME COURT OF THE STATE OF HAWAZ SIs
IN RE WILLIAM R. COLEMAN, Petitioner.
aang
3
ORIGINAL PROCEEDIN( S
5 6 s
8
(ey: Moon, C.J., Levinson, Nakayama, Acobs, and Duffy, JJ.)
Upon consideration of Petitioner William R. Coleman's
Petition to Resign and Surrender License, the attached
affidavits, and the Lack of objections by the Office of
Disciplinary Counsel, it appears that the petition complies with
the requirements of Rule 1.10 of the Rules of the Suprene Court
of the State of Hawai'i (RSCH). Therefore,
IT 1S HEREBY ORDERED that the petition is granted.
BP IS FURTHER ORDERED that Petitioner Coleman shall
return his original license to practice law to the Clerk of this
court forthwith. The Clerk shall retain the original license as
part of this record. Petitioner Coleman shall comply with the
notice, affidavit, and record requirements of sections (a), (b),
(a), and (g) of RSCH 2.16.
IT IS FINALLY ORDERED that the Clerk shall remove the
name of William R. Coleman, attorney number 2640, from the roll
of attorneys of the State of Hawai'i, effective with the filing
of this order.
DATED: Honolulu, Hawai'i, December 23, 2008.
in
Petes Coes ares
Goon
6 digs»
| 51f2c87852f617ccf678458cbbbd5a60eaca10c6dab888040834b70fa2920b1b | 2008-12-23T00:00:00Z |
6c4cc8c7-0c4d-4757-b1a7-6805525a206a | State v. McMillen | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
no. 28768
IN THE SUPREME COURT OF THE STATE OF
STATE OF HAWAI'I, Respondent-Appellee,
qate
"yeivi'd ViWuSt
ha 91 03000
YVONNE M. McMILLEN, Petitioner-Appellant =;
woah
¥
1
CERTIORARI 10 THE INTERMEDIATE COURT OF APPEALS
(CR. NO. 06-1-1685)
(By: Moon, C.J., for the court")
Petitioner-appellant Yvonne M. McMillen's application for
weit of certiorari, filed November 17, 2008, is accepted and will
be scheduled for oral argument. The parties w:
1 be notified by
the appellate clerk regarding scheduling.
DATED: Honolulu, Hawai'i, December 16, 2008.
yor Tz count:
J ATE
Lm By
SEAL ©
Re oe
Nakayama, Acoba, and Dutty, Jv
+ court: moon, ©:
| 0ed6625f4191fb5acaa9ba236e298390af15fd45f7be0b7ff13d184678771e4e | 2008-12-16T00:00:00Z |
18c180ff-4918-498c-b4b9-6a5e55f1fb4a | Pono v. Molokai Ranch, Ltd. | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
No. 28359
oa
PONO,
an unincorporated associations WALTER RITTE, JR.i
WAYDE LEE; MATTHEW ADOLPHO and JOSEPH KALIPT,
as individuals and members of PONO,
Petitioners/Plaintiffs/Counterclaim Defendants-Appellants,
and
HALONA KAOPU‘IKI,
Respondent /Plaintiff/Counterclaim Defendant-Appellee,
vs
MOLOKAI RANCH, LTD., a Hawai'i corporation,
Respondent /Defendant /Counterclainant~Appellee,
and
JAMES W. MOZLEY, JR.; CHARLES JENCKS, as an individual and in his
capacity as Director of the County of Maui, Department of Public
Works and Waste Management; LINDA CROCKETT LINGLE, as an
individual and in her capacity as Mayor of the County of Mavis
COUNTY OF MAUI, a governmental entity,
Respondents /Defendants~Appellees.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. 97-0383)
ORDER REJECTING APPLICATION FOR WRIT OF CERTIORART
(By!
Duffy, J., for the court")
Petitioners/Plaintiffs/Counterclaim Defendants-
Appellants Pono, an unincorporated association,
Walter Ritte,
Jr., Wayde Lee, Matthew Adolpho, and Joseph Kalipi, as
‘considered by: Moon, C.J, Levinson, Nakayama, Acoba, and Ouffy, JJ.
individuals and menbers of Pono’s application for a writ of
certiorari, filed on Novenber 20, 2008, is hereby rejected.
DATED: Honolulu, Hawai'i, December 29, 2008.
FOR THE COURT:
Gamen Balin»
Associate Justice
Alan T. Murakami,
David Kimo Frankel, and
Anthony f. Quan, Jr. (of
Native Hawaiian’ Legal
Corporation) for petitioners/
plaintiffs/counterclaim
defendants-appellants on the
application
Kenneth R. Kupchak,
Robert H. Thomas, and
Gregory W. Kugle (of
Damon Key Leong Kupchak
Hastert) for respondent/
defendant /counterciaimant-
appellee Molokai Ranch,
Ltd, on the response
Jane E. Lovell,
Deputy Corporation Counsel,
for respondents/defendants-
appellees Charles Jencks,
as an individual and in his
capacity as Director of the
County of Maui, Department of
Public Works and Waste Management;
Linda Crockett Lingle, as an
individual and in her capacity
as Mayor of the County of Maui:
and County of Maui, a governmental
entity, on the response
| f49906881eef923039275a2750d0d94340957d1bb69113fe1da3f9cc4486f274 | 2008-12-29T00:00:00Z |
82fb5eda-719c-4b6b-a683-1432439955c5 | Office of Disciplinary Counsel v. Ferrara | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
wo. 24083
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
OFFICE OF DISCIPLINARY COUNSEL, Petitioner,
CHRISTOPHER D. FERRARA, Respondent.
IM RE APPLICATION FOR REINSTATEMENT 0
CHRISTOPHER D. FERRARA
ORIGINAL PROCEEDING
(0D¢ 00-370-6716)
(By: Moon, C.J., Levinson, Nakayama, and Acoba, JJ., and Circuit
‘Judge Marks, in place of Duffy, J., recused)
Upon consideration of the record and the Disciplinary
Board's Report and Recommendation for the Reinstatement of
Christopher 0. Ferrara to the Practice of Law in this
jurisdiction, it appears that Petitioner Ferrara has proven, by
clear and convincing evidence, his rehabilitation, fitness to
practice law, competence, compliance with all applicable
disciplinary orders and rules, and compliance with other
requirements imposed by the court, as required by Rule 2.17(d) of
the Rules of the Supreme Court of the State of Hawai'i, and
should be reinstated to the practice of law. Therefore,
IT IS HEREBY ORDERED that Petitioner Christopher 0.
Ferrara’s Petition for Reinstatement is granted and Petitioner
Ferrara is reinstated to the practice of law in this
jurisdiction.
oats
IT IS FURTHER ORDERED that upon payment of all required
dues and registration fees, the Clerk shall restore Petitioner
Christopher D. Ferrara to the roll of attorneys eligible to
practice in the State of Hawai’
DATED: Honolulu, Hawai'i, December 24, 2008.
Yow
Desai OU Rawtiy rom
Melee S)
| 14b21267c27d3de34a354da221c952dcbf1247ef168334d17a7cbcec30c2f6be | 2008-12-24T00:00:00Z |
4374e45e-b0c8-482d-923d-60e52b92d2af | Doe v. Doe | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
No. 27062
IN THE SUPREME COURT OF THE STATE OF HAWAZ'T
soi Doe, Peistone/tton -Aoaoal
Respondent /Defendant-Appel agai
IW
JANE DOE,
g
3
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(FC-D NO. 95-2875)
(By: Moon, C.J., for the court")
Petitioner/plaintiff-appellee John Doe's application
for writ of certiorari, filed October 14, 2008, is hereby
rejected.
DATED: Honolulu, Hawai'i, November 14, 2008.
Charles T. Kleintop and FOR THE COURT:
Robert T. Nakatsuji (of
Kleintop, Luria & Medeiros),
for petitioner /plaintift-
appellee, on the
application
Steven J. Kim, for
respondent /defendant-
appellant, on the
response
3.) and
1 Considered by: Moon, ¢C.J., Levinson, Nakayama, and Acct
‘recused.
chreult Judge Wife, in place of Duty, J
| 6be53df20839310feb779acc24a4a44c25da4bdbd8cb76f532e4cbb3d9eaf7b9 | 2008-11-14T00:00:00Z |
cb1831c4-6aac-4eb0-81eb-305b081d6e75 | Office of Disciplinary Counsel v. Au | null | null | hawaii | Hawaii Supreme Court | No, 26517
IN THE SUPREME COURT OF THE STATE OF HAWAI‘T
OFFICE OF bISPLiMRE coMEEL, FeLLionen gy
vs aa
nn
PETITION TO AMEND ORDER OF SUSPENSION, | 2
8
(ove 96-242-470%, on0 97-213-H407, 98-0645)
Circuit Judge Crandall, in place of Acoba,
‘and Circuit Judge Wong, in place of Duffy, J., recused
upon consideration of the Respondent Ronald G.S. Aus
"Petition to Amend Order of Suspension, Filed June 7, 2005,"
which we treat as a motion made pursuant to Rule 27 of the
Hawai‘ Rules of Appellate Procedure, the Office of Disciplinary
Counsel’s response to Movant Au’s Petition to Amend Order of
Suspension, Movant Au's Reply to the Office of Disciplinary
Counsel’s response, and the record, it appears, upon careful
review of the record, that the August 25, 2006 Affidavit of Wayne
Yoshimoto does not recant the previous sworn testimony of Mr
Yoshimoto that he had a St runner’s fee agreement with Movant Au.
‘Therefore,
93s
IT IS HEREBY ORDERED that, pursuant to #
motion to amend the order of suspension is denied.
DATED: Honolulu, Hawai’
, December 17, 200
Ronald G.S. Au, G
Charles H. Hite,
Acting Chief 0iSciplinary
Counsel, for Office of Raut Grvueeney ae
Disciplinary Counsel i $a Cran
(nding
| bb10b17be55bcefb75e52898ad8e50bc28a1e833216239deae9a3895834877af | 2008-12-17T00:00:00Z |
5e287036-64b6-4a04-b991-869fd58cb3d0 | State v. Lucero | null | 28355 | hawaii | Hawaii Supreme Court |
No, 28355
IN THE SUPREME COURT OF THE STATE OF HAWAI‘ELIS
STATE OF HAWAI'I, Respondent /Plaintif£-Appellee
ADRIAN LUCERO, Petitioner/Defendant-Appellant
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CR.NO, 06-1-1011}
1G APPLICATION FOR WRIT
HO%6 KY OF zo ame
(By: Acoba, J., for the court")
The Application for Writ of Certiorari filed on
october 28,
is hereby rejected.
Honolulu, Hawai'i,
FOR THE COURT:
DATE! November 10, 2008.
James $. Tabe, Deputy
Public Defender, on
the application for
petitioner /defendant—
appellant.
+ Considered by: Moon, C.J., Levinson, Nakayama, Acoba,
betty, 37.
2008 by Petitioner/Defendant-Appellant Adrian Lucero
and
oss
| 19b4bf5d37665a3e71837eee7d34efc8e6c07b1e38be4ad49a9911f689e49da7 | 2008-11-10T00:00:00Z |
9e84f4b5-1110-4d35-9c6f-109cafdb181f | Martinez v. State | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
no. 29488
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
MARSHALL MARTINEZ, Petitioner,
ORIGINAL PROCEEDING
ORDER
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of Marshall Martinez's petition for
a writ of habeas corpus, it appears that habeas corpus relief is
available to petitioner in the circuit court and petitioner
presents no special reason for invoking the supreme court's
original jurisdiction. See Qili v, Chang, 57 Haw. 511, 512, 557
P.2d 787, 788 (1976). Therefore,
IT IS HEREBY ORDERED that the clerk of the appellate
court shall process the petition for writ of habeas corpus
without payment of the filing fees.
IT 18 FURTHER ORDERED that the petition for a writ of
habeas corpus is denied without prejudice to seeking habeas
corpus relief in the circuit court pursuant to HRS § 660-3
(2993).
DATED: Honolulu, Hawai'i, December 19, 2008.
Grom
SleAicrasen
Recsaaes Couto oo
Soe
Poe acs -
| 93994597154d7061c243962a7f84a02ff86be4f52a7a0bc914714ca375aa9ba0 | 2008-12-19T00:00:00Z |
6cc34e63-c4c4-4fba-a845-e92a11222625 | Association of Apartment Owners of 2987 Kalakaua v. Dubois | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
No, 27416
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
ASSOCIATION OF APARTMENT OWNERS OF 2987 KALAKAUA, by its Board of
Directors, Plaintiff/Counterciaim Defendant-Appellee,
ns
JOHN M. DUBOIS, and TIMOTHY M. PRINDABLE,2#),.
Defendants /Counterclainants-Appellants, =~ =
NOE Ns 22 230.000
osts
and
JOKN M. DUBOIS and TIMOTHY M. PRINDABLE,=3]/°
Third Party Plaintiffs, 3
ASSOCIATION OF APARTMENT OWNERS OF 2987 KALAKAUA, by its Board of
Directors, LOIS CANE, in her capacity as a member of the Board of
Directors, DIANNE NIELSEN, in her capacity as a member of the
Board of Directors, SHARON MINICHTELLO, in her capacity as a
member of the Board Of Directors, RICHARD DIEHL, in his capacity
‘a2 a member of the Board of Directors as well as in his
individual capacity, BONNIE PRIOR, in her capacity as a member of
‘the Board of Directors, TIMOTHY BARTON, in his capacity as a
member of the Board of Directors, and SUZANNE MACGILL, in her
capacity as a member of the Board of Directors and in her
individual capacity, Third Party Defendants.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(crv. No. 0-1-2060)
(By: Nakayama, J., for the court)
Petitioner-Appellant John M. Dubois’ application for
writ of certiorari filed on November 17, 2008, is hereby
ceceter 22, 2008, 65
eo
FOR THE COURT:
SEAL |
Shawn Ay Lutz
Pema 6 Neiyane te
for petitioner-appel lant
on the application
rejected.
DATED: Honolulu, Hawai'i,
Associate Justice Bory
considered by: Hoon, C.J., Levinson, Nakayama, Acoba, and Duffy, 9.
| 8953d7e1bc0ff3539bd4aa1835b272160409863ec1b6514cdefffcc2feb2ca80 | 2008-12-22T00:00:00Z |
aa299e3a-6b18-420a-bb41-c1a246f5b275 | Ornellas v. Kahoohalahala | null | 29476 | hawaii | Hawaii Supreme Court | LAW LIBRARY
No. 29476
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
JOHN W. ORNELLAS, Plaintife,
SOLOMON P. KAHO'OHALAHALA; ROY 7. HIRAGA, in his offigial
Capacity ee the County. Chet a'the County of Sagal BF
CRONIN, in his official capacity as chiefs
KEVIN B.
Election Officer of the State of Hawai'i; and—/=
DOES 1-20, Defendants.
ORIGINAL PROCEEDING
OF pisurs:
Moon, C.J., Nakayama, Accba and Duffy, JJ.
and Intermediate Court of Appeals Judge Foley,
in place of Levinson, J., recused)
Upon consideration of the complaint filed on
November 24, 2008, the amended complaint filed on November 26,
2008, and the motions to dismiss the complaints, it appears that
the complaints are styled as election contests brought pursuant
to HRS §§ 11-172 (1993) and 11-174.5 (Supp. 2007), but the
complaints challenge candidate Solomon Kaho'ohalahala’s
qualifications to be a member of the Maui County Council.
challenge to a candidate’s qualifications for county office must
be pursued in accordance with HRS § 12-8 (Supp. 2007), not HRS SS
11-172 and 11-174.5. Therefore,
IT 1S HEREBY ORDERED that the Novenber 24, 2008
complaint and the November 26, 2008 amended complaint are
Any
dismissed.
DATED: Honolulu, Hawai'i, December 15, 2008.
Z
Grr a
| 70a520e1c8d7367aba86d3f5c5c0a03bd0d919222a5fbab5094531f2225851f8 | 2008-12-15T00:00:00Z |
d0288250-3237-4ecf-9c67-480a0f097766 | In re Estate of Damon. | 119 Haw. 500 | null | hawaii | Hawaii Supreme Court | *** FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER ***
IN THE SUPREME COURT OF THE STATE OF HAWAI‘T
IN THE MATTER OF THE ESTATE
oF 8
SAMUEL H. DAMON, Deceasea <, &
(P. No. 8664) c3 8
ons
‘TRUST CREATED UNDER THE WILL
oF
SAMUEL M. DAHON, Deceased
(EQUITY NO. 2816-8)
No. 27132
court
APPEAL FROM THE FIRST CIRCI
DECEMBER 30, 2008
MOON, C.J., NAKAYAMA AND ACOBA, JJ..
IN PLACE OF LEVINSON, J., RECUSED,
CIRCUIT JUDGE ‘AYABE,
AND CIRCUIT JUDGE NISHIMURA IN PLACE OF DUFFY, J., RECUSED
QPINION OF THE COURT BY NAKAYAMA, J,
("Haig”)
Respondent-Appellant Christopher Damon Haig
appeals from the first circuit court's (“probate court’ s”)
2005 judgment in favor of Petitioners-Appellees
January 12,
("the Trustees”).! on
‘Trustees of the Estate of Samuel M. Damon
as best as we can discern, Haig asserts seven points of
appe
error that may be combined into two general points of error, as
follows: (1) the probate court abused its discretion by denying
his request to disqualify James Kawachika, Esq. as master
‘The Honorable Colleen K. Hirai preside
ILICATION IN WES!
HAWAII REPORTS AND PACIFIC REPORTER.
("Kawachika” or “Master”) of a petition that was filed by the
Trustees for approval of the 1993, 2000, 2001, 2002, and 2003
income and principal accounts (“Petition”), and (2) the probate
court erred in granting the Petition as recommended by the
Master’s report. For the reasons that follow, we hold that the
probate court abused its discretion when it denied Haig’s request
to disqualify the Master because a conflict of interest existed
between Kawachika and the Trustees. Accordingly, we vacate the
probate court’s January 12, 2005 judgment, and remand for further
proceedings consistent with this opinion.
T. BACKGROUND
A. Factual
ekground
On November 10, 1914, a testamentary trust was created
by the Last Will and Testament of Samuel M. Damon (“Trust”).
Samuel M. Damon died on July 1, 1924.
During the 1999-2003 accounting period, the Trustees
managed the Trust's agsets with roughly half of its value in
publicly traded securities and the other half in real estate.
‘The securities portion of the Trust's assets consisted mostly of
2138 interest in Bancliest Corporation’ common stock. The real
estate portion of the Trust’s assets consisted primarily of prine
industrial and commercial lands in Honolulu under long-term
* ancllest Corporation was formed 2a 2 result of the 1998 merger
between First Hawaiian, Ine. and Bank of the West
2
+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
leases, a sizeable cattle ranch on the island of Hawai'i, two
walnut ranches located in California, and an industrial property
located in California.
In 2001, the Trust sold its entire 13% interest in
BancWest Corporation common stock. In 2003, the Trust sold its
prime industrial and commercial land in Honolulu, tvo walnut
ranches, and a significant portion of real estate located on the
island of Hawai'i, The net proceeds from these transactions has
been reinvested into a diversified securities portfolio that is
being advised and managed by Goldnan, Sachs & Company.
B. Procedural Background
The relevant procedural background for this case is as
follows. On April 30, 2004, the Trustees filed the Petition in
Equity No. 2816-A and Probate No. 6664.
on May 4, 2004, the probate court filed an order
appointing James Kawachika, Esq. as Master for the Petition.
The probate court's order was filed pursuant to an “Amended order
of Pre-Petition Reference,” which was filed on July 17, 2003, and
stated that Kawachika “shall be appointed as Master for the
petition and respond thereto, upon the filing of the petition.”
On August 3, 2004, Haig filed a “Response” to the
Petition. Therein, Haig raised several concerns, which included
having “not been provided with a disclosure of potential or
actual conflicts of interest as required by a formal written
3
FOR PUBLICATION IN WEST'S HAWAl REPORTS AND PACIFIC REPORTER ***
conflict of interest policy” that was ordered by the probate
court in its amended “Order Granting Petition for Approval of
Income and Principal Accounts for the Period January 1, 19[)95
through December 31, 1997[.]” Haig also contended that “{t]he
duty of the beneficiary requires a comprehensive legal review of
potential or actual conflicts of interest . . . so they can be
reported and resolved in a formal manner pursuant to” the probate
court's amended order.
On November 3, 2004, the Master filed his “Report of
Master On Petition For Approval Of 1999, 2000, 2001, 2002, and
2003 Income and Principal Accounts.” In his report, the Master
stated, inter alia, that “[w)hile no interested person has
directly raised an issue regarding the implementation of the
Trust's conflicts of interest policy, your Master independently
does so now.” The Master then expressed his “concern about the
manner in which the Trustees’ individual conflicts of interest
are identified, disclosed, resolved and reported.”
on November 23, 2004, Haig filed a “Response” to the
Master's report for approval of the Petition. In his response,
Haig disagreed with the Master’s statement that “no interested
person has directly raised an issue regarding the implementation
of the Trust’s conflicts of intezest policy[.]” Additionally,
Haig asserted that the Trustees and Master failed “to disclose a
potential conflict of interest arising from the appointment of
FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER,
the Master,” inasmuch as the Master's law firm represented the
Trustees in two lawsuits “involving leases in the Mapunapuna
properties” while the instant Petition was being considered by
the probate court, Because Haig believed that the Master's law
firm's representation of the Trustees manifested a conflict of
interest, Haig as
ted at a hearing held on December 17, 2004,
that the “conflict of interest should disqualify the (Mjaster
from serving further in this matter.”
On January 12, 2005, the probate court filed its “order
Granting Petition For Approval Of 1999, 2000, 2001, 2002, and
2003 Income and Principal Accounts.” Therein, the probate court,
Anter alia, granted the “Accounts Petition . . . as recosmended
in the Master's Report, which is approved and adopted{.]”
Additionally, the probate court made the following pertinent
conclusions:
2. All requests for instructions, requests for
determisations, and objections raised in response to the
Recounts Petition, including with ¥e
potential conflict of interest by the Master,
Eeviewed by the (probate court] and are resected and denied,
except as set forth in paragraph 4 below,
4." As'recommended by the Master, the Trustees are
instructed to consider{} and consult with the Beneficsaries
regarding, whether the Oanon Estate's Conflicts af interest
Policy should be amended and inplenented in the following
respects:
8, To provide that all conflicts of interest
Gisclosures and the resolution of the
be fully reported in the Minutes of the
Trustess’ meeting: and
b. To provide that in the uritten
disclosures of any conflict of
interest, the Trustees may, in their
absolute’ discretion snd if they deem
Af to be prudent and advisable to do
5
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
so, withhold from disclosing any
information about pending Trust
matters?
5. As recommended by the Master, the Trustees are
cavtioned to be more circumspect in the waiver of disclosed
Conflicts of interest of any Trustee, especially where
Trustee nay be an officer or director of the corporation oF
entity which Ls doing business, oF proposes to do business,
With dr de otherwise negotisting with the Trust ox on the
Judgment was filed on the same day.
on February 11, 2005, Haig timely filed nis notice of
appeal.
IT, STANDARD OF REVIEW
A probate court has discretion to “appoint a master to
review any petition or dispute before the court and to report the
recommendations of the ma
x to the court.” HPR Rule 28 (a)
(2004) ("The court may appoint a master to review any petition or
dispute before the court and to report the recommendations of the
master to the court.” (Emphasis added.)). Accordingly, a
probate court's appointment of, and subsequent refusal to
disqualify, a master is reviewed under the abuse of discretion
standard. See TSA Int'] Ltd. v. Shimizu Corp., 92 Hawai'i 243,
252, 990 P.2d 713, 722 (1999) (stating that this court has
“adopt (ed) the abuse of discretion standard for reviewing a
judge’s denial of @ motion for recusal or disqualification”
(Block format and citation omitted.)). An abuse of discretion
occurs where the probate court “bases its ruling on an erroneous
view of the law or on a clearly erroneous assessment of the
6
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
evidence.” Id, (quotation marks and citation omitted).
IIT. DISCUSSION
A. Notwithstanding Haig’s Technical Non-compliance with Hawai'i
Rules of Appellate Procedure Rule 28(b) (4) (D), We Will
Consider the Merits Of His Conflict Of Interest Argument.
Preliminarily, the Trustees assert that Haig’s points
of error are in non-compliance with Hawai'i Rules of Appellate
Procedure (HRAP) Rule 28(b) (4) (2005) because they do not cite to
where in the record the alleged error was objected to, and, where
appropriate, include a quotation of the objection to the Master's
report. The Trustees further assert that, in light of these
errors, this court need not consider the merits of Haig’s
arguments, and should consequently affirm the probate court’s
judgment .
Haig's “STATENENT OF POINTS ON APPEAL” merely quotes,
with a single record citation to, six conclusions of the probate
court that he is assigning as error, as follows:
1. The Erobate Court erred in finding:
*. . . The Court hereby enters this Order Appointing
Master and Appoint Janse Fawachika, Geq. ae the taster
for the Petition who shall respond to auch Petition,
Sn accorcance with the farther order of the court.”
(4 May 2004) Ry at P.v. It, pp. aed
2, The Brobate Court erled in’ finding
TALL requests for instructions, requests for
determinations, and objections’ raises in response to
the Accounts Petition, including with respect to. an
sileged potential conflict of interest by the Master,
have been reviewed by the Court and are ejected and
Senied, except ae set forth in paragraph ¢ below
wv Rat Pus 16, pps 96-100.
3. fhe Probate Court effed ta fading
she Accounts Petition is granted, as recommended in
the Master's Report, which ie approved and adopted,
land the Response of the Guardian Ad Lites, which 19
approved and adopted to the extent that i¢ is
Consistent wien the Masters Report...” R. at P.V.
7
{++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
26, pp. 96-100.
4. The Probate Court erred in finding:
‘Te _incone and principal accounts and inventory of
the Samuel Mills Damon Estate are settled, allowed and
approved for the calendar years 1999, 2000, 2001,
2002, and 2003 5." R. at Pov. 16, pp, 96-100-
5, The Probate Court erred in finding:
TAs recomended by the Master, the Trustees are
instructed to consider{] and consult with the
Beneficiaries regarding, whether the Danon Estate's
Conflicts of Interest Policy should be amended and
implemented in the following respecte,
enP'TO provide that all conflicts ef interest
disclosures and the resolution of the sane be
fully reported in the Minutes of the Trustees’
meeting? and
b, Te'provide that in the written disclosures of
any conflict of interest, the Trustees ray, in
these absolute discretion and if they deem st to
be prugent and advisable to do so, withhold from
Gigelosing any sensitive or confidential
information about pending Trust matters
Re at P.V. 16, pp. 36-100.
6. Te Probate Court erred sn Ending:
DAs recommended by the Master, the Trustees are
cautioned to be more circumspect in the waiver of
Gisclosed conflicts of interest of any Trustee,
Gopecially where # Trustee may be an off
ctherwise negotisting with the Trust of on the Trust
Batters.” Re at P.V. 16, pp. 36-100.
RAP Rule 28(b) (4) (C) and (D) instructs that the
opening brief “shall” contain:
(4) A concise statenent of the points of error set
forth in separately numbered paragraphs. Each point ahalL
state: (i) the alleged error conmitted by the court oF
agency; (ii) where in the record the alleged error occurred:
na’ (14) wherein the record the alleged error uas opiectes
Dor agency. where applicable,
‘each pount ahali also include the following:
ic) non the point involves a finding or conclusion of
the court or agency, a quotation of the finding oF
conclusion urges as error
2)
her a aust the resort
(Emphases added.)
'* FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
All of Haig’s points of error do not comply with RAP
Rule 28(b) (4) (ii) inasmuch as they do not state “where in the
record the alleged error was objected to . However, with
regard to his first point of error, the required citation is in
fact located in his “STATEMENT OF THE CASE” section of his
opening brief. Therefore, although the required citation is
misplaced, Haig does include a citation to the record showing
“where . . . the alleged error was objected tof, )” which
sufficiently satisfies the requirements of HRAP Rule
28 (b) (4) (444).
With regard to his remaining points of error, Haig also
includes @ citation to the record showing “where . . . the
alleged error was objected to[,)” although these citations are
also located in the wrong section of his opening brief. See HRAP
Rule 28(b) (4) (444) However, Haig's remaining points of error
appear to dispute the probate court's approval of the Master’s
report, inasmuch as his record citation to “R. at P.V. 16, pp.
96-100" is the probate court’s “Order Granting Petition For
Approval Of 1999, 2000, 2001, 2002, and 2003 Income and Principal
Accounts.” Among other things, the probate court’s “order”
“approved and adopted” the “Accounts Petition . . . as
recommended in the Master's Report|.)" As such, Haig’s remaining
points of error trigger the additional requirement enunciated in
RAP Rule 28(b) (4) (D); namely, “when the point [of error]
involves a ruling upon the report of a master, a quotation of the
objection to the report” “shall” be included. The required
quotations have not been provided for in Haig’s opening brief.
In fact, in his reply brief, rather than attempt to cure this
{++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
error that was raised by the Trustees in their answering brief,
Haig attempts to justify his non-compliance by stating simply
that his objections “were too voluminous to quote but are cited .
This court has consistently held that failure to comply
with the requirements of HRAP Rule 28(b) (4) is alone sufficient
to affirm the circuit court's judgment. Morgan vy. Planning
Dep't, County of Kauai, 104 Hawai'i 173, 180, 86 P.3d 982, 989
(2004). Nonetheless, without expressing an opinion in regard to
Haig’s third through sixth points of error, his second point of
error on appeal appears to raise the same conflict of interest
issue as his first point of error. Because this court has
Yadhered to the policy of affording litigants the opportunity to
have their cases heard on the merits, where possible(,]” and the
misplaced record citations point to the conflict of interest
argument that Haig raised before the probate court, we will
consider the merits of this argument. Id, at 180-81, 86 P.3d at
983-90 (citation and quotation marks omitted) .
B. The Probate Court Abused Its Discretion By Denying Haig’
Request To Disqualify the Master Because It Clearly Erred In
Its Assessment Of the Evidence That Indicated That a
Conflict Of Interest Existed Between Kawachika and the
‘Trustees.
1. Aconflict of interest existed between Kavachika and
Haig asserts that the probate court erred in denying
his request to disqualify Kawachika as the Master of the Petition
because a conflict of interest existed between Kawachika and the
Trustees. Specifically, Haig asserts that Kawachika should have
qo
+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
been disqualified as the Master because of his firm's
representation of the Trustees in tvo unrelated cases while the
Petition was pending approval before the probate court.
At a hearing held on Decenber 17, 2004, the probate
court determined that, “{blased on the circumstances presented,
. no evidence has been presented to demonstrate that the
master’s impartiality might reasonably be questioned.” The
probate court reasoned further: “The master . . . conducted a
thorough and an independent review of the accounts and prepared
[hi]. . . report{] that assisted the (probate) court in its
review of the petition.” Although we do not question Kawachika’ s
performance of his duties as Master, we respectfully disagree
with the probate court's assessment of the evidence and its
determination that “no evidence has been presented to denonstrate
that the master’s impartiality might reasonably be questioned.”
In Straub Clinic & Hospital v. Kochi, 81 Hawai'i 410,
422, 917 P.2d 1284, 1286 (1996), an attorney in the “Torkildson
firm” represented Straub, Kapiolani Information Systems, and
Infotech in connection with the finalization of a joint venture
agreement between these three entities. Eventually, Straub,
through the “Torkildson firm,” filed a complaint against Pest
Marwick, who was engaged as @ consultant by Straub and the
“Kapiolani entities.” Id, During the litigation, Peat Marwick
filed a third party complaint against, inter alia, the “Kapiolani
nu
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
entities.” Id, at 413, 917 P.2d at 1287. The “Kapiolani
entities” then filed a motion to disqualify the “Torkildson firm”
from continuing to represent Straub because the “Torkildson firm”
had formerly represented the “Kapiolani entities” and had been
counsel for them in matters substantially related to the subject
matter of the complaint against Feat Marwick. Id, This court
ultimately held that the circuit court’s “*basis upon which [it]
rested its order of disqualification’ is not ‘clearly
insufficient’” inasmuch as the “substantial relationship test”
applied, the former representation of the “Kapiolani entities” by
the “Torkildson firm” was “substantially related” to the Peat
Marwick litigation, and the “Torkildson firm's” present and
former clients were “materially adverse” in that case. Id. at
415-17, 917 P.2d at 1289-91 (quoting Chuck v. St, Pau) Fire &
Marine Ins. Co., 61 Haw. 552, 558, 606 P.24 1320, 1324 (1980)).
Although the “substantial relationship” test does not
apply to this case, Straub Clinic £ Hospital is similar in
principle. Therein, this court discussed thoroughly the
distinction between the holding of Alleaaert v. Perot, 565 F.2d
246 (2d Cir. 1977) and HRPC Rule 1.9(a).? Straub Clinic & Hosp.,
81 Hawai's at 415-17, 917 P.2d at 1289-91. Pursuant to the
) REC Rule 1.3(a) provides that “[a] lawyer who has formerly
represented a client in'a matter shell not thereafter represent sncther persct
in the same or a substantially rel
are materially adverse to the int
Client consents after consultation.”
{+++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
Allegaert holding, “before the substantial relationship test is
even implicated, it must be shown that the attorney was in a
position where he could have received information which his
former client might reasonably have assumed the attorney would
withhold from his present client.” id, at 415, 917 P.2d at 1289
(quotation marks and citation omitted) (emphasis in original).
REC Rule 1.9(a), however, affords “broad{er] protections” than
the Alleaaert rule, inasmuch as “Rule 1.9(a), by its terms, is
not limited to situations where the former client would be harmed
by the possible divulgence of confidential information. It
imposes an ethical obligation irrespective of harm.” Id. at 416,
917 P.2d at 1290 (citing Koch v. Koch Indus., 798 F. Supp. 1525,
1535 (D. Kan. 1992) (block format and brackets omitted).
(RJules identical with BREC 1.9(a) () . . . prevent
even the potential that 9 former client's confidences and
Secrets may be used against his. Without such a rule,
clients may be reluctant to confide completely in thelr
attorneys. Second, the rule ss important for the
Maintenance of public confidence in the integrity of the
bar. Finsily, and importantly, a client has the right to
expect the loyalty of bis attcmney in the matter fer which
he is retained,
Id. (citation omitted). Therefore, by adhering to a standard
that prevents the mere “potential” for a breach of a former
client’s confidences, “Rule 1.9 is designed to address not only
the narrow need to protect a client's confidences, but also to
establish broader standards of attorney loyalty and to maintain
public confidence in the legal system.” Id, (citation omitted);
see Tione v. Smith, 621 F.2d 994, 999 (9th Cir. 1980) ("It is the
3
17 FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
possibility of the breach of confidence, not the fact of breach,
that triggers disqualification.”
A similar standard of preventing a mere “potential” of
a conflict of interest applies to masters in a probate
proceeding. Pursuant to the Hawai'i Probate Rules, a court~
appointed master “serve(s] as a representative of the court(,]”
Hawai's Probate Rules (HPR) Rule 28(a) (2004), whose role is to,
“[u]nless otherwise ordered by the court, . . . review the
operations of the fiduciary in light of the terms of the
controlling document, as well as the financial transactions of
the trust or estate.” HPR Rule 29 (2004). Additionally, “the
master shall submit a written report of the master’s findings to
the [probate] court and serve a copy on all interested persons.”
Id, It is in this capacity that the master essentially “serves
as the eyes and ears of the court,” id, cmt., and “shall be a
person who has no conflict of interest with any party or issue in
the proceeding.” HPR Rule 28(a). However, Hawaii's Probate
Rules do not indicate which conflict of interest rules would
apply to a master in a probate proceeding.‘
+ ie note that MPR Rule 42 (2004), entitled “Conflicts of interest,”
explains the attorney-client relationship where the client is a fiduciary for
anestate, guardianship, or trust. HPR fule 42 does not explain the conflict
Of interest rules applicable to a master, inasmuch az a master "shall serve ss
2 representative of the court...” APR Rule 28(2). Conteastingly, che
Mayai'i Rules of Professionel Conduct’ (HRPC) provides that (a) lawyer ‘ie @
representative of cliente, an officer of the legal system, and s public
citizen having special reaponeibiiity for the quality of justice.” BRFC publ.
(2004)
continue...
14
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
Haig suggests that we apply the conflict of interest
rules applicable to federal judges, inasmuch as a master has been
characterized by the federal courts as “an officer of [the]
judicial systen (who) perform(s] judicial functions(.1” Jenkin
VeSterlacci, 849 F.2d 627, 630 (D.C. Cir. 1988) (quoting CODE OF
JUDICIAL CONDUCT FOR UNITED STATES JUDGES 1-58) (quotation marks
omitted). Notwithstanding what the federal courts have held,’ we
continue
HER Rule 42 provides, in its entirety
(a) Fiduciary as Attorney's Client. An attorney
employed by a fiduciary for an estate, guardianship, OF
trust represents the fiduciary as client as defined in Rule
503(a) of the Hawaii Rules of Evidence and shall have all
the Fights, privileges, and obligations of che attorne:
Eliont relationship wich the fiduciary insofar as the
Eisueiary is acting ina fiducsary role for the Benefit of
one of more beneficiaries oF a ward.
(®) Reletionsnip to Beneficiaries, An attorney for an
estate, guardianship, or trust does not have an attorney~
Elient’ relationship With the beneficiaries of the estate or
Erust of the ward of the guardisnship, but shall owe a duty
to notity such beneficiaries or ward of activities of the
Hieuciary actually know by the attorney to be illegal that
threaten the security of the assets under aduinistration oF
the interest of the Beneficiaries
(c) Officer of Court. fn attorney for an estate,
guardianship, of trust 1s an officer of the court and
al
assist the court in securing the efficient and effective
‘an obligation to
actions auch as accountings and closing a probate estate are
performed timely. The attorney, after prior notice to the
igueiary, ahall have an obligation to bring te the
attention of the court the nonfeasance of the fiduciary.
(a) Sanctions. The court shall have the power and
authority £2 impose sanctions upon any attorney who fails to
properly carry sut the attorney's duties to the fiducsary,
Ehe beneficiaries or ward, and the court.
(stalies in original.)
+ We note that the federal circuits appear to apply two distinct
conflict of Interest standards to a court-appointed master. Whether a. federal
circuit applies either one standard of the sther appears £0 depend on the
continue.
18
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
believe that the rules and case law of this jurisdiction are
sufficient to adequately address the conflict of interest issue
in this case.
‘The section entitled “Application Of the Code Of
+. .continue
Gscunt of contvol that a trial court has in ite review of a master’s findings
‘on one level, several federal circuits have utilized an "actual Biss”
standard, as follows: "[D]isqualification [of a special master] is a matter
for the exercise of discretion by the (federal) district Judge, unless actual
bias has been denonstrated beyond reasonable possibility of disagreenent.”
Rigs J Enter, Ase’o Stegutitters Local Union €s8 of VAs, 860 F-2a 1168, 1174
(2a Car. 1968) (quoting Unised States v. Certain Parcels of Land, 364 F.2d
677, é8i [4en cir, 1967)) {quotation marks omitted) (brackets addled). Under
this standard, “[a] balancing of all considerations and probabilities should
be the function of the district court and, in review of its action, the test
should be wether abuse appears.” Jd, at 1174-75 (quoting United States
Lgeig, 308 F.2d 453, 457 (sth Cir, 1962)) (quotation marks omitted) (brackets
2dsed). The reasoning behind this standard is that “[slince masters and
Guperts are subject to the control of the court and since there is a need to
hie individuals with expertise in particular subject matters, masters snd
Oeperts nave mot been hela to the serice standards of Imparsialsey that are
Spplies to judges.” Zak at 1174. (quoting Moraan e, Kersigan, $30 F.24 401,
ibe (ist Cir.), sere. aenied, (26 U-S. 938 (1976) quotation marks omitted)
(brackets. added) ~
(Ga a separate level, in Jenking, the D.C. Circule disagreed with
Morgan’s reasoning and determined that, "at iesst insofar as special mestere
perform duties functionally equivalent to those performed by a judge, they
must be hela to the same standards ss Judges for purposes of
Gisqualification.” 643 F.2d at 631 n.1) ges Uniced Stateg 2, Werner, 916 F.2d
175, 177-78 (deh Cir. 1980), (qualifying ‘t= Certain Farcel® of Land decision
in Ligne of an amendment to a federal statute, and using Jenkins to explain
the disqualification standards enunciated in the statute) the Jenking
court's determination appears to be based primarily on (1) the American Sar
Association Code of Judicial Conduct for United States Judges, and (2) the
fact that the “special master’s factval findings . . . were seviswed by che
Gistrict court only for ‘clear error,’ as required by Rule $3(e) (2) of the
Feceral Rules of Civil Procedure.” See Jenking, £49 F-24 at 630-31
Given the complexities of the issues special masters
are frequently called upon to sort out, the closely disputed
Ensues of fact they must resolve... , and the “clear
error” standard governing the courte" review of their
Hindings, the district court's oversight of a special master
falls far short of plenary “control”; there is s range
within shich 2 special saster's partiality nay operate
Unchecked and uncheckable by the district court
Eds at 631, Because our rules and case Lew are sufficient to address the
Contlict of interest issue in this case, we need not exprass an opinion with
regard to the standards usea by the federal courts
16
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
Judicial Conduct” of the Revised Code of Judicial Conduct (RCJC)
(1992) provides, in pertinent part, as follows:
A, Anyone, whether or not @ lawyer, who is an officer
of a judicial system and who performs judicial functions,
Sneluaing an officer such'ss 8 magistrate, court
commissioner, special aaster or re! ‘but not including
arbitrators, ig-a sudde within the meaning of this Code.
All iudass hall comply with this Code exceot ar provided
below.
'B. Continving Part-time Judge. A continuing part~
tine judg
(2) is not required to comply
a) ‘except while serving as a judge, with
Section s(B) (3); ana
(B) at any tine with Sections 4C(2),
403), SEL), 48, 4G, 4H SAi2), and 5B
(2) shall ngt practice tay’ in the court on which
the judge serves.
©. time far Compliance, A person to whem this Code
becomes applicable shail comply imediately with all
provisions of this Code except Sections 40/2), #D(3) and 4E
(Emphases added.) Inasmuch as a “master” falls within the RCJC’s
definition of a “judge,”* the conflict of interest rules in the
Revised Code of Judicial Conduct applies to masters in a probate
Proceeding, which provides in part that “[a] judge must avoid all
impropriety and appearance(s) of impropriety.” RCJC Canon 2(A)
cont.
witIhere are certain fundanentals of just procedure
which are the same for every type of tribunal and every type
of proceeding.” R. Pound, Administrative Law 75 (1542)
(concedealy, 2 ‘fair trial ina fair tribunal is\a basic
Fequirenent of due process.’ in re Murchinson, 349 0.8.
133, 136... (198s). ss. Ofcourse, va Based
decisionnaker (is) constitutionally unscceptable(s]” Id. at
* __Elaborating further on those “who perform[] judicial funct ions [+]
the commentary states that “[t]he categories of judicial service in other than
a full-time capacity are ne:
warving # (Enpaasis edged.) in this
snd in Light of Rules 28 and 29 of the Hawai'l Probate Roles, we
that there is a substantive distinction betueen a “special
master," as that tern is used in the Revised Code of Jusicis! Condoct, end @
Snaster,""as that term is used in the Hawai’ Probate Rul
vv
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
47... But “ne one would argue seriously that the
diequatitication of (decteion-nakers] on grounds of actual
bigs. . . prevents unfairness in all cages.” State y
Bian, 70\#aw. 459, 467, 776 P.2d 1182, 1187 (1989) So
SGur syster of (justice) has sivaya endeavored to prevent
even the probability of unfairness.” in re Murchinson,
‘The Suprene Court teaches us too that justice can
sperform its high functson in the best, way (only if it
satisfies) “the appearance of Justice.'” Offutt 'v, United
Skates, 348 0.5. 11, 14 ‘Iie vurchinson, supra.
For in’ popular goverment, ‘justice must ot only be done
but must manifestly be seen to be done... =
y 1947] 2 KB. 321, 325.* "JosneAneLe
bar’ u.s. 123, 172 B13
Terankfurter, Ji, concurfiag) (1951)
Sussel_v. City & County of Honolulu Civil Serv, Comm'n, 71 Haw.
101, 107-08, 784 P.2d 867, 870 (1989) (brackets added and in
original) (ellipsis added and in original). Accordingly, “Iwle
have held that the test for disqualification due to the
tappearance of impropriety’ is an objective one, based not on the
beliefs of the petitioner or (adjudicator), but on the assessment
of a reasonable impartial onlooker apprised of all the facts.”
Inte Water Use Permit Applications, 94 Hawas's 97, 122, 9 P.34
403, 434 (2000) (quoting State v. Ross, 89 Hawai'i 371, 380, 974
P.2d 11, 20 (1998) (brackets in original and some quotation
marks omitted).
As such, the commentary to Canon 2(A) of the RCJC
provides that “[tJhe test for appearance of impropriety is
whether the conduct would create in reasonable minds a perception
that the judge’s ability to carry out judicial responsibilities
with integrity, impartiality and competence is impaired.”
Moreover, pursuant to Canon 3(8) (1) of the RCJC, “a judge shall
a8
1+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
disqualify himself or herself in a proceeding in which the
judge's impartiality might reasonably be questioned(
In the instant case, it is undisputed between the
parties that, on January 20, 2004, a complaint was filed in civil
no. 04-1-0106-01, which is entitied “Ronald Tadashi Uemura and PH
Corporation, dba Hawaii Performance Warehouse and Ron’ s
Performance Center, a Hawaii Corporation v. Estate of Samuel
Mills Damon, aka Estate of Samuel M. Damon{.]*? On March 5,
2004, @ complaint was filed in civil no. 04-1-0421-03, which is
entitled “Island Demo, Inc., a Hawait Corporation v.
Trustees of the Estate of Samuel M. Damon, deceased{.]””
Apparently, Kawachika’s law firm was “being retained and paid by
First Insurance Company of Hawaii, Ltd. . . . to defend its
insured, the Estate, in [these] cases.” Additionally, the firm
“is on the approved panel of attorneys retained by First
Insurance and regularly defends insureds of First Insurance.”
Further, it appears from the record that these cases were being
litigated while the Petition was pending approval before the
probate court.*
>to resterate, the Trustees flied the instant Petition on April 30,
2008. On May 4, 2004, the probate court filed an order appointing Janes
Kawachika, Esq. as Master for the Petition
* the Trustees admit that Arthur Reinwald of the same law firm
represented Haig in the past. However, it does not appear that Haig is
asserting that a conflict of interest exists because of arthur Reinwald’s
Prior representation of his. instead, he ig asserting that a conflict of
[nterest exists because of Sawachila’s law firm's representation of the
cont nue.
1s
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER **
The Trustees assert that the Master did not have a
conflict of interest because the “Trustees’ interests were
aligned with the interests of the beneficiaries with respect to
the defense of Damon Estate’s interests.” However, the issue in
this case is not whether the Trustees’ and beneficiaries’
interests are “aligned” with one another, but whether Kawachika’s
“representa[tion] of the court” as Master of the Petition, ase
HPR Rule 28(a), and his law firm's simultaneous representation of
the Trustees in civil nos. 04-1-0106-01 and 04-1-0421-03
constituted a conflict of interest under the Revised Code of
Judicial Conduct warranting Kawachika’s disqualification as
Master of the Petition.
Although a master in a probate proceeding is neither a
“decision-maker” nor an “adjudicator,” see Sussel, 71 Haw. at
107-08, 781 P.2d at 870, a master's role is to assist the probate
court in the disposition of the proceeding. Sea HPR Rule 28(a);
HPR Rule 29. As such, a master provides, at the probate court's
discretion, see HPR Rule 28(a), needed services within Your
system of [justice], which “has always endeavored to prevent
even the probability of unfairness.” Sussel, 71 Haw. at 107, 782
P.2d at 870 (block format and citation omitted). In this regard,
“justice must not only be done but must manifestly be seen to be
continue
‘Tustees in two unrelated cases while the Petition was pending approval by the
probate court.
20
+++ FOR PUBLICATION IN WEST'S HAWAl REPORTS AND PACIFIC REPORTER *
done... ." Id, at 108, 781 P.2d at 870 (block format and
citation omitted). For these reasons, a master “shall be a
person who has no conflict of interest with any party or issue in
the proceeding[,]” HPR Rule 28(a), and, consequently, a master
shall be disqualified “in a proceeding in which [his]
impartiality might ©
sonably be questioned{.)” RCJC Canon
aie) (a).
The Trustees filed the instant Petition on April 30,
2004, which sought the probate court’s approval of the 1999,
2000, 2001, 2002, and 2003 income and principal accounts.
However, ag explained above, while the Petition w:
pending
approval before the probate court, Kawachika’s law firm was
“being retained and paid by” an insurer “to defend its insured,”
the Trustees, in civil nos, 04-1-0106-01 and 04-1-0421-03.
During the probate proceedings, Kawachika was appointed by the
probate court as Master of the Petition. In this capacity,
Kawachika’s role, “as a representative of the court,” HER Rule
28(a), is to “serve[] as the eyes and ears of the court” by
objectively “xeview(ing] the entire scope of the fiduciary’s
performance during the accounting pericd pursuant to the
governing instrument.” HER Rule 29 ont. Inasmuch as “our system
of [justice] has always endeavored to prevent even the
probability of unfairness,” Sussel, 71 Haw. at 107, 781 P.24 at
870, we hold that Kawachika’s law firm's representation of the
ai
‘** FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER.
Trustees in civil nos. 04-1-0106-01 and 04-1-0421-03 while the
Petition was pending approval before the probate court “would
create in reasonable minds a perception” that Kawachika's
“impartiality might reasonably be questioned.”* RCJC Canon 2(A);
RCJC Canon 3(E) (1); see Sussel, 71 Haw. at 107-08, 781 P.2d at
870; see also Straub Clinic 4 Hosp,, 81 Hawai'i at 415-17, 917
P.2d at 1289-91. Therefore, the probate court abused its
discretion by denying Haig’s request to disqualify the Master
because a conflict of interest existed between the Master and the
Trustees. See HPR Rule 28 (a).
2. The Trustees’ assertions are without merit.
The Trustees also assert that Haig neither (1) made a
sufficient objection to the Master’s report, (2) “demonstrate(d]”
that the Master was “bias(ed), prejudice[d], or partial{],” nor
(3) filed an “affidavit” for disqualification of the Master.
‘The applicable standard, as discussed above, is as follows:
“(t]he test for disqualification due to the ‘appearance of
impropriety’ is an objective one, based not on the beliefs of the
petitioner or [adjudicator], but on the assessment of a
+ Both before the probate court and on appeal, the Trustees aver
‘that, curing the “pre-Petition stage” in 2003, an wethical wall” was “erected
between the Master and other menbers of his fizm with respect to banon Estate
matters.” However, a2 expresses by this court in Otaka, tne. v Klein 71
Haw. 376, 387 4 nyé, 29% Ped 713, 719 & ned. (L990) e MTaTeras Foe PRR he
“Chinese' wail! defense to iaw firm cisqualification'{s applicable” in a case
auch as this where, “(olnce the attorney 18 found to be disqualified...
Both the attorney and the attorney's firm (must be] disqualified
(Brackets omitted end in original-)=
22
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
reasonable impartial onlooker apprised of all the facts.” in re
Water Use Permit Applications, 94 Hawai'i at 122, 9 P.3d at 434
(citation and quotation marks omitted) (brackets in original)
(emphasis added) .
Prior to July 1, 2004, HPR Rule 3 provided, in
pertinent part, as follows:
(a) Form.
For purposes of these ules,
Sh epplication in an informal proceeding ia 3
petition, unless the context of the rule indicates
Stherwise
sbiection Persons may file
Sr their plessings.
(b) Filings in Response co Petition. opposition
to any or all of the relief prayed for ina petition
Shall be sn the form of a written objection.
Opposition to an application in an informal proceeding
shall also be made by filing a petition for formal
proceedings ue 2
wuitten response toa petition if they donor
Recessarily object Tos petition but desire to s!
on the record their position, or if they desire to
xalse additional issues chat are related to the
penition-
‘memorandum in support
(Emphases added and italics in original.)
HPR Rule 3 vas amended on May 17, 2004, with the
amendaents becoming effective on July 1, 2004. As amended, the
pertinent portions of HPR Rule 3 provides, as follows:
(a) Form. There shall be a petition anda
For parpores of these Poles,
En application in an tnformal proceeding 22 3
Betition, uniess the context of the rule indicates
Sthervise. Persons nay tile s icinder, response, ob
abiect: pesser
Persons nay Tile a-nencrandon in support of their
pleadings
(b) Filings in Response to Petition ox Master's
Revoxt. "Goposition to any or all of the relie!
prayed for in a petition,
Shall be in the form of a -eritreneeiestioe
Opposition to an application in an informal proceeding
shall also be made by filing a petition for formal
23
{++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
proceedings. Interested persons aay aleo file a
auart Uf they do not necessarily object to a petieicn
1 ut desire to state on
ee esonad savas hat ase elated to the oexition or
(Emphases added and italica in original.)
On Novenber 23, 2004, Haig filed a “Response . . . To
Report Of Master On Petition For Approval Of 1999, 2000, 2001,
2002, and 2003 Income and Principal Accounts.” Therein, Haig
brought to the probate court's attention facts pertinent to
Kawachika’s law firm's representation of the Trustees in civil
nos. 04-1-0106-01 and 04-1-0421-03, Because of these facts, Haig
asserted that the Master had a conflict of interest with the
Trustees. Therefore, contrary to the Trustees’ assertion that
Haig failed to “demonstrate” that the Master was “bias(edl,
prejudice(d], or partial (1,” Haig has alleged sufficient facts
for a “reasonable impartial onlooker” to reach a determination
regarding whether @ conflict of interest existed between
Kawachika and the Trustees. See In re Water Use Permit
Applications, 94 Hawai'i at 122, 9 P.3d at 434.
Additionally, although Haig did not file an “affidavit”
to disqualify the master, HPR Rule 3(b) provides that an
“interested person” may file a “response” “to raise additional
issues that are related to the petition.” A master’s
impartiality is clearly an issue that would be “related to .
24
* FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER.
the master’s . . . report.” See HPR Rule 3(b). Tnasmuch as
Haig’s cbjection was included in his “response” to the Master's
report, Haig was essentially asserting that the probate court
should not accept the Master’s report because the Master had a
conflict of interest with the Trustees." See HPR Rule 28(a)
("The master... shall be a person who has no conflict of
interest with any party or issue in the proceeding.”); HPR Rule
3(b). Logically, the Master would have b
fn disqualified had the
probate court concluded that a conflict of interest existed. see
HPR Rule 28(a). Therefore, the Trust:
" assertions that Haig
neither made a sufficient objection nor filed an “affidavit” for
disqualification are without merit.
Haja's conflict of interest argument was timely made,
‘The Trustees assert that Haig’s conflict of interest
argument is untimely because (1) six months elapsed between his
objection and the time that he vas informed of the Master’s law
firm's representation of the Trustees, and (2) his objection was
made only after the Master filed his report and “conducted
several months of investigation.” The Trustees contend that a
May 7, 2004 letter that contained the “Minutes of Trustees’
Meetings,” which were held on nunerous days, “noted that First
Insurance had retained Mr. O'Conner[, who is an attorney in
% We note that both the Master and the Trustees f41ea, on December
4, 2008, 2 “reply” to the “responses” to the Master's report, ‘Therein, Doth
the Master and the Trustees rebutted Haig’s conflict of interest argument
25
"OR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
Kawachika’s law firm,] to defend the Estate.”
Haig responds that the Trustees’ purported notification
through the May 7, 2004 letter is insufficient to constitute
notice. Haig also contends that the earliest day that he was
sufficiently notified of Kawachika’s law firm's representation of
the Trustees was by a letter dated November 17, 2004, or five
days before he filed his “response” to the Master's report. In
this November 17, 2004 letter, Kawachika, in response to a prior
letter sent. by Haig, informed Haig of civil nos. 04-1-0106-01 and
04-1-0421-03.
This court has held that “(aj party asserting grounds
for disqualification must timely present the objection, either at
the commencement of the proceeding or as scon as the
disqualifying facts become known.” In re Water Use Permit,
Applications, 94 Hawai'i at 122, 9 P.3d at 434, Further to this
point, “[t)he unjustified failure to properly raise the issue of
disqualification . . . forecloses any subsequent challenges to
the decisionmakers’ qualifications on appeal." Id.
Assuming arguendo that the May 7, 2004 letter is
sufficient to constitute notice of “the disqualifying facts{,]”
the facts of this case do not indicate that the timing of Haig's
objection constituted “a matter of deliberate and strategic
choice.” See id, at 123, 9 P.3d at 435 (“Despite its awareness
of Wilson's dual status, WWCA, apparently as a matter of
26
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
deliberate and strategic choice, never sought Wilson's
disqualification. WWCA cannot now raise the matter as grounds
for overturning the Commission’s decision.”).
Indeed, “[t)he
requirement of timeliness prohibits knowing concealment of an
ethical issue for strategic purposes.” Id. (citation and
quotation marks omitted).
In this case, Haig filed his “response” to the Master’s
report on November 23, 2004, which included his conflict of
interest objection. Both the Master and the Trustees filed, on
December 7, 2004, a “reply” that responded to Haig’s conflict of
interest objection. At a hearing held on December 17, 2004, the
probate court considered the conflict of interest arguments and
responses made by each party. On January 12, 2005, the probate
court filed its order granting the Petition and denying Haig’ s
conflict of interest objection. In light of the procedural
history of this case, we cannot say that “knowing concealment”
occurred. See Office of Disciplinary Council v. Au, 107 Hawai'i
327, 339, 113 P.3d 203, 215 (2005) (*Litigants cannot take the
heads-I-win-tails-you-lose position of waiting to see whether
they win and if they lose moving to disqualify a judge who voted
against them.” (Citation and quotation marks omitted.)).
Finally, on July 17, 2003, Kawachika’s appointment as
Master was conditioned by the probate court “upon the filing of
the [Pletition.” Civil nos, 04-1-0106-01 and 04-1-0421-03 were
20
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
filed on January 20, 2004, and March 5, 2004, respectively. The
Petition was filed on April 30, 2004. At the earliest, the
Trustees admit that the “disqualifying facts” of Kawachika’s law
firm's representation of the Trustees in civil nos. 04-1-0106-01
and 04-1-0421-03 becane known to Haig on May 7, 2004, which is
three days after the probate court filed its order appointing
Kawachika as Master of the Petition.
Although Haig made his objection after both the probate
court's May 4, 2004 order appointing Kawachika as Master and the
Master’s completion and filing of his report, the “disqualifying
facts” must have been known to Kawachika’s law firm prior to the
filing of both the Petition and the May 4, 2004 order. Yet,
these facts were not disclosed to Haig until after the probate
court filed its order appointing Kawachika as Master of the
Petition. Consequently, we also cannot say that Haig “knowingly
ed” his objection for “strategic purposes” in order to
disqualify the Naster as a “heads-I-win-taile-you-lose
position[.)" See id.; in re Water Use Permit Applications, 94
Hawai'i at 123, 9 P.3d at 435.
IV. concLusroN
Although we do not question Kawachika’s capability to
effectively perform his responsibilities as Master of the
Petition, for reasons discussed above, the facts of this case
reasonably give rise to a perception that Kawachika’s
28
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
impartiality might reasonably be questioned. Therefore, based
upon the foregoing analysis, we vacate the probate court's
January 12, 2005 judgment, and remand for further proceedings
consistent with this opinion.”
on the briefs
Frederick. G. Riecker
and John L, McDermott
for Appellant Christopher
Damon Haig
J. Thomas Van Winkle,
Katherine G. Leonard’ and
Joanne L. Grimes of Carlsmith
Ball LLP, for Appellees Trustees
of the Estate of Samuel M.
Damon, Deceased
renati
1g poines of error 18 unnece:
ey:
29
In light of the foregoing disposition,
Bese np
Hiedin~
sideration of Haig’s
| 683970f8cc6c3550c19abb1224de7f78ae971322ee6022b7a237247a7ac652bb | 2008-12-30T00:00:00Z |
4c309472-6ae2-4afe-85df-8a4a64e48c53 | Captain Andys Sailing, Inc. v. Department of Land and Natural Resources, State of Hawaii | 119 Haw. 323 | null | hawaii | Hawaii Supreme Court | LAW UBRaRY
++" NOT FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
No, 27355
IN THE SUPREME COURT OF THE STATE OF HAWAI‘T
CAPTAIN ANDY'S SAILING, INC., a Hawai'i corporation,
Plaintiff-Appellant,
DEPARTMENT OF LAND AND NATURAL RESOURCES, STATE OF HAWAT‘T;
LAURA H. THIELEN, Director of the Department of Land and Natural
Resources and Chairperson of the Board of Land and Natural
Resources, State of Hawai'i; ED UNDERWOOD, Administrator,
Division of Boating and Ocean Recreation, Department of Land and
Natural Resources, State of Hawai'i; and JOSEPH BORDEN, Kauai
Division of Boating and Ocean Recreation,
District Manager,
Department of Land and Natural Resources, State of Hawai'i,
Defendant s-Appellees,
and
TERRY DONNELLY AND BLUE DOLPHIN CHARTERS,
Intervenor Defendants-Appellees.
z
g
a
=
3
=
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Plaintiff-Appellant Captain Andy’s Sailing, Inc.,
(“CASI”) appeals from the first circuit court's’ ("circuit
court”) May 18, 2005 final judgment in favor of defendant-
appellee Department of Land and Natural Resources, State of
Hawai'i ("DLNR”) and intervenors-appellees Blue Dolphin Charters,
("ppc") and Terry Donnelly (“Donnelly”) (collectively
Ltd.
referred to as “Intervenors”) and against CAST. Final judgment
‘the Honorable Victoria &. Marks presided
oss
*** NOT_FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
was entered pursuant to the circuit court’s April 6, 2005
“Findings of Fact and Conclusions of Law,” which concluded that:
(1) CAST lacks standing to claim declaratory relief from BDC
operating at Kukuiula Small Boat Harbor without a commercial
permits (2) BOC is entitled to a conmercial permit at Kukuiula
Small Boat Harbor subject to applicable law and regulations: and
(3) “vessels that have both a commercial and a regular mooring
permit for use of a (DLNR] small boat harbor (must) pay a [two
percent} commercial fee," from all the revenue they earn. The
final judgment also granted DLNR's motion for costs against CASI
under HRCP Rule 54(d)? and Hawai'i Revised Statutes ("HRS") §
607-9.
+ RCE ule S¢(d) provides, “Except when express provision therefor
As made either ina statute or in these rules, costs ghall be allowed as of
course co the prevailing party unless the court othermise directa.” (Eephasis
adaed.) The Language of this role
creates 2 strong presumption that the prevailing party will
Fecover costs... +. The presumption that the prevailing party
is entitled to costs must be overcone by some showing that sn
award would be inequitable under the cifcunstances, The losing
party bears the burden of making this showing
Polaua v, GIE Wevaijan Tel, 112 Hawai'i 3, 19, 243 P34 1205, 1221 (2006)
quoting Bona v. Takeuchi, 86 Hawaii 46°52," 961 P24 611, 617 (1998))
HRS § 607-9 specifies that
a1L1 actual disbursenents, including bet not Limited to,
Intragtate travel expenses’ for witnesses and counsel, expenses for
deposition transcript originals and copies, and other incidental
expenses, including copying costs, intrastate long distance
telephone charges, and postage, sworn to by an attorney oF 8
party, and dered reasonable by the court,
Tndetemmining whether and what coats should
be taxed, the court nay consider the equities of the situaticn.
‘+14 NOT_FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER ***
on appeal, CASI argues‘ the circuit court erred by
ruling in favor of Intervenors’ commercial permit, inasmuch as
(2) CASI, a competitor of BDC, has standing to challenge BDC’s
Kukuiula Small Boat Harbor commercial permit because “it can be
reasonably inferred that CASI’s business opportunities suffered a
corresponding reduction": (2) the circuit court lacked
jurisdiction to rule that Intervenors had a right to the Kukuiula
Small Boat Harbor conmercial permits and (3) Intervenors’
commercial permit for Kukuiula small Boat Harbor is not permitted
under Hawai'i Administrative Rules for small boat harbors ("HAR")
§ 13-231-88 (1994). CASI further argues that (1) interpreting
HAR § 13-234-25 (1994) as requiring @ permittee to pay two
percent of its gross receipts “exceeds [DLNR’s) authority under
(HRS §] 200-10, is inconsistent with the policies underlying that
provision and works @ result that is at once absurd and unjust,”
and (2) CASI’s claim to a refund of the use fees for Kukuiula
Small Boat Harbor is not exclusively governed by HRS § 40-35.
Finally, CASI asserts that, based on the equities of the case,
the circuit court abused its discretion by awarding DLNR, the
3 added.)
(Eapne:
*cxSt enumerates six Eindings of fact in its pointe of error
section that do not have 2 correspanding “argument” section. Therefore, each
Of these points is deemed waived. ge HRAP Rule 26(b)(7) ("Pointe not argued
may be deened waived.”
*** NOT_FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER ***
prevailing party, $4,037.83 in costs.
Upon carefully reviewing the record and the briefs
submitted by the parties and having given due consideration to
the arguments advanced and the issues raised, we hold that:
(2) the circuit court properly concluded that CAST
lacked standing* to participate in Intervenors’ declaratory
action seeking a judgment that they are entitled to a Kukuivla
Harbor commercial permit. CASIs claim of standing to challenge
Intervenors’ permit is “abstract, conjectural, or merely
+ to establish standing, 2 plaintit# must satisfy the following
elenents of the traditional injury-in-fact test: "(1) has the plaintife
Suffered an actual or threatened injury? (2) 1a the injury fairly traceable to
the defendant's actions; and (3) would & favorable decision likely provide
Felsef for plaintit#’s injury.” a ets. Hawes.
255, 325, 167 F.3d 292, 312 (2007) festnote and ellipses in original
omitted), In addition, there are “less stringent requirements for access and
participation in the court procese” when establishing standing in an action
for deciaratory relief. Mottl v. Wivahicg, 95 Hawai'i 381, 389, 23 P.3a 716,
724 (2001), “Although HRS $€32°7, {which grants a circuit court Jurisdiction
for declaratory relzef}] provides for standing £0 sus "(i]n cases of actual
Controversy,”
[the] porpose [of MRS chapter 632] is to afford relief...
without requiring one of the parties interested so to invade the
Fights asserted by the other ae to entitle the party to maintain
anordinary action therefor. “It is ta be Libersily interpreted
ang acnsnistares, with s view to making the courts more
reiceable to the people
‘SUbinens tox Protection of M. Kohala Coastline © county of Hauai's
Citizens"), $1 Reward 94, 100, 979 F-24120, Tie C998) quoting Richard
Up tistcald, 62 Rawai'i 249,254 5.12, 921 P.24 169, 174 n12 (2996))9 Geanee
piesa ex Baptiste, 115 dawas't 25,32 n.18, 165 232 BY,
S23 a:18 (200717 But ses HottL, #5 Baves'i at 395, 23 p34 at 730 (cautsoning
that (Gitizenai does not abrogate the ‘injury in fact” standing requirement
in actions for declaratory relief affecting 2 public interest, but merely
fendates ess demanding standards in assessing the plaintitis! proof of an
Mingury in face™=)
++ NOT FOR PUBLICATION IN WES’
HAWAII REPORTS AND PACIFIC REPORTER *
hypothetical,” and CASI has not shown an injury-in-fact.* See
Mott] v. Mivahira, 95 Hawai'i 381, 392, 23 P.3d 716, 724, 727
(2001) (concluding that allegations that an act “must” negatively
affect the plaintiffs are mere speculation and not a “distinct
and palpable injury” as an injury-in-fact requires);
(2) the circuit court properly concluded that CAST
lacked standing to seek an injunction as to Intervenors’
operation at Kukuiula Harbor without a commercial permit and
without paying the two percent use fee, inasmuch as CASI did not
establish that it was injured by DLNR’s application of Hawai'i
Administrative Rules towards Intervenors or by Intervenors’
mooring at Kukuiula Harbor without a commercial permit. See
Motel, 9§ Hawai'i at 392, 395, 23 P.3d at 727, 730;
(3) HAR § 13-234-25 unambiguously requires the
operator of a vessel to pay a fee based on gross revenues from
the operation of the vessel and not based on only the revenue
* _te Se well established that injury-in-fact includes naz to
econonic interests. Se Aksu v, Glohana Corps, 65 Ha. 363, 369, 652 F.2d
1530, 1198 (1962) (anjury in fact has always included harm’ to economic
Interests.” {citations omitted). A competitor, however, does not have
Standing where the state has not directly injured the competitor. See Keahole
Defense Coalition, Inc. vs Bd. of Land aba Natuzal Bes, (*Keahole”), 110
Bavaii 41s, 434-35, 151 Pod 585, 600-01 (2008) (Rolding that 2 plaintiff
Goes not have standing to challenge the Board of Land and Natural Resourcest
Secision to grant a competitor energy producer's a tine extension to develop
its energy station at Keahole, inasmuch as the plaintiff did not indicate that
ie would turt its developnent); But cf. Bush v. Hawaiian Hones Cons’n, BL
Hawai'i 474, 479, 918 P.2a 1130, 1135 (1996) (geclaring that “stanaing
Barriers should be lowered in cases of public interest under our Jurisdiction”
and determining that the appellants, Native Hawaiian beneficiaries of trust,
have standing to challenge the defendant's agreements thet may enable farming
cempetition against appellants) -
*o**. NOT FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
from comercial activities at a DOBOR harbor.’
Requiring a
vessel oxner to pay both DLNR and non-DOBOR fees for operating
from the non-DOBOR pier, such as Port Allen is also not absurd or
unjust," inasmuch as it is reasonable that an operator of a
vessel with 3 Kukuiula Harbor commercial permit, pay? for the
right to “load or discharge passengers or cargo or engage in any
other commercial activity” at Kukuiula Harbor proportional to
7 Because HAR § 13-23-25 is plain and unambiguous, i is not
sssary or appropriate to consider the intent of thie rule:
Haugen, 106 Hawai'i 72, 75, 85 P.34 178, 182 (2004) ("(z]t is a cardinal rule
Sf statutory interpretation that, where the tersa of a statute are plain,
Unambiguous and explicit, we are not at liberty to look beyond thet lanciage
for a different meaning.” Instead, our sole duty t2 to give effect to the
statute's plain and obvious meaning.” (Citations and quotation signals
omitted.)); ae also State 1, Kupihea, 98 Hawai'i 196, 206, ¢6 F.3d 498, S08
(2002) (**{wje do not resort to legisiative history to cloud a statutory text
that is clear.’" (Quoting State vs Kalama, $4 #awai'i 60, 64, 8 P.3d 1224,
1226 (2000)-))
+ despite the unambiguous language of the statute, we are “willing
to look beyond the plain, cbvicus, and unambiguous language of 2 statute, the
Facial constitutionality of which is not at issue, for the purpose of
ascertaining its underlying legislative intent, but only if a Literal
Construction ‘would produce an absurd and unjust result.'” Haugen, 104
Hawai’ at 77, 85 P.3d at 18¢ (quoting hate v. Dudoit, 90 wawait 262, 270,
S75 P.23 700, 708 1999)
calculated to produce an amount at least sufficient to
xpenses of operating, maintaining, and managing the
‘and services and cost including interest, of amortizing
capital improvesents for boating facilities appropriated after
Suly 1, 1995, including, but not limited to, berths, slips, and
Folated accommodations, exclusive of the costs of constractingy
Operating, and maintaining general navigation channels, protective
Structures, and aids to navigation.
(2). Fixed with due regard to the primary purposes of
providing public recreational facilities and promsting the fishing
Ensvstry.
BAR § 13-234-1 (1994). Cf. Captain Andy’ Sailing, Inc v, Jonas, 195
F.Supp.24 1157, 1161-63 (D+ Haw. 2001] (recognizing chat the use foe "bear[s)
a ‘rational relationship to the regulation of DLNA facilities”)
6
++ NOT _FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER ***
gross revenues that are collected from all of its operations,
including non-DLNR operations. HAR § 13-234-25 was also
consistent with the DLNR’s statutory power under HRS § 200-10
(1993), because it plainly provides that an operator of a
vessel used for conmercial purposes from its permitted mooring
shall pay “a fee based on a percentage of the gross revenues
derived from the use of the vessel... ."7
(4) the circuit court did not abuse its discretion by
sen
awarding DLNR costs under HRCP Rule 54(d) and HRS 5 607-9.”
Pulava v. GTE Hawaiian Tel, 112 Hawai'i 3, 23, 143 P.3d 1205,
1225 (2006) (“The presumption [that the prevailing party is
entitled to costs) itself provides all the reason a court needs
HRS § 200-10(e) (4) provided in pertinent part:
‘The permittee shall pay moorage fees to the department for the use
Permit which shall be Based on, but not limited to, the use of the
Sessel, its effect on the harbor, use of facilities, and the cost
Of administering this scoring program; and, furthermore
: If a vessel is used for commercial purposes from
its permitted mooring, the permittee shall pay, in lieu of the
rmoorage and Liveaboard fee, a fee based on s percentage of the
Grose revenues derived from the use of the vessel which shall be
fot Less than two times the moorage fee assessed for a
fecrestionsl vessel of the same #120.
See Pacheco vs insta, 448 P.34 763, 795 (Sth Cir. 2006) (holding
that a1 fedorai iitigants have a duty to bring’a case in good faith, and
therefore, "neble intentions alone do not relieve en unsuccessful litigant of
the obligation under Rule 54(@) to compensate his opponent for reasonable
Costs. ‘If the svaraing of costs could be thwarted every time the unsuccessful
porty is 9 normal, average party, and not a knave, [FRCP Rule] $4(¢) (1) would
Rave’ little substance cenaining,’*) (quoting Nat'l Inte, Serva, Inc, v, Ti
Lng, 51 £36 1470, 1672-73 (Sth Cir. 1998), grervaled on-other grounds BY
Aesth of Moxican-Anerican Gducators vs State, 211 F.3d 572, 593 (9th Ca¥,
2000)7-
NOT FOR PUBLICATION IN WES’
HAWAI REPORTS AND PACIFIC REPORTER *
avarding costs, and when a district court states no reason
for awarding costs, we will assume it acted based on that
Presumption.” (quoting Save Qur Valley v, Sound Transit, 335 F.3d
932, 945 (9th Cir, 2003)). Therefore,
IT IS HEREBY ORDERED that the first circuit court's
May 18, 2005 judgment in favor of DLNR, BDC, and Donnelly, and
against CASI is affirmed in all respects.
DATED: Honolulu, Hawai'i, November 25, 2001
On the briefs: Gyr
Williem M. McKeon of -
Paul Johnson Park & Niles, be Bbccce~
for plaintiff-appeliant
Captain Andy’s Sailing, Inc. Secuaes Ot sre
itaian 3, aynhote,
Deputy Attorney General,
Departnent of the Atcorney a —
General, State of Hawai'i,
for defendant-appellee Rene Duster
Bepartnent of Lend end
Neturgl Resources State of
Hawai'i
Robert F, Miller, for
intervenors-appellees
Blue Dolphin Charters, Ltd.
and Terry Donnelly
| dc9aee06729d15d1dc2359653476edeb521c6f491089eff3b1ecab489b288cb8 | 2008-11-25T00:00:00Z |
89833e33-01e4-48f7-ac98-dccb6c13390e | Adora v. State | null | 28564 | hawaii | Hawaii Supreme Court | Haw reRaRY
No. 28564 ae
6 WW Zi 0300002
aad
JOVIE M. ADORA, Petitioner/Petitioner-Appellaat
9S
STATE OF HANAT'T, Respondent /Respondent ~Appel les
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(S.P.P. NO. 06-1-0060;
cR. NOS. 01-1-2324, 1-1-2446, and 02-21-0820)
(By: Acoba, J., for the court")
The Application for Writ of Certiorari filed on
Novenber 20, 2008 by Petitioner/Petitioner-Appellant Jovie M.
Adora is hereby rejected.
DATED: Honolulu, Hawai'i, December 12, 2008.
FOR THE COURT:
Barony
Associate Justice
Jovie M. Adora,
petitioner /petitioner-
appellant, pro se, on
the application.
petty, 33.
1d by! Moon, C.9.y Levinton, Nakayan
| 217aa3561055417a2ebb78aa5076eafefd7f63fb8c453d4e31d979f776911b45 | 2008-12-12T00:00:00Z |
fd76ea15-73e7-4139-a33c-84823092fb85 | Gabris v. Department of Public Safety | null | null | hawaii | Hawaii Supreme Court | xo, 29528
IN THE SUPREME COURT OF THE STATE OF BANAT’
CHAD E. GABRIS,
Petitioner,
wine 30318,
ava L VHUON
DEPARTMENT OF PUBLIC SAFETY, Respondent.
ORIGINAL PROCEEDING
ORDER
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of Chad &. Gabris's papers dated
Decenber 2, 2008, which are deemed a petition for a writ of
habeas corpus, it appears that habeas corpus
elief is available
to petitioner in the circuit court and petitioner presents no
special reason for invoking the supreme court's original
jurisdiction. See Oili v, Chang, 57 Haw. $11, 512, 587 P.2d 787,
788 (1976). Therefore,
IT IS HEREBY ORDERED that the clerk of the appellate
court shall file the petition for a writ of habeas corpus without
payment of the filing fee.
IT IS FURTHER ORDERED that the petition for a writ of
habeas corpus is denied without prejudice to seeking habeas
corpus relief in the circuit court pursuant to HRS § 660-3
(993).
DATEt
Honolulu, Hawai'i, December 19, 2008.
BliwPb iene
See Levee
ea oo
Cone: Ousitn +
amt
| 4571adcfd7f861c4da2de6ef8f70ca7da5a2becccdb3480f8b410f3f7f3d1175 | 2008-12-19T00:00:00Z |
5c98cebf-4676-4592-bf7c-4c98647cb0c4 | Hanabusa v. Lingle. S.Ct. Order, filed 12/04/2008 [pdf]. S.Ct. Order, filed 01/20/2009 [pdf]. | 119 Haw. 341 | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
se wesr’s. REPORTER ***
IN THE SUPREME COURT OF THE STATE OF HAWAI‘I
=--000--~
COLLEEN HANABUSA, Individually and in her capacity as
Senate President and NORMAN SAKAMOTO, Individually
‘and in his capacity as Chair of the Senate
Committee on Education, Petitioners,
Wo. 29392
ORIGINAL PROCEEDING
December 15, 2008
MOON, C.J., LEVINSON, NAKAYAMA, ACOBA, AND DUFFY, JJ.
Per Curiam. In this original proceeding, petitioners
Colleen Hanabusa, individually and in her capacity as Senate
President, and Norman Sakamoto, individually and in his capacity
as Chair of the Senate Committee on Education (petitioners),
petitioned this court for a writ of mandamus directing Linda
Lingle, Governor of the State of Hawai'i (respondent), to
forthwith noninate six candidates to the University of Hawaii
Board of Regents from the list of qualified candidates duly
presented to respondent on February 21, 2008 by the Candidate
Advisory Council pursuant to Hawai'i Revised Statutes (HRS) §
304A-104.5(b) (Supp. 2007).
on December 4, 2008, we issued an order granting the
petition and directed respondent to nominate, within thirty days,
six regent candidates from the list of qualified candidates duly
presented to respondent on February 21, 2008 by the Candidate
. WALL
Advisory Council.
1. Background
The 2005 legislature adopted $.B8. 1256, H.D. 1, which
proposed to amend the Hawai'i Constitution, article X, section 6,
to modify the appointment process for the University of Hawaii
Board of Regents (BOR) by requiring the governor to select BOR
candidates from pools of qualified candidates presented to the
governor by a candidate advisory council. In adopting $.3. 1256,
wD. 1,
(A) [was) the intention of the legislature that
the existing menbers of the board of regents of
the University of Hawaii serve their full terms
of office. As each term expire[d], the regent
wlould) be replaced by an appointed senber
Screened and proposed by the candidate advisory
council.
S.B. 1256, H.D. 1, 23rd Leg., Reg. Sess. (2005).
‘The proposed amendment to article X, section 6 was
ratified by Hawai'l voters on Novenber 7, 2006. Article x,
section 6, as amended, provides in relevant part:
‘There shall be a board of regents of the
University of Hawaii, the menbers of which shall
be nominated and, by and with the advice and
consent of the senate, appointed by the governor
from pools of qualified candidates presented to
the governor by the candidate advisory counsel
for the board of regents of the University of
Hawaii, as provided by law.
Hawai'i Constitution, article X, section 6.
The amendment to article X, section 6 was implemented
by the 2007 legislature by Act 56. Section 1 of Act 56 stated
the Act’s primary purpose of establishing the BOR candidate
advisory council and added that:
os+ FOR PUI «TS AND PAC
+. (T]he legislature renews its
previously stated intent, as provided in Senate
BAll No, 1256 (2005), that “the existing members
of the board of regents of the University of
Hawaii serve their full terms of office. As each
ter expires, the regent will be replaced by an
appointed menber screened and proposed by the
Candidate advisory councii(.]"
2007 Haw. Sess. Laws Act $6 (Act 56), § 1, at 92.
Section 2 of Act 56 amended HRS chapter 304A (Supp.
2006) (University of Hawaii System) by adding a new section
establishing the BOR candidate advisory council. Section 3 of
Act 56 amended HRS § 26-11 (1993) (Executive and Administrative
Departments, University of Hawaii) by increasing the membership
of the BOR from twelve to fifteen members and with a specified
number of members repr
nting different geographic areas.
Section 4 of Act 56 amended HRS § 304A-104 (Supp. 2006) (Regents;
appointment; tenures qualifications; meetings) by amending
subsection (a), in relevant part, as follows:
(a). . « The term of each menber shall be
[fortouryeers7] Live vears{.] . . . Every
menber may serve beyond the expiration date of
the menber’s term of appointment until the
member's successor has been appointed [end-hes
quetitied-) by the governor and contimed by the
senate in accordance with article x, section 6 of
th Henbers shal
ore than tuo consecutive five-vear tema:
provided that the members whe are initially
ction 26 ary
‘enauing_tive-vear tems, If a menber is to be
Appointed to a second term of five vears, the
senate shall consider the question of whether to
Tecontimm the nenber at least one hundred twenty
tive mo
not_in session within one hundred twenty dave
rior ts oh
= he nenber
see ul REPORTER
which the senate is authorized to consider the
question of reconfirmation,
2007 Haw, Sess. Laws Act 56, § 4 at 95. Section 5 of Act 56
provided that:
Notwithstanding the requirements of section
304K-104, [HRS], as it read prior the effective
date of this Act, the terms of those members of
the board of regents of the University of Hawaii
that are to expire on or before June 30, 2007,
shall be extended until the earlier of June 30,
2008, or until such time as new menbers of the
board of regents have been appointed pursuant to
the appointment process established pursuant to
this Act, at which tine their terms shall expire;
provided’ that the current menbers shall serve
their full terms.
2007 Haw. Sess. Laws Act 56, $5 at 96. Act 56 was effected on
May 1, 2007, over respondent's veto.
on July 1, 2007, the Candidate Advisory Council (caC)
was appointed. At that time, there were ten BOR menbers. Three
menbers’s terms expired in 2009 and 2011, five menbers’s terms
expired on June 30, 2007, and to menbers’s terms expired on June
30, 2008. ‘The CAC was thus tasked with qualifying and screening
candidates for twelve of the fifteen BOR seata.
on February 21, 2008, the CAC presented respondent with
a List of twenty-two candidates to fill the twelve BOR seats.
‘The list was copied to petitioners in their capacities as Senate
President and Senate Education Committee Chair.
on March 31, 2008, respondent nominated, from the CAC's
candidate list: (1) Catherine Lagareta and Teena Rasmussen for
the two at large seats, (2) Harvey Tajiri and Carl Carlson, Jr.
for the two Hawaii County seats, and (3) Artemio Baxa for the one
Maui County s
tt. The nominations were submitted to petitioner
)R PUBLICA’ .WAFT REI
Hanabusa and members of the Senate on April 1, 2008.
on April 1, 2008, petitioner Sakamoto wrote respondent,
acknowledging receipt of the five nominations for the twelve BOR
seats and requesting the date that seven more nominations would
be submitted “so that [the Senate] may act upon [the twelve
nominations] before the close of the session.” Petitioner
Sakamoto explained that the Senate had anticipated receiving, by
then, all twelve nominations and he asked respondent to “please
provide reasons for the delay of the seven nominees so that we
might understand the circunstances which prompted the delay.”
Petitioner Sakamoto made the same inquiry and request to
respondent on April 7, 2008 when respondent did not respond.
on April 11, 2008, the Governor's Office responded to
petitioner Sakamoto. It explained that it received that morning,
from the CAC, an additional candidate for the Honolulu County
seat to replace candidate Janes Donovan and it would “continue
conducting due diligence on the candidates pending consideration”
and that “upon completion, (it) [would] submit the information
for [respondent s) consideration.”
Petitioner Sakanote forthwith responded by requesting
respondent, on April 11, 2008, to “forward the remaining (BOR)
nominees so that the nominees [can] have enough time to provide
thoughtful and complete responses to the [Senate’
questionnaire
and the Senate Education Comittee [can] schedule the
confirmation proc
dings.” Respondent, after further nomination
requests from petitioner Sakamoto on April 15, 16, 18, and 21,
2008, submitted three more BOR nominations to the Senate on April
RTS ANI *
22, 2008: Dennis Hirota and Howard Karr for two of five Honolulu
County seats and Joshua Wingstrom for the student seat.
On April 25, 2008, the Senate confirmed OR nominees
Rasmussen, Tajiri, and Carlson. On April 30, 2008, respondent
withdrew Wingstrom’s BOR nomination. On May 1, 2008, the Senate
confirmed BOR nominees Baxa, Hirota, and Karr and rejected the
confirmation of BOR nominee Lagareta. That day, the Regular
Session of the 2008 Legislature adjourned.
on June 20, 2008, respondent notified BOR Chair Allan
Landon that: (1) five BOR members whose terms expired on June 30,
2007 -- Byron Bender, Catherine Lagareta, Jane Tatibouet, Marlene
Hapai, and Michael Dahilig -- agreed to hold over as 20R menbers*
until their successors were nominated by respondent from the list
of CAC candidates and the nominations confirmed by the senate;
and (2) a sixth BOR menber whose term expires on June 30, 2008 --
Ramon de la Pena
agreed to hold over as @ BOR member? until
his successor was nominated by respondent from the list of CAC
candidates and the nomination confirmed by the senate.
Respondent's holdover agreements with the six BOR
members came to the attention of Senator Les Thara, who, on July
3, 2008, requested from the Governor's Office “a copy of the
documents that appoint interim members of the UH board of regents
made from May 2, 2008 through the present.” The Governor’s
) gender, Lagareta, and Tatiboust agreed to hold over as members
for three Honolulu County seats. Hapai agreed to hold over as menber
for the second at large seat. Dahilig agreed to hold over as the
student member,
' de 1a Pena agreed to hold over as menber for the Kauai county
seat.
se IN WEST'S HAWAL
Office responded on July 8, 2008 as follows:
There are no records that fit your request.
The Governor has not made any interim
appointments to the Board of Regents from May 2
through the present. Regents Byron Sender,
Catherine Lagareta, Jane Tatibouet, Marlene
Hapal, Raron de la Pena and Michael Dahilig are
presently serving as holdover members of the
Board pursuant to Haw. Rev. Stat. § 304A-104,
hich provides that “(e]very member may serve
Beyond the expiration date of the menber's term
of appointment until the member's successor has
been appointed by the governor and confirmed by
the senate in accordance with article x, section
6 of the state constitution.”
on July 29, 2008, petitioner Sakamoto advised BOR Chair
andon that regents Bender, Lagareta, Tatibouet, Hapai, Dahilig,
and de la Pena were holding over “in possible violation of the
law” because: (1) the Hawai'i Constitution, article V, section 6,
prohibited the interim appointment of Lagareta after her
nomination was rejected; and (2) Act 56, Section 5 did not permit
fan extension of a regent’s term beyond June 30, 2008 for a regent
whose term had expired on June 30, 2007 and for whom no successor
had been appointed by June 30, 2008. Petitioner Sakamoto invited
respondent and the Attorney General to “clarify the matter.”
on July 30, 2008, the Attorney General advised
petitioner Sakamoto that none of the six regents at issue was an
“interim appointment” and that each vas lawfully serving as
regent pursuant to specific language of Act 56.
Act 56 [] very clearly governs the instant
situation with regard to the #ix Regents at issue
here. The terms of office of the six were to
expire either June 30, 2007 or June 30, 2001
None had a successor appointed and confirmed by
the Senate during the 2008 regular session.
Thus, pursuant to either their original
appointments (if they were for a term to expire
June 30, 2008) o Section 5 of Act 56, the terms
/ORTS AND PACIFIC RE!
of each of the six expired on June 30, 2008.
Pursuant to the specific language of Section ¢ of
Act 56, each of these six Regents “nay serve
beyond’ the expiration date of the menber’s term
of appointment until the member’s successor has
been appointed by the governor and confirmed by
the senate in accordance with article X, section
6 of the state constitution.” Each of the six
Regents is thus a “holdover” who specifically
serves pursuant to the terms of Act 56.
on July 30, 2008, petitioner Hanabusa advised the
Attorney General and the BOR chair that
certain menbers of the Hawaii State senate
contend that [respondent's] act of holdis
() regents (Bender, Lagareta, Tatibouet, Hapai,
Dahilig, and de la'Pena] is in direct
contravention of the Constitution of the State of
Hawaii and the provisions of Act 56 (S-8. 14) of
the 2007 Legislative Session. These holdover
regents have either been specifically rejected by
the Senate or have not availed themselves of the
selection process required under the
Constitution.
Petitioner Hanabusa further advised the Attorney General and the
BOR chair of “the intention of certain Senators to initiate legal
proceedings to question the legitimacy of [the six] regents’
current holdover status” and cautioned the BOR “to proceed with
due care while [the six regents’] appointments are under review.”
on October 6, 2008, petitioners initiated this original
proceeding by filing a petition for @ writ of mandamus.
Petitioners sought a writ directing respondent to nominate, “in a
timely manner,” six BOR candidates from the CAC’s list of
qualified candidates to replace the six holdover regents.
Petitioners contended that respondent is required to replace the
six holdover regents because: (1) the Hawai'i Constitution,
article X, section 6 mandates that regents “shall be nominated
and . . . appointed by the governor from pools of qualified
FOR PUBLICATION IN WEST'S HAWAI'I REPORTS AND PACIFIC REPORTER ***
candidates presented to the governor by the (CAC)"s (2) Act 56,
Section 1 renewed the legislature's previously stated intent that
regents serving as of Nay 1, 2007 shall serve their full terns of
office and “as each term expires, the ragent will be replaced by
an appointed menber screened and proposed by the [CAC]? (3) Act
56, Section 5 provided that “the terns of those [regents] that
are to expire on or before June 30, 2007, shall be extended until
the earlier of June 30, 2008, or until such time as new (regents)
have been appointed [from CAC candidate pools]"; (4) the
legislature did not intend to implement a holdover provision when
it enacted Act 567 and (5) interpreting Act 56 to allow holdover
regents would “nullify the purpose of the CAC,” “negate the
purpose of the Constitutional Anendment [to article X, section
61," and “deny the advice and consent powers afforded to the
Senate by [article X, section 6).” Petitioners contended that
respondent was duty bound by article X, section 6 and Act 56 to
replace the six holdover regents by nominating six candidates
from the CAC's list of qualified candidates and that respondent
is arbitrarily refusing to perform this duty. They sought
mandamus relief “[iJn order to mitigate any further delay or
damage that may occur if the ‘holdover’ regents participate in
decisions by the (BOR) [.1”
Respondent answered the petition on November 6, 2008.
She argued that petitioners lacked standing to invoke this
court's remedial power of mandamus because they, as legislators,
had only a special interest in the subject matter of their
petition and they had not personally suffered a distinct and
* RTS AND PACIFI
palpable
jury. She argued that the petition for writ of
mandamus should be denied because: (1) mandamus relief against
her is warranted only for @ duty that is ministerial and so
plainly prescribed as to be free from doubt? (2) HRS § 304A-
104 (a) explicitly authorizes holdovers by regents and anticipates
that the holdover period could be lengthy; and (3) neither
article X, section 6 nor HRS § 304A-104(a) impose a mandatory
deadline upon her to appoint replacement regents within the four~
month period of time that had passed since the six holdover
regents’s terms expired on June 30, 2008.
Petitioners replied to respondent’s answer on Novenber
14, 2008. They argued that: (1) they personally suffered an
injury sufficient to establish standing inasmuch as their
constitutional obligation as senators to advise and consent on
respondent’s BOR appointments was usurped by respondent's holding
over of the six regents; (2) mandamus is appropriate to compel.
respondent's power of appointment; and (3) Act 56 provided a
specific time limit for respondent to act in the nominating
process.
Oral argument was held on December 4, 2008. That day,
we issued an order granting the petition for writ of mandamus and
directed respondent to replace the six holdover regents by
nominating, within thirty days, six regent candidates from the
candidate 1ist presented to respondent on February 21, 2008.
II, Standard for Disposition
Avwrit of mandamus is an extraordinary remedy that will
not issue unless the petitioner demonstrates a clear and
qo
FOR PUBLICATION IN WEST'S HAWAL'I REPORTS AND PACIFIC REPORTER
indisputable right to relief and a lack of alternative means to
redress adequately the alleged wrong or obtain the requested
action. Kema v. Gaddis, 91 Hawai'i 200, 204, 982 P.2d 334, 338
(1999) (citation omitted).
Mandamus relief is available to compel an official to
perform a duty allegedly owed to an individual only if the
individual's claim is clear and certain, the official's duty is
ministerial and so plainly prescribed as to be free from doubt,
and no other remedy is available. In re, Disciplinary Bd. of
Hawaii Supreme Court, 91 Hawai'i 363, 368, 984 P.2d 688, 693
(1999). “A duty is ministerial where the law prescribes and
defines the duty to be performed with such precision and
certainty as to leave nothing to the exercise of discretion and
judgment.” Salling v. Moon, 76 Hawai'i 273, 274 n. 3, 874 P.2d
1088, 1099 n.3 (1994) (citation omitted).
TIT. Discussion
A, Petitioners Had Standing To Seek Mandamus Relief
“standing ig concerned with whether the parties have
the right to bring suit.” Mott] v, Mivahira, 95 Hawai‘ 361,
388, 23 P.3d 716, 723 (2001) (quoting Pele Defense Fund v, Puna
Geothermal Venture, 77 Hawai'i 64, 67, 881 P.2d 1210, 1213
(2394).
It ig well settled that the crucial
inguiry with regard to standing is whether
the plaintiff has alleged such a personal
stake in the outcome of the controversy as to
warrant his or her invocation of the court’s
Yenedial powers on his or her behalf. In re
Application of Matson Navigation Co. v.
Federal Deposit Ins. Corp., 81 Hawai'i 270,
275, 916 P.24 680, 685 (1996). In deciding
whether thé plaintiff has the requisite
nu
_t¢+ FOR PUBLICATION IN WEST'S HAWAI'I REPORTS AND PACIFIC REPORTER ***
interest in the outcome of the litigation, we
employ a three-part test: (1) has the
plaintiff suffered an actual or threatened
injury as a result of the defendant’s
wrongful conduct; (2) is the injury fairly
traceable to the defendant’s actions; and (3)
would a favorable decision likely provide
relief for plaintiff’s injury. Bush v.
Watson, 81 Hawai'i 474, 478, 918 F.2d 1130,
1135 (1996).
With réspect to the first prong of this
test, the plaintiff “must show a distinct and
palpable injury to himself (or herself. |”
Life of the Land v, Land Use Conmission of
State of Hawai'i, 63 Haw. 166, 173 n.6, 623
P.2d 431, 446 0.6 (1981). The injury must be
“distinct and palpable, as opposed to
abstract, conjectural, or merely
hypothetical.” Doyle’ v. Oklahoma Bar Ass‘n,
998 F.2d 1553, 1566 (10th Cir. 1993)
(citations omitted).
Motel, 95 Hawai'i at 389, 23 P.3d at 724, quoting Akinaka vy
Disciplinary Bd, of Hawai'i Supreme Court, 91 Hawai'i $1, 55, 979
P.2d4 1077, 1081 (1999). The requirement of a “distinct and
palpable injury” requires a plaintiff to have suffered an “injury
in fact.” Mottl, 95 Hawai'i at 391, 23 P.3d at 726,
Mott] involved a circuit court lawsuit for declaratory
and injunctive relief from the finance director's and the
governor's decision to reduce the University of Hawaii's
allotment of funds by six million dollars for fiscal year 1998,
‘The plaintiffs were: (1) three University of Hawaii faculty
members and directors of the University of Hawaii Professional
Assembly; (2) the University of Hawaii Professional Assembly; (3)
Hawai'i State Senator Rod Tam; and (4) Hawai'i State
Representative Chris Halford, The plaintiffs lost in circuit
court on summary judgment and lost in this court for lack of
standing in the circuit court. We held that none of the
a2
12+ BOR PUBLICATION IN WEST'S HAWAF' REPORTS AND PACIFIC REPORTER ***
plaintiffs suffered an “injury in fact” as a consequence of the
six million dollar reduction in funds. As to plaintiffs Tam and
Halford, we concluded that:
-(T)he plaintiffs assert that Tam and
ford, who are menbers of the legislature,
Shave not only the interest of a general
menber of the public in seeing that the
[fiscal and budget] laws of the state are
complied with, but the interest of persons
‘iho have Spent their own official tine on
behalf of their constituents, reviewing,
voting on, and enacting budgets that become
Yaw." This establishes Tan's and Halford’ s
“special interest” but not an “injury in
fact.” They have not alleged any “personal
stake in the outcone of the controversy,”
inasmuch as they have not alleged that they
had personally suffered any “distinct and
palpable injury.” Akinaka, 91 Hawai'i at 55,
579'P.2d at 198i. Because a “special
interest” in the subject matter of a lawsuit
is insufficient to invoke judicial
Intervention, Tam and Halford are without
standing in this action.
Motel, 95 Hawai'i at 392, 23 P.3d at 727.
Petitioners sought mandamus relief in their individual
capacities and in their capacities as state senators who passed
Ret $6 to modify the appointment process for regents and who
confirm or reject respondent's regent nominees under the modified
appointment process. Their standing to invoke our remedial power
of mandamus was contested by respondent, who relied on Mott) and
argued that petitioners's interest in preventing decision making
by a BOR comprised of six holdover regents established their
“special interest,” but did not establish an “injury in fact.”
Respondent argued that petitioners made no allegation that they
personally suffered any distinct and palpable injury as a
consequence of the holdover by six regents.
3
12+ FOR PUBLICATION IN WEST'S HAWATL REPORTS AND PACIFIC REPORTER ***
Petitioners countered that they, as senators, “have a
constitutional duty [under article X, section 6] to review and
consent to, or reject [respondent's nominations of BOR candidates
qualified by the CAC]” and that they were “deprived of performing
their own constitutional obligations to advise and consent by
[zespondent''s] acts in purposefully circunventing the
constitutional nomination and appointment process [by holding
over six regents].” They relied on authority from foreign
jurisdictions holding that the “injury in fact” element of
standing is met when a legislator is deprived of the right to
advise and consent on executive appointments.
According to the legislators’
allegations, the interest sought to be
protected by this action [for declaratory and
injunctive relief against the governor] is
(the legislators’) unique statutory right to
advise the Governor on executive appointments
and to confer their approval or disapproval
in this regard. Assuming these allegations
to be true, we conclude that they allege a
personal and legally cognizable interest
peculiar to legislators. The interest
asserted is simply not a “generalized
interest of all citizens in constitutional
governance. Since the right to advise and
Consent has been vested only in menbers of
the legislature, and since only members of
the legislature are bringing this action, the
allegation that this right has been usurped
by the Governor and (the Acting Commissioner
of Commerce] are sufficiently personal to
constitute an injury in fact, thus satisfying
the minimum constitutional requirements of
standing, We therefore believe that it is
reasonable to hold that the legislators have
standing,
Dennis v. Luis, 741 F.2d 626, 631 (3 Cir, 1984) (internal
citations omitted) (suit by eight members of the Virgin Islands
Fifteenth Legislature challenging the governor's appointment of
4
se+ FORPU REPORTER ***
one Arnold Golden as “acting” Commissioner of Commerce after
Golden’s nomination for such position was rejected by the
legislature). Accord Riegle v, Federal Open Market Committee,
656 F.2d 873, 878 (D.C. Cir.}, cert, denied, 454 U.S. 1082 (1981)
("We think it may argued plausibly that Senator Riegle has net
the [burden of establishing injury-in-fact for purposes of
standing]. . . . [A]ssuming that the five Reserve Bank members
of the [Federal Open Market Committee] are officers who must be
appointed with the advice and consent of the Senate, Riegle’s
inability te exercise his right under the Appointments Clause of
the [federal] Constitution [because Reserve Bank members are
selected by a Board of Governors] is an injury sufficiently
personal to constitute an injury-in-fact.”
The Hawai'i Constitution, article X, section 6,
provides that BOR members “shall be nominated and, by and with
the advice and consent of the senate, appointed by the governor
from pools of qualified candidates presented to the governor by
the [CAC].” Petitioners, as senators who must advise and consent
on respondent’ s BOR nominees, alleged that their unique
constitutional duty to do so was usurped by respondent’ s holding
over of six regents. The decisions of the federal appellate
courts in Dennis and Riegle are persuasive authority for finding
that the allegation that petitioners’s right to advise and
consent on BOR appointments has been usurped by respondent and is
sufficiently personal to constitute an injury in fact.
‘Therefore, we hold that petitioners had standing to invoke our
remedial power of mandamus.
a5
the Terms Of The Six “Holdover” fi 5 on
30.2008 Pursuant To Act 56, Sections 1 And 3.
As previously stated, Act 56 of the 2007 legislature
implenented the 2006 amendment to the Hawai'i Constitution,
article X, section 6, that modified the appointment process for
University of Hawaii regents by requiring the governor to select
regent candidates from pools of qualified candidates presented to
the governor by the CAC. In implementing the modified
appointment process, the legislature, in Act 56, effective May 1,
2007, made specific provisions regarding the ten existing regents
and their terms, which, as previously stated, expired on June 30,
2007 as to five regents, June 30, 2008 as to two regents, and
2009 and 2011 as to three regents. Section 1 of Act $6 provided
that the ten existing regents will serve their full terms and
“[ajs each term expires, the regent will be replaced by an
appointed member screened and proposed by the [CAC).” Section 5
of Act 56 provided that the terms of the five regents whose terms
expired on June 30, 2007 “shall be extended until the earlier of
June 30, 2008, or until such time as new menbers of the board of
regents have been appointed pursuant to the appointment process
established pursuant to this Act, at which time their terms shall
expire."
Regent de la Pena was appointed to a term expiring on
June 30, 2008. Pursuant to Section 1 of Act 56, he served his
full term and his term expired on June 30, 2008. Regents Bender,
Dahilig, Hapai, Lagareta, and Tatibouet were appointed to terms
expiring on June 30, 2007. Pursuant to Section 5 of Act 56,
their terms were extended until June 30, 2008 or until they were
16
replaced by regents appointed ‘under the modified appointment
process, which ever occurred earlier. They were not, by June 30,
2008, replaced by regents appointed under the modified
appointment process and so their terms expired on June 30, 2008.
c. i
‘erms Expired Contravenes Act 56, Sect 1 And.
‘The
rms of regents Bender, Dahilig, de 1a Pena,
Hapai, Lagareta, and Tatibouet expired on June 30, 2008 pursuant
to Act 56, Sections 1 and 5, ‘Thus, pursuant to Act 56, Section
1, “{a]s each term expire[d], the regent will be replaced by an
appointed member screened and proposed by the [CAC].” ‘The CAC’s
List of screened and proposed regent candidates, presented to
respondent on February 21, 2008, included candidates to replace
the six regents whose terms expired on June 30, 2008. Respondent
acknowledged that the terms of six regents expired on June 30,
2008 pursuant to Act 56, Sections 1 and 5. Rather than
nominating replacement regents from the CAC's candidate list in
accordance with Section 1 of Act 56, respondent solicited and
obtained holdover agreements with these six regents on June 20,
2008. The holdovers, according to respondent, were authorized by
HRS § 304A-104(a) (Supp. 2007).
HRS § 304A-104(a) provides that “[e]very [BOR] member
may serve beyond the expiration date of the member's term of
appointment until the members successor has been appointed by
the governor and confirmed by the senate in accordance with
article X, section 6 of the state constitution.” Respondent
contended that this statutory provision (the holdover provision)
explicitly authorized the holdovers of the six regents whose
vv
FOR PUBLICATION IN WEST'S HAWAFI REPORTS AND PACIFIC REPORTER
terms expired on June 30, 2008. We disagree.
It is well settled that this court’s foremost
obligation in construing a statute
is to ascertain and give effect to the intention
of the legislature, which is to be obtained
primarily from the language contained in the
Statute itself. And we mist read statutory
language in the context of the entire statute and
construe it in a manner consistent with its
purpose:
Capua v, Weyerhaeuser Co., 117 Hawai'i 439, 447, 184 P.2d 191,
199 (2008) (citation omitted). Act 56, Section 5 provided that
*(nJotwithstanding the requirements of [HRS] section 304A-104, as
it read prior the effective date of this Act,” the tezms of the
five regents whose terms expired on June 30, 2007 would expire on
June 30, 2008. HRS $ 3044-104 -- as it read prior to the May 1,
2007 effective date of Act 56 -- contained the holdover provision
invoked by respondent for the continuation in office by the six
regents. We construe Act §6, Section $s “notwithstanding”
clause to except the holdover provision of HRS § 304A-104(a) as
to the five regents -- Bender, Dahilig, Hapai, Lagareta, and
Tatibouet -- to whom Section $ of Act 56 applies. such
construction effectuates the legislature’s intent
plainly
stated in Section 1 of Act 56 -~ that “[a]s each [existing
jent’s] term expires, the regent will be replaced by an
appointed member scr
ied and proposed by the [CAC].””
Respondent contended at oral argument that Section 5 of
Act 56 “speaks only to [the regents’s] terms,” and, therefore,
Section 5's “notwithstanding” clause does not refer to the
holdover provision, but refers instead to the provision of HRS §
1s
11+ BOR PUBLICATION IN WEST'S HAWAF REPORTS AND PACIFIC REPORTER ***
304A-104, as it read prior to May 1, 2007, that regents serve
four-year terms. Section 5 speaks about regente’s terms as to
the extension and expiration of those terms. Though Section 5
can be construed as referencing the four-year term provision, it
can equally be construed as referencing the holdover provision.
Construing Section 5's “notwithstanding” clause ~~ which applies
to the “requirements” of HRS § 304A-104, as it read prior to May
1, 2007 -- as exclusively referencing the four-year term
provision is not rational and sensible.
Excepting the holdover provision of HRS $ 304A-104(a)
as to regent de la Pena also effectuates the legislature’s stated
intent that de la Pena, an existing regent when Act 56 was
effected, be replaced, when his term expired on June 30, 2008, by
an appointed regent screened and proposed by the CAC. We hold
that respondent's application of the holdover provision of URS §
3048-104 (a) to regent de la Pena and to regents Bender, Dahilig,
Hapai, Lagareta, and Tatibouet contravenes Act 56, Sections 1 and
5. Application of the holdover provision to those six regents is
contrary to the modified appointment process for regents
prescribed by the Hawai" Constitution, article x, section 6.?
>.
Nondiscre! Duty Of Respondent thai
After Passage Of An Unreasonable Period Of Tine.
The nomination and appointment of regents is a
* The participation of Bender, Dahilig, de 1a Pena, Hapai,
Lagareta, and Tatibouet, as regents, in business conducted by the
BOR raises the issue of the validity of the BOR’s decisions made since
July 1, 2008. The issue is collateral to this mandamus proceeding and
is an issue we decline to decide.
19
nondiscretionary duty impesed on respondent by the Hawai'i
constitution, article X, section 6 (regents “shall be nominated
and, by and with the advice and consent of the senate, appointed
by the governor from pools of qualified candidates presented to
the governor by the [CAC]”), HRS § 304K-104(a) (there shall be
fifteen regents “who shall be appointed . . . by the governor”),
and HRS § 304-104.5(e) (for each regent seat to be filled, “the
governor shall select one nominee from among the candidate
advisory council's presentations”).
Respondent did not dispute that the nomination and
appointment of regents is nondiscretionary duty. she
contended, however, that the duty is not one that is so plainly
prescribed as to be free from doubt because article X, section 6
and HRS §§ 304A-104(a) and 304A~104,5(e) prescribe how, but not
when,
gent nominations and appointments are to be made. She
contended that article xX, section 6 does not mandate the
nomination and appointment of a regent as soon as a term expires
or as soon as a seat is vacant and HRS § 304A-104(e) sets no time
restriction on her selection of nominees from the CAC’
candidate
List. Respondent thus contended that there is no deadline
mandated by law for the nomination and appointment of replacement
regents for the eix regents whose terms expired on June 30, 2008
and that a writ mandating the “timely” nomination and appointment
of replacement regents was not warranted.
Petitioners countered that Act 56, Sections 1 and 5
imposed a deadline of June 30, 2008 for nominating and appointing
replacement regents for the six regents whose terms expired on
20
* WN IN.
June 30, 2008. They further countered that a writ of mandamus
was appropriate to compel the exercise of respondent's power to
appoint regents, notwithstanding the lack of a tine restriction
in article X, section 6 or HRS § 304A~104(a).
We agree with jurisprudence from other jurisdictions
that a governor's nondiscretionary duty can be compelled by
mandamus notwithstanding the absence of a stated time limit. See
Brotherton v. Moore, 230 8.8.20 638, 642 (W. Va. 1976) (The
governor’s duty to appoint an executive officer upon occurrence
of a vacancy in a non-elective office is a “nondiscretionary duty
to act” and a “duty which can be enforced by mandamus.”); accord
‘Trumka v. Moore, 376 S.£.2d 178 (W, Va. 1988); see also
Morganelli v. Casey, 646 A.2d 744, 747 (Pa. Commw. Ct. 1994) (The
governor's execution of death penalty warrants is a ministerial
duty and “the absence of a stated time limit, within which the
Governor must act, does not exempt the duty from being judicially
mandated if not performed.”). ‘The governor's duty to act is
enforceable by mandamus when the duty is “postponed unreasonably”
and not performed after the passage of an “unreasonable period of
time.” Brotherton, 230 $.£.2d at 642; Trumka, 376 S.8.2d at 181;
Moraanelli, 646 A.2d at 747
The Brotherton and Ixumka courts observed that “we
Would be insensitive to the realities of public administration
and abusive to the discretion of choice vested in a governor to
hold that the act of appointment may be compelled at the instant
of a vacancy.” Brotherton, 230 S.E.2d at 642; Trumka, 376 S.£.2d
‘at 161, The same view was expressed by this court in Life of the
a1
7 , rc! ae
Land v. Burns, $9 Haw. 244, 580 P.2d 405 (1978), concerning the
governor's duty under HRS § 26-34" to appoint successor members.
to boards and commissions upon the expiration of a menber’s term.
. + [Zhe governor would be entitled to at least
Aieascnable time after a term expires to
nominate a qualified person to a board or
commission. According to HRS § 26-34, it is
necessary for the governor to submit the name of
the person nominated to the senate for
confirmation. Therefore, the subject of
appointment Of menbers to boards and commissions
must necessarily be considered to be the joint
responsibility of the governor and senate, and
the senate is privileged to inguire the
governor's office about the appointment of any
member whose term hae expired bevond such
xeasonable tine. We believe that the senate
would be quick to expose the governor if he [or
She} engages in tactics which would unduly delay
the appointment of menbers of boards and
59 Haw. at 251, $80 P.2d at 410 (emphasis added) .
We hold that the governor’s duty —- pursuant to the
Hawai'i Constitution, article x, section 6, and HRS $$ 304A
104(a) and 304-104.5(e) -- to nominate and appoint members of
the Board of Regents of the University of Hawaii is subject to a
reasonable time standard. Reasonable tine is judged by the
totality of the circumstances. C£. Fukida v. Hon/tlawais Service
and Repair, 97 Hawai'i 38, 45, 33 P.34 204, 211 (2001)
(reasonableness of the period of time claimed for loss of use of
property is determined by evaluating the totality of the
eizcumstances)
Respondent agreed at oral argument that her duty to
+ MRS § 26-34(a) (1993) (Selection and terms of members of beards
and connissions) ("The members of each board and comission
established by law shall be nominated and, by and with the advice and
consent of the senate, appointed by the governor.”).
22
22+ FOR PUBLICATION IN WEST'S HAWALTREPORTS AND PACIFIC REPORTER ***_
nominate and appoint replacement regents for the six regents
whose terms expired on June 30, 2008 was subject to 2 reasonable
time standard. She contended, however, that as of Decenber 4,
2008, a reasonable period of time had not passed for the
nomination and appointment of the six replacement regents. We
disagree.
Respondent was presented with the CAC’s List of regent
candidates on February 21, 2008. The list consisted of twenty-
two candidates to fill twelve regent seats. All of the
candidates had been qualified and screened by the CAC in
accordance with criteria established by the CAC pursuant to HRS §
304A-104.5(a).? The CAC provided respondent with short
biographies of each candidate. The CAC explained to respondent,
in the candidate list, that the CAC, with the assistance of a
nationally recognized firm, had background checks performed on
each candidate and that based on the background checks, the CAC
“concluded that there were no findings to indicate that any of
the candidates would not be able to discharge the
responsibilities as a member of the Board of Regent:
Respondent's selection of regent nominees was
restricted to the twenty-two candidates presented to her on
February 21, 2008, Respondent had two-and-a-half months from her
receipt of the candidate list to the end of the 2008 regular
legislative session to select from the list one nominee for
of the twelve seats to be filled. By the end of the regular
3 HRS § 304A-104.5(a) (“The candidate advisory council shall
establish the criteria for qualifying, screening, and presenting to
the governor candidates for menbership on the board of regents.”)
23
12+ BOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER ***_
session, respondent had selected seven nominees, six of whom were
confirmed. Respondent thereafter had three opportunities to
submit selections for the six remaining regent nominees when the
first special legislative session convened in July 2008, when the
second special legislative session convened in July 2008, and
when the third special legislative session convened in Novenber
2008.
Respondent's selection of the six remaining regent
nominees is to be made from the same list of candidates that
respondent has had since February 21, 2008 and is to be made from
the twelve remaining candidates on the candidate list. The names
of those twelve candidates have been with respondent since
February 21, 2008.
under the totality of the circumstances, the passage,
to date, of nearly ten months since respondent was presented with
the regent candidate List is an unreasonable period of tine for
respondent to perform her constitutional and statutory duty of
nominating and appointing the six remaining regents.
Consequently, respondent is subject to mandamus.
Richard Y. Wada,
Jodi L. Eaton, and Gren
Jon Van Dyke,
for petitioners a
Mark J. Bennett,
Rttorney General, Besa Ctr areas
Charleen M. Aina’and
Russell A. Suzuki,
Deputy Attorneys General, P—~ “NG
for respondent
Boron, Duldye re
24
| aa46222a9258f62688071d4c3787e574c4b0021e32bfd5e5191a38e695921d31 | 2008-12-15T00:00:00Z |
40bae01a-cd92-4837-8a0f-81a3e26f479e | Rapozo v. Better Hearing of Hawaii, LLC. ICA Opinion, filed 06/26/2008 [pdf], 118 Haw. 285. Application for Writ of Certiorari, filed 09/10/2008. S.Ct. Order Accepting Application for Writ of Certiorari, filed 10/20/2008 [pdf]. S.Ct. Motion for Reconsideration and Order of Amendment, filed 01/14/2009 [pdf], 120 Haw. 237. S.Ct. Opinion on Motion for Fees and Costs, filed 03/19/2009 [pdf], 120 Haw. 257. | 119 Haw. 483 | null | hawaii | Hawaii Supreme Court | **°FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER***
IN THE SUPREME COURT OF THE STATE OF HANAI"
00:
MERVYN RAFOZO,
Petitioner/Plaintiff-Appellee
S- 930 9002
BETTER HEARING OF HAWAII, LLC,
Respondent /Defendant Appel lant
oad
a
No. 27602
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. RC-05-A-0221)
DECEMBER 5, 2008
MOON, C.J, LEVINSON, NAKAYAMA, ACOBA, AND DUFFY, JJ.
‘OPINION OF THE COURT BY ACOBA, J
We hold that the Intermediate Court of Appeals (ICA)
erred in concluding that the findings of fact (findings) of the
district court of the fifth circuit (the court) to the effect
that (1) hearing aids purchased by Petitioner/Plaintiff-Appellee
Mervyn Rapozo (Petitioner) were “nonconforming” under
Revised Statutes (HRS) § 481K-1 (Supp. 2007) of HRS chapter 481K,
the Assistive Technology Warranty Act (the Act) and that
(2) Respondent /Defendant-Appellant Better Hearing of Hawaii, LLC
‘FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER™
(Respondent) had a reasonable opportunity to repair the devices
pursuant to HRS § 481K-3 (Supp. 2007) of the Act were clearly
erroneous, and therefore that (3) the court erred in awarding
Petitioner a full refund of the costs of his hearing aids, a
double recovery of his alleged pecuniary losses, and attorney's
fees and costs under HRS chapter 481K. See Rapozo v. Better
Hearing of Hawaii, 118 Hawai'i 265, 293, 188 P.3d 798, 807 (App.
2008). Accordingly, the September 5, 2008 judgment of the ICA is
reversed in part for the reasons stated herein, and the court's
April 17, 2005 judgment is affirmed.
The petition for writ of certiorari was filed by
Petitioner on September 10, 2008, and accepted on October 20,
2008. In his application, Petitioner seeks review of the ICA's
Septesber 5, 2008 Judgment filed pursuant to its June 26, 2008
published opinion, reversing the Novenber 17, 2005 judgment of
the court? in favor of Petitioner and against Respondent. This
court heard oral argument on the merits on November 20, 2008.
1
on February 10, 2004, Petitioner purchased digital
hearing aids for both ears from Respondent at its Lihue, Kauai
location. Gary Woodard (Woodard) is the owner of the Lihu‘e
\ the published opinion was authored by Associate Judge Katherine G.
Leonard, who was’ Joined by Chief Juage Mark Recktenwald and Asssciate Judge
Corinne KA. Watanabe.
7 The Honorable Trudy K, Senda presided,
2
“FOR PUBLICATION IN WEST'S HAWAIT REPORTS AND PACIFIC REPORTER***
store. The aids were manufactured by Starkey Labs (Starkey),
which is located in Anah
, California. Respondent is a dealer
for Starkey. According to the purchase agreenent, the price was
$5,198.00 after an open house discount of $4,460.00. Hawaii
Medical Service Association, Petitioner's medical insurance
carrier, covered $1,044.00 of the cost, Petitioner paid $100, and
financed the balance of $4,054.00 through “GE Money Bank.” Prior
to purchasing the aids, Respondent gave Petitioner a general ear
examination to eliminate any potential that he might need a
medical referral.’ The results of the ear examinations were
normal. Petitioner was also given a hearing test, the data from
which was used to initially program the hearing aids. Respondent
took molds of Petitioner's ears and sent them to Starkey, who
then manufactured custom aids for Petitioner and shipped then to
Respondent within approximately ten days.
Petitioner testified that he did not recall receiving
any documents from Respondent when he purchased the devices.
Respondent asserts that Petitioner was provided with warranty
documents from Starkey, and two warranties from Respondent. The
“starkey Labs Warranty Card” stated that the hearing aids would
be repaired or replaced at the discretion of the manufacturer if
Woodard’ s testimony to this effect was that Ywhen the client
jes in we do an initial video to scope exan. That's where we have 2
fiber optic video camera,” It shows the ear canal on the T.v, This te the
check fer any perforations, any cysts, tumors, wax blockage. Anything that
Would require = medical referral,”
“***FOR PUBLICATION IN WEST'S HAWAI'I REPORTS AND PACIFIC REPORTER"**
failure occurred within the one-year warranty period. A paper
copy of the “Starkey Labs Standard One Year Warrant
y" referred to
free replacement due to loss of hearing aids once per side for
one year, replacement due to damage once per side for one year,
and unlimited refitting of the aids. However, there is no
address for Starkey on the warranty card or on the warranty
docunent. According to Woodard, generally there is no direct
contact between Starkey and end users of the product.
Respondent itself provided a “30 day total satisfaction
money back guarantee,” meaning that whether the aids worked or
not, a consumer could receive a full refund within the first
thirty days for any reason, and a “Life Time Custoner Service
Guarantee” for free office visits, hearing tests, cleaning and
adjusting of the aids, programming, and minor in-office repairs.
Respondent claims that all customers are advised prior
to purchasing the aids that they will have to be fitted for the
earpieces and then “must return for testing and adjustment . .
because the device is essentially a sophisticated amplifier which
requires digital adjustment based upon feedback from the
customer.” Respondent asserts that Petitioner was informed both
when he purchased the aids and when he returned to the store to
pick up the aids, that he would need to return for “at least 3-4
adjustments in the first 30 days.”
FOR PUBLICATION IN WEST'S HAWAF' REPORTS AND PACIFIC REPORTER
The facts regarding Petitioner's problems with the
nces of the “repairs” are disputed.
hearing aids and the circum
Aocording to Petitioner, he had ongoing problems with the aids
from the time of purchase. He heard all kinds of sounds, and
sometimes he could only hear sounds that were at a distance and
sometimes he could only hear sounds that were in close proximity.
He took the aids back to Respondent on four to five occasions
within the first few months, but continued to have the same
problems with them during the course of Respondent's
adjustments.”
It is undisputed that, sometime in May 2004, Petitioner
started hearing clicking sounds in the aids. According to
Respondent, despite the fact that Petitioner had visited the
store several times for adjustments, the first time that
Petitioner voiced any conplaint about the aids was when
Petitioner brought the aids into the Lihu‘e store in May of 2004
complaining of the clicking noises. Respondent sent the aids to
Starkey, the manufacturer, to be repaired at no cost, pursuant to
the one-year warranty. According to repair invoices dated
Nay 20, 2004, Starkey replaced the speaker and microphone on each
aid, Respondent claims that the aids vere likely out of
Petitioner’s possession for about ten days for this repair,
whereas Petitioner claims he was without the aids for “about a
month or so.”
FOR PUBLICATION IN WEST'S HAWATI REFORTS AND PACIFIC REPOR}
‘The aids were returned by Starkey to Respondent at the
end of May 2004. Petitioner went to Respondent’s store to
retrieve the repaired aids and for an adjustment, which was
performed by Tara Kadar (Kadar), Respondent's technician.
Petitioner claims he continued to have problems after the aids
were returned. Sometime in late May or early June 2004, he
attended his class reunion and could not hear anyone at his
were emitted far from his
table, but could only hear sounds th:
table. In a letter dated June 17, 2004, Petitioner's wife, Fay
7. Rapozo (Mrs. Rapozo), wrote to Respondent asking whether the
aids could be returne:
I'm writing you quite disturbed and concerned that
[Peritioner) is not getting the effects required off of the
use of his nearing elde [sic]. ie carries it around ang
‘Burchased it And |-knoe yon can attest to that since ne
fas-been coming in ‘or adiustmest®. and pentioning to vo
she-problens.
Lwantto know if there is a oosibility that thé unit be
Eetitnads T can't see paying for something that does not
Work, it makes not [sic] sense.
T appreciate all that you have been doing, and it would have
been marvelous that the unit work cause he needs it, but in
the tight crunch of financing, paying four thousand’ dollars
fang having it sit on the shelf, just does not cut it for me.
(Emphases added.)
Woodard related that this was the first time that he
personally became aware of Petitioner's problems.‘ After
‘Woodard was apparently unaware thet the aids had been sent to
Starkey for repair until June of 2004, when he was informed of the repair by
Kagar. The coure’s finding 18 states’ that "Woodard had not been aware that
the hearing aid was sent to (Starkey) in May 2004 for repair.” finding 19
States that “(a]feer becoming avare of Mrs. Rapozo's letter, Woodard aise
learned of the attenptes repair sy [Starkey].
6
-FOR PUBLICATION IN WEST'S HAWAT REPORTS AND PACIFIC REPORTER***
learning of these matters, Woodard stated that he instructed
Kadar to have Petitioner come in for more adjustments, but it
does not seem that Kadar ever passed this request on to
Petitioner in June 2004.*
In about September or October of 2004, Petitioner
returned the aids to Respondent indicating that he did not want
them because they were not functioning properly. Despite his
wite's written inquiry as to whether Petitioner could return the
devices and obtain a refund, Petitioner did not receive a refund.
Instead, in Decenber 2004, Respondent's representative brought
the aids to Petiticne:’s home and told Petitioner thet he had
purchased them and he should keep them, Kedar wrote a letter to
Petitioner, stating, in part:
Iam sorry about the way things happened with the hearing
aide, it Le my goal to help those that are seeking Relp with
Eheit hearing. “r know that you were very frustrated and
Feit hopeless with the aids that we had, I too felt very
helpless not providing you with the service chat you needed.
Wicodard admitted that he had never read HRS chapter 481K prior to
this suit; accordingly, his position was that a customer can only
return hearing aids within thirty days.
nm.
on July 13, 2005, Petitioner filed a complaint against
Respondent in the court. As paraphrased by the ICA, the
complaint alleged the following:
+ Finding 20 states that “Woodard instructed Kadar to have
[Petitioner] cone into [sic] [Respondent's] place of business for further
Aejustnents, bur [Petitioner] did not do so snd it does not appear that Hadar
fever communicated such request to [Petitioner] in June 2004.”
7
‘°° FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER***
(2) the hearing aids cane with a one-year guarantee:
(2) [Betitionee) returnea the hearing aids for repase at
Teast. five times within the one-year period? (3) the heering
SiSs were out of service for over thirty days?
(4). (Respondent fsiled to comply with (HRS § 482K-3) when
it tasied to accept the return of the hearing aids and make
3 refuna; and (5) therefore, pursuant to HRS (§ ¢81K-5
(supp. 20071], [Petitioner] was entitled to recover twice
the snount of’ his pecuntary loss, costs, disbursements, snd
Feasonable attorney's fees.
Rapozo, 118 Hawai'i at 287, 188 P.3d at 801."
A one-day bench trial was held on September 22, 2005.
Id. at 287-88, 188 P.3d at 901-02. The only witnesses were
Petitioner and Woodard. At the close of the hearing, the court
stated that the parties could submit written closing arguments by
October 6, 2005. In Respondent's closing argument filed on
October 5, 2005, it argued that there was no nonconformity’
because the aids “worked according to their design and industry
standards” and that the “only repair [to Petitioner’s devices}
|.» remedied any possible ‘non-conformity.’" Petitioner
submitted written argument on October 6, 2005, maintaining that
Respondent “sold an assistive device to a consumer without a
written warranty that the device was fit for the ordinary purpose
for which the device is used,” and that “[Petitioner]’s testimony
that he returned the aids with the same problem 4 or 5 times was
‘us § 481K-3(2) (Supp. 2007) and the relevant portion of HRS
§ 661K-5 (wnicn is the section that provides a right of action £0 consumers)
are set forth intea at page 16.
7 MRS § 482K-3(a) states that “[1)f the manufacturer or its agents
fail to correct a ponconformity as required by 2 warranty after a reasomble
Opportunsey to repait, the sanufacture: shall accept return of the assistive
Sevice from the consumer and refund the full purchase price or replace the
assistive device(.]” (Emphasis added.) The Act defines a *nonconformity” as
s'tasfece, salfunction, of condition that fails to conform to any warranty
applicable to an assistive device." HRS § 4€1K-1
8
‘FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER*™*
a ‘reasonable opportunity to repair’ as there was a failure to
repair the same nonconformity with two attempts.”
Respondent filed a supplerental closing argument on
october 25, 2005, in response to the court’s October 12, 2005
directive asking for argument on the distinction between “repair”
and “adjustment.” To that effect, Respondent argued that hearing
aids “by design, require programming or ‘adjustments’ to maximize
use by the ouner,” and that “the [Act] does not apply to a
product which inherently operates by periodic adjustment.”
Petitioner, in his supplemental argument submitted on October 26,
2005, posited that “‘repair’ means the manufacturer is to take
whatever actions necessary to make the device conform to the
warranty,” and, therefore, “[t}he legislature intended, whatever
word is used, that the manufacturer deliver to a consumer a
device that is fit for the purposes for which it was sold.”
Following these submissions, on Novenber 3, 2005, the
court filed its findings, conclusions of law (conclusions), and
decision and order. The court decided that Petitioner’ s hearing
aids were nonconforming under the Act, and that Petitioner had
provided Respondent with a reasonable opportunity to correct that
nonconformity, Hence, the court concluded that Petitioner was
entitled to recovery pursuant to the Act.
ui.
on November 15, 2005, Respondent filed 2 Notice of
Appeal. On November 17, 2005, the court entered a judgment in
***FOR PUBLICATION IN WEST'S HAWAT REPORTS AND PACIFIC REPORTER***
Petitioner's favor in the amount of $8,610.66, pursuant to the
double recovery provision of HRS § 481K-5. Rapozo, 118 Hawai't
at 269, 183 P.3d at 803. Respondent then filed an amended notice
of appeal on November 25, 2005. The ICA issued its opinion on
June 26, 2008. The ICA reversed the court’s judgment,
determining that the court's findings that “adjustments” made by
Respondent constituted repairs under the Act and that the device
was therefore repaired or presented for repair on more than one
occasion," and that the device was nonconforming, were clearly
erroneous. Id, at 291-93, 168 P.3d at 805-07.
Ww.
In his Application, Petitioner presents the following
questions:
[2.1 Mnether the [Tcal gravely exzed in reversing
[the coutt)'s Judgment of November 17, 20057 (*)
T2:]. whether the ICA gravely efred in finding that
(the court) was clearly erroneous in finding that the
hearing alas ere not fit fer thelr ordinary purpose under
‘HBS clbaptes 421k Te
' the ICA states in its opinion that it is “left with a definite and
firm conviction that [the court] erred in finding that the adjustments to
[betitioner]'s bearing aids constituted repairs” and that “[ehe court] clearly
erred when it found and concluded that [Petitioner's] hearing aids were
Eepaired, of presented for repair, cn more than one occasion.” 118 Hawal'l at
186 itd at S06. But as discussed in more detail infra, the court does
ppear to have made the findings attributed to it by the ICR. Respondent
‘a point of erzor on appeal that [the court) erred in inplieitiy
Finsing and concluding that. (Petitioner]’s hearing aids were ‘repaired’ on
ore than one occasion.” (Esphasis added.) The ICk's conclusion seems to
Fefer to this supposed “implicit” finding. tn contrast, the relevant findings
Of the court were that "[tjhe manufacturer 4s presumed to have had a
Feasonable opportunity to repair the nonconformity sf St... foils to repaic
cTuith tno attonpte”; "[Petitioner) exercised reasonable effort. and
Galigence in returning to (Respondent) for adjustments to the hearing aid)
sng SIfetstioner] proviced (Respondent] with feasonable opportunity to" repatr
the hearing sig.”
+ this question poses the ultimate issue and therefore ite answer
gests on an analysis of questions 2, 3, and ¢ that follow.
10
‘FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACTFIC REPORTER:
13.) Whether the ICA gravely erred in finding that
[the court) was clearly erroneous in finding that
[Petstioner) "had ai 4
So'ineeir the Rearina aia)
her the Ich gravely erred in finding that
Clearly erroneous in finding that the
SGI IT
Ter] Whether the ICA gravely erred by not remanding
the case to [tne court] to award disuse unser BES.
Acinaptert 480.
(Enphases added.)
In conjunction with the fifth question he raises,
Petitioner argues that “[t]he ICA erred by not remanding the case
to (the court] to award damages under HRS [chapter] 480." This
argument ia based on language in HRS § 481K-5(c) that “failure by
a manufacturer to provide the warranty required by section 481-2
[(Supp. 2007)] . . . shall constitute prima facie evidence of an
unfair or deceptive practice under chapter 480.” The court had
found that the warranty provided by Respondent was inadequate
under HRS § 481K-2, and Woodard had admitted at trial that he had
no knowledge of the warranty required under the Act prior to
reading Petitioner’s complaint in this action.
Petitioner argued on appeal that the case should be
remanded for a determination of damages under HRS chapter 480 as
Petitioner reasoned that the court had not granted damages under
HRS chapter 480 because it had already provided for recovery
under chapter 481K. In this regard, the ICA agreed that the
written warranty provided by Respondent was inadequate under the
u
‘+ FOR PUBLICATION IN WEST'S HAWAT REPORTS AND PACIFIC REPORTER***
Act," but did not remand the case for a determination of damages
because Petitioner did not establish that he had suffered danages
as a result of the violation and had not cross-appeaied from the
court’s judgment.:! 118 Hawai'i at 293, 188 P.3d at 807. The ICA
was correct that Petitioner’s argument as to HRS chapter 490 is
not meritorious inasmuch as Petitioner failed to cross-appeal
from the court’s judgment, which had not awarded damages under
HRS chapter 480. See id. Hence, the ICA’s judgment is affirmed
on this issue.
“with regard to the warranties, Respondent argued on appeal that
the court erred in concluding that “che warranties provided by [Respondent]
and the manufacturer, (Starkey), failed to comply with the provisions of HRS
S'4elk-2(a) and (b)-" The court's findings with regard to the warranty were
as follows:
33. Section 48iK-2(b) requires that the duration of the
warranty be “not less than one year after first possession
Of the assistive device by the Consuner” and tolls and
extends the warranty period under specific conditions.
34. The warranty docurentation provided to (Petitioner) by
[Respondent] did not comply with the express and unesbiguous
requirements set forth in ARS (§) 4€1K-2(a) and (bl; under
the provisions of HRS (6) 48iK-2(d), (Respondent) 18 deened
fo'have given [Petitioner] the warranty required by said
statutory sections,
Respondent's argunent is without merit, as there is nothing in the warranties
Te provided that warrants that the devices wil be fit for thelr ordinary
purpose, and that it would repair any nonconformity to that effect without
Eharge for at least one year, as required by IRS § 481K-2(a) and (b)
‘The TCA concluded that,
(nJotwithstanding [Respondent’ s) failure to provide
[Petitioner] with the required weitten warranty of fitness
for ordinary purposes Under HRS’ § 421K-2ia), [Petitioner]
did not establish that he suffered any “damages caused by
that violation.” Hes § 481K-5[c). - . (The court) did
ot award (Petitioner) damages under HRS chapter 480 and
[Petitioner] dia not cross-appeal from [the court]’s
judgment,
118 Hawai'i at 293, 188 F.3d at 807 (brackets omitted).
a2
*+*FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER™
ve
Initially we note that the question of whether
jent falls under the definition of “manufacturer” as
Resp:
defined by the Act, was not squarely addressed on appeal. HRS
§ 481K-2(a) mandates that “[nlo assistive device shall be sold,
leased, or delivered in this State to a consumer unless
accompanied by a written warranty under which the manufacturer
uartants that the assistive device is fit for the ordinary
purposes for which the device is used[.] HRS § 481K-1 provides
that a “manufacturer” is “a person who manufactures or assembles
assistive devices and agents of that person, including an
importer, a distributor, a factory branch, distributor branch,
and a warrantor of the manufacturer's assistive device, but does
not include an assistive device dealer.” (Emphases added.) An
“assistive device dealer” is defined as
person who is in the
business of selling new assistive devices.” HRS § 481K-1.
As the ICA noted, “{i]n [finding] 31, (the court]
found: [Starkey] i a manufacturer under the meaning of HRS
[5] 4@1K-1, [Respondent] ie an agent of [Starkey] and,
therefore, is also considered a ‘manufacturer’ within the meaning
of HRS [S$] 481K-1." Rapoze, 116 Hawai'i at 290 n.7, 188 P.3d at
804 n.7. Because Respondent did not challenge that finding on
appeal, the ICA did not address the issue of whether Respondent
qualified as a “manufacturer” under the statutory definition, but
3
‘\** FOR PUBLICATION IN WEST'S HAWAT'I REPORTS AND PACIFIC REPORTER***
only noted that assistive device dealers are excluded from the
statutory definition. see L
However, in his Application, Petitioner observed that
“{a]Lthough the ICA declined to address the issue of whether or
not [Respondent] was a manufacturer, . . . [t]he ICA questioned
(finding) 31 whereby [the court] found [Respondent] to be a
manufacturer.” Petitioner argues in his Application that “an
assistive device dealer who also serves as an agent and/or
warrantor of the manufacturer” should be included within the
definition of “manufacturer” because otherwise “[s]nyone who sold
new assistive devices [including a manufacturer through a factory
branch] could provide a warranty and be immune from suit on that
waranty.”
In this context, we observe that the court was not
clearly erroneous in finding that Respondent is an agent that wes
a wagrantor of the manufacturer's, ie, Starkey’s, assistive
device. The relevant evidence is set forth in the following
findings:
5. {Petitioner} sas given a Warranty Card which indicates
a warranty expiration date of February 16, 2008. s+ s
6." "According to the testimony [of Woodard], hearing aid
fitter/dealer and omer of {Respondent}, {Respondent}
provides its customers with a handout cuenarizing custoner
Service guarantess and nanufacturer warranty information.
‘The hangout states that all new hearing aid purchases cone
sath a 30 day total satisfaction money back guarantee, In
Zadition, the handout references (Starkey’s) replacenent and
repair coverages for the one year period after purchase.
251" According to Woodard, (Respondent) is the dealer for
[Starkey] in the County of Kauai, state of Hawaii.
26. Woodard testified that when @ hearing aid ia sold to
customer, there is no direct contact between (Starkey) and
the customer, Instead, (Respondent) 1s the Liaison and
14
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performs as (Starkev's) agent in the County of Kauai, state
DE Rawatt
31)" (Searkey) de a manafacturer under the nearing of HRS
[6] 482K-1... [Respondent] is tof {Starkey} andy
iferetore, 42 also considered a “manufacturer” within the
Feaning of HRS (5) 481K-1.
(citation omitted.) (Emphasis added.) Tt is undisputed that
Petitioner only had contact with Respondent and not Starkey, and
St was Respondent who provided Petitioner with the warranties.
As the warranty card indicated, Petitioner was to return to
Respondent if he had probleme with the aids, and was not provided
any contact information for Starkey. In selling Petitioner the
hearing aids Respondent wae apparently acting as an assistive
device dealer, Manifestly, Respondent was also acting as
Starkey’s agent in the capacity of a warrantor, and therefore, in
that capacity, was governed by the Act's requirements pertaining
to a “manufacturer.” See HRS § 481K-1, The alternative view,
under which the terms “manufacturer” and “assistive device
dealer” would be viewed as mutually exclusive, would allow for
the legally absurd result that consumers would be left without
any recourse under the Act, in the situation where a manufacturer
or an agent, in this case a warrantor, also served as a dealer of
new devices.
vi.
‘The questions raised in this case revolve around the
proper application of HRS chapter 481K. HRS § 481K-3(a) provides
in pertinent part:
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or its agents {aii to correct
wareanty afser 3 reasonable
Sfithe assistive device from the consumer and refund the
ull purchase orice or replace the assistive device »
(a), 1£ the manutacturi
a aoneontormity as requized by
(Emphases added.) The relevant portion of HRS § 481K-5 provides
for a right of action as follows:
{c) In addition to pursuing other remedies, a consuner
may bring an action to recover damages caused by'a violation
Sf this chapter. The court shall award a conauter uno
her with Srsenent, and reasonable
‘Aiioines fees, ond any equitable relief that the court may
Sotermine 12 appropriate
(Emphasis added.) Therefore, if a manufacturer fails to correct
a nonconforming device after a “reasonable opportunity to repair”
and does not provide the consumer with a refund or a replacenent,
then the consumer is entitled to recovery under HRS § 481K-5.
vir
‘The ICA’s holding that the court erred in concluding
that Petitioner was entitled to recovery was based entirely on
its belief that certain of the court's findings were clearly
erroneous. 118 Hawai‘i at 293, 188 P.3d at 807. The court’s
findings, as well as any conclusions that present mixed questions
of fact and law, are reviewed under the clearly erroneous
standard. Bmfac, Inc, v, Waikiki Beachcomber Inv, Co., 74 Haw.
85, 116-17, 119, 839 P.2d 10, 27-28, 29 (1992).
A [finding] is clearly erroneous when (1) the record lacks
Substantial evigence to support the finding, oF (2) despite
Substantial evidence in support of the finding, the
appellate court ss nonetheless left with a definite and
Conviction that a mistake has been made, Substantial
Gvidence is credible evidence which ss of sufficsent quality
and probative value to enable a person of Feasonable caution
fo support a conclusion.
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Office of Havaiian Affairs v. ey. Dev. Coy awaii
HODCH), 117 Hawa:
Estate of Klink ex rel. Klink v. State, 113 Hawai‘ 332, 351, 152
P.3d 504, 523 (2007)).
i 174, 189, 177 P.3d 884, 899 (2008) (quoting
‘The central conclusion of the court, that Respondent
violated chapter 481K, was based on its findings that
(2) Petitioner's hearing aids were not fit for their ordinary
purpose for which they were used and (2) Petitioner provided
Respondent with a reasonable opportunity to repair the hearing
aids, The ICA appears to have determined that there was a lack
of substantial evidence in the record for the court's finding
that the hearing aids were nonconforming, and, despite
substantial evidence regarding repairs, it was left with a
definite and firm conviction that the court erred in finding that
Respondent had a reasonable opportunity to repair the aids.
However, we conclude that the court’s findings that the hearing
aids were nonconforming and that Respondent had a reasonable
opportunity to repair the devices were not clearly erroneous.
Accordingly, the judgment of the ICA must be reversed, and the
decision of the court reinstated.
vint.
We believe that the ICA's error proceeds from its
narrow application of HRS chapter 481K. The plain language of
the Act is aimed at protecting the interests of individuals who
are dependent upon assistive technology devices in their daily
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Lives. Moreover, it is evident that the language of the Act is
broader in scope than that propounded by the ICA, Distinctions
that unnecessarily constrict the application of the Act redound
to the detriment of disabled consumers for whose protection the
Act was intended. As discussed below, the meanings of
“nonconfozmity” and “repair” are sufficiently broad to encompass
the circumstances of Petitioner's case.
ak,
In connection with the nonconformity issue raised in
‘the second question by Petitioner, the pertinent court findings
state as follows:
9. After [Petitioner] took delivery of the hearing aid
and attempted to use it ina variety of social settings, he
Ghperienced difficulties.” [peti
kines, he would be able to bear only sounds in_close
broxiBity at other tines. be wae unable to hear sounds at
lose range and could coly hear sounds at areater distances.
To, {Petitacner] testified that it was obvious to him th
the hearing aid needed to be adjusted and, to that end, he
TTS At ‘seme point approximately four to six months after
purchase, [Petitioner] noticed that,
is" Atter the hearing aid was returned fron (Starkey! ,
(Petitioner) went into (Respondent)"s place of business’ to
try the repairea hearing aid,” After ah adjustment by
Rot workine oroperiv, —ieetitioosr] teatitied that the
3 =
Rot hear eroneriy wath the hearina aid
TG, {Petitioner] testifies that, aiter the resair by
% Testimony in support of the Act was received from several
individuals and the following organizations: Office of Consumer Protection,
State Planning Council on Developmental Disabilities, Hawaii Assistive
Technology Training and Services, Havail Centers for’ Independent Living,
Protection and Advocacy Agency of Hawaii, and the Commission on Persons with
Disabilities. Sen. Stand, Comm. Rep. No. 792, in 1997 Senate Journal, at
1206-05; Hse, Stand. Comm, Rep. No. i663, in 1937 House Journal, at 1757
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Starkevi, be attended hie class reunion and was unable to
ai CE
THEME) letter dated Jone 17, 2004, [Mrs. Rapoza) wrote to
Incapontent] ard informed [Respondent] that (Petitioner! was
inst getting the effects required off of the use of his
hearing aide (stc]." Mea. Fapozo inquired if there was a
possibility of retarning the Unit.
40." Seopite attempts at effecting adjustments and/or
fepair, {Petitioner! continued to experience problens such
Ger clicking in the hearing aid and difficulty in hearing
either close sounds or distant sounds.
i regarding the
problems he experienced white using the nearing aid,
Sones e for
Trotitioner|7a hearing aid therefore had
Rasneenforeity", within the mesning of ARS Section
abies 0)
(Emphases added.)
x
The ICA cited to the statutory definition of
snonconformity” in ite general discussion of the Act. But in
ruling that the court erred in finding the devices were
nonconforming, the ICA reasoned that “the need for adjustment,
without more, ig not a nonconformity ina hearing aid.” 118
Hawai'i at 293, 188 P.3d at 607. The ICA relied on the
“undisputed testimony” of Respondent that “the ordinary purpose
of a hearing aid is to provide amplification, but unfortunately,
these assistive devices do not provide a perfect replacement for
the fully functioning human ear." Id. The ICA then concluded
> Respondent's argunent on appeal to the ICA was that {the court!
erred in finding and concluding that [Fetitioner)’s hearing aids were not fit
fer thelr intended purpose and therefore had a ‘nonconformaty,’ within the
hesning of ARS § {2iR-i[,]" referring to finding 41. Ae ciscussed intra, this
teguvent. is without merit in that there was substantial evidence supporting
the court’s finding thet “[Petitioner)"s hearing aid was not fit for its
ordinary purpose.”
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that “[t]here is no evidence, including in (Petitioneri’s
hestinony, that the hearing aids were defective, malfunctioning
or were unfit for their ordinary purpose after the May 2004
repair{,]” and that Petitioner was “not willing to work on
further adjustments to the hearing aids.” Id, (emphasis added.)
However, first, the ICA's belief that “the need for
adjustment, without more, is not a nenconformity,” id., and that
F
itioner’s testimony was not evidence of “nonconformity,” is
inconsistent both with the broad definitions of “nonconformity”
adopted in the Act and with the purposes of the Act. See
discussion infra. According to the Act, a “nonconformity” is a
“defect, malfunction, or condition that fails to conform to any
warranty applicable to an assistive device.” HRS § 481K-1
(emphasis added). The foregoing underscored terms are not
defined in the Act. “This court has said that ‘[wle may resort
to legal or other well accepted dictionaries as one way to
determine the ordinary meaning of certain terms not statutorily
defined.’” Leslie v. Bd. of Appeals of County of Hawaii, 109
Hawai'i 384, 393, 126 P.3d 1071, 1080 (2006) (quoting Schetke v.
Reliable Collection Agency, Ltd., 96 Hawai'i 408, 424, 32 P.3d
52, 68 (2001)). The Webster’s dictionary definition of “defect”
includes “shortcoming” or “a want or absence of something
necessary for completeness, perfection, or adequacy in form or
function.” Webster's Third New Int’) Dictionary 591 (1961)
(emphasis added). “Malfunction” ineludes “to function badly or
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imperfectly: fai] to cperate in the normal or usual manner.” Id.
at 1367 (emphases added). “Condition” includes “something
needing remedy.” Id, at 473 (emphasis added). It is evident,
then, that the term “nonconformity” encompasses a wide variety of
problems that might prevent consumers’ efficient use of assistive
devices.
‘The Act’s definition of “warranty” sheds further light
on the meaning to be attributed to “nonconformity.” HRS § 481K-
3a) requires the manufacturer to accept return of the device if
the manufacturer “fail{s] to correct a nonconformity as required
bya warranty(.]" (Emphasis added.) RS § 481K-2(a) in turn
requires the manufacturer to “warrant[] that the assistive device
is fit for the ordinary purposes for which the device is used,
and undertake[] to pay the full cost of both parts and labor
necessary to repair any nonconformity.” (Emphases added.) HRS
§ 481K-1, the definitions section of the statute, provides a
definition for “assistive device,” which includes “hearing [aids]
+ and other [aids] that enhance an individual's ability to
hear. . . and any other device that enables a person with a
disability to. . . hearl.]” (Emphases added.) Therefore,
Respondent's argument that the purpose of a hearing aid is solely
“to provide amplification,” without regard to whether it actually
assists the individual with his or her hearing, is inconsistent
with the statutory definition for a hearing aid. As Petitioner
responds, “[Respondent’s] definition confuses the ordinary
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purpose for which a hearing aid is used (to assist people with
their hearing) with the means by which the purpose is
accomplished (amplification of sound).”* (Emphasis in
original.)
‘The substantial evidence in the record supporting the
court’s findings that the devices were functioning inadequately
includes (1) Petitioner’s testimony that (a) he was hearing
“{a}1i kinds of sounds and things like that [and nJot hearing
what [he] wanted to hear up close when [he] needed to, and when
(he] needed to hear far away [he] couldn't hear”; (b) he “started
having clicking sounds”; (c} he “attended [his] class reunion,
and [he] could not hear anybody within [sic] [his] table, but
[he] could hear the sounds away from (his) table"; and (d) he did
not notice any change in his ability to hear throughout the
adjustment process, but continued to have the same problens;
(2) as well as the admission of Respondent’s technician, Kadar,
that (a) she “[knew] that [Petitioner was] very frustrated and
felt hopeless with the aids that we had” and (b) that she also
“felt very helpless not providing [Petitioner] with the service
he needed.” Hence, the ICA's conclusion that there was “no
evidence” supporting the court's finding that Petitioner’s
hearing aids were nonconforming, including after the May 2004
repair, 119 Hawai'i at 293, 188 P.3d at 807, was wrong.
“an referring to this statement, this court renders no judgment as
to whether the purpose of the digital hearing aids was only to amplify sound
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B.
Second, the ICA erred in making the credibility
determination that “it appears” that Petitioner was “not willing”
to return for further repairs after May 2004. 118 Hawai'i at
293, 188 P.3d at 807. The credibility of Petitioner's testimony,
as well as the weight to be given his testimony and other
evidence on the question of nonconformance, as opposed to the
evidence submitted by Respondent, were not matters within the
province of the ICA, but were for the court to determine. See
LeMay v, Leander, 92 Hawai'i 614, 626, 994 P.2d 546, 558 (2000)
(This court has long observed that it is within the province of
the trier of fact to weigh the evidence and to assess the
credibility of the witnesses, and this court will refrain from
interfering in those determinations.”)
Based on the record, there is substantial evidence, as
indicated gupra, that Petitioner's devices were not functioning
“adequa(tely]” or “normal{ly].” See Webster's Third New Int’)
Dictionary at 591, 1367. The evidence shows that the devices
Were functioning poorly and inadequately, so much so that,
despite his hearing disability, there was evidence that
Petitioner never used the devices for a full day, and determined
that he was better off not using them at all. Based on
Petitioner’s testimony that he was at times only able to hear
sounds that were close and at times only able to hear sounds from
far away, and that he heard all kinds of noises, the court could
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properly draw the conclusion that Petitioner’s hearing aids vere
not fit for their ordinary purpose."
x.
The legislative history confirms that the terms in the
Act should be Liberally applied, and supports the conclusion that
the ICA's application was too restrictive. As we reiterated in &
4.3 Lounge Operating Co. vs Liguor Commission of the city &
County of Honolulu, 118 Hawai'i 320, 335, 169 P.34 432, 447
(2008), “(IJegislative history may be used to confirm
Interpretation of @ statute’s plain languagel.]" (Citing
Blaisdell v. Dep't of Pub, Safety, 113 Hawai'i 315, 319 n.5, 181
P.3d 796, 800 n.$ (2007).)
According to the legislative history of the Act, “[t}he
purpose of the bill is to provide consumers with additional
warranty remedies in connection with the purchase of assistive
devices for persons with disabilities,” Hse. Stand. Comm. Rep.
© petitioner does not raise the ICA's conclusion that “there is no
evidence whatsoever to support [the court's) finding” that Petitioner
Sontinged to hesr clicking sounds afcer the May 2004 cepair, 118 Hawaii at
282, 188 P.3d at 806, as a point of error in his Application. The ICA had.
contluded that the ‘clicking sounds’ clearly constituted » nonconfornity,
and apparently decided that, because, according to Respondent, those were
Corrected by the May 2004 repair, Petitioner’ s devices were no longer
Ronconforming after chat posnt. id. at 291, 293, 188 P.34 at 605, 807.
However, the failure to claim exrar“on the pare of the ica as te this
Conclusion does not adversely inpact the court's ultimate finding that the
Sevices were nonconforming. As Petitioner argues, because the entirety of the
‘other evidence supported the conclusion that Petitioner's hearing aids were
ot working correctly, whether the clicking sounds continued after the May
repair was not necessary to the court's finding that the side were
Roneonforming. This addresses Respondent’ s argument on appeal that “(the
rt] erred in finding that, after repairs were completed by the manufacturer
(Petitioner) continued’ to experience ‘clicking sounds.’" Respondent had
Asieztod that the court's findings 15 and 40, set forth above in full suuza ae
pages 18, 13, were in error.
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No. 1669, in 1997 House Journal, at 1757 (emphasis added), and to
“provide increased protection{,]” Sen. Stand. Conm. Rep. No. 792,
in 1987 Senate Journal, at 1205 (emphasis added); see also Kalina
vs State, 111 Hawai'i 64, 100, 137 P.3d 990, 1006 (2006) ("This
court has stated that remedial statutes should be liberally
construed to suppress the perceived evil and advance the enacted
remedy and has disfavored narrow interpretations that impede
rather than advance the remedies provided by such statutes.”
(Internal quotation marks and citation omitted.))
As noted in the Senate Conmittee Report for HRS chapter
481K, “assistive devices are an integral part of the lives of
many individuals, the elderly and persons with disabilities in
particular. For these people, it is absolutely critical to have
equipment that is reliable and effective.” Sen. Stand. Comm.
Rep. No, 792, in 1997 Senate Journal, at 1205 (emphases added) .
‘The legislature emphasized that “it is important that these
assistive devices work properly at all times,” Hse. Stand. conn.
Rep. No, 1663, in 1997 House Journal, at 1757 (emphasis added),
and “absolutely critical to have equipment that is xeliable and
effectivet,]” Sen, Stand. Conm. Rep. No. 792, in 1997 Senate
Journal, at 1204-05 (emphases added). Plainly, then, the Act
must be construed liberally in favor of those individuals for
whom it was enacted to protect. See, e.d., Buscher v. Boning,
114 Hawai" 202, 219, 159 P.34 614, 831 (2007) (recognizing that
“we must construe the fourth paragraph of HRS § 386-8 to give
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full effect to the intent of the legislature, which sought to
protect the rights of both employees and employers” (quoting
Shimabuku v. Mont: i , 19 Hawai'i 352, 358, 903
P.2d 48, 53 (1995))7 Camara v. Agsalud, 67 Haw. 212, 217, 685
P.2d 794, 797 (1984) (finding with regard to Hawaii's
unemployment compensation statute that “[i]n view of the basic
policy of the statute of protecting the worker from the hazard of
unemployment, our courts must view with caution any construction
which would narrow the coverage of the statute and deprive
qualified persons of the benefits thereunder”); Han v. Yana, 84
Hawai'i 162, 177, 931 P.2d 604, 619 (App. 1997) (finding that HRS
§ 480-2 “was constructed in broad language in order to constitute
a flexible tool to stop and prevent fraudulent, unfair or
deceptive business practices for the protection of both consumers
and honest businessmen and businesswomen” (internal quotation
marks, citation, and brackets omitted)).
xr.
With respect to Petitioner’s third and fourth questions
relating to the difference between “adjustments” and repairs, the
ICA accepted Respondent's formulation. The ICA decided that it
“must consider whether the ‘adjustments’ that preceded the May
2004 repair also constituted repairs[,]” 118 Hawai'i at 291, 198
P.3d at 805, instead of evaluating whether the court was clearly
erroneous in finding that Petitioner provided Respondent with a
Keasonable opportunity to repair the devices. in this regard,
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five grounds were set forth by the ICA: (1) “[a}1though the
[Act} does not state that the failure to repair after two
attempts or over thirty business days out of service are the
exclusive means for establishing that a manufacturer had a
reasonable opportunity to repair, no alternative theory or
evidence was offered in this case”; (2) the “adjustments” that
preceded the May 2004 repair did not constitute repairs because
they aze “anticipated and necessary for any hearing aid”; (3) the
“unchallenged and uncontroverted testimony [is] . . . that the
‘ordinary purpose’ of 2 hearing aid is to amplify sound for the
user by working with the user’s existing hearing ability through
a series of adjustments; (4) “there is no evidence that
[Petitioner] . . . provided [Respondent] with written notice that
the hearing aids were nonconforming"; and (5) “[Petitioner]
participated in an initial in-store adjustment of the refurbished
aids, but did not return for further adjustments after wearing
the aids in public.” 116 Hawai'i at 291-82, 188 P.3d at 805-06.
For those reasons, the ICA was “left with a definite and firm
conviction that [the court] erred in finding that the adjustments
« « constituted repairs” and therefore “[the court) clearly
erred when it found and concluded that [Petitioner] 's hearing
aids were repaired, or presented for repair, on more than one
occasion.” Id. at 292, 188 P.3d at 206.
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a
Because the ICA’s first ground focused on the
presumption in the statute that two attempts is evidence of a
“reasonable opportunity to repair,” its second ground necessarily
focused on whether the “adjustments” constituted repairs and
thereby satisfied that presumption. As a threshold matter st
must be observed that the term “repair” is not defined in the
Act. The meaning of “repair” includes “to make good” or
wrenedy,” and a repair includes “restoration to a state of
soundness, efficiency, or health.” Nebster's Third New Int’
Dictionary at 1923. See Leslie, 109 Hawai'i at 393, 126 P.3d at
1080 ("We may resort to legal or other well accepted dictionaries
+ to determine the ordinary meaning of certain terms not
statutorily defined” (internal quotation marks and citation
omitted)). That definition comports with a liberal construction
of the Act in line with the legislature's desize to ensure that
disabled and elderly consuners are in possession of efficiently
functioning assistive devices. See Hse. Stand. Conm. Rep. No.
1669, in 1997 House Journal, at 1757; Sen. Stand. Comm. Rep. No.
792, in 1997 Senate Journal, at 1204-05. However, the ICA
reasoned that “an adjustment is not = repair because the purpose
of an adjustment is not to fix a defect or other nonconformity,
but rather to make a properly working device perform at its best
for the users needs.” Rapozo, 118 Hawai'i at 291, 188 P.3d at
805.
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‘The Act does not employ the term “adjustment,” but the
terms “correct” and “repair.” It was Respondent that advanced a
purported distinction between “adjustments” and “repairs,” which
the ICA adopted on appeal. Respondent argues that “{a]lthough
unclear in [the court]’s [findings and conclusions], (the court]
appears to have improperly assumed . . . that the periodic
‘adjustments’ made to the hearing aids after [Petitioner]
purchased the aids and before the clicking sound presented
itself, constituted forms of ‘repair./”
Respondent speculates that the court's “erroneous
assumption” must be attributed to Petitioner's supplemental
argument pursuant to the court’s request for the parties to
address what is meant by “repair” in the context of the Act. It
argues that Petitioner's definition of “repair,” which is “the
placing of the device into compliance with the warranty,” is
“circular,” “self-serving,” and “without support.” However,
Petitioner is correct that HRS § 481K-3 conditions the consuner’s
recovery of a refund on whether “the manufacturer or its agents
fail to correct a nonconformity as required by a warranty.” HRS
§ 491K-3. As explained gupra, the warranty imposed by the
statute requires the manufacturer to ensure that the device is
fit for the ordinary purpose for which the device is used, in
this case to assist a consumer’s hearing, and Petitioner is
correct to assume that any repair would be directed toward
fulfilling that warranty.
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‘The definition of ™
pair” adopted by the ICA does not
account for the dictionary meanings of “to make good” or to
“remedy” of to “restore[)" “to a state of soundness [and]
efficiency.” See Webster's Third New Int'] Dictionary at 1923.
Additionally, the language of the Act indicates that the terns
“correct” and “repair” are employed
relationship to one
another, ise., the consumer is to allow the manufacturer a
“reasonable opportunity to repair” in order to “correct (the)
nonconformity.” HRS § 481K-3 (emphases added.) Neither the ICA
nor Respondent considered the definition of “correct,” which,
according to the dictionary, means “to make or set right” or “to
alter or adjust so as to bring to some standard or required
condition.” Webster's Third New Int'l Dictionary at 511
(emphasis added.)
The plain meaning of the term “correct” indicates the
Act contemplated that an “adjustment” is in fact in the realm of
actions a manufacturer might take in order to remedy a device
that is not functioning adequately. Accordingly, an adjustment
is included within the term “repair” inasmuch as the purpose of
the “repair” is to “correct” a nonconformity. The court thus
could find under the Act that the so-called “adjustments” were
efforts to correct or, in other words, to “repair” a
nonconformity. It appears, then, that the distinction between an
adjustment and a repair, attempted to be drawn by Respondent and
the ICA, is non-existent under the Act.
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Indeed, the ICA’s definitions of “nonconformity” and
“repaie” are circular. Its conclusion that “an adjustment is not
a repair because the purpose of an adjustment is not to fix a
defect or other nonconformity,” and, thus, “the need for an
adjustment, without more, is not 2 nonconformity," Rapozo, 118
Hawai'i at 291, 293, 188 P.3d at 805, 807, defines the terms in
Light of one another without offering a meaningful definition for
either term. As Petitioner notes, if the ICA's construction of
the Act were to control, sll a manufacturer would need to do in
order to avoid liability under chapter 481K would be to define
whatever attempts it made to fix any problem identified by the
consumer as merely “adjustments.”
Thus, a manufacturer could alvays claim that what the
consumer perceived to be 2 malfunction was actually a “properly
working device” that was not performing “at its best.” Under
Respondent's formulation, a consumer would be compelled to keep
and pay for a device, and continue repeatedly to return for nore
and more “adjustments,” even when those adjustments were not
doing anything to “correct” the problem. This would conflict
with the language of the Act and defeat the intent of the Act,
for the legislature determined that “it is absolutely critical to
have equipment that is reliable and effective.” See Sen. Stand.
Comm, Rep. No. 792, in 1997 Senate Journal, at 1205.
‘Therefore, the ICA’s third ground that the
“unchallenged and uncontroverted testimony” by Respondent that
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the “Yordinary purpose of a hearing aid is to amplify sound .
through a series of adjustments,” is wrong. As addressed supra,
the Act’s definition of “assistive device” makes manifest that
the purpose of a hearing aid is to assist the consumer with his
or her hearing. Based on the court’s assessment of credibility
and its weighing of the evidence, see discussion infra, under the
cdzcunstances of this case, the devices did not perform according
to their ordinary purpose and were in need of repair, adjustment,
correction, of an appropriate remedy.
B
Moreover, the plain language of the Act requires that
if the manufacturer is provided a reasonable opportunity to
repair, and yet fails to correct the problen, as required by
warzanty, the consumer is entitled to a refund. The ICA’s first
and second grounds focus on the number of times that the devices
were or were not repaired by Respondent. However, the court did
not find that Respondent actually repaired the devices on more
than one occasion but, rather, as allowed under the Act, that
Petitioner provided Respondent with a reasonable opportunity to
xepair the device on more than one occasion. The court's
relevant findings are as follows:
ty to repair the honconformity if it (or its
agents} fails to repair the same nonconformity with to
attempts. (Gag HRS (5) ¢81K-3(b) (3))
55, agter taking possession of the hearing aid,
iatitionsr] exercised reasonable effort and diligence in
etutnlng to [nessonsent! for adtusteents to the hearing aid
ian efter to use the hearing aid for its ordinary
Himnaie-(Petitioner] also atlowed tRespondentl to ship the
32
FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER***
hearing aid to (Starkey) for repair
ra a
sa titionerl continued fo experience prcplens such
a5 clidving in the Rearing aid and aifficuity in hearing
Sither close sounds of distant sounse
th. pased upen ‘the testinany of [eetitioner regarding the
probless he experiences while using the Rearing 33,
Bpumoss. [Petitioner's] nearing aia therefore had 2
Enonconformity” within the meaning of HRS (81 48iK-1.
a rvs
aonorkunisy to tenais the fearing aid oro Fo and attes
Eegussting a refund on the purchase price of the nearing
33
(Emphases added.)!* Therefore, although the Act codifies a
presumption that the manufacturer had a reasonable opportunity to
repair under certain circumstances," the court did not have to
rely on those presumptions. Correspondingly, it makes no
difference that no alternative theory was offered, as the ICA
contended should be the case, inasmuch as the Act does not
require a party to present an alternative theory. Rather, the
court could have properly concluded, based on the entirety of the
evidence adduced at trial and on the additional post-trial
briefing, that Petitioner provided Respondent with a reasonable
opportunity to repair, and that Respondent failed to correct the
* Respondent challenged findings 38 through 42 on appeal. Inasmuch
ag there was substantial evidence supporting those findings, they were not
Glearly erronecas, and therefore Respondent’ s challenge ig without merit.
BRS § 481K-3(b)(3) states as follows:
It shall be prosuted chat manufacturer has had a
“reasonable opportunity to repair” if the manufacturer or
its agente. fail
Including by reason of attenpts to repair one oF nore
nonconfornities, for a cumulative total of more than thirty
busines dave after the consumer has returned it for Fepaif.
(Bephases added.)
33
/=SFOR PUBLICATION IN WEST'S HAWAT REPORTS AND PACIFIC REPORTER***
problens that Petitioner was experiencing. ee HRS § 481K-3(a)
(CIE the manufacturer or its agents fail to correct a
nonconformity as required by a warranty after a reasonable
opportunity to repair, the manufacturer shall accept return of
the assistive device from the consumer and refund the full
purchase price or replace the assistive devicel.]”)
‘The evidence supporting the conclusion that Petitioner
provided Respondent with a reasonable opportunity to repair
includes Petitioner's testimony, as related in findings 10-12,
14-17, and 39-42," that (1) he returned the device four to five
times prior to the May repair; (2) he was without the device for
(3) he came
“about a month” during the course of the May repai.
in for another “adjustment” when the device was returned from the
manufacturer in late May? and (4) throughout the course of these
adjustaents, he noticed no change in the device but continued to
experience the same problens.
In making these findings, the court apparently relied
on the testimony of Petitioner and found such testimony credible.
the relevant court findings 10-11, 15-17, and 39-42, are set forth
in full supra.” Further evidence that Respondent bad’ a reasonable opportunity
to repair is laid out in findings 12 ang i¢, which state as follows?
12. In May 2004, after being informed of {Petitioner's}
Complaints about the performance of the hearing aid,
[Respondent] sent (Petitioner's) hearing sid to (Starkey)
for repair
is. " According to [Respondent], the repair by (Starkey)
took approxinately one snd one-half weeks; [Petitioner]
Fecails that he went without the hearing aia for
approximately 30 days during the sanufacturer’ a repair
period.
34
‘***FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REFORTER***
It was for the court to make the credibility determination on
this testimony. See LeMav, 92 Hawai'i at 626, 994 P.2d at 558
(stating that the credibility of the witnesses and weight of the
evidence fall within the province of the trier of fact). Based
on the foregoing review of the evidence in the record, it cannot
be said that the court clearly made a mistake, as the ICA held,
in finding that Respondent had a reasonable opportunity to repair
the devices.
c.
Finally, the ICA’s fourth and fifth grounds for
concluding that the devices were not presented for repair on more
than one occasion were that the Petitioner did not return for
further repairs after May 2004, and that when he returned the
aids in September or October of 2004, “he was not making then
available for repair and did not provide notice of or otherwise
identify a nonconformity to be repaired.” 118 Hawai'i at 292,
ise P.3d at 806.
In reference to whether or not Petitioner provided
Respondent with adequate notice, the ICA in a footnote quoted
from HRS § 481K-2(f) as follows:
A consumer shall make sn assistive device available for
repair py grassnting it te the sanufacturer, its agent,
Fepresentative, authorized assistive device dealer, or
authorized assistive device Lessor prior to the expiration
of the warranty period and providing the manafacturer, its
Agent, represencative, authorized assistive device dealer,
of authorized sgsistive device lessor written notice of the
oncontormity.
[ds at 292 n.9, 188 P.3d at 806 n.9 (emphases supplied).
35
-FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER’
However, on appeal, Respondent did not raise the notice issue as
a basis for reversing the court's decision.” Accordingly,
Respondent did not challenge the notice given by Petitioner as
inadequate. Instead, Respondent opted to focus on whether the
devices were repaired on nore than one occasion.”
However, it is undisputed that Petitioner's wite
notified Respondent in writing in her June 17, 2004 letter of his
continued problems despite having cone in for adjustments. The
court’s findings indicate that Respondent received adequate
notice inasmuch as it found that “[Petitioner] brought in the
hearing aid. . . for adjustment some four or five times during
the first few months”; “[i]n May 2004, after being informed of
[Petitioner's] complaints about the performance of the hearing
aid, [Respondent] sent [Petitioner’s] hearing aid to [Starkey]
for repair"; (Mrs. Rapoze) wrote to [Respondent] and informed
[Respondent] that [Petitioner] was ‘not getting the effects
required off of the use of his hearing aide (sic]"; and
“(Betitioner] exercised reasonable effort and diligence in
returning to [Respondent] for adjustments to the hearing aid.”
‘There is no clear error with respect to these findings.
% Respondent aid not raise the notice issue on appeal. The TCA
apparently raised and decided this issue gua sponte in its snalysis.
% Because the ICA apparantly raised this matter, Petitioner in his
Application argued that “i]t is clear thet [Respondent)"s’ technician was aware
of the nature of the nonconformity and [Respondent] waz not prejudiced by che
Tack of any written notice, nor was [Petitioner] ever advised that a wriving
was necessary.”
36
‘FOR PUBLICATION IN WEST'S HAWAT'T REPORTS AND PACIFIC REPORTER®**
With regard to whether Petitioner returned for repairs
following the May 2004 repair, according to the court's findings
(based on Petitioner's testimony), Petitioner went in for an
adjustment immediately following the return of the aids in May
2004, after which the aids were still not working properly.
Following that visit, Mrs. Rapozo notified Respondent in writing
that Petitioner was continuing to have problems with his aids and
asked about returning the aids. The court further found that
although Woodard claimed that he had instructed Kadar to tell
Petitioner to cone in for further adjustments, Kadar never did
0. The court did not find that when Petitioner returned the
devices in the fall of 2004, he was not making then available for
repair, but found that “[iJn late September or early October
2004, [Petitioner] returned the hearing aid to (Respondent]” and
‘that Respondent “made a few adjustments to the hearing aid...
[but] made no further attenpt to repair the hearing aid or to
send the hearing aid to [Starkey] . . . .” Therefore, the
evidence presented and the court’s findings do not support the
ICA’s conclusion that Petitioner was not making the aids
available for repair, To the contrary, it appears that, despite
further adjustments to the aids after the May 2004 repair, the
aids were still not functioning properly.
xin.
The court’s findings must be given appropriate
deference. See Briones v. State, 74 Haw. 442, 464, E48 P.2d 96,
37
“SFOR PUBLICATION IN WEST'S HAWAT REPORTS AND PACIFIC REPORTER***
977 (1993) ("Appellate courts defer to the judge or jury as fact
finder unless no substantial evidence existed for their finding
because the fact finder is uniquely qualified to evaluate the
credibility of witnesses and to weigh the evidence.”) Here, the
findings adopted by the court were supported by substantial
evidence and, considering the entire record, it cannot be said
reasonably that a mistake was made. Viewed in its entirety,
there was ample evidence to sustain the court's finding that
Petitioner purchased hearing aids that were “nonconforming” and,
based on the entire record, it was not clearly a mistake for the
court to have found that Respondent had a “reasonable opportunity
to repair” the devices under the Act.”
xq.
Based on the reasons noted above, the ICA’s September
5, 2008 judgment is affirmed as to Petitioner’s HRS 480 claim,
* on appeal Respondent challenged the following conclusions:
4. Pursuant to HRS [6] 481K-3(a) (1) (A, (Respondent) was
roquired to refund to [Petitioner] the full purchase price
Of the hearing aid plus all collateral charges. and
Incidental charges, less a reasonable allowance in use.
5. The acts and omissions of (Respondent) constituted a
violation of Chapter 481K, for unich (Petitioner) i=
entitled to recover twice the amount of any pecuniary loss,
Eogether with costs, disbursements and reasonable attorneys
fees, pursuant to HAS ($) 4BIK-5 (o)
6. (Petitionar] ss entitled to recover the principal amount
of $€,610.66 {84,305.33 x 2) from [Respondent] together with
Sosts’ and reasonable attorneys fee2.
‘That challenge was based entirely on Respondent’s arguments that
the court erred in finding that the devices had a nonconfornity cr that there
as “any viclation of HRS (chapter) 4BIK."" Ar discussed herein, Respondent's
Grgunents are not meritorious, and therefore, Petitioner was entities to
fecovery,
38
***POR PUBLICATION IN WEST'S HAWAFT REPORTS AND PACIFIC REPORTER***
but is reversed in all other respects, and the November 17, 2005
judgment of the district court is affirmed,
Joe P. Moss for peti
vschete-tyan Bs take heels
(Kessner Umebayashi Bain &
) for respondent / Besasees Cuda a8
Vaan « Rokte
39
| 72579bccd24253c55cbcc53ba4b634e1bd6acc622787fbb0990e6413a12a2510 | 2008-12-05T00:00:00Z |
5be81fe1-603a-48fd-b79c-8ea65ab804c6 | County of Hawaii v. C & J Coupe Family Limited Partnership. Concurring and Dissenting Opinion by C.J. Moon, in which J. Levinson joins [pdf]. S.Ct. Order Granting Application for Transfer, filed 07/08/2008 [pdf]. S.Ct. Opinion, filed 04/21/2009. S.Ct. Order Granting in Part and Denying in Part Defendant-Appellants Motion for Reconsideration and Order of Amendment, filed 05/22/2009 [pdf], 120 Haw. 399. S.Ct. Amended Opinion, filed 05/22/2009 [pdf], 120 Haw. 400. S.Ct. Opinion, filed 11/10/2010 [ada]. | 119 Haw. 352 | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
FOR PUBLICATION IN WEST'S HAWAL' REFORTS AND PACIFIC REPORTER***
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
=--000:
COUNTY OF HAWAI'I, a municipal corporation,
Plaintif£/Counterclaim Defendant-Appellee 4 ri
vs. 23 5 »
Zs 2
cey coupe emuniy uimareo rartwersure, 22h EE
Defendant /Counterclainant-Appellant’ Zag BOO
and g 6S
ROBERT NIGEL RICHARDS, TRUSTEE UNDER THE MARILYN
SUE WILSON TRUST; MILES ‘HUGH WILSON; JOHN DOES 1-100;
JANE DOES 1-100; DOE PARTNERSHIPS 1-100; DOE
CORPORATIONS 1-100; DOE ENTITIES 1-100; and DOE
GOVERNMENTAL UNITS 1-100, Defendants
C&I COUPE FAMILY LIMITED PARTNERSHIP,
‘Third-Party Plaintiff-Aappellant
1250 OCEANSIDE PARTNERS aka HOKULI‘A,
Third-Party Defendant-Appellee
(CIV. NO, 00-1-0161K)
COUNTY OF HAWAT'T, a municipal corporation,
Plaintiff/Counterclaim Defendant-Appellee
C&J COUPE FAMILY LIMITED PARTNERSHIP,
Defendant /Counterclaimant /Cross Claimant-Appellant
and
1250 OCEANSIDE PARTNERS aka HOKULI‘A,
Defendant /Cross Claim Defendant-Appellee
and
FOR PUBLICATION IN WEST'S HAWAT' REFORTS AND PACIFIC REFORTER:
ROBERT NIGEL RICHARDS, TRUSTEE UNDER THE MARILYN
SUE WILSON TRUST; MILES HUGH WILSON; JOHN DOES 1-100;
JANE DOES 1-100; DOE PARTNERSHIPS 1-100? DOE
CORPORATIONS 1-100; DOE ENTITIES 1-100; and
DOE GOVERNMENTAL UNITS 1-100, Defendants
(CIV. NO, 05-1-015K)
No. 28622
APPEAL FROM THE THIRD CIRCUIT COURT
(CIV. NOS. 00-1-0181K; 05-1-015)
December 24, 2008
NAKAYAMA, ACOBA, AND DUFFY, JJ.
WITH MOON, C.J. CONCURRING SEPARATELY
AND DISSENTING, WITH WHOM LEVINSON, J., JOINS
OPINION OF THE COURT BY ACOBAL J,
‘This case arises from two condemnation actions brought
by Plaintiff-Appellee County of Hawai'i (Appellee or the County).
In both actions Appellee sought to condenn property belonging to
Defendant-Appellant CéJ Coupe Family Limited Partnership
(Appellant)' for use as a public highway (Bypass) .? 1250
2 the complaints were initially filed against fobert Nigel Richards,
Trustee under the Marilyn Sue Hilson Trust) Robert Nigel Richards, Trust
Under the Joan Elizabeth Coupe Trust; Charles Willian Coupe; Joan Elizabeth
Coupe; Miles Hugh Wilsons Joan Coupe, Trustee under Revocable Trust of Joan
Coupe Dated March 30, 1988, and unidentified defendants. All named defendants
except fobert Nigel Aicharde, Trustes Under the Marilyn Sue Wilson Trust, and
Miles Hugh Wilson anavered the complaints. On May 23, 2007, the parti
Stipelated to sunsticute Ce Coupe Fansly Limited Partnership fer the
Foragoing named defendants who appeared in the two cases. ‘Therefore, th
said naned defendants are hereafter referred to as “Appellant.”
This case is before us by virtue of our acceptance of a request
‘rom the Intermediate Court of Appeals [the
jant to Hawaii Rules of Appellate Procedure (HRAB) Rule 40,2" (2008)
SU Revised Statutes (HRS) § 602-38 (Supp. 2007). HRS 5 602-38
‘entitled “Application for transfer to the suprene court,” states in part as
2
‘++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER:
Oceanside Partners (Oceanside), a development company that vas to
build the Bypass through an agreement with Appellee, was added in
Civ. No, 00-1-0181K (Condennation 1) as a Third-Party Defendant
and, therefore, is the Third-Party Defendant-Appellee in the
appeal in that case. Oceanside was ordered joined as a defendant
on indispensable party grounds in Civ, No. 05-1-015K
(Condemnation 2) and, therefore, is the Defendant-Appellee in the
‘The court consolidated the cases and
appeal from that c:
dismissed Condernation 1 in favor of Appellant but granted
condemnation in Condemnation 2, entering judgment in favor of
Appellee and Oceanside on September 27, 2007. Oceanside joined
Appellee in its answering brief on appeal and, therefore, is
bound by the resolution herein of the issues raised.
Appellant appeals from (1) the automatic denial by
operation of law of Appellant's post-judgment motion for
follows:
(a) The suprene court, in the manner and within the
time provided by the rules of court, shall grant an
applitation to transfer any case within the jurisdiction of
the intermediate appellate court to the supreme court upon
the grounds that the case involves:
(2) A'question of inperative or fundamental public
inportancer
ib} The supreme court, in the manner and within the
time provided by the rules of court, may grant sa
application ro transfer any cose within the jurisdiction of
the intermediate appellate court to the supreme court upon
the grounds thet the case involves!
(2) A question of first impression or a novel Legal
question; oF
(2) Tasuea spon which there ss an inconsistency in
the decisions of the intermediate appellate
court or of the supreme court.
3
/-FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER***
statutory damages pursuant to HRS § 101-27 (1993)? in
Condemnation 1 and (2) the September 27, 2007 First Amended Final
Judgment of the Circuit Court of the Third Circuit (the court)*
in favor of Appellee in Condemnation 2. Related to the court's
judgment dismissing Condemnation 1, Appellant argues that it was
entitled to statutory damages under HRS § 101-27 because
“(Appellee] did not succeed in taking the property in that case.”
Related to Condemnation 2, Appellant argues that (1) the court
lacked subject matter jurisdiction under the doctrine of
abatement, and (2) ££ the court had subject matter jurisdiction,
it erred in failing to consider whether the asserted public
purpose was a pretext for private benefit. On appeal, Appellant
asks this court to (1) remand Condemnation 1 for an award of
damages,’ and (2) (a) reverse the court’s Judgment in Condemnation
2 for lack of jurisdiction, or, in the alternative, (b) vacate
the Judgment in Condemnation 2 and remand for determination of
whether the asserted public purpose vas pretextual.
+ HRS § 101-27 19 quoted in its entirety infra at pages 16.
‘the Honorable Ronald Ibarra presided.
+ Because, ae explained belok, the requested damages were decned
denied by operation of Lau when the court failed to rule on the request within
the prescribed time period, there is no order or judgment to dispose of
Felated to the appeal in Condemnation 1. The Judgment dismissing Condemnation
1°\s"hor challenged by Appellant’ first iseve on appeal. In that connection,
Appedlant notes that Appellee has not appealed from the dismissal of
Condeanation 1, the peried to appeal pursuant to HRAP Rule 4(a) (1) (2008) has
expired, and, therefore, the Juageent in Condemnation 1 is final and cannot
how be sppesied. Ses Bacon v. Karlin, 68 Haw. €48, 651, 127 P.24 1127, 1130
(isse) tholding that the failure to file a notice Of appeal within tha time
provided in MRAP Role 4a) (1) deprived this court of appellate jurisdiction.)
“***FOR PUBLICATION IN WEST'S HAWAT REPORTS AND PACIFIC REPORTER***
We hold that (1) a landowner in a condemnation action
is entitled to damages under HRS § 101-27 where the property at
issue is not finally taken in the context of a particular
condemnation proceeding, irrespective of whether the government
attempts to take the land through subsequent condemnation
proceedings; (2) abatement does not apply where the relief sought
in two concurrent actions is not the same; and (3) although our
courts afford substantial deference to the government's asserted
public purpose for a taking in condemnation proceeding, where
there is evidence that the asserted purpose is pretextual, courts
should consider a landowner’s defense of pretext. Therefore,
(2) automatic denial of statutory damages under HRS § 101-27 in
Condemnation 1 is vacated and the case remanded for a
determination of damages, (2) the court's conclusion that
Condemnation 2 was not abated by Condemnation 1 is affirmed, and
(3) the court’s Judgment in Condemnation 2 is vacated and the
case remanded for a determination of whether the public purpose
asserted in Condemnation 2 was pretextual.
I.
‘This case arises from the development of the Hokuli'a
subdivision (Hokuli‘a) by Oceanside. The project is located on a
1550-acre parcel, which extends from the ocean almost to the
Manalahoa Highway, and crosses the border between North and South
Kona on the Island of Hawaii. Appellant’s property is
contiguous to the southern border of Hokuli‘a, Tt appears that
"FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER*
the zoning of the 1550-acre parcel did not allow for the planned
Hokuli'a development.‘ Thus, the Hawai'i County Council (HCC)
passed Ordinances 96-7 and 96-8, which, in pertinent part,
rezoned the Hokuli'a land, As a condition of rezoning, Oceanside
agreed to construct a Bypass in the vicinity of Keauhou and
Captain Cook. According to Appellee, the Bypass is necessary to
“alleviat(e] unacceptable and unsafe traffic conditions.”
Appellant characterizes the Bypass as a means of
accessing the Hokuli‘a development from the existing
infrastructure, ise., Mimalahoa Highway. It maintains that
Oceanside agr
d, a a condition of rezoning, to “construct a
road to connect its property to Mamalahoa Highway.” Further,
Appellant represents that, under this condition, Oceanside was
responsible for acquiring the property necessary for the Bypass
and for the cost of constructing the Bypass. Contrastingly,
Appellee states that, because the Bypass would cross many parcels
of privately-owned land, “the [rezoning] ordinances anticipated
that [Appellee] might need to use its eminent domain power in
connection with the construction of the Bypass.” Paragraph 14 of
© the parties do not state how the land was originally zoned, and
what category was needed to allow for Hokuli'a to be developed. This court
Sheed not search through @ voluminous record, which in this case includes
thousands of pages in each condemnation action, for detaile not provided. Cf.
janai Cou. Ines Zs Land Use Comm'n, 105 Hawai'i 296, 309 n.31, 97 P.3d 372,
585 nest {aout Texpiaining that this court “ie not obligated to sift ehrough
the-voluminous record to verify an appellant's inadequately documented
contentions” (citations omitted) )
> te seems that the Bypass referred to by Appellee and the access
road referred to by Appellant is, in fact, the same road. Therefore, for the
Sake of consistency, “Bypass” is used throughout.
6
‘+1 FOR PUBLICATION IN WEST'S HAWAI'I REPORTS AND PACIFIC REPORTER***
the Development Agreement requires Oceanside to dedicate the
Bypass to Appellee upon its completion. Thereafter, Appellee
Will “assume all responsibility and costs for operation,
maintenance, repair, or reconstruction of the (Bypass).”
In April of 1998, the HCC passed Resolution 244-98
adopting the Development Agreement between Appellee and
Oceanside. Appellant presents the portions of the Development
Agreement following as salient. First, Oceanside was authorized
to determine the route of the Bypass and, thus, which property
needed to be acquired.
oceanside shall:
[2] ‘Determine the final . . , alignment of the entire
[Bypass], including intersection areas
(Capitalization omitted.) Relatedly, Paragraph 10 provided for
the exercise of Appellee’s eminent domain power if Oceanside
could not obtain the land necessary for the Bypass through
private sale.
Should Oceanside and any parson
be unable to negotiate a mutually agreeable purchase price,
then Oceanside shall provide [a list of appraisers, from
hich the landowner must cheose one appraiser and accept the
price established by the appraiser]. should Oceanside and
decide ofa Brice vecommended by (s)
mutoally selected appraiser, then upon written request to
ioe, (Appelee| shall’
‘Sondemnation powers to acauize the seanentis) from the
person pursuant to Paragraph (i)
(Bnphases added.) (Capitalization omitted.) The Development
Agreement also allowed for the institution of condemnation
proceedings in the absence of
‘**FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER
negotiations, where the landowner refused to consider selling his
or her land to Oceanside.
Notwithetanding Paragraph (10.b), if the parson fails
eo negot iat
Sirshase of seamentis] of the [Bypass] from tho person
Respite Oceanside’ s good faith attempts to negotiate, thet
ae nav, in ite 2
e >
Dpon Fecaipt of the written reque
(Enghases added.) (Capitalization omitted.) Second, Paragraph
11 of the Development Agreement established that (1) condennation
actions would be initiated upon Appellee’s receipt of a notice of
requirement from Oceanside, (2) Oceanside had sole discretion to
determine what property to condemn, and (3) Oceanside would
einburse Appellee for eny costs incurred as a result of the
condennation proceedings.
Should the person fail to participate in negotiations
with Oceanside . «. , the condennation powers of (Appellee)
ABALL be roguired' for’ the acquisition of the segeent(s) «
8. Upon Oceanside’ s tender of a requirenent of
condemnation by letter to [Appellee], [Appellee] shall
Sithin thirty (30) says begin to immediately and
expeditiously exercise the sane pursuant to MKS chapter 101.
‘Sohgemnation action” as that ters is Used in Condition L(2)
Sf Ordinance 96-8 and Condition M(2) of Ordinance 96-7 and
Shell relieve Oceanside of all further liability or
Sbligation to purchase segments) of the (Bypase] from such
perssn.
b. [Appellee] shall subeit to Oceanside a
a Zor paysent of any and ali reasonable “costs
‘Aidexpenses incurred by [Ampelleel for the acquisition of
the condesned land in conjunction with [Appel lee’ a] exercise
of its condennation powers shen Oceanside has determined in
Within forty-five (45) gays of written
‘Hieasmuiced Tang.
notice from [Appellee], Gceanside shall reimburse (Aopellee!
for apy and a1 ceasonable coats and expenses incuzced by
‘{igpellgel for the acquisition of the condened land in
conjunction with (Appelles’s] exercise of its condemnation
powers.
“SFOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER
(Emphases added.) (Capitalization omitted.) Third, once ail the
required land was acquired, Oceanside would be responsible for
constructing the Bypass. “Oceanside shall construct the [Bypass]
to the standards set forth in Exhibit ‘M’ by the Department of
Public Works for Ali Highway with such modifications as may be
deemed necessary by the County Department of Public Works and by
Oceanside.” (Capitalization omitted.)
Oceanside initially attempted to obtain Appellant's
property through a private sale. Appellee relates that
“[s]tarting in 1997, Oceanside and [Appellee] engaged in
negotiations with [Appellant] to obtain the right-of-way needed
to construct the Bypass through [its] property. However, despite
lengthy negotiations, Oceanside and [Appellee] were unable to
reach an agreement with (Appellant) and they eventually reached
an impasse in 2000.” Being unable to negotiate a sale, on
May 23, 2000, Oceanside sent a letter to Appellee requesting that
it exercise ite power of eminent domain with respect to
Appellant’s land. After receiving the request, Appellee started
the necessary procedures, and on July 26, 2000, the HCC adopted
Resolution No. 266-00, finding it necessary for Appellee to
initiate eminent domain proceedings against Appellant’s land
pursuant to the Development Agreement, Oceanside having been
unable to acquire the right-of-way for the Bypass. That
resolution read:
‘++°FOR PUBLICATION IN WEST'S HAWAII REFORTS AND PACIFIC REPORTER***
Whereas, the [D)evelopment (A)grecment provide
lof the owners acroaa whose property the [8Ypa
to traverse fails to mutually agree with Oceanside
Price of “the terme of the
n powers of [Appellee] shall be
Pursuant to that Resolution, on October 9, 2000, Appellee filed a
condemnation complaint, thereby initiating Condemnation 1. Both
Resolution No. 266-00 and the October 2000 Complaint attached a
survey identifying the parcel to be condemned, which comprised an
area of 2.9 acres. On October 9, 2000, Appellee also filed an
“Ex Parte Motion for Order Putting [Appellee] in Possession”
pursuant to HRS § 101-29 (1993), which was granted on October 10,
2000.
on January 24, 2001, Appellant filed its Answer to
Appellee’s October 9, 2000 Complaint and a Counterclaim against
Appellee. Appellant’s Ansver asserted eleven defenses and the
counterclaim raised four claims for relief.
on September 4, 2001, in Condemnation 1, Appellee filed
a “Motion for Partial Summary Judgment as to [Appellant’s] Sixth
and Seventh Affirmative Defenses and First Claim for Relief
Asserted in the Answer and Counterclaim Filed January 24, 2001”
(Notion for Partial Summary Judgment). Appellant’s sixth
affirmative defense was that there “is no public necessity for
the taking.” In that connection, the seventh affirmative defense
was that Condemnation 1 did not have a valid public purpose, but
was being effected “for private benefit.” Similarly, the first
claim for relief in the counterclaim alleged that the taking was
10
‘**°FOR PUBLICATION IN WEST'S HAWAY'T REPORTS AND PACIFIC REPORTER
instituted “for the private benefit of Oceanside,” in violation
of the public purpose clauses of the federal and state
constitutions. On November 27, 2001, the court granted
Appellee’s Notion for Partial Summary Judgment.
According to Appellee, relevant to the subsequent
Condemnation 2 action, on February 21, 2002, Appellee issued a
“final subdivision approval for the Bypass."" Although
Condemnation 1 had sought only 2.9 acres of Appellant's property,
the final subdivision approval indicated that 3.349 acres of
Appellant's property would be needed for the Bypass.
In July of 2002, the court held a hearing on the issue
of public purpose and, after considering the evidence, on
Septenber 5, 2002, reversed its Novenber 27, 2001 Order granting
partial summary judgnent to Appellee, finding that there was a
genuine issue of material fact as to public purpose. Upon motion
by Appellant, on December 11, 2002, the court thereby stayed the
order putting Appellee in possession of Appellant's property
until final judgment.
According to Appellant, possession was subsequently
returned to Appellant and the construction of the Bypass
“halted.” Thereafter, Oceanside sought a writ of mandamus
directing Judge Ibarra to rescind his sua sponte order
transferring Oceanside’s motion for disqualification or recusal
+ re should be noted that, at that tine, Appelles had not yet
ingtiated Condesnation 2.
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of Judge Ibarra, and its motion for stay of proceedings, to Judge
Amano, which this court denied on April 10, 2003. See County of
Hawai'i v. Richards, No. 25746, 2003 WL 1961471 (Apr. 10, 2003)
(unpublished order).
According to Appellant, at trial, in Civil No. 00-1-
181K,? it opposed Condemnation 1, arguing, inter alia, that
(1) Appellee “illegally delegated its power of eminent domain to
Oceanside,” (2) “the claimed public use was a pretext,” and
(3) “the taking was not for a public use or purpose[, nJor was it
cise of [Appellee’s) independent discretion.” It also
objected to the reimbursement provisions of the Development
Agreement, “maintain[ing] that the Development Agreement
attempted to shift Oceanside’s obligation to pay for its road to
third parties, whether or not their land was being taken.”
Pursuant to the Development Agreement, these third parties may
include “developers or land owners” who Appellee determined as
benefitting from construction of the Bypass.
For unstated reasons, during the pendency of
Condemnation 1, Appellee for a second time initiated procedur:
to condemn Appeliant’s property. On January 23, 2003, the HCC
adopted Resolution No. 31-03. That resolution
authoriz{ed Appellee) to initiate a second eminent domain
Proceeding for condeanation of [Appellant's] property for
the Bypass. Unlike Resolution [No-} 266-00 this resolution
Sid not reference the Develosment Agreement and instead the
+ Ag noted Antza at page 23, on March 31, 2005, the court ode:
Condannation 1 and Condesnation 2 to be sonsciidated.
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[nice] determined that the Bypass (would) provide “a regional
Benefit for the public purpose and use which will benefit
the County [of Hawai'i}.”
on January 28, 2005, Appellee filed a second condemnation action
against Appellant pursuant to the Resolution. tn accord with the
final subdivision approval, both Resolution No. 31-03 and
Appellee’s Complaint in Condemnation 2 sought to condemn
approximately 3.348 acres of Appellant's land.
on February 7, 2005, Appellant filed a Motion to
Dismiss or in the Alternative to Consolidate with Condemnation 1.
Based on that motion, on March 31, 2005, the court consolidated
Condemnation 1 and Condemnation 2.
A bench trial took place over the course of sixteen
days in July and August, 2007. Appellant asserts that throughout
the proceedings related to Condemnation 2, it repeatedly argued
that the court did not have subject matter jurisdiction over the
matter because Condemnation 2 was abated by the pendency of
Condemnation 1.
As to Condemnation 1, on September 27, 2007, the court
determined that it was invalid because Appellee had “illegally
delegated its power of condemnation, through the Development
Agreement, to a private party, [Oceanside], and therefore did not
have @ proper public purpose.” In that connection, the court
ordered that judgment be entered against Appellee and in favor of
Appellant as follows:
‘The Condemnation is invalid.
3
and therefore
ia not have a proper public purpose.
(Bmphasis added.) As to Condemnation 2, the court ruled (1) that
it was not abated and (2) that it was for a public purpose.
Relatedly, the Judgment declares that
[t]here is no abatement. Judgment is hereby entered in
Favor of (Appeliee) and [Oceanside], and against {Appel ant)
because the clains are substantially ditierent, based on
(Emphasis added.)
© for
on October 11, 2007, Appellant filed a requ
statutory damages consisting of attorneys’ fees and costs (fees
motion) pursuant to HRS § 101-27 “because [its] property was not
taken for public use” in Condemnation 1. On October 26, 2007,
Appellant appealed from the Judgment in Condemnation 2. The
court did not rule on the fees motion by January 9, 2008, and,
therefore, as related by Appellant, it ‘was deemed denied by
operation of (HRAP Rule) 4(a) (3) [(2008)], which requires that
(the court] . . . dispose(] of the motion within [ninety] days.
on February 8, 2008, Appellant appealed from this denial of the
fees motion.
on June 16, 2008, Appellee filed a motion for transfer
to this court pursuant to MRAP Rule 40.2 and HRS § 602-58 (a) (1).
On June 23, 2008, Appellant filed its opposition to transfer. on
July 9, 2008, this court accepted transfer. On October 16, 2008,
this court heard oral argument on the merits.
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n.
Appellant presents three questions on appeal. The
first pertains to Condemnation 1 and the others to Condemnation
2. First, related to its fees motion, Appellant asks, “May
[Appellee] forever avoid its obligation under [HRS] § 101-27 to
Pay damages for discontinued or failed takings by instituting
serial condemnation actions?” In connection with this question,
Appellant asserts that because its property was not taken in
Condemnation 1, the court was required to award “all such damages
fas may have been sustained . . . by reason of the bringing of the
[condemnation] proceeding . . . including [its] costs of court, a
reasonable amount to cover attorney's fees paid by [it) in
connection therewith, and other reasonable expenses.” (Quoting
RS § 101-27.) (Emphases omitted.) Second, related to the issue
of abatement, Appellant asks:
Ie an eminent domain action abated -- and the circuit court
deprived of subject matter jurisdiction ~~ when the court is
Already considering another, earlier-filed eminent domain
action, instituted by the same plaintiff, in the same court,
againot the sane detendants, for the sano Feller?
As to this question, Appellant further maintains that, in
Condemnation 2, the court “lacked subject matter jurisdiction,
and [it] erred when it denied multiple motions to dismiss.”
‘Third, in connection with the Judgment in Condemnation 2,
Appellant asks:
Does a circuit court have any duty under the (United States]
and Hawai'i Constitutions to examine the record to determine
Whether the government's proffered public purpose supporting
3 taking is 3 pretext niding » predominantly private
benefit, or may it simply take the government’ s word?
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Related to this question, Appellant further posits that “(the
court] should not have rejected allegations of a pretextual
taking or
predominantly private purpose by looking only to the
government’s claims of public use.”
statutory
qr.
As discussed infra, Appellant is entitled to seek
damages pursuant to HRS § 101-27 because it prevailed
in Condemnation 1, HRS § 101-27 provides:
(Emphases
any proceedings instituted under this part
are abandoned or discantinued before reaching a final
for any cause, the nioperty concerned is
fo recover rz
ihe of te
Dioperty concerned if the possession has been awarded
‘nciugina thedefencant"s costa of court, a ransonable
‘ghoul to-eorar attomey's fees paid by the defendant in
and the
Possession of the property concerned shell be restored to
The defendant entitied thereto, Issues of fact arising in
Connection with any claim fer guch danage shall be tried by
the court without a jury uniess a trial by jury is denanded
by either party, pursuant to the rules of court, within ten
Gays from the date of the entry of an order or judgment
allowing the discontinuance of the proceedings, of
Gismissing the proceedings or denying the right of the
plaintiff to take the property concerned for public use
Ehe event judgment is entered in favor of the defendant
against. the plaintiff, any moneys which have been paid,
any additional security whieh has been furnished, by th
Plaintiff to the clerk of the court under sections 101-28
Snd 101-23, shail be applied or enforced toward the
Satisfaction of the judgnent.. In the case of the state or a
Gounty, if the moneys so paid to the clerk of the court are
insufficient, then the balance of such Judgeent shall be
paid from any moneys available or appropriated for the
Sequiaieion of the property concerned, or if that 48
insufficient then the sane shall be paid from the general
fund of the state or county, as the case may be.
added.)
Whether Appellant was entitled to damages presents an
issue of statutory interpretation, which this court reviews de
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novo. State v. Bayly, 118 Hawai't 1, 6, 185 P.3d 186, 191 (2008)
(stating that “[s]tatutory interpretation is a question of law
reviewable de novo” (internal quotation marks and citations
omitted)}. Under the canons of statutory construction, “where
the language of the law in question is plain and unanbiguous
courts must give effect to the law according to its plain and
cbvious meaning.” Mikeleon v. United Serve. Auto, Ass'n, 108
Hawal's 388, 360, 120 P.3d 257, 259 (2005) (internal quotation
marks and citation omitted). The canons of statutory
construction also require this court “to construe statutes so as
to avoid absurd results.” Tauese v, State, Dep't of Labor é
Indus. Relations, 113 Hawai'i 1, 31, 147 P.34 785, 815 (2006)
(quoting Franks v. Hawaii Planing Mill Found., 88 Hawai'i 140,
144, 963 P.2d 343, 353 (1998)). Furthermore, an interpretation
of a statute must be “reject [ed]” if it “renders any part of the
statutory language a nullity.” City & County of Honol
Hsiung, 109 Hawai'i 159, 173, 124 P.3d 434, 448 (2005) (internal
quotation marks and citation omitted).
Appellant seeks “statutory danages pursuant to [HRS]
§ 101-27 because although [Appellee] improperly forced
(Appellant] to litigate [Condemnation 1], [Appellee] did not
succeed in taking the property in that case.” Tt contends that
“the [court] invalidated [Condemnation 1], holding it was void
and the taking was not for public use, but for Oceanside’s
private benefit{,]” and therefore, Appellee failed to “tak[e] the
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property in that case” notwithstanding the fact that Condemnation
2 was upheld.
In support of its position, Appellant makes four sub-
arguments: (1) the consolidation of the two condemnation actions
pursuant to Hawai'i Rules of Civil Procedure (HRCP) Rule 42
(2008) “did not relieve [Appellee] of its (HRS) § 101-27
obligation”? (2) the legislature did not intend to allow “serial
eminent domain abuse” as a means of allowing the government to
escape payment of statutory damages; (3) the term “proceedings”
for purpo!
of HRS § 101-27 “means a single eminent domain
action, not many”; and (4) “(HRS §) 101-27 is unambiguous,”
quiring that the “[glovernment bear{] the risk of eminent
domain failures{.]"
Appellee argues that Appellant’s fees motion “was
properly denied{.]" In support of its position, Appellee makes
three subarguments:
(2) HRS § 101-27 does not
finally taken for
where (xppeliant was) awarded Just compensation for the
property: (2) the Kotion for Sumaary Oameges was filed
Sutside of the 10-day period permitted under HRS § 101-27
and (3) (Appellant) aid not present 2 sufficient record to
Getermine reasonable attorneys’ fees.
With respect to Appellant’s first subargument,
Appellant urges that the court’s “consolidation of the two
condemnation actions did not relieve [Appellee] of its [HRS]
§ 101-27 obligation to make [Appellant] whole after the court
denied [Appellee] relief in (Condemnation 1}.” In sum, Appellant
argues that “even though [the court} held that [Appellee] could
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take [Appellant's] property in [Condemnation 2, it] does not mean
that it was ‘finally taken for public use’ for purposes of [HRS]
§ 101-27." (Quoting HRS § 101-27.) In response, Appellee
maintains in its first subargument that Appellant “ha(s] not
carried (its) burden of proving that HRS § 101-27 applies to an
eminent domain defendant who ultimately lost in a consolidated
condemnation trial{.J”
Appellant and Appellee are correct that the issue of
whether Appellant is entitled to statutory damages under HRS
§ 101-27 turns upon whether the property in question “was finally
taken” under that statute. HRS § 101-27 identifies three
circumstances under which a defendant in an eminent domain action
is entitled to statutory damages: (1) where the eminent domain
proceedings are “abandoned . . . before reaching a final
judgment"; (2) where the eminent domain proceedings are
“discontinued . . . before reaching 2 final judgment"; or (3) if
“for any cause, the property concerned is not finally taken for
public use[.]” Because neither party has alleged that
Condemnation 1 was “abandoned” or “discontinued,” Appellant can
only recover statutory damages under the third circumstance, if
“the property concerned [was] not finally taken for public
use[.]”
It is evident that Appellant is correct that “the
property concerned [was] not finally taken for public use” in
Condemnation 1, As noted previously, in that action, the court
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stated in its order that “{tlhe Condemnation is invalid.
Judgment is hereby ordered to be entered in favor of [Appellant]
and against [Appellee] . . . .” (Emphasis added.) That the
property was eventually condemned after Appelle
prevailed in the
second condemnation action it filed is of no import. To hold, as
Appellee argues, that statutory damages under HRS § 101-27 are
unrecoverable by the prevailing defendant in a condemnation
action if the property in question is later condemned in another,
subsequently filed condennation action, would render a portion of
the statute a nullity. Under this interpretation, statutory
damages could never be recovered under HRS § 101-27 by a
prevailing defendant because there is always a risk that the
property might be “finally taken for public use” in a future
condemnation action. Thus, under this interpretation, a
defendant could only recover statutory damages under HRS § 101-27
where the condemnation proceedings are abandoned or discontinued,
and not where defendant prevailed in an action, contrary to the
plain meaning of the statute.'*
w appellee cites State v. Davis, 53 Haw. S82, 585-86, 499 F.24 663,
666-67 (1972), for the proposition that HRS § 101-27 manifests a legislative
intent to preclude recovery if the property is finally taken, and that "ai
sninent domain proceeding 1s not to be deemed ‘in favor of the defendant and
Sgainst the plaintiff’ unless the property sought to be condenned is not
Hinally taken for public use.” However, Dauig is inapposite, as it did not
Address application of the statute under circumstances where the Landowner was
‘Setually successful with respect to one of the condeanation actions at issue.
Tn Davis, the government was successful on b11 counts, but the defendants
Atgued that attorneys’ fees and costs should be included as part of the “Just
Compensation” awarded. Id at 583-86, 499 P.2d at 665-67. The court referred
EoumRS § 101-27 as indicating that the legisiature only intended for
defendants to receive attorneys’ fees and costs where the landowner is
Successful on the merits, and not as a part of Just compensation where the
lang is taken. dd, at 585, 499 7.24 at 665
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Insofar as a statute must be interpreted to avoid
rendering any part of it a nullity, see Haiung, 109 Hawas‘i at
173, 124 P.3d at 448, HRS § 101-27 cannot be interpreted as
precluding the recovery of statutory damages if the defendant
prevails in a condemnation action but fails in a subsequent
condemnation action on the sane property. See also EéJ Lounge
eratin. Yn of City & Cou ert)
Hawai'i 320, 349, 169 P.3d 432, 461 (2008) (stating “the well-
established tenet of statutory construction [1s] that an
Anterpreting court should not fashion a construction of statutory
text that effectively renders the statute a nullity or creates an
absurd or unjust result” (internal quotation marks, citation, and
emphasis onitted)). Accordingly, Appellant is correct that, for
purposes of HAS § 101-27, the property in question was not
finally taken in Condernation 1, irrespective of the fact that
the property in question was taken in a subsequent condemnation
action.
As to its second subargument, Appellant argues that,
with respect to HRS § 101-27, “the [legislature did not intend
to be an enabler of dysfunctional and abusive government conduct”
and therefore “[it] surely could not have intended . . . to
encourage local governments to become serial takers and keep
pressing forvard in repeated condemnation lawsuits without
consequence, until they finally win one, or the property owner is
a
**+FOR PUBLICATION IN WEST'S HAWAI'I REFORTS AND PACIFIC REPORTER:
bankrupted.” (Emphasis in original.) Appellee does not respond
to Appellant's second subargunent.
Appellant is correct that Appellee’s interpretation of
HRS § 101-27 as precluding the recovery of damages by a defendant
who prevails in one condemnation action but fails in a later
rial eminent domain abuse”
condemnation action, would “enable
by the government. Under Appellee’s interpretation, HRS § 101-27
would allow recovery of statutory damages by a defendant in an
eminent domain action where the action was “abandoned or
discontinued,” but the defendant could not recover danages if the
defendant prevailed at trial because it would be possible that
the government could bring one or more eminent domain actions in
the future under which the property might be “finally taken for
public use[.]" HRS § 101-27.
This interpretation does not comport with common sense
and fairness, as it would be patently unjust under the statute to
award damages to a defendant where the eminent domain action was
discontinued or abandoned, but deny them where the defendant
prevailed and received a final judgment in his or her favor.
Such an interpretation is legally absurd in that the statute
would penalize the government for abandoning or discontinuing
eminent domain actions but would not sanction it for bringing
actions lacking merit that result in judgments in favor of the
defendant. Thus, as Appellant notes, “(iJnterpreting the term
‘finally taken’ to mean anything beyond a single, discrete
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eminent domain lawsuit vould transform that statute from one
designed to remedy eminent domain abuse into one that encourages
it, @ plainly unintended and absurd result.” (Emphases in
original.)
‘This court is “bound to construe statutes so as to
avoid absurd results." Tauese, 113 Hawai'i at 31, 147 P.3d at
815 (internal quotation marks and citation omitted); see also
Beneficial Hawai'i, Inc. v. Kida, 96 Hawai'i 289, 308, 30 P.3d
895, 914 (2001) (stating that “the legislature is presumed not to
intend an absurd result, and legislation will be construed to
avoid, if possible, inconsistency, contradiction, and
Allogicality” (internal quotation marks and citation omitted).
‘Thus, Appellee’s interpretation of HRS § 101-27 must be rejected
to the extent that it not only renders a portion of the statute a
nullity as described supra, but also produces a legally absurd
outcone.
With respect to Appellant's third subargument,
Appellant contends that the term “proceedings” as used in HRS
§ 101-27 refers to “a single eminent domain lawsuit, not
several.” In support of this subargument, Appellant states that
other statutes in HRS chapter 101 governing the state’s eminent
domain powers “use the term ‘proceedings(]’ . . . [to] mean a
single condemnation action.” Appellant cites HRS § 101-13
Appellant algo cites to language from Davia that seems to indicate
that HRS $ 101-27 refers to a final juggnent ina single eminent donain
proceeding, not several. fea $3 law, at S66, 499 P.2d st 667 ("Tt ie clear
from HBS '§ 101-27, however, that judgment in’ an emi ie
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(1993), the statute pertaining to the exercise of eminent donain
powers by a county, which provides, in pertinent part as follows:
Exercise of power by county. Whenever any county
dooms it advisable of necessary to exercise the right of
‘eminent domain in the fortherance of any governmental power,
the procandings nay be instituted as provides in section
TOTS tter the governing authority (esunty couneli, oF
other governing board in the case of an independent board
having control of its oun funds) of the county
Suthorized guch auit by resolution duly passed, oF adopted
Gna approved, az the case may be.
(Boldfaced font in original.) (Emphases added.)
Appellant argues that HRS § 101-13 “treats ‘the
proceedings’ as a single suit by later use of the term ‘such
suit,’ meaning ‘one.'” Thus, Appellant asserts that because
under HRS § 1-16 (1993), “*(1]aws in pari materia, or upon the
same subject matter, shall be construed with reference to each
other[,]'" HRS § 101-27 “must be read” as referring to a single
suit. Appellee answers that Appellant “ha(s) not carried [its)
burden of proving that HRS $ 101-27 applies to an eminent domain
defendant who ultimately lest in a consolidated condemnation
triall.1”
Neither the term “proceedings” as used in HRS § 101-27,
nor the singular form “proceeding,” is defined in that statutory
section or in HRS chapter 101 governing eminent domain. the term
“proceeding” is defined in Black's Law Dictionary as
2. The regular and orderly progression of a Lawsuit
including _all_acts and events betmeen the tine of
‘Soumencenant and the entry of Sadameat. 2, Any procedural
eens for seoking redress from a tripunal or agency. 3. Ap
8. continue
not to be deamea "in favor of the desendant and against the plaintift” unless
the property sought to be condemned is not finally taken for’ public vse.”
(Emphasis addes.))
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1 sic. 4. the
Business conducted by a court or other official body: a
hearing.
Black's Law Dictionary 1241 (8th ed. 2004) (emphases added).
This definition is not helpful in resolving the issue of
whether the term “proceedings,” as used in HRS § 101-27, refers
toa single suit or multiple suits. On the one hand, the third
definition supports Appellant's argument that the term
“proceedings” refers to a single suit. If the term “proceeding”
is equivalent to “[a]n act or step that is part of a larger
action{,]” then a single suit could contain many proceedings. on
the other hand, the first definition supports Appellee’s argument
that the term “proceedings” could refer to multiple suits. tf
the term “proceeding” means “a lawsuit, including all acts and
events between the time of commencement and the entry of
judgment {,]” then in the plural, “proceedings” would connote
multiple lawsuits.
Turning to case law, the term “proceeding” has been
used to refer to a single lawsuit in accordance with the first
definition in Black's Law Dictionary which implies that the
plural term, “proceedings,” refers to multiple lawsuits. See,
S:a., Hawaii Ventures, LLC v. Otaka, Inc., 116 Hawai'i 465, 470,
173 P.3d 1122, 1127 (2007) (using the term “proceedings”
interchangably with the term “acticns”). However, the term
“proceedings” has also been used to refer to steps that are part
of a larger action in accordance with the third definition. See
Yn, County of Hawai'i, 111 Hawai'i 234,
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250 n.44, 140 P.3d 1014, 1030 n.44 (2006) (using the term
“proceedings” to refer to hearings held by @ county liquor
commission in the plaintiff's action to obtain a permit for the
sale of Liquor).
Although the ordinary meanings of “proceedings” in
Black"s Law Dictionary and in case law provide support for both
parties, the term “proceedings” for purposes of interpreting HRS
§ 101-27 can only be reasonably read as referring to a single
action. If the term “proceedings,” as used in HRS § 101-27,
referred to multiple suits as argued by Appellee, then it could
wer be determined at the conclusion of a particular
condemnation action whether the defendant’s property would be
“finally taken for public use” because, again, subsequent
condemnation actions could always be filed against the property
owner in which the property might eventually be taken. As
discussed supra, this interpretation of HRS § 101-27 is
impermissible because it renders a portion of the statute a
nullity and would create an absurd result not attributable to the
legislature. Thus, the term “proceedings” as used in HRS
§ 101-27 must be construed as referring to a single condemnation
action.
With respect to Appellant's fourth subargument,
Appellant declares that HRS § 101-27 “unambiguous{ly]” requires
that the “government bear[] the risk of eminent domain failures.”
Appellant contends that “{t]he conclusion that [it is] entitled
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to damages {2 simple enough if one adheres to the plain text of
[HRS] § 101-271." Appellee does not respond to this
subargument.
To reiterate, HRS § 101-27 must be read as allowing @
defendant who prevails in a condemnation action to recover
damages sustained in that action regardless of whether the
defendant's property 4s later taken for public use in a
subsequent condennation action. As discussed supra, HRS § 101-27
must be interpreted in this manner in order to prevent part of
the statute from being rendered a nullity and to avoid an absurd
outcome. Furthermore, as argued by Appellant, eminent domain
statutes are to be construed liberally in favor of the landowner.
Seo Marks vs Ackerman, 39 Haw. 53, 58-58 (Terr. 1951) (stating
that eminent domain “provisions should be construed liberally in
favor of the landowner as to remedy in{Jsol)far as they are in
harmony with the common-law principles and constitutional
guarantees protecting private property(]" and that “they should
be construed strictly against the condennor as to right to enter
the land of the landowner without his consent in so far as they
are in derogation of such principles and guarantees”). Thus,
Appellant is correct that the statute allows it to seek damages
insofar as the property in question was not taken in Condemnation
1.
Appellee's first subargunent, that HRS § 101-27 does
not apply because Appellant's property was “finally taken” in
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Condemnation 2, has been answered. With respect to Appellee’s
second subargument, Appellee urges that Appellant is not entitled
to statutory damages pursuant to HRS § 101-27 because under that
section it was required to “take steps to have [its claim for
damages} tried ‘within ten days from the date of the entry of an
order of judgment’ and Appellant failed to do so. (Quoting HRS
§ 101-27.) Appellee cites the following portion of HRS § 101-27
to support its argument:
Taaues of fact arising in connection with any claim for such
Samege sh uiehout =
ules thet
Sf sander ar Sudarent slloving the discontinuance of the
Brocesdings, OF dismissing the proceedings or denying the
Eight of the plaintice to take the property concernes for
public use.
(Emphasis added.) Appellant responds that the ten-day limitation
in HRS § 101-27 pertains to the request for a jury trial but is
not “applicable to the motion for damages itself.”
on Septenber 27, 2007, the court entered judgment in
favor of Appellant, ordering the condemnation invalid. Fourteen
days later, on October 11, 2007, Appellant filed its fees motion.
If Appellee is correct that Appellant was required “to take steps
to have [its statutory damages) claim tried” within ten days of
the entry of Judgment “denying the right of [Appellee] to take
the property concerned for public use,” see HRS § 101-27, then
Appellant's motion for damages was untimely.
But, contrary to Appellee’s contention, under a plain
reading of ARS § 101-27, the ten-day Limitation is applicable
only to the demand for a jury trial on factual issues relating to
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the condemnation claim. Granmatically, the phrase “pursuant to
the rules of court, within ten days” in that section is preceded
by the words “unless trial by jury ie demanded.” Thus, the
ten-day phrase would modify the jury demand option.
Moreover, it would be illogical to conclude that the
phrase “pursuant to the rules of court, within ten days” applied
to the damages trial itself, tt would be reasonable and
necessary to expressly state that the jury demand must be made in
accordance with the HRCP because that section contains a specific
and detailed procedure for demanding a jury trial." Without
express reference to “the rules of court,” a party could
conceivably be uncertain as to whether the demand for 2 jury
authorized by HRS § 101-27 must be made in accordance with the
rule governing such demand established in HRCP Rule 38 or not.
Therefore, the phrase “pursuant to the rules of court” and the
phrase “within ten days” inmediately following it, appropriately
nutes of court specifically governing the demand for a jury trial
fare set forth in HRCP Rule 36(b) (2008). That rale provides:
() Demand, wav denand a trial by jury of
any issue triable of right bya tury by (0) serving unon the
Sther- parties s demand therefor in writing or any tine after
aiter the service of the last pleading airected to such
Such demand aay be indorsed upon a pleading of the party.
Where by statute a jury trial is allowed on sppesl to the
circuit court from the prior determination of any court or
adninistrative body, a trial by jury may be had if demanded
in the notice of appeal, and if aot demanded in the notice,
the appellee may have atrial by Jury by filing a denang
within 10 days after the case is docketed in the circust
(Emphases added.)
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apply to the demand for a jury trial on the damages issues, not
to the trial on damages itself. Appellant's fees and costs
motion, then, is not precluded by the fact that it was filed more
than ten days after the entry of judgment in Condemnation 1.
With respect to its third subargunent, Appellee
maintains that Appellant “failed to submit a sufficient record
for [the court} to award reasonable attorneys’ fees.” Appellee
argues that if Appellant is deemed to have “prevailed on (its)
Amproper delegation of condemnation power defense in
(Condemnation 1,]” then “any award under HRS § 101-27 should be
Limited to amounts paid for the improper delegation of
condemnation power defense in [that] case.” However, Appellee
argues that because Appellant's “motion and supporting documents
did not provide @ means to determine whether the requested
amounts were expended . . . on issues other [than] the improper
delegation claim{,]” Appellant's motion for statutory damages
should be denied due to insufficiency of the record. Appellant
did not respond to this subargument.
The court did not rule on Appellant’s fees motion. The
court is required to dispose of such motions within ninety days.
HRAP Rule 4(a) (3) mandates that “failure to dispose of any motion
by order entered upon the record within [ninety] days after the
date the motion was filed shall constitute a denial of the
motion.” As noted before, because the court failed to issue an
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order on Appellant’s motion by January 9, 2008, ninety days after
deemed denied.
Appellant filed the motion, the motion wa
Inasmuch as the court did not enter an order with
respect to Appellant's motion for atatutory damages, it is
Indeterminable whether a denial would be based on an erroneous
conclusion of law (conclusion) that HRS § 101-27 was inapplicable
because the property in question was taken in Condemnation 2, or
based on a finding of fact (finding) that Appellant's requested
damages were not supported by the evidence. Accordingly, the
record on appeal is insufficient to determine on what basis
denial would have been based. Moreover, because no determination
was made on whether damages were awardable, no record exists as
to the court's assessment of Appellant's motion for statutory
damages. In contrast with Appellee’s contention, Appellant's
motion appears to be limited to attorneys’ fees and costs
incurred in defending Condemnation 1.
Based on the discussion supra, Appellant is entitled to
seek statutory damages under HRS § 101-27. As for the scope of
damages, HRS § 101-27 provides in pertinent part as follows:
[Al defendant who would have been entitled to
compensation or dimages had the property been finally taken,
Snail se entitled, in such proceedings, to zecover from she
plaintiff all such damage as may have been sustained by the
Sefendant by reason of the bringing of the proceedings and
sion by the plaintiff of the property concerned if
been i
% According to Appellee, Appellant's motion for fees and supporting
documents “did not provide 4 meang to determine whether the requested. ancunt=
Were expended in Civil Wo, OS-1-15K or were expended in Civil No; OO-1-181K.=
However, Appellant seated in ite motion thst it was only requesting attorneys’
fees and costa associated with Condemnation b
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aid. by the defendant in connection therewith, and other
aneeneset T
(Emphasis added.) According to the statute, Appellant is
entitled to costs and attorneys’ fees, as well as any expenses
that may have been incurred by reason of Appellee taking
possession of the property." It is manifest from the language
of HRS § 101-27, as well as this court’s interpretation of the
statute in Davis, as discussed supra, that any damages avarded
must be strictly related to Appellant's expenses in defending
Condemnation 1. See Davis, 53 Haw. at 586, 499 P.2d at 667.
The court did not enter any order with respect to
Appellant's motion for statutory damages. Appellant's motion
Andicated that the bulk of the amount requested was for
attorneys’ fees incurred in defending Condemnation 1. It is for
the court to determine whether the fees claimed by Appellant are
related to Condemnation 1 and are reasonable under relevant
standards. Therefore, the case must be remanded to the court for
a calculation of the damages to which Appellant is entitled in
defending against Condemnation 1.
Ww.
Appellant maintains that under the doctrine of
abatement, the court lacked subject matter jurisdiction over
Condemnation 2 because Condemnation 1 had not been resolved at
“gt appears from the record that Appellee vas put in possession
pursuant to Condemnation l'on Octeber 10, 2000; and that posseselon was then
Feturned to Appellant on December 11, 2002, algo pursuant to Condemnation 1.
However, it does not appear from Appéllant’s motion for damages that it 1s
ing any expenses related to dispossession.
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the time Condemnation 2 wi
adjudicated by the court. As a
threshold matter, it, must be determined whether the court had
subject matter jurisdiction over the condemnation proceedings.
“subject matter jurisdiction” is defined as “[3Jurisdiction over
the nature of the case and the type of relief sought; the extent
to which a court can rule on the conduct of persons or the state
of things.” Black's Law Dictionary at 870.
In Hawai'i, pursuant to statute,
(a) The several circute courts shall ha
jurisdiction, except as otherwise expressly provided by
ia)" Givin actions and proceedings, in addition, to
those listed in sections 60S-21.6, 603-21.7, and
503-218.)
HRS § 603-21.5 (Supp. 2007). Relying on HRS § 603-21.5, this
court has declared that “the circuit court has jurisdiction over
all civil causes of action unless precluded by the [s]tate
% the analyais on this point resolves Appellant's Tasve 2 generally,
land more specifically, its argunents that (1) "two eminent domain actions
Seeking the sane relief cannot be pending in the sane court at the sane tine,”
(2) “abatenent trunpa 2 second condemnation to counter deficiencies raised by
{the} Landowner in the first condemnation,” (3) “consolidation cannot create
subject matter jurisdiction,” and (4) Appellee’ s argunent that the issue of
Abatement does Aot necessarily implicate subject matter jurisdiction is
Contrary to this court's holding in heltan engineering Contractors, Ltd. v.
Hawaiian Pacific Industries, inc, $1 Waw, 202, 456 P.28 222 (1968), and the
Teva decision in Eatausnite v_ Container wens’ supsly, 6 Haw. App. 133, 726
P.24'273 (1986), and Appelles’s arguments that (1) the court correctly’
Concluded that abatement did not deprive it of jurisdiction over Condemnation
2 because “the two lanssite had different causes ané prayed for different
Telief{,]” and (2) abstenent does not, as 8 matter of law, Amplicate subject
matter jurisdiction.
MRS $ 603-21-6 (Supp. 2007) pertains to probate cases. HRS
§ 603-21.7 (1983) Lists actions {1} to declare heirs of » decedent; (2) to
Adninister dower or curtesy rights and partitioning real property:
(3) relating to trusts, mortgages, contracts, and suits in equity: and (4) for
Weite or orders “to coures of inferior jurisdiction, corporations and
Unsividuels(-)" HRS § £03-21.8 (1953) pertains co appeals Drought fron the
Geciaion of another court oF an agency
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[clonstitution or by statute.” Sherman v. Sawyer, 63 Haw. 55,
58, 621 P.2d 346, 349 (1980) (emphasis added). HRS chapter 101,
entitled “Eminent Domain,” explicitly vests jurisdiction over
condemnation proceedings in the circuit courts. specifically,
HRS § 101-10 (Supp. 2007) mandates that “(t)he circuit courts
shall try and determine all actions arising under this part,
subject only to an appeal in accordance with law.” Thus, it is
evident that the court “can rule on the conduct of persons or the
state of things” in proceedings in the nature of condemnation and
can award the relief sought in that action. See Black's Law
Dictionary at 870.
It is concluded that, as a general rule, the court has
subject matter jurisdiction over eminent domain proceedings. The
question then is whether the pendency of Condemnation 1 deprived
the court of its jurisdiction in relation to Condemnation 2.
Neither Shelton Engineering nor Matsushita, the cases relied upon
by Appellant, explicitly holds that abatement raises issues of
subject matter jurisdiction. Similarly, Appellee does not cite
to any case law from this jurisdiction holding the converse,
Ase., expressly stating that abatement is not @ question of
subject matter jurisdiction. Thus, a survey of opinions from
other jurisdictions is useful at this juncture.
a,
Upon review, it appears that Appellant’s contention
that abatement necessarily implicates a court's subject matter
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jurisdiction over a case is not correct. Rather, it appears that
abatement is a remedy for a variety of defects, including lack of
subject matter jurisdiction. See Bd. of Regents v, Oglesby, 591
8.8.24 417, 421 (Ga. App. 2003) (explaining that “a defendant can
raise a plea in abatement . . . that raises the issue of the
lack of subject matter jurisdiction in the trial court” (citing
Ga. Code Ann. § $-11-12(b) (1) (1993)) (emphasis added)); Cummins
Momt., L.P. vs Gilroy, 667 N.W.2d $38, S44 (Neb. 2003) (holding
that, when “the basis for the plea in abatement is the court's
lack of subject matter jurisdiction, the court is obligated to
dismiss without prejudice, rather than to suspend the action”
(emphasis added)). “Abatement” is defined, pertinently, as
“ [t]he suspension or defeat of a pending action for a reason
unrelated to the merits of the claim,” Black’s Law Dictionary at
3, lending further support to this construction.
Contrary to Appellant’s position, some jurisdictions
have rejected the contention that abatement necessarily
implicates subject matter jurisdiction, mainly on the ground that
abatement, unlike subject matter jurisdiction, can be waived. In
Kelly v, Kelly, 245 $.W.3d 308, 314 (Mo. App. 2008), the Missouri
Court of Appeals held that abatement and lack of subject matter
jurisdiction are not synonymous. That court reiterated the
Missouri Supreme Court’s criticism “that the term jurisdiction
has been overused and misused to describe situations where it was
simply legally erroneous to enter a conflicting iudament while
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another action was pending!.]” Id, at 315 (emphasis added). In
that connection, the Missouri Court of Appeals rejected the
argument that abatement implicated subject matter jurisdiction,
because, under Missouri Rules of Civil Procedure Rule 55, the
abatement defense could be waived, whereas, contrastingly, “folne
would never view subject matter jurisdiction as being waivable.”
Id, at 314; see also Bourque v, Comm’r of Welfare, 308 A.2d 543,
548-49 (Conn. Cir. Ct. 1972) (holding that where a defendant
failed to raise the pendency of prior proceedings as a defense to
subsequent proceedings, either in its answer or in a motion for
abatement, “the issue was waived” (citation omitted) (emphasis
added)); Cent, Trust Co, of 111, v, Owsley, No. 19527, 1914 WL
2783 at *8 (111, App. Oct. 6, 1914) (explaining that “the
objection of a prior proceeding pending could only have been made
by a plea in abatement in the Circuit Court(]” and that “{nlot
only was this plea not made, but the point was waived” (emphasis
added)); Nicholson v. State, 106 P. 929, 930 (Wyo. 1910) (holding
that the defense of abatement grounded on prior proceedings “is
waived unless interposed by motion to quash or plea in abatement”
(emphasis added) )
Based on the foregoing, the pendency of Condemnation 1
did not deprive the court of subject matter jurisdiction over
condemnation 2.
B.
Appellee claims that it is a “fundamental principle
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that [it] cannot be denied rights to acquire property, that is,
the power of eminent domain, it determines to be necessary to
[its] function by reason of contract, res judicata, estopple
[sic] or claim of abatement in prior legal actions." According
to Appellee, “the power of eminent domain is essential for the
proper performance of governmental functions such that it cannot
be surrendered, and, if attempted to be transferred avay, or
otherwise impeded, such as by a plea in abatement, it may be
resumed at will.” (Citing Georgia v. city of Chattanooga, 264
u.s. 472, 480 (1924); ransmiss: violet
Trapping Co., 200 So. 24 428 (La. App. 1967); Burke v. Oklahoma
City, 360 P.2d 264, 268 (Okla. 1960)
State v. Charlton, 430 P.24
977, 978-79 (Wash. 1967).)
on the contrary, the cases cited by Appellee do not
support the contention that a plea in abatement cannot
successfully “impede” a particular attempt by a governmental
entity to exercise its power of eminent donain. The cases cited
uniformly support the proposition that the power of eminent
donain may not be inhibited by contract, but none of the cases
hold that abatement is not a viable defense in 2 condemnation
action. To illustrate, in Georgia v. City of Chattanooga,
Tennessee had previously entered into a contract with Georgia
allowing Georgia to use the land at issue for railway purposes.
264 U.S. at 478. Chattanooga attempted to condemn the Land
governed by the contract and Georgia objected. Id. Georgia
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argued that its agreement with Tennessee rendered it immune from
Tennessee's, and therefore, Chattanooga’s, power of eminent
domain. Id, at 479. The United States Supreme Court held that
Tennessee could not surrender its power of eminent domain through
contract. Ids at 480. Thus, Chattanooga could pursue the
condemnation. Id, at 481. Appellee’s contention, then, that the
defense of abatement may not be invoked in an eminent domain
Proceeding, is not supported by the cases cited.”
c.
Appellant asserts that consolidation of Condemnation 1
and 2 under HRCP Rule 42 is not the equivalent of merger, thus
Appellee was required “to establish subject matter jurisdiction
in both lawsuits.” It further maintains that this court's
decision in Shelton Engineering and the ICA's decision in
© tn Tennessee Gag, a prior condemnation suit had been settled and
tthe sottlonent nenorsalized in a contract. 200 So. 2d at 432. In the
Subsequent suit, the defendants raised the contract ss a defense, arguing that
the setelenent contract indicated that the plaintiff would not take any sore
of defendant's land. dd, at 433. The Louisiana Coure of Appeals held chat
the plaintiff could not contract away its power to take private property for 9
public purpose. Id,” Similarly, in Burke, the defendant® pled defenses of
Contract, waiver, and estoppel, based on the settlement reached between the
parties in'an eafiier suit seeking condeanation of the same property involved
in the later suit. 350 P.2a at 266. The Supreme Court of Orlanona held that
Of ran judicata and estoppel were not available againat the
‘condemnation proceedings. id. st 267 (explaining that holding
were available "would be holding that a minicspaliey can
Surrender, alienate and contract away or waive the right of eminent comain
sich it Cannot do").
Finally, in Charlton, the parties had also negotiated a settlement
in prior condemnation proceedings. 430 7.24 at 978. In che subsequent
proteeding, the defendants raised the defense of estoppel. Ld, the supreme
Court of Washington did not decide Whether estoppel was always unavailable to
Gefendants in eminent domain proceadings, avoiding the qoortion by holding
that there was not evidence in that cage to support the defense. Id. at 380.
Further, that court noted that the doctrine of estoppel “is not Fed one
When applied to sunicipal corporations or the state when acting
Governmental capacity.” Id, at 979)
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Mataushita establish that abatement implicates subject matter
jurisdiction.
Appellee responds that abatement does not, as a matter
of ax, implicate subject matter jurisdiction, noting that other
courts have “held that abatement does not implicate the subject
matter juriediction of the court and the trial court has broad
discretion in applying abatement.” (Citing Halpern v. Bd. of
Educ, 495 A.2d 264, 266 n.4 (Conn, 1985); Kelly, 245 S.W.3d at
314.) Appellee urges that, if this court follows that holding,
“(the court] clearly did not abuse its discretion because the
causes and relief are sufficiently different and consolidation
achieved the goals of abatement.” Alternatively, Appellee argues
that, even if abatement would generally destroy subject matter
jurisdiction, in this case “abatement would not apply because the
cases were consolidated.” (Citing Kehr vs Kehr, 114 N.W.2d 26,
28 (Neb. 1962) (for the proposition that “the purpose of
abatenent[,] ‘to avoid multiplicity of suits,’ does not apply
where the matters are consolidated”).
RCP Rule 42 is identical to its counterpart in the
Federal Rules of Civil Procedure (FRCP). In construing FRCP Rule
42, Professors Wright and Miller explain that
[11m the context of Legal procedure, “consolidation” is used
in thres different senses:
2)" then 11 except one of several actions are stayed
lunes one se tried) in which case the Judgment in the one
trial is conclusive ag to the others. This is not actually
a consolidation but sonetines is referred to as such.
2) wera acti ined inte one, os
4 fan Tivustration of
Enis ie the sitestion sn which several actions are pending
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between the same parties stating clains that might have been
SeU'GUE criginaiay as separate” sounts in one Complaint
ceauires the entry of a separate iudanent. this type of
Seicause the pareice to one action to be parties to another,
9A Charles Alan Wright & Arthur R. Miller, Federal Practice and
Procedure § 2382, at 8-9 (3d ed. 2008) (footnotes omitted)
(emphases added). Appellee espouses the second view, maintaining
that the consolidation of Condemnation 1 and Condemnation 2 made
the two suits one. On the other hand, Appellant advocates the
third interpretation, that consolidation did not, on its own,
merge the suits.
As to this issue, it appears that Appellant is correct.
In choosing among the three options described above, Professors
Wright and Miller conclude that
the ols both the second and third of the
procedures =. Ae quite clearly
fo the contrary. “the federal courts have read the rule as
They
Fegard as still authoritative whet the Supreme Court said
About consolidation a few years before (FRCP) Rule é2(a) was
Sdopted:
Consolidation is permitted as 2 matter of
Gonvenience and econony in administration, but
not ‘che suits into a single cause, or
Change the rights of the parties, or make those
who are parties in suit parties to another
Id. at 10 (quoting Johnson v. Manhattan Ry. Co., 289 U.S. 479,
496-97 (1933)) (emphases added) (footnote omitted). Relying on
the foregoing language, our courts have apparently followed the
interpretation adopted by the federal courts. See First Hawaiian
Bank v. Timothy, 96 Hawai'l 348, 352 n.2, 31 P.3d 205, 209 n.2
(App. 2001) (concluding that the trial court, in consolidating
the subject cases, “intended that the actions be tried jointly
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but retain their separate character”). Moreover, given that
Condemnation 1 and Condemnation 2 retained their separate
identities and the court entered separate judgments in each
action, it 4s evident that the third procedure described above is
moze apt to the circumstances of this case. Thus, the
consolidation did not merge Condemnation 1 and Condemnation 2,
and we must address the question of whether Condemnation 2 was
abated by Condennation 1.
D.
This court has held that “where the party is the same
in a pending suit, and the cause is the sane and the relief is
the same, a good plea in abatement lies.” Shelton Ena’a, 51 Haw.
at 249, 456 P.2d at 226 (citations omitted).
Appellant contends that
Uwlnere a claim involves the sane subject matter and parties
filed action, so that the sane facts and
ited, resolution should scour through the
prior acticn, and a second suit should be dismissed. It is
Fundamental that a plaintiff 1s not authorized simply to
ignore a prior action and Bring a second, independent action
on the same state of facts while the original action 4s
Pending.
(Quoting 1 Am. Jur. 2d Abatement $ 6, at 89 (2005).)
Accordingly, it argues that “two eminent domain actions seeking
the same relief cannot be pending in the same court at the same
time[.]""" Appellant argues that Condemnation 2 was abated by
\ in support of this position, Appellant cites to Bed Oak farm. tne.
Clty of ocala, 636 So. 24 97, 98 (Fla. App. 1994), in which the Florigs
Sourt of Appeals heid that a second suit to condemn the sane property, filed
while the first suit was pending on appeal, should have been dismissed. They
Bso rely on Maxey v. Redeviopsent authority of Racine, 286 N.W.2d 794, 103,
kis, 1980), in which it was held That # condemnation sit could not proceed
Cont ine.
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the pendency of Condemnation 1 because “the court was the sane,
the parties were the sane, and the relief was the sane (property
for the sane [Bypass]; the only differences in the legal
description of (Appellant’s] property in Condemnation (1) and
Condemnation {2} were minor, at best).” Tt contends that the
court erred in concluding that the “attenuation” between the two
causes of action was sufficient to create different causes.”
In response, Appellee argues that [the court]
correctly decided that [Appellant] failed to prove the claim for
abatement because the two lawsuits had different causes and
prayed for different relief.” In this connection, the court
found that “[Condennation 1] wae an eminent domain action ba
on County Resolution (No.} 266-00." In contrast, the court found
that “(Condemnation 2 was) an eminent domain action based on
Resolution [No.] 31-03.” ‘The court further found that Resolution
No. 31-03 authorized Appellee “to condemn a larger parcel of
2, continue
lihere the landowner had earlier f1ed an inverse condemnation action relating
fo the sane property.
% Appellant argues that Appellee could have effectively changed the
at issue by amending Condemnation 1 under HRS § 101-19 (1993). That
weovides 22 follows
In all procesdings under this part the court shall
have power at any stage of the proceeding to allow anendnent
in form or substance in any complaint, citation, sunsons,
process, answer, motion, order, verdict, judgment or other
Proceeding, including anendnent in the description of the
Tanas sought to be candeaned, whenever the anendnent will
ot impair the substantial rights of any party.
However, the fact that Appellee could have anended its complaint does not
Alter our analysis, The atate of the record ia that Appelice did not amend
Condemnation 1+
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[Appellant's property] for the Bypass.” Based on these findings,
the court conclude
10... Ag the basis [sic] for these two County
Resolutions are substantially different from each
other, and have been vated on by emo aifferent County
Counci1s over four years apart, ‘the (clourt concludes
that. (Condemnation 1) and (Condemnation 2} are
Separate claims for the purposes of abatement.
11. [Condemnation 1) prays for the condemnation of 2.90
acres of (Appellant’s) land. (Condemnation 2) prays
for the condesnation of 3,348 acres of [Appellant's]
land. As there is nearly a half scre difference
(Q.4i8 acces) in the prayer for relief in the two
eminent domain cases, the [cJourt concludes that
{Condemnation 1) and (Condemnation 2] request
Gifferent relief for the purposes of abstenent.
(Quotation marks and footnote omitted.)
It suffices here to note that the area of the land that
Appellee sought to condemn was different by nearly a half acre in
Condennation 1 and Condemnation 2, a difference of approximately
20%. Arguably, then, the relief sought in the two actions
encompassed two different prayers for relief. In that light it
cannot be said that the court wrongly concluded that Condemnation
2 was not abated by Condemnation 1."
% ‘this conclusion addresses Appellant’ s argumente from Les opening
Brief that “to eminent donain actions sesking the sane relief cannot be
Pending in the sane court at the ane tine(,]" and when two Laweusts
Sone relief, the ‘cause’ ig the sane.” rt Slso addressee the related
argunente raised in Appellant's Reply Brief that (1) the difference in the two
parcels sought “did not make the relief (Appellee) sought in the two cases
Ekeforent since in both cases it sought consennation of property for a road
from Hokuli to Mamelahoa Highway[,1* (2) “for the second action to be
considered different fron the first, the relief sought must actually be
Yegaliy and materially distinct(,]" (citing ghelean Ena'g, $1 Haw, at 267-88,
G5 P.2a ae 225-56; Qabs Lumber j sidg, cov ran You, It’ Haw. 426, 410 (Haw
Rep. i698)), and. (3) the omission of references £0 the development’ Agreenent
in Condemnation 2 "aid not make the relief sought by [Appellee]...
materially different” because its "goal in both cases remained the
(Appellant's) property for [the Bypass)”
In that connection, this conclusion addresses Appellee’ =
counterargunents in ite Answering Brief that (1) the court correctly concluded
that abatenent did not deprive it of Jurisdiction over Condeanation 2 because
Sthe tho lewoules had different causes and prayed for different ralief(,]*
(citing shelton Ena'g, 51 Haw, at 243, 656 P.2d st 226-27), because (a) the
continue
king of
43
B.
As to Appellant’s argument that “subjecting property
owners to concurrent condemnations violates due process,”
Appellee argues that the contention should be deemed waived
because Appellant did not raise it to the court.” Appellant
does not dispute the alleged failure to raise this argument. “As
a general rule, if a party does not raise an argument at trial,
that argument will be deemed to have been waived on appeal; this
rule applies in both criminal and civil cases.” State v, Moses,
102 Hawai's 449, 456, 77 P.3d 940, 947 (2003); gee, aia, State
YsHoglund, 71 Haw. 147, 150, 785 P.2d 1311, 1313 (1990)
("Generally, the failure to raise an issue at the trial level
precludes a party from raising that issue on appeal.”)
Additionally, Appellant fails to provide this court
with arguments upon which a decision can be rendered. cf.
‘Kaho'chanohano v. Dep't of tiuman Servs., 117 Hawai'i 262, 298
1.37, 178 P.3d $38, $78 n.37 (2008) (determining that the
appellant had failed to raise a discernible argument with regard
continue
condemnation actions were instituted pursuant to different resolutions of the
fice, tb) Condemnation 1 referred to the Development Agreenent, but
Condemnation 2 did net, and (c) the parcel sought in Condemnation 2 was
“nearly half an acre” larger than the parcel sought in Condemnation 1, and
(2) courts insist upon ‘strict compliance” with che came cause/sane relief
requirenent only where abatement if deened related to the doctrine of
Juudicata, (citing Horter v, Commercial bank ¢ Trust Co., 12680. 309, 312
(eis. 1530))
tn its September 27, 2007 Judgment, the court concluded that
“(appeliant's d]ue [p]rocess claim hala) been’ addressed in (its) ruling on
the Failure to Caject within Ten (10) Days.” It is not clear where in the
Fecord this ruling is located. It has aleady been notes that this court will
ot taift through the voluminous record to verify an appellant's
Contentions.” Lanai cou, 105 Hawai'i at 309 m.31, 97 Pa3d at 385 n-31.
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to any factual errors contained in the trial court’s findings
because it did not point to any specific finding as being
incorrect, but rather raised a general objection to them, thereby
“ehift{ing] the burden upon this court to comb through the 249
[€indings) and determine which of the [findings] are erroneous”);
=! ne. v , 116
HawaS's 277, 288, 172 P.3d 1021, 1032 (2007) (noting that this
court could disregard one of the appellants’ contentions because
they failed to make any “discernible argument or cite to any
authority with respect to their position”); Laeroc Waikik
Parkside, LLC vs K.S.K. (Oahu) Ltd, Pfship, 115 Hawai'i 201, 212,
166 P.3d 961, 972 (2007) (concluding that the appellant made no
discernible argument because it “cite[d) no authority,
present [ed) no analysis as to this argument, and d[id] not
explain the relevance of” the omission complained of).
In this case, Appellant makes general assertions that
defendants are entitled to due process protections in eminent
domain proceedings. However, Appellant fails to explain
specifically which due process rights were infringed by this
process and how." The mere assertion that “{dJue process is
violated when a property owner is forced to endure concurrent
attempts to condemn the same land,” without elaboration or
citation to authority, does not enable this court to reach a
= appellee provides Little counterargunent, merely stating that
“tdppeltant’s] due process rights were not tiolated by concurrent attenpea to
conden the sane land because the cases involved different causes and
Felief, and the cases wore consolidated.”
45,
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reasoned conclusion. Based on the foregoing, Appellant's general
due process argument is deemed waived.”
v.
Appellant's Issue 3 concerns whether courts are
obligated to accept the governnent’s asserted public purpose for
a taking when faced with the assertion that the public purpose
may be a pretext for a primarily private benefit. Appellant's
argument challenging the validity of the asserted public purpose
underlying the condemnation presents a question of constitutional
law, which this court reviews de novo under the right /wrong
standard. See State v, Cuntapay, 104 Hawai'i 109, 113, 85 P.3d
634, 638 (2004) ("We answer questions of constitutional law by
exercising our own independent judgment based on the facts of the
Thus, we review questions of constitutional law under the
right/wrong standard.” (Internal quotation marks, citations, and
ellipsis points omitted.)).
A
Appellant maintains the court erred in not “Look{ing]
beyond Resolution [No.] 31-03" to adjudicate Appellant's claim
“that the asserted public use was a pretext . . . to hide the
predominantly private benefit of the [Bypass] to Oceansidel,)”
and therefore requests that the court’s Judgment in Condennation
2 “be reversed, and the case remanded to consider whether
Insofar ag this argunent invokes a constitutional argument
concerning due process under the Fifth Asencnent, it is addressed antra.
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[Appellee’s) claim that the taking was for public use is valid,
or was a pretext to hide the predominant private benefit to
Oceanside.” According to Appellant, “[the court] cannot merely
accept the government’s word that a taking is for public use.”
(Formatting altered.) It contends that “the public use question
is judicial in nature and is decided on the facts and
circumstances of each case.” (Citing Haw, Hous, Auth, va
Adimine, 39 Haw. 543 (Terr. 1952)
Contrastingly, Appellee asserts that the “applicable
public purpose test” states that “where the exercise of the
eminent domain power is rationally related to a conceivable
public purpose, the (United States Supreme] Court has never held
a compensated taking to be proscribed by the (public [ulse
{cllause.” (Quoting Haw. Hous, Auth. v. Midkiff, 467 U.S. 229,
241 (1984).) (Other citations omitted.)
B.
Article I, section 20 of the Hawai'i Constitution
states that “[p]rivate property shall not be taken or damaged for
public use without just compensation.” This court has
interpreted the “public use” clause to authorize takings for
% ___appeliant’s prayer for relief concerning the dispositions on
appeal available to this court should be clarified. Pursuant. to HRAP Rule
38(e) (2008), “the word ‘reverse’ ends iitigation on the merits, and the
phrase ‘vacate and Tenand’ indicates the litigation continues in the court
.n accordance with the appellate court’ instruction.” Recorsingly, st
vaned that, in connection with issue (3}, Appellant seeks to have the
in condemnation 2 vacsted and’ remanded fora determination of
sorted public purpose was pretextual.
In response to Appellant's requested relief, Appellee does nat ask
for anything except affirmance of the Usdgment in Condemnation 2
a
is'pr
couse’ = Jaane
whether the
‘FOR PUBLICATION IN WEST'S HAWAT'T REPORTS AND PACIFIC REPORTER***
“public purposes.” Hav. Housing Auth, v. Luman, 68 Haw. $5, 68,
704 P.2d 688, 896 (1985) (holding that “[w)here the exercise of
the eminent domain power is rationally related to a conceivable
public purpose, 2 compensated taking is act proscribed by the
public use clause” (citation omitted)). It is well-settled that
legislative bodies vested with the power of eminent domain have
broad discretion in determining what uses will benefit the public
and what land is necessary to facilitate those uses. AS a
general rule,
ely, when the public
nature of 2 use for vnich @ taking nae been authorized by
Taw is disputed,
ices {es unethee th a 7
5 on the presusction thats use Ts public 1?
She Tecislatire bas declared it tobe auch.
Aiming, 39 Haw. at 549 (emphasis added) (internal quotation
marks and citations omitted). Accordingly, “great weight” is
accorded to “legislative findings and declarations of public
use.” Id. In fact, the legislative determination “is entitled
not only to respect but to a prima facie acceptance of its
correctness." id, at 550 (internal quotation marks and
% the court in Alinine was concerned with the application of Revised
awe of Hawail § 3501 (19451, which declared thet “the clearance, replanning,
nd reconstruction of areas in which unsanitary or unsafe housing conditions
suist® to provide “safe snd sanitary dnelling acsonmodations for persons of
ow income” were “public uses and purposes for which public money may be spent
and private property acgired[.J”
% pursuant to HRS § 101-2 (1993), the governmental body seeking to
condemn private property is the plaintiff in the condemnetion action. HRS
S'Toieit" (1995) instructs that “[e]xcept as otherwise expressly provided in
this part, the procedure shall be the sane asin other civil actions.” In
that Connection, a governmental entity, as the plaineiff, has the initial
Durden of proving that the taking 1s fora public yee of purpose, in
accordance with article 1, section 20 of the Hawaid Constitution and HRS
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citation omitted). In order to overcome the prima facie evidence
of public use, a defendant must show that “such use is clearly
and palpably of a private character.” Id, (internal quotation
marks and citation omitted).
However, the legislature’ s discretion in this area is
not unfettered. As Appellant notes, neither “the decision of the
legislature [nJor the presumption is conclusive, for the issue of
public use is a judicial question and one of law to be decided on
the facts and circumstances of each particular case.”” Id.
Hence, “the great weight accorded to the legislative finding and
the prima facie acceptance of its correctness, as well as the
binding effect of the presumption, demonstrate[] that the courts
will not Lightly disturb such a finding and will not overrule it
unless it is manifestly wrong.” Id, Contrary to Appellee’s
position, then, under the Hawai'i constitution, courts may
continue
§ 101-2° (i993), which provides, in pertinent part, that “[plrivate property
ay be taken for’ public use.” Gee In te Lotenso's Batata, 61 Haw. 236, 246
120, 602 P-24 521, 529 9.20 (1973) (explaining that “{e]he burden of
Prodiicing evidence 4s uavally cast firet upon the party who has pleaded the
Guistence of the fact”). Once the government has Met that burden, the
property ower nay defend against the condemation action. See 1d. (noting
Chat the burden of proof “aay shife to the adversary when the pleader has
discharged ais initial burden").
© the decisions of other jurisdictions are in accord with this rule.
fee, ooo QoUE Ne Lilac, vs Minneapolis Catv. Dev. Agency, 599 N.W.2d 582,
56a" tian. Ce. Rpp--1989) explaining tnat “(glenerally, chailenges to
‘condemnation procesding involve a challenge to the public purpose supporting
tthe tating or 2 challenge to the ancunt of compensation for the taking"! as
76 B.36.1, 14 (Nev. 2003) (holding
that "al property omer may False, aa an affiraative defense to the eaking
[iithat) the avowed public purpose ie merely 2 pretext or used in bed
Eaithe’(gootnoves omitted) } S04 8.8.20 235, 237
[Va. 2003) (concluding that “the fact that the Clty filed with its petition
for condemnation a resolution that stated that the landowners’ property would
be taken for a public use does not bar judicial review of the issue of public
use")
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consider the validity of the public purpose asserted in a
condemnation action. Consequently, under appropriate
circumstances, courts may consider whether a purported public
purpose is pretextual.
c
As concluded above, our case law supports the
proposition that a court can look behind the government's stated
Public purpose. However, Appellant relies heavily on federal
law, primarily the Supreme Court’s decision in Kelo v, City of
New London, Conn., 545 U.S. 469 (2005), to support the contention
that the condemning authority’s motives should be scrutinized.
As discussed infra, the Kale majority opinion, consistent with
our prior decisions, allows courts to look behind an eminent
domain plaintiff’s asserted public purpose under certain
circumstance
1
In Kalo, Connecticut's Office of Planning and
Management reviewed a revitalization proposal for New London, an
economically depressed area, and determined that “the project was
consistent with relevant state and municipal development
policies.” 545 U.S. at 474 n.2. The New London Development
Corporation (NLDC), a non-profit, quasi-governmental entity
charged with revitalizing New London, “announced that it would
lease some of the parcels to private developers in exchange for
their agreement to develop the land according to the terms of the
50
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development plan. Specifically, [{t] was negotiating a 99-year
ground lease with Corcoran Jennison, a developer selected from
group of applicants.” Id. at 476 n.4.
Although NLDC was able to negotiate private transfers
with most of the private property owners whose lands were needed
for the revitalization development, it vas unable to reach
agreenents related to fifteen parcels. Id, at 475. Accordingly,
NLDC invoked the City’s condesnation power, which had been
granted to it for purposes of acquiring the land needed for the
revitalization project, and instituted proceedings to obtain
those parcels. Id, The owners (petitioners in Kelo) objected to
the takings, claiming that they violated “the ‘public use’
restriction in the [£]ifth [almendment.” 1d.
2.
The majority in Kele held that New London’ s
redevelopment “plan unquestionably serve(d) a public purpose”
such that the condemnation of the petitioners’ properties was
permissible under the fifth anendment’s takings clause. Id. at
484. The facts of Kele are distinguishable from the instant case
insofar as the Court was considering the constitutionality of
using eminent domain to condenn unblighted property as part of an
economic rejuvenation plan. See id. at 472-73, 483.
Nevertheless, like Kelo, this case contains a salient feature,
wizs, the fact that the condemned property would be transferred
51
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from one private party to another, at least initially.” See id.
at 476 n.4, In that light, the reasoning of Justice Stevens’
majority opinion is informative.
Justice Stevens commenced his analysis with the
juxtaposition of two “perfectly clear” “polar propositions.” Id.
at 477. First, that the government “may not take the property of
A for the sole purpose of transferring it to another private
party B{.]" Id, Second, that the government “may transfer
property from one private party to another if ‘use by the public’
is the purpose of the taking(.]” Id. The majority then noted
that the “use by the public” standard had evolved from a “Literal
requirement” in the nineteenth century to a “public purpose” test
at the turn of the twentieth century. Id. at 479:
Accordingly, the question presented in Kelo was “whether the
City’s development plan serve(d] a ‘public purpo
ota at
480.
In that connection, the majority surveyed prior
redevelopment cases wherein the Court had determined that a valid
public purpose supported the condemnation, despite at least
initial transfer to a private party. For example, in Seman vs
Parker, 348 U.S. 26 (1954), the Court had upheld a plan to
As noted, in the instant case, property condanned pursuant to the
Developnent Agreement is to be transferred initially to Oceanside, e private
corporation. Nowever, Paragraph 14 of the Development Agreenant. requires
Oceanside to dedicate the Bypass to Appellee upon its completion. Thereafter,
Appellee will “assure all responsibility and costs for operation, maintenance,
Fepair, or reconstruction Of the (Bypses).”
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redevelop “a blighted area of Washington, D.C.,” despite the fact
that a portion of the property “would be leased or sold to
private parties for the purpose of redevelopment [.]” Kele, 545
U.S, at 480. Similarly, in Midkiff, the Court reviewed “a Hawaii
statute whereby fee title was taken from lessors and transferred
to lessees (for just compensation) in order to reduce the
concentration of land ownership.” Kelo, 545 U.S. at 481 (citing
Midkitt, 467 U.S. 229). Deferring to the legisiature’s judgnent,
the Court concluded that eliminating the “*land oligopoly’
Iwas) a valid public use . . . [and] rejected the contention that
the mere fact that the State immediately transferred the
properties to private individuals upon condemnation somehow
diminished the public character of the taking.” Id, at 482
(quoting Midkiff, 467 U.S. at 241-42).
Finally, the Kelo majority reviewed Ruckelshaus v.
Monsanto Co., 467 U.S. 986 (1984). In that case, the Court
upheld “the provisions of the Federal Insecticide, Fungicide, and
Rodenticide Act under which the Environmental Protection Agency
could consider data (including trade secrets) submitted by a
prior pesticide applicant in evaluating a subsequent application,
so long as the second applicant paid just compensation for the
data.” Kelo, 545 U.S, at 482 (citing Ruckelshaus, 467 U.S. at
1014). The Court concluded that the law passed constitutional
muster under Berman and Midkiff because Congress’ intent of
increasing competition by eliminating the expense of research
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satisfied the “public purpose” test. See id. (citing
Buckelshaus, 467 U.S. at 1015). The Kelo majority summarized the
Court's public purpose jurisprudence as “wisely eschew[ing] rigid
formulas and intrusive scrutiny in favor of affording
legislatures broad latitude in determining what public needs
justify the use of the takings power.” Id, at 483.
Applying its precedent to the facts presented in Kelo,
the Court first noted that the City’s “determination that the
area was sufficiently distressed to justify a program of economic
rejuvenation” was entitled to judicial deferenc
Id. The
majority then determined that it was necessary to consider the
public purpo:
of the entire redevelopment project, not just the
condemnation of the petitioners’ specific properties. Id. at
484. The majority rejected the petitioners’ proposed “bright-
Line rule that economic development does not qualify as a public
use.” Id, In that connection, the majority noted that
“{p)romoting economic development is a traditional and long-
accepted function of government” such that there was “no
principled way of distinguishing economic development from the
other public purposes that (the Court] has recognized.” Id.
Accordingly, the majority concluded that “[{]t would be
incongruous to hold that the City’s interest in the economic
benefits to be derived from the development of the Fort Trumbull
area has less of a public character than any of those other
interests.” Id. at 485.
584
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With regard to the petitioners’ argument that the
taking was improper because private parties might benefit from
the redevelopment of New London, the majority opined that “the
government's pursuit of a public purpose will often benefit
individual private parties." Id, The majority cited (1) the
transfer of rail track from one private party to another to
“facilitat[e) Amtrak's rail service” in National Railroad
Passenger Corp, v, Boston & Maine Corp., 503 U.S. 407, 422
(1992), and (2) “the provision of legal services to the poor” in
Brown v, Legal Foundation of Washington, 538 U.S. 216 (2003), as
instances in which “the achievement of a public good .
coincide[d] with the immediate benefitting of private parties.
Kelo, 545 U.S. at 485 n.14. The majority concluded that the
legislative body was authorized to determine that the public
purpose would be best effectuated by a private entity. see id.
at 486, Accordingly, it reasoned that it “[could not) say that
public ownership is the sole method of promoting the public
purposes of community redevelopment projects.” Id. (internal
quotation marks, citation, and footnote omitted) .*
% — gustice Thosas, in his separate dissent, primarily took issue with
the majority's ‘exten{sion of] the concept of public purpose to encompass any
‘economically beneficial goal,” Kolo, 545 U.S. at 521 (Thomas, J.» dissenting)»
Because, inter alia, it “elininste[d) liberties expressly enumerated in the
Constitution,” Ady at 506, and the resultant “losses will fail
disproportionately on poot communities |, ]" id at 521- Justice Thomas
therefore advanced 2 strict interpretation of the fifth amendment, stating
that "(t]he most natural reading of the (Public Use) Clause 1a that it allows
‘the government to take property only if the government ova, of the public has:
# legal richt to use the property, as opposed to taking it for any public
purpose or necessity whatscever.” Jd, at 502 (emphasis added). Inesmuch as
There is no dispute in the instant case that the public has a iegal right eo
tse the property in question because it will become a county road the Thoms
cont inse
55
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The Kelo majority explicitly stated what that case did
not hold. First, it noted that Kelo did not present a case in
which property was transferred from private owner A to private
owner B “for the sole reason that citizen B will put the property
to a more productive use and thus pay more taxes.” Id, at 486-
87. Second, the majority rejected the petitioners’ argument
that, in redevelopment cases, the Court “should require a
‘reasonable certainty’ that the expected public benefits will
actually accrue.” Id. at 487. Third, the Court declared that it
would not “second-guess the (government's) determinations as to
what lands it needs to acquire in order to effectuate the
project.” Id, at 488-89, Finally, the Court “emphasize{d) that
nothing in [its] opinion precludes any State from placing further
restrictions on its exercise of the takings power[,]” noting that
“many States already impose ‘public use’ requirements that are
stricter than the federal baseline.” Id, at 489. In that
connection, the Court held that New London’s condemnation of the
continue
Gissent is not particularly germane.
‘ionetheless, the Thomas i
notes that "[e]here ig no justification... for affording
Gnasemountable deference £2 legislative conclusions that
Spublic use./" Id, st 517. That dissent explained that “[olnce one accepts,
fs the Court at Teast nominally does, that the (plublic (ulse [e)lause is a
ifmit'on the aninent domain pover of the Federal Government and the States,
there is no Justification for the almost complete deference it grants to
legisiatures aa to wnat satisfies it-”" Jd. at S18 {citation omitted). ‘Thus,
Under the vicw of the Thonas dissent, it would be error for the court to
decline to lock beyond the legislative findings in ruling on ehe tasue of
hether the public use requirement was satisfied.
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petitioners’ property satisfied the baseline of the fifth
amendment’s “public use” requirement. ida at 490."
Justice Kennedy joined the majority opinion and also
concurred separately to elaborate on pretextual public purpos
See id, at 490-93 (Kennedy, J., concurring). He declared that
the traditional fifth amendment test requiring that the asserted
public use be “rationally related to a conceivable public
purpose” does not authorize takings for the benefit of private
parties with public benefits that are merely “incidental or
pretextual(.)” Id. at 490 (internal quotation marks and citation
% justice o'connor, in a dissenting opinion joined by Chief Justice
Rehnquist and Justices Scalia and Thomas, criticized the majority opinion
Because “(ulnder the banner of econcnic development, all private property 1
now vulnerable to being taken and transferred to ancther private ower” shere
the property will be "given to an owner who will ee st in a way that the
Legislature deens more beneficial to the public(.J"" Ja at 454 (O'Connor, J,
dissenting). The O"Connor dissent recognizes “two distinct conditions”
Pursuant to the fifth amendene for the exercize of eminent domain power:
(1) “the taking must be for a public ase” and (2) "Just compensation mast be
paid to the owner,” 1d. at 496 (internal quotation marks, citation, and
Brackets omitted). The dissent noted that “(olur cases nave generally
identified three categories of takings that conply with the public use
Fequirenent” which include (1) “public ownership” cases where “the soversign
may transfer private property to public ownership = such as for a road, 3
hospital, of a military base(,]” (2) "use-by-therpublic™ cases where "the
sovereign may transfer private property to private parties, often com
Carriers, who make the property available for the public's use = auch
Surailroad, a public utility, ora stadium[,]” and (3) where the takings
“serve a public purpose . |. even if the property is destined for subsequent
private use.” Ig. at 497-98,
While Justice O'Connor's dissent enuersted instances of property
takings that satisfied the “public use” requirenent, it does not appesr that
She intended this list to constitute » bright line test under which takings
akin to the identified inatances ahould automatically be deemed to fulfill the
“public use condition. See ia. at 497, 500. Thus, thet the propersy in the
Shstant case is being taken for the construction of a road and thereby falls
into the “public ownership" category of cases historically deemed to meet the
Spublic ure" requirement, is noe dssposies * issue.
Furehernore, ‘the O'Connor disse vile give
considerable deference to legislatures’ determinations about what governmental
Activities will advantage the public[,]* nonetheless, "[aln external Judie.al
in how the public use requirenent is snterpreted, however limited, 2
"igh at 497, That dissent cautioned that “nearly any lawful use
fate property can be said to generate some incidental benefit to
Tai at 501.
wien
the public.
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omitted), Justice Kennedy opined that “[a] court applying
rational-basis review under the [pJublic [u]se [c]lause should
strike down a taking that, by a clear showing, is intended to
favor_a particular private party, with only incidental or
pretextual public benefits(.1” Id, at 491 (emphasis added) .
Therefore, Justice Kennedy would require courts presented with “3
plausible accusation of impermissible favoritism to private
parties” to “treat the objection as a serious one and review the
record to see if it has merit, though with the presumption that
the government's actions were reasonable and intended to serve a
public purpose.” Id.
Appellant urges this court to adopt this position,
arguing that “[the court] should not have stopped at Resolution
[Mo.} 31-03, but should have followed the roadmap to analyzing
claims of pretext laid out by Justice Kennedy in his concurring
opinion in Kelo[.]” However, as discussed infra, the majority
opinion in Kele, as well as our own cases, provide ample
authority to require the court to reach the issue of pretext.
‘Therefore, we decline to adopt Justice Kennedy's
concurring opinion.
vr.
Despite finding that a public purpose existed on the
facts presented in Kelo, the Supreme Court reaffirmed that the
government could not condemn private property for the sole
purpose of transferring title to @ different private owner. Id.
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at 477, Justice Stevens explained with respect to the pretext
defense that
tthe City would no doubt be forbidden from taking
petitioners’ lend for the purpose of conferring a private
Benefit on a particular private party. Sse Migkite, #67
Ores (] at 2651], (°A purely private taking courd not
withstand the scrutiny of the public Use requirement; it
Mould serve fo legitimate purpose of government and would
thus be void"). Nor would the City be allowed co take
‘The trial judge and all the menpers of the Supreme Court of
illcaitinate purpose in this case.
Id. at 477-78 (emphases added) (citation and footnote omitted)
Courts have interpreted this statement to mean that,
under the appropriate circumstances, the Kelo majority would
review the asserted public purpose of a taking to evaluate its
veracity in the face of a pretext challenge. For example, the
Court of Appeals for the District of Columbia opined that the
majority
recognized that there may be situations where a court should
Rot take at face value what the Legislature has said. The
Jovernnant will rarely scknowledye that it 42 acting for 2
forbidden reason, so a poverty aunex must in sone
sixcumstances be allowed to-allege and-to demonstrate thet
she stated oublic ourmose tor the condemnation 18
Bustextual It say be difficult to make this showing, and
fhe Supreme Court’ decision may raise rany nore questions
than it answers, but q-pestest defense (a aot necessarily
foreclosed by ele.
Exanco v. Nat’) Capital Revitalization Corp., 930 A.2d 160, 169
(D.C. 2007) (emphases added) (internal quotation marks
omitted). In reaching the conclusion that pretext was a valid
Related to the belief that Kele did not “foreclose” the
possibility of succesefel pretext defenses, it is notewrihy thar some state
Courts expressly allowed the defense even before the Supreme Court announced
its decision in Kole. gee, 2a, ‘of AL county, "62 5.6.26
350, e52 (Ga. 1954) (reiterating the holding that
eh muerl. a8 shen, reef public the
cones.
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defense to condemnation, that court explicitly clarified that it
was “applyling) the decision of the Kele majority, written by
Justice Stevens{,]" and not adopting Justice Kennedy's
concurrence. Id, at 169 n.8.
Similarly, the Second Circuit Court of Appeals, also
interpreting the majority opinion in Kela, rejected a pretext
claim “founded only on mere suspicion,” Goldstein v, Pataki, 516
F.3d 50, 62 (2d Cir. 2008), cert, denied, No. 07-1247, __ U.S.
_-+ 128 8.Ct. 2964 (Jun. 23, 2008), but left open “the
possibility that a fact pattern may one day arise in which the
circumstances of the approval process so greatly undermine the
basic legitimacy of the outcone reached that a closer objective
sctutiny of the iustitication being offered is required,” id at
63
mphases added).
In several cases decided shortly before Kelo, federal
district courts did, in fact, scrutinize asserted public
purposes. See Aaron v. Target Corp., 269 F. Supp. 2d 1162, 1177
%., continue
property of A is taken and given to B, the Courts will interfere and set aside
fhe law” enphasis added) (internal quotation marks and citation omitted) );
Eapgag, 76 F.3d at 14 (explaining that “{a] property owner may raise, as an
Sifirmacive defense co the taking, that. =
Rarely a cretaxt or vsed in bad faith" (Footnotes omitted) (emphasis sdded)) «
Bdaitionally, Georgia provided statutory relief from pretextual takings. Sea
338 5.6.24 240, 245 (Ge, 1985)
(helaing that, genersily, the legislature has the authority "eo determine when
‘the right of eminent domain nay be exercisea()” Sut “iif. under pretext
(quoting Official Code of Georgie
Rnnctated § 22-1-3) (emphasis added) internal quotation marks omitted)))
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(E.0. Mo. 2003) (stating that property owners had “shown at least
fa serious question on the merits of their takings claim on public
use grounds” where their property was to be condemned and
transferred to another private party for use as a retail store),
xev'd on other grounds by 357 F.3d 768, 777 (8th Cir. 2004);
Cottonwood Christian Ctr, v, Cypress Redev, Agency, 218 F. Supp.
2d 1203, 1230 (C.D. Cal. 2002) (concluding that the property
owner had demonstrated “at least a fair question” that the
challenged condemnation lacked a valid public purpose where the
property was to be turned over to “Costco”); 29 Cents Only Stores
ancaster Redev, Agency, 237 F. Supp. 2d 1123, 1130 (C.D. Cal.
2001) (rejecting the condennor’s argument that condemnation was
supported by the public purpose of preventing blight because,
inter alia, there was “no evidence in the record to suggest that
so-called ‘future blight’ was the actual reason underlying” the
condemnation action).
Under our precedents and Kelo, it appears that the
stated public purpose in this case on its face comports with the
public use requirements of both the Hawai'i and United states
constitutions. The Kelo decision confirms that the fact that the
condemied property is transferred from one private owner to
another does not, a fortiori, invalidate the taking. Moreover,
the public purpose of the Bypass is evident from its nature as a
a
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public road,%* consistent with the land use plans.
In that connection, the “prima facie evidence” of the
Bypass’s public purpose, as delineated in Resolution No. 31-03,
% tm this connection, the character of the proposed public use,
a public road, io ttgelf’ strong evidence mitigating in faver of the
Diesinpeion of validity. Indisputably, pubis roads have long been recognized
Ss°s"public purpose for which private property may be condemned, G68" gudur
uNEY, 262 U.S. 700, 706 (1923) (wThat 2 taking of
Property fora highway ian taking for public Ose has been universally
Focognived, from time imeenorial."); Bailey vr. Myers, 76.94 898, 902 (Ariz.
Ge. App. 2003) (explaining that “[w]hien the governnect proposes to take
person's property to build streets, jails, government buildings, libraries or
Public parks that the governsent will own of operate, the anticipated use is,
Unquestionably public”); Cochran vw State, 699°N.6.2¢ 727, 731 (ind. Ct. APP.
2507) {holding that the “State had the power co exercise eminent domain over
[the appellant's] property for the purposes of constructing drainage
Hieiuities cuteide of the street limits 22 2 pare of its (highway)
reconstruction project”); City of Novi v. Robert Adel] Children’s Punded
Teast, 701 WN.2a 164, 150=81 (atch. 2008) (holding that a road “Is 2 public
Righway” for which “the legislature may constitutionally authorize the
Condennation of land” if it *has been established by public authority, and the
Samages for the condemnation of the land has been paid by the general public,
and the road is under the control and managenent of public officers, whose
Suey Ve i2"to keep st in repair” (citation omitted) )? Towehip of WL Oranse v
800 Aved 86, 91 (N.J. 2002) (reiterating thet “[c]ourts
have Long held that the condemnation of private property for use aa a public
foad fulfills the public use requirenent™ (citation omitted) ); gteatare, 574
ScE.2d at 238 (holding that where "the City own(ed) the road, and... the
oad [wes] open for use to the public,” the sppellant’s land nag been
Condenned for a public purpose); Ford v Dickerson, 662 S.E.24 503, 506 im.
Va. 2008) (Listing condemnation as one OF three seans by unicn “ene public may
acquire a valid right to use lend owned by another as and for a public rosd oF
Righway" (Internal quotation marks and citation cnitted))
But “the single fact chat a project is a road does not per se make
At a public road.” cltvef Novi, 701 N.w.2a at 150. (emphasis in original).
In that connection, the Michigan Suprenc Court has explained that
the difference between public and private use in the context
of roads depends largely upon whether the property condemned
$5 Gander the direct control and use of the government or
public officers of the government, or, what is almost the
ihe thing, in the direct use and occupation of the public
at" large, though under the control of private persons oF of
2 corporation!]
Ide (internal quotation marks, citations, and ellipses points omitted)
Rppiying the aforementioned factors, it ia noted that (1) under the
Developrent Agreement, the Bypass 12 to be dedicated to Appellee, which will
june control and responsibility for ite maintenance, and (2) the Bypass will
be available for “direct use and cccupation of the public at large(.J” see
id
However, even when considering @ condemnation action for the
purpose of constructing a public road, *(e)here ie no mechanical formals
Ustermining ‘public use.’ “This issue must be decided on a case-by-case
basis.” Bailey, 76 7.34 at 902 (citation omitted)
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includes: (1) the determination in the Kona Regional Plan that
“the current Mamalahoa Highway [is] inadequate to handle the
volume of traffic currently traversing on the roadway"; (2) the
declaration that “the proposed Mimalahoa Bypass had been
determined by [Appellee], through its County Council, as
providing a regional benefit for a public purpose and use which
will benefit” the community; and (3) the resolution “that it is
necessary for the public use and purpose, to wit: the
construction and development of a road intended to bypass the
Mamalahoa Highway in the approximate vicinity between Keauhou and
Captain Cook, Kona, to acquire and condemn” Appellant's property.
‘Thus, it appears that Appellee presented sufficient prima facie
evidence of public purpose under a rational relationship test.
See Lyman, 68 Haw. at 68, 704 P.2d at 896.
However, both Aiimine and Kelo make it apparent that,
although the governnent’s stated public purpose is subject to
prima facie acceptance, it need not be taken at face value where
there is evidence that the stated purpose might be pretextual.
See Aiimine, 39 Haw. at 550 (holding that “where . . . the
[1Jegislature declares a particular use to be a public use[,] the
presumption is in favor of this declaration . . . unless such use
is clearly and palpably of a private characterl,]” however, “that
does not mean that either the decision of the legislature or the
Presumption is conclusive, for the issue of public use is a
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dudicial question and one of law to be decided on the facts and
cixcumstances of each particular case” (internal quotation marks
* gee also Kelo, 545
U.S. at 478 (stating that a taking is not valid if the asserted
and citation omitted) (emphases added)
purpose is a “mere pretext of @ public purpose, when its actual
purpose [{s] to bestow a private benefit”).
Appellant’s objection to Condennation 2 is not that the
asserted public purpose is invalid on its face, but that the
public purpose was pretextual. Tt argues that Condemnation 2
provided a “predominately private benefit . . . to Oceanside.
In that vein, Appellant contends on appeal that
[11m Condemnation (2), the (court) did not look beyond
County's Resolution 31-03 to conclude that it satisfied both
the federal and Hawaii public ues requirenents, Tt sae
Fequires to do nore and address (Appellant's) claim that the
asserted public purpose was 2 prstext -- as in Condennation
:
ist, elapectaliy since st
Strack own the attospted taking in Condesnation (1) for
Tack of public uses ["]
sg
er
nt cites to Kennedy's concurring opinion for the
proposition that the burden for rebutting prima facie evidence of public
Purpose iss “clear showing.” aq diseenting opinion at 5, 9 (citing Kala,
5as'U.s. at 491) (Kennedy, J., Concurring). Sowever, liming also indicates
that 4 burden-shifting regine’ is appropriate by referring eo a “presumption”
In'favor of the legislature, whose determination is subject to “prima facie
Acceptance," unich is “binding” unless that presumption ss rebutted by
@vicence thac "such use ia clearly end palpably of @ private character.” See
Riisine, 59 daw. at 549-50
% rp appears that the court’s basis for invalidating Condemnation 1
as lacking a valid public purpose rested predominantly, if not exclusively, on
the court's conclusion that the taking represented an illegal delegation of
Appelles’s eminent domain power to Oceanside. The court's order stated, in
pereinent part, that "[Condennation 1] 1a invalid, . , because County
Resolution 265-00 illegally deleastes its power of condemnation, through the
Development Agreement, ‘to [Oceanside], and
public purpess.” (Eaphases added.) However, courts generally speak of
Miegal delegation and public purpose as two distinct considerations. Esther
{legal delegation, ar lack ot" valid public purpose, will invalidate a
taking. Tt 13 unclear from the court's findings snd conclusions whether there
were additional considerations that led the court to conclude that
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(Emphases added.) Accordingly, Appellants argue that “the
[court] should not have stopped at Resolution 31-03, but should
have followed the roadmap to analyzing claims of pretext(.]
Appellee argues alternatively that the “court properly
found public purpose.” It asserts that “(a]t trial,
[Appellant's] private benefit arguments were: (1) (Appellee)
changed the Bypass’s northern terminus from mauka at Kuakini
Highway to maka at Als" Highway to benefit Oceanside to the
detriment of [Appellee]; and (2) Oceanside (and not [Appellee]
determined the alignment of the Bypass.” According to Appellee,
“the [court] did not fail to analyze these private benefit
allegations[,]”" as the court
specifically found that the “alignaent of the (Bypass), with
arporthern terminus at Alii Highway was. preferred and
Selected by {Appeliea’s) Departnent of Public Works, and La
Consistent with the General Plans that have been adopted by
[Appeliee]” and in "County Resolution No. 31-03, the final
determination of the [bypass] remained with [appellee's]
Department of Public Works.
Despite Appellee’s argument, it is unclear from the
entirety of the court’s findings and conclusions regarding
Condemnation 2 whether the court did in fact consider and reject
Appellant’s pretext argument. The findings relating to “public
purpose” in Condemnation 2 are as follows:
36. The eminent domain action in {Condemnation 2) has
County Resolution No, 31-0) as ite Basis for public purpose
continue
Condemnation 1 lacked a valid public purpose,
However, Condemnation 1 was Rot. app%
» private benefit to
fed’ and therefore 1s final
S22 oops Civil Service Con'n, 106 Hawai'i 205, 224, 103
Pisd 365, 364 (2004) (TA Judgment is final and binding unless an appeal is
taken.")" Therefore, we only consider whether Appellant's pretext ergunent was
fully considered as’ to Condemnation 2.
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97. County Resolution No, 31-03 atates that the proposed
construction and use of the (Bypass) would provide a public
benefit to tne County of Hawaits
88, The (HCC) approved of the (Bypass) to be a public
purpose and passed County Resolution ilo. 31-03 on
February 5, 2003.
59. The 2003 County Council ws
nine menbers|
100 “The (Bypass) as to be built to State Highway Design
Standaras,
101. The alignment of the (Bypass), with a northern
terminus at Alli Highway was preferred and selected by
(Appellec’ s} Department of Public Works, and is consistent
with the General Plana that have been adopted by [Appellee] «
02. “In County Resolution No. 31-05, the final.
dotermination S€ the (Bypasa] remained with (appellee's)
Department of Public Works.
composed of the following
(citations omitted.) The conclusions of the court regarding
Condemnation 2 relating to “public purpose” are the following:
94. the Figth Amendment to the (U.S.) constitution
provides, in part, "(Nor shall private property be taken
for public use, without just compensation.” U8. Const.
amend.
3s, The Hawais Constitution atates, “Private property
‘shill not be taken or damaged for public use without Just
Compensation.” Naw. Const, art. Ty § 20.
Se. When applying the Haual! Congtitution, Haweii courte
nay interpret it to afford greater protection than provided
by the U.8. Constitution. See [Lyman], 62 Haw. S5{, 104
P26 888}
37.) The inquiry under the public use clause of (a}rticle
3, Is]ection 20 is whether a taking is designed to further a
Shegitinate government purpes
Gore ee Castle, 19 [Hauaili) 64{, 808 F.2d S76] CSBa)
56. Generally, courts are bound by the legislature's
public ue determination unless the use 4a clearly and
Balpably of 2 private character.” State. Anderson, 56
Haw, S66(, 545:P.24 1175) (2976). However, the public us
question ie still one that renaine jodscial in nature
‘Biiininel, 39 aw. 5030)
35. The’ [HCC] “determined that there wae a public purpose
in county Resclution 31-03. county Resolution 31-03 did not
Eofer to the Developaent Agreement, and was passed by a new
County Council with a different council make-up.
200." (Appeilant] timely raised [its) objection to public
purpose within the ten-day limit in (Condemnation 217
Appellee) did not raise this issue.
101" County Resolution 1-03 is vaita.
202. The [court concludes that the eminent domain action
in’ {condemnation 2) ia valldly supported by public purpose,
and properly passed by the (HCC)
(Internal reference omitted.)
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With all due respect, the court’s conclusion that
Condemnation 2/s public purpose was valid, because the resolution
upon which it was based omitted reference to the Development
Agreement and was passed by a slightly altered HCC, may have
elevated form over substance. See Coon v, City & County of
Honolulu, 98 Hawai'i 233, 254, 47 P.3d 348, 369 (2002)
(reaffirming this court’s policy of “eschew[ing]” constructions
that “elevate form over substance”). In this connection,
jerts that the court's findings and conclusions “are
Appellant
devoid of any reference to evidence regarding public use beyond
the fact [that] the second resolution does not use the words
‘evelopment Agreement,’ and the resolution was approved by
county council comprised of different menbers.” Despite the lack
of reference to the Development Agreement in Resolution No.
31-03, it is not apparent from the record whether any or all of
the same provisions in the Agreenent that led the court to
invalidate Condemnation 1 were still in effect and underlay
Condemnation 2,** or whether other conditions existed such that
% The court invalidated the Impact fee and condennation provisions
of the Development Agrecnent. Pertinent to reibursement te Oceanside for
Geveloping the Bypass, Paragraph 15.2. of the Development Agreement provided
that “nothing herein shall be construed as preventing Oceanside. from seeking
reinbursenent” fron Appellee for "the difference between the [total [elost of
the (Bypass) and the "Project Ispact Cost{.]’” Faragraph 15.0 of the
Developaent Agreenent declared that Oceanside would be reimbursed with funds
from (1) “fair share” assessments levied against future developeants a2
conditions of development, (2) an impact fee that could be levied against
Hawai'i County “or the region extending from Keauhou to Miiolii,” or (3), "any
other monetary contribution paid to (Appellee) from developers ‘or land omers”
who benefit ron the construction of the Bypass. With regard to those
Brovisions of the Developnent Agreement that provided for the collection of
fees by the County, the court concladed:
81. The Development Agraenent also purports to amend,
continue,
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the private character predominated. Those issues may be factors
relevant to the pretext issue.
In its conclusion 71 related to Condennation 1, the
court stated that “[a] court applying rational-basis review under
the [p]ublic [uJse [c]lause should strike down a taking that, by
>. seontinue
Supersede or substitute for ordinances and the impact fee
Statute. The Development Agreonent imposes an impact fee,
and (Appellee) has not enacted an impact fee ordinance
Pursuant to section 46-141 of the [BRS], as amended. [HRS]
Peete.
84; ” [appetige! does not have statutory authority to impo
2 “fair share” assessment, but hag statutory authority Co)
‘enact inpact fee ordinances pursuant to section 46-141 of
the [HRS], as amended.
65. Tho “fair share” assessment under the Development
Agreement, in substance, 9 tantamount to an ampact fee that
does not conform to Section 46-141 of the [HRS], a5 amended
86. "The portion of the Developaent Agreement that imposes
the “fair Share” assessment against (Appellant) is vous for
pot being in compliance with Section 46-14] of the [HRS], ae
Therefore, the “fair share” and inpact fee provisions of the Development
Agresnent, a2 applied to Appellant, were declared void. The future vitality
Of such provisions, assuming compliance with ARS § 46-61 (Supp. 2007), 1 not
Shear
Additionally, the court concluded that all of the condemnation
provisions were illegal.” The relevant conclusions are as follows:
78. (Appellee) and Oceanside's actions prior to, and
performance aftery the adoption of the Development
Agreement,
Advecnent maka it-uneTatatanly oleae that theoet teat
73, The condennation provisions of the Developssnt
Agreament are invalis
Sondamnation authority te a orivate party.
(Emphases added.) It is not evident from the record whether the invalidated
Gondeanation and impact fee provisions were still in effect at the tine
Condemnation 2 was instituted,
‘other ‘than the condesnation and “fair share” provisions, st
appears the remainder of the Agreement was left in place. As for the
Fenaining provisions, including whether Oceanside was required to designate
the area for the Bypses, negotiate wieh landowners, complete and cover ail
costs of construction of the Bypass, dedicate the Sypass to Appellee, and
Fecelve sone reinbursement from Appellee for costs associated with the Bypass
[sia sone monetary contribution other than the invalidated impact fee
provisions), it is also unclear as to whether these are still in effect
Between Appellee and Oceansice with respect £0 Condemnation 2.
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ack
with only incidental or pretextual public benefits{.]” (Quoting
(Emphasis
showing, is tended to favor a particular private party,
Kelo, 545 U.S. at 491 (Kennedy, J., concurring).
added.) Despite the court's ref.
nce to pretext in Condemnation
1, it is not evident whether the court engaged in a “pretext”
analysis as to whether Condemnation 1 provided a predominantly
private benefit to Oceanside, or merely concluded that the
condennation was void because it was an illegal delegation.
Moreover, it is not apparent why the court
referred to pretext in its conclusions with respect to
Condemnation 1 but not with respect to Condemnation 2. As to
Condemnation 2, although the court referenced the relevant
standards from Anderson and Aiimine, it is not discernible that
the court based its determination of public purpose on anything
more than the fact that “County Resolution No. 31-03 states that
the proposed construction and use of the [Bypass] would provide 2
public benefit to the County of Hawaii” and that “[tlhe [wc
determined that there was 2 public purpose in County Resolution
31-03.” (Bmphases added.) The court did not state that
Appellant failed to make a clear showing that the use was of a
predominantly private character, or indicate any recognition that
despite any ostensible private benefit to Oceanside, the actual
purpose was a valid public use. Contrary to Appellee’s
assertions and the dissent, in Condemnation 2 the court did not
expressly consider the question of whether the taking was
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‘OR PUBLICATION IN WEST'S HAWAT'T REFORTS AND PACIFIC REPORTER’
“clearly and palpably of a private character,” liming, 39 Haw.
at 550 (internal quotation marks and citation omitted), and
determine that it was not.
c
The dissent states that “our on case law denonstrates
that the rational-basis test -- identical to that laid out in the
federal precedent
is the appropriate standard to be applied in
determining whether a governmental taking has @ public purpose
under the public use clause of the Hawai'i Constitution, as well
as the federal constitution.” Dissenting opinion at 13.
However, where the actual purpose of a condemnation action is to
bestow a benefit on a private party, there can be no rational
basis for the taking. See Kelo, 545 U.S. at 477-78) Alimine, 39
Haw. at 550.
According to the dissent, “(iJt is well-settled that,
“whenever property is taken for a highway, it is for the public
use, huay may reat
private party(,]/" dissenting opinion at 15 (quoting Rodgers dev
Co. v. Town of Tilton, 781 A.24 1029, 1034 (N.H. 2001)) (emphasis
in original), and also, the project is not “an economic
development condemnation” as in Kelo, id. at 19. It appears,
therefore, that the dissent would foreclose all pretext argunents
Where the government's stated public purpose is a “classic”
public use, such as a road, and that the dissent believes that
pretext arguments should be confined to cases where the
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condennation is for the purpose of economic development. See ids
at 19-20.
Plainly it was not the intention of this court in
Adimine or of the Supreme Court in Kelo to foreclose the
possibility of pretext arguments merely because the stated
purpose is a “classic” one. According to Aiming, although the
Legislative determination is subject to prima facie acceptance,
“that does not mean that either the decision of the legislature
or the presumption is conclusive, for the issue of public use is
a tion and one of Law
circumstances of each particular case.” 39 Haw. at 550 (emphasis
added). Under the dissent’s formulation, it is difficult to
imagine what question would be left for the court to decide when
the stated purpose of the taking is a public road. Similarly,
Kelo the majority stated that “the City would no doubt be
forbidden from taking petitioners’ land for the purpose of
conferring a private benefit on a particular private party
+ + + ly nlor would the City be allowed to take property under
the mere pretext of a public purpose, when its actual purpose was
to bestow a private benefit.” 545 U.S. at 477-18. There is no
indication that this proposition was limited to economic
development cases such as in Kelo. Indeed, the dissent's attempt
to distinguish between “classic” public uses and “economic
development” condemnations conflicts with the majority opinion.
In Kelo, Justice Stevens determined that “[p]romoting economic
n
government. There is, moreover, no principled way of
distinguishing economic development from the other public
purposes that we have recognized.” Id, at 484 (emphases added).
‘Therefore, the dissent has no basis for distinguishing “economic
development” cases.%*
Aside from the foregoing it is not established that
“ whenever property is taken for a highway, it is for the public
use(.]/” Dissenting opinion at 15 (quoting Rodgers Dev, Co., 781
A.2d at 1034). The dissent takes that proposition from a New
Hampshire case wherein the New Hampshire Supreme Court
interpreted the New Hampshire atate constitution. See Rodaera
Dev, Co., 781 A.2d at 1034. More consistent with Alimine and
Kelo are state cases that have determined that simply because the
government's stated public purpose is to build a public highway,
does not a fortiori mean that the taking is for a public use.
See Novi, 701 N.W.2d at 150. In Movi, the Michigan Supreme Court
“agree(d] with defendants that the single fact that a project is
% Therefore, the dissent’s attack on our “reliance on a string of
federal cases =~ ail relating to econamic development condemnations)"
Giessenting opinion at 19 (fostncte onitted), ie misplaced, None of thot
cases indicate that pretext arguments should be confined to seononic
development cases, As discussed herein, both Adimine and Kelg indicate that
here the private character of 2 taking predominates, it 1 invalid,
Fegerdless of whether it is 3 “classic” public use. furthermore, courts have
indicated that merely because a taking is a road does not mean that it is par,
2 valid. See Boel, 701 M.w.24 at 150 (stating that “the single fact that's
Project is a road does not per ce make it » public road”); ges alsa gthafare,
Sre’sie.2d at 237 (despite holding thst road was valid public purpose tn thet
case, recognizing that “whether 2 taking is for a public purpose ts a judicial
uestion, reviewable by the courts” and “the fact that the City filed with ies
Petition for condennation a resolution that stated that the laidowners"
Property would be taken for a public use does not bar judicial review of the
issue of public use”)
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a road does not per se make it a public road.” Id, (emphasis in
original). The court determined that the road at issue in that
case was a public use under the Michigan constitution because
“the public body establishe(d the] road, pafid) for it out of
public funds, and retain{ed) control, management, and
esponsibility for its repair.” Id, at 151. To adopt a per se
rule for roads under the public use clause would deprive the
court of ite judicial function and therefore clash with Aiimine.
‘Thus, even where the government’s stated purpose is a
“classic” one, where the actual purpose is to “confer[] a private
benefit on a particular private party(,)" the condemnation is
forbidden. See Kelo, $45 U.S. at 477. In Kelo, the majority was
not concerned because “{t}he trial judge and all the menbers of
the Supreme Court of Connecticut agreed that there vas no
evidence of an illegitimate purpose in this case.” Id, at 478.
‘hus, it was not the case that the Supreme Court was “unwilling
to examine the appellants’ pretext defense in the face of a
taking premised on an economic development plan,“ dissenting
opinion at 20, but that such an examination was unnecessary
because both the trial court and the state supreme court had
already done so. See Kelo, 545 U.S. at 478. On the other hand,
in this case, there is no finding or conclusion of the court that
“there was no evidence of an illegitimate purpose[,]” ide, and
therefore, remand is appropriate.
3
The dissent relies on Goldstein to argue that “inasmuch
as the [Bypass] in this case is a classic public use... ,
there was no need for 2 ‘full judicial inquiry into the
subjective motivation of every official who supported the
taking(.]'" Dissenting opinion at 31-32 (brackets omitted)
(quoting Goldstein, 516 F.3d at 63-64). We doubt that such an
inquiry would be workable or permissible and obviously do not
mandate one.” In Goldstein, the Second Circuit took issue with
the fact that the appellants sought “to gain discovery into the
Process by which the [government] approved this [p]roject . . .
[including] depositions of pertinent government officials, along
with their emails, confidential communications, and other
pre-decisional documents[.]” 516 F.3d at 62.
Indeed, in Goldstein, despite that court’s concerns
that the appellants were seeking “an unprecedented level of
intrusion into the proc
8," as the dissent acknowledges,
dissenting opinion at 31 (quoting Goldstein, 516 F.3d at 63), the
Goldstein court explicitly “preservied) the possibility that a
fact pattern may one day arise in which the circumstances of the
yin the sane vein the dissent argues “that it waz not necessary for
the trial court to look beyond ‘the face of Resolution 31-03 because th
onstruction of » bypass road that would, unquestionably, benefit the public
is'a valid public purpose to which Condennation 2 15 ravionaily related{ei=
Gissenting opinion at 17, and that {t doles) not believe that this ca
presents a situation where it is necessary to closely scrutinize the novives
Sf the City Council” because the taking in this case is a "classic public
*‘Ld.'at 20, and not “an economic development condemnation,” ada at
is opinion nowhere calls for a "cloge() scrutiny [of] the motives of
the city Council” or the “subjective motivation of every official,” as porites
by the dissent.
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approval process so greatly undermine the basic legitimacy of the
outcone reached that a closer gbiective scrutiny of the
Justification being offered is required{,]” 516 F.3d at 62-63
(emphasis in original). Unlike the appellants in Goldstein,
Appellant in this case has not sought to probe in such an
intrusive manner, but, as contemplated by Goldstein, questions
“the basic legitimacy of the outcome” and seeks a “closer
objective scrutiny of the justification being offered{
ide
5,
We agree with the dissent that “the ultimate question
is whether (Appellee’s] decision to condemn the subject
property for the construction of a public bypass road was a mere
pretext for its actual purpose to bestow a private benefit on
Qceanside.” Dissenting opinion at 23-24 (emphases added) .*
However, we respectfully part ways with the dissent in its
assessment of whether the court actually considered Appellant’ s
pretext argument. The dissent argues that “the record indicates
+. that the trial court did, in fact, seriously consider
whether [Appellee’s] stated public purpose to build a bypass road
to alleviate traffic concerns was a mere pretext for the actual
% the dissent also argues that “[Appeliee's) determination (in
Resolution No. 31-03] that the condeanation is necessary for a public purport
does not, on its face, involve an impossibility and is not palpably without
reasonable foundation.” Dissenting opinion at 16 (internal quotation marks
and citation omitted) (emphasis in original). Thus, it appears that the
Glssent agrecs with this opinion on that point,
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purpose to bestow a private benefit.” Id, at 21 (emphases in
original).
we
In support of its argument, the dissent points to the
courts findings with respect to Appellee’s need for the road,
and the finding regarding Oceanside’s proposal that,
“{rlecognizing [Appellee’s] need for new roads, Oceanside
Proposed to build the [Bypass] in exchange for a change of zoning
for the Hokulia development project.” Id, at 25-26 (emphasis
omitted). The dissent concludes that based on those findings,
“[iln essence, the trial court found that [Appellee] had -- since
1929 -- ‘recognized a need for a road to bypass Mamalahoa
Highway.’ Additionally, the trial court found that, based upon
Qceanside’s avareness of the public need for a bypass road, it
Proposed to build the road in exchange for a change in zoning.”
Id. at 26 (emphases in original).
However, the above-stated findings do not address
Appellant’s argunent that, despite the stated public purpose,
there was a predominantly private benefit to Oceanside, nor do
such facts indicate that the court thoroughly considered the
pretext argument as to Condemnation 2. Merely because Appellee
had recognized the need for a bypass prior to entering into
negotiations with Oceanside and Oceanside had in turn capitalized
upon that need, does not preclude Appellant's argument that
Appellee’'s subsequent negotiations with Oceanside resulted in an
76
‘FOR PUBLICATION IN WEST’S HAWAT1 REPORTS AND PACIFIC REPORTER™
agreement that provided a “predominantly private benefit to
oceanside.”
‘The dissent also accepts ae sufficient indication that
the court considered and rejected Appellant's pretext argument,
the court's conclusions (1) “that Condemnation 2, which did not
refer to the [Djevelopment [Algreement, ‘stood independently from
the Development Agreement, and {(2)] that there was sufficient
attenuation between the Development Agreement previously
mentioned and Resolution No. 31-03{,]'" and, (3) therefore, “*the
County Council determined that there was a public purpose in
County Resolution 31-03,'" making Condemnation 2 “*valid./”*
Id. at 26 (brackets omitted) (quoting Conclusions 93, 99, and
aon).
As discussed supra, those conclusions appear to take
Resolution 31-03 at face value, whereas Appellant's argument
raised circumstances beyond the mere face of the Resolution.
Furthermore, the Development Agreement may not be the sole source
of evidence as to whether the asserted public purpose in
Condemnation 2 was pretextual. Rather, the court was obligated
to consider any and all evidence that Appellant argued indicating
that the private benefit to Oceanside predominated. The court
based its conclusion that there was an illegal delegation in
Condemnation 1 on the condemnation provisions in the Development
% the dissent expresses confusion in its footnote 6 as to “how the
issue of Silegal delegation relates to whether the asserted purpose of the
taking 4e a mere pretext for an actual purpose to bestow a private benefit.”
Ad. at 30 f.6 (internal quotation marks and citations omitted)
7
FOR PUBLICATION IN WEST'S HAWAFT REPORTS AND PACIFIC REPORTER*
Agreement, and therefore, the court's conclusions regarding the
“attenuation” between Resolution 31-03 and the Development
Agreement seemingly represent only the court's belief that there
was no illegal delegation in Condemnation 2. It cannot be
discerned from the court's findings and conclusions whether the
conclusions pointed to by the dissent actually address the
pretext issue.
2
‘The dissent asserts that “with regard to Condemnation
2, the trial court determined that the public purpose was ‘that.
the proposed construction of the bypass road would provide public
benefit to the County of Hawaii.’” Id, at 28 (emphasis added)
(quoting Finding No. 97) (brackets omitted). However, contrary
to the dissent’s characterization of the court’s finding 97, that
finding, as related supra, actually declares that “County
Resolution No, 31-02 states that the proposed construction and
use of the [Bypass] would provide a public benefit to the County
of Hawaii.” (Emphasis added.) ‘Therefore, finding 97 does not
represent the court’s independent determination that, based on
the record, the Bypass was the public purpose underlying the
condemnation, but merely relates the CC's assertion in
Resolution 31-03 that the Bypass would provide a public benefit.
3.
‘The dissent similarly recasts the court’s conclusions
99 and 101, asserting that the court “concluded” that “(iJnasmuch
78
“*FOR PUBLICATION IN WEST'S HAWAF'T REPORTS AND PACIFIC REPORTER***
as Condennation 2 stood independently from the (DJevelopnent
(Algreement, . . . ‘the [HCC] determined that there was a public
purpose... ,! and, thus, Condemnation 2 was ‘valid.
Dissenting opinion at 28 (brackets omitted). However, there is
no indication that Conclusions 99 and 101 were in any way based
on or related to Conclusion 93, in which the court determined
that County Resolution 31-03 stood independently from the
Development Agreement. In fact, the court placed Conclusion 93
under the subject heading “Development Agreement,” where
Conclusions 99 and 101 both fall under the separate subject
heading “Public Purpose.” Thus, it does not “{Ilogically . .
follow{],” as the dissent argues, that “inasmuch as [the court]
concluded that Condemnation 2 was ‘sufficiently attenuated’ from
the (Dlevelopment (Agreement, . . . [the court] also believed
that the [DJevelopment [A]greement was not the ‘actual purpose’
of Condemnation 2.” Id. at 29-30 (brackets omitted).
a
Moreover, the conclusions the dissent points to as
evidence that the court fully considered pretext have no factual
basis in the court’s findings. The only facts that could support
the conclusion that there was “attenuation” between the
Development Agreenent and Resolution 31-03 are Findings 82 and
99, which indicate that the menbership of the HCC had changed
between 2000 and 2003, such that four of the nine menbers were
different, and Finding 92, which states that “[n]o reference is
9
‘OR PUBLICATION IN WEST'S HAWAT' REFORTS AND PACIFIC REFORTER***
made to the Development Agreement in County Resolution [No.] 31-
03.” The court's conclusions do not indicate that the court
actually looked further than the passage of Resolution 31-03, or
considered factors other than the language of that Resolution in
order to determine that the stated public purpose was valid.
Thus, we must disagree with the dissent’s belief that
the [findings] and [conclusions] demonstrate . . . that the
Erial court did, in fact, examine whether Condemnation 2 wae
“clearly and palpably'of a private character,” Auimine, 20
Haw. at 350, ana determined that the stated public purpose
in'Rosolucign [31-03], dea, to build a bypass road, was aot
“only incidental or 4 mere “pretextual public benefit” to
bide the predominantly private benefit of the bypass road co
Sceansice
Dissenting opinion at 29 (emphasis in original) (brackets
omitted). That interpretation stretches the court’s conclusions
beyond their Language.
5.
Finally, the dissent posits that in considering whether
the court decided the pretext issue “this court should not linit
and
itself to the four corners of the trial court’s [finding
[conclusions], but also look to the record.” Id, at 22. In this
regard, the dissent adopts Appellee’s argument on appeal,
discussed in more detail supra, that the court's findings that
“the alignment of the [Bypass] . . . was preferred and selected
by (Appellee, ]/" id at 29, and that “‘the final determination of
the [Bypass] remained with {Appellee,]'” id, demonstrate that
“the trial court rejected {Appellant's} actual purpose
contention,” id. at 28, However, we cannot agree that it is
apparent from the record, see dissenting opinion at 24-25, that
a0
**°FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REFORTER'
the court actually decided the pretext issue when determining
that Resolution 31-03 had a valid public purpose, or rather that
its determination of a public purpose was simply based on the
language of Resolution 31-03 itself, which authorized
Condemnation No. 2. As noted supra, in Condemnation 1, the court
held that the condemnation was an illegal delegation of
Appellee’s eminent domain power to Oceanside, based upon certain
provisions of the Development Agreement. Relevant to illegal
delegation, the court found that “[t]he Development Agreement []
gives Oceanside the ability to designate the private property to
be condenned by allowing Oceanside to ‘idletermine the fina!
Right-of-Way for the alignment of the entire [Bvpasel, including
intersection areas[,]'" “the Development Agreement indicates
that, at the time the parties entered into the agreement,
[Appellee] intended to condemn any private property that
Oceanside has determined, in ite sole and absolute discretion, as.
necessary for the construction of the (Bypass) {,]” and “Qceanside
identified the property to be condemed and directed the County
to condemn.” (Emphases added.)
‘Thus, any findings the court made in Condemnation 2
with regard to who had the power to determine the alignment of
‘the highway, and therefore, which property to condemn, appear
intended to clarify that in Condemnation 2, Appellee did not
“attempt (] to delegate its power of eminent domain to a private
party in an agreement whereby the developer controls what
a1
FOR PUBLICATION IN WEST'S HAWAFT REPORTS AND PACIFIC REPORTER***
property is taken... .” (Emphases added.) Therefore, those
findings are linked to illegal delegation and not to pretext.
Although it may turn out to be true that “[Appellants) have
Likewise failed to rebut the presumption in favor of the
legislature(,]” dissenting opinion at 18, we believe that was a
question for the court to determine, and we cannot conclude that
the record confirms that it did so.
FB
Further, the dissent claine that “the majority's
conclusion . . . appears to rest on the fact that the trial court
aid not . . . use the specific word ‘pretext’ or ‘pretextual’ in
its written decision.” Dissenting opinion at 29. It is true
that the court rendered conclusions mentioning pretext with
respect to Condemnation 1, but made no reference to Kelo or any
consideration of pretext with respect to Condemnation 2. But
that is not the primary concern here. Rather, the focus of the
foregoing discussion is that the court’s findings and conclusions
with respect to Condemnation 2 do not plainly indicate that the
court actually decided the pretext issue and looked beyond the
face of Resolution 31-03.
6.
Also, the dissent asserts that “(t]he majority seens
troubled by the fact that Oceanside received a benefit from
Condemnation 2{.]" Id. at 30. The receipt of a private benefit
may be a relevant factor in consideration of the pretext defense.
82
[REPORTS AND PACIFIC REPORTER®
‘HOR PUBLICATION IN WEST'S HAWAT
However, the ultimate question for the court is whether the
“actual purpose was to bestow a private benefit{,]” Kelo, 545
U.S. at 478, or the taking was “clearly and palpably of a private
character,” Aliming, 39 Haw, at 550. The concern is not with
incidental private benefits. What is fundanental to judicial
review is full consideration of the arguents and evidence
presented by the defending landowner in its attempt to make the
requisite clear and palpable showing of pretext.
Finally, the dissent posits that “(t]he majority's
remand of this case to the trial court improperly provides the
[Appellant] with a second bite at the apple to make a ‘clear
showing that the taking was intended to favor [Oceanside).‘”
Dissenting opinion at 33 (brackets and citation omitted). To the
contrary, in the absence of findings and conclusions
demonstrating that the court actually considered and rejected
Appellant's pretext argument, remand will not provide a “second
bite at the apple,” but will ensure compliance with the precepts
of Alimine and Kelo as laid out in this opinion.
vir.
Accordingly, we cannot concur with the dissent that, in
the context of this case, “‘the power of eminent domain is merely
a means to an end [and that o]nce the object, i.e., the public
purpose, is within the authority of the government, the means by
which it will be attained is also for the government to
a3
/OR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REFORTER**
determine."" Dissenting opinion at 32 (quoting Midkiff, 467 U.S.
at 240) (ellipses points and brackets omitted). Taken to its
Logical conclusion, that statement would mean that the government
could delegate its eminent domain power to a private party if it
so chose, so long as the end that was finally achieved was a
“classic public use.” Under that formulation, the court's
determination in Condemnation 1 would be wrong, because so long
as the stated public purpose was a public road, it would be
irrelevant that Appellee illegally delegated its eminent domain
power to Oceanside. That cannot be what the Supreme Court in
Migkift intended, inasmuch as the majority in Kelo indicated that
there are limits on the eminent domain power. See 545 U.S. at
478.
In sum, existing state and federal case law provide
ample authority for our courts to examine allegations that a
taking is pretextual. Under the circumstances of this case, it
appears that the court erred in declining to expressly examine
the pretext issue in Condemnation 2. Therefore, the court's
Septenber 27, 2007 Judgment in Condemnation 2 must be vacated and
this case remanded.
vinta.
Based on the foregoing, (1) the court must enter a
decision and order on Appellant’s motion for statutory damages
pursuant to HRS § 101-27 as to Condemnation 1 (2) Condemnation 2
was not abated by Condemnation 1, therefore, the court did not
84
+***FOR PUBLICATION IN WEST'S HAWATT REPORTS AND PACIFIC REPORTER***
err in proceeding with Condemnation 2; and (3) the court must
expressly consider the question of whether Appellee’s asserted
public purpose underlying Condemnation 2 was pretextual.
Consequently, Condemnation 1 is remanded for a decision on
Appellant’s motion for statutory damages, and the court’s
Septenber 27, 2007 Judgment in Condemnation 2 is vacated and the
case remanded for an express determination by the court of
whether the asserted public purpose was pretextual.
Robert H. Thomas tenet Oak ag a -
(kenneth Re Kupchak,
fark my Murakami, and
Cheisei-anne te Kudo Chock TT
With him on the Briefs)
{Damon Key Leong Kupchak
faste:t) for appellant Bor 6, Badly
Geo Coupe Fanily Linited
Partneronip.
Joseph K. Kamelanela,
(Michael J. Udovic,
Ivan M. Torigoe, and
Katherine A, Garson with
him on the briefs)
Deputies Corporation
Counsel, County of
Hawai'i, for appelles
County of Hawai'i.
William Meheula (Winer,
Meheula & Devens) for
appellee 1250 Oceanside
Partners aka Hokuli'a.
85
| 4b3b056fa09cfac015d58b02a65f73dc982e80ae0258fc7a0cbe2684f9f59499 | 2008-12-24T00:00:00Z |
e1db7fe6-6122-4335-9d10-63265b651bf5 | Choi v. State | null | 28308 | hawaii | Hawaii Supreme Court | no, 28308
IN THE SUPREME COURT OF THE STATE OF HANAI'I
SOON JA CHOT, a
Petitioner/Betitioner-Appellant
STATE OF HAWAI'I, E
Respondent /Respondent Appellee
wid 21 930 8002
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. 18D 06-1-0004)
ont PPLICATION 1
‘Acoba, J., for the court")
‘The Application for Writ of Certiorari filed on
Novenber 17, 2008 by Petitioner/Petitioner-Appellant Soon Ja Choi
is hereby rejected.
DATED: Honolulu, Hawai'i, December 12, 2008.
FOR THE COURT: SEQ
I QL
Associate Justice
Dwight C.H, Lum, on
the application’ for
pet itioner/petitioner-
appellant.
consi
2 by! Moon, C.J-+ Levinson, Nakayama, Acoba, and
Dotty, 3d,
aa
| fdc85cdb1440ed7b20e5c4c0b53f1d4ecae58c9a90ebd7de9ca0f8c6a80d6c84 | 2008-12-12T00:00:00Z |
6811fd5a-4c0c-42cf-bfad-3004d8b942dc | State v. Frustagli | null | null | hawaii | Hawaii Supreme Court | No. 26167 .
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
STATE OF HAWAI'I, Petitioner/Plaintiff-Appellea:|
oats
ANTHONY PETER FRUSTAGLI, aka PETER ROSELLI,
Respondent /Defendant~Appel lant
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CR. NO, 05-1-2199)
FOR WRIT OF CERTIORARI
(By: Duffy, J., for the court")
Petitioner /Plaintiff-Appellee State of Hawaii's
application for a writ of certiorari, filed on October 30, 2008,
is hereby rejected.
DATED: Honolulu, Hawai", December 3, 2008.
FOR THE COURT:
ame 666 be
Associate Justice
James M. Anderson,
Deputy Prosecuting Attorney,
for petitioner/plaintiff-
appellee on the application
considered by: Moon, C.J, Levinson, Nakayama, Acoba, and Duffy, 9.
| d728282c95f8cfcf11b3188b73f0800a3a0d8c89f96fd40f1a8c2eb92031c7d6 | 2008-12-03T00:00:00Z |
dee56968-dcbd-447a-8a5d-9758ad6543c5 | In re Wachter | null | 29478 | hawaii | Hawaii Supreme Court | no. 29478 5
| 8
IN THE SUPREME COURT OF THE STATE OF HAWAR IZ
eve
oe
IN RE ROBERT WILLIAM WACHTER, PetitioneZ ais
oan
=
=
2
ORIGINAL PROCEEDING =
‘ORDER GRANTING PETITION TO RESIGN AND SURRENDER LICENSE
(gy: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
upon consideration of Petitioner Robert William
Wachter’s Petition to Resign and Surrender License, the attached
affidavits, and the lack of objections by the Office of
Disciplinary Counsel, it appears that the petition complies with
the requirements of Rule 1.10 of the Rules of the Suprene Court
of the State of Hawai'i (RSCH). Therefore,
IT 1S HEREBY ORDERED that the petition is granted.
IT 1S FURTHER ORDERED that Petitioner Wachter shall
return his original license to practice law to the Clerk of this
court forthwith. The Clerk shall retain the original license as
part of this record. Petitioner Wachter shall comply with the
notice, affidavit, and record requirements of sections (a), (b),
(a), and (g) of RSCH 2.16.
IT IS FINALLY ORDERED that the Clerk shall remove the
name of Robert William Wachter, attorney number 6769, from the
roll of attorneys of the State of Hawai'i, effective with the
filing of this order.
DATED: Honolulu, Hawai'i, December 18, 2008.
Bar WeLiorrer~
Puan Craver ore
| e5ee963e7dd30c645e5fa70a5814e33d6c8fff45798063d147cd21bf7753f818 | 2008-12-18T00:00:00Z |
5f445530-49ca-42ed-8e1f-b12665471712 | Office of Disciplinary Counsel v. Peer | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
no. 28162
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
ee
OFFICE OF DISCIPLINARY COUNSEL, Petitionedeg &
Ss op 2
vs ee =
sie = m
uaweEiaH PEER, Respondent. = IS FG
2
(ODC 906-007-8347, 06-014-8354, 06-015-8355, 06-069-8409)
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of the Disciplinary Board’s Report
and Recommendation to disbar Respondent Janeelah Peer, Respondent
Peer's lack of objection thereto as exhibited by her failure to
request briefing as permitted by RSCH 2.7(d), and the record, it
appears Respondent Peer neglected and abandoned clients, and in
at least one case misappropriated client’s funds, in multiple
violations of Rules 1.1, 1.2(a), 1.3, 1.4(a), 1.4(b), 1.15(c),
2,25(d), 1,15(£) (4), 1.16(a) (2), 1.26(d), 3.2, 3.4), 3.4(E),
8.1(b), 8.4(a), 8.4(c), and B.4(d) of the Hawai'i Rules of
Professional Conduct. It further appears that Respondent Peer is
currently suspended, cannot be found within the State of Hawai'i,
and making discipline effective thirty (30) days after entry of
this order, see RSCH 2.16(c), would be pointless. See, Office of
Disciplinary Counsel v. DeMello, 61 Haw. 223, 225, 601 P.2d 1087,
1088 (1979). Therefore,
IT IS HEREBY ORDERED that Respondent Janeelah Peer is
disbarred from the practice of law in this jurisdiction,
effective upon entry of this order.
IT IS FURTHER ORDERED that, in addition to requirements
for reinstatement set forth in RSCH 2.1
1. Respondent Peer shall reimburse the Lawyers’ Fund
for Client Protection of the Hawai'i Supreme Court
for all monies paid as a result of her dishonest
conduct
2. Respondent Peer shall pay the costs of these
proceedings as approved upon timely submission of
@ bill of costs; and
3. Respondent Peer shall comply with the requirements
of RSCH 2.16,
DATED: Honolulu, Hawai'i, November 26, 2008.
Office of Disciplinary
Counsel, petitioner Bor
Janeelah Peer,
respondent LP hhevcran
| e4e770907cac5fff1479a831b645c3dfea429c4845ffcce753ab0f7db78466da | 2008-11-26T00:00:00Z |
c4faef69-1a53-443d-a39b-48c080a90253 | Hughes v. State | null | 28298 | hawaii | Hawaii Supreme Court | No. 28298
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
MICHAEL RAY HUGHES, Petitioner/Petitioner-Appellant,
STATE OF HAWAI'I, Respondent/Respondent-Appellee.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(S.P.P. NO. 6-1-0008 (1))
(By: Duffy, J., for the court”)
Petitioner/Petitioner-Appellant Michael Ray Hughes’ s
application for a writ of certiorari, filed on November 17, 2008,
is hereby rejected.
DaTEI
Honolulu, Hawai‘, December 22, 2008.
FOR THE COURT:
Pom 6 Dedede
Associate Justice
Dwight C. H. Lum
for petitioner/petitioner-
appellant on the application
3
8
aad
‘considered by: Moon, C.J., Lev:
Nakayama, Acoba, and Duffy, 3
| 86435a2eae049a3739bae615eaa0e5456cee2841ef645ac236eb199bee27cebe | 2008-12-22T00:00:00Z |
66c0d404-2deb-431c-9dfd-71058eb40526 | Chincio v. Circuit Court of the First Circuit | null | 29459 | hawaii | Hawaii Supreme Court | LAW LIBRARY
no. 29459
IW THE SUPREME COURT OF THE STATE OF HAWAI'I,
ZACHARY CHINCIO, Petitioner, s
Vv
CIRCUIT COURT OF THE FIRST CIRCUIT, Respondagl
'StOvRY 21 poy
Oats
ORIGINAL PROCEEDING
‘ORDER
Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of Zachary Chincio's papers dated
October 19, 2008, which are deemed a petition for a writ of
mandamus, it appears that petitioner can seek relief from his
conviction in Cr. No, 00-1-2483 by filing a petition for post-
conviction relief in the circuit court pursuant to Hawai'i Rules
of Penal Procedure Rule 40. Therefore, petitioner is not
entitled to mandamus relief. See Kena v. Gaddis, 91 Hawai'i 200,
204, 982 P.2d 334, 338 (1999) (A writ of mandamus is an
extraordinary remedy that will not issue unless the petitioner
demonstrates a clear and indisputable right to relief and a lack
of alternative means to redress adequately the alleged wrong or
obtain the requested action.). Accordingly,
IT IS HEREBY ORDERED that the clerk of the appellate
court shall file the petition for a writ of mandamus without
payment of the filing fee.
IT IS FURTHER ORDERED that the petition for a writ of
mandamus is denied.
DATED: Honolulu, Hawai'i, November 12, 2008.
Fi -
Heelan
eaete, OO loa la
| e2f75c35433215133403602feb227d7839a4616439e8e5013343d9f0d991fad1 | 2008-11-12T00:00:00Z |
58598641-7195-4532-b8a8-a76793eeb40b | Mimura v. Moeava | null | null | hawaii | Hawaii Supreme Court |
No. 28303
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
CHARLENE MIMURA, Individually, and as Personal
Representative of the ESTATE OF WARREN T, MIMURA, Deceased,
Petitioners/Plaintiffs-Appeilants,
n
JEREMIAH MOEAVA and HAWAII STEVEDORES, INC.
Respondents/Defendants-Appellees, 2
and
ote
DOE DEFENDANTS 1-100, Defendants.
USF ke 42 AGW aun
CERTIORARI TO THE INTERMEDIATE COURT OF APP!
(CIV, NO, 05-1-1455)
n
(By: Duffy, J., for the court)
Petitioners/Plaintiffs-Appellants Charlene Minura,
Individually, and as Personal Representative of the Estate of
Warren T. Mimura, Deceased’s application for a writ of
filed on October 15, 2008, is hereby rejected.
DATED: Honolulu, Hawai'i, November 24, 2008.
FOR THE COURT: (Orr
‘al
Kane Gir a, SEAL |
Associate Justice Recruit 5
Richard Turbin
Rai Saint Chu, and
Davia W. Barlow
(of Turbin Chu Smith)
and Richard A. Lesser
for petitioners/plaintiffs-
appellants on the application
Acoba, and Duffy, 30.
* Considered by: Moon, ¢.J., Levinson, Wake
| 64f3191170552b606ccb43c7f85d362bea41a407a8a717759dcbaa53a40f7d2f | 2008-11-24T00:00:00Z |
3371c35b-4a62-44ce-868e-52f815e5918c | Hanabusa v. Lingle | null | null | hawaii | Hawaii Supreme Court | No. 293:
IN THE SUPREME COURT OF THE
STATE OF HAWAT'T
COLLEEN HANABUSA, Individually and in her capaci
Senate President and NORMAN ‘SAKAMOTO, individually.
‘and in his capacity as Chair of the Senate |
Committee on Education, Petitioners,
oats
LINDA LINGLE, Governor, State of Hawai'i, Respon:
O2:2)Rd n- 9308002
ORIGINAL PROCEEDING
(By: Moon, €.J., Levinson, Nakayama, Accba, and Duffy, 33.)
Upon consideration of the petition for a writ of
nandamis filed by petitioners colleen Hanabusa, individually and
in her capacity as Senate President, and Norman Sakanoto,
individvally and in his capacity as Chair of the Senate committee
on Education, respondent Governor Linda Lingle’s answer, and oral
argument, we conclude that the terns of six members! of the
University of Hawaii Board of Regents expized on June 30, 2008
and the hold overs by those six regents contravene Act 56,
Sections 1 and 5, Session Laws of 2007. Therefore,
11 I9 HEREBY ORDERED that the petition for writ of
andamis 1s granted. Respondent Governor Lingle Linda 1s
directed to replace the six menbers of the University of Hawaii
Board of Regents whose terms expired on June 30, 2008 by
nominating -- within thirty days from the date of this order --
six regent candidates from the list of qualified candidates duly
' Byron Bender, Michael Dahilig, Ramon de 1a Pena, Marlene Hapai,
Catherine Lagareta, and Jane Tatibouet.
presented to ndent on F
2008 by the Candidate
Advisory Council. An opinion will follow.
lulu, Hawaii, December 4, 2008.
| 985c9bb0736c30abfe4076f6b8762893ffb47a3961e6f9abc81da591f5be15ed | 2008-12-04T00:00:00Z |
bed88250-4c2f-41b0-b5dd-c80ad259cf0f | Boles v. Engle | null | null | hawaii | Hawaii Supreme Court | {AW LIBRARY
NO. 29095
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
GLADYS BOLES, HERK BOLTON, HARRIET S. BOLTON, KEVIN CAMPEELL,
. PAUL CHISENA, BERTHA B. CHISENA, LENA B. COOK, JEWEL COX,
RUTH COX, STEVEN W. KARKS, W.D. DARKS, RUBY DARKS, PATRICIA
FULLER, JOSEPH A. FULLER, DOUG GENTILE, BARBARA KENEDY, GLENNELLA
KEY, THOMAS A. KRUKOW, JUDITH M. KRUKOW, HERMAN L. ROGERS, MARY
M, ROGERS, JAMES WADDEY, TMMOGENE WADDEY, DON G. WARD, BETTE M.
WARD, for themselves and all others similarly situated,
Respondents /Plaintiffs-Appel lees:
3
2
oad
and
NATIONAL DEVELOPMENT COMPANY, INC. and SUNSTATES CORbRATION
Respondents/Defendants-Appellees.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(8.P. NO. 06-1-0078(3))
(By: Moon, C.J., for the court’)
Petitioner/defendant-appellant Clyde Engle’s
application for writ of certiorari filed on October 8, 2008, is
hereby rejected,
DATED: Honolulu, Hawai'i, October 29, 2008,
FOR THE COURT:
fom
fef Justice
* considered by: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, J.
| aaca74eca7c874b1eb008eda6985159db00900986e5e1b6f6fbda3e8949073c5 | 2008-10-29T00:00:00Z |
c345b2e5-16c8-4f80-9ddb-776ab0c8b123 | Hawaii Insurers Council v. Lingle. ICA Opinion, filed 04/14/2008 [pdf], 117 Haw. 454. Concurring Opinion by J. Watanabe [pdf]. ICA Order of Amendment, filed 04/15/2008 [pdf]. Application for Writ of Certiorari, filed 07/30/2008. S.Ct. Order Accepting Application for Writ of Certiorari, filed 09/08/2008 [pdf]. S.Ct. Order Denying Motion for Partial Reconsideration or, in the Alternative, for Clarification, filed 02/06/2009 [pdf]. | 120 Haw. 51 | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
‘s4* FOR PUBLICATION IN MEST’S EAKAT'T REPORTS AND PACIFIC REPORTER +1
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
n= 000 ===
HAWAII INSURERS COUNCIL, Plaintiff-Appellee,
STATE OF HAWAI'I; GEORGINA K.
LINDA LINGLE, GOVERNOR,
KAWAMURA, DIRECTOR OF FINANCE, DEPARTMENT OF BUDGET AND
REIFURTH, DIRECTOR, DEPARTMENT
SCHMIDT,
FINANCE; LAWRENCE 6.
DEPARTMENT
OF COMMERCE AND CONSUMER AFFAIRS? J.P.
INSURANCE COMMISSIONER, INSURANCE DIVISION,
OF COMMERCE AND CONSUMER AFFAIRS, Defendants-Appellants.
no. 27840
CERTIORARI TO THE INTERMEDIATE couRT oF APPEALS] &
(ctv. Wo, 02-1-2298) s
8 x,
DECEMBER 18, 2008 as -
ECEMBER 18, 20) u =
MOON, C.J., LEVINSON, NAKAYAMA, AcoBA, ano curRygIgs. FG
»
OPINION oF THE SON, =
é
We accepted the application for a writ of certiorari
8 Linda Lingle,
filed by the defendants-appellants-petition
Governor, State of Hawai'i, Georgina K, Kawamura, Director of
Finance, Department of Budget and Finance (DBF), Lawrence M.
Reifurth, Director, Department of Conerce and Consumer Affairs
(DCCA), and J.P. Schmidt, Insurance Commissioner, Insurance
Division, DCCA (collectively, the State) in order to review the
published opinion of the Intermediate Court of Appeals (ICA) in
urers Council v. Lingle, 117 Hawai'l 454, 164 P.3d 769
The ICA affirmed the final judgment of the first circuit
in favor of the
(2008).
Abn presiding,
court, the Honorable Karen 3.5.
‘44 FOR PUBLICATION IN WEST'S HAMAI'T REPORTS AND PACIFIC REPORTER +++
plaintiff-appellee-respondent Hawaii Insurers Council (MIC) and
against the State. Id, at 463, 184 P.3d at 778. In its
application, the State asks whether the ICA erred in concluding
that the regulatory assessments imposed by the insurance
commissioner pursuant to Hawai'i Revised Statutes (HRS)
§ 431:2-218 (Supp. 1999) were unconstitutional taxes and whether
the circuit court had subject-matter jurisdiction over this
matter.
For the reasons that follow, we hold that the insurance
conmissioner’s assessments were not unconstitutional when they
Were initially imposed, gee infra sections III.A and B, but that
the legisiature’s transfer of $3,500,000.00 of those funds into
the general fund was unconstitutional under the separation of
powers doctrine, see infra section T1T.A. We further hold that
the circuit court had subject-matter jurisdiction over this case.
See infra section III.c. We therefore affirm the ICA's May 5,
2008 judgment in part, reverse it in part, and remand this matter
to the circuit court for further proceedings consistent with this
opinion.
1. BACKGROUND
A. Eactual Backsround
‘The DCCA is an executive agency of the State of
Hawai'i. HRS § 26-4(5) (Supp. 1999). Its departments include an
insurance division, HRS § 431:2-101 (1993), which is supervised
and controlled by the insurance commissioner, HRS § 431:2-102
(1993 & Supp. 2000). In 1999, the DCCA became financially self-
sufficient. Its operations were no longer funded by the
2
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legislature’s general fund, but instead by the persons and
entities who were regulated by the DCCA or who received services
from the DCCA. To that end, the legislature established the
Insurance Regulation Fund (IRF). HRS § 431:2-215(a).) “all
assessments, fees, fines, penalties, and reimbursements collected
by or on behalf of the insurance division under (HRS) title 24,”
subject to certain exceptions, were to “be deposited into the
RF]." Ida
The insurance commissioner was directed to make
assessments against insurers, with criteria for assessments to be
established by rules he or she promulgated. HRS
§ 431:2-215(d) (1).? The assessments had to bear a reasonable
relationship to the costs of regulating the line or type of
insurance, including any administrative costs of the insurance
division. HRS § 431:2-215(d) (3). The monies in the IRF were to
be used by the insurance commissioner to carry out his or her
duties and obligations under the insurance code. HRS
§ 431:2-215(a). For example, the insurance division prosecuted
fraud committed against insurers. Of paramount importance for
present purposes, the funds in the IRF were not allowed to revert
to the general fund. HRS § 431:2-215(c).
8 tm 2000 and 2006, HRS § 431:2-215 was amended in respects immaterial to
the present matter, 2000 Haw. Sess. L. Act 162, $§ 5, 17 at 361-62, 3667 2000
Haw. Seas. tL. Act 253, $§ 150, 152 at 9167 2006 Haw. Sess. L. Act 1, $1. 50
fat i27, 447. Certain anenanents to the statute in 2002 snd 2006 are discussed
Below Where relevant, 2002 Haw. Sess. L. Act 39, $6 5, 22, at 115-16, 1197
2008 Haws Sp. Sess. L. Act 1, $51, 6, at 786, 788.
+ tn 2008, the requirement thet the insurance commissioner promulgate
rules to calculate assessments as repealed. 2005 Haw. sp. Sess. L. Act Ly
S52, & at 786, 783.
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The insurance commissioner collected assessments from
insurers proportionate to each insurer’s “Line or type of
insurance.” Hawai'i Administrative Rules § 16-175.3 (2002).
This figure was based on the insurer's market share percentage
and pro rata share of the other insurance division costs. Id.
The insurance conmissioner calculated the total assessments for a
given fiscal year by starting with the insurance division's
operat
g cash requirements for the fiscal year. The
commissioner would then project revenues, other than IRF
assessments, for the year and deduct the revenues from the cash
requirements. The resulting difference was the amount that the
insurance commissioner would assess insurers for the IRF. In
other words, the IRF assessments were calculated as follows:
projected budget - projected non-IRF assessment revenues = IRF
assessments, The insurance division's projected budget included
the division’s overhead expenses. In fiscal year 2000-2001, the
insurance commissioner began to calculate the division's cash
requirements to include an expense that represented a percentage
of the DccA’s overhead, including charges for the director's
office, the adninistrative services office, the hearings office
and/or information services. HRS § 431:2-215(b), The DCCA
provided the insurance division with, inter alia, personnel
management services, review and processing of the insurance
division's expenditures, the preparation of its annual operating
budget, a forum for contested case hearings, computer system
support, and various administrative services. The insurance
division provided the DCCA with $4,335, 792.00 between July 2,
‘++ FOR PUBLICATION IN WEST'S HAWAI'I REPORTS XD PACIFIC REPORTER
2001 and December 17, 2004, In fiscal year 2003-2004, the
commissioner began to allocate five percent of the revenues
collected by the division to overhead expenses of the DBF. HRS
$8 431:2-215(b) and 36-27 (Supp. 2003). In return, the DBF
provided the insurance division with, inter alia, oversight of
budget preparation and execution, determination of budgetary
requirements and expenditures, management of employee benefit
Programs, management of public debt, and treasury programs. The
insurance division provided the DSF with $376,360.00 between
October 1, 2003 and December 31, 2004.
In addition to overhead expenses, the insurance
division's annual budget included amounts intended to create a
reserve of surplus funds in order to ensure the availability of
monies to fund the insurance division. The reserve was also
intended to provide the flexibility necessary to handle unplanned
insurance rehabilitations and insolvencies that typically
required the insurance division immediately to expend funds for
the protection of policyholders. For a period of time, the
reserve was set at double the budgeted cost of regulating the
insurance industry or two times the total expenditures. For
fiscal year 2002-2003, the reserve margin was decreased to one
and one-half years of expenditures. tn 2003, after the present
action was filed, the target for the reserve margin was decreased
to fifty or seventy-five percent of the insurance division
budget. Throughout this fluctuation in the reserve margin, the
margin was not subjected to the rulemaking process.
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Prior to the present lawsuit, insurers, including HIC’s
nenbers, were never informed of the insurance division's reserve
objective and had no knowledge that their assessments were
increased to effectuate this reserve objective. Since the IRF
was established in 1999, HIC's members have paid the various fees
and assessments imposed by the insurance commissioner. HIC’s
members’ assessments have constituted roughly twenty to twenty-
five percent of the total assessments levied by the insurance
commissioner. In addition to receiving funds from assessments,
the IRF was funded by monies transferred from defunct funds that
were repealed when the IRF was established.
In 2002, the legislature merged the IRF into the
compliance resolution fund (CRF). 2002 Haw. Sess. L. Act 39,
56 1, 5, 22 at 111-12, 115-16, 119 (codified at HRS 95 26-9
(Supp. 2002) and 431:2-215 (Supp. 2002)). As a result, monies
thet would previously have been deposited into the IRF were
instead deposited into an insurance sub-account of the CRF, See
HRS § 431
in 2002 Senate Journal, at 1285. Also in 2002, the legislature
-215 (d) (2); s9¢ also Sen. Stand. Comm. Rep. No. 2547,
determined that the IRF contained at least $4,000,000.00 in
excess of the requirements of the fund. 2002 Haw. Sess. L.
Act 178, § 40 at 793. In an effort to balance the state’s
budget, the legislature directed the transfer of these excess
monies to the general fund through #.8. 2627. Conf. Comm. Rep.
No. 160, in 2002 House Journal, at 1830, and in 2002 Senate
Journal, at 10247 2002 Haw. Sess. L. Act 178, § 40 at 793. The
governor line-item vetoed portions of H.B. 2827, the result of
+ FOR PUELICAFION IN WEST'S HAWAI'T REPORTS AND PACIFIC REPORTER
which was that $2,000,000.00, rather than $4,000,000.00, was
authorized to be transferred from the IRF to the general fund.
Gov. Msg. No. 258, Statement of Objections to H.B. No. 2627, in
2002 House Journal, at 1115; 2002 Haw. Sess. L. Act 178, § 40
at 793, 796 1.2. This was the first time that the legislature
had transferred any funda out of the insurance special fund and
into the general fund. ‘The division did not foresee the
transfer. On or about December 1, 2002, the insurance
commissioner transferred $2, 000,000.00 from the IRF or the CRF to
the general fund. In 2003, the legislature determined that the
CRE contained $15,000,000.00 in excess of its requirements and
authorized an additional transfer of monies from the CRF to the
general fund. 2003 Haw. Sess. Laws Act 178, $$ 28, 66 at 407,
412, The director of finance transferred $1,$00,000.00 from the
insurance sub-account of the CRF to the general fund in 2003. In
all, $3,500,000.00 of the insurance special fund has been
transferred to the general fund.
B. Circuit Court Proceedings
HIC filed a complaint in the circuit court on September
27, 2002, seeking to enjoin the then-impending transfer of
$2,000,000.00 to the general fund on the ground that the transfer
converted the assessments into an illegal and unconstitutional
tax. HIC additionally sought declaratory relief as well as an
accounting, HIC filed a first amended complaint on January 12,
2005, asserting the following claims: unconstitutional tax,
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statutory scheme,? illegal transfer, due process, separation of
powers, equal protection, violation of HRS § 431:7-204 (1993),
violation of trust doctrine, and accounting.
With respect to its unconstitutional tax claim, HIC
alleged, inter alia, that the assessments imposed by HRS
§ 431:2-215 were unconstitutional taxes in their entirety in
Light of this court’s decision in State v. Medeiros, 89 Hawai'i
361, 973 P.2d 736 (1999), because HIC's members were not direct
beneficiaries of a particular service, the assessments were not
allocated directly to defraying a cost of providing the service,
and the assessments were not reasonably proportionate to the
benefit received. HIC additionally alleged that the transfer of
funds from the IRF and the insurance regulation sub-account of
the CRF to the general fund was an unconstitutional tax. with
respect to its due process claim, HIC averred that the
assessments of the insurance commissioner from 1999 to the
present imposed = tax on HIC’s menbers, which was violative of
the due process clauses of the Hawai"i and United states
Constitutions. In its separation of powers claim, HIC maintained
that the assessments constituted a tax violative of the
separation of powers doctrine because the legislature lacked the
authority to delegate its taxing power and because, by empowering
the insurance commissioner to levy the assessments, the
legislature had effectively delegated its taxing power to the
>In Wicta statutory schene claim, it alleges that HRS §§ 431:2-215(c) and
431:2-Z16[6) (Supp. 2003) ‘expressly prokibit the transfer of monies to the
General fund that were initially deposited by the insurance commissioner into
the GRE.
‘++ FOR PUBLICATION IN MEST’S HAWAI'T REPORTS AND PACIFIC REPORTER +
commissioner. With respect to its equal protection claim, HIC
asserted that the assessments amounted to an improper tax
violative of the equal protection clauses of the Hawai'i and
United States Constitutions, because the varying amounts of the
assessments set by the insurance commissioner bore no rational
relationship to any legitimate state purpose, With respect to
ite claim under HRS § 431:7-204, HIC observed that the statute
provided that:
As to insurers, the taxes and fees imposed by
(wns) 43117-201 to. [iS] 3117-204, and the fees
imposed by [the insurance] code, when paid shall be in
settionent of and in lieu of ali demands for taxes,
Ifcenses, of fees of every character inposed by the
laws of this State, the ordinances or other laws,
rules, of Fegulations of any county of this State
HIC alleged that the assessments constituted a tax in violation
of the foregoing provision. With respect to its accounting
claim, HIC averred that the assessments by the insurance
commissioner had not been properly accounted for, which was
necessary to determine whether the assessments qualified as fees
under Medeiros and whether they comported with HRS § 431:2-215.
The State answered the first amended complaint by
asserting (1) that HIC’s members had failed to exhaust their
administrative remedies, (2) that, if the transferred assessments
were deemed to be taxes, then the court did not have jurisdiction
under HRS § 632-1 (1893) because the present matter would be
tantamount to a controversy respecting taxes, (3) that the state
was not subject to suit under the doctrine of sovereign immunity,
and (4) that HIC lacked standing to sue because none of its
members had an interest in any monies in the IRF or the CRF,
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except to the extent that HIC’s members could have sought a
refund pursuant to HRS § 431:7-203 (Supp. 2002)
The State filed a first amended motion for summary
judgment on January 31, 2008, and HIC filed a cross motion for
summary judgment on the following day. The circuit court ruled
that HIC was entitled to summary judgment on its claims of
unconstitutional tax, due process, separation of powers, equal
protection, violation of HRS § 431:7-204, and accounting. The
circuit court granted HIC’s request for an accounting and for
injunctive relief. The circuit court further rejected the
State’s defenses that this case involved a “tax matter” under HRS
§ 632-1 and that HIC members had failed to exhaust their
administrative remedies. still, the circuit court ruled that the
State was entitled to summary judgment as to HIC’s claims of
statutory scheme, illegal transfer, and violation of trust
doctrine. The State filed a motion for reconsideration. The
circuit court denied the motion, but granted a stay pending
appeal of the injunction, judgment, and accounting with certain
conditions. Final judgment was entered on February 27, 2006, and
the State filed a timely notice of appeal on March 28, 2006.
C. Appellate Proceedings
In its direct appeal to the ICA, the State argued that
the circuit court erred in concluding that the assessments were
unconstitutional taxes under Medeiros, because that decision was
inapposite to the present matter insofar as it involved a user
fee, as opposed to a regulatory fee. The State maintained that,
because the assessments were regulatory fees, Medeiros did not
10
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apply and that the ICA should instead apply the test set forth in
Juan Cellu, hone Co, ic Servi sion
Euerto Rico, 967 F.2d 683 (1st Cir. 1992), HIC countered that
the assessments were in fact taxes under Medeiros, which was not
inapposite, and that, because the assessments were taxes, they
offended the separation of powers doctrine, the due process
clauses, and the “in lieu" provision of HRS § 421:7-204. HIc
further asserted that the assessments violated the equal
protection clauses of the Hawai'i and United states
Constitutions.
The ICA held that the assessments were taxes under
Medeiros because the regulation of the insurance industry
directly benefitted the public-at-large and not the insurers who
ments. Hawaii Insurers Council, 117 Hawaii
at 459-60, 184 P.3d at 774-75. The ICA reasoned that the
paid the ass
assessments were taxes because they were not allocated directly
to defraying the costs of providing services to the insurers and
were not reasonably proportionate to the benefits received by the
insurers. Id. at 460, 184 P.3d at 775. The ICA observed that
Medeiros precluded it from applying the test set forth in San
Juan Cellular, as the State had urged, because Medeivos made no
distinction between regulatory and user fees. Id, at 461, 164
P.3d at 776. The ICA further held that, because the assessments
levied by the insurance commissioner were invalid taxes, the
legislature had, in effect, unconstitutionally delegated its
taxing power. Id, The ICA also concluded that, because the
assessments were taxes, they violated the “in lieu” provision of
a
‘+4 FOR PUBLICATION IN MEST’S HAWAI'T REPORTS AND PACIFIC REPORTER +*+
HRS § 431:7-204. Id, at 462, 184 F.3d at 777. The ICA declined
to address HIC's due process contention, but it did take up HIC’s
equal protection argument, holding that the regulatory fees
authorized by HRS § 431
-215 were rationally related to the
statutory objective of defraying the insurance division’ s
administrative costs and costs incurred by supporting offices and
divisions and that the circuit court erred in concluding that the
assessments violated the equal protection clauses of the Hawai'i
and United States Constitutions. Id.
The State further argued that the circuit court lacked
subject-matter jurisdiction over the present matter because HIC’s
members had failed to exhaust their administrative remedies under
HRS § 431:
-203 (a) of, in the alternative, because HIC had
sought declaratory relief with respect to taxes pursuant to HRS
§ 632-1. The ICA disagreed, concluding that HRS $ 431:7-203(a)
did not establish any available administrative mechanism for
challenging the constitutionality of assessments levied upon
insurers and that HRS § 632-1 did not apply because HIC was not
attempting to keep the State from assessing or collecting taxes
Id. at 462, 164 P.3d at 777. Finally, the State asserted that
sovereign immunity barred HIC's claim for a reimbursement of
assessments, The ICA rejected this contention, reasoning that
the issue of refunds was not presented on appeal because it was
not addressed in the circuit court’s order granting summary
judgment. Id. at 463, 184 2.34 at 778. Accordingly, the ICA
affirmed the circuit court’s final judgment. Id.
12
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Associate Judge Corinne K.A. Watanabe filed a separate
concurring opinion, expressing her concern regarding the impact
that the circuit court’s decision might have on specially funded
prograns and the integrity of the state’s fiscal infrastructure
if the test in Medeiros were not adjusted. Id, at 464, 184 P.3d
at 779 (Watanabe, J., concurring). She emphasized that other
courts examining the issue of regulatory fees have adopted a
broader test in determining whether such fees constituted taxes.
Ide
‘The ICA entered its judgment on appeal on May 5, 2008,
and the State filed a timely application for a writ of certiorari
on July 30, 2008. We accepted the application on September 8,
2008 and heard oral argument on November 6, 2008.
TI. STANDARDS OF REVIEW
AL Certiorari
‘The acceptance or rejection of an application for a
writ of certiorari is discretionary. HRS § 602-59(a) (Supp
2007). In deciding whether to accept the application, this court
considers whether the ICA's decision reflects “(1) (g)rave errors
of law or of fact[} or (2) (olbvious inconsistencies . . . with
(decisions) of this} court, federal decisions, or (the ICA's)
own decision[s]” and whether “the magnitude of those errors or
inconsistencies dictat[es] the need for further appeal.” Id.
§ 602-59(b).
2B
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8. Summary Judoment
This court reviews the circuit court’s grant of summary
judgment de novo. Brice v. AIG Haw. Ins. Cou, 107 Hawai's 106,
120, 111 P.3d 1, 5 (2005), Summary judgment is appropriate “if
the pleadings, depositions, answers to interrogatories, and
admissions on file, together with the affidavits, if any, show
that there is no genuine issue as to any material fact and that
the moving party is entitled to a judgment as a matter of law.”
Hawai'i Rules of Civil Procedure Rule 56(c).
TIT, DISCUSSION
Unconstitutional wi Were Initial ut
The _Legislature’s Transfer of $3,500,000,00 of Those
Funds Into The General fund Was Unconstitutional Under
‘Tne_Separation Of Powers Doctrine,
HIC argues that the insurance commissioner’ s
assessments offend the separation of powers doctrine because they
resulted from an impermissible delegation of the power to tax
from the legislature to the insurance division. The Hawai'i
Constitution does not grant the executive branch the power to
tax. Specifically, the Hawai'i Constitution directs that
(e)he taxing power shall be reserved to the state,
Excepe so much therest az may De delegates by the
Jagislature to the political subdivisions, and except
that all functions, powers and duties relating to the
taxation of real property shall be exercised
exclusively by the counties, with the exception of the
Sounty of Kelawac. The legislature shall have ‘the
Power to apportion state revenues among the several
polities) subdivisions,
‘The ICA explained that "[t]he term ‘political subdivision’ as st appears
in [article ViIt, section 3 of the Hawai't Constitution) refers to counties
Hiwaii Insurers Council, 117 Hawas's at 459, 184 P30 at 574 ieiting Stand
a4
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Haw. Const. art. VITT, § 3. This court elucidated the contours
of the foregoing principle in McCandless v. Campbell, 20 Haw.
411, 420 (1911), as follows:
The power of taxation is essentially »
legislative poner. It cannot be delegated except to
municipalities which themselves exercise subordinate
Tegisistive powers. The pewer to tax must not be
confused with the adninistrative duties which are
Secessarily involved in the asvecsment. and collection
Sf taxes. In the nature of things, che Legislature
{esele cannot attend te all the details involved in
the enforcenent of she. 2a
be
‘Those mast of necessity
‘entrusted to adninisteative officers. But the tax
sabe imposed only by she legislative power- No
Srbitrary Siscretion to fix the rate ofa tax, or to
Sctetning the method by wnich it is ta be levies, oF
to adjust sts apportionment among the tax-payers,
here the principles upon which the apporticanent 1s
to ba made are not fixes, can be lefe to the executive
Branch of the government
Nonetheless, “[n]ot every exaction by state authorities is a
tax.” Hexom v. Oregon Dep't of Transp., 177 F.3d 1134, 1135 (9th
Cir, 1999), The legislature may delegate the state’s police
power to state authorities to allow them to assess fees.
Medeiros, 89 Hawai'i at 366, 973 P.2d at 741. Generally, a fee
is exchanged for a service rendered or a benefit conferred, and
the amount of the fee normally bears a relationship to the value
vice or benefit. Bolt v. City of Lansing, 587 N.W.2d
264, 269 (Mich. 1998).
1. Medeiros is distinguishable.
In the present matter, the State argues that the
of the
assessments via HRS § 431:2-215 are properly characterized as
fees that the insurance commissioner has the authority to
“(...continued)
Cons, Rep, No, $3, Committee on Local Government, 1
Constitst ional Convention of Hawai'i of 1968, at 229 (137311
as
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collect, while HIC maintains that the assessments are
unconstitutional taxes violative of the separation of powers
doctrine pursuant to this court’s holding in Medeiros, 89 Hawai
361, 973 P.2d 736.
On the one hand, this court has defined the term “tax”
as follow:
Taxes are the enforces proportional
contributions from persons aod property, levied by the
State by virtue of its sovereignty for the support of
Government, and for all public m
charge: By legislative authority on persons or
property to raise money for public purposes, oF
Briefly, an imposition for the supply of the public
treasury,
‘The word taxes is very comprehensive, and
properly includes, as indicated in the foregosng
Sefinition, 211 Burdens, charges ang inpositions by
Virtue of the taxing power with the object of raising
money for public purposes
McCandless, 20 Haw. at 420 (citations and quotation marks
omitted). This definition is consistent with the plain meaning
of the term “tax”: “A monetary charge imposed by the government
on persons, entities, transactions, or property to yield public
revenue.” Black's Law Dictionary 1496 (th ed. 2004); see also
Sanduan Cellular, 967 F.2d at 685 (“The classic ‘tax’ is imposed
by a legislature upon many, or all, citizens. rt raises money,
contributed to a general fund, and spent for the benefit of the
entire community.) .
On the other hand, in Medeiros, this court identified
two common types of fees:
“fees imposed by a governmental entity tend to fall
into one of two principal categories: user fees,
based on the richts of the entity a2 a propristor of
the instrumentalities eed, or regulatory fe
Uneluding licensing and inspectian fees), founded on
the police power to regulate particular businesses oF
activities.”
16
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99 Hawai'i at 366, 973 P.2d at 741 (quoting Emerson Coll, v. City
of Boston, 462 N.B.2d 1098, 1105 (1984). Thus, as noted, a user
fee is “‘based on the rights of the entity as a proprietor of the
Anstrumentalities used.” Id. at 366, $73 P.2d at 741 (quoting
Bmerson Coll, 462 N.E.2d at 1105); see also Black's Law
Dictionary 1579 (defining a “user fee” as “[a) charge assessed
for the use of a particular item or facility”). Examples of user
fees include bridge tolls, Gargano v. Lee County Bd. of County
Comm'rs, 921 So. 24 661, 669 (Fla. Dist. Ct. App. 2006), charges
for sewer hookups, Contractors & Build ‘
County v. City of Dunedin, 329 So. 2d 314, 317-18 (Fla. 1976),
and charges for managing wastewater, Missouri Growth Ass'n v
Metro, St. Louis Sewer Dist., 941 $.W.2d 615, 622-25 (Mo. Ct.
App. 1997). By contrast,
[elke classic “regulatory fee" is imposed by an agency
pon those subject to its vegulation. Ie may serve
Fegulatory purposes directly by, for exsmple,
Geliverately discouraging particular conduct’ by naking
St nore expensive. Or, it say serve such purposes
indirectly by, for example, raising money placed in a
Special fund to help defray the agency" =
Fegulation-related expenses.
San Juan Cellular, 967 F.2d at 685 (citations omitted).
Regulatory fees are authorized by the state’s police power to
regulate particular businesses or activities. Medeiros, 89
Hawai" at 366, 973 P.2d at 741 (quoting Emerson Coll., 462
N.E.2d at 1105). The police power of the state “is broad and
extends to the public safety, health, and welfare.” State ve
Ewing, @1 Hawai‘ 156, 164, 914 P.2d 549, 557 (App. 1996).
Examples of regulatory fees include a state guaranty fund
assessment levied on certain insurance companies in order to
uv
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provide 2 fund for the protection of policyholders of insolvent
insurers and to support their orderly rehabilitation or
Liguidation, Principal Life Ins, co. v, United States, 70 Fed
1. 144, 170 (2006), @ $3.00 transaction fee for each pawn shop
transaction report filed with the police department, Jachimek vs
State, 74 P.34 944, 949 (Ariz. Ct. App. 2003), and fees assessed
by a city against telecommunication service providers, including
permit, registration, application, license, and franchise fees,
c. Bell Tel. co. v. , 188 F. Supp. 2d 1169,
1277 (¢.D. Cal. 2002).
In the case at hand, the ICA relied on this court’s
holding in Medeizos in determining that the insurance division's
assessments were unconstitutional taxes and not fees. Hawaii
Insurers Council, 117 Hawai'i at 459-60, 184 P.3d at 774-75. In
Medeiros, a defendant who pled guilty to a charge of unauthorized
entry into @ motor vehicle filed @ motion to enjoin enforcement
of chapter 6, article 52 of the Revised Ordinances of the City
and County of Honolulu (ROCCH) (Supp. 1998), which provided for
the collection of a fee from persons convicted of misdemeanors
and felonies “‘for services performed by the city in connection
with the arrest, processing, investigation, and prosecution of
the convicted person.’” 89 Hawai'i at 362 n.1, 973 P.2d at 737
1.1 (quoting ROCCH § 6-52.2). The circuit court granted the
motion on the ground that the ordinance was an unconstitutional
tax that the city had no authority te assess. Id, at 363-64, 973
P.2d at 738-39. On appeal, the city argued that the assessment
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was a fee authorized by HRS § 46-1.5(8) (1993).° In affirming
the decision of the circuit court, this court noted that,
although ROCCH § 6-$2.2 characterized its charge as a “fee,” “the
nature of the tax or ‘charge’ that a law imposes is not
determined by the label given to it but by its operating
incidence.” Id, at 366, 973 P.2d at 741 (quoting Stewarts"
Pharmacies v, Fase, 43 Haw. 131, 144 (1959)) (brackets omitted).
‘This court adopted @ three-pronged test for determining whether
such charges were fees as opposed to taxes, The test analyzed
whether the charge (1) applied to the direct beneficiary of 2
particular service, (2) was allocated directly to defraying the
costs of providing the service, and (3) was reasonably
proportionate to the benefit received. Id. at 367, 973 P.2d
at 742. In the course of formulating the Medeiros test, we
quoted the following passage from Enexson College:
“[Elees share common traits that distinguish then from
taxes!” they are charged in exchange for a particular
Governmental service which benefits the party paying
fhe fee ins manner ‘not shared by cther menbers of
society," Matongl Cable Television Acero v United
States, 5-0-8. 336, 3. 9G) thay are
pala by choice, in that the party paying the fee has
Ehe option of tot vtslizing the governmental service
and thereby avoiding the charge, and the charges are
Goluscted not to raise revenser but to compensate the
Governmental entity providing the services for itt
expenses.”
Medeivos, 89 Hawai'i at 366, 973 P.2d at 741 (quoting Emerson
Coll., 462 N.£.2d at 1105 (citation omitted). We deviated from
+ uns § 46-1.5(8) provides that, “{s}ubject to general law, each county
shall have the following powers and shall be subject to the following
Auities and limitations. . (8) ach county shall have the power to fix
the fees and charges for all official services not otherwise paid for.”
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Berson College by declining to adopt its “voluntariness” element
because,
Islubsequent to its opinion in Enexson Colleas, the
Massachusetts Suprene Judicial Court has weakened its
adherence to the second identifying factor described
fg -"voluntary seesipt of the
service” =~ oiding that "the elenent of choice se
not a cenpelling consideration which can be used to
invalidate an ctherwige legitimate charge.”
Id. In applying the test to the facts before us, we determined
that ROCCH § 6-52.2 did not satisfy the first and second prongs
of the test. id. at 370, 973 P.2d at 745. First, the ordinance
did not benefit the payor of the charge, the defendant, but
instead benefitted society as a whole. Id, at 368, 973 P.24
at 743. Second, the ordinance was not “allocated directly to
defraying the costs of providing the service” because it
seemingly allowed any “remaining revenues” from the fee to be
used for general purposes. Id. at 367, 973 P.2d at 742.
Accordingly, we held that ROCCH § 6-52.2 was invalid because it
authorized the imposition of a tax and because the state had not
empowered the city to impose such a tax. Id. at 370, 973 P.2d
at 745.
The State maintains that Medeiros is distinguishable
from the present matter because it dealt with an alleged
“service” or “user” fee, while the present case involves an
5 _ the tems “user fee” and “service fee” are essentially interchangeable
See util, Audie co, ¥. Citvof Los Angeles, S'Cal. Rpers 32'520, 526 (App
2003) “riser feos are arounts charges to a person using a service where the
amount of, the charge 1s generally related to the value of the services
provided."); Continental Aislinss, Inc. c. United States, 77 fed. Cl. 482, 484
5.2 (2007) (“Befendant refers to the agricultural querancine inspection
Services fee as the "AQ! user fee," while plaintiff calle it the "AEWIS user
fee’ For ease of discussion, the Court will refer to these fees as AQT
ser fees!)
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alleged “regulatory” fee. The State (1) argues that the
Medeiros test is proper only for distinguishing between user fees
and taxes and (2) notes that the Medeiros test was largely
derived from the Emerson College test which, like Medeiros,
involved an alleged service fee. HIC asserts numerous arguments
as to why the Medeiros test should be applied in the present
matter. First, HIC claims that Medeiros, in its exposition of
the difference between taxes and fees, did not create separate
tests for distinguishing user fees and regulatory fees, on the
one hand, from taxes, on the other. On its face,
Medeizce employs a three-pronged test in order to determine
whether 2 charge is a fee or a tax without explicitly stating
that the test differentiates between “user fees” and taxes.
Id. at 367, 973 P.2d at 742, HIC thus highlights the extent of
our citation to Emerson College in Medeiros, in which Emerson
College was seemingly discussing “fees” as a whole:
“pees smposed by s governmental entity tend to fall
unta one of two principal categories: user fees, based
fon the rights of the entity as 2 proprietor of the
Ghetrunentelities usea, oF regulatory fees (including
USeensing and inspection fees|, founded on the polis
power to regulate particular businesses or activitil
Such’ rees Share Connon traits that aistinguish then
cieslar service she
Barty paving the fee ioe manner “not shared by other
Tational Gable Television Ass'n
Bf
hesbers of a society,” cz
jnited States, #15 U.S. 336, 341... 9T@7
"+ and the shares are collected net io rasa
Eetenues ut To compensate the governmental anuity
Medeiros, 89 Hawai'i at 366, $73 P.2d at 741 (quoting Emerson
Coll., 462 N.E.2d at 1105) (emphases added). Accordingly, KIC
contends that we should apply the Medeiros test to the present
matter regardless of the type of fee that is allegedly at issue.
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Different rationales underlie the assessment of user
and regulatory fees. A user fee is generally charged to the
recipient of a service provided by the government, such as the
use of a toll bridge, see Gargano, 921 So. 2d at 668, or entry
into a regulated profession, see Seafarers Int’) Union of N. An.
ws United States Coast Guard, 81 F.3d 179, 189-90 (D.C. cir.
1996) (holding that Coast Guard licensing program fees were user
fees and noting that fees for licenses and registrations are
classic examples of user fees), On the other hand, @ regulatory
fee is authorized by the state’s police power to prescribe
régulations for the promotion of “public safety, health, and
welfare,” Ewing, 81 Hawa
Medeiros, following our review of Emerson College's test, we
adopted
‘Lat 164, 914 P.2d at $57, In
a modified Merson College test for determining
“nether a charge isa fee or a tax, in which we
analyze whether the charge (1) applies to the direct
Beneficiary of « particular service, (2) 19 allocated
directly to detraying the costs of brovidine the
gekzice, and (3) 1s reasonably proportionate to the
Benefit’ received.
89 Hawai'i at 367, 973 P.2¢ at 742 (emphases added). Like the
test developed in Euexrson College, a decision that, like
Medeiros, dealt with an alleged service fee, ges Euerson Coll,
462 N.E.2d at 1106 ("Under the statute, the city is authorized to
impose a fee for augmented fire services.") (internal quotation
marks omitted), cur modified test focused on elements of
“service,” namely whether the payor was a beneficiary of 2
service and whether the funds defrayed the costs of the provider
of the payor’s service. Consequently, the Medeiros test was and
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is intended to distinguish between taxes and service fees, not
regulatory fees.
HIC contends that National Cable, 415 U.S. 336, a
decision cited in Emerson College and consequently in Medeiros,
89 Hawai'i at 366, $73 P.2d at 741, is relevant to the present
matter because it distinguishes between taxes and regulatory
fees. In National Cable, the National Cable Television
Association, a trade association that represented conmunity
antenna television (CATV) systems, challenged assessments by the
Federal Communications Conmission (FCC), which was authorized to
regulate the CATV systems. 415 U.S. at 337-38. The regulatory
fees were imposed pursuant to
[t]he Independent offices Appropriation Act, 1952,
Tit. 5, 65 Stat. 290, si U.S.C. s (83a, which provided
In‘televane pare: sft ia the sense of the Congress
that any work, service ‘benefit, iigense,
©. oF similar thing of value or utility performed,
iuinished, provided, granted... By any Feseral
agency «to or for any person (including.
Gorporations vs | Ghali be aelf-sustaiatng to
the full extent’ possible, ‘and the head of esch Federal
Agency is authorized by regulation... . to prescribe
therefor... such fee, charge, or price, if any, a2
he shall determine... to be fair and aquitable
Esking inte consideration direct and indivect cost to
‘Wie Government, value to the recipient, public policy
Id. at 337 (ellipses in original) (emphasis added). The United
States Suprene Court reviewed this statute and concluded that
Ia} “fee” connotes s “benefit” and the Act by ite us
of the standard ‘value to the recipient” carfles that
Conngtation.. The addition of “public policy or
interest sexved, and other pertinent facts,” if re.
Literally, carries an agency far from its customary
orbit and puts it in search of revenue in the manner
Gf an Appropriations Committee of the House
Id. at 342. Thus, when analyzing whether the fees were lawful,
the Supreme Court focused on the “value to the recipient” clause
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of the statute. It concluded that CATV systems should only pay
regulatory fees equivalent to the value of services received,
stating that,
[w)nite those wo operate CATV’s may receive spectal
Benefits, we cannot be sure that the [elonmission used
the correct standard in setting the fee, Te is not
encugh £0 figure the total cost (direct and sndizect)
fo the [comission for operating a CATV unit of
Supervision and then to contrive a forma that
Feinburses the (clomission for that amount
Certainly sone Of the costs inured to the benefit of
‘he public, unless the entire regulatory scheme is 8
failure, which we refuse to aasune.
Id. at 343. As a result, the Suprene Court held that the fees
that the FCC assessed the CATVs were unconstitutional taxes.
HIC's contention that the National Cable shoe fits here
is unpersuasive. The Suprene Court has subsequently explained
that National cable “st (cold only for the proposition that
Congress must indicate clearly its intention to delegate to the
Executive the discretionary authority to recover administrative
costs not inuring directly to the benefit of regulated parties by
imposing additional financial burdens, whether characterized as
‘tees’ or ‘taxes,’ on those parties.” Skinner v, Mid-America
Bipeline, 490 U.S. 212, 263-64 (1989) (emphasis added); see aleo
Union Pac. R.R. Co. v. Pub. Util, Comm'n, 899 F.2d 854, 860 (9th
Cir, 1990) ("National Cable . . . [was] concerned with the
interpretation of a statute. At issue was the meaning of ‘fee,
charge, or price’ ina provision . . . directing federal agencies
to collect a ‘fee, charge, or price’ for any ‘work, service,
benefit, . . . or similar thing of value . . . granted, prepared,
or issued by any Federal agency.’"). There is no language in the
Hawai'i Insurance Code or the administrative regulations
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promulgated under the code similar to the “value to the
recipient” clause at issue in National Cable. Instead, the
statute in the present matter provides that the insurance
commissioner’s assessments “shall bear a reasonable relationship
to the costs of regulating the line or type of insurance,
including any administrative costs associated of the division.”
HRS § 431:2-215(d) (3). Accordingly, we do not find Natior
Gable to be instructive in the present matter.
Nor are we swayed by National Cable’s determination
that, under the act at issue, the FCC's fees should have
benefitted the CATV providers. See 415 U.S. at 341. National,
Gable’s position stemmed solely fron the “value to the recipient”
clause of the governing statute and did not overrule the Supreme
Court's foundational regulatory fee decision, Edve v. Robinson,
112 U.S, 580 (2884). See San Juan Cellular, 967 F.2d at 687. In
Edye, the Supreme Court expressly placed the burden of regulatory
funding on those “who make profit out of [the regulated
business),” and recognized that the regulatory fees were used by
the government “for the protection of the citizens.” 112 U.S.
at 596. The California Supreme Court has adopted a similar
concept of regulatory fees, explaining that “regulatory fees in
amounts necessary to carry out the regulation’s purpose are valid
despite the absence of any perceived ‘benefit’ accruing to the
fee payers.” See Sinclair Paint co, v, state ad, of
Equilization, 937 P.2d 1350, 1355 (cal. 1997), These decisions
illustrate all the more why the Medeizos test, which considers
whether the payor of a charge received a benefit, 89 Hawai'i
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at 367, 973 P.2d at 742, is properly confined to evaluating
whether the chazge is a user fee or a tex.
In an attempt to batten down every hatch of its
argument, HIC further asserts that the alleged fees at issue in
Medeiros, like the ones at issue in the present case, were
regulatory fees. HIC bases its argument on Emerson College's
definition of regulatory fees, quoted in Medeiros, as
licensing and inspection fees” and being “founded on the police
including
power to regulate particular businesses or activities.” Emerson
Goll., 462 N.E.2d at 1105, quoted in Medeiros, 89 Hawai'i at 366,
973 P.2d at 741. HIC gloms onto the “police power” aspect of the
definition in arguing that “Ysdeizos plainly concern{ed) the
tpolice power’ of ‘criminal investigative services,’ not a user
fee as suggested by [the state].” (Citing Medeiros, 89 Hawai'i
at 363, 366, 973 P.2d at 738, 742.
HIC’s argument is discordant
with the position taken by the city in Medeiros, unpersuasively,”
that the alleged fees at issue were being charged in return for
the “service” of the “arrest and prosecution” of the convict, a
service that, for instence,
assists persons in preventiog further harm to
theaselves, eapectally in the ease of,o drunk driver
whey if not apprehendsa, could Kill hinael for cthers,
Gna’ ie prevents thea trim haraing others: fopeftliy,
this service also helps co convince the offender to
Cease Ris uniawcl activities and becomes lawsabiging
Sha productive menber of society.
Medeiros, 89 Hawai'i at 368-69, 973 P.2d at 743-44 (brackets
omitted). Medeiros dealt with an alleged service fee, not a
> ot only was the srgunent unpersuasive, but its Orwellian nature
elicited an A rages citation to George Orwell's ineteen Eighty-Four.
Meseizes, 69 Mavala at 369 n+8, 973 Pr2d at 748 n.B~
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regulatory fee, and modified the Suerson College test to
determine whether the charge at issue was a service fee or 2
tax. In the present matter, the assessments at issue are clearly
of a regulatory nature, having been levied by the commissioner of
the insurance division, the facet of the DCCA that is empowered
to exercise the state’s police power to regulate the insurance
industry. See HRS $$ 431:2-101 and 431:2-102. Accordingly, we
are not bound by our analysis in Medeiros."
© our holding in Inte Water Use Permit Applications, 9¢ Havai'i 97, 9
P.3d 409 (2000), this court's only subsequent application of the Medeiros test
Ens published opinion, dees not preclude cur conclusion that the edeizos
ttse Spplies solely tovalleged user fees, 1p ye Water Use dealt with the
GileciBicion of water trom the Walincle Ditch to persons applying for water
Gee pertits, At an expaneive contested case hearing, the Comission on Water
Resource Nenagesent, oh instrunentality of the Department of Land and Natural
Rescurces, announced its plan to setablish technical acvisory committees to)
‘othe implementation of the final decision, determine the feasibility of
created wastewater over potable aquifers, and recommend studies,
Conservation measures, and monitoring plane. id at 118, 9 P.30 at 430. A.
portion of che comasttece’ studies and nonitoring activities were to be paid
Gor by recipients of permits to use the Waishole Ditch, with each recipient's
Eharge calculeced os & pro cata share of the anount of water received. Id.
Certain permittees challenged this portion of the conmission’s decision,
Sileging that the funding requirement constituted an "illegal tax” under
Measles. "Eg. at 185, 3.P.dd-at 497. This coure applied the Medeiros test
Bhe conciuded"that "ehe (cionmission has the generat authority te condition
the permits upon compliance with the snstane funding requirement, which more
properly falls under the cateaory of a cequlatory fee, rather than = land
Snvelognent exaction’” Id. at 186, 9 Pod at 438 (enphasis added)
‘Eithough we seouingly classified the fee in In re Water Use as a
vregulatary fee,” we did so in passing, as the type of fee at issue w
Glspositive of the case, a2 it fs here, “In fact, further review of
Suiveteates that st in fact dealt with “user fees.” The goal of the
Blate Kater Code is to regulate the use of Hawaii's water. Seg HRS
G5 1740-2 [e) 11393) ("Tt 1s recognized that the waters of the Scate are held
for the benefit of the citizens of the State, Tt is declared that the people
Of the State are beneficiaries and have 2 raght to have the waters protected
for their usa.” (emphasis added)) ond 174C-2(c) (1993) ("The state water code
Shell be liberally interpreted to obtain maximum beneficial yse of the waters
St 'the State for purposes such as donestic seg, aquaculture yses, irrigation
Sha other sgricultural uses, power development, ana comercial and industrial
e enphases acded)). this court further explained the sanner in which
Meee enittces’ payment of the fees would benefit their water use, both by
assisting them in marshaling the requisite proof that their use would not
itand in opposition to the public interest and by “allowing then exclusive
(eontinued. ..)
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We now turn to the questicn whether the insurance
division's assessments constituted allowable regulatory fees or
unconstitutional taxes. To answer this question, the State urges
us to look to San Juan Cellular, which distinguished between
regulatory fees and taxes. In San Juan Cellular, the Puerto Rico
Public Service Commission levied a three-percent “periodic fee”
against a private cellular company. 967 F.2d at 648. The
company challenged the fee as unlawful, and the federal district
court granted declaratory relief on the ground that federal
statutes and regulations pre-empted the local government’ s
authority to impose such a charge. Id. The commission appealed,
asserting that the district court did not have jurisdiction in
Light of the federal Tax Injunction Act, which prohibited the
“district court from restraining the assessment or collection of
any tax imposed by the laws of Puerto Rico, 48 U.S.C. § 872,
unless no ‘plain, speedy and efficient’ remedy is available in
the Commonwealth's courts, 28 U.S.C. § 1341." San Juan Cellular,
967 F.2d at 684. The United States Court of Appeals for the
First Circuit, in an opinion by then-Chief Judge Stephen G.
Breyer, held that the act did not divest the district court of
jurisdiction, because the three-percent “periodic fee” was not an
tex, but a regulatory fee. Id, at 685-86, In making that
1. -continued)
ae Of public resources” in the interim before a determination of the effects
fo the public of the permittees water use was concluded, in re Water Jae, 3e
Hawet't ‘at 185, 3 P.3d at 497 (enphecis addea). Accordingly, the toes tet
the permittees were assessed wore nore akin to “user fees,” and therefore
Medeitas was correctly applied in the case, See, gigs fant) er
$32 8.W.2d 374, 377 (hy. Ct Appr 1996) Thelatee Thee
ments charged to city for the’ purposes of controlling and conserving
basin water source were user foes, not taxes), sited in Io re Mater Use,
54 Hawai't ae 188, 9 Pda ae 497
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determination, the First Circuit formulated a three-pronged test
to divine whether the assessment was a regulatory fee,
specifically considering whether (1) “{a] regulatory agency
assesses the fee[,]” (2) “(t]he agency places the money in a
special fund{,)” and (3) “[t]he money is not used for a general
purpose but rather to defray the expenses generated in
specialized investigations and studies, for the hiring of
professional and expert services and the acquisition of the
equipment needed for the operations provided by law for the
[payor].” Id, at 686 (citations and brackets omitted). In
applying the foregoing test, the First Circuit held that the
commission's “periodic fee” was “close to the ‘fee’ end of the
spectrum.” Id
The First Circuit was not persuaded by the argument
that because, by statute, the unused revenue generated by the
periodic fees would ultimately revert to the general fund after
five years, the assessment was therefore a tax. The First
Circuit swatted down the argument with the observation that
(perhaps this instruction would make a difference
ere there some evidence in the record that large
Imgunts of the revenue the [assessor] obtains would
Sha up in the general fond. But, nothing in the
Fecord before us, cr in the statute, suggests that the
[assessor] will fail to spend most, or all, (of) the
revenue rained for the specific statutory Cbjectives
‘Id. at 687 (emphasis added) (citations omitted). The present
matter differs from this aspect of San Juan Cellular in light of
the “large amounts” of the insurance division's revenue,
$3,500,000.00, that was extracted to benef:
the state’s general
fund. Furthermore, as we are not presented with a case dealing
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with de minimis funds reverting from a regulatory agency to a
general fund, we will not address the issue here.
‘The San Juan Cellular test comports with the foregoing
discussion of regulatory fees, inasmuch as it describes monies
that are collected by a regulatory agency to be used for the
agency’s defined purposes. See Medeiros, 89 Hawai‘i at 366, 973
P.2d at 741 ("‘Regulatory fees are authorized by the state's
police power to regulate particular businesses or activities.'”
(quoting Emerson Coll., 462 N.E.2d at 1105)). Furthermore,
unlike the user fee test adopted in Medeiros, the San Juan
Cellular test recognizes that regulatory fees need not benefit
the regulated payor of the fee in order to be valid. See also
Edue, 112 U.S. at 5967 Sinclair Paint co., 937 P.24 at 1355.
Accordingly, we believe that the San Juan Cellular test is ideal
for determining whether an assessment is a regulatory fee or a
tax, and we will now apply it to the facts of the case at hand.
2. ici f the lan Cel Test
The first prong of the San Juan Cellular test, that is,
whether @ regulatory agency assesses the fee, 967 F.2d at 686, is
satisfied in the present matter because the charges at issue were
fed by the commissioner of the insurance division of the
DCCA. The insurance commissioner is vested with the authority to
enforce the Insurance Code, HRS title 24, which regulates the
insurance industry. See HRS § 431:2-201(b) (1993). The second
prong, which asks whether the agency places the money in
special fund, San Juan Celluler, 937 P.2d at 686, is also
satisfied because the assessments were placed into a “special
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fund,” namely, the IRF, by the insurance commissioner; the IRF
later merged into the CRF and was intended to be utilized to
reimburse the insurance division for the cost of regulating the
insurance industry. See HRS § 431:2-215(c)-
The third prong of the San Juan Cellular test requires
a more searching inquiry, Tt evaluates whether “the money is not
used for @ general purpose but rather to defray the expenses
generated in specialized investigations and studies, for the
hiring of professional and expert services and the acquisition of
‘the equipment needed for the operations provided by law for the
(payor].” 967 F.2d at 686 (brackets omitted); see also Bidart
Bros. Lifor com’n, 73 F.3d 925, 931 (9th Cir. 1996)
(articulating the third prong of the San Juan Cellular test as
“whether the assesenent is expended for general public purposes,
or used for the regulation or benefit of the parties upon whom
the assessment is imposed”). HIC asserts that the insurance
conmissioner’s assessments, as a whole, represent
unconstitutional taxes under Medeiros. In particular, HIC points
to the expenditures by the insurance commissioner for: (1)
general overhead of the insurance division, the DCCA, and the
DBF; (2) the cash reserve accumulated by the insurance division:
and (3) the monies transferred to the general fund as being
violative of the user-fee test in Medeiros. Inasmuch as we are
not applying the Medeiros test here, we will instead review these
expenditures under the third prong of the San Juan Cellular test
to determine whether they were “expended for general public
purposes, or used for the regulation or benefit of the parties
31
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upon whom the assessment is imposed.” See Bidart Bros., 73 F.3d
at 931.
and 08) ead
HIC notes that over $4,000,000.00 was transfered from
the IRF to support the overhead of the OCCA and $375,000.00 for
the benefit of the DBF. The State argues that these funds
constituted the insurance division's pro rata share of the DCCA's
and the DBF’s expenses, pursuant to HRS $§ 36-27, 36-30 (Supp.
2003),"° and 431:2-215(b)." Tt is apparent that, under San Juan
+ HRS, § 36-27, entitled “Transfers from special funds for central service
expenses," provides in relevant pare
Except as provided in this section, and notwithstanding any other
law to the contrary, from time to time, the director of fizance,
for the purpose of defraying the prorated eotinate of central
service expenses of government in relation to ail special funds
shall deduct five per cent of ail receipts of ali other
Special funds, which deduction shell be transferred to the general
fond of the State and become general realizations of the stete
ws HRS § 36-30, entitled “special fund reimbursements for departmental
administrative expenses,” provides in relevant parts
a) Bach special fund . . . shall be responsible for ite
pro rata share of the administrative expenses incurred by che
Gepartaent responsible for the operations supported by the special
(b]" Administrative expenses shall include:
(2) Sataries;
(2) Maintenance of bulidings and grounds;
(3) veitieiesy ana
(4) General office expenses
(c)_ The pro rata share of each special fund shall be that
proportion of the adinistrative expenses of the departnent,
Including these paid fron all special funds aseinisteres by’ the
Gepartmertt, which the expenditures of the special fund bear to the
total expenditures of the department :
Rs § 492:2-215(b) provides in relevant pazt
Suns from the compliance resolution fund expended by the
commissioner shali be uses to defray sny administrative costs,
including personnel costs, assoctated with the programs of the
aivision, and costs incurred by supporting offices ane
aivisions.... [T]he commissioner may use the moneys in the fund
32
tee FOR PUBLICATION IN MES?’S HAWAI'T REPORTS AND PACIFIC REPORTER +++
Cellular, the monies paid to the DCCA and to the DBF were “used
for the regulation or benefit of the parties upon whom the
assessment is imposed.” See Bidart Sros., 73 F.3d at 931.
return for the insurance division providing its pro rata share of
its costs, the DCCA provided the insurance division with, inter
alia, personnel management services, review and processing of the
insurance division's expenditures, the preparation of its annual
operating budget, a forum for contested case hearings, computer
system support, and various administrative services. The Daf
provided the insurance division with, inter alia, oversight of
budget preparation and execution, determination of budgetary
requirements and expenditures, management of employee benefit
programs, management of public debt, and treasury programs. The
aforenentioned services provided by the DCCA and the DBF to the
insurance division assist it in carrying out its regulatory
functions, and, accordingly, the expenditures that the insurance
division was mandated to pay to the DCCA and the DBF do not
constitute taxes under the San Juan Cellulax test.
b. Reserve fund
The insurance division has also maintained a practice
of collecting assessments in excess of its operating costs in
order to develop a reserve fund. The State argues that the
reserve fund was cr
ted in order to protect against unforeseen
(continued)
‘To vexploy or retein, by contract or otherwise, . . . hearings
Setiers, attorneys, investigators, accountants, examiners, and
Sther necessary professional, techticsl, saninistrativ
Support persone! to implement and carey out the purpor
title 26 :
33
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emergency situations, such as the unplanned rehabilitation and
Liguidation of insurers or natural disasters, as well as to
cushion the division's operating budget fron yearly fluctuations
in revenue, HIC argues that assessnents for the purpose of
creating the reserve do not bear a reasonable relationship to the
costs of regulating the insurance industry, are not authorized by
statute, and must therefore be declared illegal taxes.
In our view, the State’s position that a reserve fund
is essential to the insurance division’s regulatory function is
reasonable in light of the unpredictability of potential
contingencies and fluctuations in the amount of funds available
to the insurance division through assessments and other means.
We are wary of second-guessing a regulatory agency's reasonable
strategy for securing its continued ability to serve its public
function. See Collier v. City & County of San Francisco, 60 Cal.
Rptr. 3d 698, 708 (App. 2007) (“[WJere we to adopt a too narrow
definition of ‘regulatory activities’ . . . , we would risk
depriving municipalities of a reasonable degree of flexibility to
determine whether regulatory fee revenues collected by their
agencies are being spent in furtherance of the purpose for which
those fees were assessed.”); California Ass'n of Prof, scientists
vaDep't of Fish & Game, 94 Cal. Rptr. 2d 535, 545-46 (App. 2000)
("The legislative body charged with enacting laws pursuant to the
police power retains the discretion to apportion the costs of
regulatory programs in a variety of reasonable financing
schemes.) Brydon v. £. Bay Mun, Util, Dist., 29 cal. Rptr. 24
128, 136 (App. 1994) ("(CJost allocations for services provided
34
‘10+ YOR PUBLICATION IN WEST'S HAWAI'T REPORTS AND PACIFIC REPORTER,
are to be judged by a standard of reasonableness with sone
flexibility permitted to account for systen-wide complexity.”).
Accordingly, the portion of the assessments that went toward
buttressing the insurance division's reserve fund were “used for
the regulation or benefit of the parties upon whom the assessment
As imposed,” see Bidart Bros., 73 F.3d at 931, and, having
satisfied the third prong of the San Juan Celjular test,
constitute legitimate regulatory fees.
c. Transferred funds
HIC further argues that the assessments at issue fail
the third prong of the San Juan Cellular test, because the
$2,000, 000.00 that was transferred from the IRF in 2002 and the
$1,500, 000.00 that was transferred from the CRF in 2003 (the
transferred funds), in accordance with the legislature's decrees
in 2002 Haw. Sess, &, Act 178, § 40 at 793 and 2003 Haw. Sess.
Laws Act 178, $5 28, 66 at 407, 412 (the transfer bills), were
used for a general purpose by being deposited in the general
fund. In countering HIC’s position, the State asks us to focus
on the fact that the transferred funds at issue were, in the
first instance, solely designated for the insurance division's
use and were shifted to the general fund over the strong
opposition of the insurance commissioner and the director of the
peca.
The State cites Apodaca vs Wilson, 525 P.2d 876 (NM.
1974), in support of its contention that an assessment’s initial
designation should define its character forevermore. In Apadaca,
the Albuquerque City Commission adopted two ordinances, one that
38
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increased sewer and water service charges and another that, inter
alia, indicated that water and sewer revenues had increased and
that a large portion of the revenue increase would therefore be
appropriated to the city’s general fund. Id. at 878. The
plaintiffs sought to enjoin the city from collecting the
increased charges and to invalidate the ordinance increasing the
charges on the ground that the charges were an illegal tax.
1d, at 879. The New Mexico Supreme Court held that, “*{s]ince
the rate charged is not a tax in its inception, ultimate use of
surplus funds derived therefrom for the support of municipal
Government will not convert it into taxes or cause it to assume
the nature of taxes.’” Id. at 885 (quoting City of Niles v.
Union Ice Corp,, 12 .N.E.2d 483, 489 (ohio 1938).
The State’s reliance on Apodaca is misplaced, That
decision dealt with a municipality's ability to collect charges
and then subsume the charges within its own general fund. The
Apodaca decision relied heavily on the fact that the city was
“acting in a business or proprietary capacity rather than in a
governmental capacity.” Jd. at 884, With that in mind, the New
Mexico Supreme Court held that,
“‘when engaged in business,’” a
municipality does not tax, but instead charges “'a price at which
and for which the public utility service or product is sold.'”
Ad. at 885 (quoting City of Niles, 12.N.E.2 at 469). This is a
far cry from the insurance division’s role in the present matter,
being neither “engaged in business” nor selling a product for
profit. We are not presently addressing whether a municipality
that is engaged in selling a “‘conmodity’” such as water, see id.
36
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at 886 (quoting Iuitchell v, City of Spokane, 104 ?. 150, 151
(Wash. 1909}), can use the profits as it sees fit. Furthermore,
for reasons discussed below, we do not agree with Apodaca’s
general conclusion that a fee assessment’s initial designation
dictates its character perpetually.
The State also asserts that a levy placed directly into
a general fund may sometimes constitute a valid regulatory f
citing Southview Co-operative Housing Corp, v. Rent Control Board
of Cambridge, 486 N.E.2d 700 (Nass. 1985). Southview Co-
operative involved landlords who brought suit to challenge the
rent control board’s ability to assess fees against them in
connection with petitions for rent adjustments. Id. at 701. The
landlords asserted that the assessments constituted impermissible
taxes. id. In concluding thatthe fees were lawful, the
Massachusetts Supreme Judicial Court stated the following, upon
which the State relies in the present matter:
‘The plaintiffs are not helped by the fact that the
Collected fees vere deposited in the general fund of
the city, es the iaw requires, or by the fact that the
Challenged fee schedule was ectablished to sake up for
S"ibusgee) short ral
Fegularory agency will reduce the azount
that must come. f¥om general governnent re
thos will substitute for fonds that would otherwise
have to be raised through ta
Such regulatory charges are not taxes
Id. at 706. Southview Co-operative is not applicable to the
present matter for the crucial reason that the rent control board
was not self-sufficient, whereas the DCCA and its insurance
division are mandated by law to be so. Specifically, in
Southview Co-operative, “[t]he board submitted a budget
with a financing plan in which approximately seventy per cent of
37
‘+ FOR PUBLICATION IN WEST'S HANAI'T REPORTS AND PACIFIC REPORTER *++
the budget would be supported by intergovernmental revenues and
approximately thirty per cent would be supported by charges for
services.” Id, at 702. By contrast, in the present matter, the
DCCA became wholly financially self-sufficient in 1999, receiving
no general fund monies with which to operate. The question
before the court in Southview Co-operative -- whether monies from
@ fund that commingled both assessments and “intergovernmental
which ostensibly were supplied by taxes, could
eventually revert to a general fund -- is simply not before us.
Ne deal solely with the question whether monies from a fund made
up entirely of assessments, fees, fines, penalties, and
reimbursements can be transferred to a general fund,
We blanch at the State’s basic contention that a user
or regulatory fee, if initially assessed as such, can be
transferred to a general fund when the same assessment would have
been invalid had it been assessed initially with the express
understanding that the funds would be transferred to the general
fund, If we adopted such 2 position, seemingly nothing would bar
the legislature from dipping into the fees collected by any state
gulatory agency that were deemed to be “in excess of the
requirements of the fund.” See 2002 Haw. Sess. L. Act 178, § 40
at 793. San Juan Cellular speaks clearly on this score, noting
that courts, in distinguishing a regulatory fee from a tax, “have
tended . . . to emphasize the revenue’s ultimate use, asking
whether it provides a general benefit to the public, of a sort
often financed by a general tex, or whether it provides more
narrow benefits to regulated companies or defrays the agency's
38
/+ FOR PUBLICATION IN WEST'S HAWAI'I REPORTS AND PACIFIC REPORTER
costs of regulation.” 967 F.2d at 685; see also Robinson
Protective Alarm Co. v. City of Philadelphia, 581 F.2d 371, 376
(34 Cir, 1978) (holding that 2 city-assessed charge to fire and
burglar alarm companies was a “tax” because “moneys collected are
added to the [general fund], rather than applied exclusively to
contractual services owed central alarm station companies”
(emphasis added) ); Bloom v, City of Fort Collins, 784 P.2d 304,
311 (Cole, 1989) (holding that provision of “transportation
utility fee” ordinance that authorized city council to transfer
excess revenues from fee to any other city fund “render[ed) the
. . fee the functional equivalent of a tax”); Health Servs.
Med. Coi vent. New Yor n, 668 N.Y.S.2d 1006,
1009-10 (App. Div. 1998) (holding that a portion of payments
mandated by statute by HMOs to hospitals that were deposited in
the state’s general fund represented an unconstitutional tax):
Radio Common Carriers of New York, Inc, v, New York, 601 .N.¥.S.20
513, 515-16 (N.Y. App. Div. 1993) (holding that a “special fee”
on paging devices enacted by state was a tax because the proceeds
were added to the state’s general fund).
After viewing the transferred funds through the lens of
San_Juan Cellular by “emphasizing [the assessment’s] ultimate
use,” 967 F.2d at 685, while bearing in mind our maxim that "*the
nature of the tax or “charge” that a law imposes is not
determined by the label given to it but by its operating
incidence,’ Medeiros, 89 Hawai'i at 366, 973 P.2d 741 (quoting
Stewarts’ Pharmacies, 43 Haw. at 144) (brackets omitted), for the
reasons stated in the following section, we hold that the
33
‘+4 FOR PUBLICATION IN WEST'S HAWAI'T REPORTS AND PACIFIC REPORTER *#*
regulatory fees were transferred unlawfully, inasmuch as they
were available for general purposes, as if they were derived from
general tax revenues, after being transferred to the general
fund. See San Juan Cellular, 967 F.2d at 686. The State's
argument that the insurance division neither foresaw nor condoned
the legislature’s transfer of its monies to the general fund is
unavailing, because the insurance division's conduct is not at
issue here, Our focus is instead on the legislature's attenpts
via the transfer bills to lateral the transferred funds fron the
insurance division to the general fund, The transfer bills must
be scrutinized for any violation of the separation of powers
doctrine.
3. Separation of powers
“The separation of powers doctrine is not expressly set
forth in any single constitutional provision, ‘but like the
federal government, [Hawaii's government] is one in which the
sovereign power is divided and allocated among three co-equal
branches.'" Biscoe v, Tanaka, 76 Hawai'i 380, 383, 878 P.24 719,
722 (1994) (quoting Trustees of the Office of Hawaiian Affairs v.
Yamasaki, 69 Haw. 154, 170-71, 737 P.2d 446, 456 (1987))
(brackets omitted). ‘The doctrine provides that “‘a department
+ may not exercise powers not so constitutionally granted,
which from their essential nature, do not fall within its
division of governmental functions, unless such powers are
properly incidental to the performance by it of its ow
appropriate functions.’ Id, (quoting Koike v. Bd. of Water
Supply, 44 Haw, 100, 114, 352 2.24 835, 843 (1960). As
40
[FoR PUBLICATION IN WEST'S HAWAI'T REPORTS AND PACTFIC REFORTER ¢+*
previously stated, the Hawai'i Constitution mandates that the
“(t]he taxing power shall be reserved to the State, except so
much thereof as may be delegated by the legislature to the
(counties}.” Haw. Const. art. VIII, $ 3; see also Mctandless, 20
How, at 417 (“The power of taxation is essentially a legislative
power. It cannot be delegated except to municipalities which
themselves exercise subordinate legislative powers.”). The
executive branch is left only with the power to administer and
enforce the state’s tax laws, not to levy new taxes. See HRS
§ 26-10(b) (1993) (The department [of taxation] shall adninister
and enforce the tax revenue laws of the State and collect all
taxes and other payments payable thereunder."). Accordingly, the
insurance commissioner, as an officer of the executive branch,
see HRS $$ 26-4(5) and 431:2-101, lacks the power to taxz as
discussed at length aupra, the insurance conmissioner’s statutory
authority is Limited to the assessment of regulatory fees.
The legislature’s promulgation of the transfer bills
amounted to an impermissible blurring of the distinction between
the executive power to assess regulatory fees and the legislative
power to tax for general purposes. We therefore hold that the
transfer bille unlawfully sought to transform $3, 500,000.00 of
legitimate regulatory fees into general tax revenue. Courts
at oral argusent, the state asserted that, even if it were
Unconstitutional for the legislature to reguire that the funds from the IRF
ns the CRP be tronsferrea co the general fund, HIC could not prove that the
funds were those that its nenbers had paid to the insurance commissioner.
Mes; Oral Argument, Hawai'i Supreme Court, at 6:09 to 6:55 (Nov. €, 2008),
BE hetps//mne,state.hi.ue/ud/oa/08/SC0R, 110608 27840.mp3. Alchough
EARING Uvoied this construct in the background sections of its opening
brief and ita application, it oid not actually advance the point in the
argument section of its opening brief or application. We therefore decline to
(continveds..)
a
‘10+ FOR PUBLICATION IN MEST'S HAWAI'I REPORTS AND PACIFIC REPORTER +++
that have addressed the issue of funds transferred from special
funds so that they could be used for more general purposes have
held that the transferred funds should be returned to the special
funds. See, e.a., Daugherty v, Riley, 34 P.2d 1005, 1011-12
(Cal. 1934) (ordering that funds transferred in a legislative
appropriation from a special fund to the general fund needed to
be returned to the special fund); Clark County Council vy.
Donahue, 873 N.£.2d 1038, 1043 (Ind. 2007) (holding that monies
that the county used from a special fund, which was comprised of
fees that were collected to supplement probation services, for
general court expenses needed to he returned to the special
fund). As such, the $3,500,000.00 that was moved into the
general fund pursuant to the transfer bills must be returned to
the CRF so that they may be used for the regulation or benefit of
the parties upon whom the assessments were imposed. See Bidart
Bros., 73 F.3d at 931. Given that the amount that must be
returned is readily ascertainable, we see no need for an
accounting on remand.
In summary, the portion of the assessments paid by HIC
to the insurance division that ultimately went to support the
overhead of the OCCA and the DBF, along with the portion of the
assessments that the insurance division applied towards creating
a reserve fund, did not amount to unconstitutional taxes. On the
other hand, the legislature was without the power to mandate, via
the transfer bills, that the insurance division remit regulatory
2 (continued)
address the State's argument. ee Hawai'i Rules of Appellate Procedure Rules
280) (4) and (bi (7)
a2
s+ POR PUBLICATION IM WESE'S HAYAI'T REPORTS AND PACTFIC REFORTER ++
fees to the legislature's general fund, as if they were general
tax revenues. Accordingly, the transfer bills violated the
separation of powers doctrine.
B. The ICA Correctly Concluded That The Assessments Did
HIC asserts that the assessments imposed pursuant to
HRS § 431:2-215 offend the equal protection clauses of the
Hawai'i and United States Constitutions, both of which guarantee
that no person shall be denied the equal protection of the laws.
See Haw. Const. art. 1, § $7 U.S. Const. amend. XIV. “[Ujnless
fundamental rights of suspect classifications are implicated, we
will apply the rational basis standard of review in examining a
denial of equal protection claim.” ENG Corp. v. Kim, 107 Hawai't
73, 82, 110 P.3d 397, 406 (2005) (quoting Sandy Beach Def. fund
vs City Council, 70 Haw. 361, 380, 773 F.24 250, 262 (1989))
(emphasis omitted). HIC does not contend that its members’
fundamental rights are implicated by HRS § 431:2-215 or that the
statute draws suspect classifications.”
Its argument is instead
that the statute treats insurers differently than other similarly
situated persons without a rational basis. Under the rational
basis standard of review,
‘a party challenging the constitutionality of a
statutery classification on equal protection grounds
has the Burden of showing, with convincing clarsty(.]
that the clasasfication is not rationally related to
the stetutory purpose, or that the challenged
Classification dove not fest upon some ground of
Gifgerence having fair and substantial relation to
2 for a discussion of whether insurance companies are part of » suspect
classification and whether the right to participate in the insurance business
fea fundanental right, see G cal sat
Matual insurance Con, 956 S.W.2a 243, 257 (Mo. 1997).
3
‘+ FOR PUBLICATION IN WEST'S HAWAI'I REPORTS AND PACIFIC REPORTER **+
the object of the legislation, and is therefore act
arbitrary and capricious.”
Id. (quoting Sandy Beach Def, Fund, 70 Haw. at 380, 773 P.2d
at 262). In the present matter, HRS § 431:2-215 permits insurers
to be assessed with regulatory fees in order to “defray any
administrative costs” and “costs incurred by supporting offices
and divisions.” HRS § 431:2-218(b). HIC basically maintains
that, even if insurers benefit to some degree from the insurance
division’s regulations, it was arbitrary to impose a
substantial portion of the division’s administrative costs upon
insurers, because the public in general and policyholders in
particular also benefitted fron those regulations.
‘The United States Supreme Court considered 2 similar
contention in Mountain Timber Co. v. Washington, 243 us. 219
(2917), in which employers advanced the argument that, because a
state workers’ compensation law imposed the entire cost of
accident loss upon the industries in which the losses arose, the
law was violative of the equal protection clause of the
fourteenth anendnent to the United States Constitution. id.
at 243. The Supreme Court explained that it was unable to
discern any ground in natural justice or fundamental right that
prevented the state from imposing the entire burden upon the
industries that occasioned such losses. Id. The law was
accordingly upheld. Id, In the present matter, the insurance
commissioner has imposed a substantial portion of the
administrative cost of operating the insurance division and its
M The insurance commissioner did not impose all of the insurance
division's costs upon insurers. Sone costs were covered by other revenues
that the division received.
44
[FOR PUBLICATION IN WESH'S HAWAI'T REPORTS AND PACIFIC REPORTER ¢+*
supporting offices and divisions upon insurers pursuant to HRS
§ 431:2-215. Like the losses occasioned by the employers in
Mountain Timber Co., 243 U.S. at 243, the insurance division's
regulatory costs in the present matter were necessitated by the
business of insurers. We therefore agree with the ICA that HRS
§ 431:2-225 does not violate the equal protection clause of the
Hawas‘s or United States Constitutions, See Hawaii Insurers
Council, 117 Hawai'i at 462, 184 P.3d at 77.
C. The IGA Correct iy Concluded That The Cixcuit Court Was
Not Divested of subiect-matter Jurisdiction By Virtue
Qf HIC's Members’ Failure To Exhaust Their
‘Admin: =i tenes Remedies.
The State challenges the ICA's determination that the
circuit court was not deprived of subject-matter jurisdiction by
virtue of HIC's menbers’ failure to exhaust their administrative
renedies. 2g id, The requirement that a party exhaust his
adninistrative renedies “cones into play ‘where a claim is
cognizable in the first instance by an adninistrative agency
alone,’ and, in such a case, “‘udicial interference is withheld
until the administrative process has run its course.'” Aged
waiians v. Haws Homes Comm'n, 78 Hawai'i 192, 202 n.18, 891
P.2d 279, 289 n.18 (1995) (quoting Kona Old Hawaiian Trails Group
watLyman, 69 Haw, 61, 93, 734 P.2d 161, 168 (1987)). Yet “*an
aggrieved party need not exhaust administrative remedies where no
effective renedies exist.'” Inxe Interest of Doe Children, 105
Hawai'i 38, 58, 93 P.3d 1145, 1166 (2004) (quoting In the
Interest of Doe Children, 96 Hawai'i 272, 287 n.20, 30 P.3d 878,
893 n.20 (2001)).
45
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According to the State, administrative remedies were
available to HIC's members under HRS § 431:7-203(a). The statute
Provides in relevant part that,
LAE any person has paid to the (snsurance]
commissioner any tax, fee, of other charge in error or
An excess of that wnich the person ss lawfully
obligated to pay under [the insurance] cade, ‘the
Conmissioner, upon written request made by the person
to the. commissioner yahall authorite 9 refund
thereot out of the (GRE), except that a tax refona
shall be payable ovt of the generel. fund
HRS § 431:7-203(a). Thus, the State appears to argue that, if
HIC’s members had paid taxes or fees in excess of those which
they were lawfully obligated to pay under the insurance code, HRS
§ 431:7-203 required that they seek a refund from the
conmissioner. The primary reason that KIC has asserted that its
members were not lawfully obligated to pay the fees imposed by
the commissioner pursuant to HRS $ 431:2-215 was that the fees
were, in fact, unconstitutional under the separation of powers
doctrine. Agencies may not, however, pass upon the
constitutionality of statutes. igh Corp, v. Motor Vehicle Indus.
Licensing Bd., Dep't of Comerce & Consumer Affairs, 69 Haw. 135,
141, 736 P.2d 1271, 1275 (1967). As such, had HIC initially
brought this claim before the insurance commissioner, an
administrative officer, gee HRS $$ 26-4, 431:2-101, and
43
he had imposed pursuant to HRS § 431:7-203 unconstitutional or to
provide a refund on that basis. See Hoh Corp,, 69 Haw. at 141,
736 P.2d at 1275. Thus, there were no remedies for HIC's
members’ constitutional claim under HRS $ 431:7-202. See In re
Interest of Doe Children, 105 Hawai'i at 59, 93 P.3d at 1166.
-102, he would have been powerless to declare the fees that
46
++ FOR PUBLICATION IN WEST'S HAWAI'T REPORTS AND PACIFIC REPORTER *+*
Accordingly, we agree with the ICA that the circuit court did not
lack subject-matter jurisdiction by virtue of HIC’s members’
failure to exhaust their aduinistrative remedies. See Hawaii
Insurers Council, 117 Hawai'i at 462, 184 P.3d at 777."
IV. CONCLUSION
In light of the foregoing analysis, we affirm the May
5, 2008 judgment of the ICA insofar as it affirmed the February
27, 2006 judgment of the circuit court for the reason that the
transfer bills were unconstitutional. Although the transfer
bills did net assess unconstitutional taxes, they did offend the
separation of powers doctrine because they unlawfully sought to
divert legitimate regulatory fees into the general tax revenue
stream, We reverse the ICA’s judgment inasmuch as it affirmed
the circuit court’s judgment that the assessments levied to
create a reserve fund and to provide overhead expenses for the
DCCA and the DBF represented unconstitutional taxes. In summary,
% the State also argues that, if the assesenents were taxes, then
adninistrative remedies were available to HiC’s members under HRS
$ot31:7-204.5 (1993), which provides in relevant part that “any person
Sggrieved by any assessment of the tax for any month or any year may appeal
fide the assesment in the manner and within the time and in sll other
Fespects as provided in (HRS §) 235-114.” In addition, the State maintains
that, if the assessments were taxes, then the ICA erred in concluding that the
circuit court wae not divested of jurisdiction to award declaratory or
Gnjunctive relief in Light of HRS § 632-1. Because we conclude that the
tronsfer Bille did not transform lesitimate regulatory fees into general tax
the Seaters
arguments,
7
‘4+ FOR PUBLICATION IN WEST'S HAWAI'I REPORTS AND PACIFIC REPORTER +++
we affirm the ICA's judgment in part and reverse it in part. We
remand this matter to the circuit court for further proceedings
consistent with this opinion.
Lisa Woods Munger
(Gary M. Slovin
and Donna H. Kalama with
her on the briefs),
for the plaintiff-appellee-
respondent Hawaii Insurers
Counes2
Mark J. Bennett
(Kimberly Tsumoto Guidry
and James F. Nagle with
him on the briefs),
for the defendants“appellants-
petitioners Linda Lingle,
Georgina K. Kawamura,
Lawrence M. Reifurth,
and J.P. Schmidt
48
BP Rerioer
Bice Cree ree
aa
Gorm, Duly
| c09159bd5abd431701a78dd279376fcf72f250087074291403ebec1abf9d3ddc | 2008-12-18T00:00:00Z |
081cfc81-6cfe-4d5f-89ef-6baac0d0e4cb | Brown v. Hawaii Medical Service Association | null | 29117 | hawaii | Hawaii Supreme Court | No, 29117
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
CAROL A. BROWN, M.D., and CAROL A. BROW, H.D., INC
Petitioners/Plaintiffs-Appellants,
HAWAII MEDICAL SERVICE ASSOCIATION, a mutual benefit society;
and ALAN VAN ETTEN, Arbitrator,
Respondents /Defendants-Appel lees
CERTIORARI 10 THE INTERMEDIATE COURT OF APPEALS
(crv. No. 08-1-0288)
ECTING APPLICATION FOR WRIT OF CERTT
(By: Moon, C.J., for the court’)
Petitioners/plaintiffs
ppellants Carol A. Brown, ¥.D.,
and Carol A. Brown, M.D., Inc.'s application for writ of
certiorari, filed on October 24, 2008, is hereby rejected.
DATED: Honolulu, Hawai'i, November 17, 2008.
FOR THE COURT:
Ae Justice 8
considered by: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, 9.
aad
| c5430b17440fd614eea86ace7a848d450e33cd67515d7f18e4f5b8833102f729 | 2008-11-17T00:00:00Z |
5d9637dd-bc16-41ea-a7c2-5fe3f82e3d04 | Holt v. Nishimura | null | 29416 | hawaii | Hawaii Supreme Court | LAW LIBRARY
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DUKE W. HOLT, Petitioner,
THE HONORABLE RHONDA A. NISHINURA, JUDGE OF THE CIRCUIT
COURT OF THE FIRST CIRCUIT, STATE OF HAWAI'I, Respondent.
ORIGINAL PROCEEDING
(CR. NO. 06-1-0017)
ORDER
Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of the petition for a writ of
prohibition -- styled an “application for a writ of mandamus” --
filed by petitioner Duke W. Holt and the papers in support, it
appears that the matter of the court-ordered polygraph
examination for purposes of the presentence investigation and
report will be reviewable on appeal of the sentence imposed in
the pending sentencing proceading in Cr. No. 06-1-0017.
Petitioner can appeal the sentence pursuant to HAS § 641-11
(Supp. 2007) and he is not entitled to the extraordinary relief
of prohibition. See Kena v. Gaddis, 91 Hawai'i 200, 204-05, 982
P.2d 334, 338-39 (1999) (A writ of prohibition is an
extraordinary remedy that will not issue unless the petitioner
demonstrates a clear and indisputable right to relief and a lack
of alternative means to redress adequately the alleged wrong or
obtain the requested action. Such writs are not intended to
supersede the legal discretionary authority of the lower courts,
nor are they intended to serve as legal remedies in lieu of
normal appellate procedures.). Accordingly,
IT IS HEREBY ORDERED that the petition for a writ of
prohibition is denied
DATE!
lulu, Hawai'i, November 6, 2008.
Bt HLrre—
Presctee Cr ceteey are>
BNO
Ynne Opin +
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b04f37bd-a079-4433-b721-d3416cb2ead1 | Office of Disciplinary Counsel v. Gould. S.Ct. Order Denying Petitioners Motion for Reconsideration, filed 12/23/2008 [pdf]. S.Ct. Order Denying Motion for Reconsideration, filed 04/20/2009 [pdf]. S.Ct. Order Denying Motion Pursuant to Rule 60 | 119 Haw. 265 | null | hawaii | Hawaii Supreme Court | ** FORPUBLICATION ***
in West's Hawai'i Reports and the Pacific Reporter
THE SUPREME COURT OF THE STATE OF HAWAI'I
‘000--~
OFFICE OF DISCIPLINARY COUNSEL, Petitioner,
BURTON D. GOULD, Respondent.
In Re Application for Reinstatement of
BURTON D. GOULD, Petitioner.
|
SEO oz A
No, 22239
O2tt
ORIGINAL PROCEEDINGS
NOVEMBER 20, 2008
MOON, C.J., LEVINSON, NAKAYAMA, ACOBA, AND DUFFY, JJ.
OPINION OF THE COURT BY MOON, C.J.
‘he Disciplinary Board of the Hawai'i Supreme Court,
pursuant to Rule 2.17(c) of the Rules of the Supreme Court of the
State of Hawai'i (RSCH), submitted its report and recommendation
on September 26, 2008, recommending that Petitioner Burton D.
could’s “Petition for Reinstatement be granted and that he be
reinstated to the practice of law in the State of Hawai". For
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the reasons discussed below, we respectfully disagree with the
Disciplinary Board’s recommendation
‘The Disciplinary Board concluded that Gould -- while
suspended -- committed multiple violations of the following
Hawai'i Rules of Professional Conduct (RPC) :
(2) Rule 8.4(c) (relating to conduct involving
dishonesty, fraud, deceit, or
misrepresentation);
(2) Rule 8.4(a) (violating a rule of professional
conduct)
(3) Rule 3.4(e) (knowingly disobeying an
obligation under the rules of a tribunal);
and
(4) Rule $.5(a) (practicing in a jurisdiction
where doing so violates the regulation of the
legal profession)
In our view, Gould's additional violations while suspended,
coupled with his explanations in regard thereto, belie the
Disciplinary Board’s conclusion that Gould "has overcome the
weaknesses which produced the earlier misconduct{.]* Moreover,
given these additional violations, it appears that Gould’s
cavalier disregard of the ethical rules that led to the
underlying five-year suspension has not abated. Consequently, we
deny Gould's petition for reinstatement to the practice of law.
1. BACKGROUND
d's Five-¥é
On September 15, 1999, the supreme court rejected the
Disciplinary Board’s recommended one year and one day suspension
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and suspended Gould for five years.’ The supreme court’s order
stated, in part:
‘The record establishes a cavalier disreaard of clear
Biles regarding settlenent of claims, contingent Tee
Sgrecnents, false statements, and misrepresentat ion.
But for the mitigating fact that Respondent Gould did
ot benefit financially, the egregious nature of
Respondent Gould's actions would merit disbarnent.
(Emphasis added.)
In addition to imposing the five-year suspension, the
suprene court’s order required “full compliance with RSCH [Rule]
2.16(4)* and “restitution to Fireman’s Fund [of] all amounts
[Gould] received . . . that were not subsequently paid to his
client, [the cliest’s) health care providers, or others on (the
client’s} behalf. The supreme court denied Gould’s motion for
reconsideration and awarded costs to the Office of Disciplinary
counsel (OPC). The awarded costs were subsequently paid.
Goula
suspension commenced October 15, 1999. Gould
was eligible to apply for reinstatement after April 15, 2002.
Seq RSCH Rule 2.17(b) ("An attorney suspended from practice for
more than one year may not apply for reinstatement until the
expiration of at least one-half of the period of suspension.*).
on October 21, 2005, Gould petitioned the supreme court for
reinstatement. On November 8, 2005, the petition was rejected
Briefly, Gould had failed to prepare and execute a contingent fee
egreenent with hig client in regards to a civil claim. Gould then ~~ without
Ma client's knowledge or authorization =~ settied the claim, signed hie
Ellest’s nane on the release and settlement check, deposived the proceeds into
Eis trust account, and filed » notice of dismissal with prejudice. In 60
doing, Gould violated HREC Rules 1.2(a), 1.5(c), 3.3(a) (1), tla), and
Bate)
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without prejudice to filing with the Disciplinary Board, as
required by RSCH Rule 2.17(c) ("Petitions for reinstatement by a
disbarred or suspended attorney shall be filed with the Board and
served upon Counsel ‘The Disciplinary Board received Gould’s
petition for reinstatement on January 22, 2007.
B. Gould's Actions while Suspended
First, Gould did not timely comply with RSCH Rule 2.16.
Indeed, his RSCH Rule 2.16(d) affidavit, due by October 25, 1999,
was not filed until May 1, 2008. Second, between February 1,
2005 and March 8, 2006, ODC received the following complaints
against Gould:
1. 0pC 8165: Tina Bass & Barry Shapiro
According to the hearing committee's findings of fact
(POF) 12, Tina Bass and Barry Shapiro, tenants evicted from
Gould's wife’s Maui property, complained that Gould was using the
designation “J.D.* (or Juris Doctor) after his name on his office
door
fs court, in imposing the underlying
, explicitly stated thar Gould's misconduct evinced va cave
Gisrogara of clear rules[.!* tevertheless, Gosld apparently aid not examine
the rules to determine the proper procedure for seeking Teinetatenent. Tf he
had, it ie inconceivable how he could have believed that f:
for reinstatement with the suprene court
RSCH Rule 2.17(c), which clearly states that *(pletitions for
Feinstatenent by a dish ended attorney ahall be filed with the
Bord and served don Counsel." "(Emphasis added.)
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in a letter dated February 21, 2005, Gould explained
that he had two law degrees
a Bachelor of Science in Law (or
B.S.L.) and a Bachelor of Laws (or L.L.B.). He indicated he had
contacted Northwestern University School of Law and learned that
Northwestern did not convert their L.L.B.s to J.D.s and promised
to change ‘all signage . . . to Burton D. Gould B.S.L., ..B.*
mm a letter to Gould, dated March 28, 2008, the opc
advised Gould that it had determined that Gould’s ‘improper use
of the signage, ‘J. D.," instead of ‘L.L.8., violated” HRPC
8.4(c) ("conduct involving dishonesty, fraud, deceit, or
misrepresentation") and HRPC 8.4(a) (violating a rule of
professional conduct), but that no discipline would be imposed
because neither Bass and Shapiro nor the legal system were
substantively harmed and because Gould stopped using the *'s.D.’
signage." (Emphasis added.)
2. O”C 8166: James L. Worley-Pali Kai Realtors
on December 29, 2004, under the letterhead of “Burton
D. Gould, J.D.," Gould wrote to *Robert* {James} Worley of *Poly*
(Pali) Kai Realty. The letter indicated that Gould was acting as
tagent for Mr. Alan Bradbury and Ms. Geneen Summer(.]" The
letter complained of mold and fungus in a purchased property and
said *(t]hey would like to resolve this problem without the
intervention of attorneys and protracted litigation.” Worley
wrote to ODC on January 17, 2005 ‘with the concern that Mr.
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Gould, by the tenure [sic] and the J.D. portion of his letter is
possibly acting as an attorney[.]*
During the investigation of the Worley matter, the 0DC
requested from attorney William McKeon, attorney for the
property’s homeowners association, information regarding his
dealings with Gould. In response, McKeon provided copies of
various correspondence, one of which was a November 11, 2004
letter from Gould, as agent for Bradbury and Summer, to McKeon,
attempting to *clarify* the “Bradbury-summer position’ with
regard to the mold/fungus problem. Upon verifying that Gould was
suspended, McKeon wrote to Bradbury and Summer, on November 19,
2004, requesting that any further correspondence cone from
Bradbury, the unit owner, not Gould.
In response to the Worley complaint, Gould stated, in a
letter dated February 7, 2005, that he had “agreed to act as
(Bradbury‘s and Summer’s] agent’ and, with regard to ‘the use of
J.D., [indicated] that is one of my degrees.” In a subsequent
letter to 0DC, dated June 11, 2007, Gould
responding
specifically to inquiries regarding his correspondence with
MeKeon
stated that he was “acting as an agent and not as an
attorney" and that he had stopped acting as Bradbury's agent when
éeKeon informed him of McKeon’s concerns
As with the Bass/Shapiro complaint, oDC, on April 2,
2008, determined that Gould’s ‘use of the improper signage,
‘.D.," instead of °L.L.B.,' violated" HRPC 8.4(c) (*conduct
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involving dishonesty, fraud, deceit, or misrepresentation) and
HRPC 8.4(a) (violating a rule of professional conduct"), but that
no discipline would be imposed because Worley, McKeon, and the
legal system were not substantively harmed. The oDc’s letter
also recited that ‘our office was instructed to issue you a
letter of caution regarding your violations of HRPC 8.4(c) and
EREC 8.4(a)."
3. 0c 8536: Paul A. Brooke, Esq./Edward Schmitt
Although Gould indicated that he stopped acting as an
in November 2004
agent for Bradbury when McKeon had
expressed his concerns about dealing with Gould, he continued to
act as agent for others. More specifically, a year later -- in
November 2005, -- attorney Paul Brooke asked oDC for
“clarification and instructions relative to interacting with"
Gould about Edward Schmitt's worker’s compensation claim. Brooke
indicated that Gould had sent a settlement demand with regard to
the clain and attached a copy of the demand to his request.
Gould also wrote to First Insurance Company ‘as agent for Mr.
Edward Schmitt." Brooke subsequently asked ODC to consider his
letter a formal complaint.
In response to the Brooke complaint, Gould wrote in a
letter dated January 26, 2006 that: (1) he had not held himself
out as an attorney authorized to practice law; (2) *[t]he labor
board allows agents without a law license to help injured
workers"; (3) “[blut for . . . Brooke’s rudeness, [he] would not
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have known . . . there was 2 ‘problem’*; (4) he did not believe
he had acted improperly: and (5) he believed he was "being
treated unfairly and singled out for selective punishment because
of [his] earlier mistake in judgment (.]*
In a letter dated april 2, 2008, the 0DC concluded
Gould’s letter to First Insurance Company violated ERPC 3.4(e)
("knowingly disobeying] an obligation under the rules of a
tribunal"), HRPC 5.5(a) (*practicling) law in a jurisdiction
where doing so violates the regulation of the legal profession"),
and HRPC 8.4(a) (violating the rules of the profession) and
imposed an informal admonition.
4. 00C 8549: DLIR/Gwendolyn Johnson
on March 8, 2006, Gould advised the DLIR that he
repr’
ented Gwendolyn Johnson and sought a hearing to determine
whether Johnson was entitled to medical care. The letter
contained no academic degree di
ignations. Via letter dated
March 9, 2006, the DLIR director asked Disciplinary Counsel, “Is
a suspended attorney allowed to represent claimants?" Johnson
also applied for a hearing and noted her ‘attorney, Burton Gould,
will be present.*
In response to ODC’s inquiry, Gould asserted that one
could “act as an agent and not do any act that constitutes the
practice of law," but that he had ‘decided not to act as an agent
for anyone at the Department of Labor.*
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im a letter dated March 16, 2006, Special Assistant
Disciplinary Counsel Alvin Ito advised Gould it was improper for
Gould “to represent an individual in a workers’ compensation
hearing, or to perform any acts that constitute the practice of
law.*? In an undated letter from Gould to attorney Robert Chong
(presumably, employer's attorney), Gould essentially indicated he
was ‘aiding’ Johnson, but “not representing her," and expressed a
willingness to convey ‘a fair offer." Chong declined to
communicate with Gould.
By letter dated April 8, 2008, ODC informed Gould that
his letter to the DLIR violated HRPC 3.4(e) ("knowingly
Gisobey{ing) an obligation under rules of a tribunal"), HREC
5.5(a) (*practic[ing] law in a juris@iction where doing so
violates the regulation of the legal profession"), and HRPC
8.44
(violating the rules of professional conduct) and imposed
an informal admonition
C. Goulds Petition for Reinstatement
upon receipt of Gould’s petition for reinstatement, a
hearing committee was appointed and hearings were had in the
usual course.‘ Gould testified and presented witnesses on his
fa letter dated April 2, 2006 from DLIR Director Nelson Befitel to
onc, aefitel indicated that, although DLIR allows son-attorneys to represent a
party in workers’ compensation adsinietrative nearings, “DLIR (would) defer!)
fo ObC on whether a suspended attorney is prohibited from appearing at DLIR
Gdninistrative hearinge under state lowe governing the practice of law."
For 20.
«me
Della Au
itial nearing committee menbers were Gilbert D. Butson, Chair;
ti, and Dennis Lombards. Belattl was disqualified and Sharon
(continued...)
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in West's Hawai'i Reports and the Pacific Reporter
own behalf; Michael Lee appeared on behalf of ODC. The hearing
conmittee’s findings sunmarized the testimony provided by Gould
and his witnesses with regard to compliance with suprene court
orders to pay costs and restitution, rehabilitation, fitness to
practice, and competence. The Committee concluded Gould had met
his burden of proving, by clear and convincing evidence,
reimbursement for costs, compliance with other court-ordered
requirements, including restitution payment, rehabilitation,
fitness to practice, competence, and compliance with orders and
rules
The Committee acknowledged Gould’s RSCH Rule 2.16(4)
affidavit was not timely and noted *he was suffering from a
severe reactive depression." with regard to compliance with RSCH
Rule 2.17(a), the Committee concluded:
Applicant substantially complied with RSCE [Rule] 2.17(a)
efor a period of for
fi
Tete: Neel Teant believed
that in a principa!-agent relationship, the principal
controlled the relationship, which distingstshed thie from
an attorney-client velationship, where the attorney
Silegediy controls the relationship. Applicant also
believed chat he could engage in a prineipal-agency
relationship in workers" compensation matters, since DLIR
Nearings officer Kevin Nishihara indicated that there was no
problem with Applicant helping an injured worker as an
agent. Applicant expressed renorse for his conduct, ceased
his actions after it was brought to Obc's attention, id not
appear at any court or administrative hearings for{,) and
id not collect any funde from{,| the above-mentioned
individuals, and resolved these matters with O0C.
*(. continued)
wong vas appointed in her place,
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(emphasis added.) The Committee acknowledged Gould's compliance
with the rules might "be less than perfect," but concluded he had
set forth in
‘established all elements for reinstatem:
RSCH [Rule] 2.17(b).*
The Disciplinary Board ‘accepted and adopted” the
Committee's FOFs, Conclusions of Law (COLs), ané recommendation.
TT, DISCUSSION
We disagree with the conclusions of the Committee and
Board that Gould established the requirements for reinstatement
in our view, Gould's words and actions establish otherwise.
In Fought & Co., Inc, v, Steel Engineering & Erection,
Inc., 87 Hawai'i 37, 951 P.2d 487 (1998), we explored the phrase
“practice of law.’ In part, we said:
‘The legislature recognized that
the practice of law is not linited to appearing
Before the courts.” Te consists, anong other.
things of the giving of advice, the preparation
Of any document or the rendition of any service
fo a tnira party B
where such advice, drafting
‘the use of any.
oF advocacy’
or 'rendition of service require
Gegree of legal knowledge, ski
Similarly, while it has explored the concepts
Gimensions, this court has never foraily defined the term
Spractice of law." in in re Ellis, 55 Haw. 58, 459-60,
522 P.24 460, 461-62 (1974), for example, an unlicensed
individual, wno had *#lled Sumerous papers, signed by
him, including but net limited to, various petitions,
Fequests for service, complaints, claims, joinder in
pleadings and cross-claim, appearances, objections to
Potions, suggestions of recusal, motions to disqualify
Opposing Counsel, other and novel forms of legal pleading -—
fogether with legal nenoranda and appendices thereto,” was
found to have engaged in the unauthorized practice of law.
In State v. Gilbert, 68 Haw. 226, 708 ?.24 138 (1985), a
person who wrote toa licensed attorney, claiming to
Fepresant a client, and signed the letter as vattorney for”
the client was determined fo have engaged in the practice of
lav.” More ecently, in Office of Disciplinary cougel v,
-11-
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ay, $5 mawas't 232, 981 P.24 295 (1997), thie court hela
that agreeing to represent a client and accepting retainer
feea, appearing before the Hawai Paroling Authority on
behalf of a client, preparing and signing, as a client's
fey, a motion’ eo continue a cage, and making an
appearance in court as counsel for a client were aspects of
sthe practice of law." [@, at 212-13, 215, 941 P.20 at
285-96, 298
Oar nOldings in Lau and the other cases cited above
are not incompatible with the proposition that che ‘practice
oi law entails far nore shan nerely appearing in cours
‘iogeedings. voreover, other jurisdictions, i seeking to
Getine the ‘practice of lew," have resched a eimilar
conciusion. “The California Suprere Court, for example, has
expressed the position that, for the purposes of that
State's statute restricting the practice of law to "active
nenber{e] of the state Bar," such practice includes *"the
Going and performing [of] services in a court of justice
any matter depending therein throughout its various
and in conformity with the adopted rules of procesure,” (the
Fendering of] legal advice(,] and legel instrument and
Contract preparation(.]" Bizbe
rior court at tal,
Sth iis, 70-Cal, Sper 2a 308, 308, 969 Pad t, 5 11998)
(quoting Beanie ex rel. Lawvers' 1
89 Cal. 531, 209 -P, 363
tiga
Id. at 45-46, 951 P.2d at 495-96 (emphases added) (some citations
omitted)
FOF 56(n)
(brackets in original)
‘The Committee found:
Gould) erroneously believed that he was not engaging
in the unauthorized practice of lay when be agreed to serve
fas agent for his personal friend, Alan Bradbury, former
clients, Gwendolyn Johnson and Edward Schaitt, and his
belief was due to: (4) that na principal-agent
relationship, the principal controlled the velstioaship,
hich distinguished this from an attorney-client
Felationship, where the attorney allegedly control the
yelationship; and (ii) Kevin Kighihars, DLIR fearinge
Officer, informing (Gould) thar there waa ao problem with
(Gould) ‘helping an injured worker as an agent
(emphasis added). Indeed, the attorney-client
relationship is a principal-agent relationship. see, e.q., Shin
w.Shin, 96 Hawai'i 122, 127, 27 P.34 398, 403 (App. 2001) (*the
attorney-client relationship is that of principal and agent and,
although an attorney cannot compromise and settle a client's
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claim without specific authorization to do so, the client is
bound by his or her attorney's acts and/or failures to act within
the scope of attorney's authority. Alt v. Krueger, 4 Haw. App.
201, 207, 663 P.24 1078, 1082 (1983)"). We are, therefore,
perplexed by the Committee’s reconmendation to grant
reinstatement, especially in light of its conclusion that Gould
“substantially complied with RSCH (Rule) 2.17(a), except for a
period of time where he acted as and agent of Alan Bradbury,
Guvendolyn Johnson, and Edvard Schmitt and wrote several letters
on their behalf," COL 73 (emphasis added). rt is apparent that,
notwithstanding Gould’s attempts to distinguish principal-agent
from attorney-client relationships, it is clear that Gould's
representation of Bradbury, Johnson, and Schmitt constituted the
practice law while he was suspended. The Committee, as evinced
by its FOF 56(n) quoted supra, agri
1d, having found that Gould
“exxoneously believed that he was not engaging in the
unauthorized practice of law when he agreed to serve as agent(.]*
As more aptly stated by this court in office of
Pisciplinary Counsel v, Lau (hereinafter Lau II], @5 Hawai'i 212,
941 P.24 295 (1997):
‘The integrity of the Licensing and
Aieciplinary processes relat:
directly challenged when a suspended atromey
‘Sontinuss te practice iv Ta violation ofa
Gsnension order. such a challenge undermines
the integrity of both the legal profession and
the dignity of the courts, and we will not
lenge £0 go unnoticed.
(© disbarment 1a generally appropriate when &
swyer intentionally or knowingly violates the
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tems of a prior disciplinary order. when an
gxder_of suspension is entered on the record ang
Taemay noe
eS Ty
Sharatterize the practice of lav while suapendea
agatvthine but Enowing. for purposes of ABA
Standard 8.2, practicing law while suspende 1s
a {further ace('] of misconduct" Ai a Bae
minimum euch violations and acts of nizconduct
hare the lesa] evsten, the orofessicn, snd the
BubLic By encouraging discemect fox the lax ang
ihe courte and <2 of
brivilese and arrogance. Thus, ve Rola that
Practicing law white suspended or disbarred
warrants the severe sanctions of suspension or
luau, 79 Hawas's at 206-07, 900 P.24 at 762-83 (citations and
Footnotes omizted)
cs S'Such blatant contempt for our rules and orders
merits the’ severest sanction, inasmich as that is che only
Senction that will be sufficient to protect the public.
Lau Il, 85 Hawai'i at 215, 941 P.2d at 298 (emphases added).
Gould's practice of law while suspended was treated
with uncharacteristic lightness by oDC and the reviewing board,
and Gould will not, apparently, be the subject of further
disciplinary proceedings. Gould’s actions, however, must be
considered in light of RSCH Rule 2.17(a)’s clear prohibition on
practicing while suspended’, RSCH Rule 2.17(b)'s criteria for
reinstatement, and our previously expressed concern about Gould’s.
“cavalier disregard of clear rules.” Under RSCH Rule 2.17(b):
An attorney suspended from practice for more than one year
Shall not Be reinstated unless he or she can show proc! of
the following by clear and convincing evidence
Eehabilitation, {itness to practice lav, competence and
brdere and culea, ana
rene court, whieh may include the
* ASCH Rule 2.17(a) states: ‘No suspended or disbarred attorney may
resune practice until reinstated by order of the suprene court except ae
Provided in Rule 17(d) [(related to administrative suspensions for nonpayment
ef bar dues) |”
a1
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guccesaful completion of requirements for passing the bar
No alspended or disbarred attorney shall be eligible
for reinstatenent except upon a stewing that he or she has.
sh ths ineiuaing
those incurred under ASCH (Rule) 2-20, Tf any, and the
Tamyers" Fund for Client Protection for monies paid out on
secount of the attorney's conduct, together with interest at
fe Hawai'i statutory Judament rate:
(Emphases added.) We address each of aforementioned areas as it
relates to Gould's showing before the Committee.
1. Rehabilitation
In attempting to prove rehabilitation, Gould pronised
the Committee he would, in sum:
+ get written authority to settle matters for a
client;
+ communicate settlement offers to clients in
writing;
+ dismiss lawsuits only with the client’s written
authority:
+ have his clients sign release or settlement
agreements; and
+ not use a power of attorney to sign releases and
Settlenents for clients
im response to examination before the hearing committee, Gould
also said he was renorseful about his prior conduct *and would
apologize to [his former client] for his prior conduct, if she
was present at the hearing.
To the extent that Gould’s promises show cognizance of
the rules and his willingness to comply with then, che most that
can be said is that Gould’s knowledge of the requirements of the
HREC are limited to those governing settlement matters, ise.
those rules that he violated and which served as the basis for
the underlying five-year suspension. In fact, Gould’s improper
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use of signage in violation of HRPC 8.4 and attempts to represent
clients and negotiate their claims while suspended in violation
of Rules 3.4, 5.5, and 8.4 demonstrate his limited knowledge of
our ethical rules. Moreover, as previously stated, Gould was
nade aware that some people might view his actions as engaging in
the unauthorized practice of law when he learned of McKeon’s and
Worley’s concerns. Nevertheless, despite those concerns, Gould
apparently never questioned whether there might be some merit to
to the view that he was engaging in the unauthorized practice of
law. A prudent person in Gould’s position would, at minimum,
have sought advice from the ODC so as to avoid risking any
further ethical violations. Indeed, as observed by this court in
LauIl, *{w]hen an order of suspension is entered on the record
and the rules clearly provide that the practice of law may not be
resumed except pursuant to an order of this court, it strains
credulity to characterize the practice of law while suspended as
anything but knowing. Lau I, 85 Hawai'i at 215, 941 P.2@ at
298. Finally, Gould’s practicing while suspended shows his
continuing cavalier disregard of the rules governing attorneys.
Even if we take at face value Gould's explanation that his
representation was merely that of principal-agent, such
explanation evinces a clear and substantive lack of understanding
about the nature of the attorney-client relationship.
-16-
*** FOR PUBLICATION ***
in West’s Hawai'i Reports and the Pacific Reporter
2. Fitness to Practice Law
With regard to fitness to practice law, Gould
testified:
+ he read publications, such as the Pacific
Reporter, Hawaii Reports, Annotated Law Reports,
and Corpus Juris Secundum;
+ he was current with statutory and case law in
areas of workers’ compensation and personal
injury: and
+ he tried to keep current with the HRPC.
Gould also described workers’ compensation personal injury
appellate cases, and he responded to questions about application
of the ERPC.
3. Competence & Compliance with Disciplinary Orders and
Rules
In addition to testifying on his ow behalf, Gould (and
the committee menbers) solicited testimony from Attorney Andrew
Von Sonn, John P. Dunbar, Peter Hart, and Gould's secretary, Any
Yorke. In sum, Yorke testified that she notified each of Gould's
clients about Gould’s suspension, advised the clients “to
consider Von Son's services or seek substitute counsel,” and
helped Gould close his trust and business accounts. According to
Gould, he testified he did not have anybody's money" in
accounts, he did not know what he did with his trust account, and
that ‘maybe [Yorke] closed” his trust and business account.
With regard to the late filing of the RScH Rule 2.16(4)
affidavit, Gould acknowledged he was supposed to file the
affidavit by October 25, 1999, but testified he ‘was depressed,
-17-
*** FORPUBLICATION ***
in West’s Hawai'i Reports and the Pacific Reporter
clinically depressed” and that he filed the affidavit in
2008 at Assistant Disciplinary Counsel Michael Lee's suggestion.
Although Gould's psychiatrist wrote that Gould suffered fron
Gepression in October 1993, there is no indication in the record
that his depression continued from that time until he filed the
required-affidavit in May 2008, over eight years after it was
ue. Thus, in sum, Gould's testimony verifies that he did not
comply with yet another rule, i.e., RSCH Rule 2.16(é) -- again,
Genonstrating a continuing cavalier disregard for rules.
4. Other Requirements Imposed by the Supreme Court
The Committee found that Gould complied with other
supreme court requirements; specifically, the requirement to pay
restitution to Fireman's Fund. The finding is supported by a
letter from a Firenan’s Fund *Clains Clerical Sr. Associate" that
attests to the payment.
5. Reimbursement for costs
‘The Committee found, and the suprene court's records
verity, that Gould paid the costs imposed by the suprene court’s
suspension order and subsequent cost order.
Based on the foregoing, the Committee concluded that
Gould ‘substantially complied with RSCH [Rule] 2.17(a),* COL 73
(emphasis added); however, we fail to see how the Coamittee could
so conclude and, at the same time, state, “except for a period of
time where he acted as an agent of Alan Bradbury, Gwendolyn
Johnson, and Edward Schmitt and wrote several letters on their
-18-
*** FOR PUBLICATION ***
in West's Hawai'i Reports and the Pacific Reporter
behalf.” COL 73 (emphasis added). Moreover, although Gould has
seemingly stopped the representations set out above when concerns
about then were raised, any conclusion that he has stopped
practicing while suspended is undercut by his ow testimony that
he is still helping people, but that he is not leaving a paper
trail. Specifically, Gould testified:
Q.__((By Butson)}: Can you understand from these
Kind of comments, why people might get the impression that
you continues to practice law in sup rosa-type setting?
‘a. ((By Gould)]: Yes, sir. That’ why 1 stopped,
r -- 1 wasn’t trying £0 practice law. “Again, the Labor
Board, those Labor Hoard cases was the ony case cutside of
ry friend, Alan Bradbury, where I wrote a letter as an
agent. There isn't. any paper I generated other than that
Becasze 7 saw how that was received or perceived, and T said
why help anybody. But T still hel Saeed
= or in any legal manner,
Q tSa you don't leave a paper trail?
y yeah, but X don't leave a paper teail
Pdon't +t don’t really benelit. from
any of this except helping somebody sles, 1 mean it’s Just
nd t agree, and I paid for my Dig
Based on a review of the FOFs and Cols, the record, and
transcripts in this case, we conclude that Gould has not met his
burden of showing, by clear and convincing evidence, that his
petition for reinstatement should be granted.
IIT. CONCLUSION
In light of the foregoing and given this court’s
vultimate responsibility to regulate the practice of law in this
state and to ensure that the integrity of the profession is
maintained by disciplining attorneys who indulge in practices
inconsistent with the high ethnical standards denanded of all
members of the bar," Akinaka v. Disciplinary ad, of the Hawai'i
-19-
*** FOR PUBLICATION ***
in West's Hawai'i Reports and the Pacific Reporter
Supreme Court, 91 Hawai'i $1, 5:
58, 979 P.24 1077, 1083-84
(1999) (internal quotation marks and citations omitted), we
cannot agree with the Board's recommendation to grant Gould's
petition for reinstatement. Accordingly, Gould's petition for
reinstatement to the practice of law in the State of Hawai'i is
Sfre—
BarG irre ~
Paste Carry Bree
0
Caner
denied,
-20-
| 4b9b25063f1adf873df705b6e2db7f4ab057a6f8a916850a860c476d2ad03a55 | 2008-11-20T00:00:00Z |
617bd2e8-3469-40ca-a866-5abe439e0b92 | Kahoohalahala v. Hiraga | null | null | hawaii | Hawaii Supreme Court | wo, 29415 gle
3
8
8
=
ROY T, HIRAGA, COUNTY CLERK, COUNTY OF MAUI, Respondent.
ORIGINAL PROCEEDING
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, 99.)
Upon consideration of the petition for a writ of
mandamus filed by petitioner Solomon P. Kaho'chalahala and the
papers in support, it appears that respondent's October 10, 2008
ruling did not decide whether petitioner vas nominated or elected
as 4 candidate in the Septenber 20, 2008 primary election, but
decided only that the challenges to petitioner’ s nomination
papers were untimely and that petitioner is a registered voter on
Lanai. The October 10, 2008 ruling was not tantamount to a
judgnent ina primary election contest given pursuant to HRS §
11-173.5(b) (1993), but was a ruling only on a challenge to
nomination papers and on a person’s voter registration status.
Jurisdiction to render such ruling was with respondent pursuant
to HRS $5 12-8(b) (1993) and 11-25(a) (1993). therefore,
petitioner is not entitled to mandamus relief. See Kena vs
Gaddis, 91 Hawai'i 200, 204, 982 P.2d 334, 338 (1999) (A writ of
mandamus is an extraordinary renedy that will not issue unless
the petitioner denonstrates a clear and indisputable right to
relief and a lack of alternative means to redress adequately the
alleged wrong or obtain the requested action.)? In Re
oats
Discipl ss rene Court, 91 Hawai'i 363, 368,
984 P.24 688, 693 (1999) (Mandamus relief is available to compel
an official to perform a duty allegedly owed to an individual
only if the individual's claim is clear and certain, the
official's duty is ministerial and so plainly prescribed as to be
free from doubt, and no other renedy is available.).
Accordingly,
IT IS HEREBY ORDERED that the petition for a writ of
mandamus is denied.
DATED: Honolulu, Hawai'i, October 30, 2008.
Gener &, Delis
| c358b54a78d6918a9292db71b9cc6aa564284614071b4b1bed77af7991c7b523 | 2008-10-30T00:00:00Z |
78908ad4-7b06-4f3b-abaa-99bfd0f5a5ba | Dalton v. Schunk | null | null | hawaii | Hawaii Supreme Court | no, 26922
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
SS
JUDITH A. DALTON, Respondent/Plaintiff-Appellee,
GOLDEN RULE CONSTRUCTION, Inc., a Hawai'i
Petitioners/Defendants-Appellants.
RICHARD A. SCHUNK,
corporation,
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(crv. No. 02-1-0036)
ORDER ING _APPLI FOR WRI RTIORAE
for the court!)
(By: Nakayama, J.,
Petitioners/Defendants-Appellants’ application for writ
of certiorari filed on August 21, 2008, is hereby rejected.
DATED: Honolulu, Hawai'i, September 23, 2008.
Peasmes OF oui Ure SEAL *}
e e!
Be oe uss
prian A. Costa and James A.
DeLacy of Costa § DeLacy, LLC
for petitioners/defendants-
appellants on the application
aats
Zhd C2 43S ae
ra
and Duffy, 1
"Considered by: Moon C.J, Levinson, Nakayama, Acob
| 1d8ee7f036b757c25cf267ddb5f9dac7ac940c5a378c514361d88ac5d7a5a602 | 2008-09-23T00:00:00Z |
9748ca9f-6c05-4309-9f6a-5306ce578cfb | Lee v. Unciano | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
No. 27971
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
‘TERRY LEE and WENDY P. BRELLOW-SCOTT, Plaintiffs-Appellee:
o -_
JOYCELYN WANDA UNCIANO, Defendant-Arpelianz? oO
aE =
iS mn
APPEAL FROM THE FIRST COURT - 8 o
enh St TE SESS z
DER DEN) ‘ION FOR RECON:
(By: Nakayama, J., for the court")
upon consideration of Defendant-Appellant’s motion for
reconsideration of the October 14, 2008 order denying the motion
for extension of time to file an application for a writ of
certiorari and the papers in support,
I? IS HEREBY ORDERED that the motion for
reconsideration is denied.
DATED: Honolulu, Hawai'i, October 23, 2008.
FOR THE COURT:
Pree Li recon
Associate Justice
Gary 1. Hartman
for defendant-appellant
on the motion
inson, Nakaysne, Accba, and Daffy, JJ.
‘considered by:
| a88b2265ae6bd592d83a4e30eea97080b28bdf17dd3e24e3c67eb8287c09d66f | 2008-10-23T00:00:00Z |
3d6bd70e-f7ba-4299-a70e-bf7268df54c2 | Gomes v. Hawaii Labor Relations Board | null | null | hawaii | Hawaii Supreme Court | LAWLipragy
No, 27477
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
CRAIG GOMES,
Petitioner/appellant-appeliant a] B
ws #3 3 =
a2 og =
HAWAIT LABOR RELATIONS BOARD; HawATTaN S2P_
ELECTRIC CO., INC.7 and pirecror, Zaz pO
DEPARTMENT OF LABOR AND TwOUSTAIAL Zale
RELATIONS, Respondents/Appellees-Appelleesap
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. 04-1-0393)
(By: Acoba, J., for the court")
‘The Application for Writ of Certiorari filed on
Septenber 23, 2008 by Petiticner/Appellant-Appellant Craig Gones
is hereby rejected.
DATED: Honolulu, Hawai'i, October 28, 2008
Bae
Associate Justice SEAL *|
Oe aa
Cn os
ES
Craig Gomes, petitioner/ “Noes
appellant=appellant,
Bib ser on the application.
James H. Hershey (Fukunaga
Matayoshi Hershey & Ching),
for respondent /respondent-
appellee Hawaiian Electric
Co., Inc., on the response.
putty, Ja.
Considered b:
Moon, °C.J-+ Levinson, Nakayama, Acoba, and
| c9cc41d92bbe3c31f3b56c7081c5d89734630d6bf946d262823c09c7eea87930 | 2008-10-28T00:00:00Z |
26903ed2-1111-451f-9f94-0ab47cb05c5e | Tasaki v. AIG Hawaii Insurance Company | null | null | hawaii | Hawaii Supreme Court | No. 28114
IN THE SUPREME COURT OF THE STATE OF HAWAT‘T
TODD T. TASAKI, D.D.8., M.S., INC., 2
Plaintift-nppellee-Petitioner, =
vs. > a
ATG HAWATY INSURANCE Cowen, 2NC., oF
2 6
2
3
Defendant-Appellant-Respondent. 218
CERTIORARI TO THE INTERMEDIATE COURT OF wie
(CIV. NO. 1RC06-1-789)
RDER GRANTING MOTION
ro witnpra Aeon or Neer be CERTIORARI
for the court’)
(By: Levinson, J.,
A of the motion to withdraw
Upon considerati
application for writ of certiorari filed on October 30, 2008 by
the plaintiff-appellee-petitioner Todd 7. Tasaki, 0.D.S., M.S.,
the motion is hereby granted.
DATED: Honolulu, Hawai'i, November 6, 2008.
FOR THE COURT:
Aha Bcicte it
Stevens, vevinsoygr™
Associate Justice/g
Inc.
Tan L. Mattoch and SEAL
Daniel P. Kirley, 8,
RE on we
for the plaintiff-appellee-petitioner,
fon the motion
Moon, C.J. Levinson, Nakayama, Acoba, and Duffy, JJ.
1 considered by
| f8384c3dbe665b8b12c0c92b538079aa234cc5fb9ee441ecb99e25005708381a | 2008-11-06T00:00:00Z |
6497449a-b8a2-4c1e-9697-1497808b8cdd | Rapozo v. Better Hearing of Hawaii, LLC | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
NO. 27602 a
TM THE SUPREME COURT OF THE STATE OF HAWASEIT SF
ss 8
=F 8-3
MERVYN RAPOZO, Petitioner/Plaintift-appeliei® = &
a5 8
vs 4] = 9
é
BETTER HEARING OF HAWAII, LLC, Respondent /Defendant~Appellant
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. RC-05~1-0221)
(By: Duffy, J., for the court")
Petitioner/Plaintiff-Appellee Mervyn Rapozo’s
application for a writ of certiorari, filed on September 10,
is hereby accepted and will be scheduled for oral argument.
2008,
‘The parties will be notified by the appellate clerk regarding
scheduling.
DATED: Honolulu, Hawai'i, October 20, 2008.
FOR THE COURT:
Goren, Days r+
Associate Justice
Joe P. Noss
for petitioner /plaintit£-
appellee on the application
Wichele-Lynn E. Luke
for respondent /defendant-
appellant on the response
considered by: Moon, C.J., Levinson, Nakayama, Accba, and Duffy, JJ,
| d3ae42dd521a4b989528df3ecbe3a90ac5f2afbf89549c8c38ef22e0b845816f | 2008-10-20T00:00:00Z |
2c8dd3b5-48e5-4d9e-b710-27cbe6ea0bd2 | Office of Disciplinary Counsel v. Gould | null | null | hawaii | Hawaii Supreme Court | ‘AW UBRARY
No. 22239
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
OFFICE OF DISCIPLINARY COUNSEL, Petitioneg,
BURTON D. GOULD, Respondent.
In Re Application for Reinstatement of
L231 Wd £2 330 G00
BURTON D. GOULD, Petitioner.
ORIGINAL PROCEEDINGS
(By? Moon, C.J., for the court")
upon consideration of petitioner's motion for
reconsideration, filed Decenber 1, 2008, made pursuant to Rule 40
of the Hawai'i Rules of Appellate Procedure, "Petitioner's
Supplement to Petitioner's Motion For Reconsideration of order Of
Suspension Filed December 1, 2008," filed December 16, 2008, and
che recoré,
IP IS HEREBY ORDERED that the motion for
reconsideration is denied
DATED: Honolulu, Hawai'i, December 23, 2008.
SE
FOR THE COURT: ie QW
Lfprior— ie, SEAL ~
she sete yg)
considered by: Moon, ¢
levinson, Nakayama, Acoba, end Daffy, 99.
| f361dbf23b7133085e1b5ab7ad54ab92b5ff2f54c90d29e3963ed68377b3a3f3 | 2008-12-23T00:00:00Z |
42f158ed-6c9f-414e-a16d-31bdfedc2194 | Caberto v. Maui Electric Company | null | null | hawaii | Hawaii Supreme Court | LAW CLERKS,
Wo, 27494
OF HAWAI'I
IN THE SUPREME COURT OF THE STA’
BENEDICTO C. CABERTO,
Claimant ~Appellant-Appellant~Petitioner,
oad
MAUI ELECTRIC COMPANY,
Employer-Appel lee-Appel lee-Respondent .
Nr 9 as
‘Wuva 1 WRUOH
SEZ Hd 821909002
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(NO. AB 2002-447 (M) (5-92-03123) }
(By: Levinson, J., for the court, and
‘Acoba, J., dissenting separatel:
Upon consideration of the application for writ of
certiorari filed on September 18, 2008 by the claimant-appellant-
appellant-petitioner Benedicto C. Caberto, the application is
hereby rejected,
DATED: Honolulu, Hawai'i, October 28, 2008.
David M. Robinson,
for the claimant-appellant-
appellant ~petitioner,
on the application
Stanford M.J. Manuia,
for the employer-appellee-
appellee-respondent,
on the opposition to the
application
1 considered by: Moon, C.J., Levinson, Nakayama, Accba, and Duffy,
| f4c22e400ca8e3a1116c48a877962cb3f1752ca3e41148c3f8f02c7e24291ad0 | 2008-10-28T00:00:00Z |
b028d236-88c5-433c-b2df-1a2a243c338f | Williams v. Department of Public Safety, State of Hawaii | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
no. 29405
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
OAVID V. MELLIANE, oR., Petitioner, pj gp
ve. a. 8
DEPARTMENT OF PUBLIC SAFETY, z =
STATE OF HAWAI'I, Respondent - 2G
ORIGINAL PROCEEDING
RDER a
(By: Moon, C.J., Levinson, Nekayama, Acoba, and Duffy, JJ.)
Upon consideration of David V. Williams, Jr.'s
motion for immediate release from imprisonment, which is deemed a
petition for a writ of habeas corpus, it appears that habeas
corpus relief is available to petitioner in the circuit court and
petitioner presents no special reason for invoking the supreme
court’s original jurisdiction. See Qili v. Chang, 57 Haw. 511,
512, 557 P.2d 787, 788 (1976). Therefore,
If IS HEREBY ORDERED that the clerk of the appellate
court shall file the petition for a writ of habeas corpus without
payment of the filing fee.
IT 1S FURTHER ORDERED that the petition for a writ of
habeas corpus is denied without prejudice to seeking habeas
corpus relief in the circuit court.
IT IS FINALLY ORDERED that petitioner's motion for
appointment of appellate counsel is dismissed without prejudice
iling the motion with the intermediate court of appeals in
No. 29343,
DATED: Honolulu, Hawai'i, October 15, 2008.
BlacPiirnin.
Ratu Orawduyores
ots
Bone Satis
aad
| 3dd67065abfb3922b8167b4cde75fdc026b5ce0c43e57d677bfca910bb63a2da | 2008-10-15T00:00:00Z |
74ce28da-6243-479e-bbfd-33585e48d43b | Estate of Francisco Sison vs. Estate of Ferdinand E. Marcos | null | null | hawaii | Hawaii Supreme Court | No, 29372
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
ESTATE OF FRANCISCO SISON, JOSE MARIA SISON, and
vaaMe Provonsco, Flaine #ts-Ropeitants,’ 2) pp
ESTATE OF FERDINAND E. MARCOS, Defendant-AppSHlge.
ORIGINAL PROCEEDING sgis >
ORDER ON CERTIFIED OUESTION z
(By: Moon, C.J., Nakayama, and Duffy, JJ.,
Intermediate Court of Appeals Judge Leonard, in place
of Levinson, J., recused, and Intermediate Court
of Appeals Judge Fujise, in place of Acoba, J., recused)
Upon consideration of the order of the United states
District Court for the District of Hawai'i requesting the Suprene
Court of the State of Hawai'i to answer the certified question,
it appears that the question is amenable to answer by this court
pursuant to Hawai'i Rules of Appellate Procedure (HRAP) Rule 13.
‘Therefore,
IT IS HEREBY ORDERED, without conclusively determining
whether this court will answer the question, that:
1. Pursuant to HRAP Rule 28(e), plaintiffs Estate of
Francisco Sison, Jose Maria Sison, and Jaime Piopongco are
designated the appellants for purposes of this proceeding and
shall pay the required filing fee for an original proceeding in
this court.
2. Defendant Estate of Ferdinand E. Marcos is
designated the appellee for this proceeding.
Pursuant to HRAP Rule 13(c), Plaintiffs-Appellants
shall make all necessary arrangements with the clerk of the
O34
United States District Court for the District of Hawai'i to
transmit the original or certified copies of the pending federal
court case to this court. It shall be the responsibility of
Plaintiffs-Appellants to ensure that the record is received in
this court within thirty days from the date of this order.
4. After the record is filed in the supreme court,
Plaintiffs-Appellants shall file an opening brief within the tine
provided by HRAP Rule 28(b). The opening brief shall conform to
the format and content requirements of HRAP Rule 28, insofar as
applicable. A statement of jurisdiction pursuant to HRAP Rule
12.1 is not necessary.
5. Thereafter, Defendant-Appellee shall file an
answering brief within the time provided by HRAP Rule 28(c). The
answering brief shall conform to the format and content
quirements of HRAP Rule 28, insofar as applicable.
6. Plaintiffs-Appellants may file a reply brief in
accordance with HRAP Rule 28(4).
DATED: Honolulu, Hawai'i, October 15, 2008,
Gn
Dinka Oe ree
Bont Ludtads.
| 9aefe45899d8ab6f05269aae31ae0e3e14289aa1b30b771df0d32cc8c80cd987 | 2008-10-15T00:00:00Z |
a5785b41-58a5-4a60-942c-c2525458d18e | Tierney v. District Court of the Fifth Circuit, State of Hawaii | null | null | hawaii | Hawaii Supreme Court | No, 29355
IN THE SUPREME COURT OF THE STATE OF HAWATS
MICHAEL C, TIERNEY, Petitioner,
iad
3
2 Wd) 9 190 0002
us
DISTRICT COURT OF THE FIFTH CIRCUIT, STATE OF HAWAI'r,
Respondent.
ORIGINAL PROCEEDING
(CR. NOS. 5P108-886, 0504068K, A0SO4068K, and B0504068x)
ORDER
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of petitioner Michael C. Tierney’s
petition for a writ of mandamus and the papers in support, it
appears that petitioner posted cash bail of $750.00 in district
court Cr. Nos. SP108-886, 0504068K, ADSO4068K, and BOSO406EK.
‘The district court forfeited the bail on June 4, 2008 and
notified petitioner that
Pursuant to HRS § 804-51 (Supp. 2007], the Court
shall execute upon the judgnent of forfeiture
unless, within thirty (30) days of the date that
this notice is received, a Motion or Application
is filed with the Court’ showing good cause why
execution should not issue upon the judgment.
Upon timely filing of such motion or application,
a hearing will be held thereon and the Court will
determine if the judgment of forfeiture should be
vacated.
‘The district court’s notice of forfeiture was received by
petitioner on June 19, 2008. Twenty-seven days later, on
July 16, 2008, petitioner filed a “action to return bail bond,”
which the district court calendared for hearing on August 1,
2008. On July 29, 2008, the district court, without a hearing
and in petitioner's absence, ordered the final forfeiture of
oad
petitioner's bail. On August 14, 2008, the district court, in
petitioner's absence, dismissed petitioner's cases in Cr. Nos.
SP108-886, 0504068K, AOSO40EBK, and B0S04069K and determined that
the dismissal mooted petitioner's July 16, 2008 “motion to return
bail bond.”
A writ of mandamus will issue where a petitioner
denonstrates a clear and indisputable right to relief and a lack
of alternative means to redress adequately the alleged wrong or
obtain the requested action. Kena v, 1 91 Hawai'i 200,
204, 982 P.2d 334, 338 (1999). Mandamus relief is available when
4 court has refused to act on a subject properly before the court
under circumstances in which it has a legal duty to act. id. 92
Hawas's 204-205, 982 P.2d at 338-339.
Petitioner's July 16, 2008 “motion to return bail bond”
=> filed within thirty days after petitioner received the
district court's notice of forfeiture -- appears to have been a
timely motion under HRS § 604-51 to set aside the bail forfeiture
in Cr. Nos, 5P108-886, OS04068K, AOSOAO6K, and BOSO4O6K, The
motion was properly before the district court, in which case HRS
§ 804-51 required the district court to hold a hearing on the
motion, to sustain or overrule the motion, and to vacate or
execute the forfeiture. See HRS § 804-51. Cr. Nos. SP108-896,
O504069K, AOSOAOEBK, and BOSO4OGEK have been dismissed and
petitioner has no alternative to the instant petition.
Accordingly,
TT IS HEREBY ORDERED that the petition for a writ of
mandamus is granted as follows:
‘The district court of the fifth circuit shall
forthwith: (1) hold a hearing in Cr. Nos. 5P108-886, 0504068K,
A0S04068K, and BOSOAO6SK on defendant Michael C. Tierney’s
ba:
jon to ret!
bond” filed on July 16, 2008; and (2)
either sustain the motion and vacate the July 29, 2008 final
forfeiture of bail or overrule the motion and affirm the July 29,
2008 final forfeiture of bail
DATED: Honolulu, Hawai'i, October 6, 2008.
Nene OS ave jares
Yormn € Belaga ty
| 3b0f6747a82fe2ab006f34185636d2afd2f7091dcadac90d200c2169fa3fa980 | 2008-10-06T00:00:00Z |
5b7c3ce0-bc0c-4ed2-97be-e83bdb228a4c | State v. Thate | null | null | hawaii | Hawaii Supreme Court |
iseany
No. 27888
THE SUPREME COURT
OF THE STATE OF HAWAT'T
STATE OF HAWAI'I,
Respondent -Appellee,
IN
PATRICIA THATE,
Petitioner-Appellant.
CERTIORARI
TO THE INTERMEDIATE COURT OF APPEALS
(Po-cR. NO. 05-1-2133)
ORDER REJECTING APPLICATION FOR WRIT OF CERTIORARI
(By: Nakayana,
J., for the court’)
Petitioner-Appellant’s application for writ of
certiorari filed on September 4, 2008, is hereby rejected.
DATED: Honolulu,
Wwai'i, October 15, 2008.
FOR THE COURT:
Dean Oa Oe
Associate Justice
Ronette M, Kavakani,
Deputy Public Defender,
for petitioner-appellant
én the appileation
oats
S
a
2
&
Moon, C.J., Levingon, Nakayama, Acoba, and Duffy, JU.
| 94cf612bb4201f7950c940dde319444481ca99c9bd203624747f36e0fc778996 | 2008-10-15T00:00:00Z |
dd869273-ba1b-449a-af24-d9eee4296438 | Schmidt v. Real Estate Commission, Department of Commerce and Consumer Affairs, State of Hawaii | null | null | hawaii | Hawaii Supreme Court |
AW LIBRARY
No. 27538
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
THOMAS F. SCHMIDT, dba TOM SCHMIDT REALTORS,
Petitioner /Respondent-Appellant
REAL ESTATE COMMISSION, DEPARTMENT OF COMMERCE AND CONS!
AFFAIRS,
ER
STATE OF HAWAII, Respondent /Petitioner-Appellee
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. 05-1-0523)
ORDER REJECTING APPLICATION FOR Wi
(By: Duffy, J., for the court")
Petitioner/Respondent-Appellant Thomas F, Schmidt, dba
‘Tom Schmidt Realtors’ application for a writ of certiorari, filed
on September 5, 2008, is hereby rejected.
DATED: Honolulu, Hawai'i, October 7, 2008.
FOR THE COURT:
Wann Radi Bre
Associate Justice
R. Steven Geshell
for petitioner/respondent-
appellant on the application
John 7, Hassler
for respondent /petitioner-
appellee in opposition
oras0 308,
ane
qa
eee HY L- 1908002
Considered by: Moon, C.J., Levinson, Nakayama, Accba, and Duffy, 33.
| e1c60821cf3e1f34ef07907df999930eaca8532a3e061f043dfddc41bc7aab36 | 2008-10-07T00:00:00Z |
26141171-4573-45bb-83b2-948ea183551a | Canales v. Artiga | null | null | hawaii | Hawaii Supreme Court |
RARY
No. 28908
IN THE SUPREME COURT OF THE STATE OF HAWAT‘T!
3
JOSE LUIS ANDRADE CANALES AND TORITO’S MEXICAN IN
‘ORITO'S MEXICAN INC. II, g
Respondent s/Plaintiffs-Appel lees,
oa
JULIO RODOLFO MELENDEZ ARTIGA, YOSHIMI MAKIMOTO, AND JULIO’S
‘ACCOUNTANT CORPORATION,
Petitioners/Defendants-Appellants,
and
JOHN DOES 1-10, JANE DOES 1-10, DOE PARTNERSHIPS 1-10, DOE
‘CORPORATIONS 1-10, AND DOE GOVERNMENTAL ENTITI8S 1-10,
Defendanta.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(cIVv. NO. 07-1-1597)
)RDER APPL
7 OP CBI
(By: Moon, C.J.
for the court’)
Petitioners/defendants-appellants Julio Rodolfo
Melendez Artiga,
Yoshimi Makimoto, and Julio’s Accountant
Corporation’s application for writ of certiorari, filed on August
26, 2008, is hereby accepted.
DATED: Honolulu, Hawai'i, September 19, 2008.
FOR THE COURT:
Let Justice
| uavingon, Nakayans, Xeoba, and Duffy, 4.
© considered by: Moon, ¢.5.
| 5c46479401a7bdde30f5eb1929bc7553f34ed3774c8bc12ab9bea5bdaec88ca4 | 2008-09-19T00:00:00Z |
a6d10168-74e7-43fb-b554-ddf27917919e | Martin v. Lingle | null | 29414 | hawaii | Hawaii Supreme Court | LAW UBRAR
No. 29414
IN THE SUPREME COURT OF THE STATE OF HANAI'I
ANDY MARTIN, Petitioner, ¥
aad
LINDA LINGLE, Governor,
DR. CHIYOME FUKINO, in her capacity as Direckt
of the Department of Health, State of Hawai'i; Shd
‘THE HONORABLE BERT I. AYABE, JUDGE OF THE CIRCUIT@OURT
OF THE FIRST CIRCUIT, STATE OF HAWAII, Respondents.
NORV 22 190
ORIGINAL PROCEEDING
(ev. No. 0-1-2147)
(ay: Moon, C.J., Levinson, fakayama, Acoba, and Duffy, 29.)
upon consideration of the petition for a writ of
mandamus filed by petitioner Andy Martin and the papers in
support, it appears that the issuance by the Department of Health
of a certified copy of a vital statistics record to petitioner
was not mandatory, but involved the exercise of discretion and
judgment. See HRS § 238-18(b) (Supp. 2007) (The department snail
disclose vital statistics records to those persons enumerated in
HRS § 339-18(b) (2) through (13)7 otherwise, “[t]he department
shall not permit inspection of public he
th statistics records,
or issue a certified copy of any such record or part thereof,
unless it is satisfied that the applicant has a direct and
tangible interest in the record.”), Therefore, petitioner is not
entitled to mandamus relief against the respondent public
officials. See In Re Disciplinary Bd, of Hawaii Supreme Court,
91 Hawas'i 363, 368, 984 F.2d 688, 693 (1999) (Mandamus relief is
available to compel an official to perform a duty allegedly owed
to an individual only if the individual’s claim is clear and
certain, the official’s duty is ministerial and so plainly
prescribed as to be free from doubt, and no other remedy is
available.); Salling v. Moon, 76 Hawai'i 273, 274 n. 3, 874 P.2d
1098, 1099 n.3 (1994) ("A duty is ministerial where the law
prescribes and defines the duty to be performed with such
precision and certainty as to leave nothing to the exercise of
discretion and judoment.”).
It further appears that the Hawai'i Rules of Civil
Procedure and the Rules of the Circuit Courts of the State of
Hawai'i do not provide petitioner with a clear and indisputable
right to a telephonic hearing or an expedited hearing in Civil
No. 08-1-2147, Scheduling a hearing for November 7, 2008 and
requiring petitioner to personally appear at the hearing was
within the discretion of the respondent judge and was not a
flagrant and manifest abuse of discretion. Therefore, petitioner
is not entitled to mandamus relief against the respondent judge.
See Kema v, Gaddis, 91 Hawai": 200, 204-05, 982 P.2d 334, 338-39
(1999) (A writ of mandamus is an extraordinary remedy that will
not issue unless the petitioner demonstrates a clear and
indisputable right to relief and a lack of alternative means to
redress adequately the alleged wrong or obtain the requested
action. Such writs are not intended to supersede the legal
discretionary authority of the lower courts, nor are they
intended to serve as legal remedies in lieu of normal appellate
procedures. Where a court has discretion to act, mandamus will
not lie to interfere with or control the exercise of that
discretion, even when the judge has acted erroneously, unless the
2
judge has exceeded his or her jurisdiction, has committed a
flagrant and manifest abuse of discretion, or has refused to act
on a subject properly before the court under circumstances
which it has a legal duty to act.). Accordingly,
a writ of
IS HEREBY ORDERED that the petition f
mandamus is denied.
DATED: Honolulu, Hawai'i, October 22, 2008.
| bfe43bac081064bfc7cb49253ab3a34044b93249fc3bd57f70adbd3bdd099deb | 2008-10-22T00:00:00Z |
88a677f8-8fea-4244-9fbd-df0e6c51ef9b | Office of Disciplinary Counsel v. Magarifuji | null | null | hawaii | Hawaii Supreme Court | no, 26183
IN THE SUPREME COURT OF THE STATE OF HAWAT'T ggg
OFFICE OF DISCIPLINARY COUNSEL, Petitioners
ays
(ope NOS, 03-261-7861; 03-262-7862)
RD NT
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
upon consideration of the Office of Disciplinary
Counsel’s “Request that Respondent Jon H. Magarifuji be
Reinstated to the Practice of Law in Hawaili[,]” the papers in
support thereof, and the record, it appears that: (1) on
January 16, 2004, Respondent Magarifuji was suspended from the
practice of law in Hawai", pursuant to Rule 2.12A of the Rules
of the Supreme Court of the State of Hawai'i (RSCH), for failure
to cooperate with the disciplinary investigations of oDC 03-261-
7861 and OC 03-262-7862; (2) Rule 2.12A(b) states that a RSCH
2.128 suspension “shall be effective immediately and until such
time a2 the disciplinary proceedings before the Disciplinary
Board have been concluded, and until further order of this
court”; (3) the Office of Disciplinary Counsel states that
Respondent Magarifuji cooperated with and supplied the Office of
Disciplinary Counsel with the information and documents needed to
completely address and resolve 0DC 03-261-7861 and 0DC 03-262
7862; and (4) the Office of Disciplinary Counsel requests that
Respondent Magarifuji be reinstated to the practice of law in
Hawai'i. Therefore,
IT IS HEREBY ORDERED that Respondent Magarifuji is
reinstated to the practice of law in Hawai'i, effective upon
entry of this order and payment of applicable dues and fees.
DATED: Honolulu, Hawai'i, October 7, 2008.
Charles 8. Hite,
Acting Chief Disciplinary
Counsel and Michael T.
Lee, Assistant Disciplinary
Counsel, on the request RoBi origam
for petitioner,
Ricctes Oats
22 OO
Gen ett
| dd57c45bda3c715c247f11047e9c0723c4883876a382ae792725821489a791cf | 2008-10-07T00:00:00Z |
f95f612b-1a12-4a41-a456-2a38a809e0de | Siminski v. Kihei Youth Center, Inc. | null | null | hawaii | Hawaii Supreme Court | NO. 27604 & 27605
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
a
EDA M, SIMINSKI, Petitioner-Appellant,
vs
KIHEI YOUTH CENTER, INC., and HAWAII EMPLOYERS MUTUAL
INSURANCE COMPANY, INC., Respondents-Appellees.
CERTIORARI 70 THE INTERMEDIATE COURT OF APPEALS
(CASE NOS. AB2004-039(M) (7-03-01264)
‘& AB2004-181(M) (7-02-01106))
ORDER REJECTING APPLICATION FOR Ri? OF CERTIORARI
(By: Moon, C.c., for the court")
Petitioner-appellant Eda M. Siminki’s application for
writ of certiorari, filed November 21, 2008, is hereby rejected.
DATED: Honolulu, Hawai'i, December 24, 2008.
FOR THE COURT:
aaus
Lo: HY 92 930 0002
C.J., Levinson, Nakayama, Acoba, and Duffy, JY.
| f26e44e9806d08f26cf4e9f3e9231b657cff4b7c17ca46e0c4ef2f02cdfffc7d | 2008-12-24T00:00:00Z |
66a026ce-e3a1-46c1-a0b1-d03511e1d5a6 | Bates v. Hughes | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
No. 29134
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
TIMOTHY =. BATES,
Respondent /Claimant-Appellee/Appellee, ©
aang
KEVIN M. HUGHES dba SOUTH PACIFIC PAINTING,
Petitioner /Employer-Appel lant /Delinquent -Appel ant,
and
"S214 2 asauay
ALOHA PAINTING,
Respondent /Employer-Appel lee/Delinquent -Appellee,
and
SPECIAL COMPENSATION FUND,
Respondent /Appellee-Appel lee/Delinquent Appellee.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(7-04-02843) )
(CASE NO. AB 2005-441(M) (7-04-03265)
ORDER DENYING EX-PARTE MOTION FOR PERMISSION 70 FILE
WRIT_OF CERTIORARI AND DISMISSING APPLICATION FOR
x
(By: Moon, C.3. for the court!)
Upon consideration of petitioner/employer-cross-
appellant /delinquent-appellant Kevin M. Hughes dba South Pacific
Painting’s ex-parte motion for permission to file a late
application for writ of certiorari and petitioner's application
the
for writ of certiorari, both filed on December 15, 2008,
papers in support thereof, and the record herein, it appears that
the time for filing an application for writ of certiorari is
Levingon, Nakayama, Acoba, and Duffy, JJ.
* considered by: Moon, ¢.J.
governed by Hawai'i Revised Statutes § 602-59(c) (Supp. 2007)
which requires an application for writ of certiorari to be filed
“no later than ninety days after the filing of the judgment or
dismissal order of the intermediate appellate court” and does not
permit an extension of the ninety-day period. ‘The ninety-day
statutory period cannot be extended pursuant to Hawai'i Rules of
Appellate Procedure (HRAP) Rule 26(b), which permits the
appellate court to extend a time “prescribed by these [HRAP]
rules* and does not permit the appellate court to extend a time
prescribed by statute. therefore,
I? IS HEREBY ORDERED that the motion for permission to
file a late application for writ of certiorari is denied.
IP IS FURTHER ORDERED that the application for writ of
certiorari, filed December 15, 2008, is dismissed as untimely.
DATED: Honolulu, Hawai't, December 23, 2008.
FOR THE COURT:
Reese
| 80650c37f58f97bd3d4715e4bdba5dc5f5139e01757b5b3d87064b96dba1f7e3 | 2008-12-23T00:00:00Z |
6a6c952a-f351-484b-837c-3c1c3d93f353 | Liu v. State | null | null | hawaii | Hawaii Supreme Court | No. 26111
1 a38 a0ue
ante
IN THE SUPREME COURT OF THE STATE OF HAWAI‘T”
=
JANE LIU, Petitioner/Petitioner-Appellant
STATE OF HAWAI'I, Respondent /Respondent-Appellee
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. 18D06-1-2)
PLICI
(By: Duffy, J., for the court)
Petitioner/Petiticner-Appellant Jane Liu’s application
for a writ of certiorari, filed on August 18, 2008, is hereby
rejected.
DATED: Honolulu, Hawai'i, September 17, 2008.
FoR THE COURT: er QD
Cone ast
eee
Associate Justice
Jane Lin,
petitioner/petitioner-
appellant pro se,
on the application
considered by: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, J
| 7843f4e92c4e7bbb9267d8644bbac9a766f55e14b71f84f459fbd0e7c39cbe1e | 2008-09-17T00:00:00Z |
c6dcddbc-eb43-4f7d-b7d4-9d3710dc3999 | Hirakawa v. State | null | null | hawaii | Hawaii Supreme Court | No. 28445
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
Petitioner/Petitioner-Appellant
MASON HAROLD HIRAKAWA,
STATE OF HAWAI'I, Respondent/Respondent-Appellee
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(8.P.P. NO. 06-1-0009; CR. NOS. 02-1-1700 and 04-1-0321)
(By: Duffy, J., for the court, and
Acoba, J., dissenting!)
Petitioner/Petitioner-Appellant Nason Harold Hirakawa’s
filed on July 28, 2008
application for a writ of certiorari,
hereby rejected.
DATED: Yonolulu,
Hawai'i, August 27, 2008.
FOR THE COURT:
Une, decease
Associate Justice
IF on
Mason Harold Hirakawa,
petitioner/petitioner~
appellant pro se,
on the application
}
ey
e
Cen
2
84s] hd 12 ony aug
Moon, C.J., Levinson, Nakayama, Accba, and Duffy, 3.
considered by:
qq
| 240eb8a857ed44755aced11f805f20e6c59b323b04d6ea9cfa0dcf87f9ebe3d3 | 2008-08-27T00:00:00Z |
3e43d08b-0a7b-49df-9f71-7c2ed53f53a6 | Clark v. Arakaki | 119 Haw. 135 | null | hawaii | Hawaii Supreme Court | Tew UBRARY
THE SUPREME COURT OF THE
---000:
and MATTHEW BINDER,
Plaintiffs-Appellants,
JAMES ARAKAKI, in his official capaci|
CASEY JARMAN, in her official capacity as County Clerk
‘and Chief Election Officer for the County of Hawai'i,
KEVIN B. CRONIN, in his official capacity as Chief Election
Officer for the State of Hawai't,
JOHN DOES 1-10, JANE DOES 1-10,
PARTNERSHIPS,
ty as a candid:
COUNTY OF HAWAT'T,
DOE CORPORATIONS,
GOVERNWENTAL UNITS of OTHER ENTITIES 1-20,
Defendant s-Appellees.
wo. 26976
sg 8 a
MOTION FOR RECONSIDERATION Bes oF
(erv. No. 941-0225) 2S
ee = 9
cocroseR 7, 2008 242 =
3
MOON, C.J., LEVINSON, NAKAYAMA, AND DUFFY, JJ% 7
‘AND ACOBA,, Jy, DISSENTING
befendant-Appellee Janes Arakaki"s motion for
reconsideration of the opinion filed on August 29, 2008, and
Defendants-Appellees County of Hawai'i and Casey Jarman, in her
official capacity as coun
y clerk and chief elections officer's
partial joinder in Defendant-Appellee James Arakaki’s motion for
nsideration is hereby d
| febef7d2f8353f4313034708cb2d1ee01937498683b9c0948fadcd8cbe3f2b22 | 2008-10-07T00:00:00Z |
dd4f7c31-d873-4404-8873-419b5844220e | DeCambra v. Yamada | null | 28251 | hawaii | Hawaii Supreme Court | LAW LIBRARY
No. 28251
IN THE SUPREME COURT OF THE STATE OF HAWAT'
ESTHER R. DeCAMBRA, Individually and as
Special Administrator of the Estates of
Carla Jean Russell, deceased, and
Rachel Elma DeCambra, deceased,
Petitioner/Plaintiff-Appellant /Cross~Appellée’|>
a3:
TETSUYA YANADA, a.k.a.
“GRIZZLY” YAMADA,
Respondent /Defendant~Appellee/Cross-Appellant)
2 Wd 01 sasoane
and
THE ESTATE OF REGINA PUAMANI HAILT,
Defendant-Appellee
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. 96-556)
ORDER REJECTING APPLICATION FOR WRIT OF CERTIORARI
for the court,
(By: Levinson, J.,
and Acoba, J., dissenting, with whom Duffy J., joins!)
‘The Application for Writ of Certiorari filed on
July 30, 2008 by Petitioner/Plaintiff-Appellant /Cross~Appellee
Esther R. DeCambra, Individually, and as Special Administrator of
+ Considered by: Moon, C.J., Levinson, Nakayama, Accba, and
the Estate of Carla Jean Russell, deceased, and Rachel Elma
DeCambra, deceased, is hereby rejected.
DATED: Honolulu, Hawai'i, September 10, 2008.
FOR THE COURT:
er,
Associate Justice
Kris A. LaGuire and
Valta A, Cook for
petitioner/plaintifr-
appellant /cross~
appellee, on
the application.
Tetsuya Yamada,
respondent /defendant-
appellee/cross~
appellant, pro se, in
opposition.
| 932fcdbcc07d641160d712d424c4146c3092c299a78ac2e25f450d0d50c79262 | 2008-09-10T00:00:00Z |
9f501171-db66-4224-ae98-6d4fcf6a11af | Canales v. Artiga. ICA Order Dismissing Appeal for Lack of Appellate Jurisdiction, filed 06/02/2008 [pdf]. Application for Writ of Certiorari, filed 08/26/2008. S.Ct. Order Accepting Application for Writ of Certiorari, filed 09/19/2008 [pdf]. | 118 Haw. 421 | null | hawaii | Hawaii Supreme Court | LAW UBRARY
*** FORPUBLICATION ***
in West's Hawai'i Reports and the Pacific Reporter
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
---000--~
JOSE LUIS ANDRADE CANALES AND TORITO’S MEXICAN INC
1 AND
‘TORITO’S MEXICAN INC. IT,
Respondents /Plaintiffs-Appellees,
JULIO RODOLFO MELENDEZ ARTIGA, YOSHIMI MAKINOTO, AND JULIO’S
‘ACCOUNTANT CORPORATION,
Petitioners /Defendants-Appellants,
and
JOHN DOES 1-10, JANE DOES 1-10, DOE PARTNERSHIPS 1-10, DOE
CORPORATIONS 1-10, AND DOE GOVERNMENTAL ENTITIES 1-10,
Defendants.
No. 28908
CERTIORARI TO THE INTERMEDIATE COURT OF API
(crv. NO, 07-1-1597)
mY 61 dS Gt
aa
September 19, 2008
MOON, C.J., LEVINSON, NAKAYAMA, ACOBA, AND DUFFY, JJ
Pex Curiam. This court accepted a timely application
for a writ of certiorari, filed August 26, 2008, by
petitioners /defendants-appellants Julio Rodolfo Melendez Artiga,
Yoshimi Makimoto, and Julio's Accountant Corporation
(hereinafter, collectively, petitioners], requesting this court
to review the Intermediate Court of Appeals's (ICA) June 2, 2008
*** FOR PUBLICATION ***
in West's Hawai'i Reports and the Pacific Reporter
order dismissing petitioners’s appeal for lack of appellate
jurisdiction. The ICA determined that the November 20, 2007
interlocutory order denying the motion to expunge the notice of
pendency of action (1is pendens) in Civil No. 07-1-1597 is not an
appealable collateral order. The ICA determined that the denial
of expungement of the lis pendens does not conclusively resolve
the disputed question whether the 1is pendens should or should
not be expunged becaus
the cireuit court could change course and expunge the (118
pendens) at some tine in the future, for example, if
Certain factual clreungtances change between now and the
entry of @ final judgnent, the [petitioners] might renew
their notion to expunge the (1is pendens) .
the (petitioners) even!
[respende:
real property, jl_nay be entitled to have the
circuit court expunge the [1is pendans]. [Citation omitted)
ag
Order Dismissing Appeal for Lack of Appellate Jurisdiction at 4.
However, a change in factual circumstances during the course of
the circuit court action or a resolution of the action in favor
of the petitioners will not affect the validity of the lis
pendens inasmuch as the determination of the validity of the lis
pendens is restricted to a review of the face of the complaint.
See $. Utsunomiva Enters.. Inc, v, Moomku Country Club, 75 Haw.
480, 505, 866 P.24 951, 964 (1994); Knauer v. Foote, 101 Hawai'i
81, 89, 63 P.3d 389, 397 (2003). The circuit court determined
that the respondents /plaintiffs-appellees’s complaint
erts a
direct claim of title to real properties for which a valid lis
pendens was filed. Such determination conclusively resolved the
*** FOR PUBLICATION ***
in West’s Hawai'i Reports and the Pacific Reporter
Gisputed question whether the lis pendens should or should not be
expunged
‘The ICA further determined that the denial of
expungenent of the lis pendens does not cause irreparable harm
because
an order denying a [1is pendens) merely preserves the status
Guo on a temporary basis, Despite the continued existence
of the (is pendens], the (petitioners) continue to be the
Swmers of record of the real property unless they choose to
Bell ity in which case the *1is Pendens does not prevent
title from passing to the grantee, but operates to cause the
grantee to take the property subject to any judgment
Fendered in the action supporting the iis pendens.”
Furthermore, the purchaser could move to expunge the (is
pendens}, because "there is precedent for permitting @
Purchaser of real property to challenge the filing of a lis
Pendens afeer the sale had taken place(,].. . even though
the purchaser ‘closed the purchase’ with actual
Knowledge of the Lis pendens."
order Dismissing Appeal for Lack of Appellate Jurisdiction at 5
(citations omitted). However, we have stated that
the practical effect of a recorded (248 pendens) is to
render a defendant's property unmarketable and unusable as
Security fora loan. “The financial pressure exerted on the
roperty owner nay be considerable, forcing (the ower] to
etle fot due to the serite of the suit but to rid (the
ower] of the cloud upon [the owner’s] title,
S.Utsunomiva, 75 Haw. at 502-03, 866 P.2d at 963 (citation
omitted) (format altered); Knauer, 101 Hawai'i at 93, 63 P.3d at
401 (quoting $. Utsunoniva, supra). Because of this practical
effect, the denial of expungement of the lis pendens may result
in irreparable harm if the denial is not subject to immediate
appellate review.
The Novenber 20, 2007 order denying the motion to
expunge the notice of pendency of action in Civil No. 07-1-1597
is a collateral order that is inmediately appealable as a final
*** FOR PUBLICATION ***
in West's Hawai'i Reports and the Pacific Reporter
order pursuant to Hawai'i Revised Statutes § 641-1(a) (Supp.
2007)
‘The June 2, 2008 order of the ICA dismissing No, 28908
for lack of appellate jurisdiction is vacated. wo. 28908 is
remanded to the ICA for disposition on the merits.
Steven Guttman and Kathy K.
Higham (of Kessner Umebayashi ¢
Bain & Matsunaga), for
petitioners/defendants-
appellants, on the application Str RiEemamm
Kester Ci reteceniyren
Robert G. Klein and Lisa M.
Ezra (of McCorriston Miller
Mukai MacKinnon), for
respondents/plaintiffs- g ” X
appellees, in opposition
Waren, Rpt r+
| 493002266ac05ea2fec7a421baf8eb099613c02eb5e18dfeeca197581940c159 | 2008-09-19T00:00:00Z |
46f4f8e5-5a60-4af1-a73a-d93aac526478 | Nuuanu Valley Association v. City and County of Honolulu. Concurring Opinion by J. Acoba [pdf]. S.Ct. Order Denying Motion for Reconsideration, filed 11/21/2008 [pdf]. Dissenting Opinion, by J. Acoba [pdf]. S.Ct. Order of Correction, filed 11/25/2008 [pdf]. | 119 Haw. 90 | null | hawaii | Hawaii Supreme Court | LAWLIBRARY
‘++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
IN THE SUPREME COURT OF THE STATE OF HAWAZ'
==-000---
NUUANU VALLEY ASSOCIATION, a Hawai'i non-profit corporation,
Plaintiff-Appellant,
CITY AND COUNTY OF HONOLULU; HENRY ENG, Director of Department of
Planning and Permitting in his official capacitys DAVID TANOUE,
Deputy Director of Department of Planning and Permitting in his
official capacity, Defendants~Appellees,
and
LAUMAKA, LLC, Intervenor-Appellee,
and
JOHN DOE 1-10; JANE DOES 1-10; DOE PARTNERSHIPS 1-10; DOB
CORPORATIONS 1-107 and DOE GOVERNMENTAL UNITS 1-10, Defendants.
No. 28599
APPEAL FROM THE FIRST CIRCUIT COURT 3
(CIV. NO, 06-1-0501) az 8
za ot 7
OCTOBER 24, 2008 Be FF
EI a
Moot, c.J., LEVINGOK, NAKAYAMA, aND oUF, Bae ORO
and ACOBR, J., CONCURRING’ szeaRATeLY” =EE
OPINION OF THE COURT BY NAKAYAMA, J.
Plaintiff-Appellant, Nuuanu Valley Association ("NVA"),
appeals from the Circuit Court of the First Circuit’st ("circuit
court's”) May 17, 2007 amended final judgment in favor of
Defendants-Appellees City and County of Honolulu, Henry Eng, in
‘The Honorable Randal K.0. Lee presided.
‘+* FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
his official capacity, and David Tanoue, in his official capacity
(collectively, “Appellees”), and Intervenor-Appellee Launaka, LLC
(“Laumaka”).? On appeal, NVA presents the following points of
error: (1) the Uniform Information Practices Act (“the UIPA"),
as provided by Hawai'i Revised Statutes (HRS) Chapter 92F,
mandates that “documents provided by private developers to (a
government agency) become public records when received, and
written communications to private developers becone public
records (not mere drafts) when transmitted"; (2) statutory
“exceptions . . . that would make these public records
unavailable to the public for inspection” are inapplicable; (3)
failed to follow its administrative rules and engaged
Appel
in improper rule makings (4) development of the Laumaka
subdivision will result in the “use” of state or county lands
thereby triggering the environmental assessment ("EA")
requirement of the Hawai'i Environmental Policy Act ("HEPA"): and
(5) the eizeuit court abused its discretion when it denied NVA‘s
motion for preliminary injunction. For the reasons that follow,
+ We note that Laumake filed sta answering brief on February 6,
2008. Therein, Launaka states that it “takes no position in this appeal”
Sdefars to (Appellees]” 28 to NVA's points of error (1) and (2). Ae to tht
venaining pointe of error, Launaka merely “refers [this court) to and relies
Spon several of es motions filed in ciFeult court.
Hawai'i Bules of Appellate Procedure (HAP) Rule 28(c) (2008)
instructs that the answering brief “shall be of like character az that
requires for an opening brief except that no statement of posnts shall be
Fequired, and no other section is required unless the section presented in the
Opening brief is controverted.”” Laumaka's snawering brie! consists of tive
pages thst sze undivided by section. fer example, Launaa's answering briet
Hoes not contain a counter-statenent of the case section and an argunent,
Section. Sag HEAP Rules 28(5) (3), 28(b) (7). Because Launaka'e answering
Brief fails to comply with HRAP Rile 26(c), we decline to consider eny
Srgunents raised by Launska.
ne
POR PUBLICATION IN WES!
HAWAII REPORTS AND PACIFIC REPORTER.
We hold: (1) that prior to its acceptance, an engineering report
submitted to @ government agency in connection with a subdivision
application, and any written comments made by the agency thereon,
does not constitute a “government record” requiring disclosure
pursuant to the UIPA; (2) that the circuit court erred in its
determination that Appellees violated neither its administrative
rules nor the Hawai'i Administrative Procedures Act ("HAPA”); (3)
that Laumaka’s subdivision does not “propose the use of state or
county lands”; and (4) that NVA has not successfully carried its
burden of showing irreparable damage for a preliminary
injunction. Accordingly, we affirm in part and reverse in part
the circuit court’s May 17, 2007 amended final judgment.
1. BACKGROUND
‘The subject property of the instant case consists of
approximately 45.9 acres of steep mountainside land in upper
Nu‘uanu valley. The property had been zoned for residential use
since approximately 1943. In 2004, Puu Paka DP, LLC, the prior
owner of the subject property, submitted an application to the
Department of Planning and Permitting of the City and County of
Honolulu (“DPP") for approval to develop a subdivision consisting
of nine residential lots,
NVA is a Hawai'i non-profit organization whose menbers
are homeowners and residents who live in Nu'uanu valley. On
February 15, 2005, David Hall ("Hall"), a member of the NVA,
submitted a letter to DPP requesting to inspect and obtain copies
of all comments and engineering reports pertaining to Puu Paka
DP, LLC's proposed subdivision.
s+" FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
In a letter dated February 25, 2005, DPP responded to
NVA’s letter, in pertinent part, as follows:
First, our subdivision files are not’ intended to be a
central file for all documents, reports, drawings, comment
Sheets and correspondence. Documents, reports, drawings,
Gonment sheets, ang correspondence se usually’ kept
Separately in several areas, including the civil engineering
Branch (CEB), Traffic Review Branch, Subdiviaicn Branch,
Nactewater Brancn, and other agencics, such 25 the Soard of
Water Supply. Consequently, we apologize if there were some
misconceptions sbout the completeness of our Subdivision
‘les.
‘Second, for reports end plang, which are still under
review, ne may not have then in our possession at ail times.
Our usual practice ig to return these reports and plans with
Sur comments marked thereon to the person or company who
prepared then, For example, as of February 17, 2008, the
EEB does not have a copy of the geotechnical report in our
files, since ie was returned to the consultant slong with
Comments
"Phied, our review coments
directly naked on reports and plan:
‘called
in adaition to being
fare vsually summarized
“posse, Attached are
‘not in
Fourth, for security
requests for information be Bade through our Data Access and
Imaging Branch «
‘The subdivision application submitted by Puy Paka DP,
LLC was deferred on or about January 21, 2005, and subsequently
expired on or about October 21, 2008. On June 17, 2005, the
subject property was sold to Laumaka, who proceeded with Puu Paka
DP, LLC's earlier plan to subdivide the property.
on October 27, 2005, Launaka submitted a new
application to DPP for subdivision of the subject property into
nine residential lots. Thereafter, Hall submitted letters to DPP
on, among other dates, November 16, 2005, requesting all
engineering reports submitted in connection with Laumaka’s
proposed subdivision.
“OR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
In a letter dated December 13, 2005, DPP responded to
Hall’s November 16, 2005 letter, as follows:
In response to your Novenber 16, 2008 Letter...
any engineering report that is formally accepted by our
Ftment as part of a permit application is available for
ection and copying at the Data Access Imaging Branch
Engineering reports that nay be in our possession at the
tise of publie records request and which are being evaluated
by the department as part of its decision for acceptance,
fre withheld {ron pablic disclosure as being part ot the
Gepartaent’s deliberative process. Once these reports nave
been formally accepted, they are available for inspection
and copyina,
on March 18, 2006, NVA provided notice to DPP of its intent to
sue it for violation of the UIPA.
on Mach 17, 2006, DPP “accepted” a geotechnical report
prepared for the subject property by Masa Fujioka and Associates.
This report was made available to the public on the same day.
on March 23, 2006, NVA filed a motion for preliminary
injunction and its complaint in the circuit court seeking
declaratory and injunctive relief for Appellees’ alleged
violation of the UIPA and HEPA. NVA filed a first amended
complaint on April 28, 2006, which sought the same relief for the
following amended claims: (1) DEP failed to produce public
records pursuant to the UIPA; (2) DPPfs record policies violate
the UrPi
(3) DPP faited to comply with its administrative rules
land engaged in improper rule makings and (4) an environnental
assessment should have been prepared pursuant to HEPA.
on April 20, 2006, OPP found that a “Preliminary
Drainage Report” prepared by Mitsunaga and Associates for the
subject property was “acceptable.” Consistent with its
departmental policies and procedures, the “Drainage Report” was
5
+ FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER,
made available to the public later that day.
on May 15, 2006, NVA‘s motion for preliminary
injunction was denied after five days of hearing before the
circuit court. Ultimately, at the May 15, 2005 hearing, the
circuit court orally concluded that the reports requested by NVA
were not records maintained by DFP, and NVA unsuccessfully met
its burden to warrant the issuance of a preliminary injunction.
on May 19, 2006, tentative approval was granted by DPP
for Laumaka’s proposed subdivision subject to certain
conditions.?
on June 28, 2006, the circuit court filed its order
denying NVA's motion for preliminary injunction. Therein, the
circuit court found, among other things, that the subdivision
process consists of three-parts, as follows: (1) tentative
approval; (2) approval of final engineering plans; and (3)
approval of final map.
+ Tentative approval was granted subject to the following
Construction of inprovenents, utilities and
facilities in accordance wien City standards
Compliance with [ene] Mastewater Branch’ s
reguirerent for the Wastewater Systen Facility charge
‘Su. Compliance with the provisions of Park Dedication
Section 22-7, Revised Ordinance of Honoluly
a. Recordation of an acceptable declaration of
restrictive covenants inforaing future omers of potential
Fockfail hazards and other restrictions, and the!?
responsibilities te maintain, repair and restore their
Grainage and roskfall protection inprovenent®.
3: “Suemission of the final subdivision map
snformazion
G. Filing of 18 copies of the final survey maps
prepared by 2 licensed professional land surveyor and drawn
fo band court form
‘OR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER.
on October 27, 2006, NVA filed two motions for partial
sunmary judgment, which contained a total of four “counts.”
Count one sought production of all government records in relation
to the application for Laumaka's subdivision, Count two sought a
declaratory ruling that bvP's practice of not disclosing
engineering reports until they are accepted violates the UIPA.
Count three sought’a declaratory ruling that DPP’s practice
constitutes improper rule-making and violates DPP's
administrative rules. Count four sought a declaratory ruling
that Appellees are required to prepare an environmental
assessment in connection with Launaka’s subdivision. NVA's first
motion for partial summary judgment contained “counts” one
through three and alleged that “(s]ummary judgment is appropriate
because there is no genuine issue of material fact, and [NVA] is
entitled to judgment as a matter of law.” Its second motion for
partial sunmary judgment did not contain a similar statenent.
NvA’s motions for partial summary judgment were orally
denied by the circuit court at a hearing held on Novenber 15,
2006, At this hearing, Appellees orally requested that the
cdrcust court grant sunmary judgment in their favor, The circuit
court decided to continue the hearing to November 20, 2006, in
order to give NVA an opportunity to respond to Appellees’ oral
notion.
on November 28, 2006, the circuit court filed its
findings of fact, conclusions of law, and order denying NVA's
notions for partial summary judgment, and granting Appellees’
motion for summary judgment. Therein, the circuit court made the
7
‘+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
following determinations: (1) evidence presented revealed that
unaccepted reports were returned to Laumaka, and there was @ lack
of evidence suggesting that Appellees “maintained” the reports or
copies of the reports that were unaccepted by DPP; (2) unaccepted
reports and the agency's comments thereon are not records
maintained by DPP, and therefore are not “government records”
that are required to be disclosed under the UIPA; (3) assuming,
arquendo, that DeP maintained copies of the unaccepted reports,
these unaccepted reports and the comments thereon are part of
DPP's pre-decision process and are protected from disclosure
under the deliberative process exception of the UIPA; (4) DPP's
administrative rules are consistent with the UIPA and, in light
of the above determinations, “there [was] no showing that the
enactment of departmental rules had violated its own rules and
procedures nor violated the” HAPA: and (5) Laumaka’s proposed
subdivision does not propose the use of state or county land for
which an EA would be required under HEPA.
An amended final judgment was filed on May 17, 2007.4
On June 15, 2007, NVA timely filed its notice of appeal.
on May 7, 2008, NVA filed an application to transfer
its appeal from the Intermediate Court of Appeals to this court.
on May 28, 2008, this court granted NVA’s application for
“the circuit court's original judgnent wae filed on December 18,
2006. On Decanber 28, 2006, NVA filed a notice of appeal from this judgment.
However, on arch 16, 2007, the Intermediate Court of Appeals dismissed the
appeal for lack of jufisdiction because the circuit court's original judgment
failed to satisfy the requirements of an appesiable final judgment.
8
‘+8 FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
transfer pursuant to HRS $ 602-$8(a) (1) (Supp. 2007),* and
accepted its application pursuant to HRS § 602-58(b) (1) (Supp.
2007).*
IT, STANDARD OF REVIEW
on appeal, the grant or denial of summary judgment is
reviewed de nove. Se State ex, rel, Anzai v. Citv and County of
Honolulu, 99 Hawai'i 508, 514, 57 P.34 433, 439 (2002); Bitney wv.
Honolulu Police Dep't, 96 Hawai'i 243, 250, 30 P.3d 257, 264
(2001).
(Slumnary judgment is appropriate if the pleadings, depositions,
anewers to interrogatories, and admissions on file, together mith
the affisavits, if any, show that there 1s flo genuine issue as to
any eaterial fact ana that the moving party s= entitied to
judgment as a matter of law. A fact ie material if proof of that
fice souud nave the effect of establishing or refuting one of the
Gtaential elenente of a cause of action or defense asserted by the
parties. The evidence must be viewed in the light most. favorable
fo the hon-moving party. In other words, we must view all of the
evidence and inferences drawn therefrom in the Light most
favorable to the party opposing the notion.
Kahale v. City and County of Honolulu, 104 Hawai'i 341, 344, 90
P.3d 233, 236 (2004) (citation omitted).
* URS $ 602-88 a) (1) provides that “[t]he supreme court, in the
manner and within the tine provided by the rules of court, shall grant an
application to transfer any case within the jurisdiction of the intermediate
appellate court to the suprene court upon tha grounds that the cage involve
NoPquestion of imperative or fundanental public importance.”
* as § 602-58) (2) provides that “(t]he supreme court... may
grant on application to transfer ‘upon the grounds that the case
Uneolves” "s question of first impression or @ novel legs] question.”
2
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IIT. DISCUSSION
A. Prior To Its Acceptance, An Engineering Report Submitted To
a Government Agency In Connection With a Subdivision
Application, and Any Written Comments Made By the Agency
Thereon, Does Not Constitute a “Government Record” Requiring
Disclosure Pursuant To the UIPA.
~The affirmative responsibility imposed on agencies by
the UIPA[,1” as provided by HRS Chapter 92F, “is to make
government records available for inspection and copying during
regular business hours, upon request by any person.” State of
: n ty of Progra
e =Univ. of . , 93 Hawai's 378, 401, 927
P.2d 386, 393 (1996). HRS § 92F-11 (1993) provides, as follows:
(o) All govesnment records are open to public
inopection unless access is restricted cr closed by lav.
(b! Except ae provided in section S2F-13, each agency
upon request by any person shall ma)
sralzabie’ for lospection and copying: shrine
(c) Unless the information ss readily retrievable by
the agency in the form in which it is requested, an agency
Shall not be required to prepare a compilation or summary of
ite records
(2) Each agency shall assure reasonable access to
facilities for duplicating records and for making mencranda
(e) Each agency may adopt rules, pursuant to chapter
91, to protest its records from theft, loss, defacenent,
alteration, ar deterioration and to. prevent manifestly
Gxoeseive interference with the discharge of its other
Jawful responsibilities and functions:
gular eusiness
(Emphases added.) A “*{glovernment record’ means information
maintained by an agency in written, auditory, visual, electronic,
or other physical form.” HRS § 92F-3 (1993) (emphasis added) .
The word “maintain(]" is undefined by HRS Chapter 92F.
NVA essentially asserts that the engineering reports
10
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submitted by Launaka became “government records” the moment they
were received by DPP. In support of its assertion, NVA relies
primarily on the definition of the word “maintain” that ia
provided by the Uniform Information Practices Code (*UIFC").
Hawaii's Legislature has indicated an intent to base
the UIPA on the UIPC of the National Conference of Conmissioners
on Uniform State Laws. See Kaapuv, Aloha Tower Dev, Comp, 74
Haw. 365, 387-88, 846 P.2d 862, 991-92 (1993) (interpreting Sen.
Stand. Comm. Rep. No. 2580, in 1988 Senate Journal, at 1093-95).
The UIPC defines the word “maintain” to mean “hold, possess,
preserve, retain, store or administratively control.” Unif.
Info. Practices Code (UIPC) § 1-105. The commentary suggests
that the word “maintain” is “to sweep as broadly as possible. tt
includes information possessed or controlled in any way by an
agency.” Id, emt. The commentary also suggests that “the
personal recollection of an agency employee would not be a
‘government record’ {”] but his handwritten notes summarizing an
event or conversation would.” Id.
However, although legislative history of the UIPA
indicates an “intent that commentary to the UIPC guide the
Interpretation of similar provisions in the UIPA(,]”" this court
has held that the UIPA “nowhere imposes an affirnative
obligation” upon a government agency “to maintain records.”
‘SHOR, 83 Hawaii at 400 n.8, 401, 927 P.2d at 392 n.8, 393.
> te note that the UIFC defines a “(g)overnnent record” to mean
“information maintained by an agency in written, aural, visual, electronic or
other physical form.” OIEC § 1-105.
un
{+* FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
Instead, “the UIPA requires agencies to provide access to those
records that are actually maintained.” Id, at 401, 927 P.2d at
393. “The United States Supreme Court, interpreting the federal
[Freedom of Information Act ("FOIA”)) in Kissinger v. Reporters
Som for Freedom of the Press, [445 U.S. 136 (1980)], reached
the same conclusion.” Ida at 401-02, 927 P.2d at 393-94 (“The
[FOIA] does not obligate agencies to create or retain document:
it only obligates them to provide access to those which it in
fact has created and retained.” (Block format and citation
omitted.)). Therefore, should we construe HRS § 92F-11 as
imposing a requirement upon a government agency to “maintain” a
report the moment that the agency receives it, we would be
imposing an “affirmative obligation” upon the agency, which is
contrary to this court’s conclusion that the UIPA simply requires
access to those records the agency has in fact “maintained.” See
id. at 401, $27 P.2d at 393. Accordingly, whether the
engineering reports are “actually maintained” by DPP depends on
whether DEP *
records, See id, at 402, 927 P.2d at 394 (quoting Kissinger
Reporters Conm, for Freedom of the Press, 445 U.S. 136, 151-52
(1980)) (block format omitted).
those (] to retain possession or control(]" of the
This interpretation is consistent with the ordinary
meaning of the word “maintain.” As mentioned above, the word
“maintain” is undefined by HRS Chapter 92F. In light of HRS
Chapter 92F’s silence, this court “may resort to legal or other
well accepted dictionaries as one way to determine the ordinary
meaning of certain terms not statutorily defined.” Lealie v. Bd
2
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of Appeals of the County of Hawai'i, 109 Hawai'i 384, 393, 126
P.3d 1071, 1080 (2006) (quoting Schefke v. Reliable Collection
Agency, Ltd., 96 Hawai'i 408, 424, 32 P.34 52, 68 (2001))
(quotation marks omitted). Black’ Law Dictionary defines the
word “maintain” as “{t]o continue (something)” or “[t]o continue
in possession of (property, etc.).” Black's Law Dictionary 973
(8th ed, 2004). Similarly, it is also said that the word
wnaintain” means “to keep in existence or continuance; preserves
retain.” The Random House Collese Dictionary 807 (rev. ed.
1979).
In this case, DPP “chose[] to retain possession or
control” of the engineering reports through its decision to
either accept or reject each report submitted to it in connection
with Launaka’s subdivision application. To reiterate, the
circuit court determined that any unaccepted reports were
returned to Laumaka, and there was a lack of evidence suggesting
that Appellees “maintained” any reports or copies of the reports
that were unaccepted by DPP. On March 17, 2006, DPP “accepted” a
geotechnical report prepared for the subject property by Masa
Fujioka and Associates. On April 20, 2006, DPP found that a
“preliminary Drainage Report” prepared by Mitsunaga and
Associates for the subject property as “acceptable.” These
accepted reports were made available to the public on the sane
day they were accepted. In light of the analysis above, DEP's
acceptance of these reports demonstrates its choice to “maintain”
or “retain possession or control” over the reports. See SHO20,
83 Hawai'i at 402, 927 P.2d at 394. Further, there is a lack of
3
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evidence in the record on appeal to suggest that DPP withheld
disclosure of any other accepted “government report,” or, as
explained above, “information maintained by” it in any “physical
form.” See HRS $§ 92F-3, -11; SHOPG, 83 Hawai'i at 402, 927 P.2d
at 394. Accordingly, we hold that the circuit court correctly
determined that, pursuant to the UIPA, the engineering reports
submitted to DPP in connection with Laumaka’s subdivision
application did not constitute “government records” prior to
their acceptance by DPP.*
B. The Circuit Court Erred In Its Determination That Appellees
Violated Neither Its Administrative Rules Nor the HAPA.
The circuit court found “that the actions of DEP was
[sic] consistent with [Appellees'] departmental policy and
procedures. Once OPP had accepted the consultants’ reports,
these reports were immediately made available to the public.”
Further to this point, the circuit court found that counsel for
DPP had “represented that all reports or documents relating to
the subdivision have been turned over to [NVA] immediately after
DPP had accepted the reports or documents.” “Conversely,” the
circuit court determined that the unaccepted reports “were not
kept within DPP files, DPP did not maintain a copy of the
reports(,] and DPP returned these reports to [Laumaka].”
Moreover, NVA “failfed] to present evidence to prove that DEP
maintained or withheld reports inconsistent with departmental
+n Light of the foregoing disposition, consideration of whether
the engineering reports fall under the deliberative process exception to the
OIFA Is unnecessary.
14
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HAWAII REPORTS AND PACIFIC REPORTER
policies or procedures.” The court thus determined that “(t]he
DeP Rules are consistent with the UIPA and based on the
above, there is no showing that the enactment of departmental
rules had violated ite own rules and procedures nor violated the
HAP.”
“(z)nterpretation of @ statute is a question of law
which this court reviews de nove. Where the language of the
statute is plain and unambiguous, our only duty is to give effect
to its plain and obvicus meaning.” Tamashiro v, Dep't of Human
Serve., 112 Hawai'i 388, 398, 146 P.3d 103, 113 (2006) (brackets
added) (citation and quotation marks omitted). “(TJhe general
principles of construction which apply to statutes also apply to
administrative rules.” Brown v, Thompson, 91 Hawai'i 1, 9% 979
P.2d 586, 594 (1999).
Section 1-2(b) of DeP’s “Rules of Practice and
Procedure” (“DPP's Rules") states, as follows:
ALi department files are public records and nay be
examined upon request. Permit files include applications,
Gltsctor's reports, naps and arawinga, written testanony,
Sorrespandence, tape recordings or written minutes of
proceedings, orders, and all other pertinent documents
Section 1-3(b) (2) of DPP’s Rules states, as follows: “In its
role as the [central coordinating agency], the department, in
coopernation [sic] with other city, state, and federal agencies,
shall... (mJaintain and update a master file of building
permit applications, subdivision applications, land use permits,
and land use designations on Oahu.” The word “department” is
defined under section 1-1 of DPP’s Rules as “the department of
planning and permitting, City and County of Honolulu.” All other
1s
‘+* FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
words are undefined
Adduced from counsel at a hearing on NVA’s motions for
partial summary judgment, OPP's administrative process prior to
its approval of an engineering report appears to be as follows:
[T]he records policy of DFP is basically to have 2
subdivision application, the consultants turn in thelr draft
Feports, and during this process the City may write coment
lipon the actual report. Then it returns that report to the
consultant and/or Geveloper for furtner clarification ox
further supplenentation.. The City does not retain a copy of
the report as st exchanges it back to the consultant or to
fhe developer and-- until the city formally accepts the
Feport, once e has been satisfied that ali of ts questions
3nd ingviries have been answered. At that tine st formally
ts 1 accepts a report and at that time, only at that ti
Le'the public Sble'to access these reports.
NVA maintains that DPP’s practice of publicly disclosing
engineering reports only after they have been deemed acceptable
constitutes improper rule making in violation of HRS § 91-1(4)
(1993), and is contrary to its administrative rules.’
HRS § 91-1(4) defines a “rule” as “each agency
statenent of general or particular applicability and future
effect that implements, interprets, or prescribes law or policy,
or describes the organization, procedure, or practice
requirenents of any agency.” However, “[t]he term does not
include regulations concerning only the internal management of an
agency and not affecting private rights of or procedures
available to the public, nor does the term include declaratory
rulings issued pursuant to section 91-8, nor intra-agency
memoranda." HRS § 91-1(4).
+e note that Appellees’ answering brief fails to “controvert” this
point of error and argunent raised by NVA in its opening brief. Gee HRAP Rule
Bacal.
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In this light, “each agency shall[] . . . make
available for public inspection all rules and written statements
of policy or interpretation formulated, adopted, or used by the
agency in the discharge of its functions.” HRS § 91-2(a) (3)
(1993). Moreover, “[nJo agency rule{] . . . shall be valid or
effective against any person or party, nor may it be invoked by
the agency for any purpose, until it has been published or made
available for public inspection as herein required, except where
@ person has actual knowledge thereof.” HRS § 91-2(b).
In this case, DPP’s Rules clearly require DPP to
wmaintain and update a master file of . . . subdivision
applications.” DPP’s Rules § 1-3(b) (2). Further, DPP’s Rules
indicate that this “file” includes the subdivision application
itself, all accompanying engineering reports and written comments
thereon, “and all other pertinent documents.” See DPe’s Rules §
1-2(b) ("Permit files include applications, . . . correspondence,
. and all other pertinent documents."). Because section 1-
2b) of DPP’s Rules unambiguously states that “[a]1l department
files are public records and may be examined upon request [,]”
Laumaka’s “file,” “maintain(ed] and update(d]" by DPP “as the
[central coordinating agency],” constitutes a “public record{]
and may be examined upon request.” gee DPP's Rules $$ 1-2(b),
3(b) (2). Construed in this manner, we hold that DPP violated its
Rules by refusing to make available to the public any unaccepted
engineering reports and written coments thereon.
Consequently, DPP’s policy of refusing to publicly
disclose these engineering reports prior to their approval
uv
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constitutes @ “rule” inasmuch as it “affect(s]" the “procedures
available to the public,” and “implements, interprets, or
prescribes . . . policy, or describes the . . . procedure(] or
practice requirements of” DPP. See HRS § 91-1(4).
Further, the record on appeal fails to reflect and, as
noted above, Appellees have not argued that DPP’s policy was
“published or made available for public inspection[,]” or that
NVA had “actual knowledge” of the policy prior to its initial
request. See HRS § 91-2(b). Because DPP has not complied with
the mandated requirements of HRS Chapter 91, DPP was proscribed
See id,
Therefore, we also hold that the circuit court erred in its
from “invok{ing]” its policy “for any purpose,
determination that DPP did not violate the HAPA by refusing to
publicly disclose any unaccepted engineering reports and written
comments thereon. Accordingly, all of DPP’s “files,” which
includes the Launaka “file,” are “public records and may be
examined upon request.” See DPP’s Rules § 1-2(b).
C. Laumaka’s Subdivision Does Not “Propose the Use of State or
County Lands.”
NVA asserts that the circuit court erred in its
determination that HEPA is inapplicable." The circuit court
VA asserts that Appellees adnitted that an EA should be prepared
linen Jeffrey Lee (*iee"), 2 staff planner employed by the City and county of
Honcluis, completed an “Environmental Checklist” for Puu Paka DP, Lic’s
fubsivision application in January 2008.” In this checklist, Lee placed =
Ghecknazk in a box that stated that HEPA “[alpplies. as checkedf.)*
Imsedistely below this bex are seven other boxes representing choices
enplaining why HEPA applies, which includes » bor labeled *seate/County
Lahas/Funds.”" Lee cid not place a checkmark in any of these boxes. In a
signed declaration dated May 24, 2006, Lee declared chat he “mistakenly
Checked the box labeled ‘Applies as checked,’ and instead “eeant to check the
continue.
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ultimately found that the following aspects of Laumaka’s proposed
subdivision did not “[p)ropose the use of state or county lands”:
(2) a drainage system located within the boundaries of Laumaka’s
subdivision will connect to a proposed extension of Puu Paka
Drive without going beneath, across, or passing over state or
county land, (2) existing county sewage lines will connect to
drain pipes located within Laumaka’s proposed subdivision without
going beneath, across, or passing over state or county land, (3)
an easement of 0.130 acres ouned by the “Territory of Hawaii”
runs adjacent to and through a portion of Launaka’s proposed
subdivision, and (4) “the undertaking of rockfall reduction
strategies or inspection or protective measure in the [stat
owned] forest” located directly above the Laumaka subdivision.
HEPA’ s purpose is expressed through HRS § 343-1 (1993),
as follows:
‘The legislature finds that the quality of humanity's
environment is critical to hunanity’s well being, that
Rosanicy’s sctavities nave broad and profound effects upon
the interrelations of all conponents of the environment, and
thet an epvironnental review process Will integrate the
Feview of environmental concerns with existing planaing
processes of the State and couneses and alert decision
akere to significant eavivenmental effects which may result
From the inplerentation of certain actions. The legislature
Eurther finds that the process of reviewing environmental
effects it desirable because environmental consciousness is
‘enhanced, cooperation and coordination are encouraged, and
public participation during the review process benefits all
box lapsiés "boss not apply.!*
NVA clains that Lee’s purported admission creates a genuine issue of
rin) fect that should have precluded summary judgment on the envirenmental
Senent iseue. However, for reasons discussed herein, the following
Giscussion ultimately holds thet, as a matter of law, certain sspects of
Launaka’s subdivision does not propose the “use” of state
Therefore, whether a genuine issue of material fact exists
purported aduissicn ig inconsequential to the resoluticn of this issue.
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Jes involved and society as a whole.
It is the purpose of this chapter to establish
system of envircrmental review which will enaure that
Ghvironsentel concerns are given appropriate consideration
Gn decision making along with economic end technical
As explained by this court:
HEPA ia triggered whenever an agency or an applicant
proposes an action which falls within one of eight
Eategories sat forth in RE § 343-S(a) (1993). This section
Gneguivocaily states that “an environmental assessment shall,
be requires” for these actions. HRS § 343-S(a) (emphasis
added). The general rule that environmental aasesenente
are required for ail proposed actions is qualified by HRS §
343-6(a) (71 (1993), which provides for exemptions for
certain classes of actions, which, “because they will
probably have mininal or no significant effects on the
Sovironment, are declared exempt from the preparation of an
Aseesement.© HRS 6 343-6(a) (71
Kahana Sunset Owners Ass'n v. County of Mau'i, &6 Hawai'i 66, 70,
947 P.2d 378, 382 (1997). This case involves interpretation and
application of HRS $ 343-5(a) (1) (Supp. 2007), which mandates, in
pertinent part, that “[e]xcept as otherwise provided, an
environmental assessment shall be required for actions that{]
(p]ropose the use of state or county lands... .”
NVA asserts that an EA must be completed because
Launaka’'s proposed subdivision will require use of and connection
to the county's drainage and sewer systens. NVA also asserts
that an EA must be completed “[sJo long as there is a ‘use’ of
city or state lands,” without regard to “the size of the ‘use’
and comparisons to the scope and size of the overall project.”
We disagree.
In Kahana Sunset Owners Ass’n, the defendant filed an
application for a Special Management Area (“SMA”) permit that was
preparatory to development of Napilihau Villages I, II, 11, and
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IV on the island of Mau'i, 86 Hawai'i at 68, 947 P.2d at 380.
The proposed development would install a new, thirty-six-inch
drainage line beneath a public street, which then connected to an
existing twenty-four-inch culvert beneath a public highway. Id.
at 71, 947 P.2d at 383. Tt was undisputed between the parties
that this constituted a “use of state or county lands.” Id.
(quoting HRS § 343-5(a)(1)) (quotation marks omitted).
‘The Mau'i Planning Commission eventually granted the
defendant's SMA permit, and determined that the completion of an
EA was not required. Id. at 68, 947 P.2d at 380. The circuit
court affirmed the Connission’s decision. Id. On appeal to this
court, the plaintiff asserted, inter alia, that if an EA is
required, “the document must address the environmental effects of
the entize proposed development, not just the drainage systen.”
Id, at 14, 947 P.2d at 386. Pursuant to Hawai'i Administrative
Rules (“HAR”) § 11-200-7," this court held that the plaintiff's
“assertion is correct(,]” inasmuch as “[i]solating only that
WAR § 11-200-7 provides, as follows:
A group of actions proposed by an agency or an
applicant shall be treated aa a single action when:
(1) The component actions are phases oF
increments of a larger total undertakings
(2) An individual project is 2 necessary
precedent for 4 larger project:
(G) An individual’ project repr
commitment to a larger project) oF
(a) The actions in question are easentiaily
identical ana 2 single statement will adequately
address the impacts of each individual action ané
those of the g¥oup of actions ae a unole
(exphases added.) HAR $ 11-200-2 defines an “action” to mean “any program oF
project to be initiated by an agency or applicant.”
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particular component of the development for environmenta
Indeed, “the action proposed” in Kahana Sunset Owners Aes’n “is
the entire Nepilihau development,” and “the proposed drainage
nt would be improper segmentation of the project.” Id.
system is part of the larger project and is a ‘necessary
precedent’ for the development.” Ig, (citation omitted).
In Citizens for the Protection of the North Kohala
Coastline v. Count wai'i, 91 Hawai'i 94, 103, 979 F.2d 1120,
1129 (1999) (“Citizens”), the plaintiff asserted that the
proposed construction of two underpasses below a public highway
constituted a “use” of state lands. These underpasses were to be
used for golf carts and maintenance vehicles to travel to
portions of a golf course situated on either side of the public
highway. Id. The defendant asserted, inter alia, that
environmental review under HRS chapter 343 was unnecessary
because the construction of two underpasses under a state highway
did not constitute a “use” of state lands. Id, In light of
Kahana Sunset Owners Ase’n, this court disagreed with the
defendant inasmuch as it was “clear” that the construction would
constitute “use of state lands for purposes of HRS § 343-5(a) (1)
Id. In contrast, this court noted that “the potential
use of” a public highway that led to the project did not
constitute a “use” of state land. Id. at 103 n.8, 979 P.2d at
1129 n.8.
In Sierra Club v. Office of Planning, state of Hawai'i,
109 Hawai‘ 411, 413, 126 P.3d 1098, 1100 (2006), Castle & Cooke
and Pacific Health filed a petition with the Land Use Commission
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to reclassify certain land from an agricultural district to an
urban district so that Castle & Cooke could develop a project
consisting of thousands of homes, a commercial center, elementary
school, park, church/day care, recreation center, and the Pacific
Health Center." The “Project’s” “Infrastructural Report” stated
that Castle & Cooke would eventually construct a thirty-six-inch
sewage line that would transport wastewater from the project to
the Waipahu Wastewater Treatment Plant, as well as a water line
to provide water to the “Project.” Id, Construction of these
lines would require Castle & Cooke to tunnel beneath several
public highways. Id.
‘The defendants asserted, inter alia, that the petition
for reclassification did not trigger HRS § 343-5's EA requirement
because the petition did not constitute an “action” within the
meaning of HRS Chapter 343. Id, at 415, 126 P.3d at 1102. This
court disagreed with the defendants assertion because, in light
of HRS § 343-5(a) and HRS § 343-2 (Supp. 2005),"? the “Project”
itself, rather than the petition, was the “action” contemplated
by the plain language of HRS $ 343-S(a). Id. This court also
determined that the “Project” proposed the “use” of state lands
“inasmuch as the construction of the sewage and water
% this was defined collectively by this court a the “Project.”
‘Sienra Club, 109 Hawai'i at 413, 126 Ps at 1100.
% An “action” is defined as “any program or project to be initiated
by any agency or applicant." HRS § 343-2. "Agency" is defined as “any
Slpartnent, officer board, or commission of the state or county governtent
Which is a part of the executive branch of that governnent.” Id. “applicant”
Ie'derined a "any person who, pursuant to statute, ordinance, oF rule,
officially requests approval for a proposed action.” Id.
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transmission lines will require tunneling beneath state
highways.” Ids
Tt is undisputed that the “action” in this case is
Launaka’s subdivision, To reiterate, Laumaka’s subdivision
consists of approximately 45.9 acres of steep mountainside land
in Nu'uanu valley. The property is located above or adjacent to
Puu Paka Drive, Kama‘aina Drive and Place, Kahawalu Drive, and
Ragsdale Drive on the southern edge of the valley. The property
had been zoned for residential use since approximately 1943, and
is currently undeveloped. The development plan proposes the
creation of nine large subdivision lots on the property. Each
lot has the capability of supporting two homes, inasmuch as each
of the nine lots has more than double the required minimum zoning
lot size.
According to the “Preliminary Drainage Report” prepared
by Mitsunaga and Associates, several detention basins will be
constructed within Laumaka’s subdivision to limit surface runoff
“to predevelopment conditions.” The purpose of these basins is
to detain any increase in storm water discharge by reducing the
flows upstream of the roads “due to the addition of impervious
areas including building structures, driveways and the extension
of existing streets.”
The development plan calls for an extension of Puu Paka
Drive into Laumaka’s subdivision. This extension ends in a cul-
de-sac, and the development plan indicates that it may be
dedicated to the county sometime in the future. Apparently, the
“Puu Paka Drive drainage system” involves connecting basin
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numbers 6, 7, and 8 to the cul-de-sac portion of the proposed
extension of Puu Paka Drive. Basin numbers 6 and 7 connect to
the “Puu Paka Drive drainage systen” via a drain pipe within a
drainage easement in favor of one of the nine lots within the
subdivision, Basin number 8 connects directly with the “Puu Paka
Drive drainage system.” This connection is not within any
easement. The drainage system then discharges through an
existing thizty-inch drain Line at the bottom of the property,
which appears to be within an easement in favor of the City and
County of Honolulu.
NVA is essentially asserting that any “use of state or
county lands{,)" no matter what the nature of that “use” may be,
is sufficient to satisfy HRS § 343-5(a)(1)’s requirement that an
“action{]" “(p]ropose the use of state or county lands... .”
‘The word “use” is undefined within HRS Chapter 343. The
“ordinary meaning” of the word “use” is “to employ for some
purpose; put into service; make use of[.]” The Random House
College Dictionary 1448; see Leslie, 109 Hawai'i at 393, 126 P.3d
at 1080. In light of this meaning, the word “use” could be
construed to apply to any “use” of state or county land, no
matter what or how benign that “use” may be.
However, this interpretation flies in the face of the
fact that this court dismissed the plaintiff’s argument in
* there appears to be a total of nine detenticn basins that comprise
the drainage system in Launaka's subdivision, which are numbered "I" through
"9." the so-called “Puu Paka Orive drainage systen” is a part of a larger
drainage system within the subdivision, ana includes only @ few of these
Setention Basins
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Citizens that the “potential use of” a public highway leading to
the development project constitutes a “use” of state land. 91
Hawai's at 103 n.8, 979 P.2d at 1129 9.8. Clearly, this court
has recognized that the boundaries of the meaning of the word
“use,” as contemplated by HRS § 343-5(a) (1), is not unlimited in
possibilities. See id, Therefore, we decline to apply the
ordinary meaning of the word “use” in interpretation of HRS §
343-5(a) (1).
“Laws in pari materia, o upon the same subject matter,
shall be construed with reference to each other. what is clear
in one statute may be called in aid to explain what is doubtful
in another.” HRS § 1-16 (1993), Further, “[t]his court must
read statutory language in the context of the entire statute and
construe it in a manner consistent with its purpose.” Kahana
Sunset Owners Ass'n, 86 Hawai'i at 71, 947 P.2d at 363.
HEPA’s purpose is “to establish a system of
environmental review which will ensure that environmental
concerns are given appropriate consideration in decision making
along with economic and technical considerations.” HRS § 343-1.
‘This court has observed that the “purpose of preparing an
environmental assessment is to provide the agency and any
concerned menber of the public with the information necessary to
evaluate the potential environmental effects of a proposed
action.” Kahana Sunset Owners Ass'n, 86 Hawai'i at 72, 947 P.2d
at 384. However, this court’s decisions interpreting HRS § 343-
Sta) (1)’s requirement of “use of state or county lands” have so
far been limited to projects that require tunneling or
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construction beneath state or county land. See Sierra Club, 109
Hawai'i at 415-16, 126 P.3d at 1102-03; Citizens, 9) Hawai'i at
105, 979 P.2d at 11317 Kahana Sunset Owners Ass'n, 86 Hawai'i at
71, 947 P.2d at 383. This court has not held that merely
connecting privately-owned drainage and sewage lines to a state
or county-owned drainage and sewage system is sufficient to
satisfy HEPA’s requirement of “use of state or county lands.”
Indeed, construing the word “use” in a manner suggested
by NVA could result in countless possibilities of “uses” that
would fall within the scope of the Hawai'i Environmental Policy
Act, which we believe was not intended by the legislature. See
HRS § 343-1) see also Citizens, 91 Hawai'i at 103 n.8, 979 P.2d
at 1129 n.8. Moreover, were we to construe HEPA’s requirement of
“use of state or county lands” in a manner suggested by NVA, we
would be misconstruing the weight of our prior case law, which
consisted of facts that illustrated a “use” that vas more than
merely a connection to state or county “lands.” For example, the
“use” in Kahana Sunset Owners Ass'n was the fact that the
proposed development would install a new, thirty-six-inch
drainage line beneath, and not merely in connection to, a public
street. 86 Hawai'i at 71, 947 P.2d at 383, Similarly, the “use”
in Citizens vas the fact that the two underpasses would require
construction beneath a state highway, rather than merely a
connection to the land beneath the highway. 91 Hawai'i at 103,
979 P.2d at 1129. Also similar is the “use” in Sierra Club,
where construction of the “Project's” sewage and water
transmission lines required tunneling beneath, rather than merely
2
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a connection with, mu
16, 126 P.3d at 1102-03.
ple state highways. 109 Hawai'i at 415-
Although NVA’s concern regarding the environmental
risks posed by Laumaka’s subdivision is understandable, we must
remain mindful of our duties to follow the law. Because the
record, at best, indicates that Laumaka’s drainage and sewer
Lines will merely connect to the “Puu Paka Drive drainage system”
and existing county sewer lines, the instant case is
distinguishable from Kahana Sunset Owners Ass'n, Citizens, and
Sierra Club. Therefore, in light of the foregoing analysis, we
decline to extend the meaning of the word “use” to the
circumstances of this case, where the evidence indicates that
Launaka’s drainage and sewer lines merely connect to the “Puu
Paka Drive drainage system” and existing county lines without
requiring construction or tunneling beneath state or county
lands. See HRS § 343-1; Sierra Club, 109 Hawai'i at 415-16, 126
P.3d at 1102-03; Citizens, 91 Hawai'i at 103, 979 P.2d at 1129;
Kahana Sunset Owners Ass'n, 86 Hawai'i at 71, 947 P.2d at 3837
see also Citizens, 91 Hawai'i at 103 n.8, 979 P.2d at 1129 n.8,
Accordingly, we hold that the circuit court did not err in its
determination that there is no “use” of state or county land
because the “detention basins are connected and routed through
the Puu Paka Drive drainage system,” and the drainage line will
not require tunneling or construction beneath state or county
lands. We also hold that the circuit court correctly determined
that connecting the county’s existing sewage lines to Laumaka’s
Lines did not constitute a “use” of county land because Laumaka’s
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sewage lines would not require tunneling or construction beneath
state or county Land.
Additionally, it is well established that a party that
moves for summary judgment has the burden “to show the absence of
any genuine issue as to all material facts, which, under
applicable principles of substantive lay, entitles the moving
party to judgment as a matter of lav.” Jou v. Dai-Tokvo Bova
State Ins. Co., 116 Hawai'i 159, 164, 172 P.34 471, 476 (2007)
(block format and citation omitted). *{T)his burden has two
components”:
First, the moving party has the burden of producing
support for’ its claim chat? (1) no genuine issue of
aterial facts exists with respect to the essential elenents
DE the claim or defense which the notion seeks to establish
OF which the motion questions; and (2) based on the
Undisputed facts, it is entitied to summary Juagnent as a
matter of law. Only when the moving party satsefies its
Thitia2 burden of production does the burden shift to the
non-moving party to respond to the notion for summary
judgment and demonstrate specific facts, as opposed to
Qenersi allegations, that present a genuine issue worthy of
trial
Second, the moving party bears the ultimate burden of
persuasion. This burden always remains with the moving
Party and requires the moving party to convince the court
Ehat no genine issue of material fact exists and that the
noving part [sic] is entitled to sumary judgment as 2
matter of law.
Id. (quoting Erench vs Hawaii Pizza Hut, Inc., 105 Hawai'i 462,
470, 99 P.3d 1046, 1054 (2004).
NVA filed a motion for partial summary judgment on the
HEPA issue on October 27, 2006. However, in its findings of
fact, conclusions of law, and order denying NVA’s motion for
partial summary, the circuit court determined that NVA “failed to
[make any} show[ing] beyond the fact that the existing county
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sewage lines will connect to the drain pipes on the Laumaka
subdivision.” As a result, the court could not find any “use of
state or county lands” because the mere fact that Laumaka’s
Grainage and sewage lines “will connect to a county line, without
actually going beneath, across, or passing over 4 state or county
land will not trigger the” BA requirement.
In its opening brief, NVA avers that “(t]he City will
be required to dig under Puu Paka to provide for the sewer
connections." However, NVA does not include a citation to the
record to support its assertion. Moreover, in its opening brief,
NVA neither quoted, in its points of error section, the portion
of the circuit court’s finding that NVA “failed” to carry its
burden in its motion for partial summary judgment, nor argued or
assigned as error that such a finding was clearly erroneous. See
RAP Rule 26 (b) (4) (C) (instructing that an opening brief shall
contain a points of error section, which “shall also include the
following: . . . (C) when the point involves a finding or
conclusion of the court or agency, a quotation of the finding or
conclusion urged as error{]"). Consequentiy, we hold that the
circuit court correctly determined that NVA has not successfully
carried its burden on its motion for partial summary judgment.
NVA also claims that Laumaka will be required to “use”
state land in order to complete a “slope stability analysis to
determine the risks of slope failure and rockfalls” and “perform
appropriate mitigation measures." In enacting HEPA, Hawaii's
legislature found that “the process of reviewing environnental
effects is desirable because environmental consciousness is
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enhanced, cooperation and coordination are encouraged, and public
participation during the review process benefits all parties
involved and seciety as a whole.” HRS § 343-1. Laumaka’s
subdivision is located at the base of a heavily forested
mountainside, which is owned by the state, The state Department
of Land and Natural Resources sent DPP a letter dated April 17,
2006, which recommended that DPP require Launaka to perform a
“slope stability analysis” and “appropriate mitigation measures
to address the risks identified by the study and other known
hazards However, for reasons discussed above, NVA's
argument is unpersuasive because the “slope stability analysis”
ds not a “use” contemplated by HRS § 343-5(a) (1). See HRS § 343-
1; Sierra Club, 109 Hawai'i at 415-16, 126 P.3d at 1102-03;
Citizens, 91 Hawai'i at 103, 979 e.2d at 1129; Kahana Sunset
Ouners Ass'n, 86 Hawai'i at 71, 947 P.2d at 383; see also
Citizens, 91 Hawai'i at 103 n.8, 979 P.2d at 1129 n.8.
Finally, the circuit court found that there is an
easement of 0,130 acres that runs adjacent to and through a
portion of the Laumaka subdivision, which is a “hiking right of
way” owned by the “Territory of Hawaii.” NVA appears to assert
that Laumaka’s subdivision will “use” state land simply because
this easement exists within Laumaka’s subdivision. However, NVA
does not point to anything in the record indicating that
Launaka’s subdivision will in fact “use” the easement in any way.
Because this easement merely exists within Laumaka’s subdivison,
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NVA's assertion is without merit.
D. NVA Has Not Successfully Carried Its Burden Of Showing
Irreparable Damage For a Preliminary Injunction.
In the circuit court, NVA sought a preliminary
injunction preventing DPP from further review and processing of
Laumaka’s subdivision application. NVA also sought an order
requiring DPP to turn over all engineering reports pending review
and evaluation for acceptance by DPP, including any comments
thereon, The circuit court ultimately determined that NVA
unsuccessfully met its burden to warrant the issuance of a
preliminary injunction for the following reasons: (1) the
engineering reports and comments thereon did not constitute
“government records” under HRS § $2F-3; (2) even if DPP kept
copies of any unaccepted reports, these reports and DPP’s written
comments thereon would fall under the deliberative process
exception to the UIPA; (3) NVA failed to timely appeal DEP’ s
denial of access to either the circuit court or the state Office
of Information Practices pursuant to HRS § 92F-15(a) (1993)** and
HRS § 92F-15.5 (1993);"" (4) plans and reports that have not been
% ie note that Appelless contend that state or county easezents
cannot be equated with state or county “lands” for purposes of HEPA. On the
Other hand, NVA relies on defining the words “easement” and “land” in support
of its assertion that an easement is akin to “land.” In Light of the
foregoing disposition, consideration of this issue se unnecessary.
ARS $ 92F-15(a), which is entitied "Judicial Enforcenent,”
provides that (2) person aggrieved sy 2 denial of sccess to a government
Fecord may bring an action against the agency at any tine within two years
after the agency denial co compel disclosure.”
Wns § 92-15.5(a), which is entitled “Alternative method to appeal
42 denial of access,” provides, in pertinent part, that "[w)hen an agency
‘continue.
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accepted by DPP and not disclosed to NVA are irrelevant to NVA‘S
claim of irreparable harm inasmuch as these reports are not
documents that DPP relies upon when approving subdivision
applications: and (5) assuming, arguende, that disclosure of the
reports is required, NVA unsuccessfully established its claim
that it will suffer irreparable harm if the preliminary motion is
not granted. On appeal, NVA asserts that, in light of its
foregoing points of error, the circuit court erred when it denied
its motion for 2 preliminary injunction because it should have
been given the opportunity to review and comment upon the
engineering reports prior to DPP’s acceptance of them.
“the grant of a motion for a preliminary injunction is
within the discretion of the [trial] court.” Rapp ye
Disciplinary Bd, of Havai'i Supreme Court, 916 F, Supp. 1525,
1538 (D. Haw. 1996); Consolidated Amusement co. v. Hughes, 22
Haw. $50, 554 (Hawai'i Terr, 1915) (*[T]he right to a temporary
injunction . . . rests in the discretion of the trial court
but any abuse of such discretion, either in granting or refusing,
will be ground for reversal on appeal.”). Accordingly, whether
the trial court erred in either granting or denying a motion for
a preliminary injunction is reviewed under the abuse of
discretion standard. ee Mottl v, Mivahira, 95 Hawai'i 381, 384
continue
‘bes @ person access to 4 government record, the person may appeal the
Genial to the office of infornetion practices in accordance with rules edopted
pursuant to section 92F-42(12)."
We note that Appellees, in thelr answering brief, did not provide
2 counter-argunent to this point of error raised by MVR.
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n.8, 23 P.3d 716, 719 n.5 (2001) (“The United States Circuit
Court of Appeals for the Ninth Circuit affirmed, holding that the
federal district court did not abuse its discretion in issuing
the preliminary injunction .
22 Haw. at S54.
“the test for granting or denying temporary injunctive
relief is three-fold: (1) whether the plaintiff is likely to
prevail on the merits; (2) whether the balance of irreparable
damage favors the issuance of a temporary injunction? and (3)
whether the public interest supports granting an injunction.”
Office of Hawaiian Affairs v. Hous, § Cty. Dev, Corp, of
Hawai'i, 117 Hawai'i 174, 211, 177 P.3d 884, 922 (2008); see Life
ofthe Land v. Arivoshi, 59 Haw. 156, 158, 577 P.2¢ 1116, 1118
(1978) (same). “[T]he more the balance of irreparable damage
favors issuance of the injunction, the less the party seeking the
injunction has to show the likelihood of success on the merits.”
ottice of Havaiian Affairs, 117 Hawai'i at 211-12, 177 P.3d at
922 (citation and quotation marks omitted) .
In its order denying NVA‘s motion for preliminary
injunction, the circuit court found, contrary to NVA’s claim that
it was unable to meaningfully participate in the planning and
permitting process, that NVA had, in fact, participated in the
governmental process and had voiced its concerns about Laumaka’s
subdivision, For example, the circuit court found that NVA had
contacted and/or had discussions with Appellees Henry Eng and
David Tanoue, the Honolulu City Council and its members, the
Mayor of the City and County of Honolulu, the Nuvanu-Punchbowl
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Neighborhood Beard, and state legislators. ‘The circuit court
also found that DPP had made available for review and copying all
accepted engineering reports.
Additionally, in its findings of fact and conclusions
of law, the circuit court found that the unaccepted reports were
returned to Laumaka, and DPP did not retain a copy of the
unaccepted reports. Further, Laumaka filed a “Stipulation Re
Production Of Documents To Plaintiff” on November 13, 2006,
wherein Laumaka and NVA stipulated that on or before April 28,
2006, Laumaka made available to NVA “for review and copying all
prior drafts of the accepted reports and the . . . comments to
said reports to the extent maintained by Laumaka, its agents, and
its consultants[.]” Tt was also stipulated that NVA “agree(d]
that the issue of the production of the reports and the . . .
comments thereto is, therefore, moot as to the documents
provided.”
At the hearing on Plaintiff’s motions for summary
judgment, the following exchange took place:
THE COURT: can you articulate what records you have
not received? It’s my understanding fron the last round of
Proceedings that whatever the City had they had disclosed to
Your clients and that [Laumaka) by way of stipolation with
[vay hae provides the records that the City dsdn't keep,
incluging the comments. What records in addition to chet
have you not received?
INVA]! “I think there’ two things that we would say
le haven't received yet and that’s —~ we haven't received
the records direct ly. fron the City.
‘THE COURT: Nell, the records that you received from
[Laumekal would be the’ records that the City doesn’t have!
Those are the records with the coments
iniaj:” yeah. 1 think that goes to the core problem
that we nave. ‘We're sot really certain what else there may
be out there in existence because there is this
rebingsis City to Caunaka) .
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
because the City
And s0 one of our concerns is
hosn"e yet verstied st oF cer
entirely accurate or comple
at perhay
Sea it, that
Notwithstanding its argument on appeal, NVA haa not
pointed to anything in the record suggesting that an engineering
report, whether accepted or unaccepted by OPP, is being withheld
from public disclosure. Therefore, we hold that NVA has not
successfully carried its burden of showing irreparable damage to
warrant the issuance of @ preliminary injunction.
IV. CONCLUSION
Based upon the foregoing analysis, we affirm in part
and reverse in part the circuit courts May 17, 2007 amended
final judgment.
Janes J. Bickerton and Scott K.
Saiki of Bickerton Lee Dang &
Sullivan for Plaintiff-Appellant
Nuuanu Valley Association
Don 8. Kitaoka and Lori K.K. PEP armse—
Sunakoda, Deputies Corporation
Counsel,’ for Defendants- Bt Ou
Appellees city and County of
Honolulu, Henry Eng, and David
a Cone mason
David B. Rosen of the Law
Office Of David B. Rosen, ALC,
for Intervenor-Appellee Laumaka
Lic
* We note that NVA points to several additional plans and reports
that may be required to be submitted by Launaka to OPP as a result of GPP's
praval of the proposed subdivision. in Light of the foregoing
Appellees must make these plans and reports available for
ion'when received and "upon request.” See OPP's Rules $ 1-2(b).
36
| 3c71566fdd741828766a23ddd8ea638432996e6efdfde0525177d5e62129d2c0 | 2008-10-24T00:00:00Z |
68d7f056-24b4-476c-8ca3-a0abc317739e | Flowers v. United Services Automobile Association | null | null | hawaii | Hawaii Supreme Court | wos.
IW THE SUPREME COURT OF THE staTE oF HaWASE 2
a
MARSHALL, KENNETH FLOWERS, Respondent-AppelLahty
Hg
z7087, 27128 and 27229 8
s
dats
UNITED SERVICES AUTOMOBILE ASSOCIATION, Petitioner-Appellee.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(crv. No. 02-1-1678)
‘J-, for the court")
(By: Nakayama,
Petitioner-Appellee’s application for writ of
is hereby dismissed as
certiorari filed on November 19, 2008,
untimely.
Honolulu, Hawai'i, November 25, 2008
By
FoR THE count: é
Pua Cvnouuy are | SEAL ©
Associate Justice Ma 3g
De, a
Lor we
Terrance M. Revere and
Jacqueline E. Thurston
of Motooka Yamamoto &
Revere for petitioner
appellee on the application
Moon, C.J.) Levinson, Nakayana, Acoba, and Duffy, JV.
‘considered by:
| 6d3664eb611aa2786b1ac1c258a0dbb37e199beb7e70ea2f395ea6f01a6956b3 | 2008-11-25T00:00:00Z |
b4f212f1-db3f-42a3-bedf-59019ded6072 | Deparini v. State | null | null | hawaii | Hawaii Supreme Court | taWuBaaay
No. 28695
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
DANIEL DEPARINI, Petitioner-Appellant,
STATE OF HAWAI'I, et al., Respondents-Appellees.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(crv. No. 04-1-0214)
ORDE! ABEL
WRIT OF CER
(By: Nakayama, J.,
for the court!)
Petitioner-Appellant’s application for writ of
certiorari filed on August 8, 2008, is hereby rejected.
DATED: Honolulu, Hawai'i, September 3, 2008.
FOR THE COURT:
Associate Justice
Daniel Deparini,
petitioner-appellant
Pro se, on the application
=
=
nm
o
go ind o- 39 Oile
Sconsidered by: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, 9
| 7e37b987b09b3da53f0b0d5f2c4af973aef16e209c056b32cfd6ca7eab926245 | 2008-09-03T00:00:00Z |
6713f27d-3912-48a8-93e8-072f1b9c15b1 | Ludwig v. Verizon Hawaii, Inc. | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
yo.
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
MARSHALL G. LUDWIG, Respondent/Claimant-Appellgpt
VERIZON HAWAII, INC. and SPECIALTY RISK SERVECHS,
Petitioners/Eaployer/Insurance Carrier-Appel
oats
CERTIORARI TO THE INTERMEDIATE COURT OF APE
(CASE NO. AB 2003-440 (2-02-14365))
ORDER REJECTING APPLICATION FOR WRIT OF CERTIORARI
(By: Duffy, J., for the court”)
Petitioners/Employer/Insurance Carrier-Appellees
Verizon Hawaii, Inc. and Specialty Risk Services’ application for
a writ of certiorari, filed on August 27, 2008, is hereby
rejected.
DATED: Honolulu, Hawai'i, October 2, 2008.
FOR THE COURT:
Yorn © Queer
Associate Justice
Stanford M. J. Manuia
for petitioners/employer/
insurance carrier-appellees
on the application
Herbert J, Leider
for respondent /claimant-
appellant in opposition
‘considered by: Moon, C.J, Levingon, Nekayana, Acoba, and Ouffy, JJ.
| 3824bd79faf6430d5ff68e3bb17b4767850bd5251f8ee7484a32042ade2e699d | 2008-10-02T00:00:00Z |
d61ecdd9-e89b-4207-abe9-a8144c7b565a | Lee v. Office of Disciplinary Counsel | null | null | hawaii | Hawaii Supreme Court | LAW LIBRAR
vo. 29332
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
CEDRIC LEE, Petitioner,
aad
3
2
ava L YH
OFFICE OF DISCIPLINARY COUNSEL, Respondent.
ORIGINAL PROCEEDING
ORDER DENYING PETITION FOR WRIT OF MANDAMUS
(By: Moon, C.J. for the court’)
By letter dated August 8, 2008 and received by our
Clerk on August 12, 2008, Cedric Lee attempts to appeal from the
Office of Disciplinary Counsel’s determination there was ‘no
basis to investigate" an attorney. ‘The information provided by
Lee indicates Lee complained about an attorney representing an
opposing party in a divorce action. Under Rule 2 of the Rules of
the Supreme Court of the State of Hawai'i (RSCH), ‘complaining
witnesses are not parties to disciplinary cases|,
and they have
no standing . . . to seek review of ODC or Disciplinary Board
decisions. . . . Thus, if any review is to be had, review must
be had by way of [a] petition for writ of mandams.+ In re
Disciplinary Board, 91 Hawai'i 363, 368, 984 P.2d 688, 693
(2999). Consequently, pursuant to Rule 21 of the Hawai'i Rules
* considered by: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, Jv
of Appellate Procedure (HRAP), we consider Lee's letter as a
petition for writ of mandamus.
A writ of mandamus and/or prohibition will
not issue unless a petitioner demonstrates a
clear and indisputable right to relief and a
lack of other means to redress adequately the
alleged wrong or obtain the requested action
: + Mandamus relief is available to
Compel an official to perform a duty
allegedly owed to an individual only if the
individual's claim is clear and certain, the
official's duty is ministerial and so plainly
prescribed as to be free from doubt, and no
other remedy is available(.}
In re Disciplinary Board, 91 Hawai'i at 368, 984 P.2d at 693
(citations omitted)
We have previously noted that:
Duties imposed by (RSCH] Rule 2 upon [the]
ope and the Disciplinary Board are duties
owed to this court. In furtherance of
those duties and in recognition of the
Limited resources available and the
difficulties inherent in prosecuting any
accusation of unethical behavior, our rules
grant to [the] ODC and the reviewing
Disciplinary Board menbers the discretion to
determine whether pursuit of particular
disciplinary allegations is warranted.
Id. at 368-69, 984 P.2d at 693-94.
Petitioner Lee asserts Disciplinary Counsel's decision
implies that this court has found certain alleged misbehavior
acceptable. No such implication can be drawn from Disciplinary
Counsel's determination “that there is no basis to investigate*
the attorney. Likewise, Disciplinary Counsel's determination can
have no bearing upon any police or prosecutorial decision with
regard to purported criminal charges against the subject attorney
or other actors identified by Petitioner Lee, for such decisions
to pursue criminal charges are within the discretion of the
prosecutors.
Petitioner Lee has failed to demonstrate a clear and
indisputable right to relief. Therefore
IT 1S HEREBY ORDERED that the Clerk shall file
Petitioner Lee's letter as a petition for writ of mandamus and,
pursuant to Section 607-3 of the Hawai'i Revised Statutes, the
filing fee for the petition is waived.
I? IS FURTHER ORDERED, pursuant to HRAP Rule 21(c),
that the petition for writ of mandamus is denied.
DATED: Honolulu, Hawai'i, August 28, 2008.
FOR THE COURT:
Le gustice
| 3a16e7f5ebee6968b67167a6615b081192f30276e71ed9f49ed5ff7319941def | 2008-08-28T00:00:00Z |
bf3d0a24-d5e4-4d07-9346-fdbb38eaf736 | State v. Pond. Concurring and Dissenting Opinion by J. Acoba [pdf]. Concurring and Dissenting Opinion by J. Duffy [pdf]. ICA Opinion, filed 10/11/2007 [pdf], 117 Haw. 336. S.Ct. Order Accepting Application for Writ of Certiorari, filed 03/10/2008 [pdf], 119 Haw. 287. | 118 Haw. 452 | null | hawaii | Hawaii Supreme Court | FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER ***
PREME COURT OF THE STATE OF HAWAI'I
o00--=
Respondent /Plaintiff-Appellee,
KEVIN FOND, Petitioner/Defendant-App:
wo, 27847
CERTIORARE TO THE INTERMEDIATE COURT OF APPEARS
Tee No sstcoeT tal) og
SEPTEMBER 29, 2008 ze 8
a2 8
MOON, C.J., SVINSON, AND NAKAYAMA, JJ. sie
ACOBK, iy CONCURRING AND DISSENTING, ANBAE 2
Giger, eoncussras ano crssewtcne a8
g
OPINION OF THE COURT SY NAKAYAMA, J.
Petitioner/Defendant~Appellant Kevin Pond (“Pond”)
crea’ s'
seeks review of the Intermediate Court of Appeals’
to its
october 30, 2007 judgment on appeal, issued pursua
october 11, 2007 opinion,' see State v. Pond, 117 Hawai'i 236,
181 P.3d 415 (App. 2007), affirming the second circuit family
March 2, 2006 judgment convicting him
court's? ("circuit court!
of the offense of abuse of family or household member, in
violation of Hawai'i Revised Statutes (“HRS”) § 709-906 (1993 &
Supp. 2004)? and interference with reporting an emergency or
+ the publishes opinion was authored by Associate Judge Corinne KAA.
Watanabe and Joined by Associate Judger Deniel R. Foley and Alexa 0.M. Fuj:se.
+ the Honorable Richard T, Bissen presided.
> RS § 709-906, entitled “Abuse of family or household nenbers?
gaa
*#** FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
on of HRS § 710-1010.
crime ("Interference offense") in viol
(2993 & Supp. 2004).
of certiorari, and oral argument was held on June 5, 2008
We accepted Pond’s application for a writ
Pond asserts that the ICA gravely erred by concluding
that the Hawai'i Rules of Evidence ("HRE”) Rule 404(b)* notice
) Te shall be unlawful for any person, singly of sn
concert, to physically abuse 9 famsly of nouseheld nenber or to
Tefuse Compliance with the lawfol order of a police officer under
subsection (4). The polsee, in insestsgating any complaint of
Abuse of a family or household menber, upon request, ney transport
the abused person to a hospital or safe shelter
For the purposes of this section, “fanily or household
menber" nesns spouses or reciprocal beneficiaries, former spouses
Or reciprocal beneficiaries, persons who have a child in common,
Parents; children, persons related by consanguinity, and persons
Jointly’ residing or formerly residing in the sane dvelling unit.
Ta}"any police cfficer, with or without a warrant, May
arrest a person if the officer has reasonable grounds £0 believe
that the person is physically abusing, or has physically abused, a
family or household menber and that the person atrested se gutity
theres!
is} abise of a family or household menber and refusal to comply with the
Lawful order of @ police officer under subsection (4] are misdemeanors and the
person shell be sentenced a3 follows:
(a) For the firet offense the person shall serve a minimum jail sentence
of foreyreight hours) and
(©) For 2 second offense that occurs within one year of the
fiat conviction, the person shall be termed a "repeat offender”
and serve 2 minimur jail sentence of thirey days.
< _RS § 730-2010.5, entitled “Interference with reporting an
emergency or crime,” provided as follows:
(3) A person commits the offense of interference with
reporting an emergency oF cine if the perscn intentionally oF
or witness fos criminal act from
phone system, cbtaining medical
‘or making @ report to = law enforcement officer.
(2) interference witn the reporting of an energency or crine
is a petty misdemeanor.
+ WRE Rute 404(b) provides
Other crimes, wrongs, of acts, Evidence of other crimes, wrongs,
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
requirement was a “condition precedent” to (a) admitting
“critical evidence of the complainant's prior attack offered to
establish (Pond’s] justification of self defense and to establish
the complainant as the ‘first aggressor,’” and (b) cross
examining the complainant about her marijuana use on the night of
the incident, because it violated Fond’s constitutional rights to
present a defense and confront adverse witnesses. Pond also
asserts that the ICA gravely erred by affirming the conviction
where “(a) the self-defense jury instructions were incomplete and
misleading and (b) the instructions defining the interference
offense failed to specify that the state of mind requirement
applied to each of these elements.”
Because the circuit court precluded Pond from cross~
examining the complaining witness about whether she used
marijuana on December 12, 2005 to show that her perception was
inaccurate, it committed reversible error. Accordingly, we
vacate Pond’s conviction of abuse of family or household menber
and Interference offense, and remand for a new trial consistent
with this opinion.
‘br acts is not admissible to prove the character of a person in
Sider to prove the character of a person in order to show
Conformity therewith. It may, however, be admiseisle where such
evidence 22 probative of another fact that is of consequence to
the determinstion of the action, such as proof of motive,
Cpportunity, intent, preparation, plan, knowledge, ident ity, modus
Operands, of absence of mistake or accident. In criminal cases,
the proponent of evidence to be offered under this subsection
Shall provide reasonable notice In advance of trial, or during
tsial ££ the court excuses pretrial notice an good Cause shown, of
the date, Location, and generel nature of any such evidence it
Intends te ineroguce at eral.
3
A. Factual Background
The complaining witness, Miae Russell ("Ms. Russell"),
met Fond in the sunmer of 2005, began dating him, and moved into
Pond’s house in October 2005. Bond, 117 Hawai'i at 339, 181 P.3d
at 418. Ms. Russell and Pond presented conflicting testimony
regarding an incident that occurred on December 12, 2005.
1. Mes Russell's account of Decenber 12, 2005
‘The ICA's published opinion set forth Ms. Russell's
account that Pond physically abused her on December 12, 2005, as
follows:
on the evening of December 12, 2005, (Me. Russell) was alone
in Pond’ s residence: At about 5:20’ p.m., she had. spoken by
telephone with Pond, who was then at’ the’ Outback Steakhouse.
When Pond arrived hone st around 10:30 p.m, she was already
asiesp. she woke up wien she heard noises from the sliding glass
doce in the Living foom, which she had locked. [te. Russell}
testified that she got up and walked co the Living rocm £0 sze who
was outside and Pond "walked in through the bedroom screen door.”
She then gst back in bed and Pond’ “wae jumping on [her] and
climbing on [her], ané-wae kind of like-he was drunk.” (Ss
Russell) testified that she knew Pond was drunk because "(je
Snelled resily bag” and “when [che] spoke to hin at five-thsety he
also told [her] he was drinking.”
(us. Russell) testified that after she told Pond to get off
her, he responded by jumping on her more. Pond "was piling the
Blankets on top of (her), and [2he) was trying to tick them off.
Ang then [Pond) went into the bathroom, and (Me. Russell] was
trying co fix the blankets." (Ms; Russell) then “asked (Pond)
What thst nell nas." in response, Pond “cane walking towards
Uher] and then he slammed (her) face into the bed” with one arm
and “had his knee or something behind . . [her] arm,” so chat
her arm and face were in a “weird position” and she "wae Just
buried into the bed and [she] couldn't move.” [Ms- Russell]
testified that she “hurt a lot,” “could not breathe[,]” and
thought her Jaw and arm were going to break. She also explained
thet while Pond was holding her down, he told her that “the resson
Why (she) was being punished wae Because [she) didn't. know how to
bevobecient. And that’s the last thing thet ne wanted to co, was
to hurt (her], but that (she] needed to learn how to respect him.”
Ime. Russell} related that “(e]ventually, (Pond) lee golr]” and
after he got off of her, he was "Just renting.” She uss’ crying,
Still on her knees on her bed, and “screaming for help.”
4
‘#+* FOR PUBLICATION IN WEST'S HAWAM REPORTS AND PACIFIC REPORTER ***
Bond,
Pond approached her again, “grabbed the back of (her)
head[,]" tole ner "to shut up, and he Bit down on [Ms. Russell's:
mouth’ and ; ss punctured the Bottom part of (Ms, Ruszell's]
mouth so hard’ that it ‘west all the way through, Ang the other
Bide, it wae ust very awollen and hard. , + and there was
locd.”" She received a sear from Pona’s' bite.
117 Hawai'i at 339, 181 P.3d at 418. Ms. Russell then
explained that she tried to call the police, but Pond fought her
for
her phone:
Ie. Russell] waz then asked how she got loose after Fond
bit her, She Fecpondes, "I think he just let 90, and I got up and
Tuas reaching for my purse snd phone, and 1 tried to call the
police.” Thereafter, [Ms. Russell] testified as follows
Teena] cane over and grabbed the phone frea me and knocked it out
of my hand, because we were fighting for it, and everything
out. And by that tine I was on my hands
and trying to pick everything up. And T =~ my stuff was right to
the left of we, and T'was also grabbing my things so that 1 could
just get ay things and le:
‘Recording to (Ms. Russell), she told Pond she was calling
the police and disled S11 on ner’ phone. she wasn’t Sure iF she
Pushed the enter button, “but [she] think|s she) did, because when
[she] went to the police station, [ehe] lookea at the prone [and]
iE iwaz on there.” She further testified that as she was gathering
her'thinge and crying, Pond “said chat he would help (her) carry,
Se out or something. He was telling (her) to oe quiet and shut up
the whole time.” Pond then “took (her) arm and put it behind her,
and shoved [her] face inte the closet docr, and sort of pushed
Ther} along the door{,]” causing her face and mouth to bleed.
{as. Russell! expressed hat she felt scarea ana she
sfelverywhere.” she algo had bruises, welts, cuts, and fingernail
narks, Sone of which lasted "at least a week” and “were still
visible like ten caye later.” Ker "hair wae (e180) falling out.”
[s, Austell] related that she then gathered sone of her things,
left the apartment, and drove to the Maul police station in Lanaind.
(He, Russell) also related that after the incident,
she didcontifued Living with Pond and stopped dating him
ime. "Rsae1a} cestitied that she informed Maui Police
Department (MPO) Officer Jonathan Kaneshiro [Officer Kaneshiro)
that she had told Pong she was calling 911... . «(When Me
Aussell] was chen presented with the statenent written py officer
Kaneshiro to “refresh ther] menory!,]” (t]he statenent did not
mention [her] claim that she had told Pond she was calling S11.
Ada at 339-40, 181 P.3d at 418-19, Ms. Russell denied that she
was drinking on December 12, 2005. Ms. Russell also denied
{++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
biting Pond but admitted that she “strike(d) him in self-defense”
he bed.”
when Pond “was climbing all over [her], when he came
2. Pond’s testimony
Pond testified that on December 12, 2005, after running
some errands, he had dinner with a female friend at outback
Steakhouse. He arrived home between ten to ten-thirty p.m., and
he entered through the bedroom door because his normal office
room entrance was locked. He saw Ms. Russell in the office room,
smelled marijuana, and observed a half full bottle of vodka. He
assumed that Ms. Russell bought the alcchol earlier that day and
drank half the bottle because they do not normally keep alcohol
in the house and she was the only person home.
Pond testified that when he walked into the office, he
and Ms, Russell smirked at each other, “kissed for a few
seconds,” and then Ms. Russell bit on his upper left lip, which
resulted in a permanent scar. In response, Pond “bit down on her
to release -- to have her release.”
Pond testified that Ms. Russell attacked him, and he
defended hinsel:
A, At that point, (Me. Russel] backed up, she said,
vumere the FV have you been?” Who have you Been with?” And at
thst point, on the Second phrase that she said that, she punched
ne in'the face.
Gr "And what do you meen punch you in the face? where is
thie?
A, Well, the first punch was on my Left side-the first
punch; as she was punching me, she says, “where were you?" And
Then f saig, I cola her, "You know that I was cut,” and it was
none of her business at this point. She punched e and continued,
{you know, raising her voice, starting to Scream, "Where the F
have you been?” Punched me agein. And I told her, "Stop it, you
can't punch me, you're =~ I don’t think because you're a wonan you
Gan sit Rere and peat me because I'm bigger than’ you =~ you can
best me.”
0 Were you trying to-
é
*** FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
Ac Wot at that point, verbally told her to stop at that
point. "she dia Sf again, ana’ then =~ as she started to do it, I
Btarted to defend, and try to protect ayself from those punche:
9..° “Gan you denonstvate fer the jury bow you're defenaiag
yourself?
"A. Well, she's swinging and I'm trying to block snd
throwing her azne off like this for the first few. She kept
Guinging and she kept swinging, and I kept trying to block then,
And? Blocked a lot of then and 3 lot of then. T blocked myseit
T'nean they were just coming =~ she was frantic and hysterical.
‘gost that point, 1 grabbed ner 3 to grab and take
her arm so she covidn’t continue swinging st me and hitting me in
A." 1. . 1 pushed her back, and she came back towards
jain. "And then'at that point, I cook her ana T pushed her back
Shen further:
A." . . and as 1 pushed her, she went falling into,
you know, into’ the corner of the bed.
A.” " She fell backwards. 1 pushed her off of me, she was
facing he, and she went backwards with her back into the bed,
According to Pond, after (Ms. Russell] hit the bed, she
sat on the bed, sobbed for a few seconds, “jumped back up,”
around the office room and threw a candle. Thereafter, when Ms.
Russell was making a phone call, he took the phone and “dropped
it on the bed’:
[sIhe picked up ner telephone, and was making a phone call
I didn’t know what the phone call was.” We pad argued before, and
she had made a phone call, and it was toa friend to go over an
Stay with her friend.
‘and I took the phone, and I was -~ you know, we were
ronmaging to grab the phone, I took the phone and just dropped it
on the bed. I said, "You know what, you just seed fo get sll your
Stuff, and you need’ to get out of here. Let's just get your
things and let’s just end this.”
Pond testified that “as (Ms. Russell) was picking up and
gathering herself, her stuff, she was kind of throwing her things
around,” and theorized that during this time, she may have thrown
her phone and broken it.
Ms. Russell then went into the bathroom and started to
‘** FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
cry. Pond joined her in the bathroom to try to clean her lip.
Id. “And then at that point, it was just kind of -- it was
" pond testified that he did
obvious that she wanted to leav
not prevent her from leaving and that Ms. Russell did not tell
him that she was going to the hospital or the police.
3. Other accounts produced at trial
officer Jonathan Kaneshiro (“Officer Kaneshiro")
testified that he was working in the Lahaina district on the
night of December 12, 2005 at approximately 11:30 p.m. when Ms.
Russell arrived at the police station. Ms. Russell had a
difficult time relating to him what had occurred because she “was
still crying and she would break down from time to time."
Officer Kaneshiro observed that Ms, Russell “had an injury to her
mouth, [and] a little bruise around her . . . right eye” and did
not appear to be intoxicated. Officer Kaneshiro testified that
he also noticed that “there was bruising on [Ms. Russell's] left
arm, . . . from her wrist to her elbow, and from her entire right
arm from the wrist all the way to the shoulder(,]” and that she
also sustained an injury to her lip that “wasn’t dripping (blood)
or anything, but it looked fresh.”
After officers arrested Pond at his home, he was
transported to the police station to be processed.
officer Keneshire testified that he did not notice any
+ then Officer Kaneshiro asked Ms. Rus Jin what happened,
she stated that after Pond cane hone, [they] got into 2 verbal argument; he
Degan pushing her, and.» . at one point pushed her against the wall, she
stated that ne hit her in'the head, ané threw her cell iphone) against che
Wall while she was trying to call 911, And he Bit her sn the 1ip cr on the
Routh, something 1ike that.”
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER,
Anjuries on Fond’s body when the officers first arrived at Pond’e
Fesidence. . . Officer Kaneshiro acknowledged that it was
possible that Pond could have bitten nis tongue or Lips when he
haz on the ground lying face down. Officer Kaneshiro recalled
That he hed asked Pong at the police station whether Pond had any
[nluries and Pond responded thet be haa tone.” pond also denied
Shaving any kind of physical altercation with (Ms. Russell)” or
that he “picked up (He. Rossell’s] phone ond threw st."
Pond, 117 Hawai'i at 341, 161 P.3d at 420.
Quetzal Chacon, Pond’s brother, testified that he
picked Fond up on the street on December 13, 2005, and that he
took a picture of Pond’s lip because Pond told his
that he wanted
evidence that Ms. Russell bit him. He further stated that the
picture admitted into evidence fairly and accurately depicted
Pond’s lip on December 13, 2005.
B. Procedural History
1. Bond's motion for HRE Rule 404(b) evidence and
continuance denied
on February 27, 2006, minutes before Pond’s jury trial
was scheduled to begin, Pond orally moved for a continuance of
trial in order to submit HRE Rule 404(b) evidence that Ms.
Russell previously assaulted Pond. Pond’s counsel explained that
he only pinpointed the date of the alleged attack that morning
and could not have earlier filed a notice of intent to introduce
such evidence, He algo argued that the evidence “goes to the
heart of our self-defense.”
The prosecution argued that defense counsel had the
opportunity to present his defense “weeks ago” and that “he’s
supposed to provide discovery way before trial and not ask for
continuance.” Although the circuit court acknowledged that HRE
Rule 404(b) allows notice of the intent to introduce evidence of
9
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bad acts to be given during trial, it ruled against Pond’s motion
for a continuance and observed, “I got more than sixty jurors
outside, This is the only trial left.” The circuit court also
denied the ERE Rule 404(b) motion “for failure to provide
notice," opining that “[i]f [the evidence) goes to the heart of
the defense, then it should have been something given more
prominence earlier. 1 can’t believe that it's that much to the
heart of it based on the way it’s dribbling in. 1 think that’s
how your client felt.” The case immediately proceeded to trial.
During direct examination, Pond described an argunent
he had with Ma. Russell “a couple wi
ks prior” to December 12,
2005, Pond explained that when he came home from work, he saw
Ms. Russell lounging on his bed with her dog, even though he had
previously told her that he was allergic to pets and that she
could not bring any animals into his house. Pond testified as to
the final outcome of the argument:
I asked her to take the dog off the bed and she just continued to
try and argue with me about the dog. so 1 walked over 0 pick up
the dog and take it off the bed, and as I walked over to move ity
the dog ran anc jusped off ana went over ~~ went to ansther part
Of the house. And she cane over to me and started swearing st me
Because, you know, of my stance on ity and you know, proceeded $0.
smack no.
(Emphasis added.) The prosecution objected and the court
reminded Pond’s counsel of its HRE Rule 404(b) ruling and ordered
the jury to disregard Pond’s last response.
2. Evidence that Ms. Bu 2 n
December 12, 2005)
During Ms. Russell's cross-examination, defense counsel
asked whether she was smoking marijuana when Pond came home on
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December 12, 2005. ‘The prosecution objected and the parties
approached the bench. Pond’s counsel argued that this evidence
is “impeachable” and “goes to her credibility.” However, the
court ruled “[iJt’s @ prior bad act” because the question asks
hether “she committed a crime that evening before he came hone,”
and thus, required that Pond’s counsel give the prosecution HRE
Rule 404(b) reasonable notice. The court thereafter struck the
last question and ordered the jury to disregard it.
3. dry i _
After the close of evidence, the circuit court
instructed the jury, inter alia, as to when a person acts with
intentional (instruction 18), knowing (instruction 19), and
reckless (instruction 20) states of mind, Then, it instructed
the jury regarding the Interference offense:
Instruction 22. In Count IT of the complaint, the
Defendant, Kevin Pond, is charged with the offense of interference
hich reporting an enelgency of crime. A person commits the
Offense of Interference with reporting [sic] of an enezgency oF
Cline ie chat person intentionally or knowingly prevents a victim
Sr witness to a criminal act from calling a 9li-emergency,
Telephone systen, obtarning medical assistance, or making 2 report
fo a jaw enforcement officer, There are two material elements of
the offense of interference with reporting an emergency or crime,
each of which the [p]rosecuticn must prove beyond reasonable
Soube.
‘Thess elements, these two elements are that on oz, about
pecenber 12, 2005 inthe County of Maui, State of Hawei's, the
Defendant, Kevin Pond intentionally or knowinely engaged in
Conducts and that said conduct resulted in preventing a victim or
Witness to a erininal act from calling a Slivemergency telephone
System, obtaining medical ascistancey or making a report to a law
shtorcement officer. The intentional of keowingly [® of
mind applies to each element of the offense.
‘The circuit court also provided the following self-
defense jury instruction:
‘The use of force upon or towards another person is justified when
n
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4 person reasonably believes that such force is immediately
Retessary to protect Minself on the present occasion against
se of unlawful force by the other person. A person employing
protective force may estimate the necessity thereof unger the
The force
Hetigea wathour retreating. 17, and only af, you fing that the
(Gjefendant was reckless in having a belief that he was justifies
tn using self-protective force againet angther person, of that the
(Slefendant was reckless in acquiring or foiling to aeqeire any
knowledge or Belief which was naterial to the sustifiability of
his use of force against the otner perscn, then che Use of euch
protective force is unavailable as defense to the offente of
Sbuse of family or household member’
Pond appealed his conviction
on March 1, 2006, the jury found Pond guilty of his
Charged offenses, and the circuit court filed a judgment
convicting Fond on March 2, 2006. Pond filed a notice of appeal
on March 28, 2006.
on October 11, 2007, the ICA affirmed the circuit
court's judgment in a published opinion and filed a judgment on
appeal on October 30, 2007. The ICA held that the circuit court
did not abuse its discretion by precluding evidence that Ms.
Russell allegedly struck Pond on a prior occasion and that Ms.
Russell had smoked marijuana on December 12, 2005 because “the
notice requirement is a condition precedent to the admissibility
of HRE Rule 404(b) evidence.” Bond, 117 Hawai'i at 350, 181 P.3d
at 429, It also concluded that the circuit court’s jury
instruction about the self-protection defense is consistent with
the language of the statute regarding the self-protection
at 351, 181 P.3d at 429, Finally, it observed that
defense. 1
the jury instructions erroneously combined two elements of the
Interference offense, but that the error was harmless. Id.
2
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IT, STANDARDS OF REVIEW
certiorari
This court considers whether the ICA’s decision
reflects *(1) (g)rave errors of law or of fact } or (2)
[o}bvious inconsistencies . . . with (decisions) of thlis] court,
federal decisions, or (the ICA‘s] own decision[s}" and whether
“the magnitude of those errors or incor
need for further appeal.” RS $ 602-89 (Supp. 2007).
B. Admissibility of Bad Act Evidence
istencies dictat[es] the
The aduissibility of evidence requires different
standaras of review depending on the particular rule of
Gvidence at issue.” When application of a particular
Gvidentiary rale can yield aly one correct result, the
proper stancard for appellate Teview se the Fight /wrong
Etendara. [TIhe tragitisea! abuse of discretion stancara
Should be applied in the case of those rules of evidence
that require a “Judgment call” on the part of the trial
State v. St. Clair, 101 Hawai"i 280, 286, 67 P.3d 779, 785 (2003)
(citing State v, Pulse, 83 Hawai'i 229, 246-47, 925 P.24 797,
ei4-15 (1996).
Under HRE Rule 404(b), the proponent of “bad act”
evidence “shall provide reasonable notice in advance of trial, or
during trial 4£ the court excuses pretrial notice on good cause
shown, of the date, location, and general nature of any such
evidence it intends to introduce at trial.” HRE Rule 404(b).
Because the trial court’s determination of reasonable notice
involves making @ “judgment call,” the admission of this evidence
is reviewed for abuse of discretion. See State v. Richie, #8
Hawai'i 19, 37, 960 P.2d 1227, 1245 (1998).
‘An abuse of discretion occurs when the court “clearly
13
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exceeds the bounds of reason or disregards rules or principles of
law to the substantial detriment of a party litigant.” sty
Clair, 101 Hawai'i at 286, 67 P.3d at 785 (citing State v
Eucutand, 76 Hawai'i 172, 179, 673 P.2d 51, 58 (1994).
©. Cross-Examination
Violation of the constitutional right to confront adverse
Witnesses a subject to the harmless beyond a reasonable doubt
Scandara. In applying the harsless beyond a resscnable doust
Standard the court is required to examine the record and determine
Whether there isa reasonsble possibility that the srrcr
Complained of might have contributed to the conviction.
State v. Balisbisana, 83 Hawai'i 109, 113-14, 924 P.2d 1215,
1219-20 (1996) (citations and internal quotation marks omitted).
D. Jury Instructions
ven jury instructions or the omission thereof are at issue
fon appeal, the standara of review is whether, unen read and
Considered asa whole, the instructions given are prejudicsally
insufficient, erroneous, inconsistent, of misleading. Erroneous
instructions’ are presumptively harmful and are a ground for
reversal uniess it affirmatively appear fram the record as 3
whole that the error wes Not prejudicial, [iiowever, eleror ie not
fo be viewed in isclation and considered purely in the abstract”
Ft must be examinea In the light of the entire proceedings and
given the effect wich the whole record shows it to be entitled
In that context, the real question becomes whether there 12 ¢
reasonable possibility that error might have cont rsbutes te
Conviction. If there ia such s reasonable possibility ina
eriminal case, then the error ie not harmless beyond a reasonable
Goubt, and the judgaent of conviction on which it may have been
based’ must be set acide.
Tojnce instructional error ie demonstrated, we will
vacate, witnout regard to nnether timely objection was made, if
there is a reasonable possibility that the error contrinuted to
the defendant's conviction, i.e.) that the erroneous jury,
instruction was not harsless Beyond a reasonable doubt
State vs Michols, 111 Hawai'i 327, 335, 337, 141 P.3d 974, 982,
984 (2006).
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III. Drscusson
A. The ICA Did Not Gravely Err By Concluding That (1) “The
Notice Requirement Is A Condition Precedent To The
Admissibility Of HRE Rule 404(b) Evidence” And (2) The
Circuit Court Did Not Abuse Its Discretion By Precluding
Pond’s HRE Rule 404(b) Evidence That Ms. Russell Struck Him
‘Two Weeks Prior To The Incident.
Pond argues that the ICA gravely erred by con
uding
that under HRE Rule 404(b), he was required to give the
prosecution reasonable notice prior to introducing HRE Rule
404 (b) evidence because it violates his constitutional right to
present a defense and examine witnesses. Pond contends that
purpose of the notice requirement does not “‘trump’ [his)
constitutional rights, particularly where . . . there was no
prejudice to the prosecution.” Specifically, he asserts that he
sho
have been permitted to
troduce evidence that Ms. Russell
attacked him two weeks prior to December 12, 2005. We disagree.
1. BRE Rule 404(b)"s notice requirement is not
nconstitutional.
HRE Rule 404(b) was amended in 1994 to provide in
pertinent part,
In criminal cases, the proponent (offering) evidence
Efines, wrongs, of acts) shall provide zeasonable asbice ig
Sotios on goed cause show, of the date,
ature of any such evidence it intends to
(Emphasis added.) Legislative history of HRE Rule 404(b)
pro}
Toaation, and general
‘ntroduce at eral
les that the notice requirement “was modeled after a change
recently made to the FRE." Hse. Stand. Comm. Rep. No. 567-94, in
1994 House Journal, at 1088.
‘The Advisory Committee Note to the 1991 Amendnent
to
15
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FRE Rule 404(b), the federal counterpart to HRE Rule 404(b),
explains that the notice requirement “is intended to reduce
surprise and promote early resolution on the issue of
admissibility."” “Because the notice requirenent serves as
condition precedent to admissibility of 404(b) evidence, the
offered evidence is inadmissible if the court decides that the
notice requirement has not been met.” FRE Rule 404(b) Advisory
Committee’s Note (emphases added) .
As the ICA pointed out in Pond, HRE Rule 404(b)'s
notice requirement differs from its federal counterpart in three
ways. ond, 117 Hawai'i at 348, 181 P.3d at 427. Pond clains
that one distinction is critical to the instant case -- whereas
FRE 404(b) requires the prosecution to provide notice, HRE Rule
404(b) also requires a defendant to give reasonable notice of its
7 The Advisory Committee Note to the 198 Amendnents to FRE Fule
408 (b) further explains!
Other than requiring pretrial notice, no specific time Limits are
Stated in recognition that what constitutes s reasonable reqies=
or disclosure will depend largely on the circunstances of each
‘ine imgnanent requires the prosecution to provide notice,
regardless of how it intends to use the extrinsic act evidence at
trial, tve., during its case-in-chiet, for impeachment, oF for
possible rebuttal. The court in its discretion may, under the
facts, decide that the particular request of notice was not
ressonable, either because of the lack of timeliness oF
Completeness.
+ ARE Rule 404(b) and the FRE Rule 404(b) also differ because HRE
Rule 404(b) requires a more detailed form of notice (date, location, and
general nature of any such evidence”) whereas FAE 404 (b) merely requires
Sreagonable notice . . . of the general nature of any such evidence.” Zand
AT Hawai's at 348, lal P.3a at q27. Further, BRE Rule 404(b), anlike FRE
d0e(o)s does not, require Ehat the cther party request that st give prior
16
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intent to use evidence of other crimes, wrongs, or acts. Fond
contends that where the lack of pretrial notice did not prejudice
the prosecution, “there is no basis for applying the requirement
with equal force to defendants without considering the extent to
which exclusion of evidence impinges on the rights to fair trial,
to present a defense and of cross-examination.”
“The sixth amendment to the United States Constitution
and article I, section 14 of the Hawai'i Constitution guarantee a
criminal defendant's right to confront adverse witnesses
*[c)ross-examination is the principal means by which the
believability of a witness and the truth of his testimony are
tested.’” State v, Sabog, 108 Hawai'i 102, 107, 117 P.3d 834,
839 (App. 2005) (quoting Davis vs Alaska, 415 U.S. 308, 316
(1974)). Because of the policy favoring cross-examination,
“[xlestrictions on a criminal defendant’s rights to confront
adverse witnesses and to present evidence ‘may not be arbitrary
or disproportionate to the purposes they are designed to
serve.” Michigan v. Lucas, $00 U.S. 145, 181 (1992) (quoting
Rock v, Arkansas, 483 U.S. 44, 55-56 (1987) (holding that a state
rule excluding all posthypnosis testimony impermissibly infringes
+ cf, Holmes v south carolina, $47 U.S. 319, 326-31 (2006) (ruling
hat precluding evidente of third-party guilt where the prosecution has
Untrosuced evidence that, if believed, strongly supports a guilty verdict, is
unconstitvtional); Cranes, Kentucky, 476 9.5. 663 (1986) (holding thet
Skclusing evidence of she circumstances of defendant’ s confession is
Unconstitutional); Washineron vw. Zeyas, 388 U.S. 14, 22-23 (1976) (holding
that a state statute that prohibited the defendant from calling a witness. who
had been charged and previously convicted of comuitting the same murder is
onal); Chambers v. Mississippi, 410°0.8. 264, 295-96 (1973)
precluding the defendant from impeaching nis own witness unde
uv
4+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
on a defendant's right to testify)
} see Chambers v, Mississippi,
410 U.S, 264, 302 (1973) (holding that “where constitutional
rights directly affecting the ascertainment of guilt are
implicated, the hearsay rule may not be applied mechanistically
to defeat the ends of justice”).
At the sane time, the United States Suprene Court has
ruled that “[tJhe right to present relevant testimony is not
without limitation. The right ‘may, in appropriate cases, bow to
acconnodate other legitimate interests in the criminal trial
process.’" Rock, 483 U.S. at 58 (citation omitted); see State
Faria, 100 Hawai'i 383, 391, 60 P.3d 333, 341 (2002) (noting that
despite a defendant's constitutional right to confront a witness,
“relevant evidence ‘may be excluded if its probative value is
substantially outweighed by the danger of unfair prejudice,
confusion of the issues, or misleading the jury, or by
considerations of undue delay, waste of time, or needless
presentation of cumulative evidence’* (quoting HRE Rule 403
(2000))).
‘Thus, “{iJn applying its evidentiary rules a [s]tate
must evaluate whether the interests served by a rule justify the
Limitation imposed on the defendant’s constitutional right to
testify.” Bock, 483 U.S. at S67 see also State v, Nizam, 7 Haw.
App. 402, 411-12, 771 P.2d 899, 904-05 (1989) (holding that the
tutional right was not violated where the
defendant's cons:
witness's testimony was stricken because the defendant refused to
release his interviews upon which his expert witness based his
opinion, and that there is @ legitimate interest in “ensuring
as
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that a jury is provided with the relevant evidence on both sides
of an issue in order to assist it in determining the truth and
arriving at a just decision") cert, denied, 70 Haw. 666, 796 P.2d
502 (1989).
‘The Supreme Court applied the “legitimate interest”
rule in Lucas. 500 U.S. at 146. Lucas considered whether the
trial court violated defendant Lucas’ right to confrontation when
it precluded his proferred evidence for failure to comply with
the rape shield statute's notice requirements. Id, The rape
shield statute, designed to protect victims of rape from being
subjected to harassing or irrelevant questions concerning their
past sexual behavior, permits a defendant to introduce evidence
of his or her own past sexual conduct with the victim if the
Gefendant files a written motion and an offer of proof within ten
days after he is arraigned. Id, at 146-47. The trial court may
also hold “an in camera hearing to determine whether the proposed
evidence is admissible.” Id. Lucas was found guilty of criminal
sexual conduct, and on appeal, the Michigan Court of Appeals
reversed, holding that the statute’s notice requirement is per ae
unconstitutional “even where a defendant's failure to comply with
the notice-and-hearing requirement is a deliberate ploy to delay
the trial, surprise the prosecution, or harass the victim.” Id.
at 149, The Suprene Court granted certiorari. Ide
The Supreme Court recognized that the rape shield
statute implicates the sixth amendment and that, “[t]o the extent
that it operates to prevent 2 criminal defendant tron presenting
relevant evidence, the defendants ability to confront advers
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Witnesses and present a defense is diminished. This does not
hecessarily render the statute unconstitutional.” id. at 149
(internal quotation marks and brackets omitted and emphasis
added). iuucag observed that the defendant's right to present
relevant evidence “nay, in appropriate cases, bow to accommodate
other legitimate interests in the criminal trial process.” Id.
(quoting Bock, 483 U.S. at 55)
Pursuant to this rule, the Suprene Court recognized the
state's interest in the policy underlying the rape shield
statute's procedural prerequisites -- to protect rape victins
from surprise, harassment, and invasions of privacy, and permit
the prosecution to investigate the evidence. Id, at 149-50.
Next, the Court pointed to its previous rulings upholding
jentiary notice requirements even where such requirements
Linited 2 defendant’s right to confrontation. Id. at 150-52
(citing Taylor v. I1linois, 484 U.S. 400, 414 (1988) (rejecting
defendant's argunent that “preclusion is never a permissible
sanction for a discovery violation” and holding that the circuit
court did not err by refusing to permit defendant’s undisclosed
witness to testify after violating a state procedural rule);
United States v, Nobles, 422 U.S. 225 (1975) (affirming the trial
court’s refusal to permit defendant to call a witness where the
defendant refused to comply with the District Court’s order to
submit a copy of the witness's report to the prosecution and
declaring that “(t]he Sixth Amendnent does not confer the right
to present testimony free from the legitimate demands of the
adversarial system”); Wardius v. Oregon, 412 U.S. 470, 474 (1973)
20
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(The growth of such discovery devices is a salutary development
which, by increasing the evidence available to both parties,
enhances the fairness of the adversary system. . . . [Nlothing
in the Due Process Clause precludes States from experimenting
with systems of broad discovery designed to achieve these
goals."). It further anslogized the notice requirement to the
notice of alibi rule that it upheld in Williams v. Florida, 399
U.S. 78 (1970), as follows:
‘me (Suprene] Court observed that the notice requirement ‘by
[ifghe in no wey affected (ehe decendanc!2i crucial decision to
call a1ibs wi ‘At moat, the rule only compelled
{tne defendant] to accelerate the eiming of his dusclosure,
foreing him to divulge at an earlier dave snformation that’ (he)
planned to divulge at trial.’ (Willaans, 399 0.8. at 65.)
Kecelerating the disclosure of this evsdence did fot violate the
Gonstivution, the [Supreme] Court explainea, because a criminal
trial is not ‘a poker game in which players enjoy 2n absolute
Fight always to Conceal their cards uneil played.’ (Jd. at 62.)
1d. at 149. Based on its prior rulings and the state's interest
in the rape shield statute, Lucas ruled that precluding evidence
based on the rape shield statute’s notice requirement is not per
se unconstitutional. Id, at 150, 152-53. However, it remanded
the case to determine whether the trial court abused its
discretion by precluding Lucas’ evidence. Id. at 182-53.
In determining whether HRE Rule 404(b)‘'s notice
requirenent is also not per se unconstitutional, we next consider
the policy governing the rule's notice requirement. As stated
above, the Lucag court described sound reasons for requiring pre-
trial notice. See Lucas, 500 U.S, at 150-52; cf, Wardius, 412
U.S, at 473 ("Notice-of-alibi rules . . . are based on the
proposition that the ends of justice will best be served by a
21
‘1+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
system of liberal discovery which gives both parties the maximun
possible amount of information with which to prepare their cases
and thereby reduces the possibility of surprise at trial.”). The
notice requirement pertaining to HRE Rule 404(b) evidence is
Likewise designed to reduce surprise and promote early resolution
of admissibility questions. See Pond, 117 Hawai'i at 350, 161
P.3d at 429; FRE Rule 404(b) Advisory Committee's Note.
Moreover, HRE Rule 404(b) is not unconstitutional
merely because it implicates a defendant's constitutional right
to confront witnesses and its federal counterpart does not. As
s Note to FRE Rule 404(b) observed, the
the Advisory Committe
notice requirement is “in the mainstrean with notice and
@isclosure provisions in other rules of evidence,” such as FRE
Rules 412 (written motion of intent to offer evidence under
rule), 609 (written notice of intent to offer conviction older
than 10 years), 803(24) and 804(b) (5) (notice of intent to rely
on residual hearsay exceptions). Advisory Conmittee’s Note to
FRE Rule 404(b). These federal rules of evidence, by their plain
language, apply equally to the prosecution and the defense. Like
these rules and other Hawai'i rules of evidence," HRE Rule 404 (b)
is not per se unconstitutional even though it may restrict a
defendant's constitutional right to confront an adverse witness.
“The Sixth Amendment is not so rigid” that the HRE Rule 404(b)
RE Rule 422 requires = defendant accused of committing sexal
assault intending to submit evidence of an alleged victin’s past sensal
Behavior to submit written notice fifeeen days pricr to the introdetion of
evidence unless the court determines thst the evidence of an issue is newly
Giscovered, and HRE Rule 803(24) requires a notice of intent to admit hearsay
evidence that has circunstantial guarantees of trustworthiness.
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notice requirement violates the sixth amendment in all cases
where it is used to preclude HRE Rule 404(b) evidence, see
lucas, 50 U.S, at 151. Accordingly, we conclude that HRE Rule
404(b)'s policy of “reducling] surprise and promot [ing] early
resolution on the issue of admissibility” “justify the limitation
imposed on the defendant's constitutional right to testify.”
‘The Dissent compares the HRE Rule 404(b) notice
requirenent to statutory privileges that “preclude the admission
at trial of certain classes of confidential communications” and
that may “interfere[] with a defendant's constitutional right to
examine.” State v. Peseti, 101 Hawai'i 172, 181, 65 P.3d
119, 128 (2003); gee Concurring and dissenting opinion
(“Dissent”) at 16-17, The Dissent argues that the defendant's
constitutional right to confrontation trumps HRE Rule 404(b) in
certain circumstances in the sane way that it prevails over
statutory privileges “upon @ sufficient showing by the
defendant.” See Dissent at 16-17 (citing Peseti, 101 Hawai't at
181-82, 65 F.3d at 126-29, The Beseti rule is not outcome
dispositive of the instant issue, however, because HRE Rule
404(b) serves a different purpose than a statutory privilege and
does not per se exclude evidence.
In Peseti, this court considered whether the statutory
victim-counselor privilege violated defendant Peseti’s
constitutional right to confront adverse witnesses as guaranteed
by the sixth amendment to the United States Constitution and
article I, section 14 of the Hawai'i Constitution. 101 Hawai'i at
174, 65 P.3d at 121, This court recognized the worthy goal of
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this statute: protecting victim-counselor communications assures
victims that “their thoughts and feelings will remain
confidential” and thereby promotes successful counseling. id. at
180, 65 P.3d at 127.
of a statutory privilege . . . is tempered by the principle that
Yet, we also recognized that “[t]he scope
‘privileges preventing disclosure of relevant evidence are not
favored and may often give way to 2 strong public interest.”
Id, (citation and internal quotation marks omitted). Citing te
Davis, 415 U.S. at 319-20, which held that a defendant's
constitutional right to confront adverse witnesses trunps the
confidentiality of a juvenile’s record, and other courts’ rulings
that statutory privileges may give way to a defendants’
constitutional right, we held that “when 2 statutory privilece
interferes with a defendant's constitutional right to cross-
examine, then, upon a sufficient showing by the defendant, the
witness’ statutory privilege must, in the interest of the truth-
seeking process, bow to the defendant’s constitutional rights.”
Ida at 101-62, 126-29 (emphasis added).
The Dissent contends that defendants should be
permitted to bring forth HRE Rule 404(b) evidence if they satisfy
the statutory privilege test laid out in Beseti because it
“toperate[s} to preclude the admission at trial of certain’
information," gee Dissent at 16-17, but the Eessti rule was not
\ pesets declared that a defendant's constitutional right of
confrontation trumps a statutory privilege
When the defendant demonstrates that: “{1) there is 2 legitimate
Reed to disclose the protected information; (2) the information is
24
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designed or intended to address evidentiary notice requiremen
The adoption of this rule was based on the purposes of statutory
ileges and, accordingly, only applies to “evidence of a
pri
statutorily privileged confidential communication.” Peseti,
Hawai'i at 180-82, 65 P.3d at 127-29. Moreover, unlike a
statutory privilege, HRE Rule 404(b) does not automatically
render evidence inadmissible. Rather, HRE Rule 404(b) evidence
may be admitted where the proponent provided reasonable notice or
had good cause for lack of pretrial notice. See HRE Rule 404(b)
(requiring “reasonable notice in advance of trial, or during
trial if the court excuses pretrial notice on good cause shown”
(emphasis added) ); Bond, 117 Hawai‘ at 350, 181 P.3d at 429
(declaring that “the notice requirement is a condition precedent
to the admissibility of BRE Rule 404(b) evidence”).
Although the Dissent indicates that it is not claiming
that a “rule that impinges on a defendant's constitutional right
is unconstitutional per s¢,” see Dissent at 32, applying
the Peseti test to otherwise admissible HRE Rule 404(b) evidence
invariably renders the rule’s notice requirenents
unconstitutional as applied to criminal defendants. The
application of the Peseta test to HRE Rule 404(b) would always
allow defendants to present HRE Rule 404(b) evidence that did not
Televant and raterial to the issue before the court; and (3) the
forty seeking to pierce the privilege shows by a preponderance of
Eke evigence that no less intrusive source for that information
eset, 101 Mawas's at 182, 65 P.3d at 129 (quoting State vs LuleB., 270
HedeSuper. 429, 637 A-2d $32, 837 (25841)
25
1+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
comport with the HRE Rule 404(b) notice requirement. In other
words, it appears that relevant HRE Rule 404(b) evidence would
always satisfy the Beseti test and therefore, be rendered
admissible. Seg Zeseti, 101 Hawai'i at 162, 65 P.dd at 129
(requiring that “(1) there is a legitimate need to disclose the
protected information[,] (2) the information is relevant and
material to the issue before the court[,) and (3) the party
seeking to pierce the privilege shows by a preponderance of the
evidence that no less intrusive source for that information
exists"), Therefore, to hold that the Beseti rule applies to the
admission of defendants’ HRE Rule 404(b) evidence, on the basis
of protecting defendants’ constitutional rights, would
effectively rewrite HRE Fule 404(b) and render the notice
requirement per se unconstitutional.
As explained above, HRE Rule 404(b), like many
discovery rules, is designed to reduce surprise during the
criminal trial and maintain fairness for both parties. Similar
to the notice of alibi rule, the HRE Rule 404(b) notice
requirement **[a]t most, . . . only compelled [the defendant} to
accelerate at an earlier date information that [he] planned to
divulge at trial."” Williams, 399 0.5. at 85. By precluding
parties from introducing HRE Rule 404(b) evidence during trial
and surprising the opposing party without good cause, this notice
requirement protects parties and the juzy trial system from
falling prey to opposing counsel's trial tactics and strategies
that do not promote a fair trial. Cf, Willjams, 399 U.S. at 82
(The adversary system of trial . . . 4s not a poker game in
26
‘++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
ch players enjoy an absolute right to conceal their cards
1 HRE Rule 404(b) notice requirement comports
until played.").
with this court’s interest in promoting the orderly
administration of justice and does not interfere with the
Gefendant’s constitutional rights, Cf. Baxter vs State, 522
N.B.2d 362, 369 (Ind. 1988) ("[NJotice rules promote the orderly
administration of justice by preventing unnecessary continuances
and by eliminating trials in those instances where post-notice
investigation reveals an alibi’s merits.” (quoting Alicea v.
Gagnon, 675 F.2d 913, 917 (Teh Cir. 1982))).
Having concluded that HRE Rule 404(b) is not per se
unconstitutional, we next consider whether the circuit court
abused its discretion by excluding Pond’s HRE Rule 404 (b)
evidence in the present case. See Wood v. Alaska, 957 F.2d 1544,
1550 (1992) ("Because trial judges have broad discretion both to
determine relevance and to determine whether prejudicial effect
or other concerns outweigh the probative value of the evidence,
we will find a Sixth Amendment violation only if we conclude that
the trial court abused its discretion.” (Citations omitted.)).
2
‘Thecircuit court did not abuse ite discretion by.
precluding evidence that Ms. Aussell previous:
As discussed above, Pond attempted to introduce “HRE
Rule 404(b) evidence” on the first day of trial by arguing that
it is “highly relevant to the issue of ‘first aggressor,’ but
the circuit court ruled that Pond gave unreasonable notice of
this evidence. ‘The circuit court excluded this HRE Rule 404(b)
evidence, opining, “If it goes to the heart of the defense, then
2
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER
it should have been something given more prominence earlier. 1
can’t believe that it's that much to the heart of it based on the
way it?s dribbling in.”
As the Dissent points out, Pond’s proferred evidence
may implicate HRE Rule 404(a)(2). See Dissent at 18 (citing HRE
Rule 404(a) (2) (providing that victims’ character traits offered
by an accused may be admitted “to provie] action in conformity
therewith on a particular occasion”)). Based on its plain
language, HRE Rule 404(a) (2) evidence is not subject to the
reasonable notice provision of HRE Rule 404(b). Nevertheless,
Pond identified the alleged attack of Pond by Ms. Russell as
“404 (b) evidence” in his opening brief’s points of error section
and argued that the court erred in excluding the HRE Rule 404 (b)
evidence. Thus, the issue of the admissibility of this evidence
under HRE Rule 404(al was not asserted by defendant and is
therefore deemed waived. See Hawai'i Rules of Appellate
Procedure (*HRAP") Rule 28(b) (4) ("Points not presented in
accordance with this section will be disregarded, except that the
appellate court, at its option, may notice a plain error not
presented.”); HRAP Rule 28(b)(7) (providing that the opening
brief must contain an argument section “containing the
contentions of the appellant on the points presented and the
reasons therefor, with citations to the authorities, statutes and
parts of the record relied on. . . . Points not argued may be
deemed waived”).
The record indicates that the circuit court did not
abuse its discretion by denying Pond’ s
quest to introduce Ms.
28
*#** FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
Russell's prior acts under HRE Rule 404(b). On the first day of
trial, defense counsel explained to the court that he was
previously aware of the “(HRE Rule] 404(b) event,” but did not
give the prosecution notice becuse he “wasn’t able to pinpoint
the day until [that] morning." This argument was disingenuous at
best. hen Pond’s counsel attempted to introduce the alleged HRE
Rule 404(b) evidence at trial, both Pond and his counsel merely
approximated the date of the event. On dire
examination, the
following collequy tock place between Pond and his counsel
‘The reason you're hel
son late Beceaber 12,
3
Lath, she had *-"r'nad cone hone from work and she had the dog and
ielae laying up on my bed, and just Lounging on the bed.
(Emphases added.) Pond’ s argument for excusing pretrial notice
is inconsistent with his testimony, which clearly did not
“pinpoint” the date of the prior incidents. Accordingly, Pond
Gid not establish good cause for delaying the notification of the
HRE Rule 404(b) evidence until the day of trial.
We further note that defense counsel could have given
the prosecution general notice prior to trial to eliminate undue
surprise and allow the prosecution the opportunity to prepare for
thie matter. See Bond, 117 Hawai'i at 350, 161 P.3d at 429
(observing that Pond never explained “why he could not have
provided earlier notice of the approximate tine period of the
alleged bad act, as well as the location and the general nature
of the evidence”). Accordingly, we conclude that the circuit
court did not abuse its discretion by declining to excuse
29
{+** FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
pretrial notice on good cause shown and precluding Pond’s HRE
Rule 404(b) evidence.
B. The Circuit Court Committed Reversible Error By Precluding
Pond From Cross-Examining Me. Russell About Whether She
‘Smoked Marijuana on December 12, 2005.
Pond next argues that the ICA gravely erred by
concluding that he was required to provide reasonable notice of
his intent to cross-examine Ns. Fussell about using marijuana on
December 12, 2005 to attack her perception and recollection. It
is well recognized that a defendant may cross-examine the witness
“as to her drug use and addiction at or near the time of the
incident to the extent that it affected her perception or
recollection of the alleged event.”? Sabog, 108 Hawai'i at 111,
117 P.3d at 843 (citing Wilgon v, United States, 232 U.S. 563
(1914) (concluding that witness’s drug use was admissible to
discredit the witness's reliability); Blumhagen v, State, 11 P.3d
889 (Wyo. 2000) ("A witness’ [sic] use of drugs while she is
testifying or during the events about which she is testifying
may, of course, be presented to the jury because the drug use
could have affected the witness’ [sic] observations or
statements.”)). “Subject always to the broad discretion of a
trial judge to preclude repetitive and unduly harassing
interrogation, the cross-examiner is not only permitted to delve
In Band, the ICA explaine
evidence of acts which are sinttinsse
that FRE Rule 40¢(b) "does not extend to
the charged offense.’ bond, 117
Hawai'i at 248, 181 8.3¢ at 427 (quoting FRE Rule 40s (b) Advisory Committee’ s
Note). However, we have recentiy rejected the extrinsic/intrineic evidence
distinction because it “essentially Aullif(tes) Mule 404(b]'2 restrictions on
“bad act” evidence.” State vy Fetelee, 117 Hawai'i 53, 81, 175 P.3d 709, 737
(2008)
30
1 FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
into the witness’ story to test the witness’ perceptions and
memory, but the crogs-exaniner hag traditionally been allowed to
impeach, i.e., discredit, the witness.” Davis, 415 U.S. at 316
emphasis added), As further discussed below, evidence
introduced to impeach a witness’s sensory or mental defect does
not fall under the purview of HRE Rule 404(b).
‘The application of HRE Rule 404(b) is limited to other
crimes, wrongs, or acts “[that] is probative of another fact that
4s of consequence to the determination of the action.” HRE Rule
404(b). United States v. Tomblin, 46 F.3d 1369 (Sth Cir. 1995)
his point. in Tomblin, the Sth Circuit
is instructive on
discussed whether the prosecution was required to give advance
notice of its intent to impeach the defendant through cross-
examining him about other acts. Thomblin, 46 F.3d at 1368. The
prosecution contended that its cross-examination questions were
probative of Tomblin’s character for truthfulness and is
admissible under FRE Rule 608(b)" -- evidence offered to impeach
a witness. Tomblin, 46 F.3d at 1388. The Sth Circuit agreed
that the admissibility of other acts evidence depends on the
PRE 6081) provides,
lb) Specific instances of conduct. Specific instances of the
conduct of a xitness, for the purpose of attacking or supporting
the witness’ character for truthfulness, other than conviction of
crime ag provided in rule €08, may not be proved by extrinsic
evidence. they may, however, in the discretion of the court, if
Drobative of truthulness or untruthfulness, be inquired into on
Erose-ewanination of the witness (1) concerning the witness’
character for truthfulness or untruthfulnesa, ax (2) concerning
the character for truthfulness or ontrathfalness oF ansther
witness as to which character the witness being cross-examined has
Testifies!
BL
FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
purpose for the proffered evidence and noted that FRE Rule 404 (b)
applies “when other-acts evidence is offered as relevant to an
issue in the case, such as identity or intent.” Id, Tomblin
determined that the prosecution intended to question the
defendant about his alleged prior acts to probe his character for
ness. Id, at 1389, Therefore, FRE Rule 608(b), not FRE
Rule 404(b), applied, and “reasonable notice” of this evidence
trut!
was not required. Ide
Here, contrary to the conclusion of the ICA and the
ruling of the circuit court, Pond was not required to provide the
Prosecution HRE Rule 404(b) “reasonable notice” prior to cross~
examining Ms. Russell about whether she used marijuana on
December 12, 2005 because he intended to show the jury that her
perception and testimony about the incident were not credible.
See United states v. Backes, 649 F.2d 471, 477 (7th Cir.1980)
(No rule or rationale guarantees the defense advance knowledge
of legitimate impeachment before it calls a witness.”), cert.
denied, 450 U.S. 1000 (1981). Hence, the ICA erred in affirming
the circuit court's ruling that precluded Pond from cross~
examining Ms. Russell about her alleged marijuana use on December
12, 2005 based on HRE Rule 404(b).
‘The circuit court committed reversible error in
limiting the cross-examination of Ms. Russell as to her marijuana
use." Pond was deprived of showing that Ms. Russell's
32
++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
perception of the events was altered through her alleged use of
marijuana, Pond’s testimony that he smelled marijuana upon
entering the house was insufficient to prove that Ns. Russell's
perception on December 12, 2005 was inaccurate. Tf the court
permitted Pond’s counsel to question Ns. Russell on this issue
directly, the jury could have observed Ms. Russell's response and
lity. See Lyba v. State, 321 Md. 564, 583 A.2d
1033 (1991) ("[T]he defense could follow up the adm:
judged her cre:
sion (that
the victim took narcotics on the day in question] by delving the
degree of drug influence or alcchol intoxication so that the jury
could decide the credibility of the victim and how much weight to
give her testimony.”).
In convicting Pond of the two offenses, the jury found
Ms. Russell credible and believed Ms, Russell's testimony about
Decenber 12, 2005 over Pond’s testimony, There vas a reasonable
possibility that the errors complained of contributed to Pond’s
conviction. Therefore, we conclude that the circuit court's
error was not harmless beyond a reasonable doubt, and we vacate
‘The harmless-error doctrine recognizes the principle that the
Central purpose of a criminal trial is to decide the factual
Question of the defendant's guilt or innocence, and promotes
Public respect for the crisinal process by focusing on the
Snderlying fairness of the trial rather than on the virtually
Ihevitable presence of inmaterial error
Yan Arsdall, 475 U.S. at 681, The Suprone Court deemed the following factors
jortant th getermining whether the constitutional error was aarmleas: the
Sinportance of the witness’ testimony in the prosecution’ e case, nbether the
testimony was cunulative, the presence or absence of evidence corroborating oF
contradicting the cestinony of the witness on material points, the extent of
Gross-exanination otherwise permitted, and, of course, the overall strength of
fhe prosecution's case.” Idi at eet.
33
++ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER ***
Pond’s convictions.
©. The ICA Did Not Gravely Err By Concluding That The Circuit
Court Properly Instructed the Jury On Self-Defense Inasmuch
As It Adequately Tracked the Self-Protection Defense
Statute.
Next, Pond contends that the ICA gravely erred by
did not err 4
concluding that the circuit cou: structing the
jury about the self-protection defense even though it did not
“define for the jury that the reasonableness of [Fond’s] belief
must be viewed from his perspective.”
Under HRS $ 703-304(3) (1995 & Supp. 2006), the statute
regarding the use of force in self-protection as a defense, “a
person employing protective force may estimate the necessity
thereof under the circumstances as he believes them to be when
the force is used without retreating, surrendering, possession,
doing any other act which he has no legal duty to do, or
abstaining from any lawful action.” (Emphasis added.) See State
v. Pemberton, 71 Haw. 466, 477, 796 P.2d 80, 85 (1990) (*(T]he
standard for judging the reasonableness of a defendant’ s belief
for the need to use deadly force is determined from the point of
view of a reasonable person in the defendant’s position under the
circumstances as he believed them to be. The jury, therefore,
must consider the circumstances as the Defendant subjectively
believed then to be at the time he tried to defend himself.”
(citation omitted)).
‘The self-defense jury instruction provide
‘The use of force upon of tovards another person ia justified unen
2 pergoa reasonably believes that such force ie immediately,
protect himself on the present occasion against the
34
‘1+ FOR PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTER *
se of unlawful force by the other pe A person exploying
fotective force may estimate Thereot unger ing
ra he ees ss sibs when the force
GAGS ithoce retreating. “if, and only if) you tind that the
[ajefendant was reckless 5 having a belicf that he was justifies
[nlGsing self-pretactive foree against another person, oF that the
(Sjefendant was reckless in sequiring or failing to acquire any
[nowiedge of belief which vas material co the Justifiapility of
Rie ose of forse against the other person, then the use of such
protective force ia unavailable as a defense to the offense of
Ebise of family or nousenold member
asmuch as
‘This instruction sufficiently tracks HRS § 703-304(3)
it informs the
jury that the reasonableness of Pond’s belief must
be viewed from his perspective, Because the jury must consider
sonable “under the
whether the defendant's belief was ri
circumstances as he reasonably believes them to be,” it
necessarily evaluates the situation from the defendant's
ed that the
perspective. Therefore, the ICA properly deter
circuit court’s jury instruction was consistent with the language
of the self-protection defense statute.
D. We Clarify that There Are Two Attendant Circumstances: (1)
Me. Russell Was a Victim of a Crime and (2) The Call Was
Made to 911-Emergency Telephone System.
Finally, Pond argues that the ICA gravely erred by
ruling that the circuit court erred by combining the elements of
the Interference offense but ruling that this error was harmless.
The ICA, in agreement with the prosecution and Pond, ruled th
the jury's instructions as to the Interference offense consisted
of two elements, results of conduct and attendant circumstances.
Bond, 117 Hawas‘i at 352, 161 P.3d at 431. We take this
opportunity to clarify the ICA's analysis of the Interference
offense’s attendant circumstance element.
35
FOR PUBLICATION IN WEST'S HAWAI REPORTS AND PACIFIC REPORTER ***
Under HRS §§ 702-204 and 702-205 (1993), “{A] person is
not guilty of an offense unless the person acted intention
knowingly, recklessly, or negligently, as the law specifies,
respect to each element of the offense,” (1) conduct, (2)
attendant circumstances, and (3) results of conduct.” In State
M.Rivohi, 109 Hawai'i 115, 123 P.3d 1210 (2005), this court
observed that the Model Penal Code does not define an attendant
circumstance, and we adopted the ICA's definition of an
“attendant circumstance” as stated in State v. Moser, 107 Hawai'i
159, 172, 111 P.3d 54, 67 (App. 2005): [a)ny circumstances
defined in an offense that are neither conduct nor the results of
conduct would, by default, constitute attendant circumstances
elements of the offense.” Aiwohi, 109 Hawai'i at 127, 123 P.3d
at 1222. In applying this definition of an attendant
circumstance, we distilled the three elements of the offense of
manslaughter (“recklessly causes the death of another person”).
“the conduct is,any voluntary act or omission, the result is
death, and the attendant circumstance is ‘of another person./”
in
In the instant case, Pond is guilty of the Interference
offense if he “intentionally or knowingly prevents a victim or
witness to a criminal act from calling a 91l-energency telephone
system, obtaining medical assistance, or making @ report toa law
enforcement officer." HRS § 109-906. Applying this court's
definition of attendant circumstances, the conduct is any
voluntary act or omission, the result is preventing Ms. Russell
from making a telephone call, and the attendant circumstances are
36
IR. PUBLICATION IN WEST'S HAWAII REPORTS AND PACIFIC REPORTE!
hat (1) Ms. Russell was a victim of a crime and (2) the call was
to Qli-energency. As previously quoted, and worth repeating
here, the jury instruction on the Interference offense mistakenly
stated in pertinent part that the intentional or knowing state of
mind 4g required for two elements:
(2) that Pond “engaged in
conduct” and (2) “that said conduct resulted i
preventing a
victim or witness to a criminal act from calling a 911-emergency
telephone system, obtaining medical assistance, or making
report to a lew enforcement officer.”
‘hus, on renand, the elements of “results-of-conduct”
(that Pond successfully prevented Ms. Russell from making 2
telephone call) and “attendant circumstances” -- (1) that Ms.
Fussell vas a victim of a criminal act and (2) that the call was
made to 911-emergency telephone system -- should be separately
listed.
Iv. coNcLusrON
Based upon the foregoing analysis, we vacate Fond’s
conviction of abuse of family or household menber and
Interference, and remand for further proceedings consistent with
this opinion.
Deborah L, Kim and
‘Theresa Marshall, Deputy
Public Defenders, for
petitioner /defendant-
appellant Kevin Pond PEM kim
Richard Minatoya and Seatad
Brandon L.K. Paredes,
Deputy Prosecuting Attorneys,
for respondent /plaintiff-
appellee State of Hawai'i
37
| f29e475aa079e6f0798b07748dfe6b6196e3b8fe1939e9dd48310ea5d101ac5c | 2008-09-29T00:00:00Z |
aebef2e4-19c9-4d6d-a19d-fa94685c8938 | Cobb-Adams v. Koga Engineering and Construction, Inc. | null | null | hawaii | Hawaii Supreme Court | No. 27419
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
GERD K. COBB-ADAMS, Respondent-Appellee,
KOGA ENGINEERING AND CONSTRUCTION, INC. and KEMPER EMPLOYERS
INSURANCE COMPANY, Petitioners-Appellant.
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CASE NO. AB 2003-501 (WH) (9-99-00397) }
ORDER REJECTING APPLICATION FOR WRIT OF CERTIORARI
(By: Nakayama, J., for the court’)
Petitioners-Appellants’ application for writ of
certiorari filed on July 29, 2008, is hereby rejected.
DATED: Honolulu, Hawas's, August 26, 2008.
FOR THE COURT:
Prete Outer
Associate Justice
Laurie B. Keeno for
petitioners~appellants
on the application
Yiivan
aus
=
C
c
9S:1 Hd 9z-onVaide
‘considered by: Moon, C.J.1 Levineon, Nakayama, Acoba, and Duffy, 39.
| f9b23e282be92c017eba046f744e4a3aa183e25b38f55e68e053017267f85d0a | 2008-08-26T00:00:00Z |
4a6fac9d-c5e1-4728-bafc-261ffcaaf71a | State v. Taylor | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
wo. 26761 .
a 8
DU THE SUPREME coURD oF tHe srare of aaE — -&
s 2
_ rr
et
STATE OF HAWAI'I, Respondent-Appellee = Ss
ws. §
roi TAILOR, et itioner-Appellent
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(en No bee dsaas8)
so28 s cena
tay: Mon, Gna tor the court)
Fetitioner-appellant Tomy Taylor’s application for
writ of certiorari, filed october 1, 2008, is hereby rejected.
Honolulu, Hawai‘i, October 21, 2008.
DATED:
FOR THE COURT:
and Duffy, av.
* Considered by: Moon, ¢.J., Levinson, Nekayana, Acoba,
| a14c9854501c819ff47a2474b36a4650612c501736fc23e30075976ef9b481e9 | 2008-10-21T00:00:00Z |
d4b37eff-5cdc-4768-8d54-22ba1720b125 | Karagianes v. State | null | null | hawaii | Hawaii Supreme Court | No. 26801
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
GARY KARAGIANES, Petitioner/Petitioner-Appellant
STATE OF HAWAI'I, Respondent /Respondent-Appellee
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(8.P.P. NO. 03-1-0005)
Ic G CERTION
(By: Duffy, J., for the court, and
Acoba, J., dissenting’)
Petitioner/Petitioner-Appellant Gary Karagianes’s
application for a writ of certiorari, filed on July 1, 2008, is
hereby rejected.
DATED: Honolulu, Hawai'i, August 13, 2008.
Vone, Dudy de
crys
WUVA ViauON
SO-OINY £1 Siw eiue
Considered by: Moon, C.J., Levinscn, Nakayama, Acoba, and Duffy,
Tre)
FOR THE COURT: ior fl
ey
Ss
oats
| 39eea223e8e9f0f20c7138ffff4f3bdb97dbedd81196cd589b28a4b105be19f5 | 2008-08-13T00:00:00Z |
8b49794d-763f-44ea-ad48-66bb2390c5a4 | Hawaii Insurers Council v. Lingle | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
No. 27840
8- 38 age
IN THE SUPREME COURT OF THE STATE OF HAWAT'T
ors
HAWAII INSURERS COUNCIL, Respondent /Plaintiff-Appelice
ASE hig
LINDA LINGLE, GOVERNOR, STATE OF HAWAII; GEORGINA K. KAWAMURA,
DIRECTOR’ OF FINANCE, DEPARTMENT OF BUDGET AND FINANCE:
LAWRENCE M. REIFURTH, “DIRECTOR, DEPARTMENT OF COMMERCE AND
INSURANCE COMMISSIONER, INSURANCE
CONSUMER AFFAIRS; J.P. SCHMIDT,
DIVISION, DEPARTMENT OF COMMERCE AND CONSUMER AFFAIRS,
Pet itioners/Defendants-Appellants
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(CIV. NO. 02-12-2295)
w
(By: Duffy, J., for the court)
Petitioners/Defendants-Appellants’ application for a
weit of certiorari, filed on July 30, 2008, is hereby accepted
and will be scheduled for oral argument. The parties will be
notified by the appellate clerk regarding scheduling.
DATED: Honolulu, Hawai'i, September 8, 2008.
Kinberly Teunoto Guidry, FoR THE couRT: 7
Deputy Solicitor General,
tna Janes F. Nagle, en @
Deputy attorney General, Gm ¢. Bey fre seat “}
fe peeteloness/ Aroociete sustice (gy
defendants-appellants of
Gh the application
Gary M. Slovin,
Lisa Woods Munger, and
Bruce L. Lamon (Goodsill
Anderson Quinn & Stifel}
for respondent /plaintiff-
appellee on the response
* considered by: Moon, C.J., Levinson, Nakayama, Accba, and Duffy, JJ.
| 1f26f14cf0f20fc171eaf3f7a7a6a59c1375048098f32652fc0c8c7efad9e661 | 2008-09-08T00:00:00Z |
36fb6001-2ee2-4186-9672-801c797b2fe6 | Hamilton v. Lethem | null | null | hawaii | Hawaii Supreme Court | No. 27580
‘OGNYN
a3
OF THE STATE OF
eo
HAMILTON, on behalf of AMBER J. LETHEM,
nor, Respondent /Plaintiff-Appellee.
(98 WY 62 435 woe
CHRIS L. LETHEM, Petitioner/Defendant-Appellant.
eee
CERTIORARI TO THE INTERMEDIATE COURT OF APPEALS
(FC-DA NO. 05-1-1977)
RDER ING APPLICATION FOR WRIT OF
(By: Moon, C.J., for the court”)
Petitioner /defendant-appellant’s application for writ
of certiorari, filed August 14, 2008, is hereby accepted.
DATED: Honolulu, Hawai's, September 23, 2008.
chris &, Letham, FOR THE COURT:
be ittoner/ dete
eepeliane, appearing
pro se Le,
SEAL *)
Cee
+ considered by: Moon,
c.3., Levinson, Nekayama, Acoba, and Duffy, 39)
| e864ee4d005813f4f26604dcdb1f9875fd94f1cc7ca550eba6d8802d57e352c3 | 2008-09-23T00:00:00Z |
d7c2e14b-0e91-4ed6-836e-f8065ec782ca | State v. Tunoa | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
wo, 28456
IN THE SUPREME COURT OF THE STATE OF HAWAI'I
OO
iff-Appellge,
STATE OF HAWAI'I, Respondent-Plaint
Ix
ay
ig
01 190 geo
Petitioner-Defendant-Ay
aka ELU,
ams
EMANELU TUNOA,
eee
CERTIORARI TO THE INTERMEDIATE COURT OF A\
65)
(CR. NO. 03+
ECTING TION FOR WRIT OF CERTIORAR
J-, for the court")
(By: Nakayama,
Petitioner-Defendant-Appellant’'s application for writ
of certiorari filed on September 19, 2008, is hereby rejected.
October 19, 2008.
Hawai'i,
DATED: Honolulu,
FOR THE COURT:
Bete 6 Nee ane
Associate Justice
Shawn A. Luiz for
Pet itioner-Defendant-Appellant
on the application
Moon, C-J., Levinsen, Nakayama, Accba, and Duffy, Jv.
‘considered by
| eda5033aa25752addfa92b4944e2a2a45c09bf15fd170daa8b190217e1acfce4 | 2008-10-10T00:00:00Z |
63e3bfeb-1e2b-4e61-914a-81437a9f0845 | Castillo-Barkley v. Cronin | null | null | hawaii | Hawaii Supreme Court | LAW UBRARY
No. 29371
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
MARY JEAN CASTILLO-BARKLEY, Plaintiff,
aaa
KEVIN B, CRONIN, CHIEF ELECTION OFFICER
FOR THE STATE OF HAWAI'I, Defendant.
sO1KY 2-190!
ORIGINAL PROCEEDING
GS OF FACT, CONCLUSIONS OF
(By: Moon, C.J., Levinson, Nakayama, and Accba, JJ.
and Intermediate Court of Appeals’ Judge Foley, )
in place of Duffy, J., unavailable)
We have considered Plaintiff Mary Jean Castillo~
Barkley’s Election Complaint and Defendant Kevin 8. Cronin's
motion to dismiss or for sumary judgment. Having heard this
matter without oral argument and in accordance with HRS § 11-
173.8(b) (Supp. 2007) (requiring the suprene court to “give
judgment fully stating all findings of fact and of law”), we set
forth the following findings of fact and conclusions of law and
enter the following judgment.
FINDINGS OF FACT
1. Hanalei ¥. Aipoalani was one of two Democratic
party candidates for the office of state representative, District
44, in the September 20, 2008 primary election.
2. The primary election results for the Democratic
candidates for the office of state representative, District 44,
were: (1) Karen Awana:
1,072 votes; (2) Hanalei Aipoalani: 1,012
votes; (3) blank votes: 233; and (4) over votes: 1
3. The above election results were challenged by a
complaint filed on September 26, 2008 by plaintiff Mary Jean
Castille-Barkley
Plaintiff Castillo-Barkley filed her compl
int
“{als a concerned voting resident of Hawaii and treasurer for the
‘Friends of Hanalei Aipoalani.'”
5. Defendant Cronin filed a motion to dismiss the
complaint for plaintiff Castillo-Barkley’s lack of requisite
standing,
CONCLUSIONS OF LAW
“With respect to any election, any candidate, or
qualified political party directly interested, or any thirty
voters of any election district, may file a complaint in the
supreme court.” HRS § 11-172 (Supp. 2007).
2. An election complaint filed by a plaintifé who is
not within a category of plaintiffs specified by HRS § 11-172 is
subject to dismissal for lack of standing. Elkins vs Arivoshi,
56 Haw. 47, 48, 527 P.2d 236, 237 (1974).
3. Plaintiff Castillo-Barkley is not within a category
of plaintiffs specified by HRS § 11-172. She is not a proper
party to the election contest complaint and she lacks requisite
standing under HRS § 11-172.
supGMENT
Based upon the foregoing findings of fact and
conclusions of law, the election contest complaint is dismissed.
The clerk of the supreme court shall
with sei
certified copy of
s judgment ief election
accordance with HRS § 11.
73.5(b).
TED:
Honolulu, Hawai'i, October 2, 2008.
Mary Jean Castillo-Barkley,
plaintiff pro se
On the complaint
Aaron H. Schulaner, em Mikonson
General Counsel, Office of
Elections, for defendant
Kevin 8. Cronin on the Mme edeyaree
motion to dismiss
| 8ad8192b93eaf5bd006963923d27fa5cbc375ee09cac555e4b288be3823abeec | 2008-10-02T00:00:00Z |
9814d263-a47e-4dfa-8378-f684b4e6855c | Woodruff v. Ayabe | null | 29244 | hawaii | Hawaii Supreme Court | No. 29244
KELLEY WOODRUFF, M.D. and z
HAWAII CHILDREN'S BLOOD AND CANCER GROUP, Peticigaiils,
“Z
On Ha Ge TOF AON
THE HONORABLE BERT I. AYABE, JUDGE OF THE
CIRCUIT COURT OF THE FIRST CIRCUIT, STATE OF HAWAI‘T
HAWAI'I PACIFIC HEALTH; KAPI‘OLANI MEDICAL SPECIALISTS:
KAPI'OLANI MEDICAL CENTER FOR WOMEN AND CHILOREN;
ROGER DRUE; FRANCES A. HALLONQUIST; NEAL WINN, M.D.
SHERREL HAMMAR, M.D.; DELOTTTE § TOUCHE, LLP; and
DENNIS M. WARREN, ESQ., Respondents.
ORIGINAL PROCEEDING
(CIVIL NO. 02-1-0090)
ORDER
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of the petition for a writ of
mandamus and motion to stay Civil No. 02-1-0090 filed by
petitioners Kelley Woodruff, M.D. and Hawaii Children’s Blood and
Cancer Group and the papers in support, it appears that the
standard for granting mandamus relief from a pretrial discovery
ruling is not applicable to petitioners’ case inasmuch as Civil
No, 02-1-0080 has already been litigated on the merits by sunmary
judgment. The respondent judge's rulings are forthwith
2-1-0090
appealable upon entry of a final judgment in Civil No.
and petitioners have an adequate remedy by way of appeal.
‘Therefore, petitioners are not entitled to mandamus relief. see
Kena
Gaddis, 91 Hawai‘ 200, 204, 962 P.2d 334, 338 (1999) (a
writ of mandamus is an extraordinary remedy that will not issue
unless the petitioner demonstrates a clear and indisputable right
to relief and a lack of alternative means to redress adequately
aaws
the alleged wrong or obtain the requested action. Such writs are
not intended to supersede the legal discretionary authority of
the lower courts, nor are they intended to serve as legal
remedies in lieu of normal appellate procedures.). Accordingly,
IT IS HEREBY ORDERED that the petition for a writ of
mandamus and the motion to stay Civil No. 02-1-0090 are denied.
DATED: Honolulu, Hawai'i, guly 29, 2008.
Gyr
Sle PrC scp —
Peseteg O° diy ume
po
Coen € Detegites
| 0109383637ee1429bb2e5946772c6c0b3e4e89a5b1002ea5f2294ec8a4274d56 | 2008-07-29T00:00:00Z |
da8eccac-5a0b-4540-94b3-5d9c19447a11 | Office of Disciplinary Counsel v. Tate | null | null | hawaii | Hawaii Supreme Court | LAW LIBRARY
no. 28532
IN THE SUPREME COURT OF THE STATE OF HAWAI'T
OFFICE OF DISCIPLINARY COUNSEL, Petitioner; "I=
vs. © =
TATE, Respond: z 6
JANE E, TATE, Respondent 2 8
5
L
ORIGINAL PROCEEDING
(ope 06109-8449, 07-023-8473, 07-014-8474, 07-167-8627)
(By: Moon, C.J., Levinson, Nakayama, Acoba, and Duffy, JJ.)
Upon consideration of the Disciplinary Board's Report
and Recommendation for the Disbarment of Jane E, Tate and
Respondent Tate's lack of objection thereto as exhibited by her
failure to file an answer to the Petition as permitted by Rule
2.7(c) of the Rules of the Suprene Court of the State of Havai'i
(RSCH) or to request briefing as permitted by RSCH 2.7(d), it
appears that Respondent Tate committed multiple violations of
Rules 1.1, 1.3, 1.4(a), 1.4(b), 1,15(a) (1), 1-15(e), 1-15(@),
1.15(£) (4), 2.16(a), 1-16(4), 3.2, 3.410), B.1la), 8.1(b),
8.4(a), 8.4(c), and 8.4(d) of the Hawai'i Rules of Professional
Conduct. It further appears that Respondent Tate has departed
from the State of Hawai'i, and making discipline effective thirty
(30) days after entry of this order, see RSCH 2.16(c), would be
pointless. See Office of Disciplinary Counsel v, DeMelle, 61
Haw. 223, 225, 601 P.2d 1087, 1088 (1979). Therefore,
IT IS HEREBY ORDERED that Respondent Jane E. Tate is
disbarred from the practice of law in this jurisdic
effective upon entry of this order.
IT IS FURTHER ORDERED that, as conditions for
reinstatement,
1. Respondent Tate shall pay restitution as follows:
a. $1,750.00 to Megan A. Uyehara:
b. $1,750.00 to Sherry L. Baus; and
$545.00 to Nalani K. A. Ttomura.
2, Respondent Tate shall pay the costs of these
proceedings as approved upon timely submission of a bill of
costs, and shall comply with the requirements of RSCH 2.16.
DATED: Honolulu, Hawai'i, September 2, 2008.
Hoo
Bea Retcricen
Pei Oe eaey One
oe
Bene. bratty
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