Court Opinion

ID: 2724114
Source: CourtListenerOpinion
Date Created: 2014-09-05 20:03:47.848597+00
Date Added: 2024-06-11T15:40:13.455317
License: Public Domain

IN THE COURT OF CHANCERY OF THE STATE OF DELAWARE

RUSSELL E. WALKER,                     :
                                       :
                   Plaintiff,          :
             v.                        :
                                       :   C.A. No. 8607-VCP
                                       :
CITY OF WILMINGTON,
                                       :
LEGAL SERVICES
                                       :
CORPORATION OF DELAWARE,
                                       :
                                       :
                   Defendants.

                          MEMORANDUM OPINION

                             Submitted: July 10, 2014
                            Decided: September 5, 2014

Russell E. Walker, Pro Se Plaintiff.

Daniel F. McAllister, Esq., Rosamaria Tassone-DiNardo, Esq., CITY OF
WILMINGTON LAW DEPARTMENT, Wilmington, Delaware; Attorneys for
Defendant City of Wilmington.

PARSONS, Vice Chancellor.
      This matter arises out of the condemnation of a group home by Defendant,

City of Wilmington (the “City”). The home is located at 1028 West Third Street

(the “Home”). Disabled Disadvantaged Delawareans Foundation (“3D”) owns the

Home, but it is not a party to this case. Plaintiff, Russell E. Walker, is the

mortgagee1 and operator of the Home, which provides residence for adults with

various disabilities. Walker claims that the City incorrectly cited him for violating

certain Wilmington City Code (“Code”) provisions and enforced the Code against

him in a manner that violated the Delaware Fair Housing Act (“DFHA”).2 Walker

commenced this action to challenge the City‟s condemnation of the Home.3

      This case is before the Court on the City‟s motion to dismiss. The motion

seeks to dismiss the Complaint on three grounds: (1) that Walker lacks standing to

1
      According to Walker and 3D‟s mortgage agreement, Walker is the
      mortgagee and 3D is the mortgagor of the Home. In his complaint, Walker
      refers to himself as the mortgagor, or the debtor or borrower. According to
      Walker‟s mortgage agreement, however, he is the mortgagee or the creditor
      or lender and 3D is the mortgagor. Black‟s Law Dictionary 912 (5th ed.
      1979) (defining mortgagee as “he that takes or receives a mortgage”). Here,
      Walker holds a mortgage on the Home. For purposes of this Memorandum
      Opinion, I treat Walker‟s references to his being a mortgagor as mistaken
      and consider him to be the mortgagee of the Home.
2
      6 Del. C. §§ 4600-4620.
3
      Walker filed his initial complaint titled, “Verified Complaint Seeking
      Temporary Restraining Order,” on May 30, 2013. On July 29, 2013, he filed
      an amended complaint (the “Complaint”), which is the operative Complaint
      for purposes of this Memorandum Opinion.

                                        1
pursue certain claims; (2) that this Court lacks subject matter jurisdiction over

Plaintiff‟s claims because he has an adequate remedy at law; and (3) that Walker

failed to state a claim under the DFHA upon which relief can be granted. The City

also contends that, even if Plaintiff has standing to pursue his claims, those claims

must be dismissed because the relief sought is moot. Finally, the City argues that

Walker‟s opposition to Defendant‟s motion to dismiss impermissibly seeks to

amend his Complaint.      Walker, who is representing himself, filed a written

opposition to the motion to dismiss and addressed the Court during argument on

that motion.

      For the reasons stated in this Memorandum Opinion, I conclude that Walker

has standing to pursue his claims and that his Complaint should be treated as

amended by the relevant portions of his opposition.4 I also have determined that

this Court does not have subject matter jurisdiction over Count I of Plaintiff‟s

Complaint that he was cited incorrectly for violating the Code. In addition, I find

that Walker has failed to state a claim for which relief can be granted as to his

4
      In the course of briefing, Walker effectively amended his Complaint to
      abandon the relief that the City maintains is moot. Therefore, I do not
      address the merits of that aspect of the City‟s motion to dismiss. The
      background regarding the narrowing of the relief Walker is seeking is
      discussed in more detail in Section I.C infra.

                                        2
claims in Count II under the DFHA and, therefore, dismiss that aspect of his

Complaint. Thus, Defendant‟s motion to dismiss is granted.

                            I.     BACKGROUND5

                                  A.        Facts
      Chapter 34 of the Wilmington City Code, entitled the “Housing Code,” sets

forth the minimum property maintenance standards for all dwellings used for

purposes of “living, sleeping, cooking or eating therein.”6      The Wilmington

Department of License and Inspection (“L&I”) administers and enforces the Code.7

L&I conducts inspections, responds to citizen complaints, and enforces the Code in

various ways, including through the imposition of fines and condemnation of

dwellings as unfit for human habitation.8

5
      Unless stated otherwise, the facts recited herein are drawn from the
      Complaint and are assumed to be true for purposes of Defendant‟s Motion to
      Dismiss Plaintiff‟s Complaint Pursuant to Chancery Court Civil Rule of
      Procedure 12(b)(1)&(6) in Lieu of an Answer (“Motion to Dismiss”).
      Walker responded to the Motion to Dismiss in a document entitled,
      “Plaintiff‟s Reply to Defendant‟s Motion to Dismiss and Request that
      Motion be Denied.” I will refer to this document as Plaintiff‟s opposition or
      answering brief and cite to it and Defendant‟s reply brief on the Motion to
      Dismiss as “PAB” and “DRB,” respectively.
6
      Wilm. C. § 34-231.
7
      Wilm. C. § 34-61.
8
      Id.

                                       3
      On October 10, 2011, L&I inspected the Home and discovered several

violations of the Code. Specifically, L&I reported finding the following violations,

among others:

            § 34-234:    Faulty heating facilities, authorized heater
                         inspection required (general interior)
            § 34-234:    Must obtain inspection of heating system by
                         L&I
            § 34-235:    Discontinue use of room for sleeping
                         purpose (kitchen/pantry)
            § 34-235:    Discontinue use of room for sleeping
                         purpose (living room)
            § 34-236:    Replace/Repair loose ceiling and/or wall
                         plaster (kitchen/pantry)
            § 34-266:    Must obtain authorized licensed plumbing
                         inspection (general interior)
            § 13-40:     Remove source of the noxious odor
                         (bedroom 1)
            § 34-235:    Discontinue use causing overcrowded
                         condition (general interior)
            § 34-236:    Point wall(s) and/or replace missing
                         masonry (exterior)9

Pursuant to its responsibility to enforce and administer the Code, L&I condemned

the Home (the “October Order”), specified time limits for repairs, and described

the available appeal rights.10   In particular, the October Order11 stated that a

9
      Compl. Ex. C (L&I Violation Notice, October 10, 2011). This document
      indicates that Walker had notice that the Home had been “declared unfit, and
      thus eligible for closure,” at the time of the Eviction on May 22, 2013,
      despite no action by the City until that date. PAB ¶ 4; Compl. ¶ 5.
10
      Walker alleges that the October Order did not mention appeal rights. He did
      not include this allegation in his Complaint, however. Instead, Walker made
                                       4
property owner may appeal an order and that an appeal must be filed with L&I

within ten business days of receipt of an order or notice.12 The order also indicated

      it in an exhibit to his opposition to the City‟s Motion to Dismiss. PAB Ex.
      A at 7. For the reasons discussed in Section II.A, I find that the record on
      the Motion to Dismiss contradicts Walker‟s belated denial of having
      received notice and does not support a reasonable inference that he did not
      receive notice.
11
      The October Order only lists 3D as the “responsible party.” Compl. Ex. C.
      It is not clear from the Complaint to what extent, if any, Walker is an owner
      of 3D. The Complaint does, however, describe Walker and 3D as
      “associates.” Compl. ¶ 14. This description is appropriate considering that
      Walker operates and holds the mortgage on the Home. Thus, the actions
      taken by the City also affect Walker, who is associated with 3D. Therefore,
      for simplicity, references to Walker in this Memorandum Opinion should be
      understood to also include 3D.
12
      Def.‟s Opp‟n to Pl.‟s Mot. to Expedite (“Def.‟s Opp‟n”), D.I. 14, Ex. A.
      The copy of the October Order attached to the Complaint does not include
      the back of the order which contains the appeal notice. The City, however,
      did file a complete copy of the October Order and it may be considered
      under Court of Chancery Rule 12(b)(6) because it is integral to the
      Complaint. Id.; In re Lukens Inc. S’holder Litig., 757 A.2d 720, 727 (Del.
      Ch. 1999) (“[T]he court may consider for certain purposes, the content of
      documents that are integral to or are incorporated by reference into the
      complaint.”) (internal citations omitted) (internal quotation marks omitted).
      I conclude that the October Order is integral to the Complaint because
      Walker attached a partial copy of it to the Complaint and repeatedly referred
      to it in describing the City‟s wrongful conduct. See, e.g., Allen v. Encore
      Energy P’rs, L.P., 72 A.3d 93, 96 & n.2 (Del. July 22, 2013) (finding a
      proxy statement “integral to the [c]omplaint” where plaintiff quoted and
      referenced the proxy statement in making his allegations); e4e, Inc. v. Sircar,
      2003 WL 22455847, at *3 (Del. Ch. Oct. 9, 2003) (finding a document
      integral to a complaint where it was referred to extensively and where
      “much of the wrongful conduct alleged . . . was taken directly from” the
      document).

                                        5
that if an owner filed an appeal, a hearing would be scheduled before the Board of

Licenses and Inspections Review (“L&I review board”).13 Walker did not appeal

the October Order to L&I. There also is no evidence that Walker remedied the

violations within the time periods specified in the October Order.14

                            1.     Ongoing violations
      Despite the October Order, Walker continued to use the Home as a residence

for disabled individuals. According to the Complaint, the City knew about the

continued use. One of the ongoing violations, a blocked fire exit door, resulted

from the actions of a resident of the Home, Roxanne Kennedy.15 The Complaint

13
      Def.‟s Opp‟n Ex. A.
14
      The October Order contained various time limits within which Walker had
      to remedy the identified violations. For example, Walker had 0 compliance
      days with regard to the condemnation violation that no owner or operator
      shall let to any person for human habitation a dwelling that has been
      condemned. Compl. Ex. C. For the remaining violations, Walker had
      between three to seven days to comply. Id.
15
      Certain violations allegedly arose because Kennedy and her child lived in
      the Home without Walker‟s permission. According to Walker, Kennedy
      tampered with the smoke detectors and also blocked a fire exit. City police
      told Walker that he had to continue to house Kennedy until formal eviction
      proceedings took place. By including these facts, Walker seems to suggest
      that he is not responsible for the blocked fire exit and smoke detector
      violations. Although the Complaint contains many other details regarding
      the residents‟ conduct and Walker‟s responsive actions, none of these details
      relate to the Motion to Dismiss. Therefore, I do not address them further.

                                        6
also alleges that, on May 22, 2013, Kennedy removed the smoke detectors and

called the Wilmington Fire Department to complain about the Home.

                            2.     May evacuation
      Following the call from Kennedy, the Wilmington Fire Department

inspected the Home and discovered several violations of the Code. In particular,

the inspection found:

            (1)    Path of egress doors cannot be bolt locked;
            (2)    Extinguishers not properly tagged and inspected;
            (3)    Electrical inspection needs to have an inspection
                   and tag;
            (4)    House-keeping needs to be addressed;
            (5)    Smoke detection throughout the property needs to
                   be addressed.16

As previously noted, as of May 22, 2013, Walker had not repaired the violations

noted in the October Order and, despite the condemnation of the Home, he

continued to use it as a residence for disabled individuals. Hence, on May 22,

2013, L&I and the Wilmington Fire Department evacuated and boarded up the

Home citing multiple ongoing code violations (“May Evacuation”).17

16
      Compl. Ex. D.
17
      Plaintiff accuses the City of having evacuated residents in a manner that
      showed “obvious intimidation and force.” Compl. ¶ 4.

                                      7
                          B.      Procedural History
      Walker filed his initial complaint in this action on May 30, 2013.18 The City

filed its Motion to Dismiss pursuant to Rules 12(b)(1) and (12)(b)(6) on July 19,

2013. Walker filed his amended complaint on July 29, 2013. Shortly thereafter,

the City indicated that its motion would apply equally to the amended complaint.

This Memorandum Opinion represents my ruling on the City‟s Motion to Dismiss.

                          C.     Parties’ Contentions
      Plaintiff, Walker, asserts two main claims. First, he attacks the validity of

the Wilmington Code violations by arguing that none of the violations posed or

pose a current, actual safety hazard to residents of the Home (“Count I”). Second,

Walker alleges the City‟s enforcement of the Code gave rise to three violations of

the DFHA (collectively “Count II”). As to Count II, Walker asserts that the City:

(1) closed the Home unlawfully “to retaliate, intimidate, coerce, interfere, and

make housing unavailable for disabled persons,” in violation of 6 Del. C. § 4600;

(2) misapplied the Code provision “prohibiting overcrowded conditions,”

effectively denying housing for disabled individuals in violation of 6 Del. C.

§§ 4618 and 4619; and (3) refused to “grant reasonable accommodation allowed by

18
      Walker‟s amended complaint, which I refer to as “the Complaint,” is similar
      to his initial complaint except that Walker added Legal Services Corporation
      of Delaware, Inc. (“LSCD”) as a defendant. On February 7, 2014, I granted
      an order dismissing Defendant LSCD.

                                       8
law,” in violation of 6 Del. C. § 4603A.19 According to Walker, the City‟s conduct

caused 3D to default on its mortgage payment, thereby harming him personally.20

Walker initially sought various forms of relief, including: (1) appointment of a

neutral arbitrator to inspect the Home and to resolve any safety issues; (2) access to

the Home for residents to retrieve emergency medicine and supplies; (3) an order

lifting the condemnation of the Home; (4) removal of plywood from the Home‟s

first floor; (5) an order requiring the City to cease and desist its intimidation

tactics; (6) classification of the Home as a family home rather than a rooming

home or rental property; and (7) compensation of $39 per day for the resulting

homelessness of the residents.21

      In response, the City moved to dismiss Walker‟s claims on three main

grounds: (1) that Plaintiff lacks standing to pursue certain claims; (2) that this

Court lacks subject matter jurisdiction over Count I because Walker has an

adequate remedy at law; and (3) that Plaintiff failed to state a claim upon which

19
      Compl. ¶¶ 5, 12, 2.
20
      Plaintiff did not plead this injury in the Complaint, but for the reasons
      discussed in Section II.A infra, I treat the Complaint as amended by
      Walker‟s opposition to the Motion to Dismiss as including this alleged
      injury.
21
      Compl. ¶ 19.

                                        9
relief can be granted as to the claims under the DFHA in Count II.22 Even if

Walker has standing to pursue his claims, the City contends that his claims must be

dismissed because the relief sought is moot.23        Finally, the City argues that

Plaintiff‟s opposition impermissibly seeks to amend his Complaint. For these

reasons, the City seeks dismissal of the Complaint in its entirety.

      Having considered the parties‟ briefs and heard oral argument on the Motion

to Dismiss, I conclude that Walker lacks standing to bring claims in his own name

for injuries actually suffered by disabled residents of the Home. Walker does have

standing, however, to pursue claims for injuries he has suffered that are attributable

to his association with the Home. Furthermore, he has an adequate remedy at law

as to the alleged invalidity of the violations. Thus, I conclude this Court lacks

subject matter jurisdiction as to Count I. Regarding Count II, I find that Walker

has failed to state a claim for which relief can be granted under the DFHA.

Therefore, I grant the City‟s Motion to Dismiss as to all of Plaintiff‟s claims.

22
      Mot. to Dismiss 3, 6, 8.
23
      Id. at 4. In his answering brief, however, Walker sidestepped the mootness
      argument by clarifying that he seeks relief only for himself. PAB ¶ 11.
      Specifically, Walker stated that he “agrees” with the City that he cannot
      make claims on behalf of the former residents of the Home and only seeks
      “relief for himself.” Id. Therefore, because Walker did not attempt to
      pursue the relief that the City maintains is moot, see Section II.A.2 supra, I
      do not address this aspect of the City‟s motion to dismiss any further.

                                        10
                                II.      ANALYSIS
      In considering the Motion to Dismiss, I first address the threshold issue of

standing. Next, I examine whether this Court has subject matter jurisdiction over

the claims asserted in Count I.24 Finally, I discuss whether Walker has stated a

claim in Count II for which relief can be granted.

              A.      Plaintiff has Standing to Pursue his Claims

                           1.         Applicable standard
      Standing to maintain a lawsuit “refers to the „right of a party to invoke the

jurisdiction of a court to enforce a claim or redress a grievance.‟” 25 For statutes,

the general “test of standing is whether: (1) there is a claim of injury in fact; and

(2) the interest sought to be protected is arguably within the zone of interest to be

24
      The validity of the Code provisions and the City‟s enforcement of them is
      related to subject matter jurisdiction in this case because an owner can
      appeal Code violations they believe were imposed incorrectly. According to
      the City, this appeal process provides Walker an adequate remedy at law as
      to his claims that the City incorrectly cited the Home for violations of certain
      Code provisions. Therefore, I analyze the issue of subject matter jurisdiction
      in the context of Count I only.
25
      Dover Historical Soc’y v. City of Dover Planning Comm’n, 838 A.2d 1103,
      1110 (Del. 2003) (internal citations omitted).

                                          11
protected or regulated by the statute or constitutional guarantee in question.”26

This analysis focuses on the statutory language itself.27

      Applying that analysis here, I conclude that an aggrieved person under the

DFHA has standing to pursue his claims.28 The DFHA defines an “aggrieved

person” as any person who:

             a.     Claims to have been injured, directly or indirectly,
                    by a discriminatory housing practice;
             b.     Believes that such person will be injured, directly
                    or indirectly, by a discriminatory housing practice
                    that is about to occur; or
             c.     Is associated with a person having a protected
                    status under this chapter and claims to have been
                    injured, directly or indirectly, as a result of a
                    discriminatory housing practice against such
                    person having the protected status.29

The first question, therefore, is whether Walker is such an aggrieved person.

26
      Oceanport Indus., Inc. v. Wilm. Stevedores, Inc., 636 A.2d 892, 900 (Del.
      1994) (stating that the test for standing that applies to constitutional inquiries
      also applies to statutes); Gannet Co. v. State, 565 A.2d 895, 897 (Del. 1989).
27
      Oceanport Indus., 636 A.2d at 900.
28
      Newark Landlord Ass’n v. City of Newark, 2003 WL 21448560, at *5 (Del.
      Ch. June 13, 2003).
29
      6 Del. C. § 4602(2). The DFHA defines a “person” to include, inter alia,
      “[O]ne or more individuals, corporations, partnerships [and] associations.”
      Id. § 4602(19).
                                        12
           2.        Plaintiff is an aggrieved person under the DFHA
      Walker qualifies as an aggrieved person under §§ 4602(2)(a) and (c) of the

DFHA because he: (1) claims to have been injured indirectly by a discriminatory

housing practice; and (2) is associated with a person having protected status under

Chapter 46 the Fair Housing Act, i.e., a disabled person, and claims he was injured

indirectly as a result of a discriminatory housing practice against such person.

First, Walker claims to have been indirectly injured by the condemnation of the

Home in that he suffered a loss of rental income from former residents of the

Home. The loss of rental income allegedly made it difficult or impossible for 3D

to pay its mortgage payments after the Home was evacuated and condemned.

Second, Walker is associated with a protected group because he provided a

mortgage to and operates the Home, which makes housing available to disabled

individuals. Thus, I conclude that Walker is an aggrieved person under the DFHA.

      3.        Plaintiff’s injury allows him to seek relief under the DFHA
      Initially, Walker sought through his Complaint to pursue relief on behalf of

the Home‟s residents, such as access to the Home to obtain medical supplies and

compensation of $39 per day for having been made homeless. The City then

moved to dismiss the Complaint for lack of standing, arguing that Walker‟s request

for relief on behalf of former residents is impermissible because the injuries

                                       13
suffered are not Plaintiff‟s personal losses but, rather, those of the Home‟s

residents.

      Although I agree with Defendant that Walker cannot seek relief on behalf of

the residents, Walker clarified in his opposition that he only seeks relief for

himself, and is not bringing an action for the residents of the Home.30 Thus,

Walker has abandoned any claims seeking relief on behalf of the former residents.

      Because Walker did not make clear that he was seeking relief only on his

own behalf until his opposition, he arguably failed to comply with Court of

Chancery Rule 15(aaa).31 Indeed, the City seeks to preclude Walker‟s clarification

of the relief he seeks on the basis of Rule 15(aaa).32 Because this case involves a

self-represented plaintiff, a relatively technical legal argument, and a proposed

“amendment” that simplifies the analysis for the Court and Defendant, however, I

do not consider it just under all the circumstances effectively to preclude Walker

from limiting his Complaint to seeking relief only for alleged harm that he suffered

himself. Walker claims that the City‟s actions caused him injury by diminishing

30
      PAB ¶¶ 10, 11.
31
      Ct. Ch. R. 15(aaa) (stating that a party wishing to amend a pleading must do
      so no later than the time such party‟s answering brief in response to a motion
      to dismiss the pleading under Rule 12(b)(6) is due).
32
      DRB 7.

                                       14
his mortgage income.33 Thus, I conclude that Plaintiff is an “aggrieved person”

injured under the DFHA, and has standing to pursue his § 4603 claims.

      The City also argues that Walker lacks standing to bring an action pursuant

to 6 Del. C. § 4603A because he is not a “disabled person.” Defendant draws a

distinction between Section 4603, which explicitly references claims by an

“aggrieved person” under the DFHA, and Section 4603A, which refers only to

“discrimination on the basis of an individual‟s disability.”       The latter statute

defines discrimination to include “[A] refusal to make reasonable accommodations

in rules, policies, practices or services, when such accommodations may be

necessary to afford such person equal opportunity to use and enjoy a dwelling

. . . .”34 Federal case law interpreting the identical provision in the Fair Housing

Amendments Act35 (“FHAA”) is instructive as to whether standing to pursue a

33
      PAB ¶ 12.
34
      6 Del. C. § 4603A.
35
      The FHAA amends The Fair Housing Act of 1968, which prohibits
      discrimination on the basis of race, color, religion, sex, or national origin in
      housing sales, rentals or financing, by extending its protections to persons
      with disabilities and families with children. See 42 U.S.C. §§ 3601-3619.

                                       15
claim under the “reasonable accommodations” provision is limited to only disabled

individuals.36

      For instance, in Hovsons, Inc. v. Township of Brick, a nursing home

developer brought an action against the township and zoning board, alleging that

the denial of a conditional use permit violated the FHAA.37 The court held that the

township‟s refusal to grant a variance to build a nursing home violated the FHAA

requirement      that   municipalities   provide   reasonable   accommodations   to

handicapped persons. The FHAA reasonable accommodation provision provides

in pertinent part:

              [F]or the purposes of this subsection, discrimination
              includes . . . a refusal to make reasonable
              accommodations in rules, policies, practices, or services,
              when such accommodations may be necessary to afford

36
      Due to the paucity of case law interpreting DFHA provisions, Delaware
      courts often look for guidance to federal decisions construing identical or
      parallel provisions of the FHAA. See Saville v. Quaker Hill Place, 531 A.2d
201, 203 (Del. 1987) (relying on various federal antidiscrimination statutes
      to determine what elements must be proven under 6 Del. C. §4603);
      Samuelson v. Mid-Atl. Realty Co., 947 F. Supp. 756, 759 & n.3 (D. Del.
      1996) (stating logic dictates that the Delaware Supreme Court would employ
      the same reasoning as the federal courts in interpreting the FHAA and
      therefore applying the analysis of an analogous FHAA issue to the plaintiff‟s
      DFHA claims). When necessary, therefore, I supplement my analysis of the
      DFHA provisions with relevant federal cases interpreting the FHAA.
37
      Hovsons, Inc. v. Twp. of Brick, 89 F.3d 1096, 1099 (3d Cir. 1996)
      (interpreting 42 U.S.C. § 3604(f)(3)(B)).

                                         16
             such a person equal opportunity to use and enjoy a
             dwelling . . . .38

The court found that although Hovsons was asserting claims of the “John Doe”

plaintiffs who would reside in the nursing home, the FHAA “permit[ed] such broad

assertions of third-party standing,”39 and that “an aggrieved person does not

necessarily have to be the person discriminated against.”40 Thus, the court there

held that requirements for standing to sue under the FHAA can be satisfied by a

plaintiff who is injured himself, or is associated with a person in a protected group

who is injured, by the challenged action.41 Following the reasoning of Hovsons,

Inc. on this point, I similarly find, for purposes of 6 Del. C. § 4306A, that Walker

may bring a claim even though he is not a “disabled person.”

       There is no dispute that Walker sustained actual injury because the City

condemned the Home.        Although 3D actually owns the Home, Walker is a

38
      42 U.S.C. § 3604(f)(3)(B). This language is nearly identical to that of 6 Del.
C. § 4603A.
39
      Hovsons, Inc., 89 F.3d at 1099 n.2.
40
      Id. (citing Growth Horizons, Inc. v. Del. Cty., 983 F.2d 1277, 1282 n.6 (3d
      Cir. 1993).
41
      Id. (citing Havens Realty Corp. v. Coleman, 455 U.S. 363, 372 (1982)
      (indicating that Congress intended standing for civil rights claims to “extend
      to the full limits of Art. III,” and, thus, courts lack authority to create
      prudential barriers to standing in suits brought under that section)).

                                       17
mortgagee of the Home. Thus, it is reasonable to infer from the allegations in the

Complaint that, before the condemnation and evacuation, Walker at least indirectly

received rental income from the residents of the Home.         As a result of the

condemnation and evacuation, however, Walker suffered a loss of that income.

Therefore, while Walker himself is not a disabled person, he suffered at least an

indirect injury caused by the challenged actions of the City. I conclude, therefore,

that Plaintiff has standing to bring a “reasonable accommodations” claim under

6 Del. C. § 4603A.

B.     The Court of Chancery does not have Subject Matter Jurisdiction over
                                    Count I
                          1.      Applicable standard
      The Court of Chancery will dismiss an action under Rule 12(b)(1) “if it

appears from the record that the Court does not have subject matter jurisdiction

over the claim.”42 The plaintiff “bears the burden of establishing this Court‟s

jurisdiction, and where the plaintiff‟s jurisdictional allegations are challenged

through the introduction of material extrinsic to the pleadings, he must support

those allegations with competent proof.”43

42
      AFSCME Locals 1102 & 320 v. City of Wilm., 858 A.2d 962, 965 (Del. Ch.
      2004) (internal citation omitted).
43
      Yancey v. Nat’l Trust Co., 1993 WL 155492, at *6 (Del. Ch. May 7, 1993)
      (internal citation omitted).

                                       18
      This Court is one of limited jurisdiction.44 The Court of Chancery can

acquire subject matter jurisdiction over a case in three ways: (1) the invocation of

an equitable right;45 (2) a request for an equitable remedy when there is no

adequate remedy at law;46 or (3) a statutory delegation of subject matter

jurisdiction.47 This Court “will not exercise subject matter jurisdiction „where a

complete remedy otherwise exists but where plaintiff has prayed for some type of

44
      The issue of subject matter jurisdiction is so crucial that it may be raised at
      any time before final judgment. See Appoquinimink Educ. Ass’n v.
      Appoquinimink Sch. Dist., 2003 WL 1794963, at *3 n.24 (Del. Ch. Mar. 31,
      2003).
45
      See 10 Del. C. § 341 (“The Court of Chancery shall have jurisdiction to hear
      and determine all matters and causes in equity.”); Christiana Town Ctr. LLC
      v. New Castle Cty., 2003 WL 21314499, at *3 (Del. Ch. June 6, 2003)
      (“Equitable rights are rights that have traditionally not been recognized at
      common law. The most common example of equitable rights in this court are
      fiduciary rights and duties that arise in the context of trusts, corporations,
      other forms of business organizations, guardianships, and the administration
      of estates.”); Azurix Corp. v. Synagro Techs., Inc., 2000 WL 193117, at *2
      (Del. Ch. Feb. 3, 2000).
46
      10 Del. C. § 342 (“The Court of Chancery shall not have jurisdiction to
      determine any matter wherein sufficient remedy may be had by common
      law, or statute, before any other court or jurisdiction of this State.”);
      Christiana Town Ctr., 2003 WL 21314499, at *3 (“Equitable remedies . . .
      may be applied even where the right sued on is essentially legal in nature,
      but with respect to which the available remedy at law is not fully sufficient
      to protect or redress the resulting injury under the circumstances.”) (internal
      quotation marks omitted).
47
      See Candlewood Timber Gp., LLC v. Pan Am. Energy, LLC, 859 A.2d 989,
      997 (Del. 2004).

                                       19
traditional equitable relief as a kind of formulaic „open sesame‟ to the Court of

Chancery.‟”48

      The party seeking a court‟s intervention bears the burden of establishing the

court‟s subject matter jurisdiction,49 and the court may consider evidence outside

the pleadings in resolving that issue.50 Further, “[i]n deciding whether or not

equitable jurisdiction exists, the Court must look beyond the remedies nominally

being sought, and focus upon the allegations of the complaint in light of what the

plaintiff really seeks to gain by bringing his or her claim.” 51 In other words, “the

court must address the nature of the wrong alleged and the available remedy to

48
      Christiana Town Ctr., 2003 WL 21314499, at *3 (quoting IBM Corp. v.
      Comdisco, Inc., 602 A.2d 74, 78 (Del. Ch. 1991)).
49
      Maloney-Refaie v. Bridge at Sch., Inc., 2008 WL 2679792, at *7 (Del. Ch.
      July 9, 2008) (quoting Ropp v. King, 2007 WL 2198771, at *2 (Del. Ch. July
      25, 2007)).
50
      Ct. Ch. R. 12(b)(1); Sloan v. Segal, 2008 WL 81513, at *6 (Del. Ch. Jan. 3,
      2008) (citing Simon v. Navellier Series Fund, 2000 WL 1597890, at *5 (Del.
      Ch. Oct. 19, 2000)); see also Maloney-Refaie, 2008 WL 2679792, at *7
      (citing NAMA Hldgs., LLC v. Related World Mkt. Ctr., LLC, 922 A.2d 417,
      429 n.15 (Del. Ch. Apr. 27, 2007)).
51
      Candlewood Timber Gp., 859 A.2d at 997; see also Diebold Computer
      Leasing, Inc. v. Commercial Credit Corp., 267 A.2d 586, 588 (Del. 1970).

                                       20
determine whether a legal, as opposed to an equitable remedy, is available and

sufficiently adequate.”52

            2.     Plaintiff had an adequate administrative remedy
      In addition to a possible claim for money damages, Walker evidently

continues to seek the following relief: (1) appointment of a neutral arbitrator to

inspect the Home and to resolve any safety issues; (2) an order lifting the

condemnation of the Home; (3) an order to cease and desist from intimidation

tactics; and (4) classification of the Home as a family home rather than a rooming

home or rental property. The City maintains that Walker had an adequate remedy

at law because he had the right to appeal the disputed violations to the L&I review

board. Therefore, according to Defendant, Walker has no basis to invoke this

Court‟s limited subject matter jurisdiction. I focus first, therefore, on whether

Walker had an adequate remedy at law which would defeat his effort to come

within the subject matter jurisdiction of this Court.

      Delaware law strongly favors the exhaustion of administrative remedies

before resorting to judicial intervention.53 Hence, “where a remedy before an

52
      IMO Indus., Inc. v. Sierra Int’l, Inc., 2001 WL 1192201, at *2 (Del. Ch. Oct.
      1, 2001).
53
      Christiana Town Ctr., 2003 WL 21314499, at *4 (holding that a statutory
      remedy at law exists where a land use application could be appealed to the
      Planning Board).
                                        21
administrative agency is provided, relief must be sought by exhausting this remedy

before the courts will either review any action by the agency or provide an

independent remedy.”54        This requirement allows an administrative agency to

apply its expertise and discretion, and possibly to resolve a conflict without judicial

intervention. The exhaustion doctrine, however, is not “a jurisdictional or an

absolute requirement [, but] a judicially created doctrine which courts exercise

discretionally.”55

            3.       Plaintiff failed to exhaust his administrative remedy
      Although the City asserts that the appeal process provides an adequate

remedy at law, Walker disagrees and contends that appealing to the L&I review

board is costly, time-consuming, and expensive in that he is suffering ongoing

harm.56 In addition, Plaintiff alleges that the appeal process does not provide for

injunctive relief and that the L&I review board is not “neutral.” Thus, Walker

maintains that the appeal process does not constitute an adequate remedy.

      For an adequate remedy at law to exist, the remedy “must be [as] complete,

practical, and efficient to the ends of justice and to its prompt administration as the

54
      Id.
55
      SimplexGrinnell, L.P. v. Del. Dep’t of Labor, 2012 WL 5362835, at *4 (Del.
      Ch. Oct. 31, 2012).
56
      PAB ¶ 26; PAB Ex. A at 7.

                                         22
equitable remedy.”57 The administrative remedy available to Walker as to the

noticed violations was an appeal to the L&I review board.58 Plaintiff‟s decision to

bypass the administrative review process, however, deprives the Court of

information on which it could base a determination that the available review

process is inadequate.59     As stated in SimplexGrinnell, L.P. v. Delaware

Department of Labor:

            Proper use of administrative remedies provides not only
            an opportunity for the grievant to be heard, but also for

57
      SimplexGrinnell, L.P., 2012 WL 5362835, at *7 (Del. Ch. Oct. 31, 2012).
      Walker also appears to allege that the October Order did not contain an
      appeal notice. Plaintiff makes this allegation in the form of a handwritten
      notation on an exhibit attached to his reply brief, rather than in the
      Complaint. PAB Ex. A at 7. Wilmington City Code § 34-113, however,
      provides that “[a]ny owner affected by any notice relating to the
      condemnation of a dwelling may request and shall be granted a hearing
      before the L&I review board.” Relatedly, Section 5-705 of the Wilmington
      City Charter provides that any person aggrieved by a notice or order
      resulting from an inspection may appeal the matter to L&I. Wilm. C.
      (Charter) § 5-705. Thus, in publicly available documents, the City provides
      two avenues for an owner to appeal a disputed violation to the L&I review
      board. Based on this circumstance and the fact that the October Order
      referred to in the Complaint included on the reverse side a notice of
      Walker‟s appeal rights, I conclude that Walker could not conceivably show,
      based on the record before me, that he was unaware of his appeal rights.
58
      There is no dispute that the time limit to appeal the October Order has
      lapsed. Walker, however, need only request L&I to inspect the property
      again for another violation notice to be issued. Walker then could appeal
      virtually the same issues as to that notice.
59
      2012 WL 5362835, at *8.

                                      23
                 the Court to attain a greater understanding of the
                 particular administrative process and its adequacy or
                 inadequacy. When this process is circumvented, the
                 reviewing court is left with a hole in the record that both
                 sides attempt to fill with speculation—a matter that
                 leaves courts suspicious at least, uncomfortable at best.60

          Here, because Walker failed to exhaust his administrative remedies and also

did not provide any facts to support his conclusory allegation that the L&I review

board is not neutral or that the appeal process would not provide injunctive relief,

the Court would have to engage in speculation to conclude that the appeal process

is inadequate. Thus, Walker has not met his burden of proving subject matter

jurisdiction. I hold, therefore, that the appeal process provides Plaintiff with an

adequate remedy at law and find that this Court lacks subject matter jurisdiction as

to Count I.61

     C.         Count II Fails to State a Claim for which Relief can be Granted
          Count II does not suffer from the subject matter jurisdiction problems

applicable to Count I because Walker would not be able to appeal to the L&I

review board his claims that the City violated the DFHA when it provided notice

60
          Id.
61
          I dismiss Count I of the Complaint with prejudice for lack of subject matter
          jurisdiction. Walker conceivably may have a right to transfer this action to
          another court for hearing and determination pursuant to 10 Del. C. § 1902. I
          express no opinion on that issue, however.

                                           24
of the violations at the Home and later closed it based on them.62 Therefore, I turn

to the City‟s challenges to Count II under Rule 12(b)(6).

                            1.      Applicable standard
      Pursuant to Rule 12(b)(6), this Court may grant a motion to dismiss for

failure to state a claim if a complaint does not assert sufficient facts that, if proven,

would entitle the plaintiff to relief.        “[T]he governing pleading standard in

Delaware to survive a motion to dismiss is reasonable „conceivability.‟” 63 That is,

when considering such a motion, a court must

             accept all well-pleaded factual allegations in the
             Complaint as true, accept even vague allegations in the
             Complaint as “well-pleaded” if they provide the
             defendant notice of the claim, draw all reasonable
             inferences in favor of the plaintiff, and deny the motion
             unless the plaintiff could not recover under any
             reasonably conceivable set of circumstances susceptible
             of proof.64

This reasonable “conceivability” standard asks whether there is a “possibility” of

recovery.65 If the well-pled factual allegations of the complaint would entitle the

62
      DRB 8.
63
      Central Mortg. Co. v. Morgan Stanley Mortg. Capital Hldgs. LLC, 27 A.3d
531, 537 (Del. 2011) (footnote omitted).
64
      Id. at 536 (citing Savor, Inc. v. FMR Corp., 812 A.2d 894, 896-97 (Del.
      2002)).
65
      Id. at 537 & n.13.

                                         25
plaintiff to relief under a reasonably conceivable set of circumstances, the court

must deny the motion to dismiss. The court, however, need not “accept conclusory

allegations unsupported by specific facts or . . . draw unreasonable inferences in

favor of the non-moving party.”66        While courts liberally construe pro se

complaints, self-represented litigants still must allege sufficient facts to state a

plausible claim for relief.67

      Generally, the Court will consider only the pleadings on a motion to dismiss

under Rule 12(b)(6). “A judge may consider documents outside of the pleadings

only when: (1) the document is integral to a plaintiff‟s claim and incorporated in

the complaint; or (2) the document is not being relied upon to prove the truth of its

contents.”68

66
      Price v. E.I. duPont de Nemours & Co., Inc., 26 A.3d 162, 166 (Del. 2011)
      (citing Clinton v. Enter. Rent-A-Car Co., 977 A.2d 892, 895 (Del. 2009)).
67
      See Kelly v. Fuqi Int’l, Inc., 2013 WL 135666, at *5 (Del. Ch. Jan. 2, 2013)
      (explaining that although pro se pleadings may be judged by a less stringent
      standard than those filed by an attorney, proceeding pro se will not “relieve
      [the] [p]laintiff[] of [his] responsibility to present and support cogent
      arguments warranting the relief sought” or “excuse [him] from complying
      with the procedural rules of the Court”).
68
Allen v. Encore Energy P’rs, 72 A.3d 93, 96 n.2 (Del. 2013).

                                       26
2.    Plaintiff fails to allege sufficient facts to state a cause of action under the
                                            DFHA
      Walker asserts that the City violated three provisions of the DFHA. First, he

argues that the City denied “housing” in violation of 6 Del. C. § 4603. Second, he

states that the City engaged in a “campaign of intimidation, harassment, coercion

and interference” in violation of 6 Del. C. §§ 4318 and 4319. Finally, he argues

that the City refused to “grant reasonable accommodation allowed by law” in

violation of 6 Del. C. § 4603A. For purposes of clarity, I categorize the sub-claims

under the DFHA as follows: (i) claims for disparate impact and reasonable

accommodation, and (ii) a claim for unlawful retaliation. The City has moved to

dismiss Count II for failure to state a claim for which relief can be granted. For the

reasons discussed below, I find that Walker has not stated a cognizable claim for

relief under the DFHA.

      Walker fails to state a claim in Count II because the Complaint merely

recites certain provisions of the DFHA and makes conclusory statements without

alleging specific facts that conceivably could enable him to succeed in proving his

claims that the City violated those provisions. Additionally, even if Walker‟s

claims had been pled sufficiently, they nonetheless would fall within the exception

contained in 6 Del. C. § 4607(c).

                                        27
                        a.      DFHA Sections 4603 and 4603A

      Two types of discrimination claims exist under Section 4603: (1)

discriminatory treatment; and (2) disparate impact.69 A claim by an aggrieved

person that a statute or ordinance impermissibly discriminates on its face is a form

of discriminatory treatment claim. In contrast, when a decisionmaker‟s “practices

are facially neutral” in their treatment of different groups but actually unjustifiably

disadvantage one or more groups, “a claim for disparate impact exists.”70 In this

case, Walker does not allege that the Code is discriminatory on its face. For Count

II to stand, therefore, Plaintiff must have alleged sufficient facts to support a

conceivable claim that the City‟s enforcement of the Code disparately impacts

disabled individuals.

      To the extent Walker asserts a disparate impact claim, he must allege facts

that would support a reasonable inference that the City‟s Code enforcement

“otherwise make[s] unavailable” or effectively “den[ies]” housing to disabled

individuals.71 In other words, the appropriate inquiry focuses on what impact the

69
      Newark Landlord Ass’n v. City of Newark, 2003 WL 21448560, at *10 (Del.
      Ch. June 13, 2003).
70
      Id.
71
      Hallmark Developers, Inc. v. Fulton Cty., 466 F.3d 1276, 1283 (11th Cir.
      Oct. 12, 2006).

                                        28
challenged policy or decision would have on the group as a whole. While no

single test controls, typically disparate impact is demonstrated by statistics

showing a disproportionate burden on a protected group.72 A plaintiff can make a

prima facie disparate impact case by pleading facts that show the facially neutral

government action “had a greater adverse impact on the protected group [t]han on

others.”73

      Walker‟s disparate impact argument attempts to draw a distinction between

a “rooming home” and a “family home” for purposes of overcrowding under

Wilm. C. § 34-235. The Complaint alleges that the City‟s characterization of the

Home as a “rooming home,” instead of a “family home,” disparately impacts group

homes and their residents.74 In particular, the Complaint avers that in a “rooming

home,” no more than four unrelated people may occupy the home. Walker further

contends that, in contrast, the number of people is irrelevant in a family home, as

72
      Id. at 1285; Mt. Holly Gardens Citizens in Action, Inc. v. Twp. of Mount
      Holly, 658 F.3d 375, 380 (3d Cir. 2011); Tsombanidis v. W. Haven Fire
      Dep't, 352 F.3d 565, 570 (2d Cir. 2003); see Robinson v. Adams, 847 F.2d
1315, 1318 (9th Cir. 1987) (finding no prima facie case of disparate impact
      where wrong base population was used in a statistical sample).
73
      Lapid-Laurel, L.L.C. v. Zoning Bd. of Adjustment of Twp. of Scotch Plains,
      284 F.3d 442, 467 (3d Cir. 2002)
74
      Compl. ¶ 12.

                                      29
long as the home provides at least a minimum habitable square footage per

person.75

      The overcrowding ordinance that the Home was found in violation of states:

“[N]o person shall occupy or let to another for occupancy any dwelling or

dwelling unit for the purpose of living therein, which does not comply with the

following requirements . . . .”76 Thus, the square footage spacing provision applies

equally to both owner-occupied homes, which would include single family homes,

and rental properties.

      Walker cannot state a claim for disparate impact by merely reiterating his

conclusory allegation that a family home is subject to different requirements than a

rooming home. Walker fails to plead any facts giving rise to an inference that the

enforcement of the housing code as written causes a “greater adverse impact” on

75
      I note here that Walker‟s citation to City of Edmonds v. Oxford House, Inc.
      is inapposite. Plaintiff incorrectly suggests that case “holds only a square
      foot metric for overcrowding [may be used] if residents are disabled.” PAB
      ¶ 7. See City of Edmonds, 514 U.S. 725, 731 (1995). The sole question
      before the Court in that case was “whether Edmonds‟ family composition
      rule qualifies as a „restrictio[n] regarding the maximum number of occupants
      permitted to occupy a dwelling‟ within the meaning of the FHA‟s absolute
      exemption [42 U.S.C. § 3607(b)(1)].” Id. See also id. at 737-38 (answering
      that question in the negative, expressly not passing on the validity of the
      „family composition rule‟ or single-family zoning use restrictions, and
      remanding to the district court on the issue of whether any discrimination
      occurred for purposes of the FHA.)
76
      Wilm. C. § 34-235 (emphasis added).

                                       30
disabled persons as a group than on any other group of persons in the population at

large.    At most, Walker‟s argument boils down to a complaint that the City

incorrectly applied the overcrowding ordinance in his particular case, either by

wrongly calculating the available square footage of floor space per resident or by

wrongly finding the persons living in the Home not to constitute a single family for

purposes of the City Code.77 This is a rehash of the substance of Walker‟s claims

in Count I, but as discussed supra, the Court does not have subject matter

jurisdiction over the claims in Count I because Walker failed to exhaust his

administrative procedural remedy.       Even assuming the Home was subject to

different requirements than a family home, Plaintiff has not alleged any fact,

statistical or otherwise, from which this Court reasonably could infer that the

City‟s enforcement of the Code as it is written has a disproportionate impact on the

disabled.

         Additionally, the City‟s actions in enforcing Wilm. C. § 34-235 against

Walker falls within the exception contained in 6 Del. C. § 4607(c). That Section

states in pertinent part:

               Nothing in this chapter limits the applicability of any
               reasonable local, state or federal restrictions regarding
               the maximum number of occupants permitted to occupy a

77
         See PAB ¶ 12 (“Defendants misapplied the City ordinance, with the effect of
         denying housing for disabled individuals.”)

                                        31
             dwelling as long as they are applied to all occupants and
             do not operate to discriminate or have the effect of
             discriminating on the basis of race, color, national origin,
             religion, creed, sex, marital status, familial status, age,
             sexual orientation or disability.

As stated above, the overcrowding ordinance applies to all occupants, whether

renters or owners. It merely imposes a minimum amount of square footage for

every room occupied for sleeping purposes, and prohibits use of cellar and

basement spaces as habitable rooms unless they fully comply with building code

requirements. This requirement applies regardless of whether the occupants are

renters or owners, or in a protected class.

      Walker has failed to allege facts that would allow the Court to make a

reasonable inference that the Home, as a residence for the disabled, was treated

differently than any other residence. He does not allege a single instance in which

the City failed to enforce the cited violations against those not associated with

disabled individuals. Because the ordinance makes no distinction between the

disabled and the population at large, and Plaintiff has not alleged any facts giving

rise to a reasonable inference that the application of the ordinance has had a

disparate impact on any protected class, I conclude that Plaintiff has not stated a

                                        32
claim that the City applied or enforced its Code in a manner that violated the

DFHA.78

      Likewise, the other Code provisions Walker was cited for violating do not

distinguish between rental properties and family homes.79 For example, Section

34-234 of the Code governs light, ventilation, and heating requirements. It states

in relevant part, “No person shall occupy as owner-occupant or let to another for

occupancy any dwelling or dwelling unit, for the purpose of living therein, which

does not comply with the following . . . .”80 Indeed, the provisions 3D was cited

78
      See Oxford House-C v. City of St. Louis, 77 F.3d 249, 252 (8th Cir. 1996)
      (“Having concluded Oxford House did not show the City treated the Oxford
      Houses differently from any other group, we believe the City‟s enforcement
      actions were lawful regardless of whether some City officials harbor
      prejudice or unfounded fears about recovering addicts.”); see also United
      States v. Armstrong, 517 U.S. 456, 465 (1996) (explaining that a plaintiff
      bringing a selective-enforcement claim based on race “must show that
      similarly situated individuals of a different race were not prosecuted”).
79
      See, e.g., Wilm. C. §34-234.
80
      See Wilm. C. § 34-234 (“No owner or operator shall let to any person for
      human habitation and no person shall occupy any dwelling or dwelling unit
      which has been condemned and placarded”) (emphasis added); Wilm. C.
      § 34-235 (“No person shall occupy or let to another for occupancy . . . .”)
      (emphasis added); Wilm. C. § 34-266 (No dwelling or dwelling unit shall be
      deemed to comply . . . .”); Wilm. C. § 13-40 (“it shall be unlawful for any
      person to maintain any cellar, vault, drain, sewer . . . that shall be nauseous
      or offensive to others . . . .”); Wilm. C. § 34-231 (“No person shall occupy
      as owner-occupant or let to another for occupancy any dwelling or dwelling
      unit . . . .”) (emphasis added). The October Order also included a citation
      for violating Section 34-236, entitled “Responsibility of owners.” This
                                       33
for violating are under Articles II and III of the Housing Code rather than Article

IV, which only applies to “rooming homes.”81 Here again, Walker fails to allege

any facts that support a reasonable inference that the Code‟s enforcement

disparately impacts disabled individuals. While a court assessing a motion to

dismiss must assume the truthfulness of well-pled allegations contained in the

complaint, it need not accept conclusory allegations unsupported by specific

facts.82 Therefore, I find that Plaintiff has failed to state a claim that enforcement

of the relevant Code provisions would violate 6 Del. C. § 4603. Hence, I dismiss

with prejudice the claims stated under § 4603 of the DFHA.

     Second, Walker claims that the City‟s enforcement of the Code violates Section

4603A, which states that discrimination based on disability includes “a refusal to

make reasonable accommodations in rules, policies, practices, or services, when

such accommodations may be necessary to afford [a protected] person equal

        provision also does not distinguish between owner-occupants and owner-
        operators. Rather, the provision prescribes minimum standards for all
        owners. Therefore, the provision likewise does not create a distinction
        between a family home and a rooming home. See Wilm. C. § 34-236 (“No
        person shall own a building which does not comply with the following
        requirements . . . .”).
81
        Compare Wilm. C. art. III (entitled “Minimum Standards and
        Requirements”); with Wilm C. art. IV (entitled “Hotels and Rooming
        Houses”).
82
        Price v. E.I. duPont de Nemours & Co., Inc., 26 A.3d 162, 166 (Del. 2011).

                                        34
opportunity to use and enjoy a dwelling.”83           Similarly, under the FHAA,

discrimination includes “a refusal to make reasonable accommodations in rules,

policies, practices, or services, when such accommodations may be necessary to

afford [a protected] person equal opportunity to use and enjoy a dwelling . . . .”84

      To establish a claim for failure to provide a “reasonable accommodation”

under the FHAA, a plaintiff must demonstrate that: (1) he suffers from a handicap

as defined by the FHAA; (2) defendants knew or reasonably should have known of

the plaintiff‟s handicap; (3) accommodation of the handicap „may be necessary‟ to

afford plaintiff an equal opportunity to use and enjoy the dwelling; and (4)

defendants refused to make such accommodation.85

      As discussed supra, through his association with 3D and the Home, Walker

has standing to bring his claim even though he is not a “disabled individual.”

Therefore, the first element is met. Plaintiff is required, however, to allege facts to

support an inference that “accommodation of the handicap „may be necessary.‟”

That is, he must allege facts indicating that “but for the accommodation, [the

disabled] w[ould] likely be denied an equal opportunity to enjoy the housing of

83
      6 Del. C. § 4603A(a)(2).
84
      42 U.S.C. § 3604(f)(3)(B).
85
      Budnick v. Town of Carefree, 518 F.3d 1109, 1119 (9th Cir. 2008) (quoting
      United States v. Cal. Mobile Home Park Mgmt. Co., 107 F.3d 1374, 1380
      (9th Cir. 1997)).

                                        35
their choice.”86   Here, Walker has not alleged sufficient facts to support a

reasonable inference that the disabled former residents of the Home necessarily

were denied an equal opportunity to enjoy the housing of their choice due to the

City‟s condemnation of the Home. Thus, he has failed to state a claim under

Section 4603A, and I also will dismiss that aspect of Count II pursuant to Rule

12(b)(6).

                       b.        DFHA Sections 4618 and 4619

      Section 4618 of the DFHA states that “it shall be unlawful to coerce,

intimidate, threaten or interfere with any person in the exercise or enjoyment of . . .

any right granted or protected by § 4603, § 4604, § 4605 or § 4606 of this title.” 87

Section 4619 states that “whoever, whether or not acting under color of law, by

force or threat of force willfully injures, intimidates or interferes with,” a protected

class under the DFHA shall be subject to fines or imprisonment. Like the DFHA,

the FHAA prohibits retaliation against persons exercising rights afforded to them

by the FHAA.88 Courts have interpreted the FHAA to prohibit otherwise lawful

86
      Cal. Mobile Home Park Mgmt. Co., 107 F.3d at 1380 (quoting Smith & Lee
      Assocs. v. City of Taylor, 102 F.2d 781, 795 (6th Cir. 1996)).
87
      6 Del. C. § 4618.
88
      The FHAA‟s retaliation statute states, “It shall be unlawful to coerce,
      intimidate, threaten, or interfere with any person in the exercise or
      enjoyment of, or on account of his having exercised or enjoyed, . . . any right
                                         36
governmental    actions, like code enforcement, when undertaken               for a

discriminatory purpose.89 To state a cause of action for retaliation in violation of

either the FHAA or the DFHA, a plaintiff must allege: (1) that he or she engaged in

a protected activity; (2) that he or she suffered adverse actions; and (3) that the

adverse action was causally related to the protected activity.90

      Walker contends he was engaged in a protected activity through his

involvement in the Home and 3D generally.           In particular, Walker points to

lawsuits in which he and 3D have been involved ostensibly to protect his and 3D‟s

rights. Walker argues that these suits are the basis for retaliation because the City

      granted or protected by . . . this title.” 42 U.S.C. § 3617. Federal case law
      involving such retaliation claims is sparse. Simoes v. Wintermere Pointe
      Homeowners Assoc., Inc., 2009 WL 2216781, at *6 (M.D. Fla. July 22,
      2009) (“Very few courts have addressed the particulars of a § 3617 claim,
      and the law in this circuit is sparse.”). Because of the similarity between the
      relevant Delaware and federal statutes, I consider the few federal cases
      interpreting the retaliation statute under the FHAA instructive as to the
      requirements to state a claim for retaliation under the DFHA.
89
      See, e.g., United States v. City of Parma, 494 F. Supp. 1049, 1099 (N.D.
      Ohio 1980), aff’d, 661 F.2d 562 (6th Cir. 1981), cert. denied, 456 U.S. 926
      (1982) (finding that City of Parma engaged in a pattern and practice of racial
      discrimination in violation of the FHAA by severely restricting low income
      housing opportunities through land use ordinances).
90
      Hous. Opportunities Project for Excellence Inc. v. Key Colony No. 4 Condo.
      Assoc., Inc., 510 F. Supp. 2d 1003, 1013 (S.D. Fla. 2007).

                                        37
“considers [Walker and 3D] one and the same.”91 The alleged retaliation took the

form of the City‟s condemnation of the Home (the May Evacuation). Though

Walker points to two actions as having prompted the retaliation, I cannot

reasonably infer that either is causally linked to the City‟s actions in the May

Evacuation.

      The first instance to which Walker refers is a lawsuit brought on April 1,

2013, by a former inhabitant of a 3D-owned property on 811 Brown Street.92 The

inhabitant, Richard Parades, sued the City on DFHA claims after a City citation

ordering that residents cease using the living room as a sleeping area led to 3D

evicting Parades. There is no mention of Walker or the Home at 1028 West Third

Street, and the only connection between the Parades case and the one at hand is

that Parades had lived in a (different) 3D home. Aside from this highly attenuated

connection, there are no facts asserted in the Complaint that support Walker‟s

claim that the City retaliated for the Parades lawsuit by evacuating the Home.

      The second instance that Walker points to, and attaches as Exhibit B to his

original complaint, is the eviction action he brought in Justice of the Peace Court

91
      PAB ¶ 5.
92
      Complaint ¶¶ 2, 6, 7, Parades v. Thomas, C.A. No. N13C-03-297 RRC (Del.
      Super. Mar. 25, 2013).

                                      38
13 against a tenant, Kennedy.93 Walker alleges that because of this eviction action

as well as a report that Walker made to the Delaware Department of Family

Services regarding Kennedy‟s treatment of her child, on May 22, 2013, Kennedy

removed the smoke detectors in the Home before calling the Fire Department to

report the Home for violations.94 Even if, as Walker alleges, Kennedy may have

“retaliated” against him for filing the eviction proceedings, the City was not a party

to that lawsuit and nothing in the Complaint supports a reasonable inference that

those events might have caused the City to retaliate against Walker by requiring

the evacuation of the Home.95

      I find, therefore, that Walker has failed to allege that the City‟s

condemnation of the Home is causally related to his protected activity in operating

93
      Compl. Ex. B, ¶¶ 10, 11.
94
      Compl. ¶¶ 10, 11.
95
      I note that Walker also is pursuing two lawsuits in Superior Court, but
      neither provides a sufficient basis for a claim that the City retaliated against
      Walker as alleged in this action. The first, filed on March 28, 2013, is a
      lawsuit against New Castle County Code Enforcement, the Department of
      Land Use, the Community Legal Aid Society, Inc., and employees of those
      agencies. Walker v. New Castle Cty. Code Enforcement/Customer Relations,
      C.A. No. N13C-03-281 EMD (Del. Super. Mar. 28, 2013). Walker alleges
      no connection between the defendants in that case and the City of
      Wilmington, so there are no facts that would support a reasonable inference
      of retaliation. Walker‟s other pending lawsuit, against the City of New
      Castle, was filed on September 23, 2013, after the alleged retaliation
      occurred. Walker v. City of New Castle, C.A. No. N13C-09-152 EMD (Del.
      Super. Sept. 23, 2013).

                                        39
a home for disabled individuals. Nor has Walker pled facts sufficient to draw a

reasonable inference that a causal link exists between one or more of the various

legal proceedings to which he, 3D, or the City is a party and the eventual May

Evacuation.

       Last, Plaintiff alleges that the City evacuated residents of the Home with an

“obvious show of intimidation and force,” but he has not alleged any facts that

suggest that the City‟s conduct was egregious in any way or is causally related to

his protected activity. Thus, even taking the allegations in Walker‟s Complaint as

true, based on those allegations, the Court cannot make a reasonable inference that,

in the course of the evacuation, the City “retaliated” against Walker in violation of

the DFHA. For these reasons, I hold that Plaintiff has failed to state a cause of

action for retaliation or intimidation under the DFHA.         Therefore, I dismiss

Plaintiff‟s claim under 6 Del. C. §§ 4819 and 4819.

                             III.    CONCLUSION
       For the foregoing reasons, Defendant‟s Motion to Dismiss is granted. I

dismiss with prejudice Count I of the Complaint, which challenged the validity of

the violations for which the Home was cited, for lack of subject matter

jurisdiction.96   I also dismiss with prejudice under Rule 12(b)(6) Count II of

96
       The primary basis for this ruling is that Walker failed to exhaust his
       administrative remedies to the extent he challenges the propriety of the cited
                                       40
Plaintiff‟s Complaint, which seeks relief under the DFHA, for failure to state a

claim.

         IT IS SO ORDERED.

         violations on grounds other than the some form of discrimination prohibited
         by the DFHA. It appears unlikely that a transfer under 10 Del. C. § 1902
         would be useful in these circumstances, assuming it would be appropriate at
         all. Because this issue was not addressed by the parties, however, I express
         no opinion regarding it.

                                         41