Land Use

1

The Zoning System: Introduction

2.1. Introduction

🧭 Overview

🧠 One-sentence thesis

State zoning enabling acts empower municipalities to divide their territory into districts with different use, height, and area regulations to promote public health, safety, and general welfare, and these comprehensive zoning schemes—including the exclusion of commercial and industrial uses from residential districts—are constitutionally valid exercises of the police power.

📌 Key points (3–5)

  • What zoning enabling acts grant: municipalities receive power to regulate building use, height, lot coverage, and population density by dividing territory into classified districts.
  • How districts work: uses are typically cumulative (higher-numbered districts permit all uses from lower-numbered districts plus additional ones), and regulations must be uniform within each district class.
  • Key procedural safeguards: public hearings, published notice, zoning commissions for recommendations, and boards of adjustment to hear appeals and grant variances in cases of practical difficulty or unnecessary hardship.
  • Constitutional validity: the Supreme Court in Euclid v. Ambler Realty upheld comprehensive zoning, including the exclusion of apartments and businesses from single-family residential zones, as a valid exercise of police power with rational relation to public welfare.
  • Common confusion: zoning is not a declaration that excluded uses are nuisances in themselves; rather, it is a territorial allocation plan to prevent congestion, disorder, and incompatible land uses that may harm residential character.

🏛️ Structure of zoning enabling acts

🏛️ Grant of power and purposes

Zoning enabling acts empower municipalities "to regulate and restrict the height, number of stories and size of buildings and other structures, the percentage of lot that may be occupied, the size of yards, courts, and other open spaces, the density of population and the location and use of buildings, structures and land."

  • The power is granted "for the purpose of promoting health, safety, morals, or the general welfare of the community."
  • Section 3 lists specific purposes: lessen street congestion, secure safety from fire and panic, promote health, provide adequate light and air, prevent overcrowding, avoid undue population concentration, and facilitate provision of infrastructure (transportation, water, sewerage, schools, parks).
  • Regulations must be "made in accordance with a comprehensive plan" and consider "the character of the district and its peculiar suitability for particular uses."

🗺️ District classifications

The sample act divides the municipality into three types of overlapping districts:

District typeWhat it regulatesExample classes
Use districtsWhat activities/buildings are allowedU-1 (single-family only) through U-6 (industrial)
Height districtsMaximum building heightH-1 (2½ stories/35 feet) through H-3
Area districtsMinimum lot sizes, yard setbacksA-1 (5,000 sq ft interior lots) through A-4
  • Cumulative structure: U-2 includes all U-1 uses plus two-family dwellings; U-3 includes U-1 and U-2 uses plus apartments, hotels, churches, schools; and so on.
  • Don't confuse: a single parcel may fall under multiple overlapping district classifications (e.g., U-5 use + A-4 area + H-2 height).

📋 Procedural requirements

  • Public hearings: no regulation or boundary becomes effective until after a public hearing with at least 15 days' published notice.
  • Zoning commission: appointed to recommend district boundaries and regulations; must make a preliminary report and hold public hearings before submitting a final report.
  • Supermajority for changes: if owners of 20% or more of affected area protest a proposed change, the amendment requires a three-fourths vote of the legislative body.

⚖️ Board of adjustment and variance power

⚖️ Composition and procedures

  • Five members appointed for three-year terms, removable for cause after written charges and public hearing.
  • All meetings open to the public; minutes and records are public documents.
  • Appeals from administrative decisions must be filed within a reasonable time; filing an appeal stays enforcement unless the official certifies that a stay would cause "imminent peril to life or property."

🔧 Powers of the board

The board has three main functions:

  1. Hear appeals from administrative decisions alleged to be in error.
  2. Decide special exceptions as specified in the ordinance.
  3. Authorize variances "in specific cases of practical difficulty or unnecessary hardship" where literal enforcement would cause unnecessary hardship, "so that the spirit of the ordinance shall be observed and substantial justice done."
  • Supermajority requirement: four of five board members must concur to reverse an administrative decision, grant a variance, or decide in favor of an applicant.
  • Don't confuse: variances are not blanket permissions; they must be "in harmony with [the ordinance's] general purpose and intent" and granted only in specific cases.

🏛️ Judicial review

  • Any aggrieved person, taxpayer, or municipal officer/department may petition a court of record within 30 days.
  • The court may take evidence or appoint a referee; it may "reverse or affirm, wholly or partly, or may modify the decision."
  • Costs are not allowed against the board unless it acted "with gross negligence, or in bad faith, or with malice."

🏛️ Constitutional validity: Euclid v. Ambler Realty

🏛️ The case and the ordinance

  • Setting: Village of Euclid, Ohio (population 5,000–10,000, mostly farmland), a suburb of Cleveland, adopted a comprehensive zoning ordinance in 1922.
  • Plaintiff's claim: Ambler Realty owned 68 acres zoned partly U-2 (two-family residential), partly U-3 (apartments/hotels/churches), and partly U-6 (industrial); it alleged the ordinance reduced the land's value from $10,000/acre (industrial) to $2,500/acre (residential) and constituted an unconstitutional deprivation of property without due process.
  • Lower court: held the ordinance unconstitutional and enjoined enforcement.

⚖️ Supreme Court's reasoning

Justice Sutherland, writing for the Court, upheld the ordinance:

  • Police power evolves with conditions: "Building zone laws are of modern origin… with the great increase and concentration of population, problems have developed… which require additional restrictions in respect of the use and occupation of private lands in urban communities."

    • Example: "Regulations… which are now uniformly sustained, a century ago… probably would have been rejected as arbitrary and oppressive."
    • "While the meaning of constitutional guaranties never varies, the scope of their application must expand or contract to meet the new and different conditions."
  • Nuisance analogy: "A nuisance may be merely a right thing in the wrong place, like a pig in the parlor instead of the barnyard."

    • The question is not whether a use is harmful in the abstract, but "considering it in connection with the circumstances and the locality."
  • Deference to legislative judgment: "If the validity of the legislative classification for zoning purposes be fairly debatable, the legislative judgment must be allowed to control."

🏘️ Rationale for residential-only districts

The Court summarized expert reports and state court decisions supporting the exclusion of businesses and apartments from single-family residential zones:

JustificationHow it promotes public welfare
Child safetySeparating dwellings from trade/industry reduces traffic, confusion, and street accidents
Fire protectionEasier to provide apparatus suitable to residential character; cheaper street paving without heavy trucks
Noise and disorderBusinesses are noisy, disturbing at night, invite loiterers; suppression of disorder is easier
Residential characterApartments act as "parasites," interfering with light/air, monopolizing sun, bringing traffic and parked cars, ultimately destroying the detached-house character
Economic efficiencyConfining heavy traffic to business streets reduces street maintenance costs
  • Don't confuse: "The exclusion of places of business from residential districts is not a declaration that such places are nuisances… but it is a part of the general plan by which the city's territory is allotted to different uses."

🔍 Scope of the decision

  • The Court emphasized it was ruling only on the ordinance's "general scope and dominant features," not scrutinizing every provision.
  • "It is enough for us to determine… that the ordinance in its general scope and dominant features… is a valid exercise of authority, leaving other provisions to be dealt with as cases arise directly involving them."
  • The Court acknowledged that "when… the provisions… come to be concretely applied to particular premises… some of them… may be found to be clearly arbitrary and unreasonable," but that was not the question before it.

🔧 Enforcement and remedies

🔧 Criminal and civil penalties

  • Violations are declared misdemeanors; municipalities may provide punishment by fine or imprisonment or both.
  • Municipalities are also empowered to provide civil penalties.

🚫 Injunctive relief

  • In addition to penalties, municipalities may "institute any appropriate action or proceedings to prevent such unlawful erection, construction… to restrain, correct, or abate such violation, to prevent the occupancy of said building, structure, or land, or to prevent any illegal act, conduct, business, or use."

⚖️ Conflict with other laws

  • Higher standard governs: wherever the zoning regulations require greater restrictions (e.g., larger yards, lower building height) than other statutes or ordinances, the zoning regulations govern; wherever other laws require greater restrictions, those laws govern.
  • This ensures that the most protective standard applies in any given situation.
2

Variances

2.2. Variances

🧭 Overview

🧠 One-sentence thesis

Variances allow property owners to deviate from strict zoning requirements when unique hardships exist, but courts and legislatures impose rigorous standards to prevent variances from becoming backdoor rezoning that undermines the zoning ordinance's spirit.

📌 Key points (3–5)

  • Two types of variances: "use" variances (allowing a prohibited use) face stricter scrutiny than "area/nonuse" variances (allowing physical deviations like setbacks).
  • Hardship standards vary by jurisdiction: some require proof the property "cannot yield a reasonable return" or "cannot be put to any reasonable use," while others accept a more flexible "reasonable manner" test.
  • Common confusion: "practical difficulties" (easier standard, often for area variances) vs. "unnecessary hardship" (stricter standard, especially for use variances)—mixing them up can lead to improper grants.
  • Uniqueness requirement: the hardship must stem from the land's special conditions, not the owner's desires or general neighborhood conditions.
  • Why boards must make findings: without specific factual findings explaining how the statutory criteria are met, appellate courts cannot conduct meaningful review.

🏛️ What variances are and why they exist

🏛️ Definition and purpose

Variance: "a grant of permission… that authorizes the recipient to do that which, according to the strict letter of [the] ordinance, he could not otherwise legally do."

  • Variances exist to provide relief when strict application of zoning rules would cause hardship.
  • They serve as a "safety valve" to avoid constitutional takings claims: if every property owner had to litigate, the system would be unworkable.
  • The goal is to allow deviation from the "strict letter" while preserving the "spirit" of the ordinance.

🔀 Use variance vs. area variance

TypeWhat it allowsScrutiny level
Use varianceA use prohibited by the zone (e.g., mining in residential, commercial in residential)More rigorous; "serious questions arise" because it can bypass rezoning safeguards
Area/nonuse variancePhysical deviations (setback, height, lot coverage) while keeping the permitted useLess rigorous; minor departures don't change the zone's character
  • Example (from Harrison): Memphis Stone wanted to mine sand/gravel on land zoned residential and light commercial—this is a use variance because mining is not allowed in those zones.
  • Example (from Drews, cited in Harrison): allowing a structure closer to the lot line than the setback requires is an area variance.
  • Don't confuse: granting a use variance can effectively rezone a parcel "under the guise of a variance," which courts view with suspicion.

📜 The statutory tests: "practical difficulties" vs. "unnecessary hardship"

📜 Origins and terminology

  • The phrases "practical difficulties" and "unnecessary hardship" originated in a 1920 New York amendment and the federal Standard Zoning Act of the 1920s.
  • Many jurisdictions adopted this language, but courts interpret it differently.
  • Some courts treat the two phrases as interchangeable; others (following New York) apply "practical difficulties" to area variances and "unnecessary hardship" to use variances.

🔍 The stricter "unnecessary hardship" test (use variances)

Harrison adopts the New York definition for use variances. The applicant must prove all three elements:

  1. No reasonable return: The land cannot yield a reasonable return if used only for purposes allowed in the zone.

    • Requires "dollars and cents evidence" showing the owner will be deprived of all beneficial use under any permitted use.
    • Example: In Harrison, Memphis Stone presented only general statements about aggregate demand and economic benefit, not proof that the land as zoned (R-1 and C-2) could not yield a reasonable return.
  2. Unique circumstances of the land: The hardship is due to conditions unique to the property, not general neighborhood conditions or the owner's personal situation.

    • "Uniqueness does not require that only this one parcel be affected"—it means the condition is rare enough that granting similar variances wouldn't materially change the district.
    • Self-created hardship counts against the applicant (e.g., buying land with knowledge of the zoning).
    • Example: In Janssen, the court found uniqueness not in physical features but in the zoning history—50 other residential uses had been approved in agricultural zones, so the parcel's situation was not shared by "all others."
  3. No alteration of essential character: The proposed use will not change the locality's essential character.

    • Boards may impose conditions to minimize impact (berms, operating hours, screening).
    • Example: Janssen emphasized that the locality's character was already "in transition" from farming to residential, and the cluster-housing design with open-space buffers would not alter that evolving character.
  • Don't confuse "public need" with hardship: Harrison explicitly states that the test focuses on public detriment, not whether the variance would benefit the economy.

🧩 The more flexible "practical difficulties" test (area variances)

Stadsvold (cited in Krummenacher) lists factors for "practical difficulties":

  1. How substantial is the variation from the requirement?
  2. Effect on government services?
  3. Will it substantially change the neighborhood character or harm neighbors?
  4. Can the difficulty be solved by another feasible method?
  5. How did the difficulty arise (was it self-created)?
  6. Does granting the variance serve justice overall?
  • This is a balancing test, not an all-or-nothing rule.
  • Example: A modest setback reduction to accommodate an odd-shaped lot would likely pass; a request to double the allowed building height might not.

⚖️ Competing interpretations: strict vs. flexible standards

⚖️ The strict "no reasonable use" rule

  • What it requires: The property must be unusable for any reasonable purpose under the current zoning.
  • Jurisdictions: Mississippi (Harrison), Minnesota (Krummenacher), earlier New Hampshire cases (Governor's Island, Grey Rocks).
  • Rationale: Variances should be rare; otherwise, they undermine the zoning scheme.
  • Example (from Grey Rocks, cited in Simplex): A marina that had operated viably for years could not claim hardship—proof the property had a reasonable use.

⚖️ The flexible "reasonable manner" rule (now rejected in some states)

  • What it required: The owner wants to use the property "in a reasonable manner that is prohibited by the ordinance" (Rowell, cited in Krummenacher).
  • Why it was adopted: To balance property rights and avoid forcing owners into uses that, while technically allowed, are impractical.
  • Why Krummenacher rejected it: The Minnesota statute's plain language says "cannot be put to a reasonable use"—not "cannot be put to the owner's preferred reasonable use."
  • Don't confuse: Rowell's "reasonable manner" test essentially imported the easier "practical difficulties" standard into use-variance cases, collapsing the distinction the legislature intended.

⚖️ New Hampshire's constitutional-balancing approach (Simplex)

After finding its old strict test "too restrictive," New Hampshire adopted a three-part test (later superseded by statute):

  1. Does the restriction interfere with reasonable use, considering the property's unique setting?
  2. Is there a fair and substantial relationship between the ordinance's general purposes and this specific restriction?
  3. Would the variance injure public or private rights?
  • Rationale: Zoning power must be balanced against constitutional property rights; an overly rigid variance standard forces unnecessary litigation.
  • Outcome: The New Hampshire legislature later codified two alternative definitions of hardship (one similar to Simplex, one similar to the old strict test), allowing applicants to satisfy either.

🔬 How courts review variance decisions

🔬 Standard of review

Variance grants/denials are quasi-judicial (adjudicatory), not legislative acts.

  • Courts reverse only if the decision:
    1. Lacks substantial evidence,
    2. Is arbitrary or capricious,
    3. Exceeds the agency's power, or
    4. Violates constitutional rights.
  • Questions of law (e.g., did the board apply the correct legal standard?) are reviewed de novo.

📋 The importance of findings of fact

  • Boards must make specific findings showing how each statutory criterion is met.
  • Conclusory statements (e.g., "the variance is necessary to avoid unnecessary hardship") are insufficient.
  • Example (from Harrison): The Board simply recited the ordinance's language without explaining what "practical difficulties or unnecessary hardships" existed; the court could not tell what criteria the Board actually used.
  • Why it matters: Without findings, appellate courts cannot conduct "intelligent review" of whether the decision rests on substantial evidence.

📋 What counts as evidence

  • Harrison: Memphis Stone's operations statement (aggregate demand, economic benefit, future development pressure) was the only "evidence" in the record—no proof the property was unsuitable for its current zoning or that the owners faced hardship greater than other R-1/C-2 landowners.
  • Janssen: The applicants presented rental income ($6,000 farm + $12,900 houses) vs. taxes ($7,867), showing no reasonable return; the court found this "competent, material, and substantial evidence."
  • Don't confuse: The board's "common knowledge of the land" (cited by the Board in Harrison) is not a substitute for evidence in the record.

🚫 Common pitfalls and safeguards

🚫 Self-created hardship

  • If the owner created the need for the variance (e.g., subdividing a lot into an unbuildable size, or buying land knowing it was zoned restrictively), that weighs heavily against granting relief.
  • Example: Harrison notes that Memphis Stone entered leases with "actual or constructive knowledge" the land was zoned R-1 and C-2.

🚫 Spot zoning concerns

  • Granting a use variance can look like illegal "spot zoning" (singling out a parcel for different treatment without a legitimate public purpose).
  • Harrison clarifies that even an improper variance grant does not constitute spot zoning (a separate legal concept), but courts remain wary of variances that effectively rezone.

🚫 Minimum relief and conditions

  • Boards should grant only the "minimum [variance] that will afford relief."
  • Boards may impose conditions (time limits, berms, operating hours, fines) to ensure the variance complies with the ordinance's spirit and protects public welfare.
  • Example: Harrison's Board imposed a 2.5-year limit, weekday-only operations, screening berms, dust control, and fines—but these conditions did not cure the lack of hardship findings.

🚫 Public benefit vs. public detriment

  • "Public need" or economic benefit to the community is not a factor in the hardship analysis (per Harrison).
  • The test focuses on whether the variance would cause public detriment (harm to neighbors, safety, character).
  • Don't confuse: A variance that happens to benefit the public still requires proof of hardship to the applicant.

🔄 Procedural notes and remands

🔄 When courts remand

  • Harrison: Because the case was "first impression" (new legal standard), the court vacated and remanded so parties could present evidence under the correct test.
  • Simplex: Remanded for the lower court to apply the new hardship definition.
  • Krummenacher: Reversed and remanded because the City applied the wrong (Rowell) standard; the City must reconsider under the statutory "cannot be put to a reasonable use" test.

🔄 Waiver of issues

  • Simplex: The applicant did not raise "municipal estoppel" in the notice of appeal or obtain leave to add it, so the court refused to consider it.

🔄 Avoiding constitutional questions

  • Courts decide cases on constitutional grounds only when necessary.
  • Simplex: Because the court reversed on other grounds, it declined to address whether the zoning ordinance was unconstitutional as applied.
3

Special Use Permits

2.3. Special Use Permits

🧭 Overview

🧠 One-sentence thesis

Special use permits authorize property uses that deviate from principal permitted uses but are specifically listed in the zoning ordinance itself, and courts disagree on whether such permits require objective standards or may grant broad discretion to zoning authorities.

📌 Key points (3–5)

  • What a special use permit is: permission to use property in a manner contrary to the ordinance's principal uses, but only for uses specifically listed in the ordinance itself.
  • How special uses differ from variances and amendments: variances relieve hardship from literal enforcement; amendments change the ordinance text; special uses invoke pre-existing provisions already written into the ordinance.
  • Common confusion: special use permits do not amend the zoning ordinance—they simply activate a use already contemplated and listed in the ordinance.
  • The discretion debate: some jurisdictions (Georgia) require objective criteria to constrain the board's decision; others (Wisconsin) allow broad discretion because flexibility is the purpose of conditional uses.
  • Procedural protections: special uses may be subject to conditions "reasonably necessary" to meet standards in the ordinance, and some courts recognize they can impact neighbors similarly to variances.

🛠️ Three zoning adjustment tools

🛠️ Variance

A variance is a grant of relief to an owner from the literal requirements of the ordinance where literal enforcement would cause undue hardship.

  • Purpose: prevent hardship when strict application of the ordinance would be unreasonable.
  • Example: an owner cannot put property to reasonable use under the existing rules.
  • Don't confuse: a variance is about relief from the ordinance; a special use is about invoking a provision already in the ordinance.

📝 Zoning amendment

An amendment to a zoning ordinance changes or alters the original ordinance or some of its provisions.

  • Purpose: modify the text or map of the zoning ordinance itself.
  • Example: changing the list of permitted uses or redrawing district boundaries.
  • Key distinction: an amendment rewrites the ordinance; a special use applies it as written.

🎯 Special use permit

A special use is a permission by the board to an owner to use property in a manner contrary to the ordinance provided that the intended use is one of those specifically listed in the ordinance and provided that the public convenience will be served by the use.

  • Purpose: allow flexibility for uses that are compatible with the district but need case-by-case review.
  • The uses "have their genesis in the ordinance" itself—they are pre-authorized, not invented on the spot.
  • Example: an agricultural district ordinance lists "licensed home or institution for care or custody" as a special use; an applicant may request that use without amending the ordinance.

🔍 Why special uses are not amendments

🔍 No change to the ordinance text

  • When a special use is granted, the ordinance itself is neither altered nor repealed.
  • The only action is invoking the portion of the ordinance that lists permissible special uses.
  • Example: In Jones v. City of Carbondale, the agricultural district ordinance already listed "licensed home or institution" as a special use; granting the permit did not change section 15-2-24.

🔍 Conditions do not constitute amendments

  • Zoning authorities may impose conditions on special use permits "reasonably necessary to meet such standards" in the ordinance.
  • Example conditions in Jones: site plan approval, building code compliance, connection to water/sewer, land dedication for street improvements.
  • These conditions must align with performance standards already prescribed in the ordinance (e.g., section 15-2-57 procedures).
  • Don't confuse: adding reasonable conditions to implement existing standards ≠ amending the ordinance to create new standards.

🔍 Procedural protections

  • Because special uses can impact neighbors similarly to variances, some courts recognize that procedural safeguards (like public hearings) are desirable.
  • However, the Illinois Supreme Court held that variance procedural requirements are not automatically imposed on special uses without legislative directive (Kotrich v. County of Du Page).

⚖️ The discretion debate: objective standards vs. flexibility

⚖️ Georgia approach: objective criteria required

  • In FSL Corp. v. Harrington, the Georgia Supreme Court struck down a special-use ordinance that provided no ascertainable limits on the board's discretion.
  • The ordinance section authorizing the permit contained no objective criteria for approval.
  • The county argued that a preamble listing general goals (lessen congestion, assure adequate light/air, sound development, etc.) provided sufficient guidelines.
  • Court held: the preamble "contains only a statement of general goals and purposes, and provides no criteria to govern the board's determination."
  • Outcome: if all other requirements are met, the applicant is entitled to approval—unbounded discretion is unconstitutional.

⚖️ Wisconsin approach: broad discretion allowed

  • The Wisconsin Supreme Court explained in Weber v. Town of Saukville that conditional use standards often lack specificity by design.
  • Rationale: the purpose is to confer flexibility in land use regulations.
  • If it were possible to draft standards covering all contingencies, there would be no need to make the use conditional in the first place.
  • This view accepts that some degree of judgment and discretion is inherent in the special use process.

⚖️ How to distinguish the two views

JurisdictionStandardReasoning
Georgia (FSL)Objective criteria requiredUnbounded discretion violates due process; applicants need predictable rules
Wisconsin (Weber)Broad discretion allowedFlexibility is the purpose of conditional uses; impossible to anticipate all scenarios
  • Common confusion: both agree that special uses are listed in the ordinance, but they disagree on how much guidance the ordinance must give the board when deciding whether to grant the permit.

📋 Procedural requirements and voting thresholds

📋 Special use permits vs. amendments: different voting rules

  • In Jones v. City of Carbondale, the plaintiff argued that granting a special use was an "amendment" and therefore required a two-thirds supermajority vote under Illinois law (section 11-13-14).
  • The city council approved the special use by a simple majority (3 in favor, 2 opposed).
  • Court held: the grant of a special use permit is not an amendment and does not require extraordinary majorities.
  • Reason: the special use authorizes a use pursuant to the existing ordinance; no change or alteration in the ordinance itself is required.

📋 Public hearing and review process

  • Special use applications typically require:
    • Review by planning commission or health officer.
    • Public hearing before the planning commission.
    • Final decision by the city council or board of commissioners.
  • Example: In Jones, the planning commission held a public hearing, citizens expressed disapproval, and the commission recommended denial; the city council then voted.

📋 Don't confuse procedural steps

  • Variance procedures (e.g., proof of hardship, board of adjustment review) are distinct from special use procedures unless the legislature explicitly requires the same process.
  • Special uses may have similar impact on neighbors, but the legal framework and procedural safeguards are not automatically identical.
4

Comprehensive Planning

2.4. Comprehensive Planning

🧭 Overview

🧠 One-sentence thesis

Courts must enforce comprehensive plans as mandatory rules without deferring to local governments' interpretations, and when development is inconsistent with the plan, injunctive relief—including demolition—is the presumed statutory remedy regardless of financial hardship to the developer.

📌 Key points (3–5)

  • Statutory requirement: Zoning regulations must be made "in accordance with a comprehensive plan" that sets forth explicit goals, objectives, policies, and standards to guide development.
  • No deference to local government: Courts conduct de novo review of consistency challenges; they do not defer to the county's interpretation of its own comprehensive plan.
  • Injunction as presumed remedy: When development is inconsistent with the comprehensive plan, section 163.3215 makes injunctive relief (including demolition) the primary remedy, not a discretionary option.
  • Common confusion: Traditional equitable balancing (weighing developer's financial loss against neighbor's harm) does not apply; the statute prioritizes compliance with the plan over monetary considerations.
  • Why it matters: The 1985 Growth Management Act gave affected citizens standing to enforce comprehensive plans in court, shifting from highly deferential review to strict enforcement of planning requirements.

📜 What a comprehensive plan must contain

📜 Statutory definition and purpose

Comprehensive plan: "a statement in documented text setting forth explicit goals, objectives, policies, and standards of the jurisdiction to guide public and private development within its control." (N.D.C.C. § 40-47-03)

  • The plan must be more than general aspirations; it must provide concrete criteria for decision-making.
  • Purpose: to prevent "piecemeal and haphazard zoning" and ensure rational, integrated land use planning.
  • The word "plan" connotes an integrated product of a rational process; "comprehensive" requires something beyond a piecemeal approach.

📋 Formal adoption requirements

States require specific procedures for a comprehensive plan to be valid:

RequirementWhat it means
Public filingCopies of proposed regulations must be filed with the city auditor
Public hearingA hearing must be held on the regulations
PublicationNotice of passed regulations must be published in the official newspaper
Ordinance vs. resolutionPlans adopted only as resolutions (temporary opinions) may not satisfy statutory requirements; they should be codified in binding ordinances
  • Example from Hector: Fargo's "Comprehensive Policy Plan" was initially adopted as a resolution but later codified in the Land Development Code, which satisfied procedural requirements.
  • Don't confuse: A resolution expressing policy goals is not the same as a binding ordinance that creates enforceable standards.

⚖️ Two approaches to the "comprehensive plan" requirement

⚖️ Majority view: no separate document required

  • Most courts hold that a plan external to the zoning ordinance itself is not required.
  • The zoning ordinance and map together can constitute the comprehensive plan if they show rational planning.
  • Standard: "If the Board gave full consideration to the problem presented, including the needs of the public, changing conditions, and the similarity of other land in the same area, then it has zoned in accordance with a comprehensive plan." (Montgomery)

⚖️ Stricter view: evidence of rational planning required

  • An increasing number of legislatures specifically require that a separate plan be adopted.
  • Even where no separate document is mandated, courts may invalidate ordinances that show no evidence of rational planning.
  • Example from Wolf: Iowa court invalidated Ely's entire zoning ordinance because:
    • No comprehensive plan was developed by the planning commission and presented to the council
    • The ordinance was a careless "clip-and-paste" combination of model ordinances with glaring omissions (e.g., agricultural land had no use regulations; junkyards were defined but not permitted in any district)
    • Officials testified they were unaware of any written criteria or studies used in drafting the ordinance
    • Multiple conflicting "official" zoning maps existed

Don't confuse: The issue is not whether a separate planning document exists, but whether the government engaged in any rational planning process before adopting zoning regulations.

🚫 Enforcement: citizen standing and judicial review

🚫 The problem before 1985

Before Florida's Growth Management Act of 1985, affected property owners had very limited ability to challenge local development decisions:

  • Standing was limited to the highly deferential "fairly debatable" standard.
  • Neighbors could not challenge development orders for inconsistency with the comprehensive plan unless they could "prove special damages different in kind from that suffered by the community as a whole."
  • Result: "a failure to conform development decisions to the plan based upon the fact that citizens lacked standing to challenge development orders for lack of consistency with the comprehensive plan."
  • Local governments changed their plans "willy-nilly virtually every time a city council or county commission met."

🚫 The 1985 reform: section 163.3215

Florida's statute created a new cause of action:

"Any aggrieved or adversely affected party may maintain an action for injunctive or other relief against any local government to prevent such local government from taking any action on a development order … which materially alters the use or density or intensity of use on a particular piece of property that is not consistent with the comprehensive plan."

Key features:

  • Liberalized standing: Any person "adversely affected" by inconsistent development can sue.
  • De novo review: The trial court conducts a new trial on the consistency issue, not appellate review of the county's decision.
  • No deference: Courts do not defer to the local government's interpretation of its own comprehensive plan.
  • Primary remedy: Injunctive relief is the presumed remedy, not discretionary.

Why this matters: The statute demonstrates "a clear legislative policy in favor of the enforcement of comprehensive plans by persons adversely affected by local action." Citizen enforcement became the primary tool for ensuring consistency.

🏗️ Remedy: demolition of inconsistent development

🏗️ When demolition is ordered

In Pinecrest Lakes, the Florida Supreme Court upheld an order requiring demolition of five multi-story apartment buildings because they were inconsistent with the comprehensive plan's "tiering policy."

The facts:

  • Phase One (existing): single-family homes on large lots, density 0.94 units per acre (UPA)
  • Phase Ten (new): two-story apartment buildings with 8 units each, density 6.5 UPA
  • The comprehensive plan required a "transition zone" with "comparable density and compatible dwelling unit types" in the first tier of new development adjacent to existing single-family areas.
  • The developer built the apartments directly adjacent to the single-family homes, with no transition zone.
  • Court finding: "It is impossible … to examine the photographs of the homes in the northern tier of Phase One, and the apartment buildings in the southern tier of Phase Ten, and find that they are either 'compatible dwelling unit types' or 'compatible structure types.'"

🏗️ No balancing of financial equities

The developer argued that demolition was inequitable because:

  • Developer would lose $3.3 million
  • Affected homeowner (Shidel) suffered only $26,000 diminution in property value
  • Total harm to all neighbors was under $300,000

The court rejected this argument:

  • Section 163.3215 says nothing about weighing these specific equities before granting an injunction.
  • If balancing were required, demolition would never be ordered, because entire projects will frequently far exceed the monetary harms to individual neighbors.
  • "It is an argument that would allow those with financial resources to buy their way out of compliance with comprehensive plans."
  • The real countervailing equity is "the flouting of the legal requirements of the Comprehensive Plan"—every citizen is intangibly harmed by failure to comply.

🏗️ Developer's risk in building during litigation

The developer in Pinecrest Lakes chose to continue construction while the consistency challenge was pending in court:

  • Shidel sent written notice that she would seek demolition if successful.
  • Developer proceeded anyway, completing five buildings and leasing units.
  • Court: "The developer acted at [its] own peril in doing precisely what this lawsuit sought to prevent."

Don't confuse: This is not traditional equity, where courts balance hardships. The statute makes injunctive relief the presumed remedy to enforce the mandatory duty of consistency.

🏗️ Policy rationale for strict enforcement

The court quoted Welton v. 40 Oak Street Building Corp.:

"In the fight for better living conditions in large cities, in the contest for more light and air, more health and comfort, the scales are not well balanced if dividends to the individuals outweigh health and happiness to the community. Financial relief to appellants is not the only factor in weighing equities. There is involved that immeasurable but nevertheless vital element of respect for, and compliance with, the health ordinance of the city. The surest way to stop the erection of high buildings in defiance of zoning ordinances is to remove all possibility of gain to those who build illegally."

The rule: "If you build it, and in court it later proves inconsistent, it will have to come down."

  • This clear rule creates predictability and deters developers from building inconsistent projects in the hope of later buying their way out of compliance.
  • Prevention will never be accomplished by compromise after the building is erected, or through payment of a small money judgment.

🔍 Distinguishing comprehensive planning from traditional zoning

🔍 Traditional zoning: highly deferential review

Before growth management statutes, courts applied the "fairly debatable" standard to zoning decisions:

  • If the local government's decision was "fairly debatable," courts would not overturn it.
  • This gave local governments broad discretion.
  • Example: "determination of when to conform more restrictive zoning ordinances with Comprehensive Plan is legislative judgment to be made by local governing body, subject only to limited judicial review for patent arbitrariness."

🔍 Comprehensive planning: strict enforcement

Under modern growth management statutes:

  • Consistency with the comprehensive plan is not discretionary—it is a mandatory duty.
  • Courts conduct de novo review of consistency challenges.
  • The statute "does not say that local governments shall have some discretion as to whether a proposed development should be consistent with the Comprehensive Plan."
  • All development "shall be consistent with such plan."

Common confusion: Developers and local governments sometimes argue that courts should apply the deferential "fairly debatable" standard from traditional zoning law to comprehensive plan consistency challenges. The Pinecrest Lakes court rejected this: section 163.3215 creates a different standard with no deference to local interpretation.

🔍 Why the distinction matters

The shift from deferential zoning review to strict comprehensive plan enforcement reflects a policy choice:

  • Growth management statutes aim to prevent the "explosive and unplanned development" that occurred under earlier, weaker laws.
  • Citizen enforcement is the primary tool for ensuring consistency.
  • If courts deferred to local governments' interpretations, the statute would be "meaningless and ineffectual."
5

Substantive Due Process in Land Use Regulation

3.1. Substantive Due Process

🧭 Overview

🧠 One-sentence thesis

Substantive due process limits governmental power to restrict land use only when the restriction is irrational or invidious and bears no substantial relation to public health, safety, morals, or general welfare, but courts apply this standard narrowly to avoid turning every zoning dispute into a federal constitutional case.

📌 Key points (3–5)

  • What substantive due process protects: property owners from arbitrary or irrational land use restrictions that lack a substantial relationship to legitimate public purposes.
  • Federal vs. state review: federal courts apply a very narrow "irrational or invidious" test, while state courts use a broader "arbitrary and unreasonable" standard with multi-factor balancing.
  • Common confusion: substantive due process is not the same as a regulatory takings claim—takings require just compensation for public use, while substantive due process challenges the legitimacy of the governmental purpose itself.
  • Burden of proof: the property owner must prove by clear and convincing evidence that the restriction is unconstitutional; zoning decisions are presumed valid.
  • Why it matters: the doctrine determines when courts will second-guess local zoning decisions and how much deference legislatures receive in land use planning.

⚖️ Federal substantive due process standard

⚖️ The core test: irrational or invidious

Substantive due process in zoning: a restriction violates the Constitution only if it is "irrational" or based on invidious discrimination (e.g., race).

  • The Coniston court emphasizes that the standard is extremely narrow.
  • A zoning decision can be "mistaken and protectionist" yet still constitutional.
  • Rationale: the Constitution does not forbid government from yielding to special-interest pressure or making economically inefficient choices—these are "characteristic operations of democratic government."
  • Example: A village board rejects a site plan to protect existing office building owners from competition. This is protectionist but not irrational, so it does not violate substantive due process.

🚫 What substantive due process does not cover

  • Not a remedy for state law violations: violating a local zoning ordinance or state statute does not itself deny due process.
  • Not a substitute for takings claims: if the government takes property for a public use, the remedy is just compensation under the takings clause, not a due process challenge.
  • Not a vehicle for federal review of routine zoning disputes: the Coniston court warns that allowing substantive due process claims for ordinary zoning disagreements would "shoehorn" every local land use case into federal court.

🔍 Distinguishing takings from due process

Takings ClauseSubstantive Due Process
Assumes a public use; requires just compensationChallenges whether the purpose is legitimate at all
Remedy: payment of market valueRemedy: injunction or invalidation
Waivable (as in Coniston)Independent constitutional claim
  • Don't confuse: A taking for a private purpose might violate due process because the takings clause only authorizes taking for public use.
  • The Coniston court notes this is an unsettled area: does the takings clause itself forbid private takings, or does due process fill that gap?

🏛️ Historical foundations and institutional concerns

🏛️ Text and history

  • The Fifth and Fourteenth Amendments say property may not be taken "without due process of law."
  • Plain language suggests only procedural protections: if proper procedures are followed, property can be taken.
  • Historical roots: "due process of law" traces to a 14th-century English statute referring to procedure, not substance.
  • Sir Edward Coke later equated it with Magna Carta's vague phrase "law of the land," which the Supreme Court adopted in Murray's Lessee (1856).

⚠️ Institutional criticisms

  • Uncanalized discretion: substantive due process gives judges broad, standardless power to invalidate legislation.
  • Federalism concerns: it invites federal courts to review nearly all state and local zoning decisions.
  • Democratic accountability: legislatures can act on political and ethical considerations that would be improper for courts; substantive due process risks judicial overreach.
  • The Coniston court stresses that "the Constitution does not outlaw the characteristic operations of democratic government, operations which are permeated by pressure from special interests."

📜 The Euclid and Nectow precedents

  • Euclid v. Ambler Realty Co. (1926): upheld comprehensive zoning as a valid exercise of police power, establishing that zoning ordinances are generally constitutional.
  • Nectow v. City of Cambridge (1928): invalidated a zoning restriction as applied to a specific parcel because it bore no substantial relation to public welfare and caused serious injury to the owner.
    • The parcel was zoned residential but surrounded by industrial uses and railroad tracks, making residential use impractical.
    • Key finding: "no practical use can be made of the land in question for residential purposes."
    • The invasion was "serious and highly injurious."

🧪 State court substantive due process: multi-factor balancing

🧪 The state standard

State courts (e.g., Illinois, Massachusetts) apply a more searching review than federal courts, though still deferential.

State test: A zoning restriction is invalid as applied if it is "arbitrary and unreasonable and bears no substantial relation to public health, safety, morals, or welfare."

  • Burden: property owner must prove invalidity by clear and convincing evidence.
  • Standard of review: appellate courts will not reverse unless the trial court's findings are against the manifest weight of the evidence.

🧮 The eight-factor test (Twigg case)

Illinois courts consider eight factors (from La Salle National Bank and Sinclair Pipeline):

  1. Existing uses and zoning of nearby property (paramount importance)
  2. Extent to which property values are diminished by the restriction
  3. Extent to which destruction of property values promotes public welfare
  4. Relative gain to the public vs. hardship to the owner
  5. Suitability of the property for the zoned purposes
  6. Length of time the property has been vacant as zoned
  7. Care the community took in planning its land use
  8. Community need for the proposed use
  • No single factor is controlling; courts weigh all factors together.
  • Example (Twigg): Plaintiffs owned 25 acres zoned agricultural (A-1, requiring 10-acre minimum per residence). They wanted to split 5 acres into two 2.5-acre residential lots. The court found:
    • Factor 1: several nearby non-conforming residences on smaller parcels supported the proposed use.
    • Factor 7: the county had assigned A-1 zoning arbitrarily across the board in 1978 without considering existing uses.
    • Factors 3 & 4: little public gain from enforcing the restriction; great hardship to plaintiffs (family unity, horse-keeping).
    • Conclusion: the restriction was arbitrary as applied and bore no substantial relation to public welfare.

🔄 Common confusion: diminution in value vs. enhancement

  • Courts focus on whether the restriction diminishes value, not whether rezoning would enhance value.
  • However, evidence that the highest and best use differs from the zoned use is relevant.
  • Don't confuse: The fact that rezoning would increase value is not alone determinative, but it supports a finding that the current zoning is arbitrary if no public benefit is shown.

🛡️ Massachusetts "as applied" challenges under G.L. c. 240, § 14A

🛡️ The statutory framework

  • Massachusetts General Laws c. 240, § 14A allows landowners to bring declaratory judgment actions in Land Court to determine the validity of zoning restrictions as applied to their property.
  • Purpose: prevent a landowner from investing in land only to discover restrictions later.
  • Burden: landowner must prove the restriction is unreasonable as applied.

🧩 The two-branch test (Amberwood case)

For a by-law to be invalid as applied, the court must find:

  1. No substantial relation to public purposes: the restriction does not promote public health, safety, morals, or welfare in this specific case.
  2. Significant injury to the owner: the restriction amounts to an "arbitrary, unreasonable, and oppressive deprivation" of the owner's property interest.
  • Both branches are required; neither alone suffices.
  • Example (Amberwood): Owner created a lot using a "frontage exception" that allowed reduced street frontage if the lot exceeded minimum area by 4 acres. The by-law prohibited later subdivision of such lots. Owner sought to convey 2 acres to an abutting lot for buffering. The court held:
    • Branch 1: the purposes (preserving open space, preventing development) would not be harmed by the conveyance.
    • Branch 2: but the injury to the owner was minimal—the owner could accomplish the same goals (buffering, preventing development) by granting an easement instead of conveying fee title.
    • Conclusion: the restriction was valid as applied because the injury was not significant.

📐 Contrast with Nectow, Barney & Carey, and Pittsfield

  • Nectow: land zoned residential but surrounded by industrial uses; "no practical use" for residences; "serious and highly injurious" invasion.
  • Barney & Carey: land zoned residential but bounded by river, marshes, and highway; residential use was "a practical impossibility."
  • Pittsfield: ordinance prevented use of portable sawmill, rendering 100 acres of timberland "permanently" useless.
  • Amberwood: owner retained full use of the land; only the ability to convey a 2-acre portion was restricted; injury was minimal.

⚙️ Policy considerations

  • Uniformity: zoning must apply uniformly within a district; invalidating restrictions case-by-case undermines this principle.
  • Self-inflicted hardship: if the owner created the problem by earlier choices (e.g., using the frontage exception), courts are less sympathetic.
  • Alternative means: if the owner can achieve the same goals without invalidating the restriction (e.g., by easement), the restriction is not oppressive.

🔀 Procedural vs. substantive due process in zoning

🔀 The distinction

  • Procedural due process: requires fair procedures (notice, hearing, reasons) when government makes an individualized decision affecting property.
  • Substantive due process: limits the reasons or purposes for which government can restrict property, regardless of procedure.

🏛️ Legislative vs. adjudicative decisions (Coniston)

  • Legislative zoning decisions (e.g., adopting or amending a zoning ordinance, approving/rejecting a site plan under broad discretion):
    • No trial-type procedures required.
    • No duty to give reasons.
    • No duty to act "reasonably" in the judicial sense.
    • Check on abuse: electoral accountability.
  • Adjudicative decisions (e.g., variance, special permit under specific criteria):
    • May require notice, hearing, findings, and reasoned decision.
  • Example (Coniston): Village Board rejected a site plan with no stated reasons and after an executive session. The court held this was a legislative decision, so no procedural due process violation occurred.

🚫 Don't confuse

  • A decision made in executive session or without reasons may look arbitrary, but if it is legislative in nature, it does not violate procedural due process.
  • The absence of reasons may support a substantive due process claim (by suggesting irrationality), but only if the decision is also irrational or invidious.
6

Adjudication and Quasi-Adjudication

3.2. Adjudication and Quasi-Adjudication

🧭 Overview

🧠 One-sentence thesis

When a local government decides a specific rezoning application, the decision is quasi-judicial rather than legislative, requiring stricter judicial review and a factual record that demonstrates consistency with the comprehensive plan.

📌 Key points (3–5)

  • Legislative vs. quasi-judicial distinction: comprehensive rezonings affecting large areas are legislative (reviewed under "fairly debatable" standard), but site-specific rezoning decisions are quasi-judicial (reviewed under stricter scrutiny with substantial evidence requirement).
  • Burden of proof: the landowner must first prove the rezoning request is consistent with the comprehensive plan; then the burden shifts to the government to justify denial with substantial evidence.
  • Comprehensive plan as binding framework: under modern growth management statutes, all rezoning decisions must be consistent with the adopted comprehensive plan, which sets long-range policy for land use.
  • Common confusion: consistency with the plan does not automatically entitle the landowner to the maximum density allowed—the plan sets a ceiling, not a floor, and governments retain discretion within that framework.
  • Procedural requirements: quasi-judicial proceedings require an impartial tribunal, opportunity to present evidence, adequate findings of fact, and a reviewable record.

⚖️ The legislative vs. quasi-judicial divide

⚖️ Traditional legislative characterization

Historically, all zoning decisions were treated as legislative acts:

  • Courts applied the "fairly debatable" standard from Village of Euclid v. Ambler Realty Co. (1926).
  • If the zoning classification was "fairly debatable," the legislative judgment controlled.
  • This highly deferential standard gave local governments broad discretion with minimal judicial oversight.

Why this mattered: Under the fairly debatable rule, zoning decisions were nearly immune from judicial reversal unless they violated constitutional limits.

🔍 The shift to quasi-judicial treatment

The Fasano court (Oregon, 1973) rejected blanket legislative treatment for site-specific rezoning:

"Local and small decision groups are simply not the equivalent in all respects of state and national legislatures."

The court distinguished:

  • Legislative acts: formulate general rules or policies applicable to an open class (e.g., creating a new zoning category).
  • Quasi-judicial acts: apply general rules to specific individuals, interests, or parcels (e.g., rezoning one property owner's 32 acres).

Example: When Washington County created the "Planned Residential" floating zone category in 1963, that was legislative. When the county later applied that zone to A.G.S. Development's specific 32-acre parcel in 1970, that was quasi-judicial.

📋 Florida's adoption of the distinction

The Snyder court (Florida, 1993) followed Fasano's reasoning:

Type of actionNatureStandard of review
Comprehensive rezoning affecting large areaLegislativeFairly debatable
Site-specific rezoning applicationQuasi-judicialStrict scrutiny / substantial competent evidence

Don't confuse: "Strict scrutiny" in land use review means strict compliance with the comprehensive plan and substantial evidence support—it is not the same as constitutional strict scrutiny used in fundamental rights cases.

🎯 Character of the hearing determines classification

The Snyder court explained:

"It is the character of the hearing that determines whether or not board action is legislative or quasi-judicial."

Quasi-judicial characteristics include:

  • Impact on a limited number of identifiable parties.
  • Decision contingent on specific facts from distinct alternatives.
  • Functionally viewed as policy application rather than policy setting.

📜 The comprehensive plan requirement

📜 What a comprehensive plan is

The comprehensive plan is "a general plan to control and direct the use and development of property in a municipality."

Under Oregon and Florida statutes, the plan must:

  • Embody policy determinations and guiding principles for future land use.
  • Be based on data and analysis (projected population, land needs, public services, character of undeveloped land).
  • Include a future land use map and measurable objectives.

Relationship to zoning ordinances: The plan sets the framework; zoning ordinances implement the plan's details. Both are "parts of a single integrated procedure for land use control."

🔗 Consistency requirement

Modern growth management statutes require that all development orders (including rezoning decisions) be consistent with the adopted comprehensive plan.

Florida statute defines consistency:

"A development order... shall be consistent with the comprehensive plan if the land uses, densities or intensities... permitted... are compatible with and further the objectives, policies, land uses, and densities or intensities in the comprehensive plan."

Why this matters: The consistency requirement transforms the comprehensive plan from an advisory document into a legally binding constraint on local zoning decisions.

⏱️ Plan as ceiling, not floor

A critical limitation on landowner rights:

"A comprehensive plan only establishes a long-range maximum limit on the possible intensity of land use; a plan does not simultaneously establish an immediate minimum limit."

  • The plan contemplates gradual and ordered growth.
  • Present use may be more limited than the future use contemplated by the plan.
  • Multiple zoning classifications may be consistent with the same plan designation.

Example: If the plan designates an area "residential," both single-family (R-7) and planned residential (P-R) zoning may be consistent with that designation. A landowner in an R-7 zone cannot automatically demand P-R zoning simply because P-R is also consistent with the plan.

Don't confuse: Consistency with the plan is necessary but not sufficient for rezoning approval—the government retains discretion among consistent alternatives.

🎯 Burden of proof framework

🎯 Initial burden on the landowner

The property owner seeking rezoning must prove:

  1. The proposal is consistent with the comprehensive plan.
  2. Compliance with all procedural requirements of the zoning ordinance.
  3. (Fasano standard) There is a public need for the kind of change requested.
  4. (Fasano standard) The need is best met by changing this particular property compared with other available property.

Why this allocation: "As is usual in judicial proceedings," the burden falls on "the one seeking change."

⚖️ Shifted burden on the government

Once the landowner meets the initial burden, the government must demonstrate:

  • (Snyder formulation) That maintaining the existing classification is supported by substantial, competent evidence.
  • The government's decision must be justified by findings of fact based on the record.

Rejected approach: The Snyder court rejected the Fasano court's rule that the government must prove by "clear and convincing evidence that a specifically stated public necessity requires a specified, more restrictive use."

📊 Degree of change affects burden

The Fasano court emphasized:

"The more drastic the change, the greater will be the burden of showing that it is in conformance with the comprehensive plan... that there is a public need for the kind of change in question, and that the need is best met by the proposal under consideration."

Factors to consider:

  • Potential impact on the surrounding area.
  • Whether other areas have been designated for the particular development type.
  • Why it is necessary to introduce the use into an area not previously contemplated.

🛠️ Procedural requirements for quasi-judicial proceedings

🛠️ Essential procedural elements

The Fasano court listed requirements for quasi-judicial zoning hearings:

  • Opportunity to be heard: parties must have a chance to present their case.
  • Opportunity to present and rebut evidence: not just public comment, but evidentiary presentation.
  • Impartial tribunal: decision-makers must have had no pre-hearing or ex parte contacts concerning the question at issue.
  • Adequate record: a record must be made of the proceedings.
  • Findings of fact: the government must execute adequate findings.

📝 Findings and reasons requirement

The government body must:

  • State reasons for action that denies the owner use of the land.
  • Make findings of fact sufficient for judicial review.
  • Base findings on legally sufficient evidence.

What is insufficient: In Fasano, the staff report stated only:

"The staff finds that the requested use does conform to the residential designation... It further finds that the proposed use reflects the urbanization of the County and the necessity to provide increased densities..."

The court held: "Such generalizations and conclusions, without any statement of the facts on which they are based, are insufficient to justify a change of use."

🚫 Ex parte communications concern

The Snyder case noted a practical tension:

  • If rezoning is quasi-judicial, commissioners may be prohibited from ex parte communications with citizens.
  • This could eliminate "community input" that is normal in legislative processes.

Don't confuse: The impartiality requirement for quasi-judicial proceedings differs from the open political process expected in legislative action—this is a deliberate trade-off to ensure fairness in site-specific decisions.

🔎 Scope of judicial review

🔎 Review standard for quasi-judicial decisions

When a rezoning decision is quasi-judicial:

  • Review is by certiorari (not appeal or de novo action).
  • The decision will be upheld only if supported by substantial competent evidence.
  • Courts apply strict scrutiny to ensure compliance with the comprehensive plan.

Contrast with legislative review: Legislative zoning decisions are reviewed only for whether they are "fairly debatable"—a much more deferential standard.

📋 What courts examine

The reviewing court must assess:

  • Legal sufficiency of evidence to support the findings of fact.
  • Legal sufficiency of findings to support the reasons given.
  • Legal adequacy of reasons under applicable law (comprehensive plan, zoning ordinances, constitutional provisions).

⚠️ Inadequate record = reversal

In Fasano, the court found:

  • The record contained only a conclusory staff report.
  • No portions of the comprehensive plan were in the record.
  • There was no statement of facts supporting the conclusions.

Result: "As there has not been an adequate showing that the change was in accord with the plan... the judgment is affirmed" (denying the rezoning).

Practical implication: Governments must build a factual record during the hearing, not rely on post-hoc justifications.

🏛️ Policy tensions and concerns

🏛️ Criticism of the quasi-judicial approach

The Fasano court acknowledged potential criticism:

"We may lay the court open to criticism by legal scholars who think it desirable that planning authorities be vested with the ability to adjust more freely to changed conditions."

The court's response:

"Having weighed the dangers of making desirable change more difficult against the dangers of the almost irresistible pressures that can be asserted by private economic interests on local government, we believe that the latter dangers are more to be feared."

💰 Cost and delay concerns

Justice Bryson's concurrence in Fasano highlighted practical burdens:

  • The case went through six levels of review (planning department → planning commission → county commission → trial court → court of appeals → state supreme court).
  • "No average homeowner or small business enterprise can afford a judicial process such as described above."
  • The number of such controversies is increasing.

🎯 Balancing discretion and accountability

The Snyder court sought middle ground:

  • Governments retain discretion to deny rezoning even when the proposal is consistent with the plan.
  • But the denial must be supported by substantial evidence and cannot be arbitrary.
  • The plan sets outer limits (consistency requirement) while preserving judgment within those limits.

Don't confuse: The stricter review standard does not eliminate government discretion—it requires that discretion be exercised based on evidence and articulated reasons, not political pressure or arbitrary preference.

7

3.3. Procedure

3.3. Procedure

🧭 Overview

🧠 One-sentence thesis

The cases illustrate that procedural requirements for land-use decisions—such as public notice, conflict-of-interest rules, and meeting-closure exceptions—must balance strict compliance with practical flexibility, and courts generally require actual harm or prejudice before invalidating government actions for procedural defects.

📌 Key points (3–5)

  • Conflict of interest: A public official with a substantial financial interest in a decision must not participate in discussion or voting, even if their vote is not decisive.
  • Public notice defects: Minor deviations from statutory notice requirements do not automatically void decisions if the affected parties had actual notice and full opportunity to participate.
  • Closed meetings: Open-meeting laws permit strategy sessions for pending or reasonably imminent litigation, but "litigation" must be construed narrowly to preserve the general rule of openness.
  • Common confusion: Strict compliance vs. substantial compliance—courts distinguish between procedural rules that create substantive property rights (requiring strict compliance) and those that are merely directory (where actual notice and lack of prejudice may cure defects).
  • Burden of proof: The party challenging a government action for procedural defects typically bears the burden of showing actual harm or prejudice.

⚖️ Conflict of interest in local government decisions

🧩 What constitutes a disqualifying conflict

Substantial financial interest: an interest that will result in immediate financial gain, or financial gain in the reasonably foreseeable future.

  • The focus is on the relationship between the official's financial interest and the result of the official's action, regardless of intent.
  • Example: A council member owns one of thirteen lots affected by a rezoning ordinance that permits new commercial uses; the ordinance increases permissible uses and likely increases property values → substantial financial interest exists.
  • Don't confuse: The official's subjective intent or motive is irrelevant; what matters is whether the decision objectively affects the official's financial position.

🚫 Prohibition on participation

  • Municipal codes typically prohibit a conflicted member from both voting and participating in discussion, even if excused from voting.
  • The prohibition on discussion is often more stringent than the prohibition on voting.
  • Example: Homer City Code 1.12.030 states that a conflicted member "shall not be allowed to participate in discussion about the matter," regardless of whether excused from voting.

⚖️ Remedies for conflict violations

The Griswold court rejected both automatic invalidation and simple vote-counting, adopting a middle-ground test:

FactorWhat the court examinesWhy it matters
DisclosureWhether the interest was disclosed or other members were fully awareAffects accuracy of decision and appearance of impropriety
Extent of participationHow much the member influenced discussion and debateA member's role cannot be measured solely by their vote
Magnitude of interestHow significant the financial gain is likely to beGreater interest = greater appearance of impropriety
  • If the interest is undisclosed: The ordinance is generally invalid; it can stand only if the magnitude of the member's interest and extent of participation are minimal.
  • If the interest is disclosed: The ordinance is valid unless the member's interest and participation are so great as to create an intolerable appearance of impropriety.
  • Dissenting view: Some judges argue that any participation by a conflicted member should automatically invalidate the decision, especially when the municipal code contains a flat prohibition on participation.

🔍 Distinguishing decisive vs. non-decisive votes

  • If the conflicted member cast the decisive vote (i.e., without it the measure would have failed), the decision must be invalidated.
  • If the measure would have passed without the conflicted vote, courts apply the three-factor test above.
  • Don't confuse: A non-decisive vote does not automatically save the decision; the member's participation in discussion may still have influenced colleagues' votes.

📢 Public notice requirements

📋 Statutory notice standards

Most planning and zoning statutes require:

  • Publication in a newspaper of general circulation
  • Publication for two successive weeks (or a specified interval between publications)
  • A minimum number of days before the hearing (e.g., at least 5 days between publications, with the second publication not less than 7 days before the hearing)

Example: The Pennsylvania MPC requires notice "once each week for two successive weeks," with "at least five days" between publications.

🔧 Actual notice vs. legal notice

Actual notice: when interested parties have real knowledge of the legal proceedings, even if formal publication requirements were not strictly met.

  • Key principle: Actual notice serves to accomplish the same purposes that legal notice is intended to accomplish—both make interested parties aware of the opportunity to exercise their legal rights.
  • Example: In McGlynn, the township published two notices four days apart instead of five; objectors actively participated in all six hearings and never claimed lack of actual notice → defect did not void the decision.
  • Don't confuse: Actual notice is not a blanket excuse for ignoring statutory requirements; it is a factor courts weigh when the defect is minor and no prejudice is shown.

⚖️ When notice defects void a decision

Courts distinguish between:

  • Void ab initio: The decision is treated as never having existed; this occurs when there is a complete failure to provide notice or a hearing, or when the defect affects fundamental due process rights.
  • Voidable: The decision may be set aside if challenged, but is not automatically void; this occurs when there is substantial compliance with notice requirements and no showing of prejudice.
SituationLikely outcomeReasoning
No notice at allVoid ab initioComplete denial of due process
Notice published but defective (e.g., wrong date, insufficient interval)Voidable if prejudice shownActual notice and participation may cure defect
Notice to some but not all required partiesDepends on whether omitted parties had actual noticeCourts examine whether omitted parties were prejudiced

🛡️ Demonstrable prejudice requirement

  • The party challenging a decision for notice defects must show actual harm or demonstrable prejudice.
  • Example: In McGlynn, objectors participated fully in six hearings over 18 months, cross-examined witnesses, and offered evidence → no prejudice from the four-day vs. five-day publication interval.
  • Why it matters: Procedural due process is a flexible concept that imposes only such safeguards as the situation warrants; absent prejudice, courts will not overturn well-considered decisions for technical defects.

🚪 Open meetings and closed sessions

📖 General rule of openness

Open-meeting laws express a strong legislative intent that government actions be taken openly and deliberations conducted openly.

  • Example: Utah Code § 52-4-1 states, "It is the intent of the law that [government] actions be taken openly and that their deliberations be conducted openly."
  • Consequence: Exceptions to the open-meeting requirement must be strictly construed to give effect to the legislative intent of openness.

🔒 Exception for litigation strategy sessions

Most open-meeting laws permit closed sessions for "strategy sessions to discuss pending or reasonably imminent litigation."

Three requirements for a valid closed session:

  1. The session must be a strategy session (devising plans or means to achieve an end in the litigation)
  2. The subject must be litigation (not merely policy discussion)
  3. The litigation must be pending or reasonably imminent

🧩 What constitutes a "strategy session"

  • Definition: A meeting where the public body devises a plan or course of action and puts it in motion.
  • Example: In Kearns-Tribune, counsel explained the factual and procedural background of an annexation petition, offered three possible courses of action, recommended one option, and the commission selected a course of action → this is a strategy session.
  • Don't confuse: A strategy session is not limited to discussing legal tactics like claims, defenses, or settlement posture; it includes deciding whether to take action at all and what form that action should take.

⚖️ What constitutes "litigation"

Courts have split on whether administrative or quasi-judicial proceedings qualify as "litigation":

ViewDefinition of litigationRationale
NarrowOnly court proceedingsPlain meaning of "litigation" implies judicial forums; broader definition would swallow the openness rule
BroadIncludes quasi-judicial agency proceedingsProceedings with adverse parties, representation, evidence, transcripts, and appeals to courts are functionally litigation
  • The Kearns-Tribune court adopted the broad view: County boundary commission proceedings are quasi-judicial (applying law to facts, resolving disputes between adverse parties, subject to judicial review) and therefore constitute "litigation."
  • Key factors: Presence of adverse parties, procedural formality (notice, hearings, evidence, transcripts), application of legal standards to facts, and availability of judicial review.
  • Don't confuse: Even if a proceeding involves policy considerations (e.g., feasibility studies, public comment), it may still be "litigation" if its primary function is adjudicative.

🚫 Limits on the litigation exception

  • The exception does not permit closed discussion of underlying policy questions that should be debated publicly.
  • Example: If a council closes a meeting to discuss whether a proposed development is good policy for the community (rather than how to respond to a pending legal challenge), the closure violates the open-meeting law.
  • Why it matters: The integrity of public office requires avoiding both actual impropriety and the appearance of impropriety; allowing policy debates to occur in secret undermines public trust.

🏛️ Procedural due process in land-use decisions

🧩 Property interests and entitlement

Protected property interest: a legitimate claim of entitlement to a benefit, created by rules or understandings that significantly constrain the decisionmaker's discretion.

  • Key principle: Not every procedural requirement ordained by state law creates a substantive property interest entitled to constitutional protection.
  • Only statutes that compel a result upon compliance with certain criteria, none of which involve discretion, create a protected property interest.

🔍 When discretion defeats a property interest

A statute that grants the reviewing body unfettered discretion to approve or deny an application does not create a property right.

Example: In Shanks, Spokane's historic preservation ordinance required the Landmarks Commission to apply "defining characteristics" and "general guidelines" prepared and adopted by the Commission itself, and the director could consider unspecified "other factors of public interest" → too much discretion; no protected property interest.

Indicators of excessive discretion:

  • The decisionmaker may impose criteria of its own creation
  • The statute uses open-ended standards like "public interest" or "general welfare"
  • The decisionmaker may negotiate different standards for individual properties
  • The statute requires only that criteria be "considered" or "used," not that any particular outcome follow

⚖️ Third-party procedural due process claims

  • Typical claim: Plaintiff was denied a permit without due process.
  • Unusual claim: Plaintiff challenges a permit granted to someone else, arguing the decisionmaker failed to follow required procedures.

For a third-party claim to succeed:

  1. The plaintiff must have a constitutionally protected property interest in the denial of the third party's permit (not just an interest in the quiet use and enjoyment of neighboring property).
  2. The governing statute must contain mandatory language that significantly constrains discretion.
  3. The plaintiff must show actual deprivation of the interest (not merely a procedural irregularity).
  • Why third-party claims usually fail: Zoning and land-use regulations typically grant officials broad discretion and do not create entitlements in neighbors to have regulations enforced in a particular way.
  • Don't confuse: A neighbor's interest in having zoning laws enforced is not the same as a property interest in a particular enforcement outcome; the former is a generalized interest in lawful government, the latter is a specific entitlement.

📊 Mathews v. Eldridge balancing test

When a procedural due process claim is raised, courts consider three factors:

FactorWhat it examinesApplication in land-use context
Private interest affectedThe importance of the interest to the individualNeighbor's interest in quiet enjoyment vs. applicant's interest in developing property
Risk of erroneous deprivationLikelihood that the procedure used will produce an incorrect result, and value of additional safeguardsIf parties had actual notice and full opportunity to participate, risk of error is low
Government's interestAdministrative burden and cost of additional proceduresRequiring new hearings for minor defects imposes financial and time costs on government and applicants
  • Key insight: Procedural due process is a flexible concept; it imposes only such safeguards as the situation warrants.
  • Example: In McGlynn, objectors had actual notice, participated fully in six hearings with counsel, and the remand was unrestricted → no risk of erroneous deprivation; requiring the entire process to start over would impose significant burdens with no benefit.

🔄 Waiver and estoppel in procedural challenges

🚫 Waiver by participation

  • A party who actively participates in proceedings without objecting to procedural defects may waive the right to challenge those defects later.
  • Example: In McGlynn, objectors participated in six hearings over 18 months, cross-examined witnesses, and offered evidence, but never asserted that the initial notice was defective → waiver of the right to challenge the notice defect.
  • Rationale: Active participation manifests agreement to the process and deprives the decisionmaking body of the opportunity to cure the defect.

⏱️ Timing of objections

  • Procedural objections should be raised at the first opportunity before the decisionmaking body.
  • Failure to raise the objection at the outset may result in waiver, especially if the party continues to participate in subsequent proceedings.
  • Don't confuse: Waiver by participation is distinct from waiver by delay in filing an appeal; the former concerns objections during the administrative process, the latter concerns judicial review deadlines.

🔧 Curative participation

  • If a party is given a full and fair opportunity to participate in subsequent proceedings (e.g., on remand), that participation may cure earlier procedural defects.
  • Example: In McGlynn, the trial court remanded with instructions that "the entire matter will be remanded for purposes of presentation of any additional testimony and evidence" → objectors could call any witness and offer any document → curative participation.
  • Why it matters: Courts are reluctant to invalidate decisions for procedural defects when the complaining party suffered no actual harm and had a full opportunity to be heard.
8

Discriminatory Zoning

3.4. Discriminatory Zoning

🧭 Overview

🧠 One-sentence thesis

A neighboring property owner cannot claim a federal constitutional due process violation based solely on a city's failure to follow its own procedural rules when denying a third party's building permit, unless the ordinance creates a substantive protected property interest in that denial.

📌 Key points (3–5)

  • No property interest without limited discretion: Open-ended criteria and broad discretion in an ordinance do not create a constitutionally protected property interest for neighbors in blocking someone else's permit.
  • Procedure alone is not enough: Without a substantive property interest in the outcome, a party cannot claim a federal due process violation merely because the government failed to follow its own procedures.
  • Common confusion: Violating state law procedures vs. violating the federal Due Process Clause—unlawful state action does not automatically become a constitutional violation.
  • Circuit consensus: The Second, Ninth, and Tenth Circuits agree that procedural rights are not actionable under the Due Process Clause when no protected substantive right is at stake.

🏛️ When an ordinance creates a property interest

🔑 The discretion test

  • A local ordinance creates a constitutionally cognizable property interest only if it significantly limits the government's discretion.
  • The Spokane historic preservation ordinance failed this test because:
    • The Historic Landmarks Commission applies "defining characteristics" and "general guidelines" that it itself prepared.
    • The Commission has freedom to negotiate "different management standards" for any particular property.
    • The planning director applies "other factors of public interest" in an unspecified way.
    • The ordinance requires only that decisionmakers "use" or "consider" open-ended criteria; it does not mandate any outcome.

🚫 Building codes and affirmative duties

  • Under Washington law, building codes are generally not construed to impose an affirmative duty on local governments to initiate compliance actions.
  • The court found no special features in Spokane's historic preservation ordinance that would create such a duty.
  • Example: An organization cannot claim the city must deny a neighbor's permit just because a code exists.

⚖️ Procedural vs. substantive rights

🔗 The linkage requirement

"Absent a substantive property interest in the outcome of procedure, [a party] is not constitutionally entitled to insist on compliance with the procedure itself."

  • The court emphasizes that procedure without substance does not create a federal constitutional claim.
  • If every regulation's procedural requirements were incorporated into the Constitution, "virtually every regulation" would become constitutionally enforceable.

📋 What Logan Neighborhood claimed

Logan Neighborhood alleged it had a property interest in:

  • Expectation that the city would follow its own mandatory notice and public hearing procedures.
  • The "design review" allegedly required by the Spokane Municipal Code.
  • The denial of a third party's building permit.

Why the claim failed:

  • The ordinance did not create a substantive property interest in the permit's denial.
  • Without that substantive interest, the procedural due process claim cannot succeed.

🔄 Circuit court consensus

🗂️ Parallel cases

CircuitCasePlaintiff's claimOutcome
TenthCrown Point IProperty interest in city following mandatory notice/hearing procedures before depriving neighbor of property useNo property interest; ordinance did not limit discretion
SecondGagliardiLack of notice; affirmative actions taken without compliance with municipal approval proceduresNo property interest; procedural deprivation not actionable without protected right
NinthLogan Neighborhood (this case)Property interest in "design review" and denial of third party's permitNo property interest; open-ended criteria and broad discretion

🎯 The shared reasoning

  • In all three cases, the ordinances did not significantly limit municipal discretion.
  • All three courts concluded: "The deprivation of a procedural right to be heard is not actionable when there is no protected right at stake."
  • Don't confuse: A violation of local procedure may be unlawful under state law, but it does not automatically become a federal constitutional violation.

🧭 State law vs. federal constitutional claims

🏛️ State remedies remain available

The court explicitly states:

  • "Nothing we say here condones unlawful official action."
  • The court expresses no view about the legality of Spokane's permitting decision as a matter of state law.
  • State remedies may be available under statutes like the Washington Land Use Petition Act.

⚠️ The distinction

  • State law: Regulations validly prescribed by an agency are binding upon it; violations may be challenged in state court.
  • Federal constitutional law: A due process claim requires a constitutionally cognizable property interest, not just a violation of state procedures.
  • Example: An organization might successfully challenge a city's permit decision under state law for procedural violations, but fail to state a federal constitutional claim because the ordinance gave the city broad discretion.

🚫 Federal courts' limited role

  • Federal courts of appeals do not sit as "super zoning boards or zoning boards of appeals."
  • They review only whether federal constitutional rights have been violated, not whether local zoning decisions comply with state law.
9

Anticompetitive Zoning

3.5. Anticompetitive Zoning

🧭 Overview

🧠 One-sentence thesis

The Supreme Court held that both municipal zoning actions and private lobbying for those actions are immune from federal antitrust liability under the Parker and Noerr doctrines, even when a jury finds the ordinances resulted from an agreement between city officials and a private monopolist to restrict competition.

📌 Key points (3–5)

  • Parker immunity for municipalities: A city's zoning ordinance restricting billboard construction is exempt from the Sherman Act if the state has authorized municipalities to regulate land use, even when the regulation has anticompetitive effects.
  • No "conspiracy exception" to Parker: The Court rejects the argument that Parker immunity is lost when public officials agree with private parties to enact anticompetitive regulation, because distinguishing legitimate from corrupt agreements is impractical and beyond the Sherman Act's purpose.
  • Noerr immunity for private lobbying: Private parties who lobby for anticompetitive government action are also immune, unless their use of the governmental process itself (not merely the outcome) is a "sham."
  • Common confusion: Don't confuse the "sham" exception (using the process as a weapon, e.g., filing frivolous objections to delay a competitor) with lobbying that genuinely seeks a favorable governmental outcome, even if motivated by anticompetitive intent.
  • Dissent's view: The dissent argues that when a municipality enacts economic regulation (not health/safety regulation) pursuant to a private anticompetitive agreement, it exceeds the scope of a general zoning grant and should lose immunity.

🏛️ Factual background and procedural history

🏢 The parties and the billboard market

  • Columbia Outdoor Advertising (COA): A local South Carolina company that controlled over 95% of the billboard market in Columbia by 1981; owned by a family with close ties to city officials.
  • Omni Outdoor Advertising: A Georgia competitor that entered the Columbia market in 1981 by erecting new billboards.
  • COA responded by modernizing its own billboards, allegedly engaging in private anticompetitive acts (low rates, spreading rumors, inducing breach of contract), and lobbying city officials for restrictive zoning ordinances.

📜 The ordinances and the lawsuit

  • In 1982, the city passed a series of ordinances restricting billboard size, location, and spacing; these restrictions benefited COA (which already had billboards in place) and severely hindered Omni's ability to compete.
  • Omni sued COA and the city under §§ 1 and 2 of the Sherman Act, alleging an anticompetitive conspiracy.
  • A jury returned a general verdict against both defendants, awarding damages on both Sherman Act claims; the jury also answered special interrogatories finding that the city and COA had conspired to restrain trade and monopolize the market.
  • The District Court granted judgment notwithstanding the verdict, but the Fourth Circuit reversed and reinstated the jury verdict, invoking a "conspiracy exception" to Parker immunity.

🛡️ The Parker state-action doctrine

🛡️ Core principle: federalism and state sovereignty

Parker v. Brown, 317 U.S. 341 (1943): The Sherman Act does not apply to anticompetitive restraints imposed by the States "as an act of government."

  • The doctrine rests on principles of federalism: the Sherman Act should not be interpreted to prohibit a sovereign State's regulatory actions.
  • Example: California's program restricting the marketing of raisins (a form of economic regulation) was held exempt from the Sherman Act.

🏙️ Application to municipalities

  • Municipalities are not sovereign: Unlike States, municipalities do not enjoy direct Parker immunity because they are political subdivisions, not sovereign entities within the federal system.
  • Delegated authority: A municipality may be immune if it acts pursuant to a "clearly articulated and affirmatively expressed state policy" to displace competition with regulation.
  • The Court has held that it is enough if suppression of competition is the "foreseeable result" of what the state statute authorizes; the statute need not explicitly permit anticompetitive conduct.

🚧 Authorization in this case

  • South Carolina statutes authorized municipalities to regulate land use, building construction, and zoning "for the purpose of promoting health, safety, morals or the general welfare."
  • The Court held that the city's authority to regulate billboard size, location, and spacing was sufficient for Parker purposes.
  • The Court adopted a broad concept of "authority": it is not necessary that the municipality's action be substantively or procedurally correct under state law; otherwise, federal antitrust courts would become reviewers of every state administrative decision.
  • Why suppression of competition was foreseeable: Zoning regulation inherently displaces unfettered business freedom and regularly prevents normal acts of competition, especially by new entrants; restricting billboard spacing necessarily protects existing billboards against some competition.

❌ Rejection of the "conspiracy exception" to Parker

❌ The Fourth Circuit's exception

  • The Court of Appeals held that Parker immunity does not apply "where politicians or political entities are involved as conspirators" with private actors in restraint of trade.
  • The court relied on language in Parker suggesting that the case involved "no question of the state or its municipality becoming a participant in a private agreement or combination by others for restraint of trade."

🔍 The Court's interpretation

  • The Court held there is no such conspiracy exception.
  • The quoted Parker language simply clarifies that immunity does not apply when the State acts in a commercial (proprietary) capacity as a market participant, rather than in a regulatory capacity as a sovereign.
  • Example: The citation to Union Pacific R. Co. v. United States involved Kansas City acting as the owner/operator of a wholesale produce market (a commercial role), not as a regulator.

🚫 Why a conspiracy exception is impractical

  • If "conspiracy" means merely an agreement to impose the regulation, the exception would "virtually swallow up the Parker rule."
  • It is both inevitable and desirable that public officials often agree to do what private citizens urge upon them; all anticompetitive regulation would be vulnerable to a "conspiracy" charge.
  • Example: Any zoning decision influenced by a developer's request could be challenged as a conspiracy.

🤔 Omni's proposed limits: "corruption" or "not in the public interest"

  • Omni suggested limiting the exception to cases of governmental "corruption" (abandonment of public responsibilities, bad faith, selfish motives) or actions "not in the public interest."
  • The Court rejected these vague standards as similarly impractical:
    • Few governmental actions are immune from the charge that they are "not in the public interest" or "corrupt" in some sense.
    • Virtually all regulation benefits some segments of society and harms others; determining "the public interest" involves value judgments, not just economic analysis.
    • Subjecting municipal decisions to ex post facto judicial assessment of "the public interest" would compromise the States' ability to regulate domestic commerce.
    • A subjective test (whether officials thought the action was in the public interest) would require "deconstruction of the governmental process and probing of the official 'intent'" that the Court has consistently sought to avoid.

🔓 Unlawful activity (e.g., bribery) is not the test

  • Another possible limit: Parker inapplicable only if bribery or some other violation of law has been established.
  • The Court rejected this approach because unlawful activity has no necessary relationship to whether the governmental action is in the public interest.
  • A mayor is guilty of accepting a bribe even if he would and should have taken the same action in the public interest (a common defense, though never valid in law).
  • When the regulatory body is a legislature or city council, bribery of a minority of decisionmakers does not establish that the regulation has no valid public purpose.
  • Congress has passed other laws aimed at combating corruption (e.g., the Hobbs Act); the Sherman Act is directed at trade restraints, not political ethics.

📢 The Noerr-Pennington doctrine

📢 Core principle: petitioning the government

Eastern Railroad Presidents Conference v. Noerr Motor Freight, Inc., 365 U.S. 127 (1961): The federal antitrust laws do not regulate the conduct of private individuals in seeking anticompetitive action from the government.

  • The doctrine rests on recognition that the antitrust laws, "tailored as they are for the business world, are not at all appropriate for application in the political arena."
  • A private party's political motives are irrelevant: Noerr shields a concerted effort to influence public officials regardless of intent or purpose.
  • It would be "peculiar in a democracy, and perhaps in derogation of the constitutional right 'to petition the Government for a redress of grievances,'" to establish a category of lawful state action that citizens are not permitted to urge.

🎭 The "sham" exception

"Sham" exception: Situations in which persons use the governmental process—as opposed to the outcome of that process—as an anticompetitive weapon.

  • Example: Filing frivolous objections to a competitor's license application with no expectation of achieving denial, but simply to impose expense and delay.
  • A "sham" involves a defendant whose activities are "not genuinely aimed at procuring favorable government action" at all.
  • Don't confuse: A party who "genuinely seeks to achieve his governmental result, but does so through improper means" is not engaging in a "sham."

🚫 Why the "sham" exception does not apply here

  • First theory rejected: The Court of Appeals reasoned that COA's interaction with city officials was "actually nothing more than an attempt to interfere directly with the business relations of a competitor."
    • The Court held this ignores the critical word "directly."
    • COA sought to disrupt Omni's business not through the process of lobbying itself, but through the ultimate product of that lobbying—the zoning ordinances.
  • Second theory rejected: The jury could have found that COA's purposes were to delay Omni's entry and deny it meaningful access to city fora.
    • The purpose of delaying a competitor does not render lobbying a "sham," unless the delay is sought to be achieved only by the lobbying process itself, not by the governmental action sought.
    • "If Noerr teaches anything it is that an intent to restrain trade as a result of the government action sought … does not foreclose protection."
    • Denying meaningful access to fora may render the manner of lobbying improper or unlawful, but does not necessarily render it a "sham."
    • California Motor Transport (which held that a conspiracy to exclude a competitor from the regulatory process was not protected) involved a context in which the conspirators' participation itself was a "sham" employed to impose cost and delay; it does not extend to a context in which the regulatory process is being invoked genuinely.

❌ Rejection of a "conspiracy exception" to Noerr

  • Omni urged the Court to recognize a "conspiracy exception" when government officials conspire with a private party to use government action to stifle competition.
  • The Court declined, for largely the same reasons it rejected a conspiracy exception to Parker:
    • Parker and Noerr are "complementary expressions of the principle that the antitrust laws regulate business, not politics."
    • The Noerr-invalidating conspiracy is just the Parker-invalidating conspiracy viewed from the standpoint of the private-sector participants.
    • "It would be unlikely that any effort to influence legislative action could succeed unless one or more members of the legislative body became … 'co-conspirators' in some sense with the private party urging such action."
    • If the invalidating "conspiracy" is limited to one involving unlawfulness (beyond anticompetitive motivation), the invalidation would have nothing to do with antitrust policies.
    • In Noerr itself, where the private party "deliberately deceived the public and public officials," the Court said "deception, reprehensible as it is, can be of no consequence so far as the Sherman Act is concerned."

🔄 Remaining issues and remand

🔄 Other alleged anticompetitive conduct by COA

  • Omni also asserted that COA engaged in private anticompetitive actions such as trade libel, artificially low rates, and inducement to breach of contract.
  • The jury's general verdict against COA cannot stand (because it was based on erroneous instructions permitting liability for seeking the ordinances).
  • If the evidence was sufficient to sustain a verdict on the basis of these other actions alone, and if this theory was properly preserved, Omni would be entitled to a new trial.

🔄 State-law claim

  • Omni also claimed a violation of the South Carolina Unfair Trade Practices Act.
  • The Court of Appeals reversed the District Court's grant of judgment notwithstanding the verdict on the ground that "a finding of conspiracy to restrain competition is tantamount to a finding" that the state law had been violated.
  • Given the Court's reversal of the "conspiracy" holding, that reasoning is no longer applicable.
  • The Court remanded for the Court of Appeals to address these remaining questions.

🗳️ The dissent's position

🗳️ Economic regulation vs. health/safety regulation

  • The dissent (Justice Stevens, joined by Justices White and Marshall) distinguishes between economic regulation (decisions about prices and output made by a public body rather than individual firms) and regulation designed to protect public health, safety, and environment.
  • The antitrust laws reflect a basic national policy favoring free markets over regulated markets; the Sherman Act prohibits private unsupervised regulation of prices and output.
  • The state-action exemption applies when a State decides to displace competition with economic regulation in a specific industry (e.g., Texas pilotage rates in Olsen v. Smith; California raisin marketing in Parker).

🗳️ Municipalities and the delegation requirement

  • Unlike States, municipalities do not constitute "bedrocks within our system of federalism"; they are more apt to promote narrow parochial interests without regard to extraterritorial impact.
  • Economic regulation administered by a municipality may be exempt only if enacted pursuant to a clearly articulated state directive "to replace competition with regulation" in a specific industry.
  • The critical decision to substitute economic regulation for competition must be made by the State and articulated with sufficient clarity to identify the industry.

🗳️ Why the South Carolina statutes are insufficient

  • The South Carolina zoning statutes do not articulate any state policy to displace competition with economic regulation in any line of commerce or specific industry.
  • They were expressly adopted to promote "health, safety, morals or the general welfare"—they are neutral on whether the municipality should displace competition in any industry.
  • There is no basis for concluding that the State authorized the city to enter into exclusive agreements with any person or to use zoning power to protect favored citizens from competition.

🗳️ The jury's finding

  • The jury found that the city's ordinance—ostensibly promoting health, safety, and welfare—was in fact enacted pursuant to an agreement between city officials and COA to restrict competition.
  • Such a finding necessarily leads to the conclusion that the ordinance was fundamentally a form of economic regulation of the billboard market, not a general welfare regulation with incidental anticompetitive effects.
  • When purported general welfare regulation in fact constitutes economic regulation by its purpose and effect, it should not be immune.

🗳️ Juries can distinguish legitimate from corrupt agreements

  • The dissent rejects the majority's fear that juries cannot tell the difference between independent municipal action and action taken for the sole purpose of carrying out an anticompetitive agreement.
  • The jury instructions in this case told the jury that the plaintiff should not prevail unless the ordinance was enacted for the sole purpose of interfering with access to the market.
  • The problems of proof are substantially the same as those in cases where business executives' actions are subjected to antitrust scrutiny; the Court should deal with these problems through heightened evidentiary standards, not through judicial expansion of exemptions.

🗳️ Historical context: The Case of Monopolies

  • The dissent notes that one of the classic common-law examples of a prohibited contract in restraint of trade involved an agreement between a public official (the Queen of England) and a private party (a monopoly grant in playing cards).
  • In The Case of Monopolies (1602), the court held the grant void because "the Queen was … deceived in her grant; for the Queen… intended it to be for the weal public, and it will be employed for the private gain of the patentee, and for the prejudice of the weal public."
  • The dissent argues that the present case involves a comparable agreement to give a private party a monopoly, and that the Court's decision "converts what should be nothing more than an anticompetitive agreement undertaken by a municipality … into a lawful exercise of public decision-making."
10

Spot Zoning

3.6. Spot Zoning

🧭 Overview

🧠 One-sentence thesis

Spot zoning—the rezoning of a small parcel inconsistently with surrounding areas—is not automatically illegal but requires a clear showing of a reasonable public basis rather than merely benefiting a single landowner.

📌 Key points (3–5)

  • What spot zoning is: singling out a small tract for different treatment than the uniformly zoned surrounding area, either more or less restrictive.
  • Not automatically illegal: most jurisdictions treat spot zoning as per se invalid, but Alaska and North Carolina hold it is only void if there is no reasonable basis.
  • Reasonable basis test: courts weigh consistency with the comprehensive plan, benefits/detriments to owner vs. community, compatibility with surrounding uses, and parcel size.
  • Common confusion: a rezoning that benefits the owner is not illegal if it also serves a genuine public need; the key is whether the community as a whole benefits, not just the landowner.
  • Why it matters: distinguishes legitimate small-parcel adjustments from arbitrary favoritism that undermines planned zoning.

🔍 What spot zoning means

🔍 Classic definition

"The process of singling out a small parcel of land for a use classification totally different from that of the surrounding area, for the benefit of the owner of such property and to the detriment of other owners."

  • It is "the very antithesis of planned zoning."
  • Courts have developed many variations, but all describe a zoning amendment that reclassifies a small parcel inconsistently with existing patterns, for the owner's benefit and without substantial public purpose.
  • Example: rezoning a single residential lot to allow industrial use while all surrounding lots remain residential.

🔍 Two approaches to legality

Jurisdictions split into two camps:

ApproachViewLegal effect
Majority (per se illegal)"Spot zoning" is a legal term of artIf a court finds spot zoning occurred, the rezoning is automatically void
Minority (Alaska, N.C.)"Spot zoning" is descriptive onlySpot zoning may be valid or invalid depending on whether there is a reasonable basis
  • Alaska and North Carolina follow the minority rule: spot zoning is void "only in the absence of a clear showing of a reasonable basis."
  • Don't confuse: in majority jurisdictions, proving it is spot zoning ends the inquiry; in minority jurisdictions, the inquiry then shifts to whether a reasonable basis exists.

⚖️ The reasonable basis test

⚖️ Multi-factor balancing

Courts determine reasonable basis through a "complex of factors":

  1. Size of the tract: very small parcels (under 3 acres) are nearly always invalid; larger parcels (over 13 acres) are nearly always valid; but relative size matters more than absolute size.
  2. Consistency with the comprehensive plan: does the rezoning align with the plan's goals and policies, or does it contradict them?
  3. Benefits and detriments: who gains and who loses—owner, neighbors, and the broader community?
  4. Compatibility with surrounding uses: how similar or different are the new uses compared to existing adjacent uses?
  • These criteria are flexible guidelines, not rigid rules.
  • The analysis depends on the facts and circumstances of each case.

⚖️ Why flexibility matters

  • A parcel cannot be "too large" or "too small" per se to preclude or mandate a finding of spot zoning.
  • One court found spot zoning even where the reclassified parcel was 635 acres in a 7,680-acre area.
  • Rezoning multiple parcels does not automatically avoid spot zoning if the expansion was a subterfuge to benefit one owner.
  • Example: including six extra lots on either side of the target lot to disguise special treatment is still spot zoning.

🏘️ Benefits, detriments, and public purpose

🏘️ The true vice of illegal spot zoning

"The inevitable effect of granting a discriminatory benefit to one landowner and a corresponding detriment to the neighbors or the community without adequate public advantage or justification."

  • The standard is not the advantage or detriment to particular neighbors, but the effect on the entire community as a social, economic, and political unit.
  • Spot zoning that makes for the exclusive benefit of a particular landowner, with no relation to the community as a whole, is not a valid exercise of sovereign power.

🏘️ When owner benefit is acceptable

  • Courts do not assume a rezoning is primarily for the owner's benefit merely because the owner requested it.
  • If the owner's benefit is incidental to the general community's benefit, the amendment will be upheld.
  • Example: rezoning to allow a grain elevator expansion that employs 87 people and produces 25% of the city's tax revenue was upheld because of community-wide need, even though the owner benefited most.

🏘️ Legitimate vs. illegitimate goals

Not all articulated goals are legitimate per se:

  • Legitimate: preserving neighborhood character, traffic safety, aesthetics, guiding growth to centrally located areas, filling in vacant places in developed areas (to prevent sprawl).
  • Questionable: increasing tax base or employment is legitimate only if the ordinance is otherwise reasonable and in accordance with the comprehensive plan; fiscal zoning alone is usually invalid.
  • Don't confuse: any zoning change that eases restrictions could be said to "fill in vacant places," but that alone is not enough—there must be a genuine planning rationale.

🏘️ Community need vs. neighbor objections

  • Community-wide need for commercial or industrial facilities usually takes precedence over objections of several adjacent property owners.
  • Evidence of community support (e.g., petitions, testimony from beneficiaries) is relevant.
  • Example: in Chrismon, 88 residents signed a petition favoring the rezoning, and area farmers testified that the agricultural chemical operation was beneficial; only the immediate neighbor objected.

🏗️ Compatibility with surrounding uses

🏗️ The disturbance test

"Most likely to be found invalid is an amendment which reclassifies land in a manner inconsistent with the surrounding neighborhood."

  • The evil to be avoided is "an attempt to wrench a single small lot from its environment and give it a new rating which disturbs the tenor of the neighborhood."
  • Rezoning a parcel in an old, well-established residential district to commercial or industrial would be clearly objectionable.

🏗️ When uses are similar enough

  • If the new use is not a drastic change from possible surrounding uses, it is less likely to be illegal spot zoning.
  • Example: in Chrismon, the area was zoned A-1 Agricultural, which already allowed diverse uses (single-family homes, sawmills, fish hatcheries, farms, hospitals, grain mills). Allowing storage and sale of agricultural chemicals under a conditional use permit was not a drastic change.
  • Example: in Griswold, the comprehensive plan stated the Central Business District was "intended primarily for retail sales and services occurring within enclosed structures." Allowing motor vehicle sales and services on Main Street was found consistent because it encouraged infilling, increased convenience, and was restricted to areas away from tourist-oriented streets.

🏗️ Role of conditional use zoning

  • Conditional use zoning can restrict the new use to specific activities, minimizing the difference from surrounding uses.
  • Example: in Chrismon, the conditional use permit restricted the owner to the activities he was already doing (storing and selling agricultural chemicals) and nothing more, so the rezoning represented "very little change."

📏 Size of the rezoned area

📏 Symptomatic, not causal

  • The size of the area rezoned is "more significant than all other factors" according to some commentators, but the court in Griswold cautioned that size should be seen as symptomatic rather than causal.
  • The rationale: it is inherently difficult to relate a single-lot reclassification to a comprehensive plan; a larger area is easier to justify as part of a plan.

📏 Relative size matters

  • Compare the rezoned area to the entire zoning district, but also consider whether subzones are appropriate.
  • Example: in Griswold, the rezoned area was 7.29 acres out of a 400-acre Central Business District (about 1.8%). The court noted that the comprehensive plan recognized the possibility of subzones, and significant portions of the CBD (Pioneer Avenue and the Bypass) were inappropriate for auto sales. Subtracting those areas, the rezoned area on Main Street was a relatively larger part of the remaining CBD.

📏 Multiple parcels and subterfuge

  • Rezoning more than one parcel does not negate the possibility of spot zoning.
  • Courts have invalidated amendments where a multiple-parcel reclassification was a subterfuge to obscure special treatment for a particular landowner.
  • Example: in Atherton, proponents enlarged the rezoned area to include three lots on either side of the target lot to avoid a charge of spot zoning; the court held it was "no less spot zoning by the inclusion of the additional six lots."

📋 Consistency with the comprehensive plan

📋 Not dispositive, but important

  • An ordinance that complies with a comprehensive plan may still be arbitrary.
  • Nonconformance with a comprehensive plan does not necessarily render a zoning action illegal.
  • However, consistency with a comprehensive plan is one indication that the zoning action has a rational basis and is not arbitrary.

📋 What the plan requires

  • Zoning must be accomplished "in accordance with a comprehensive plan" to promote the general welfare.
  • The plan is a compilation of policy statements, goals, standards, and maps; it may include land use plans, community facilities plans, transportation plans, and implementation recommendations.
  • Specific land use standards and boundaries are implemented through the zoning ordinance, not the plan itself.

📋 How courts assess consistency

  • Courts look at whether the rezoning furthers the plan's stated goals and policies.
  • Example: in Griswold, the comprehensive plan stated the CBD should "encourage a mix of business/commercial and public/governmental activities" and "attract and accommodate a variety of uses." The plan also provided that "The City shall research the nature of land uses and CBD land use needs and evaluate the need for subzones in the CBD." The court found the ordinance consistent because it encouraged infilling and enhanced convenient access, and the plan anticipated subzones.
  • Example: in Covington, the comprehensive plan stated that South Salem Street should continue to be zoned for Office & Institutional uses "to provide a transition between residential and more intensive uses," and that "Industrial uses should be located adjacent to or near the major railroad corridors and away from residential areas." The court found the rezoning to allow electronic assembly (an industrial use) in direct contravention of the plan.

📋 Change of opinion is allowed

  • Evidence that the city council previously believed a use was incompatible does not compel a finding that the use is in fact incompatible or that the council's change of opinion is arbitrary.
  • Example: in Griswold, the planning commission in 1986 found that automobile sales were not consistent with the purpose of the CBD and not in harmony with the comprehensive plan. But in 1992, the city council passed an ordinance allowing auto sales on Main Street. The court held that the 1986 evidence did not compel a finding that the 1992 change was unsupportable.

🚫 Common pitfalls and confusions

🚫 Don't confuse owner benefit with illegality

  • A rezoning is not illegal merely because it benefits the owner more than others, if there is also a public need.
  • The key question: is the benefit to the owner incidental to a genuine community benefit, or is the community benefit merely a pretext for favoritism?

🚫 Don't confuse small size with automatic invalidity

  • Very small parcels are nearly always invalid, but size alone does not mandate a finding of spot zoning.
  • Relative size and context matter more than absolute acreage.

🚫 Don't confuse compatibility with identity

  • The new use does not have to be identical to surrounding uses; it must not be so different that it "disturbs the tenor of the neighborhood."
  • Example: allowing agricultural chemical sales in an A-1 Agricultural district that already permits diverse uses (homes, sawmills, hatcheries, grain mills) is compatible.

🚫 Don't confuse the two-step inquiry (minority rule)

In Alaska and North Carolina, the analysis has two steps:

  1. Does the rezoning constitute spot zoning (small parcel, different treatment, surrounded by uniform zoning)?
  2. If yes, is there a clear showing of a reasonable basis?
  • In majority jurisdictions, step 1 ends the inquiry (spot zoning = invalid).
  • In minority jurisdictions, step 2 is where the real work happens.

🛠️ Procedural and remedial notes

🛠️ Burden of proof

  • A duly adopted zoning ordinance is presumed valid.
  • The plaintiff challenging the ordinance has the burden of establishing its invalidity.
  • If any conceivable legitimate public policy for the enactment is apparent or offered, the opponents must disprove the factual basis for that justification.

🛠️ Standard of review

  • Courts give deference to the legislative body as policymaker and to the trial court as finder of fact.
  • The court will not substitute its judgment for that of the legislative body on questions of policy.
  • Findings of fact are upheld unless clearly erroneous.
  • Legal conclusions receive independent consideration.

🛠️ Conflict of interest

  • If a council member has a disqualifying conflict of interest and participates in the vote, the ordinance may be invalidated even if the member's vote was not necessary for passage.
  • Example: in Griswold, council member Sweiven owned one of the thirteen lots affected by the ordinance. The court held he had a conflict and remanded to determine whether his participation invalidated the ordinance.

🛠️ Public interest litigant status

  • A plaintiff who sues to effectuate strong public policies, whose success would benefit numerous people, and who lacks sufficient economic incentive to bring the lawsuit, may be a public interest litigant.
  • Public interest litigants cannot be assessed the government's attorney's fees and court costs.

📚 Key takeaways for review

  • Spot zoning definition: singling out a small parcel for different treatment than the uniformly zoned surrounding area.
  • Two-step test (minority rule): (1) Is it spot zoning? (2) If yes, is there a reasonable basis?
  • Reasonable basis factors: size, comprehensive plan consistency, benefits/detriments, compatibility with surrounding uses.
  • Public purpose is key: the community as a whole must benefit, not just the landowner; owner benefit must be incidental.
  • Compatibility matters: the new use must not "wrench" the parcel from its environment or "disturb the tenor of the neighborhood."
  • Size is relative: compare to the entire district, but also consider subzones and context.
  • Comprehensive plan: consistency is important but not dispositive; the plan may anticipate subzones or changes.
  • Deference to legislature: courts will not second-guess policy choices unless the action is arbitrary, capricious, or lacks a rational basis.
11

Contract Zoning

3.7. Contract Zoning

🧭 Overview

🧠 One-sentence thesis

The court distinguishes valid conditional use zoning—where a landowner makes a unilateral promise about property use while the zoning authority retains independent decision-making—from illegal contract zoning, which involves a bilateral agreement that improperly binds the zoning authority's legislative discretion.

📌 Key points (3–5)

  • Illegal contract zoning involves reciprocal obligations between landowner and zoning authority in a bilateral contract, which improperly curtails the authority's legislative power.
  • Valid conditional use zoning features only a unilateral promise from the landowner about intended use, with the authority maintaining independent judgment.
  • Common confusion: the Court of Appeals equated conditional use zoning with contract zoning, which would effectively outlaw a beneficial planning tool; the Supreme Court rejects this equation.
  • Two key differences: (1) unilateral vs. bilateral promises, and (2) whether the zoning authority retains or abandons independent decision-making authority.
  • Application to this case: the Board made no reciprocal promises and deliberated thoroughly before deciding, so the rezoning was valid conditional use zoning, not illegal contract zoning.

🚫 What makes contract zoning illegal

🚫 The bilateral contract problem

Illegal contract zoning properly connotes a transaction wherein both the landowner who is seeking a certain zoning action and the zoning authority itself undertake reciprocal obligations in the context of a bilateral contract.

  • Both parties make promises to each other.
  • The zoning authority binds itself contractually to the landowner.
  • Example from the excerpt: "A Council enters into an agreement with the landowner and then enacts a zoning amendment. The agreement, however, includes not merely the promise of the owner to subject his property to deed restrictions; the Council also binds itself to enact the amendment and not to alter the zoning change for a specified period of time."

⚖️ Why it's objectionable

  • Contract zoning is "objectionable primarily because it represents an abandonment on the part of the zoning authority of its duty to exercise independent judgment in making zoning decisions."
  • By agreeing to curtail its legislative power, the Council acts ultra vires (beyond its authority).
  • The rezoning becomes a nullity—void and invalid.

✅ What makes conditional use zoning valid

✅ The unilateral promise structure

An orthodox conditional zoning situation occurs when a zoning authority, without committing its own power, secures a property owner's agreement to subject his tract to certain restrictions as a prerequisite to rezoning.

  • Only the landowner makes a promise about how the property will be used.
  • The zoning authority makes no reciprocal promise in return.
  • The authority retains full independent decision-making power.

🎯 Purpose and mechanics

  • Conditional use zoning is "an outgrowth of the need for a compromise between the interests of the developer who is seeking appropriate rezoning for his tract and the community on the one hand and the interests of the neighboring landowners who will suffer if the most intensive use permitted by the new classification is instituted."
  • Restrictions may:
    • Limit the rezoned property to just one of the uses permitted in the new classification, or
    • Impose particular physical improvements and maintenance requirements.

🔑 Two principal differences

FeatureValid Conditional Use ZoningIllegal Contract Zoning
Type of promiseUnilateral promise from landowner to authorityBilateral contract with reciprocal promises
Authority's roleMaintains independent decision-making authorityAbandons authority by binding itself contractually

📋 Application to the Clapp case

📋 What happened procedurally

  • The Inspections Department notified Mr. Clapp of a zoning violation and informed him of options, including: "You may request rezoning of that portion of your land involved in the violations. This is not a guaranteed option."
  • Mr. Clapp applied to rezone two tracts from A-1 to CU-M-2.
  • He also filed a written application for a conditional use permit, specifying current use and proposed changes over five years.
  • The Planning Division recommended approval; the Planning Board voted to approve.
  • The Board of Commissioners held a public meeting on December 20, 1982, heard statements from all concerned parties, and made a final decision.

🔍 Why the Court found no bilateral contract

  • "The only promises made in this case were unilateral—specifically, those from Mr. Clapp to the Board in the form of the substance of his conditional use permit application."
  • The letter from the Inspections Department made clear that rezoning was "not a guaranteed option"—no promises were made by the Board in exchange.
  • The record shows no evidence of reciprocal obligations.

🧑‍⚖️ Why the Board retained independent judgment

  • The Court of Appeals concluded the decision was not "a valid exercise of the county's legislative discretion" but rather resulted from an illegal bargain.
  • The Supreme Court disagreed, finding the record showed:
    • The Board followed all procedural requirements.
    • The Board held a public hearing pursuant to proper notice.
    • The Board heard numerous statements from concerned parties.
    • A petition signed by eighty-eight persons favored the rezoning.
    • The Board considered alternatives, including attempts to resolve the problem short of rezoning (removing a grain dryer, planting trees, placing canvas covers, discussing dust/noise reduction with the EPA).
    • The Board made its final decision "only after what appears to have been a thorough consideration of the merits."

Don't confuse: The Court of Appeals thought the outcome was a "foregone conclusion," but the Supreme Court found "the record simply does not reveal as much." The Board's deliberative process demonstrated independent judgment.

✅ The Court's conclusion

  • "We find that the Board engaged here, not in illegal contract zoning, but in valid conditional use zoning."
  • The Board neither entered into a bilateral agreement nor abandoned its place as the independent decision-maker.
  • The rezoning was therefore valid.

🗳️ The dissent's view

🗳️ Justice Mitchell's position

  • The dissent argued that "the zoning amendment and conditional use permit in this case amounted to written acceptance by Guilford County of Clapp's offer—by written application—to use his property only in certain ways."
  • This constituted illegal "contract zoning."

📅 Statutory authority argument

  • The dissent believed Guilford County lacked authority to engage in conditional use zoning in 1982.
  • The General Assembly amended statutes effective July 4, 1985, to expressly authorize local governments to establish conditional use districts.
  • The dissent interpreted this as a departure from prior law: "Prior to that enactment, units of local government did not have such authority."
  • The majority's policy arguments about flexibility were irrelevant if the authority did not exist at the time.

Note: The majority did not address this statutory timing argument in detail, focusing instead on distinguishing conditional use zoning from contract zoning conceptually.

12

Nonconforming Uses

3.8. Nonconforming Uses

🧭 Overview

🧠 One-sentence thesis

Nonconforming uses are constitutionally protected vested property rights that may be intensified (more frequent use of the same kind) but not expanded (changed in nature or character), and they may be eliminated only through reasonable amortization periods or actual discontinuance/abandonment as defined by ordinance.

📌 Key points (3–5)

  • What a nonconforming use is: a lawful use of property that existed before a zoning change made that use non-permitted in the district.
  • Constitutional protection: nonconforming uses are vested property rights entitled to constitutional protection; immediate cessation would amount to confiscation.
  • How they can be eliminated: through reasonable amortization periods or through discontinuance/abandonment (typically defined as non-use for a specified period, e.g., 100 days or 12 months).
  • Common confusion—intensification vs. expansion: increasing the frequency of the same use (e.g., more nights per week, more boats rented) is a permissible intensification; changing the nature or character of the use or adding new physical facilities is a prohibited expansion.
  • Policy tension: zoning law disfavors nonconforming uses and aims to eliminate them over time, yet must respect the owner's vested property rights.

🏛️ What nonconforming uses are and why they exist

🏛️ Definition and origin

Nonconforming use: any lawful use of a structure or land that does not conform to the applicable use regulations of the district in which it is located (Baltimore City Zoning Code § 13-101(c)).

  • A valid nonconforming use is established when a property owner can show that before and at the time a new zoning ordinance was adopted, the property was being used in a then-lawful manner for a use that later legislation made non-permitted.
  • Example: A property used as a multi-family dwelling since 1951 becomes nonconforming when the area is rezoned for single-family residential use only.

🛡️ Why nonconforming uses were allowed

  • Historically, zoning ordinances allowed existing lawful uses to continue even after zoning changes because:
    • Requiring immediate cessation was thought harsh and unreasonable.
    • It would deprive owners of property rights out of proportion to public benefits.
    • It might be unconstitutional.
    • Strong opposition could have jeopardized the adoption of any zoning at all.
  • Originally, nonconforming uses were not seen as serious problems; planners expected them to be few and to disappear naturally over time.

⚖️ Constitutional protection vs. policy disfavor

⚖️ Vested property right

  • Nonconforming uses are vested rights entitled to constitutional protection.
  • The excerpt quotes Amereihn v. Kotras: if a factory exists and the area is later zoned residential, applying the new regulations to the factory would "cease to exist, and the zoning regulation would have the effect of confiscating such property and destroying a vested right therein of the owner. Manifestly this cannot be done, because it would amount to a confiscation of the property."
  • Example: A light manufacturing plant operating lawfully before residential zoning was imposed cannot be immediately shut down; doing so would be confiscation.

🚫 Policy against nonconforming uses

  • Despite constitutional protection, nonconforming uses are not favored in zoning law.
  • The fundamental problem facing zoning is the inability to eliminate nonconforming uses.
  • The "earnest aim and ultimate purpose of zoning was and is to reduce nonconformance to conformance as speedily as possible with due regard to the legitimate interests of all concerned" (Grant v. Mayor and City Council of Baltimore).
  • Zoning ordinances and regulations concerning nonconforming uses must be strictly construed to effectuate the purpose of eliminating them.
  • Don't confuse: the law protects the existing nonconforming use but seeks to prevent its expansion and to phase it out over time.

🔚 How nonconforming uses can be eliminated

⏳ Amortization

  • Amortization means requiring the termination of a nonconforming use over a reasonable period of time.
  • The validity of an amortization period depends on its reasonableness, determined case-by-case.
  • An amortization period is presumed valid; the owner must carry the heavy burden of overcoming that presumption by demonstrating that the loss suffered is so substantial that it outweighs the public benefit.
  • Factors to consider:
    • Length of the period in relation to the investment.
    • Nature of the use (structure vs. activity).
    • Nature of the business.
    • Improvements erected on the land.
    • Character of the neighborhood.
    • Detriment caused to the property owner.
  • Typically, the period is measured by whether owners had adequate time to recoup their investment; while they need not recoup it entirely, the period should not be so short as to result in substantial loss.
  • Example: A five-year amortization period to remove nonconforming billboards was held valid in Grant.

🚪 Discontinuance or abandonment

  • Discontinuance/abandonment focuses on whether the owner failed to use the property in the nonconforming manner for a specified period (e.g., 100 consecutive days in Red Bank, 12 consecutive months in Baltimore City).
  • Abandonment under ordinances typically does not require proof of the owner's intent to abandon; it is determined by actual non-use for the specified period.
  • The discontinuance must be active and actual; merely failing to obtain a license does not constitute abandonment if the property continues to be used in the nonconforming manner.
  • Example: In City of Red Bank v. Phillips, a multi-family dwelling was completely vacant for approximately 20 months (exceeding the 100-day threshold), resulting in loss of grandfathered protection.
  • Don't confuse: if the discontinuance is involuntary (e.g., due to a government injunction), the nonconforming use may not be deemed abandoned; intent matters only when some force outside the owner's control prevents continued use.

🔍 Voluntary vs. involuntary discontinuance

  • If discontinuance is purely involuntary (e.g., caused by a court injunction), the ordinance may not apply, and intent to abandon becomes relevant.
  • Example: In Boles v. City of Chattanooga, an adult-oriented establishment was closed by injunction for more than 100 days; the court held that the failure to maintain the nonconforming use was due to the injunction, not the owner's intent, so abandonment did not occur.
  • Conversely, if nothing prevents the owner from continuing the use (e.g., simply failing to find tenants), the discontinuance is voluntary and abandonment occurs after the specified period.
  • Example: In Toles v. City of Dyersburg, nothing prevented the prior owners from renting out units; the cessation was voluntary, so the nonconforming use was lost.

🔄 Intensification vs. expansion: the key distinction

🔄 What intensification means

  • Intensification: increasing the frequency or amount of the same nonconforming use without changing its nature or character.
  • Intensification is permissible under Maryland law (and similar jurisdictions) even though nonconforming uses are disfavored.
  • The excerpt defines intensification as "the more frequent present use of property for the same or a similar use than that for which it had been used less frequently theretofore" (Feldstein v. LaVale Zoning Board).
  • Example: A stadium used infrequently for football games before rezoning may be used more frequently for baseball games after rezoning; this is intensification, not expansion (Green v. Garrett).
  • Example: A garage that parked a few cars before rezoning may park many more cars after rezoning; this is intensification (Nyburg v. Solmson).
  • Example: A marina that rented seven rowboats may rent more rowboats; this is intensification (Jahnigen v. Staley).

🚫 What expansion means (and is prohibited)

  • Expansion: changing the nature or character of the nonconforming use, or adding new physical facilities or services not present before the zoning change.
  • Expansion is prohibited by zoning ordinances (e.g., Baltimore City Zoning Code § 13-406).
  • Example: Constructing a new pier at a marina or offering services other than those already present before the ordinance would be an invalid expansion (Jahnigen v. Staley).
  • Example: Stacking junk higher than before is intensification (more of the same use), not expansion (Feldstein v. LaVale Zoning Board).

⏰ Temporal intensification: increasing days or hours

  • The key question in Trip Associates v. Mayor and City Council of Baltimore was whether increasing the number of nights per week that adult entertainment was presented (from two to more nights) was intensification or expansion.
  • The Board of Municipal and Zoning Appeals had limited the nonconforming use to two nights per week based on testimony about past use.
  • The Court of Appeals of Maryland held that increasing the frequency (number of nights) of the same use is intensification, not expansion.
  • The court rejected the intermediate appellate court's distinction that only non-temporal increases (e.g., more business within existing hours) count as intensification; temporal increases (more days or hours) are also intensification if the nature and character of the use remain unchanged.
  • Example: Going from infrequent baseball games to games for much of the year is intensification (Green v. Garrett).
  • Don't confuse: increasing the frequency of the same activity (more nights of adult entertainment) is intensification; changing the type of activity (e.g., from a nightclub to a different kind of business) would be expansion.

📋 Summary table: intensification vs. expansion

AspectIntensification (permitted)Expansion (prohibited)
DefinitionMore frequent use of the same kindChange in nature or character of use
ExamplesMore nights per week, more boats rented, more cars parked, more games playedAdding new physical structures, offering new services, changing to a different type of business
Key testNature and character of use unchanged; substantially the same facilities usedNature or character changes; new facilities or services added
PolicyTolerated despite disfavor of nonconforming usesStrictly prohibited to prevent perpetuation and expansion

📂 Case examples illustrating the principles

📂 City of Red Bank v. Phillips (Tennessee, 2007)

  • Facts: Property used as a three-apartment rental since 1951; area later zoned single-family residential. Property became completely vacant for approximately 20 months (from July 2003 to April 2005). New owner purchased in July 2005 and sought to continue multi-family use.
  • Ordinance: Non-conforming use discontinued for 100 consecutive days results in abandonment; every future use must conform.
  • Holding: The 20-month vacancy constituted discontinuance exceeding 100 days; grandfathered protection was lost. The failure to lease was voluntary (nothing prevented leasing), so abandonment occurred.
  • Key point: Lack of tenants for the specified period = discontinuance, even if the owner intended to resume the use later.

📂 Suffolk Asphalt Supply v. Board of Trustees (New York, 2009)

  • Facts: Asphalt plant operating since 1945; became nonconforming in 1985. Local law adopted in 2000 required termination within one year unless owner applied for extension (maximum five years). Owner applied; ZBA granted maximum extension to July 2, 2005. Owner challenged the amortization period as unreasonably short.
  • Holding: Summary judgment for owner denied. Whether the amortization period was reasonable is a question of fact; owner failed to submit evidence of actual investment, so a factual question remained.
  • Key point: Amortization periods are presumed valid; owner must prove substantial loss outweighing public benefit. Reasonableness depends on all facts, including investment, nature of use, and time to recoup investment.

📂 Trip Associates v. Mayor and City Council of Baltimore (Maryland, 2006)

  • Facts: Nightclub with adult entertainment operating since 1979 (five nights/week initially, reduced to two nights/week by 1983). Adult entertainment became nonconforming in 1994. City sought to limit use to two nights per week based on testimony about use when it became nonconforming.
  • Holding: Increasing the number of nights per week that adult entertainment is presented is intensification, not expansion. The nature and character of the use (adult entertainment nightclub) remains the same; only the frequency increases. Temporal intensification (more days or hours) is permissible, just like non-temporal intensification (more business within existing hours).
  • Key point: "More frequent present use of property for the same or a similar use than that for which it had been used less frequently theretofore" is intensification, whether the increase is in days/hours or in volume within existing hours.

📂 Green v. Garrett (Maryland, 1948)

  • Facts: Baltimore Stadium used infrequently for football and other events before 1931 rezoning (residential). After 1944, used much more frequently for professional baseball games.
  • Holding: More frequent use of the stadium for professional sports (baseball instead of infrequent football) is not an extension of the nonconforming use; it is intensification. The use of the property remains the same (professional sports/entertainment).
  • Key point: The fact that the players are now paid (professional vs. amateur) does not change the nature of the use; the property is still used for the same purpose.

📂 Nyburg v. Solmson (Maryland, 1954)

  • Facts: Garage built in 1920 for parking cars; area rezoned residential in 1931. In 1950, open space in front of garage used to store many more new cars than before. Board restricted use to no more than ten vehicles at a time.
  • Holding: Restriction struck down. Storing more cars is intensification, not expansion. The use (parking and storage of vehicles) remains the same; only the quantity increased.
  • Key point: Increasing the quantity of the same activity within the same physical space is intensification.

📂 Jahnigen v. Staley (Maryland, 1967)

  • Facts: Marina property used for boat rental since 1946; rezoned agricultural in 1949. Owner sought to increase number of rowboats rented. Court also addressed physical expansions (new pier, new services).
  • Holding: Physical expansions (new pier, new services) are invalid extensions. However, increasing the number of rowboats rented is intensification, not extension. Intensification is permissible so long as the nature and character of the use is unchanged and substantially the same facilities are used.
  • Key point: This case clarifies the test: nature and character unchanged + same facilities = intensification; new facilities or services = expansion.

📂 Feldstein v. LaVale Zoning Board (Maryland, 1967)

  • Facts: Junkyard operating since 1939; area later rezoned residential. Owner stacked scrap metal higher than could be concealed by required screening. Zoning board alleged unlawful expansion.
  • Holding: Stacking junk higher is intensification, not extension. The use (junkyard) remains the same; only the quantity and height increased. "The more frequent present use of property for the same or a similar use than that for which it had been used less frequently theretofore" is intensification.
  • Key point: Increasing the volume or intensity of the same activity is intensification, even if it makes the nonconforming use more visible or objectionable.

🧩 Practical implications and recurring issues

🧩 Burden of proof in amortization cases

  • Amortization periods are presumed valid.
  • The property owner bears the heavy burden of proving that the loss is so substantial that it outweighs the public benefit.
  • Owner must submit evidence of actual investment, time needed to recoup, and other relevant factors.
  • Don't confuse: the owner need not prove they can recoup the entire investment, but the period must not be so short as to cause substantial loss.

🧩 Intent vs. actual use in abandonment

  • Under most ordinances, abandonment is determined by actual non-use for the specified period, not by the owner's subjective intent.
  • Intent becomes relevant only when some force outside the owner's control (e.g., injunction, natural disaster) prevents use.
  • Example: Keeping utilities on or maintaining separate units does not prevent abandonment if the property is not actually used in the nonconforming manner for the specified period.
  • Don't confuse: "intent to abandon" is not the same as "intent to resume"; even if the owner always intended to resume the nonconforming use, actual non-use for the specified period results in abandonment.

🧩 Strict construction in favor of property owner

  • Zoning ordinances are in derogation of common law (they deprive owners of uses that might otherwise be lawful).
  • Therefore, courts must strictly construe zoning ordinances in favor of the property owner.
  • However, this does not mean nonconforming uses can be expanded; it means ambiguities are resolved in favor of the owner, and the owner's vested rights are protected.

🧩 Distinguishing residential from commercial/industrial uses

  • The Tennessee statute (Tenn. Code Ann. § 13-7-208) protects only "industrial, commercial or business establishment[s]."
  • Use of property for human habitation is generally classified as "residential," not commercial, even if someone profits from it (e.g., rental apartments).
  • Therefore, the statute did not apply in City of Red Bank v. Phillips; only the local ordinance applied.
  • Don't confuse: renting out residential units is still a residential use, not a commercial use, for purposes of statutory protection.
13

Vested Rights

3.9. Vested Rights

🧭 Overview

🧠 One-sentence thesis

A property owner's right to develop under existing zoning ordinances vests at a specific point in the development process, protecting the owner from retroactive application of new zoning laws, but the timing and extent of that vesting depends on what steps the developer has actually taken before the law changes.

📌 Key points (3–5)

  • When rights vest: In most jurisdictions, vesting requires substantial construction or expenditure; merely filing a permit application is usually not enough.
  • The Indiana rule (Lutz): No vested rights exist "where no work has been commenced, or where only preliminary work has been done without going ahead with the construction of the proposed building."
  • The permit-application question: Courts disagree on whether filing a complete building permit application alone creates vested rights, or whether actual construction/substantial expenditure is required.
  • Common confusion: Having a state permit does not substitute for local approval—compliance with one agency's requirements does not equal compliance with another's.
  • Scope of vesting: Even where some vested rights exist (e.g., for buildings with filed permits), they may not extend to an entire development plan if permits were not filed for all phases.

🏗️ The core vesting principle

🏗️ What vesting protects

Vested rights: rights that have become fixed and cannot be disturbed or destroyed by a retroactive change in law.

  • Zoning ordinances are "subject to any vested rights" acquired before the ordinance's enactment.
  • The principle protects property owners from having the rules change mid-project.
  • Why it matters: Without vesting protection, governments could enact new restrictions after a developer has committed resources, effectively taking property without due process.

⚖️ Constitutional foundation

  • Vesting implicates the Due Process and Takings Clauses of the Fifth Amendment (applicable to states through the Fourteenth Amendment).
  • A nonconforming use that lawfully existed before a zoning ordinance generally may not be terminated by the new ordinance.
  • Terminating a vested right without compensation would be "a taking of property without due process of law and as an unreasonable exercise of police power."

🔨 When do rights vest? The construction requirement

🔨 The majority rule: actual construction or substantial expenditure

  • Most courts hold that vesting requires "(1) relying in good faith, (2) upon some act or omission of the government, (3) … [making] substantial changes or otherwise committed himself to his substantial disadvantage prior to a zoning change."
  • The Indiana standard (Lutz v. New Albany): "Where no work has been commenced, or where only preliminary work has been done without going ahead with the construction of the proposed building, there can be no vested rights."
  • Structures "in the course of construction" at the time of the new ordinance are exempt from its restrictions.

📋 What preliminary steps are not enough

In Lutz, the developer had:

  • Acquired real estate under an option agreement
  • Secured a mortgage commitment
  • Entered into a lease agreement with a petroleum company to operate the future station
  • Had the seller demolish a house and clear the lots

Result: No vested rights, because no construction of the service station itself had begun.

💰 Example of substantial expenditure (contrast case)

In a Missouri case (Hendrickson), a utility company had:

  • Acquired land
  • Entered into a construction contract
  • Begun work by contractors
  • Spent or committed over $64,000 plus land cost

Result: Vested rights established because "a portion of the structure" was completed and the utility had "obligated itself to a great extent of money" before the zoning change.

Don't confuse: Preliminary planning and contracts ≠ substantial construction. The key is whether actual building work has commenced.

📄 The permit-application debate

📄 Does filing a permit create vested rights?

Two lines of cases give conflicting answers:

ApproachRuleRationale
Lutz line (majority)Filing a building permit alone does not vest rights; construction must beginPermit filing is a preliminary step that must be done before work starts, so it cannot itself create vesting
Knutson line (minority)Filing a complete permit application vests the right to have it processed under the law in effect at filingRetroactive application of a new ordinance to a pending application deprives the owner of rights under the ordinance in effect when applied

🔄 Indiana overrules Knutson for building permits

In Pinnacle Media, the Indiana Supreme Court held:

  • "If 'there can be no vested rights' where 'no work has been commenced,' then in logic, the filing of a building permit—an act that must be done before any work is commenced—cannot alone give rise to vested rights."
  • Knutson's suggestion that having a building permit on file creates a vested right is overruled (at least for building permits).
  • The court noted this aligns Indiana with "most jurisdictions": "a zoning regulation may be retroactively applied to deny an application for a building permit, even though the permit could have been lawfully issued at the time of application."

🚫 State permits do not substitute for local permits

In Pinnacle Media:

  • Pinnacle had filed applications with the state (INDOT) and received state approvals.
  • Pinnacle argued state approval immunized it from the city's zoning change.
  • Court's holding: "Compliance with one agency's or level's requirements simply does not constitute compliance with another's."
  • State approval was "in addition to, and not a substitute for, local approval."
  • Common experience: "permits and approvals from different agencies and levels of government are often required for a single project."

Don't confuse: Meeting state requirements ≠ meeting local requirements. Each jurisdiction's approval is independent.

🗂️ Scope of vesting: entire project vs. filed permits

🗂️ Does vesting extend beyond filed permits?

In Pinnacle Media:

  • Pinnacle filed applications for 10 billboards (initially 15).
  • It argued vesting covered all 10 (or 15) billboards in its plan.
  • Court's analysis: This is a nonconforming use case, properly analyzed under Lutz.
  • At the time of the zoning change, "no construction of any kind had proceeded on the 10 billboards."
  • Pinnacle "does not present us with any argument that it made construction expenditures before the enactment of the zoning ordinance change."
  • Result: No vested rights in the 10 billboards.

🏞️ The Washington approach: phased development

Valley View v. Redmond (Washington) took a different approach:

  • Valley View filed five building permit applications but not for the remaining seven buildings in its site plan.
  • The court held Valley View had vested rights in the five buildings for which it filed permits (applying an exception where the city frustrated the permit process).
  • Question: Did vesting extend to the remaining seven buildings for which no permits were filed?
  • Majority: Yes—the entire 26.71-acre parcel must remain zoned light industrial, because building the five permitted buildings would make agricultural use of the remaining land infeasible, so the rezone "bears no relationship to the public interest."
  • Dissent: No—"Valley View did not spend any money at all to prepare building permits for the last seven structures," and vesting should be limited to the five buildings with filed permits.

Don't confuse: The Washington majority's approach is unusual. It effectively rezoned the entire parcel based on the impact of five buildings, even though no permits were filed for the other seven. The dissent criticized this as a "flagrant violation of the separation of powers doctrine" because rezoning is a legislative function.

🛑 The Parkridge exception: government frustration

🛑 When incomplete permits may still vest rights

Parkridge v. Seattle created a "limited exception" to the completeness requirement:

  • General rule: A building permit application must be "sufficiently complete" to vest rights.
  • Exception: Rights may vest despite an incomplete application if:
    1. The developer diligently and in good faith attempted to complete the application
    2. Government officials explicitly frustrated the developer's attempts
    3. As a result, the application remained incomplete

🔍 Application in Valley View

The trial court found all three Parkridge elements present:

  • Valley View "diligently and in good faith attempted to obtain building permits"
  • Redmond officials "explicitly frustrated Valley View's attempts"
  • As a result, Valley View's applications were incomplete

Result: Valley View had vested rights in the five buildings despite incomplete applications.

Don't confuse: This exception is narrow—it applies only where the government's own conduct prevented completion. Ordinary delays or the developer's own failure to complete the application do not trigger the exception.

📊 Practical implications

📊 What developers must do

To establish vested rights under the majority rule:

  • Not enough: Acquiring land, securing financing, entering contracts, filing permit applications, or doing site preparation work.
  • Required: Commencing actual construction of the proposed building or making substantial expenditures in reliance on permits.
  • Timing: Construction/expenditure must occur before the zoning change takes effect.

📊 What governments may do

  • Enact zoning changes that apply retroactively to projects where construction has not yet begun.
  • Deny building permit applications filed before a zoning change if no construction has commenced.
  • Require compliance with new ordinances even if the developer has invested in planning, permits, or preliminary work.

Exception: Governments may be estopped from applying new rules if they frustrated the developer's good-faith efforts to complete the permit process (Parkridge).

⏱️ Time limits on vested rights

  • Even where vested rights exist, they do not last "in perpetuity."
  • Building permits typically include time limits (e.g., 12 months in Redmond; 180 days renewable for another 180 days in the Uniform Building Code).
  • If construction does not proceed within the time limit, the vested right may lapse.
14

Neighbor Consent Provisions

3.10. Neighbor Consent Provisions

🧭 Overview

🧠 One-sentence thesis

Neighbor consent provisions—which require approval from a percentage of nearby property owners before certain land uses may proceed—are constitutionally valid only when they waive an existing restriction rather than delegate unfettered legislative power to private parties without standards or legislative review.

📌 Key points (3–5)

  • What neighbor consent provisions do: they condition the approval of certain land uses (e.g., livery stables, rezoning) on written consent from a specified percentage of neighboring property owners.
  • The constitutional line: consent provisions that allow neighbors to waive an existing prohibition are valid; those that give neighbors power to create restrictions without standards or legislative override are unconstitutional delegations of legislative power.
  • Common confusion: distinguishing consent statutes (requiring neighbor approval before an ordinance takes effect) from protest statutes (allowing neighbors to block an ordinance after adoption); the two operate differently and face different constitutional tests.
  • Why it matters: these provisions affect whether property owners can use their land as zoned, and courts must ensure that private parties do not exercise legislative power arbitrarily or without public accountability.
  • Federal vs. state limits: even where state constitutions permit referendums on land-use decisions, federal due process and equal protection principles constrain how and when neighbor consent or voter approval may block development.

🏛️ The constitutional framework

🏛️ Legislative power cannot be delegated

The constitutional maxim: legislative power vested in the legislature (or municipal council) cannot be delegated to any other body or authority.

  • The legislature may grant municipalities power to regulate land use (e.g., "direct the location and regulate the use and construction of livery stables").
  • But municipalities, like the legislature, cannot hand that power to private parties without retaining ultimate control.
  • Why this matters: if neighbors can block or permit land uses solely based on their own interests or whims, the public's interest—which zoning is meant to serve—is subordinated to private preference.

🏛️ When delegation is permissible

The excerpt describes two permissible scenarios:

  1. Contingent operation: the legislature (or council) enacts a complete law, but its operation depends on a factual contingency (e.g., neighbor consent). The law itself is fully formed; neighbors merely trigger or waive its application.
  2. Execution, not enactment: neighbors are given discretion over executing an existing law (e.g., consenting to waive a prohibition), not over making the law in the first place.

Example: An ordinance prohibits livery stables in residential blocks but allows them if a majority of lot owners consent. The prohibition is the law; neighbors can waive it for their block. This is valid because the council enacted the rule, and neighbors only decide whether to insist on its enforcement in their immediate area.

🏛️ When delegation is unconstitutional

If a provision allows neighbors to impose or create restrictions without:

  • Standards or guidelines for how they exercise that power, and
  • Legislative review or override (a bypass mechanism),

then it is an unlawful delegation.

Example: A statute allows 40% of neighboring property owners to file a written protest that permanently blocks a rezoning ordinance, with no opportunity for the city council to override the protest. This gives a minority of private parties final say over public land-use policy, which is arbitrary and violates due process.


🔍 Distinguishing consent vs. protest statutes

🔍 Consent statutes

  • When they operate: before an ordinance is adopted or takes effect.
  • What they require: written consent from a specified percentage of neighbors as a prerequisite to enacting or implementing a land-use decision.
  • Validity: valid if they allow neighbors to waive an existing restriction (e.g., "you may build a stable here if neighbors consent"), but invalid if they give neighbors power to create new restrictions without standards.

🔍 Protest statutes

  • When they operate: after an ordinance is adopted.
  • What they allow: neighbors file a written protest to block the ordinance from taking effect.
  • Validity: typically require a legislative override provision (e.g., a supermajority vote by the council) to be constitutional. Without such a bypass, the protest becomes a final veto by private parties, which is an unlawful delegation.

Don't confuse: The timing (before vs. after adoption) and the presence of a legislative bypass are key. A consent provision that operates before adoption may still be valid if it waives a restriction; a protest provision that operates after adoption is invalid if it gives neighbors the final word without any legislative review.

FeatureConsent statuteProtest statute
TimingBefore ordinance takes effectAfter ordinance is adopted
MechanismNeighbors must affirmatively consentNeighbors file written protest to block
Validity testValid if waiving existing restriction; invalid if creating new restriction without standardsInvalid without legislative override provision
Example"Stable permitted if majority of neighbors consent""Adopted rezoning blocked if 40% of neighbors protest"

📜 Case illustrations

📜 City of Chicago v. Stratton (1896)

Facts: An ordinance prohibited livery stables in residential blocks unless owners of a majority of lots consented in writing. Defendants operated a stable without obtaining consent.

Holding: The ordinance is valid. It does not delegate legislative power; it creates a general prohibition and allows neighbors to waive it for their block.

Reasoning:

  • The ordinance is complete as enacted: it prohibits stables in residential blocks.
  • Neighbors do not make the law; they only decide whether to insist on its enforcement in their immediate vicinity.
  • The consent requirement affects execution of the ordinance, not its enactment.
  • Livery stables can be nuisances in residential areas; those most affected (nearby residents) may reasonably waive the prohibition if they choose.

Key quote: "The provision in reference to the consent of the lot owners affects the execution of the ordinance, rather than its enactment."

Don't confuse: This is not a blank check for neighbors to regulate as they please. The ordinance itself sets the rule (no stables in residential blocks); neighbors only waive it. If the ordinance had said "neighbors may permit or prohibit stables as they see fit," that would be an invalid delegation.


📜 Eubank v. City of Richmond (1912)

Facts: An ordinance allowed two-thirds of property owners on a street to petition the city to establish a building setback line (5–30 feet from the street). Once established, all owners on that block had to comply. Plaintiff's building violated the line established by his neighbors' petition.

Holding: The ordinance is unconstitutional. It delegates legislative power to private parties without standards or public justification.

Reasoning:

  • The ordinance gives neighbors power to create restrictions (the setback line), not merely to waive an existing one.
  • No standards govern how neighbors exercise this power: they may act "solely for their own interest or even capriciously."
  • "Taste (for even so arbitrary a thing as taste may control) or judgment may vary" from block to block, resulting in inconsistent and arbitrary restrictions.
  • One set of property owners determines "not only the extent of use but the kind of use which another set of owners may make of their property."
  • There is no legislative review or override; the neighbors' decision is final.

Key quote: "One set of owners determine not only the extent of use but the kind of use which another set of owners may make of their property. In what way is the public safety, convenience or welfare served by conferring such power?"

Don't confuse: This case does not invalidate all neighbor consent provisions. The problem here is that neighbors impose a new restriction (the setback line) without any standards, and the city has no discretion to review or override their decision.


📜 Cary v. City of Rapid City (1997)

Facts: South Dakota law (SDCL 11-4-5) allowed 40% of neighboring property owners to file a written protest after a rezoning ordinance was adopted. If filed, the ordinance "shall not become effective." No legislative override was provided. Plaintiff's property was rezoned to allow residential development, but neighbors filed a protest, blocking the rezoning.

Holding: SDCL 11-4-5 is unconstitutional. It is a protest statute that delegates legislative power to private parties without standards or a legislative bypass.

Reasoning:

  • The statute is a protest statute (not a consent statute) because it operates after the ordinance is adopted.
  • It provides no standards or guidelines for filing a protest: neighbors may block a rezoning "without reason or justification."
  • It provides no legislative review or override: once the protest is filed, the ordinance "shall not become effective." The decision is final.
  • This allows "a potentially small number of neighboring property owners to make the ultimate determination of the public's best interest," which is the legislature's role, not private parties'.
  • The statute violates due process because it allows "the use of a person's property to be held hostage by the will and whims of neighboring landowners."

Key quote: "The ultimate determination of the public's best interest is for the legislative body, not a minority of neighboring property owners."

Don't confuse: The court distinguished this from traditional protest statutes, which require a supermajority vote by the legislative body to override the protest. Here, there was no override mechanism at all.


📜 Buckeye Community Hope Foundation v. City of Cuyahoga Falls (Ohio 1998, U.S. 2003)

Facts: A nonprofit developer obtained city council approval for a low-income housing site plan. Residents filed a referendum petition under the city charter, which allowed voters to "approve or reject at the polls any ordinance or resolution passed by the Council." The referendum was placed on the ballot, and the city refused to issue building permits while the referendum was pending. The Ohio Supreme Court later held that the referendum was unconstitutional under state law because it applied to an administrative (not legislative) act.

Ohio Supreme Court holding (1998): The referendum is unconstitutional under the Ohio Constitution. Section 1f, Article II of the Ohio Constitution grants referendum powers only for "legislative action," not administrative action. Approving a site plan pursuant to existing zoning is administrative, not legislative.

Reasoning:

  • The test: does the action create a law, or execute an existing law? If the latter, it is administrative.
  • The ordinance approving the site plan merely applied existing zoning regulations to the developer's plan. It did not enact a new zoning rule.
  • Allowing referendums on every administrative decision would create "chaos and instability": "The unpopular development, the disfavored contract with a school principal, the neighbor's new garage approval, or any other decision could be subject to voter disapproval."
  • The Ohio Constitution limits referendums to legislative acts; the city charter cannot expand that power beyond constitutional limits.

U.S. Supreme Court holding (2003): The developer's federal equal protection and due process claims fail.

Reasoning:

  • Equal protection: The city's submission of the referendum to voters was a ministerial act required by the charter. Statements by private citizens supporting the referendum do not constitute state action. The city did not enact the referendum (it never took effect), so discriminatory voter sentiment cannot be attributed to the city.
  • Due process: Refusing to issue building permits while the referendum was pending was rational, because the charter prohibited the ordinance from taking effect until the referendum was resolved. As a matter of federal constitutional law, referendums may be used for administrative as well as legislative matters (Eastlake v. Forest City Enterprises).

Key quote (Ohio): "The ultimate determination of the public's best interest is for the legislative body, not a minority of neighboring property owners."

Key quote (U.S.): "Provisions for referendums demonstrate devotion to democracy, not to bias, discrimination, or prejudice."

Don't confuse: The Ohio Supreme Court's holding is based on state constitutional limits on referendums (legislative vs. administrative). The U.S. Supreme Court's holding is based on federal constitutional limits (equal protection and due process). The two courts reach different conclusions because they apply different constitutional provisions.


⚖️ Validity tests and standards

⚖️ When is a neighbor consent provision valid?

A neighbor consent provision is valid if:

  1. It waives an existing restriction, rather than creating a new one.

    • Example: "Livery stables are prohibited in residential blocks, unless a majority of neighbors consent." (Valid: neighbors waive the prohibition.)
    • Counterexample: "Neighbors may establish a building setback line anywhere from 5 to 30 feet." (Invalid: neighbors create a new restriction.)
  2. The underlying restriction serves a legitimate public purpose (e.g., protecting residential character, preventing nuisances).

  3. Neighbors are the primary beneficiaries of the restriction, so allowing them to waive it is reasonable.

⚖️ When is a protest provision valid?

A protest provision is valid if:

  1. It includes a legislative override mechanism: the legislative body (e.g., city council) can override the protest by a supermajority vote.

    • Example: "If 40% of neighbors protest, the ordinance requires a two-thirds council vote to take effect." (Valid: ultimate authority remains with the council.)
  2. It provides standards or guidelines for when a protest may be filed or sustained.

  3. It does not give private parties the final word on public policy.

⚖️ When is a provision unconstitutional?

A provision is unconstitutional if:

  1. It delegates legislative power to private parties without standards, allowing them to act arbitrarily or capriciously.
  2. It provides no legislative review or override, making private parties' decisions final.
  3. It allows a small number of property owners to block land uses approved by the legislative body as consistent with the public interest.

Table: Validity of neighbor consent/protest provisions

FeatureValidInvalid
FunctionWaives existing restrictionCreates new restriction
StandardsClear purpose (e.g., prevent nuisances)No standards; arbitrary
Legislative roleCouncil retains ultimate authorityPrivate parties have final say
OverrideCouncil can override protest by supermajorityNo override mechanism
Example"No stables unless neighbors consent""Neighbors may block rezoning by protest, no override"

🏗️ Practical implications

🏗️ For property owners

  • If your land use requires neighbor consent: you must obtain the required percentage of consents before proceeding. The consent requirement is valid if it waives an existing restriction (e.g., a prohibition on your proposed use in a residential zone).
  • If neighbors file a protest: check whether the statute or ordinance provides for legislative override. If not, the protest provision may be unconstitutional, and you may challenge it in court.

🏗️ For municipalities

  • Drafting consent provisions: ensure they waive existing restrictions rather than delegate power to create new ones. Provide clear standards for when consent is required and how it is obtained.
  • Drafting protest provisions: include a legislative override mechanism (e.g., a two-thirds council vote) to ensure the council retains ultimate authority.
  • Referendums: under federal law, referendums may be used for administrative as well as legislative matters (Eastlake). However, state constitutions may impose additional limits (e.g., limiting referendums to legislative acts, as in Ohio).

🏗️ For courts

  • Classify the provision: is it a consent statute (operating before adoption) or a protest statute (operating after adoption)?
  • Apply the delegation test: does the provision delegate legislative power without standards or override? If so, it is unconstitutional.
  • Consider the function: does the provision waive an existing restriction (valid) or create a new one (invalid)?
  • State vs. federal limits: state constitutions may impose stricter limits on referendums or neighbor consent than federal due process requires.

🔑 Key takeaways

🔑 The core principle

Legislative power—the power to decide what the law shall be—cannot be delegated to private parties without standards and without retaining ultimate legislative control.

🔑 The valid model

An ordinance that prohibits a land use in certain areas but allows neighbors to waive the prohibition for their block is valid. The legislature (or council) has made the policy choice (prohibition); neighbors only decide whether to insist on its enforcement in their immediate vicinity.

🔑 The invalid model

A statute that allows neighbors to block a rezoning or land-use approval by filing a protest, with no legislative override and no standards, is invalid. It gives private parties final say over public policy, which is arbitrary and violates due process.

🔑 Referendums

Under federal law, referendums may be used for administrative as well as legislative land-use decisions, and submitting a facially neutral referendum to voters does not violate equal protection or due process (absent proof that the government itself acted with discriminatory intent). However, state constitutions may impose additional limits, such as restricting referendums to legislative acts.

15

Origins of Regulatory Takings Doctrine

4.1. Origins

🧭 Overview

🧠 One-sentence thesis

The Supreme Court established that while government may regulate property use under its police power to protect public health, safety, and morals without compensation, regulation that "goes too far" in diminishing property value crosses the line into a compensable taking under the Fifth and Fourteenth Amendments.

📌 Key points (3–5)

  • Police power vs. eminent domain: States may prohibit harmful property uses (nuisances) without compensation under police power, but must compensate when taking property for public use under eminent domain.
  • The "goes too far" test: Regulation becomes a taking when the diminution in value reaches a certain magnitude, turning what should be eminent domain into uncompensated confiscation.
  • Public interest requirement: Valid police-power restrictions must serve genuine public health, safety, or morals—not merely shift private losses between neighbors or destroy property value under the guise of regulation.
  • Common confusion: Don't confuse abating a nuisance (stopping harmful use) with taking property (appropriating it for public benefit); the former requires no compensation, the latter does.
  • Balancing factors: Courts weigh the extent of value loss, the nature of the public interest, whether reciprocal advantages exist, and whether the restriction merely prevents noxious use or effectively appropriates the property.

🏛️ The foundational framework: Mugler v. Kansas (1887)

🍺 The brewery prohibition case

  • Kansas enacted statutes prohibiting the manufacture and sale of alcoholic beverages.
  • Mugler and other brewery owners had constructed their facilities when such business was lawful; the buildings and machinery became nearly worthless if not used for beer manufacturing.
  • The brewers argued that prohibiting their established use constituted taking property without due process of law under the Fourteenth Amendment.

⚖️ The Court's police-power holding

The Court upheld the prohibition without compensation, establishing core principles:

"All property in this country is held under the implied obligation that the owner's use of it shall not be injurious to the community."

  • Police power defined: The state's authority to protect public health, morals, and safety is a "governmental power, continuing in its nature" that cannot be bargained away.
  • No compensation required for nuisance abatement: Prohibiting use of property for purposes declared injurious to the public "cannot, in any just sense, be deemed a taking or an appropriation of property for the public benefit."
  • Distinguishing features: The statute does not disturb the owner's control for lawful purposes, nor restrict the right to dispose of property—it only declares certain uses prejudicial to public interests.

🚫 What does not constitute a taking

The Court rejected several arguments:

  • Loss of value alone: That the brewery becomes less valuable when prohibited from making beer does not make the prohibition a taking.
  • Reliance on prior law: The fact that the business was lawful when established creates no vested right; the state gave no assurance its legislation would remain unchanged.
  • Investment-backed expectations: Even substantial investment in property designed for a now-prohibited use does not entitle the owner to compensation.

Example: If an organization builds a facility specifically for manufacturing a product, and the state later prohibits that product to protect public health, the organization cannot claim compensation merely because the facility loses most of its value.

🔄 Don't confuse: eminent domain vs. police power

The Court distinguished Pumpelly v. Green Bay Co. (permanent flooding case):

Eminent domain (compensation required)Police power (no compensation)
Physical invasion/appropriation of propertyProhibition of harmful use
Property devoted to public useProperty remains with owner
"Permanent flooding," "practical ouster"Restriction on how owner may use it
  • Pumpelly involved the government effectively taking land by flooding it for navigation improvements—a public use requiring compensation.
  • Mugler involved only prohibiting a use deemed harmful—the property stayed with the owner for other lawful purposes.

⚠️ The Court's limiting principle

The majority acknowledged one boundary:

Legislation cannot come within the Fourteenth Amendment "unless it is apparent that its real object is not to protect the community, or to promote the general well-being, but, under the guise of police regulation, to deprive the owner of his liberty and property, without due process of law."

  • If the stated public-interest justification is pretextual, the regulation may be unconstitutional.
  • But the Court gives "the greatest weight" to the legislature's judgment about what threatens public welfare.

🗣️ Justice Field's dissent preview

Justice Field dissented, arguing:

  • The statute went beyond stopping harmful use to ordering destruction of already-manufactured beer and equipment (bottles, glasses) that could serve lawful purposes.
  • Abatement of a nuisance must be "limited by its necessity"—you stop the harmful use, not demolish everything associated with it.
  • The decision "reverses this principle" and permits confiscation under the label of regulation.

⛏️ The turning point: Pennsylvania Coal Co. v. Mahon (1922)

⛏️ The subsidence case

  • Pennsylvania Coal Company conveyed surface rights in 1878 but expressly reserved the right to mine all underlying coal; the deed stated the grantee "waives all claim for damages that may arise from mining out the coal."
  • In 1921, Pennsylvania enacted the Kohler Act, forbidding mining that would cause subsidence of any structure used as a human habitation.
  • The homeowners sought to prevent the company from mining under their house, invoking the new statute.
  • The company argued the statute destroyed its contractual and property rights.

📏 Justice Holmes's "goes too far" rule

Holmes, writing for the majority, introduced the regulatory takings doctrine:

"Government hardly could go on if to some extent values incident to property could not be diminished without paying for every such change in the general law… But obviously the implied limitation must have its limits, or the contract and due process clauses are gone."

"The general rule at least is, that while property may be regulated to a certain extent, if regulation goes too far it will be recognized as a taking."

Key factors in the analysis:

  1. Extent of diminution: "When it reaches a certain magnitude, in most if not in all cases there must be an exercise of eminent domain and compensation."
  2. Nature of the public interest: Here, only a "single private house"—not a broad public concern.
  3. Degree of taking: The statute "purports to abolish what is recognized in Pennsylvania as an estate in land—a very valuable estate."

🔍 Why this regulation went too far

Holmes identified several problems:

  • Limited public interest: The statute ordinarily did not apply when surface and coal were owned by the same person, showing the "public interest" was narrow.
  • Not about safety: Safety could be secured by notice (which the company had given); the real issue was property value, not danger.
  • Destroys contract rights: The deed explicitly allocated the subsidence risk to the surface owner; the statute retroactively shifted that bargained-for risk.
  • Makes mining "commercially impracticable": Pennsylvania law recognized that "the right to coal consists in the right to mine it"—prohibiting profitable mining effectively destroys the property.

Example: If Seller conveys land to Buyer but reserves mineral rights, and Buyer later persuades the legislature to prohibit extraction that might affect the surface, the legislature cannot simply nullify Seller's reserved rights without compensation—even if Buyer's house might be affected.

⚖️ Reciprocity of advantage

Holmes noted that in Plymouth Coal Co., a pillar-of-coal requirement was upheld because it secured "an average reciprocity of advantage"—both mine operators benefited from the safety rule.

  • Here, no such reciprocity existed: the coal company bore the entire burden while surface owners (who had accepted the risk by contract) received the entire benefit.
  • Don't confuse: reciprocity is relevant when assessing whether a regulation fairly distributes burdens and benefits, not whether the public generally benefits from living in a civilized society.

🚨 The constitutional warning

Holmes warned against erosion of property rights:

"The natural tendency of human nature is to extend the qualification [of property rights by police power] more and more until at last private property disappears. But that cannot be accomplished in this way under the Constitution of the United States."

"We are in danger of forgetting that a strong public desire to improve the public condition is not enough to warrant achieving the desire by a shorter cut than the constitutional way of paying for the change."

🗣️ Justice Brandeis's dissent: the noxious-use defense

Brandeis argued the majority misunderstood the police power:

"Every restriction upon the use of property imposed in the exercise of the police power deprives the owner of some right theretofore enjoyed… But restriction imposed to protect the public health, safety or morals from dangers threatened is not a taking."

Brandeis's key points:

  1. Preventing noxious use: The restriction "is merely the prohibition of a noxious use"—mining in a way that causes subsidence threatens public welfare just as releasing poisonous gases would.
  2. Relative values: "Values are relative"—the coal kept in place should be compared to the value of the whole property (surface plus subsurface), not treated as a separate estate. "The sum of the rights in the parts cannot be greater than the rights in the whole."
  3. No reciprocity required for public safety: When police power protects the public from danger (rather than conferring neighborhood benefits like drainage), there is "no room for considering reciprocity of advantage."

Example: If an organization owns land and divides it into surface rights and subsurface rights, selling them separately, the state's power to regulate harmful uses does not shrink merely because the interests are now held by different parties—the whole property remains subject to regulation.

🔄 Don't confuse: majority vs. dissent frameworks

Holmes (majority)Brandeis (dissent)
Regulation vs. taking is a matter of degreePreventing noxious use is never a taking
Extent of diminution is key factorRelative value (part vs. whole) matters
Reciprocity of advantage relevantReciprocity irrelevant for public safety
Contract rights weigh heavilyPolice power overrides private contracts
Public interest here too narrowSubsidence threatens community welfare

🌳 Refining the doctrine: Miller v. Schoene (1928)

🍎 The cedar rust case

  • Virginia's Cedar Rust Act required destruction of red cedar trees infected with a fungus that spreads to and damages apple trees (but does not harm cedars).
  • The disease is communicable only between the two species, over a radius of at least two miles; the only practical control method is destroying infected cedars.
  • The state entomologist ordered Miller to cut down ornamental cedars on his property near apple orchards.
  • The statute provided $100 for removal expenses but no compensation for the value of the trees or the decrease in property value.

⚖️ The unavoidable-choice principle

Justice Stone, for a unanimous Court, upheld the uncompensated destruction:

"The state was under the necessity of making a choice between the preservation of one class of property and that of the other wherever both existed in dangerous proximity."

"It would have been none the less a choice if, instead of enacting the present statute, the state, by doing nothing, had permitted serious injury to the apple orchards within its borders to go on unchecked."

The Court's reasoning:

  • Preponderant public interest: Apple growing was a principal agricultural pursuit in Virginia, involving millions of dollars in investment and employing a large portion of the population; cedars had only occasional ornamental or lumber value.
  • Not a private conflict: "It will not do to say that the case is merely one of a conflict of two private interests"—there was "a preponderant public concern in the preservation of the one interest over the other."
  • Characteristic of police power: "Where the public interest is involved preferment of that interest over the property interest of the individual, to the extent even of its destruction, is one of the distinguishing characteristics of every exercise of the police power which affects property."

🔍 Why compensation was not required

The Court distinguished this from a taking:

  • No appropriation: "The State does not appropriate it or make any use of it. The State merely prevents the owner from making a use which interferes with paramount rights of the public."
  • Injury no more serious than in prior cases: The loss was comparable to cases upholding prohibition of brickyards, livery stables, and breweries in urban areas without compensation.
  • Not arbitrary: The choice was "controlled by considerations of social policy which are not unreasonable."

Example: If two types of property cannot coexist without one harming the other, and one has far greater public importance (employment, food supply, economic infrastructure), the state may choose to preserve the more valuable interest even if that requires destroying the other without compensation.

🚫 Rejecting the Eubank analogy

The property owners argued the statute was like the invalidated ordinance in Eubank v. Richmond, which let two-thirds of property owners on a block dictate building setbacks for the remaining third.

The Court distinguished the Cedar Rust Act:

Eubank (invalid)Cedar Rust Act (valid)
Private citizens determine the restrictionCitizens only request investigation
No official discretionState entomologist exercises discretion
Arbitrary action by private groupOfficial decision subject to judicial review
Private preference controlsPublic-interest determination required
  • The "ten or more reputable freeholders" who could request investigation did not control the outcome—the entomologist decided, after investigation, whether conditions warranted action.
  • Don't confuse: allowing citizens to petition for enforcement of a public-interest statute is different from delegating regulatory authority to private parties to advance their own interests.

📊 The three-case framework emerging

By 1928, the cases established a spectrum:

CaseRegulation upheld?Key factor
Mugler (brewery)Yes, no compensationProhibition of noxious use (alcohol) harmful to public morals and health
Pa. Coal (mining)No, compensation requiredExtreme diminution in value; narrow public interest; contractual allocation of risk
Miller (cedars)Yes, no compensationUnavoidable choice between property classes; preponderant public interest in apples

Synthesis:

  • Police power permits uncompensated prohibition of uses that threaten public health, safety, or morals.
  • But regulation that goes "too far" in destroying value, especially where the public interest is narrow or the burden falls arbitrarily on particular owners, crosses into compensable taking.
  • Where the state must choose between incompatible property uses, it may prefer the one with greater public importance without compensating owners of the disfavored use—if the choice is reasonable and not merely shifting private losses.

🧩 Conceptual tensions and unresolved questions

🤔 The degree-vs.-category problem

  • Holmes in Pa. Coal: "This is a question of degree—and therefore cannot be disposed of by general propositions."
  • But Brandeis in Pa. Coal and the Court in Miller suggest some regulations (preventing noxious use, protecting paramount public interests) are categorically not takings.
  • Unresolved: Is there a categorical rule for noxious-use prevention, or is everything a matter of balancing?

🤔 Defining "noxious use"

  • Mugler: manufacturing alcohol for sale.
  • Miller: growing cedars that harbor disease harmful to apples.
  • Pa. Coal (dissent): mining that causes subsidence.
  • Unresolved: What makes a use "noxious"—inherent danger, changed circumstances, relative harm to other interests, or legislative declaration?

🤔 The role of reciprocity

  • Holmes: reciprocity of advantage can justify regulation (as in Plymouth Coal's mutual safety rule).
  • Brandeis: reciprocity irrelevant when protecting public from danger—"the advantage of living and doing business in a civilized community" is reciprocity enough.
  • Unresolved: When must a regulation provide reciprocal benefits to those it burdens?

🤔 Whole property vs. segmented interests

  • Brandeis: "The sum of the rights in the parts cannot be greater than the rights in the whole"—dividing property into surface and subsurface doesn't multiply constitutional protections.
  • Holmes (implicitly): Pennsylvania law recognizes the coal estate as distinct property; the contract allocated rights accordingly.
  • Unresolved: Does constitutional analysis look at the whole parcel or the specific interest affected by regulation?

🤔 Preexisting contracts and vested rights

  • Mugler: no vested right to continue a once-lawful business; police power cannot be bargained away.
  • Pa. Coal: contract expressly allocated subsidence risk; statute improperly shifted that allocation.
  • Unresolved: When do private contracts limiting liability or allocating risks constrain subsequent police-power regulation?
16

Economic Analysis of "Takings" of Private Property

4.2. Theory

🧭 Overview

🧠 One-sentence thesis

Economic analysis of the takings doctrine seeks to define when government regulation of private property requires compensation by weighing efficiency gains, settlement costs, and demoralization costs, though courts have adopted these frameworks inconsistently and sometimes in ways their originators did not intend.

📌 Key points (3–5)

  • Michelman's 1967 framework: A judge should compare (1) net efficiency gains from regulation, (2) settlement costs of paying compensation, and (3) demoralization costs of not compensating—and require compensation when demoralization costs are smallest.
  • The revisionist critique: Including lost investment in "demoralization costs" sends the wrong signal; property owners should bear the risk of future regulation to avoid over-investment in improvements likely to be regulated away.
  • Common confusion—moral hazard vs. fairness: Liberal compensation may feel fair but can lead owners to over-invest inefficiently; no compensation may feel harsh but encourages efficient risk-bearing.
  • Fiscal illusion problem: Without a compensation requirement, government officials may over-regulate because they don't internalize costs—though some economists argue officials also don't reap benefits, so the direction of bias is unclear.
  • Judicial uptake is mixed: Courts have adopted some basic economic ideas (e.g., rejecting the "noxious use" exception) but often misuse technical terms like "investment-backed expectations" in ways divorced from their original economic justification.

📜 Historical and constitutional context

📜 Evolution of takings doctrine

  • Until the late 19th century, most property regulation came from states, not the federal government.
  • The Fifth Amendment's takings clause originally did not apply to states.
  • In 1897, the Supreme Court held that the Fourteenth Amendment's due process clause "incorporated" the Fifth Amendment takings clause against the states.
  • Since then, cases invoking the federal Constitution to challenge property impairments have steadily increased.

📚 Growth of academic attention

  • Before World War II, legal scholars paid little attention to takings doctrine.
  • Since the 1950s, academic writing on the issue has "mushroomed."
  • Most authors have tried to define a principled line between permissible "regulation" and impermissible (uncompensated) expropriation.
  • Economists have been prominent among those attempting this task.

🧮 Michelman's 1967 framework

🧮 The three-factor test

A judge seeking to maximize net social welfare should estimate and compare: (1) net efficiency gains from the government action, (2) settlement costs of measuring injuries and paying compensation, and (3) demoralization costs of not indemnifying affected parties.

How the test works:

  • If (1) is smallest → enjoin the action (e.g., declare it not a "public use").
  • If (2) is smallest → allow the action but require compensation.
  • If (3) is smallest → allow the action without compensation.

💔 Defining demoralization costs

Michelman's definition was "original and critical":

Demoralization costs = the dollar value needed to offset disutilities that losers and sympathizers experience from the realization that no compensation is offered, plus the present capitalized value of lost future production (from impaired incentives or social unrest) caused by demoralization.

Why this matters:

  • It includes both direct psychic harm and secondary economic effects.
  • It tries to capture the broader social cost of perceived injustice.

🏛️ Justifying existing rules

Michelman showed that seemingly simplistic Supreme Court rules have plausible utilitarian justifications:

RuleWhy it makes economic sense
Physical invasion always = takingSettlement costs are modest (easy to measure); demoralization costs are high (psychological shock, symbolic threat) → compensation is appropriate
Focus on ratio of injury to parcel valuePeople think of themselves as owning discrete things, not just net worth; losing a whole thing is specially painful and easy for tribunals to identify

Example: A cable company installing a small fixture on a building's roof may cause trivial economic harm, but the physical invasion triggers high demoralization costs because it symbolically threatens all property security.

🔄 The revisionist critique (1980s)

🔄 The moral hazard problem

Several younger scholars in the 1980s argued Michelman made a crucial mistake:

The error:

  • Michelman included diminished investment and productive activity in "demoralization costs."
  • This sends the wrong signal: if owners know they will be compensated, they will over-invest in improvements likely to be regulated away.

The correction:

Efficient activity requires that economic actors "bear all real costs and benefits of their decisions," including the risk of future legal changes.

Example: A developer who buys land in a flood plain should bear the risk that the government will later restrict development there; guaranteed compensation would encourage inefficient building in high-risk areas.

⚖️ Don't confuse: fairness vs. efficiency

  • Fairness intuition: It seems unjust to let a few landowners suffer large, uncompensated losses.
  • Efficiency concern: Compensating them encourages over-investment and misallocates resources.
  • The revisionist view is now "widely considered convincing" among economists.

🛡️ Insurance and alternative solutions

🛡️ Private takings insurance

The ideal solution:

  • Landowners would buy insurance against regulatory takings, just as they buy fire insurance.
  • Premiums would reflect the likelihood of regulation for each parcel.
  • This preserves efficient incentives: high-risk parcels pay high premiums, discouraging inefficient development.

The problem:

  • A private market in takings insurance has not developed.
  • Reasons are unclear, but the fact remains that landowners cannot currently shield themselves this way.

🏛️ Compulsory state insurance

The compromise:

  • Under non-ideal conditions (no private insurance, some owners are poor planners), governmental compensation for severe regulations may be defensible.
  • It functions as a form of compulsory, state-supplied insurance.
  • This concedes some ground from the pure efficiency position.

😟 Reconstructing demoralization costs

😟 Why psychic injuries still matter

The revisionist critique may have "gone too far":

  • Many people become unhappy when they experience or witness uncompensated severe regulations.
  • These psychic injuries (measured by willingness to pay to avoid them) must be considered when designing a welfare-maximizing takings doctrine.

🔍 Beyond political preferences

Demoralization costs include more than just the pain of witnessing perceived injustice:

Search costs:

A judicial decision denying compensation in defiance of popular perception risks undermining people's faith that the law comports with their sense of justice. Erosion of that faith would reduce people's willingness to make decisions—the rationality of which depends on legal rules—without taking the time to "look up" the rules.

Why this is efficient:

  • As long as rules are consistent with intuitions, it is efficient for people to trust their intuitions.
  • Any material reduction in that trust would create deadweight losses.

🌫️ The uncertainty problem

The challenge:

  • Determining the magnitude of demoralization costs is "very difficult."
  • One can often argue plausibly that costs will be huge—or insignificant.

Example—judicial vs. legislative takings:

  • Smaller demoralization? Courts can disguise changes; they have a reputation for objectivity; stare decisis limits anxiety about future changes.
  • Larger demoralization? Property holders may feel more distressed by a process they don't understand or control; violation of precedent may suggest social disintegration.

Barton Thompson's conclusion: The analysis is "avowedly indeterminate."

Don't confuse: Demoralization costs are clearly relevant, but their uncertainty makes economists "queasy" about relying on them heavily.

🏛️ Fiscal illusions and government incentives

🏛️ The over-regulation argument

Some economists argue that without a compensation requirement, government officials will impose inefficiently tight land-use controls:

The analogy to nuisance law:

  • Nuisance law forces each landowner to internalize the costs of her activities (smoke, noise, etc.).
  • Similarly, a just-compensation requirement should force government officials to internalize the costs of their regulatory activities.

Example: An official who doesn't have to pay for regulations may impose restrictions that cost landowners more than the public benefits gained.

🔄 Critiques of the fiscal illusion argument

Critique 1—No clear direction of bias (Kaplow):

  • Officials don't bear the costs of regulation, but they also don't reap the benefits.
  • Unlike a hyperactive private landowner, there's no reason to assume officials will over-regulate.

Critique 2—Officials may under-regulate:

  • Beneficiaries of restrictions are often dispersed and less able to lobby than affected landowners.
  • Officials typically undervalue the interests of future generations.

🔀 Alternative solutions

Alienable servitudes:

  • Instead of requiring compensation, assign the state authority to regulate without compensation—but let landowners buy exemptions from regulations.
  • The state's police power becomes an alienable servitude.
  • Under the Coase theorem (if transaction costs are low), this should produce the same efficient level of regulation as a compensation requirement.

Don't confuse: The goal is not to prevent wealth transfers, but to ensure they happen at efficient levels; the question is which institutional design achieves that.

⚖️ Impact on courts

⚖️ Successful influences

Erosion of the "noxious use" exception:

  • Early 20th century: The Supreme Court consistently ruled that forbidding harmful uses (e.g., cedar trees that spread rust to apple orchards in Miller v. Schoene) did not require compensation.
  • Economic critique: It is "senseless" to characterize one conflicting land use as the "cause" of harm to the other (Coase's insight).
  • Keeping cedar trees near apple orchards is no more "noxious" than keeping apple orchards near cedar trees.
  • The Court retreated from the noxious-use test, most clearly in Justice Brennan's Penn Central opinion, which reframed such cases as resting on "widespread public benefit" rather than "noxious quality."
  • However: Since Penn Central, the Court has drifted back toward the noxious/innocent distinction, though more tentatively.

Physical occupation rule (Loretto v. Teleprompter):

  • Justice Marshall held that any "permanent physical occupation" of private property, no matter how trivial, always constitutes a taking.
  • He relied twice on Michelman's 1967 article: for the historical development of the rule and for its defense as identifying situations with low settlement costs and high demoralization costs.

❌ Limited or misused influences

Moral hazard problem ignored:

  • The danger that liberal compensation will lead to over-investment in improvements likely to be regulated away is "widely recognized by scholars."
  • But this concern "seems to have fallen on deaf judicial ears."

Misuse of "investment-backed expectations":

  • Michelman's phrase was meant to identify situations where total devaluation of a distinct property interest causes severe psychological injury.
  • Justice Brennan in Penn Central invoked the language without recapitulating the underlying argument.
  • "Cut loose from its moorings," the test has been put to surprising uses.

Example—Kaiser-Aetna v. United States:

  • A marina owner argued that after investing heavily to convert a lagoon into a bay, the government forfeited the right to declare it a public waterway without compensation.
  • Justice Rehnquist emphasized the large investment and held that the government action "interfered with reasonable investment backed expectations."
  • The problem: This was not a case of total or nearly total devaluation of a distinct property interest (Michelman's original point); it was about the size of the investment, which is "considerably removed" from Michelman's argument about psychic impact.

Don't confuse: Courts may use economic language, but often in ways that diverge from—or even contradict—the original economic justification.

17

Doctrine

4.3. Doctrine

🧭 Overview

🧠 One-sentence thesis

The constitutional Takings Clause forbids government from singling out particular individuals to bear the cost of social welfare programs through regulation, rather than funding those programs through general taxation and the democratic budget process.

📌 Key points (3–5)

  • Core unfairness: making one citizen pay (other than through taxes) to remedy a social problem they did not create violates constitutional fairness.
  • Regulation vs. welfare transfer: legitimate economic regulation addresses a problem caused by the regulated party; using regulation to fund welfare programs privately is unconstitutional wealth transfer.
  • Off-budget problem: regulation allows politically attractive wealth transfers that bypass normal democratic scrutiny and budget prioritization.
  • Common confusion: all economic regulation transfers wealth (e.g., rent caps make landlords poorer and tenants richer), but constitutional regulation requires a plausible connection between the regulated party and the problem being addressed.
  • Slippery slope: once the connection requirement is removed, any group can be forced to subsidize any other group through "regulation" rather than democratic tax-and-spend decisions.

⚖️ Constitutional distinction between regulation and taking

⚖️ Legitimate economic regulation

Legitimate economic regulation: preventing harm caused or benefited by the regulated party (e.g., forbidding excessive rents charged by landlords).

  • When excessive rents are forbidden, landlords as a class become poorer and tenants as a class become richer.
  • This wealth transfer is constitutionally permissible because landlords can plausibly be regarded as the source or beneficiary of the high-rent problem.
  • The regulated party has a connection to the problem being solved.

🚫 Unconstitutional private welfare funding

Unconstitutional taking: using regulation to establish a welfare program privately funded by individuals who happen to have certain characteristics, without connection to the problem.

  • The excerpt describes San Jose's ordinance as transforming "public welfare, which must be supported by all the public, into mere 'economic regulation,' which can disproportionately burden particular individuals."
  • The city is not regulating rents to prevent excessive charges; it is using rent regulation as an occasion to make landlords fund a welfare program for "hardship" tenants.
  • Key principle: "Once such a connection is no longer required, however, there is no end to the social transformations that can be accomplished by so-called 'regulation,' at great expense to the democratic process."

🔍 Don't confuse: all regulation transfers wealth vs. constitutional limits

  • Not the issue: whether wealth transfer occurs (all economic regulation does this).
  • The issue: whether the transfer is imposed on a party connected to the problem, or arbitrarily imposed on whoever the legislature chooses.
  • Example from the excerpt: singling out landlords to fund hardship tenant subsidies may be constitutional if addressing landlord-caused problems, but not if simply using landlords as a convenient funding source.

💰 The off-budget problem

💰 Why regulation is politically attractive

  • Regulation permits wealth transfers "off budget," with relative invisibility and immunity from normal democratic processes.
  • Transfers accomplished through regulation do not appear in the municipal treasury or budget debates.
  • This allows programs to avoid scrutiny that would occur if funded through taxation and spending.

📊 Comparison: regulation vs. tax-and-spend

MethodVisibilityDemocratic scrutinyExample from excerpt
Tax-and-spendHigh—appears in budgetCitizens see competing priorities and income limitsSan Jose could raise real estate tax and use revenues to pay hardship tenant rents
RegulationLow—"off budget"Bypasses normal budget processOrdinance requires landlords to give discounts directly to tenants earning up to $32,400/year

🗳️ Democratic process concern

  • The excerpt questions whether San Jose citizens would approve distributing municipal funds to families earning $32,400/year if it appeared as a budget line item.
  • "The voters might well see other, more pressing, social priorities."
  • The Takings Clause forces these decisions into the tax-and-spend process "where both economic effects and competing priorities are more evident."

🌊 Slippery slope consequences

🌊 What happens without the connection requirement

  • Once the door is opened, any group can be required to subsidize any other group through "regulation."
  • The excerpt warns: "what $32,400-a-year renters can acquire through spurious 'regulation,' other groups can acquire as well."

📋 Examples of potential expansions

The excerpt lists possible future regulations if the constitutional limit is removed:

  • Price regulations requiring private businesses to give special discounts to senior citizens (no matter how affluent)
  • Discounts for students
  • Discounts for the handicapped
  • Discounts for war veterans

Key point: "Subsidies for these groups may well be a good idea, but because of the operation of the Takings Clause our governmental system has required them to be applied, in general, through the process of taxing and spending."

🎯 The constitutional principle

🎯 Essence of the Takings Clause

Core principle: "the unfairness of making one citizen pay, in some fashion other than taxes, to remedy a social problem that is none of his creation."

  • The clause does not prohibit addressing social problems.
  • It requires that solutions be funded through general taxation, not by singling out particular individuals.
  • This protects both fairness and democratic process.

⚡ Two benefits of the constitutional prescription

  1. Fairness: prevents arbitrary singling out of individuals to bear costs they did not cause.
  2. Intelligent democratic process: forces wealth transfers into the budget process where they can be debated and prioritized.

The excerpt notes: "That fostering of an intelligent democratic process is one of the happy effects of the constitutional prescription—perhaps accidental, perhaps not."

📜 Supporting precedent

The excerpt cites Property Owners Assn. v. North Bergen (New Jersey Supreme Court):

"A legislative category of economically needy senior citizens is sound, proper and sustainable as a rational classification. But compelled subsidization by landlords or by tenants who happen to live in an apartment building with senior citizens is an improper and unconstitutional method of solving the problem."

  • The category (needy seniors) is legitimate.
  • The funding method (forcing landlords/other tenants to subsidize) is unconstitutional.

⚖️ Application to San Jose ordinance

The excerpt concludes: "I would hold that the seventh factor in § 5703.28(c) of the San Jose Ordinance effects a taking of property without just compensation."

  • The ordinance provision requiring consideration of hardship tenants forces landlords to privately fund a welfare program.
  • This constitutes a taking because it makes landlords pay for a social problem (tenant poverty) that is none of their creation, without using the normal tax-and-spend process.
18

Procedural Issues in Takings Claims

4.4. Procedural Issues

🧭 Overview

🧠 One-sentence thesis

Federal courts must apply full faith and credit to state-court judgments in takings cases, meaning that property owners who litigate their claims in state court (as required to ripen federal takings claims) will generally be barred by issue preclusion from relitigating those same issues in federal court.

📌 Key points (3–5)

  • Williamson County ripeness rule: A federal takings claim is not ripe until (1) the government reaches a final decision on how regulations apply to the property, and (2) the property owner has sought compensation through available state procedures.
  • Full faith and credit requirement: Federal courts must give state-court judgments the same preclusive effect they would have in that state's courts (28 U.S.C. § 1738), even for federal takings claims.
  • The practical bind: Because Williamson County requires property owners to pursue state remedies first, and because full faith and credit then bars relitigation of issues decided in state court, takings plaintiffs often cannot obtain federal-court review of their federal claims.
  • England reservation limits: Reserving federal claims under England v. Louisiana Board of Medical Examiners does not allow plaintiffs to relitigate in federal court issues they actually litigated and lost in state court.
  • Common confusion: The state-litigation requirement is not an exhaustion doctrine (which can be excused); it is a constitutional ripeness requirement that determines when a Fifth Amendment violation has occurred.

🚪 The Williamson County Ripeness Framework

🚪 Two-part ripeness test

A takings claim is not ripe until: (1) the government entity has reached a final decision regarding application of regulations to the property, and (2) the property owner has been denied just compensation through procedures the state provides.

Why finality matters:

  • Courts cannot evaluate the economic impact or interference with investment-backed expectations until the government's position is definitive.
  • Example: If a planning commission denies a preliminary plat but the owner never seeks available variances, it's impossible to know whether any economically viable use remains.

🔍 What counts as a "final decision"

The excerpt illustrates through the Williamson County case itself:

  • The property owner submitted a development plan that the planning commission rejected on eight grounds.
  • The owner did not seek variances that could have resolved at least five of those objections.
  • The commission's denial was therefore not final—it left open the possibility of approval after obtaining variances.

Don't confuse: A rejection of one proposal is not automatically a final decision if the owner has not exhausted available administrative relief (variances, waivers, appeals to zoning boards).

💰 The state-compensation requirement

  • The Fifth Amendment prohibits taking property "without just compensation"—not taking property altogether.
  • No constitutional violation occurs until the state fails to provide compensation.
  • Therefore, a property owner must use available state procedures (like inverse condemnation actions) to seek compensation before claiming a federal violation.

Analogy to Parratt v. Taylor:

  • Just as due process is satisfied by meaningful post-deprivation remedies when pre-deprivation process is impracticable, the Takings Clause is satisfied by reasonable post-taking compensation procedures.
  • The state's action is not "complete" (causing a constitutional injury) until the state fails to provide adequate compensation.

🔒 Full Faith and Credit Bars Relitigation

🔒 The statutory command

28 U.S.C. § 1738 requires federal courts to give state-court judgments the same preclusive effect they would have in the state that rendered them.

"Judicial proceedings shall have the same full faith and credit in every court within the United States… as they have by law or usage in the courts of such State."

  • This statute encompasses both claim preclusion (res judicata) and issue preclusion (collateral estoppel).
  • The rule predates the Republic and serves to "secure the peace and repose of society by the settlement of matters capable of judicial determination."

⚖️ Application in San Remo Hotel

The San Remo Hotel case illustrates the practical operation:

StageWhat happenedPreclusive effect
Federal court (first)Hotel owners filed federal takings claims; court abstained on facial claims (Pullman) and dismissed as-applied claims as unripe (Williamson County)No federal decision on merits
State courtOwners litigated both state-law claims and federal-standard claims (substantially advances test, rough proportionality); California Supreme Court decided issues using standards "coextensive" with federal lawState judgment resolved the issues
Federal court (second)Owners returned to federal court; tried to relitigate same issuesBarred by issue preclusion—federal court must honor state judgment

Key principle: When state courts decide issues using legal standards identical or equivalent to federal standards, those decisions preclude relitigation in federal court.

🚫 No exception for takings claims

Petitioners argued that federal courts should create an exception to § 1738 for takings claims because Williamson County forces plaintiffs into state court.

The Court's rejection:

  • Congress has not expressed any intent to exempt takings claims from full faith and credit.
  • Courts cannot "simply create exceptions to 28 U.S.C. § 1738 wherever courts deem them appropriate."
  • "An exception to § 1738 will not be recognized unless a later statute contains an express or implied partial repeal."
  • The interest in finality and comity outweighs the interest in giving losing litigants access to an additional forum.

Comparison to Allen v. McCurry:

  • In Allen, a criminal defendant unsuccessfully raised Fourth Amendment claims in state court to suppress evidence.
  • After conviction, he tried to bring a § 1983 damages action in federal court on the same Fourth Amendment issues.
  • The Court held he was barred: there is no constitutional or statutory right to relitigate issues already decided in state court, even when the plaintiff would have preferred a federal forum.

🎯 The England Reservation Doctrine (and Its Limits)

🎯 What England allows

England v. Louisiana Board of Medical Examiners held that when a federal court abstains under Pullman to allow state courts to decide an antecedent state-law issue, the plaintiff may reserve the right to return to federal court for disposition of federal claims.

The "typical case" for reservation:

  • Federal court abstains so state court can construe a state statute.
  • The state-law construction might moot the federal constitutional question.
  • The antecedent state issue is distinct from the reserved federal issue.
  • Plaintiff takes no action to broaden the state court's review beyond the state-law question.

❌ What England does not allow

The San Remo petitioners tried to use England to avoid preclusion, but the Court rejected this:

Limits on the reservation:

  1. No broadening in state court: If a plaintiff "freely and without reservation submits his federal claims for decision by the state courts, litigates them there, and has them decided there," he forfeits the right to return to federal court.
  2. Only for abstained claims: The reservation applies only to claims on which the federal court actually abstained—not to claims the federal court dismissed as unripe.
  3. Cannot relitigate decided issues: Reserving a claim does not negate the preclusive effect of state-court judgments on issues actually litigated and decided.

What went wrong in San Remo:

  • The Ninth Circuit abstained only on the facial takings challenge (to allow state court to resolve the administrative mandamus petition that might moot the federal claim).
  • Petitioners could have reserved that narrow facial claim.
  • Instead, petitioners presented to the state court not only the mandamus petition but also their "substantially advances" and "rough proportionality" claims—the very federal issues they sought to reserve.
  • By litigating those issues in state court, they waived any reservation.

Don't confuse: England's reservation is not a general right to a "second bite at the apple" in federal court; it is a narrow doctrine allowing return to federal court only when the plaintiff has not litigated the reserved federal issues in state court.

🔄 The Practical Bind for Takings Plaintiffs

🔄 The catch-22 structure

The combination of Williamson County and full faith and credit creates a difficult situation:

  1. Williamson County says: You cannot bring a federal takings claim in federal court until you've sought compensation in state court.
  2. Full faith and credit says: Once you litigate in state court, issue preclusion bars you from relitigating in federal court.
  3. Result: Takings plaintiffs "will likely be unable… to assert their federal takings claims in federal court."

🤔 The Court's responses to fairness concerns

"No right to a federal forum":

  • The Constitution does not guarantee that every federal claim can be litigated in federal court.
  • Congress controls the scope of federal jurisdiction.
  • Section 1983 does not provide "an unrestricted opportunity to relitigate an issue already decided in state court simply because the issue arose in a state proceeding in which [the plaintiff] would rather not have been engaged at all."

"State courts are competent":

  • State courts are "fully competent to adjudicate constitutional challenges to local land-use decisions."
  • State courts "undoubtedly have more experience than federal courts do in resolving the complex factual, technical, and legal questions related to zoning and land-use regulations."
  • Most takings cases in Supreme Court jurisprudence came up on certiorari from state courts, not from federal district courts.

"Williamson County is overstated":

  • Facial challenges based on the "substantially advances" test do not require ripening in state court (under Yee v. Escondido).
  • Plaintiffs can raise facial challenges directly in federal court.
  • Williamson County does not forbid plaintiffs from raising federal claims in state court—it just requires that compensation be sought through state procedures.

⚠️ Chief Justice Rehnquist's concerns (concurrence)

Four Justices expressed doubt about Williamson County's state-litigation requirement:

  • "It is not clear to me that Williamson County was correct in demanding that… the claimant must seek compensation in state court before bringing a federal takings claim in federal court."
  • The requirement may be neither constitutionally nor prudentially necessary.
  • It creates "real anomalies"—ensuring that litigants who go to state court will be unable to assert federal claims in federal court.
  • No "longstanding principle of comity" or historical justification supports singling out takings claims for state-court-only treatment.
  • In an appropriate case, the Court should reconsider whether the state-litigation requirement is correct.

Comparison to other constitutional claims:

  • Plaintiffs can proceed directly to federal court with First Amendment or Equal Protection challenges to municipal land-use regulations.
  • Why should takings claims be treated differently, based solely on state courts' familiarity with zoning?

📋 Procedural Posture Requirements in Williamson County

📋 Variance applications

The Williamson County case shows what "final decision" requires in practice:

What the property owner failed to do:

  • Did not apply to the Board of Zoning Appeals for variances from density requirements or slope restrictions.
  • Did not file written requests for variances from subdivision regulations (cul-de-sac length, road grade, frontage).
  • Did not provide required notice to adjacent property owners of variance requests.
  • Took the position that it would not request variances until after the commission approved the preliminary plat.

Why this mattered:

  • The commission's regulations stated that "any condition shown on the plat which would require a variance will constitute grounds for disapproval of the plat" unless a proper variance application is filed.
  • Without knowing whether variances would be granted, the court could not assess the economic impact or whether reasonable beneficial use remained.
  • The jury's verdict was based on the assumption that all eight objections would stand—but several could have been resolved through variances.

📋 Exhaustion vs. finality

The excerpt distinguishes two concepts:

ConceptWhat it meansRequired?
ExhaustionUsing administrative and judicial procedures to seek review and remedy of an adverse decisionNot required before § 1983 suit (Patsy v. Florida Board of Regents)
FinalityThe initial decisionmaker has arrived at a definitive position that inflicts actual, concrete injuryRequired—without it, there is no ripe claim

Example of the distinction:

  • Seeking a declaratory judgment in state court about the validity of the commission's action = exhaustion (not required).
  • Seeking variances from the commission = finality (required, because it determines what development is actually allowed).

Don't confuse: Williamson County does not impose an exhaustion requirement; it defines when a constitutional violation has occurred (when there is a final decision denying all reasonable use and denying compensation).

🏛️ State Inverse Condemnation Procedures

🏛️ Tennessee's procedure

The Williamson County excerpt describes Tennessee's inverse condemnation statute:

If a government entity takes possession of land without following required eminent domain procedures, "the owner of such land may petition for a jury of inquest… or he may sue for damages in the ordinary way."

  • Tennessee courts interpreted this statute to allow recovery through inverse condemnation where the "taking" is effected by restrictive zoning laws or development regulations.
  • The property owner had not shown that the inverse condemnation procedure was unavailable or inadequate.
  • Until the owner utilized that procedure, the takings claim was premature.

🏛️ Why state procedures must be used

The Fifth Amendment requires "just compensation," not pre-taking compensation:

  • "All that is required is that a 'reasonable, certain and adequate provision for obtaining compensation' exist at the time of the taking."
  • If the government has provided an adequate process for obtaining compensation, and if resort to that process "yield[s] just compensation," then the property owner "has no claim against the Government" for a taking.
  • Takings claims against the federal government are premature until the property owner has used the Tucker Act process.
  • Similarly, takings claims against states are premature until the owner has used state compensation procedures and been denied.

Example: Just as federal takings claimants must use the Tucker Act (federal statute providing a remedy), state takings claimants must use state inverse condemnation or similar procedures before claiming a federal violation.

19

Exactions

4.5. Exactions

🧭 Overview

🧠 One-sentence thesis

The Supreme Court held that when a city conditions a building permit on the dedication of property, the city must demonstrate "rough proportionality" between the exaction demanded and the projected impact of the proposed development.

📌 Key points (3–5)

  • Two-part test for exactions: First, an "essential nexus" must exist between the legitimate state interest and the permit condition; second, the degree of the exaction must bear a "rough proportionality" to the projected impact.
  • Burden of proof: The city must make an individualized determination showing that the required dedication is related both in nature and extent to the development's impact.
  • What rough proportionality means: No precise mathematical calculation is required, but the city must quantify its findings beyond conclusory statements.
  • Common confusion: This case does not involve a general zoning regulation applied to entire areas, but an adjudicative decision conditioning approval on an individual parcel—hence stricter scrutiny applies.
  • Why it matters: The ruling limits how cities can use permit conditions to extract property dedications, protecting the property owner's right to exclude others and to just compensation.

⚖️ The constitutional framework

⚖️ Takings Clause protection

The Takings Clause of the Fifth Amendment, applicable to the States through the Fourteenth Amendment, provides: "[N]or shall private property be taken for public use, without just compensation."

  • The Clause aims to prevent government from forcing some people alone to bear public burdens that should be borne by the public as a whole.
  • If the city had simply required Dolan to dedicate land without conditioning it on a permit, a taking would have occurred.
  • The right to exclude others is "one of the most essential sticks in the bundle of rights that are commonly characterized as property."

⚖️ Police power vs. takings

  • Governments have long-standing authority to engage in land use planning and regulation.
  • A land use regulation does not effect a taking if it "substantially advances legitimate state interests" and does not deny an owner economically viable use of the land.
  • The tension: when does a permit condition cross the line from valid regulation into an uncompensated taking?

⚖️ Unconstitutional conditions doctrine

  • The government may not require a person to give up a constitutional right (here, the right to just compensation) in exchange for a discretionary benefit where the benefit sought has little or no relationship to the property.
  • Example: The city cannot force Dolan to choose between the building permit and her Fifth Amendment right to just compensation for public easements.

🔗 The essential nexus requirement (Nollan)

🔗 What Nollan established

  • In Nollan v. California Coastal Commission, the Court held that a permit condition must serve the same governmental purpose that would justify denying the permit outright.
  • The California Coastal Commission had demanded a lateral public easement to connect two beaches, claiming it would protect visual access to the ocean.
  • The Court found no nexus: enhancing the public's ability to traverse along the shorefront did not serve the purpose of visual access from the roadway.
  • Without a nexus, the condition was "an out-and-out plan of extortion."

🔗 Application to Tigard

  • The Court found that Tigard's conditions satisfied the essential nexus test:
    • Flood control: Preventing flooding along Fanno Creek is a legitimate public purpose, and limiting development within the 100-year floodplain has a clear nexus to that purpose.
    • Traffic congestion: Reducing traffic congestion is legitimate, and providing a pedestrian/bicycle pathway as an alternative means of transportation has a nexus to that goal.
  • Unlike Nollan, no "gimmickry" was involved—the conditions were genuinely related to the impacts of the proposed development.

📏 The rough proportionality test

📏 Why a second inquiry is needed

  • Nollan established that a nexus must exist, but did not address the required degree of connection between the exaction and the projected impact.
  • The Court in Dolan held that even when a nexus exists, the city must show that the extent of the exaction is proportional to the development's impact.

📏 Defining rough proportionality

  • The Court rejected both extremes:
    • Too lax: Some states accept "very generalized statements" about the necessary connection—this standard inadequately protects property rights.
    • Too strict: The "specifically and uniquely attributable" test (Illinois) requires the exaction to be directly proportional to the specifically created need—the Federal Constitution does not require such exacting scrutiny.
  • Rough proportionality is the middle ground: the city must make an individualized determination that the required dedication is related both in nature and extent to the impact.
  • No precise mathematical calculation is required, but the city must make "some sort of individualized determination" and "some effort to quantify its findings."

📏 Burden of proof

  • In evaluating generally applicable zoning regulations, the burden rests on the party challenging the regulation.
  • Here, because the city made an adjudicative decision to condition an individual parcel's permit, the burden properly rests on the city to justify the exaction.
  • Don't confuse: This is not a legislative determination classifying entire areas, but a specific condition imposed on Dolan's property.

🌊 Application to the floodplain dedication

🌊 The city's findings

  • The city required Dolan to dedicate all portions of her property within the 100-year floodplain of Fanno Creek, plus an additional 15-foot strip, for a greenway.
  • The city found that increasing impervious surfaces would increase storm water runoff, and keeping the floodplain open would confine pressures on Fanno Creek.
  • The city also wanted the property for its greenway system, which would include a public recreational easement.

🌊 The Court's analysis

  • The Court agreed that keeping the floodplain open and free from development is reasonably related to flood control.
  • However, the city never explained why a public greenway, as opposed to a private one, was required for flood control.
  • The difference to Dolan is the loss of her ability to exclude others—recreational visitors trampling along the floodplain are not sufficiently related to reducing flooding.
  • The city made no individualized determination to support the recreational easement portion of the requirement.
  • Example: If Dolan's development had encroached on existing greenway space, it would have been reasonable to require alternative greenway space; but that was not the case here.

🌊 Why the floodplain condition failed

  • The findings do not show the required reasonable relationship between the floodplain easement (including the recreational component) and the proposed new building.
  • The city's interest in flood control could be served by prohibiting development in the floodplain, but the additional demand for a public recreational easement went beyond what was proportional to the impact.

🚴 Application to the bicycle path

🚴 The city's findings

  • The city required Dolan to dedicate a 15-foot strip adjacent to the floodplain for a pedestrian/bicycle pathway.
  • The city found that the proposed expansion would generate roughly 435 additional trips per day.
  • The city stated that creation of a "convenient, safe pedestrian/bicycle pathway system as an alternative means of transportation could offset some of the traffic demand on these nearby streets and lessen the increase in traffic congestion."

🚴 The Court's analysis

  • The Court had no doubt that the larger retail facility would increase traffic.
  • Dedications for streets, sidewalks, and other public ways are generally reasonable exactions to avoid excessive congestion.
  • However, the city did not meet its burden of demonstrating that the additional vehicle and bicycle trips generated by Dolan's development reasonably relate to the requirement for the pathway easement.
  • The city's finding that the pathway "could offset some of the traffic demand" is too conclusory.

🚴 Why the pathway condition failed

  • The Oregon Supreme Court's dissent pointed out: a finding that the pathway "could offset" traffic is "a far cry from a finding that the bicycle pathway system will, or is likely to, offset some of the traffic demand."
  • The city must make "some effort to quantify its findings" beyond a conclusory statement.
  • Example: The city calculated the increased traffic (435 trips/day) but did not quantify the offsetting decrease in automobile traffic that the bike path would produce.
  • Don't confuse: The Court is not requiring precise mathematical calculation, but it does require more than speculation—the city must show a reasonable likelihood of the claimed benefit.

🏛️ Implications and limits

🏛️ What cities can still do

  • Cities retain broad authority to engage in land use planning.
  • Legitimate goals like reducing flooding hazards, traffic congestion, and providing public greenways are laudable.
  • Dedications for streets, sidewalks, and other public ways to avoid excessive congestion remain generally reasonable.

🏛️ What cities must now show

  • When conditioning a permit on property dedication, cities must:
    1. Demonstrate an essential nexus between the condition and a legitimate state interest.
    2. Make an individualized determination that the exaction is roughly proportional in nature and extent to the development's impact.
    3. Quantify findings with some effort beyond conclusory statements.
  • The city cannot use permit conditions as leverage to obtain property interests that are not proportional to the development's actual impact.

🏛️ Outer limits

  • "A strong public desire to improve the public condition will not warrant achieving the desire by a shorter cut than the constitutional way of paying for the change."
  • If the city wants property for public use beyond what is proportional to the development's impact, it must use eminent domain and pay just compensation.

🔄 The dissent's view

🔄 Justice Stevens's main arguments

  • The majority imposes a novel burden of proof on cities, abandoning the traditional presumption of constitutionality.
  • The "rough proportionality" test is not derived from the state cases the Court cites; those cases applied a "reasonable relationship" or "rational nexus" test similar to Nollan.
  • The Court's focus on one strand (the right to exclude) in the property owner's bundle of rights is misguided, especially for commercial property.
  • The exactions are "a species of business regulation that heretofore warranted a strong presumption of constitutional validity."

🔄 Application to the facts

  • As to the floodplain: Dolan made no effort to show that dedicating the floodplain would be more onerous than simply being prohibited from building there; for a commercial property, public access might even be more valuable than vacant land.
  • As to the bicycle path: Everyone agrees the path "could" offset some increased traffic; predictions are inherently estimates, and the city's assumption is entirely reasonable whether it amounts to 100%, 35%, or 5% of the traffic increase.
  • The dissent would find both conditions constitutional because they serve legitimate purposes and are reasonably related to the development's impacts.

🔄 Broader concerns

  • The dissent warns that the majority is resurrecting "substantive due process" analysis similar to the Lochner era.
  • The "unconstitutional conditions" doctrine is an inadequate framework for analyzing mutually beneficial transactions between property owners and cities.
  • In a changing world with uncertainty about the impacts of new developments, the public interest in averting harms should outweigh the private interest of the commercial entrepreneur.
20

German Takings Law

4.6. German Takings Law

🧭 Overview

🧠 One-sentence thesis

German constitutional law protects property but permits extensive regulation without compensation when the legislature defines property's "content and limits" to serve the public good, especially for resources like water that are vital to society and whose use creates significant externalities.

📌 Key points (3–5)

  • Article 14 structure: The Basic Law guarantees property (Art. 14(1)), requires it to serve the public good (Art. 14(2)), and permits expropriation only with compensation (Art. 14(3)); but regulations that define property's "content and limits" under Art. 14(1) are not expropriations.
  • Compensation for planning impacts: The Federal Building Code provides compensation for injuries from land-use planning (e.g., when property is designated for public use or when plans are changed within seven years), separate from expropriation claims.
  • Constitutional property is broader than civil-law property: The Constitutional Court defines "property" by the Basic Law's substantive values, not by the Civil Code, allowing protection to evolve and embrace new interests over time.
  • Common confusion—regulation vs. expropriation: Not every elimination of a use is an expropriation; the legislature may redefine property's limits (especially for resources like water that are "inherently public") without triggering Art. 14(3) compensation, though other laws may still require payment.
  • The Groundwater Cases principle: Resources essential to life and characterized by high externalities (like groundwater) may be regulated heavily—even to the point of eliminating prior rights—because their "fugitive" nature and social interdependence make private ordering unreliable.

🏛️ Constitutional framework: Article 14 of the Basic Law

🏛️ Three-part structure of Article 14

Article 14 of the German Basic Law (Grundgesetz) has three clauses:

  1. Art. 14(1): Property and inheritance are guaranteed; their content and limits are defined by law.
  2. Art. 14(2): Property entails obligations; its use shall serve the public good.
  3. Art. 14(3): Expropriation is permissible only for the public good, must be authorized by law, and requires compensation determined by balancing public interest and the interests of those affected; courts may review the amount.

Key distinction: Regulations that fall under Art. 14(1)—defining property's "content and limits"—are not expropriations under Art. 14(3) and do not automatically trigger compensation. Only when the state actually takes property (expropriation) must it compensate.

📜 Constitutional property vs. civil-law property

Constitutional property: Under Article 14, "property" (Eigentum) is defined by the Basic Law itself, not solely by the German Civil Code (BGB).

  • The Constitutional Court has stated that constitutional property has a broader meaning than private-law property.
  • The Court identifies substantive interests that animate the Basic Law as a whole and uses these as criteria to distinguish protected interests.
  • This approach is not originalist or traditionalist; it avoids freezing property's meaning in any historical moment and permits protection to embrace "new and unprecedented sorts of interests."
  • Don't confuse: Civil Code § 905 says land ownership extends to the space above and resources below (the "up to the sky and down to the depths" maxim), but the Constitutional Court held that constitutional property in land does not necessarily include groundwater, because the Constitution itself defines what counts as property.

Example: A landowner may own land under the Civil Code, but the Constitutional Court can determine that certain subsurface resources (like water) are inherently public and not part of the constitutional property right in land.

🗺️ Compensation under land-use planning law

🗺️ Federal Building Code compensation (§§ 39–44)

The Federal Building Code (Baugesetzbuch) provides for compensation for injuries from land-use planning, distinct from expropriation claims or civil-law unlawful-action claims.

Two main scenarios:

ScenarioCompensation rule
Property designated for public useIf a binding land-use plan (B-plan) designates private property for roads, schools, or environmental protection, the owner may claim compensation if maintaining current use becomes infeasible or if the impact is substantial.
Plans that alter permitted private usesCompensation is owed if the plan is changed within seven years of adoption (whether or not the owner developed), or after seven years if the change reduces the value of an actual use, designates the property for public use, or leaves only insubstantial uses.

🕐 The seven-year rule for plan changes

  • Within seven years: A landowner is entitled to develop according to a B-plan for seven years after adoption. If the plan is altered during that time, the owner gets compensation for the reduction in property value.
  • After seven years: Compensation is owed only if:
    1. The amended plan reduces the value of a use the owner is actually making, or
    2. The amended plan designates the property for public use, or
    3. The uses allowed by the amended plan are insubstantial.
  • Extension: If development is made impossible by factors outside the owner's control (e.g., a moratorium), that period is added to the seven years.
  • Current-use protection: To the extent a plan interferes with a current use, compensation is generally required, no matter how long since the plan was last changed.

Don't confuse with U.S. practice: In the U.S., changes to less valuable uses are called "downzonings," and non-conforming uses are often allowed to continue for a period. German law provides a clearer compensation framework tied to the seven-year window and actual-use impacts.

🏗️ Development freezes and reliance expenditures

  • Development freeze: Municipalities may freeze development for up to two years (extendable to three, or four in special circumstances) while preparing or amending a B-plan, to prevent developers from rushing to build in ways that frustrate the new plan. No compensation is owed for development forestalled by the freeze.
  • Reliance expenditures: Developers may seek compensation for specific expenditures (e.g., engineering, architectural services) made in reliance on an existing plan that was later amended, to the extent the new plan reduces their value.

⚖️ Substantive limits on downzonings

Not all downzonings are permitted. Courts may strike them down as "balancing errors" if they are not justified by "solid town planning principles." This is a substantive attack on the plan itself, rather than a claim that a legitimate plan triggered compensation.

💧 The Groundwater Cases: defining inherently public property

💧 Facts and holding

The Groundwater Cases (Naßauskiesungsentscheidungen) concerned the 1976 amendments to the Federal Water Resources Act, which required a permit for virtually any use of surface or groundwater.

Plaintiff's claim: A gravel-pit owner who had extracted groundwater for decades was denied a permit because his quarry threatened the city's water wells. He sued, claiming the denial was an uncompensated expropriation under Article 14.

Supreme Civil Court: Held the permit denial violated the plaintiff's constitutional property right and the Act was unconstitutional.

Constitutional Court: Held the Act was constitutional and the permit denial was not an expropriation. The Court reasoned:

  • The constitutional guarantee of property does not give the owner a right to make the use that "promises the greatest possible economic advantage."
  • Water is a resource vital to the common welfare; legal rights in groundwater are "inherently and historically public, not private, in character."
  • Private rights in land end at the water level; the Act did not take away any constitutional property right the owner ever had.

🌊 Why water is special: externalities and fugitive character

The Court emphasized two factors:

  1. Social necessity: Water is "one of the most important bases of all of human, animal, and plant life." Industrialization, urbanization, and construction have increased water's scarcity and social importance. Drinking water and industrial uses increasingly conflict, especially for groundwater.
  2. Fugitive character and externalities: Unlike land (which is immobile), underground water is "fugitive" or ambient—it moves. Any individual use of water profoundly affects the entire social and ecological community. As the excerpt notes, "flowing water is 'communally embedded,' both in a social and an ecological sense," including "soils, plants, animals, microorganisms, nutrient flows, and hydrological cycles."

Why the market fails: Self-interest is not reliable for protecting a resource whose use has substantial external effects. "Many external harms affect ecosystems and future generations, or are otherwise uncertain in scope and infeasible to calculate or trace." Because of this intense interdependence, no owner can take into account all the external effects of a given use.

Example: If a quarry owner discharges chemicals into groundwater, the harm spreads unpredictably through the aquifer, affecting drinking water, ecosystems, and future generations. Private property rights cannot reliably prevent this harm.

🚫 Rejecting conceptual severance

The Court rejected conceptual severance—the idea that every incident of ownership (every "twig in the bundle") is itself ownership.

  • If conceptual severance were accepted, virtually every regulation affecting any use would be a taking.
  • The Court held that the right to use groundwater is not a "twig" essential to private ownership of land. Landownership is valuable primarily with respect to use of the surface, not subterranean water.
  • Even if the regulation removed the entire use-interest in groundwater, there would be no constitutional violation, because that right is not essential to the constitutional property right in land.

Don't confuse: The U.S. Supreme Court's reaction to conceptual severance has been ambiguous, but the German Court clearly rejected it.

🔄 Legal transitions and reliance interests

The Court confronted the dilemma of stability vs. dynamism: the plaintiff had quarried gravel since 1936 under a legal regime that protected his right to use groundwater.

Stability concern:

"It would be incompatible with the content of the Constitution if the government were authorized suddenly and without any transitional period to block the continued exercise of property rights that had required substantial capital investment. Such a law … would upset confidence in the stability of the legal order, without which responsible structuring and planning of life would be impossible in the area of property ownership."

Dynamism concern:

"The constitutional guarantee of ownership … does not imply that a property interest, once recognized, would have to be preserved in perpetuity or that it could be taken away only by way of expropriation [i.e., with compensation]."

Resolution: The Constitution permits the legislature to "restructure individual legal positions by issuing an appropriate and reasonable transition rule whenever the public interest merits precedence over some justified expectation … in the continuance of a vested right."

Application: The Act provided a five-year grace period (plus thirty-one months before taking effect), and owners could get extensions if they filed for a permit. The plaintiff continued operations for seventeen years after enactment. The Court held this reasonably accommodated his economic interest.

⚖️ Regulatory takings and the compensation debate

⚖️ Does a regulatory-takings doctrine survive?

After the Groundwater Cases, German scholars debated whether the concept of regulatory taking (enteignungsgleicher Eingriff, or "equivalent expropriation") still exists. In U.S. terms: is there still an inverse-condemnation action?

Why the question arose: The Constitutional Court permitted the legislature to wipe away, without compensation, a discrete property right that had once been expressly recognized. How could there be any circumstance in which the legislature has "gone too far"?

One scholar's answer: The case does not abolish compensation for regulatory takings, because:

  • The Constitutional Court never mentioned the regulatory-takings doctrine in its opinion.
  • After the Constitutional Court's decision, the case went back to the Supreme Civil Court, which awarded compensation on a different theory.

💰 The Supreme Civil Court's compensation theory

The Supreme Civil Court held that, although the basic principle of property protection emerges from constitutional principles, the particulars must be determined by nonconstitutional law (einfaches Recht).

Basis for liability: The principle of individual sacrifice (Aufopferungsgedanke). If governmental action sacrifices an individual for the benefit of the general public, the state is liable to compensate, in an action similar to—but not technically—an "expropriation" under Art. 14(3).

Result: This creates the possibility of compensation without a taking—cases in which justice demands compensation even though the Constitution does not require it.

Don't confuse: This is a tug-of-war between the Constitutional Court (taking a narrower view of compensation obligations) and the Supreme Civil Court (taking a more expansive view). The debate remains unresolved, leaving German state-liability law (Staatshaftungsrecht) in "considerable confusion."

🌍 Comparative insights for U.S. takings law

🌍 Rejection of wealth maximization and libertarianism

The Court's statement that "the constitutional right to property does not guarantee the right to exploit the resource for its highest economic value" indicates that German constitutional protection is not rooted in wealth maximization or libertarianism.

Implication for U.S. disputes: Landowners (especially farmers) have challenged U.S. wetlands regulations on the ground that they deprive the owner of the ability to put land to its highest economic use. German courts would reject this premise, though they might find another basis for striking down such regulations.

🌊 Identifying "inherently public property"

The Groundwater Cases offer an approach to determining when a resource is "inherently public property" (a term from Carol Rose):

  1. Social necessity: Is the resource vital to human, animal, and plant life?
  2. Social and ecological interdependence: Does any use by a single person or group affect the social and ecological communities in multiple, unpredictable ways?
  3. Externalities: Is it unrealistic to suppose that any owner will take into account all the external effects of a given use?

The Court's implicit reasoning: Because of the intensity of social and ecological interdependence that characterizes flowing water, no owner can possibly account for all or even most of the external effects. The consequences of any given use are "both wildly unpredictable and profoundly felt" by the communities.

Example: If a factory owner uses groundwater for industrial processes, the impact on downstream ecosystems, drinking-water supplies, and future availability is too complex and uncertain for the owner to internalize through market transactions alone.

🔍 Distrust of the market for certain resources

Behind the German approach is "a certain level of distrust of the market as a reliable mechanism for serving the public good (Gemeinwohl) with respect to particular sorts of resources." The Court has been "remarkably solicitous of environmental regulations aimed at protecting natural resources that the Court has characterized as basic to human existence."

Don't confuse: This does not mean all natural resources are inherently public. The excerpt notes that land is also essential to life, yet private ownership of land is clearly recognized. The key is the combination of necessity, fugitive character, and externalities.