South Grand View Development Company, Inc. v. City of Alabaster, Alabama ( 2021 )


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  •       USCA11 Case: 18-14044     Date Filed: 06/21/2021     Page: 1 of 31
    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 18-14044
    ________________________
    D.C. Docket No. 2:13-cv-02183-MHH
    SOUTH GRANDE VIEW DEVELOPMENT COMPANY, INC.,
    Plaintiff-Appellee,
    versus
    CITY OF ALABASTER, ALABAMA,
    Defendant-Appellant.
    ________________________
    Appeal from the United States District Court
    for the Northern District of Alabama
    ________________________
    (June 21, 2021)
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    Before WILSON, BRANCH, and JULIE CARNES, Circuit Judges.
    BRANCH, Circuit Judge:
    This appeal arises from a jury verdict finding that a city’s rezoning of a land
    developer’s property constituted a regulatory taking without just compensation
    under the Fifth Amendment to the U.S. Constitution.1 The plaintiff, South Grande
    View Development Co. 2 (“SGV”), received an award of approximately $3.5
    million against the defendant, the City of Alabaster (“the City”).
    The City raises several issues on appeal, namely: (1) whether the just
    compensation claim was ripe for trial, (2) whether the district court improperly
    allowed evidence regarding the city’s motivation for enacting the zoning
    ordinance, and (3) whether the district court erred in admitting and excluding
    certain other types of evidence. After careful review of the record and the law, and
    with the benefit of oral argument, we affirm.
    I. Background
    SGV is a real estate development company. In 1994, SGV bought
    approximately 547 acres of land in the City of Alabaster for $1.65 million. The
    Master Plan for the development was submitted to and approved by the City in
    1
    We refer to a claim alleged under the Fifth Amendment for a regulatory taking without
    just compensation as a “just compensation” claim throughout this opinion.
    2
    When docketed below, the plaintiff’s name was incorrectly spelled “South Grand View”
    instead of “South Grande View.” The Clerk’s Office is hereby directed to correct the case
    caption to correctly reflect the spelling of the plaintiff’s name.
    2
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    1995, and was zoned as R-2 (90-foot wide single-family residences), R-4 (60-foot
    wide garden homes), and R-7 (townhomes). Most of the development was
    completed by 2008, but the 142-acre portion of the land at issue in this lawsuit,
    Sector 16, was one of the last phases of the development. Sector 16 was zoned
    predominantly for R-4 and R-7 with a small part as R-2.3 On December 5, 2011,
    however, the city rezoned Sector 16 for R-2 lots only.
    Accordingly, in December of 2013, SGV filed a lawsuit against the City
    pursuant to 
    42 U.S.C. §§ 1983
    , 1985(3), and 1988, alleging that the City had
    violated its rights under the Fifth Amendment because the rezoning “constitute[d]
    an unlawful taking of [its] property without just compensation therefor” and under
    the Fifth and Fourteenth Amendments for denial of procedural and substantive due
    process for the same taking. 4
    Before trial, both parties filed several motions in limine. Relevant to this
    appeal, the City moved to exclude any evidence challenging the zoning regulations
    3
    The portion of the purchase price for the 142 acres in Sector 16 was around $433,000.
    4
    The substantive due process claim alleged that “[t]he City has infringed upon [SGV]’s
    property interest in an arbitrary, capricious and irrational manner.” The procedural due process
    claim alleged that the City took SGV’s “property without providing a mechanism for just
    compensation under State law for a regulatory taking” and failed “to provide adequate notice of
    the change in zoning.”
    The Court granted the City’s motion to dismiss the substantive due process claim as
    subsumed by the procedural due process claim. After limited discovery into the process by
    which the ordinance was passed, the district court granted the City’s motion for summary
    judgment on the procedural due process claim. Only the just compensation claim went forward.
    3
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    as arbitrary and capricious, arguing that such evidence is irrelevant in a just
    compensation case. The City also moved to exclude any evidence regarding the
    value of SGV’s property as “lots,” since they were not legally lots at the time the
    ordinance was passed. SGV moved to exclude any evidence regarding
    foreclosures of SGV property after the date of the ordinance.
    The district court denied the City’s motions and granted SGV’s. First, the
    court noted that, in a just compensation case, the factfinder may consider evidence
    relating to the reason for the regulatory action to demonstrate that the decision was
    arbitrary. Second, the court ruled that SGV would be allowed to produce alternate
    methods of calculation for damages, such as “the cost of preparing the property at
    issue for R-4 lots,” if a fair market value was too difficult to ascertain on the date
    of the alleged taking. Finally, the court found that evidence regarding the damages
    in a just compensation case revolved around the query “what has the owner lost?”
    at the time of the taking. For this reason, the court allowed the City to introduce
    evidence regarding encumbrances on the property in existence at the time the
    ordinance was passed but not after.
    The City then filed a motion to reconsider the court’s pretrial ruling,
    reiterating its objections to evidence of the City’s motive in passing the ordinance
    and the “lot method” valuation of the property. For the first time, the City also
    4
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    argued that the case was not ripe for adjudication, since SGV had not sought
    variances from the zoning ordinance.
    The morning of trial, the court heard argument on the ripeness issue. The
    court found that the question was addressed squarely by Eleventh Circuit
    precedent, which held that a zoning ordinance was a final matter which could be
    adjudicated.5 The court also noted that the city had not rezoned the property back
    to its original R-4 designation since the commencement of the lawsuit (a period of
    about four years) which indicated the City’s decision was final.
    The evidence at trial, as relevant to this appeal, was largely undisputed.
    Kyle Wood, an engineer who consulted on the initial layout of Sector 16, testified
    that the site was originally zoned to have 321 R-4 or R-7 residences, with only 13
    R-2 lots. SGV commissioned a plan that was primarily for R-4 lots, with only the
    originally-zoned thirteen R-2 lots being built as R-2s. Wood testified that SGV
    “mass graded” (i.e., graded all at once) Sector 16 for R-4 lots, as compared to
    grading for R-2 lots which would have been individually graded. Wood also
    5
    In A.A. Profiles, Inc. v. City of Ft. Lauderdale, 
    850 F.2d 1483
    , 1487 (11th Cir. 1988)
    (hereinafter A.A. Profiles I), this court found that a “rezoning ordinance was a final decision by
    the City with respect to appellant’s property” and therefore held that the case was ripe for
    adjudication.
    5
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    provided testimony that it was not financially feasible to convert the lots to comply
    with the new zoning ordinance.6
    The jury heard testimony from David Cox, owner of a local residential and
    commercial construction company, that he previously was in a contract with SGV
    for 60 R-4 lots in 2005. He also testified that, if SGV had put those lots on the
    market again in 2011, he would have been interested in purchasing them for over
    $40,000 a lot, assuming certain infrastructure was put in place. Cox had no interest
    in purchasing R-2 lots.
    SGV called multiple current and former representatives from the City to
    testify. The former chairman of the planning and zoning board of Alabaster,
    Robert Shinpaugh, testified that this incident with SGV was the sole incident he
    could remember where the City had requested a rezoning from a previous zoning
    decision. The former chairman also testified that the board had been unaware of
    certain economic and geographic aspects of the property when it was rezoned.7
    6
    To convert the R-4 graded lots into R-2 lots, SGV had two options. First, SGV could
    merge every other R-4 lot into its neighbor, thereby cutting the lots in half but making the
    requisite plot size. The problem with that method, Wood said, was that the lot shape would
    require the house to be turned sideways to the street. The second method also involved having
    fewer lots but included bringing in additional dirt and a retaining wall to lengthen the amount of
    flat land available for building, which would add “considerable expense.” Wood estimated that
    this re-grading would cost $3.2 million dollars.
    7
    Specifically, the jury heard that when the board made its recommendation to rezone,
    Shinpaugh had not seen the property; was unaware of the grading work SGV had already done;
    did not discuss the impact of rezoning economically; did not consult the city engineer to see if it
    was feasible to construct R-2 homes on that topography; could not remember who submitted the
    application to rezone or why he signed it; and was generally unfamiliar with real estate
    6
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    The City’s mayor at the time relevant to this dispute testified that three people
    spoke against the rezoning at the Alabaster city council meeting where the
    ordinance was adopted. One of those people was the then-owner of SGV. A city
    council member, Tommy Ryals, testified that Sector 16 was originally zoned
    according to a master plan put out by the City. Ryals also testified regarding the
    City’s motivation for the rezoning.8
    The final witness that SGV called was Concetta Givianpour, the current
    owner of SGV. She testified that Sector 16 was the last sector of the purchased
    property to be developed. For years, SGV displayed in their sales center their
    master plan for the entire property, which for Sector 16 included only R-4 homes.
    In other words, they “made it known publicly” that Sector 16 was reserved for R-4
    garden homes. Givianpour also testified that SGV obtained a permit to develop the
    land from the Alabama Department of Environmental Management (ADEM), and
    development practices. On cross, Shinpaugh clarified that the zoning board did not typically
    consider the economic impact of its zoning regulations, and that some of the current residents of
    the neighborhood next to which Sector 16 was located supported the zoning change.
    8
    According to Ryals, the City was rezoned in order to avoid any townhomes (R-7) being
    built on the property. The City was aware that SGV planned only to build R-4 and R-2 homes
    but was worried that there would be a foreclosure and a change in ownership. Ryals spoke of the
    rezoning as simply a “starting point” to negotiate with the owner. On cross, Ryals testified that,
    in his opinion, the preliminary plat submitted by SGV in 2006 was rejected because there was
    not a second entrance, and that no revised preliminary plat was submitted by SGV thereafter.
    Ryals also testified about a letter from 2004 in which the City committed to “support” SGV’s
    request to rezone the R-7 portion of its property to R-4 as a result of discussions between SGV’s
    owner and the City.
    7
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    another permit from the City of Alabaster to clear and grade Section 16, in
    December of 2011, just before the zoning ordinance was passed.
    Besides the purchase price, Givianpour testified that SGV, by 2008, had
    spent a total of $3,532,849.19 to develop Sector 16. Givianpour explained that the
    reason SGV did not finish developing Sector 16 for several years was because the
    2008 recession hit the development industry, and they were going to wait until
    after the recession to continue developing. Givianpour testified that, by the end of
    2011, she saw the Alabama market returning.
    Givianpour testified that R-4 and R-7 are “highly coveted” zoning
    designations for a builder. By contrast, building R-2s was not economically
    feasible because it would require greater expenditures, would result in half the
    number of lots they expected to have, and would not result in marketable homes.
    Givianpour estimated the lots would have sold for $35,000 to $40,000 each before
    the rezoning, meaning that the fair market value of Sector 16 was $5.7 million on
    December 4, 2011. Givianpour estimated that, after the rezoning, the property was
    worth $200,000 on the theory that they could only sell the property to other
    homeowners in the neighborhood.
    The jury found that there was a regulatory taking without just compensation;
    that before the taking, the value of the property was $3,532,849.19; and after the
    taking, the value of the property was $500,000. The court added prejudgment
    8
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    interest of 6%, and entered a final judgment for SGV of $3,505,030.65. The City
    filed a notice of appeal, and the court granted a motion for stay while the appeal
    was pending.
    II. Standards of Review
    We review our own jurisdiction to hear a case, including questions of
    ripeness, sua sponte. Greenbriar, Ltd. v. City of Alabaster, 
    881 F.2d 1570
    , 1573
    n.7 (11th Cir. 1989). When a district court makes a jurisdictional ruling, we
    review legal conclusions de novo and factual determinations for clear error.
    Barnett v. Okeechobee Hosp., 
    283 F.3d 1232
    , 1238 (11th Cir. 2002).
    Evidentiary rulings are reviewed under an abuse of discretion standard.
    Haygood v. Auto-Owners Ins. Co., 
    995 F.2d 1512
    , 1515 (11th Cir. 1993). A
    district court abuses its discretion where its decision rests upon a clearly erroneous
    finding of fact, an erroneous conclusion of law, or an improper application of law
    to fact. Furcron v. Mail Centers Plus, LLC, 
    843 F.3d 1295
    , 1304 (11th Cir. 2016).
    “However, even a clearly erroneous evidentiary ruling will be affirmed if harmless.
    An error is harmless unless it affects the substantial rights of the parties.” 
    Id.
    (internal citation omitted).
    III. Discussion
    The City makes five arguments on appeal. First, that the just compensation
    claim was not ripe. Second, that the evidence tending to show the City acted in an
    9
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    arbitrary and capricious manner was irrelevant and prejudicial. Third, that
    evidence concerning the value of SGV’s property was irrelevant. Fourth, Cox’s
    testimony about how much he would have paid for hypothetical R-4 lots was
    irrelevant and prejudicial. Finally, that the City’s evidence regarding how SGV
    lost much of its property after the rezoning due to foreclosure was relevant and
    thus the district court erred in precluding it.
    A. Ripeness
    Ripeness, like standing, “present[s] the threshold jurisdictional question of
    whether a court may consider the merits of a dispute.” Elend v. Basham, 
    471 F.3d 1199
    , 1204 (11th Cir. 2006). “In order for [a just compensation] claim to be ripe
    for adjudication . . . [t]he landowner must obtain a final decision regarding the
    application of the zoning ordinance or regulation to his or her property[.]” Eide v.
    Sarasota Cty., 
    908 F.2d 716
    , 720–21 (11th Cir. 1990).9
    The City argues that the case was not ripe for trial because SGV never
    received any determination from the City as to the application of the zoning on the
    9
    We note that in addition to the finality requirement, Eide also set forth a second
    requirement for a just compensation claim to be ripe for adjudication—that the landowner must
    “utilize state procedures which provide for obtaining just compensation.” 
    908 F.2d at
    720–21.
    However, the Supreme Court overruled the state-litigation requirement in Knick v. Township of
    Scott, Pennsylvania, 
    139 S. Ct. 2162
    , 2167 (2019). Accordingly, a landowner is no longer
    required to pursue state procedures to secure just compensation under state law before bringing a
    Fifth Amendment just compensation claim in federal court. 
    Id.
     Thus, the fact that SGV did not
    pursue just compensation in state court does not affect our ripeness determination in this case.
    
    Id.
    10
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    property. In other words, the City argues that SGV has not satisfied the final
    decision requirement. See Williamson Cty. Reg’l Planning Comm’n v. Hamilton
    Bank of Johnson City, 
    473 U.S. 172
    , 186 (1985), overruled on other grounds by
    Knick v. Twp. of Scott, Pa., 
    139 S. Ct. 2162
     (2019) (“[A] claim that the application
    of government regulations effects a taking of a property interest is not ripe until the
    government entity charged with implementing the regulations has reached a final
    decision regarding the application of the regulations to the property at issue.”).
    The City centers its argument on our Eide decision, particularly one line
    from the opinion: “The final decision requirement includes a requirement that the
    property owner seek variances from the applicable regulations.” 
    908 F.2d at
    721
    (citing Williamson Cty., 
    473 U.S. at 188
    ). Thus, the City argues our case law
    requires SGV to have sought a variance from the zoning ordinance before pursuing
    the case in court.
    The City’s argument is unpersuasive for multiple reasons. First, our binding
    precedent holds that a zoning ordinance can itself be a final decision on the merits.
    See A.A. Profiles, Inc. v. City of Ft. Lauderdale, 
    850 F.2d 1483
    , 1487 (11th Cir.
    1988) (hereinafter A.A. Profiles I) (“Because the rezoning ordinance was a final
    decision by the City with respect to appellant’s property and because the Board
    does not review the City’s zoning decisions, we now address the merits of the
    11
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    takings claim.”). 10 Second, the factual scenario underlying this case is
    significantly different than that in Eide or Williamson County. See Eide, 
    908 F.2d at 727
     (“Decisions on ripeness issues are fact-sensitive.”).
    The final decision requirement is a well-established component of federal
    ripeness law. In Williamson County, a county changed its zoning ordinances to
    “require that calculations of allowable density exclude 10% of the total acreage to
    account for roads and utilities.” 
    473 U.S. at 178
    . This new density calculation
    interfered with a subdivision already in the process of being built by the plaintiff.
    
    Id.
     at 179–80. In this posture, the Supreme Court found that “[i]t appears that
    variances could have been granted to resolve at least five of the Commission’s
    eight objections to the plat” and that the plaintiff should have applied for those
    variances. 
    Id.
     at 187–88. In Eide, similarly, a county adopted a “comprehensive
    plan . . . to map out the future development of land in the County.” 
    908 F.2d at 719
    .11 The plaintiff in Eide challenged the general sector plan as applied to his
    property without requesting that his property be rezoned. See 
    id.
     at 719–20. We
    noted that the “[m]ere adoption of a sector plan does not change the zoning of any
    10
    Though we do not believe A.A. Profiles I conflicts with Eide, to the extent the City
    argues that it does, we are required to follow A.A. Profiles I, as it is the older precedent. See
    Walker v. Mortham, 
    158 F.3d 1177
    , 1188–89 (11th Cir. 1998).
    11
    Eide dealt with a challenge to the regulation itself, the “arbitrary and capricious” type
    of challenge noted above. See 
    908 F.2d at 722
    . Because “different standards of ripeness”
    govern different types of challenges, 
    id.,
     Eide is not dispositive for this just compensation claim,
    but we find the factual situation instructive.
    12
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    of the properties involved,” 
    id. at 719
     (emphasis in original), and that “[i]n order to
    challenge the County’s application of the sector plan to his property, Eide must
    first demonstrate that the sector plan has been applied to his property.” 
    Id. at 724
    (emphasis in original).
    In both Eide and Williamson County, then, there was a general plan for a
    large portion of the county that only coincidentally ended up affecting a discrete
    portion of property owned by each plaintiff. That situation implicated the final
    decision concern noted in A.A. Profiles I:
    On numerous occasions the Supreme Court has noted that a takings
    claim based on the application of a governmental regulation “is not
    ripe [for adjudication] until the government entity charged with
    implementing the regulations has reached a final decision regarding
    the application of the regulations to the property at issue.” This
    finality requirement is necessary so that the court can evaluate the
    “economic impact” and the extent of interference with “reasonable
    investment-backed expectations” by the challenged state action.
    A.A. Profiles I, 
    850 F.2d at 1486
     (alteration in original) (internal citations omitted)
    (quoting Williamson Cty., 
    473 U.S. at 186, 191
    ). The zoning ordinances in
    Williamson County and Eide were not “final decisions” in the sense that the county
    had not decided how it was going to apply a broad, county-wide zoning ordinance
    or regulation to a specific piece of property owned by the plaintiff.
    The facts of this case are quite different. The City engaged in discussions
    with SGV for years about what SGV was going to do with Sector 16. Then the
    recession hit, and the City began to hear complaints from neighbors adjacent to
    13
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    Sector 16 who were worried that SGV would lose the property through foreclosure
    and another builder would ruin the aesthetic value of the neighborhood. In
    response, the City passed a specific ordinance that targeted precisely and only
    Sector 16. Moreover, it passed the ordinance over objection by SGV. In this case,
    there was no ambiguity as to how a general plan would be applied to a specific
    project—the zoning ordinance itself was the City’s final decision on the matter.
    See A.A. Profiles I, 
    850 F.2d at 1487
    . This factual distinction between a targeted
    zoning ordinance where the plaintiff contested the application to his or her land,
    and a general ordinance where a plaintiff has not asked the city to rezone his or her
    property, harmonizes the A.A. Profiles I and Eide decisions. See Strickland v.
    Alderman, 
    74 F.3d 260
    , 266 (11th Cir. 1996) (“Decisions on ripeness are fact
    sensitive.” (quoting Eide, 
    908 F.2d at 727
    )); see also Reahard v. Lee Cty., 
    30 F.3d 1412
    , 1415 (11th Cir. 1994) (“In most cases, no ‘final decision’ has been reached
    until an aggrieved landowner has applied for at least one variance to a contested
    zoning ordinance.” (emphasis added) (citing Williamson, 
    473 U.S. at 186
    )).
    The other case on which the City relies, MacDonald, Sommer & Frates v.
    Yolo County, 
    477 U.S. 340
     (1986), is inapposite to the facts here. In that case, the
    plaintiff filed a just compensation claim against a county planning commission
    immediately after the commission rejected plaintiff’s proposed subdivision plan.
    See 
    id.
     at 342–43. The MacDonald court held that the plaintiff, by “submit[ting]
    14
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    one subdivision proposal and . . . receiv[ing] the Board’s response thereto,” had not
    received a “final, definitive position regarding how [the commission] will apply
    the regulations at issue to the particular land in question.” 
    Id. at 351
     (quoting
    Williamson Cty., 
    473 U.S. at 191
    ). Unlike the present case, then, the county had
    not clearly spoken as to how the zoning ordinance would be applied to the subject
    property because the plaintiff had not sought such an answer. Here, we have a
    different issue: whether the City’s zoning ordinance for Sector 16 affected the
    economic value of that property so greatly as to constitute a taking. See
    Greenbriar, Ltd. v. City of Alabaster, 
    881 F.2d 1570
    , 1576 (11th Cir. 1989) (“As
    there is no uncertainty regarding the level of development that would be permitted,
    MacDonald’s reapplication requirement serves no purpose here.” (citing
    MacDonald, 
    477 U.S. at
    352 n.8)).
    In summary, the zoning ordinance that specifically targeted the plaintiff’s
    property—over SGV’s objection and without means of relief under Alabama
    15
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    law 12—was a final decision on the matter such that the case is ripe. 13 See
    Palazzolo v. Rhode Island, 
    533 U.S. 606
    , 620 (2001) (“While a landowner must
    give a land-use authority an opportunity to exercise its discretion, once . . . the
    permissible uses of the property are known to a reasonable degree of certainty, a
    takings claim is likely to have ripened.”).
    12
    Even assuming arguendo the City’s decision was not final, we still hold that this case
    is ripe because of the futility exception: “An exception to the final decision requirement exists
    where it would be futile for the plaintiff to pursue a final decision.” Strickland, 
    74 F.3d at 265
    .
    In Greenbriar, we analyzed a takings claim where a zoning ordinance was construed as a “final
    zoning decision[]” under the finality doctrine. 
    881 F.2d at 1573
    . Greenbriar involved the exact
    same city as this case (Alabaster, Alabama) and based its decision, in part, on that city’s
    governmental structure. See 
    id. at 1572
    . We held the plaintiff “did not fail to secure any
    variances which might be available” because “there are no variances available under the
    applicable local law which could change the zoning classification of the property.” 
    Id. at 1575
    .
    We also noted that the structure of Alabama law prohibited the local zoning board from
    modifying an ordinance to rezone a tract of land. 
    Id.
     at 1575 n.9; see also 
    Ala. Code § 11-52
    -
    80(d)(3) (1975). Thus, we concluded, Alabaster’s zoning decision was necessarily final. See
    Greenbriar, 
    881 F.2d at 1575
    . As SGV argues, Alabama law still does not have a process
    through which variances can change zoning ordinances. Alabama law empowers the board of
    adjustment to “authorize upon appeal in specific cases such variance from the terms of the
    ordinance as will not be contrary to the public interest.” 
    Ala. Code § 11-52-80
    (d)(3). However,
    those variances must “not be contrary to the public interest” and must ensure “the spirit of the
    ordinance shall be observed.” 
    Id.
     These criteria show that the variance cannot undo an
    ordinance; given that the ordinance here was for only Sector 16, a variance for Sector 16 would
    plainly not be within “the spirit of the ordinance.” Therefore, on the record before us, the case is
    ripe for adjudication under the futility doctrine.
    13
    The City also argues that the case is not ripe because SGV failed to exhaust its
    administrative remedies. But in non-prisoner civil cases, such as here, “exhaustion of state
    administrative remedies [is] not [] required as a prerequisite to bringing an action pursuant to §
    1983.” Patsy v. Bd. of Regents of State of Fla., 
    457 U.S. 496
    , 516 (1982); Knick, 
    139 S. Ct. at 2179
     (finding that States are “[not] free to require plaintiffs to exhaust administrative remedies
    before bringing constitutional claims”); see also Greenbriar, 
    881 F.2d at
    1574 n.8 (“Thus,
    exhaustion of administrative remedies is not required either for a takings claim or for a
    substantive due process claim.”). The City’s claim that the matter was not ripe due to SGV’s
    failure to exhaust administrative remedies fails as a matter of law.
    16
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    B. Evidence Regarding the City’s Motive
    The City next argues that, by permitting evidence regarding the City’s
    reasoning for passing the zoning ordinance (hereinafter referred to as the City’s
    “motivation”), the court allowed an “arbitrary and capricious” challenge to the
    ordinance, which is proper only under a substantive-due-process claim, not
    aregulatory-taking-without-just-compensation claim. Essentially, the City invites
    us to recognize a categorical rule which would exclude all evidence regarding why
    a zoning ordinance was passed in just compensation trials. This we cannot do.
    While we agree with the City that some of the evidence presented below went
    beyond what was relevant to the just compensation claim, we disagree that all the
    evidence regarding why and how the City passed the zoning ordinance was
    irrelevant. Moreover, given the record before us, we find any error in the
    admission of irrelevant evidence harmless.
    1. Relevance of the Evidence
    Evidence is relevant if it has any tendency to make any fact which is of
    consequence in determining the action more or less probable than it would be
    without the evidence. Fed. R. Evid. 401. As we have noted before, “[t]he standard
    for what constitutes relevant evidence is a low one.” United States v. Tinoco, 
    304 F.3d 1088
    , 1120 (11th Cir. 2002). “Relevant evidence” in a takings case includes
    anything related to the value of the property taken. United States v. Certain Land
    17
    USCA11 Case: 18-14044        Date Filed: 06/21/2021    Page: 18 of 31
    at Irving Place & 16th St., 
    415 F.2d 265
    , 271 (2d Cir.), amended sub nom. United
    States v. Certain Land, Irving Place & 16th St., 
    420 F.2d 370
     (2d Cir. 1969).
    Relevant evidence can also include the “circumstances under which a plaintiff’s []
    property was confiscated” that underlie the takings claim. Paalan v. United States,
    
    58 Fed. Cl. 99
    , 102 (2003).
    The City’s argument that delving into the reasons for the zoning ordinances
    was an irrelevant inquiry is based primarily on Eide, wherein this court recognized
    “four types of challenges which a plaintiff may bring” to a regulation affecting his
    or her property under the Fifth Amendment. Eide, 
    908 F.2d at 720
    . “We refer to
    these claims as just compensation, due process takings, arbitrary and capricious
    due process, and equal protection claims.” 
    Id.
     For an arbitrary and capricious
    claim, “a plaintiff may argue that the regulation is arbitrary and capricious, does
    not bear a substantial relation to the public health, safety, morals, or general
    welfare, and is therefore an invalid exercise of the police power.” 
    Id. at 721
    .
    While Eide certainly established different types of takings claims, and
    acknowledged that “[t]his court has itself confused due process takings and
    arbitrary and capricious due process claims,” Eide stated that the danger of this
    “confusion” is that it “may result in incorrect analyses of cases because different
    standards of ripeness are required for each” type of claim. 
    Id.
     at 722–23
    (emphasis added). Eide’s four categories, therefore, are primarily concerned with
    18
    USCA11 Case: 18-14044       Date Filed: 06/21/2021    Page: 19 of 31
    factual scenarios of ripeness; we did not hold that different types of claims require
    completely separate types of evidence. Indeed, it is inevitable that there is some
    crossover in evidence between the different categories of takings claims. For
    example, in A.A. Profiles I, we addressed a just compensation claim by analogizing
    to a case dealing with an arbitrary and capricious claim. 
    850 F.2d at 1488
     (quoting
    Wheeler v. City of Pleasant Grove (Wheeler I), 
    664 F.2d 99
    , 100 (5th Cir. Unit B
    Dec. 1981)).
    Thus, these cases demonstrate that the line between evidence relevant to
    show a just compensation claim and evidence relevant to show an arbitrary and
    capricious claim will not always be cleanly divisible. This overlap is especially
    true in jury trials, where the need for contextual evidence sometimes requires the
    court to admit evidence regarding the process of passing the regulation. See, e.g.,
    Whitehead v. Bond, 
    680 F.3d 919
    , 930 (7th Cir. 2012) (“Even where evidence is
    not directly related to a disputed fact, it may be relevant when it provides
    background information.”); Fisher v. Procter & Gamble Mfg. Co., 
    613 F.2d 527
    ,
    540–41 (5th Cir. 1980) (upholding judge’s decision to allow in evidence of
    discrimination not directly relevant to plaintiff’s employment discrimination claim
    because “[t]horough and coherent consideration of the plaintiff’s claims would
    necessarily require the recognition of various factors which carry no independent
    legal consequences”).
    19
    USCA11 Case: 18-14044         Date Filed: 06/21/2021      Page: 20 of 31
    2. Specific Motive Evidence is Irrelevant Pursuant to the Penn Central Factors
    Our review of the record demonstrates that some of the motivation evidence
    admitted by the district court indubitably went beyond providing mere context.
    The district court admitted evidence of the City’s motivation based on language
    from our precedent in A.A. Profiles I: “For there to be a taking in this case the
    City’s action must have failed to substantially advance a legitimate state interest.
    A government regulation will constitute a taking if it is ‘not reasonably necessary
    to the effectuation of a substantial public purpose . . .’” 
    850 F.2d at
    1487 (citing
    Penn Cent. Transp. Co. v. City of New York, 
    438 U.S. 104
    , 127 (1978)). The A.A.
    Profiles I decision was based on Penn Central, the landmark Supreme Court case
    that set out three factors factfinders should consider when determining whether a
    zoning ordinance constitutes a taking: “The economic impact of the regulation on
    the claimant and, particularly, the extent to which the regulation has interfered with
    distinct investment-backed expectations are, of course, relevant considerations.
    So, too, is the character of the governmental action.” Penn Cent., 
    438 U.S. at 124
    .
    The district court thus found that the evidence was relevant under one of the Penn
    Central factors. 14
    14
    We assume for purposes of this analysis that the motivation of the City was understood
    to fall under the “character of the government action” factor, as SGV urges on appeal. But we
    note the district court did not explicitly state this theory in its ruling from the bench.
    20
    USCA11 Case: 18-14044         Date Filed: 06/21/2021       Page: 21 of 31
    Based on our precedent, the district court had additional reasons to classify
    the evidence as pertaining to the Penn Central factors. We previously defined the
    “character of the government action” to include the “nature of the state’s interest”
    in the regulation. See Vesta Fire Ins. Corp. v. State of Fla., 
    141 F.3d 1427
    , 1433
    (11th Cir. 1998) (“But the nature of the state’s interest is critical in determining
    whether a taking has occurred. When important public interests are served, a
    taking is less likely to have occurred.”); see also 
    id.
     (finding that proper analysis of
    a takings claim includes a “necessary study of competing interests”); A.A. Profiles,
    Inc. I, 
    850 F.2d at 1488
     (considering in part the alternatives to re-zoning available
    to the city while analyzing whether its action constituted a taking). However
    permissive our rule on what constitutes the “character of the government’s action”
    has been, we now must recognize that the precedent on which the district court
    relied has been abrogated. 15
    15
    Our precedent on this issue seemed backed by Supreme Court precedent at the time it
    was issued. In Connolly v. Pension Benefit Guaranty Corporation, the Court analyzed as the
    “nature of the government action” the fact that the regulation “arises from a public program that
    adjusts the benefits and burdens of economic life to promote the common good and, under our
    cases, does not constitute a taking requiring Government compensation.” 
    475 U.S. 211
    , 225
    (1986). And in Palazzolo, the Supreme Court seemed to indicate that the Penn Central factors
    themselves seem to require at least examination of the purpose of the regulation: “These
    inquiries [into the Penn Central factors] are informed by the purpose of the Takings Clause,
    which is to prevent the government from ‘forcing some people alone to bear public burdens
    which, in all fairness and justice, should be borne by the public as a whole.’” Palazzolo, 
    533 U.S. at
    617–18 (quoting Armstrong v. United States, 
    364 U.S. 40
    , 49 (1960)). These Supreme
    Court cases, however, predate Lingle v. Chevron U.S.A. Inc., 
    544 U.S. 528
     (2005), the case
    which abrogates our prior conclusions on what evidence is considered relevant to the “character
    of the government action.”
    21
    USCA11 Case: 18-14044       Date Filed: 06/21/2021    Page: 22 of 31
    In 2005, the Supreme Court addressed whether the phrase “substantially
    advances a legitimate government interest” was “valid[] as a freestanding takings
    test.” Lingle v. Chevron U.S.A. Inc., 
    544 U.S. 528
    , 540 (2005). The Court found it
    was not: “We conclude that this formula prescribes an inquiry in the nature of a
    due process, not a takings, test, and that it has no proper place in our takings
    jurisprudence.” 
    Id.
     The Lingle court explicitly rejected the argument that the Penn
    Central factor of the “character of government action” addressed the purpose of
    the regulation:
    In addition, the “character of the governmental action”—for instance
    whether it amounts to a physical invasion or instead merely affects
    property interests through “some public program adjusting the
    benefits and burdens of economic life to promote the common
    good”—may be relevant in discerning whether a taking has
    occurred. . . [E]ach of these [Penn Central factors] focuses directly
    upon the severity of the burden that government imposes upon private
    property rights.
    Lingle, 
    544 U.S. at 539
     (quoting Penn Central, 
    438 U.S. at 124
    ). In explaining
    why a takings claim should focus exclusively on the severity of the government
    intrusion and not the purpose of that intrusion, the Court stated:
    an inquiry [into the purpose of regulation] is logically prior to and
    distinct from the question [of] whether a regulation effects a taking,
    for the Takings Clause presupposes that the government has acted in
    pursuit of a valid public purpose. The Clause expressly requires
    compensation where government takes private property “for public
    use.” It does not bar government from interfering with property
    rights, but rather requires compensation “in the event of otherwise
    proper interference amounting to a taking.” Conversely, if a
    government action is found to be impermissible—for instance because
    22
    USCA11 Case: 18-14044          Date Filed: 06/21/2021         Page: 23 of 31
    it fails to meet the “public use” requirement or is so arbitrary as to
    violate due process—that is the end of the inquiry. No amount of
    compensation can authorize such action.
    Lingle, 
    544 U.S. at
    542–43 (emphases removed) (quoting First English
    Evangelical Lutheran Church of Glendale v. Los Angeles Cty., Cal., 
    482 U.S. 304
    ,
    315 (1987)). Lingle, then, abrogates our case law which held that for a taking to
    have occurred, the fact finder must examine whether the city’s action was
    “reasonably necessary to the effectuation of a substantial public purpose.” A.A.
    Profiles I, 
    850 F.2d at 1487
     (quoting Penn Central, 
    438 U.S. at 127
    ). Instead, for
    just compensation claims, the “character of the government action” is another way
    to examine the severity of the government interference with property rights.
    Lingle, 
    544 U.S. at 539
    .16 Lingle changed the type of inquiry permitted in a just
    compensation claim, and abrogated our earlier precedent permitting an inquiry into
    the rationale behind the regulation. See Rose Acre Farms, Inc. v. United States,
    16
    We are not the first circuit to conclude that Lingle changes the type of claim falling
    under the just compensation portion of the takings clause:
    In concluding the “substantially advances” theory was not appropriate under the
    Takings Clause, the Supreme Court explained that the Takings Clause merely
    requires compensation for an otherwise valid governmental interference with
    private property rights. It does not, in and of itself, provide a cause of action for
    allegations that the interference with property rights is arbitrary or irrational, a
    theory that instead resembles a due process claim.
    Alto Eldorado P’ship v. Cty. of Santa Fe, 
    634 F.3d 1170
    , 1175 (10th Cir. 2011) (citing Lingle,
    
    544 U.S. at 543
    ); see also Rose Acre Farms, Inc. v. United States, 
    559 F.3d 1260
    , 1277 (Fed. Cir.
    2009) (“[Lingle]’s language itself signals the change in the law.”); Spoklie v. Montana, 
    411 F.3d 1051
    , 1057 (9th Cir. 2005) (dismissing a ballot initiative takings challenge as using the abrogated
    “substantially advances a legitimate public purpose” test).
    23
    USCA11 Case: 18-14044        Date Filed: 06/21/2021       Page: 24 of 31
    
    559 F.3d 1260
    , 1278 (Fed. Cir. 2009) (“Thus, we can confidently say that, under
    Lingle, the regulatory takings paradigm has changed. We can no longer ask
    whether the means chosen by government advance the ends or whether the
    regulation chosen is effective in curing the alleged ill. All those concerns, albeit
    relevant concerns in many cases dealing with governmental regulations, are now
    confined to a substantive due process inquiry.”).
    The district court’s reliance on our abrogated precedent is perhaps
    understandable. 17 Until today, we had not yet recognized that the Supreme Court
    overruled this aspect of our just compensation case law. And because we find
    below that any error the district court made in admitting evidence under the Penn
    Central factors regarding motivation which was not necessary for context was
    17
    Neither, however, should our holding today come as a shock. Some of our other pre-
    Lingle precedent seemed to anticipate the Supreme Court’s distinction between due process
    claims that challenge the public necessity of a regulation and a just compensation claim under
    the Takings Clause:
    Technically, the fifth amendment’s just compensation clause is not applicable
    where there has been no “public use.” Such may be the case where, as here, the
    land use regulation that effected the taking was not enacted in furtherance of the
    public health, safety, morals, or general welfare. The affected landowner may
    nevertheless have a damage cause of action under section 1983 since the taking
    may violate his fourteenth amendment rights to due process. Regardless of which
    constitutional provision a taking falls under, the measure of damages to which the
    aggrieved landowner is entitled is the same.
    Wheeler v. City of Pleasant Grove, 
    833 F.2d 267
    , 270 n.3 (11th Cir. 1987) (hereinafter Wheeler
    III) (citation omitted); see also A.A. Profiles II, 253 F.3d at 583 (recognizing that if a
    government’s “regulation is not enacted in furtherance of the public health, safety, morals, or
    general welfare,” then there is “no Fifth Amendment taking”).
    24
    USCA11 Case: 18-14044        Date Filed: 06/21/2021   Page: 25 of 31
    harmless, the admission of evidence regarding the City’s motivation was not
    reversible error.
    3. Harmless Error
    Erroneous evidentiary rulings in a just compensation case, as in all civil
    cases, are subject to harmless error review. See Fed. R. Civ. P. 61 (“Unless justice
    requires otherwise, no error in admitting or excluding evidence—or any other error
    by the court or a party—is ground for granting a new trial, for setting aside a
    verdict, or for vacating, modifying, or otherwise disturbing a judgment or order.
    At every stage of the proceeding, the court must disregard all errors and defects
    that do not affect any party’s substantial rights.”).
    In the just compensation context, an evidentiary error is harmless if there is
    no demonstrable effect on the ultimate verdict or other prejudice to the appellant.
    See United States v. 158.24 Acres of Land, 
    696 F.2d 559
    , 564 (8th Cir. 1982) (“We
    turn then to consideration of the prejudice, if any, resulting from the offending
    testimony, for we recognize that admission of evidence to some extent is
    discretionary, and we are mindful of the harmless error rule as applied to jury
    cases. Moreover, we commonly sustain [just compensation] awards that are
    ‘within the scope of the evidence.’” (quoting United States v. 9.20 Acres of Land,
    
    638 F.2d 1123
    , 1126 (8th Cir. 1981) (internal citations omitted))); United States v.
    25
    USCA11 Case: 18-14044         Date Filed: 06/21/2021       Page: 26 of 31
    191.07 Acres of Land, 
    482 F.3d 1132
    , 1137 (9th Cir. 2007) (holding error harmless
    when appellant failed to identify the particular harm in a just compensation case).18
    We find any error here harmless because substantial, permissible evidence
    produced at trial supports the jury’s verdict. It was undisputed that developing
    Sector 16 into R-2 was not economically feasible. It was undisputed also that the
    rezoning occurred after SGV spent a significant sum of money preparing the
    property for R-4 homes. The only evidence regarding the value of the property
    before and after the zoning was brought by SGV—in fact, the City did not call any
    witnesses. The evidence clearly supported a finding that a taking occurred.
    Further, the jury awarded an amount that was about $2.5 million dollars less than
    SGV’s estimate—the only estimate provided to the jury. City has not
    demonstrated any prejudice resulting from the erroneous admission of testimony
    regarding the City’s motive.19
    18
    Because we have not previously ruled on a just compensation case where the evidence
    relating to a decision maker’s motivation in passing an ordinance was erroneously admitted
    based on abrogated precedent, we necessarily are guided in this analysis by our sister circuits.
    19
    To the extent that the City bases its argument for harmful error on SGV’s closing
    argument, the record demonstrates that the jury was specifically instructed that “anything the
    lawyers have said in their opening statements, their questions, their objections, the closing
    arguments that they are about to make, these things are not evidence and counsel’s statements are
    not binding on you.” We also note that the amount of argument dedicated to the City’s
    motivation, and the amount of evidence that came in over the course of the four-day trial that
    was improper, was de minimis. See Bailey v. S. Pac. Transp. Co., 
    613 F.2d 1385
    , 1389 (5th Cir.
    1980) (“Even assuming the trial court erred in not sustaining defendant’s objection, the doctrine
    of harmless error surely encompasses one statement during the course of a two day trial . . . .”).
    Finally, portions of SGV’s argument could be construed as going to the “severity of the burden
    26
    USCA11 Case: 18-14044        Date Filed: 06/21/2021       Page: 27 of 31
    C. Evidence Regarding the Value of Sector 16
    The City next argues that the district court committed reversible error by
    admitting “hypothetical values” of Sector 16. The City objects to SGV’s valuation
    of the property as though the entirety of Sector 16 was previously zoned R-4 when
    in truth a small portion of it was actually zoned R-2 or R-7.20 The City also objects
    to SGV’s use of the “lot method” of valuation on “raw land,” suggesting that it
    results in valuations that are too speculative. The City has waived these
    arguments.
    The City raises its argument regarding the use of R-4 lot values for lots
    zoned R-2 and R-7 for the first time on appeal. Although the City filed a motion in
    limine to preclude certain valuation evidence, and the City objected to opposing
    counsel speaking about the value of the lots in opening arguments, those two
    objections were not sufficient to preserve this issue because the substance of the
    City’s objection was quite different from what it now argues. At trial, the City
    objected that a contract from 2005 was being used as a basis to calculate lots in
    2011. In the motion in limine, the City argued that the disputed 2005 contract
    could not serve as a basis for the value of the property because the lots did not
    that [the] government impose[d]” on SGV, which is consistent with the Penn Central factors.
    Lingle, 
    544 U.S. at 539
    .
    20
    To be clear, the jury did not specify how it reached the amount of compensation it
    awarded. The number it awarded was lower than the figure SGV calculated.
    27
    USCA11 Case: 18-14044           Date Filed: 06/21/2021        Page: 28 of 31
    “legally exist,” as the preliminary plat was never approved, and did not “physically
    exist,” because the relevant infrastructure was not in place. These objections went
    to the attenuation of the evidence over time and the lack of work SGV had done on
    the property. On appeal, the City argues that not all the lots were zoned R-4, so it
    was error to allow evidence regarding the value of R-4 lots to serve as the
    valuation basis for all of Section 16. The City points to no place in the record
    below where it made that particular argument, and our review of the record does
    not reveal such an objection. See Fed. R. Evid. 103 (to preserve an objection, the
    party must “state[] the specific ground” for the objection).
    As to the City’s second ground, that the “lot method” of valuation is
    inappropriate for raw land, the timing of that objection was insufficient to preserve
    the issue. The City objected on that ground only in a motion in limine. But “[t]he
    overruling of a motion in limine is not reversible error; only a proper objection at
    trial can preserve error for appellate review.” Hendrix v. Raybestos-Manhattan,
    Inc., 
    776 F.2d 1492
    , 1504 (11th Cir. 1985) (quoting Collins v. Wayne Corp., 
    621 F.2d 777
    , 784 (5th Cir. 1980)). We therefore decline to consider this waived
    argument on appeal. 21
    21
    We note that, even if either argument were not waived, the City would have likely been
    unsuccessful, as our abuse of discretion review is highly deferential. See Nat’l Hockey League v.
    Metro. Hockey Club, Inc., 
    427 U.S. 639
    , 642 (1976) (noting that, under an abuse of discretion
    standard, an appellate court is not to substitute its judgment for that of the district court’s so long
    as there is a basis for the district court’s decision).
    28
    USCA11 Case: 18-14044    Date Filed: 06/21/2021    Page: 29 of 31
    D. Evidence from Cox about Desire to Purchase Lots
    The City also argues that it was error for the district court to allow Cox to
    testify that he would have been interested in making an offer for SGV’s R-4 lots,
    but not R-2 lots, if they were back on the market in 2011. We find no error here.
    That evidence was relevant to SGV’s just compensation claim—that they lost
    property through the rezoning from R-4 to R-2 because (1) there was not a market
    for the type of R-2 they would have to build to comply with the zoning ordinances,
    and (2) R-4 zoning was more “coveted” by prospective builders. Cox’s testimony
    was also relevant to show there was a potential market for the lots designated R-4
    in 2011 before the rezoning occurred. As another circuit has noted,
    [t]he landowner is . . . entitled to have the fact finder take into
    consideration all factors of value that would affect the market value of
    the property. From the landowner’s standpoint, a factor of value
    would be anything that would induce a reasonable seller to demand
    more for the property and would induce a reasonable buyer to pay
    more on account of the existence of the value factor.
    United States v. 91.90 Acres of Land, 
    586 F.2d 79
    , 87 (8th Cir. 1978). A favorable
    zoning designation, and interest from a potential buyer, are both such factors.
    Finally,
    [i]n determining what a hypothetical willing buyer would give for
    property, courts often look to actual, comparable sales on the open
    market between other willing buyers and sellers. “Generally, the
    more comparable a sale is, the more probative it will be of the fair
    market value of the condemned property.” “Sound and just trial
    practice is to admit as many of the most comparable sales available as
    29
    USCA11 Case: 18-14044         Date Filed: 06/21/2021    Page: 30 of 31
    is necessary to fairly permit each side to present its argument of fair
    market value for the jury’s consideration.”
    480.00 Acres of Land, 557 F.3d at 1307 (quoting United States v. 320 Acres, 
    605 F.2d 762
    , 781 n.23, 798 (5th Cir. 1979)). Thus, the court was committing “sound
    and just trial practice” in admitting evidence of a sale, or at least interest in a sale,
    that was “most comparable” to the situation at hand, since it was for the disputed
    lots themselves. See 320.0 Acres of Land, 
    605 F.2d at
    798–99 (defining
    “comparability” as a combination of “three variables: characteristics of the
    properties, their geographic proximity to one another, and the time differential.”);
    United States v. Deist, 
    442 F.2d 1325
    , 1327 (9th Cir. 1971) (“Whether or not a sale
    constitutes a comparable sale so as to constitute evidence of value is within the
    sound discretion of the trial court.” (quoting United States v. Eden Mem’l Park
    Ass’n, 
    350 F.2d 933
    , 935 (9th Cir. 1965))). The admission of Cox’s testimony was
    not an abuse of discretion.
    E. Precluding Evidence of Post-Ordinance Foreclosures
    Finally, the City argues that it was error to preclude evidence that SGV was
    about to lose the property to banks in foreclosure before the rezoning. The City
    admits, however, that the foreclosures occurred after the rezoning. The exclusion
    of the evidence was not an abuse of discretion because it was not relevant to
    SGV’s just compensation claim. See A.A. Profiles, Inc. v. City of Fort Lauderdale,
    
    253 F.3d 576
    , 585 (11th Cir. 2001) (hereinafter A.A. Profiles II) (holding that it
    30
    USCA11 Case: 18-14044         Date Filed: 06/21/2021       Page: 31 of 31
    was an abuse of discretion to admit testimony regarding the company’s financial
    ability to develop the property after the taking because “the relevant inquiry is not
    whether [the property owner] would have been successful in proceeding with its
    business, but to what extent the City’s actions diminished the property’s market
    value”). 22
    IV. Conclusion
    This case demonstrates the particularity with which jurisdictional questions
    such as ripeness turn on the specific facts of the case. We find that the City took a
    final position on how the Sector 16 could be used, and therefore the case is ripe for
    adjudication. Although it may have been error for the district court to allow some
    evidence of the City’s motivation beyond that which was necessary to provide
    context, we find that the error was harmless. Finally, we find that the district court
    did not abuse its discretion regarding the other evidentiary objections.
    AFFIRMED.
    22
    The City argues that A.A. Profiles II is distinguishable from this case because the
    property here was not being developed. Whether the property was in the midst of active
    development does not affect the relevancy of testimony regarding SGV’s financial status as it
    pertains to this property’s value. And further, the record contradicts the City’s assertion. SGV
    had already paid $2.6 million dollars to have the property graded. It is true that there was a
    hiatus in operations due to the recession, but the owner of SGV testified that they were beginning
    to explore the market again in 2011. In fact, SGV went through the process of getting an
    environmental building permit just days before the regulation in this case was promulgated.
    31
    

Document Info

Docket Number: 18-14044

Filed Date: 6/21/2021

Precedential Status: Precedential

Modified Date: 6/22/2021

Authorities (41)

Alto Eldorado Partnership v. County of Santa Fe , 634 F.3d 1170 ( 2011 )

United States v. Pedro Luis Christopher Tinoco , 304 F.3d 1088 ( 2002 )

Vesta Fire Ins. v. State of Florida , 141 F.3d 1427 ( 1998 )

Donald E. Haygood, Sr. v. Auto-Owners Insurance Company , 995 F.2d 1512 ( 1993 )

Aubrey Hendrix v. Raybestos-Manhattan, Inc. , 776 F.2d 1492 ( 1985 )

A.A. Profiles, Inc. v. City of Ft. Lauderdale , 850 F.2d 1483 ( 1988 )

A.A. Profiles, Inc. v. The City of Fort Lauderdale , 253 F.3d 576 ( 2001 )

Adam Elend v. Sun Dome, Inc. , 471 F.3d 1199 ( 2006 )

Charles Barnett v. Okeechobee Hospital , 283 F.3d 1232 ( 2002 )

Richard Reahard Ann P. Reahard v. Lee County , 30 F.3d 1412 ( 1994 )

Elling O. Eide v. Sarasota County, a Political Subdivision ... , 908 F.2d 716 ( 1990 )

Strickland v. Alderman , 74 F.3d 260 ( 1996 )

joseph-wheeler-clarice-wheeler-cliff-development-corporation-and-s-s , 833 F.2d 267 ( 1987 )

78-fair-emplpraccas-bna-573-12-fla-l-weekly-fed-c-193-diann , 158 F.3d 1177 ( 1998 )

Patricia Ann Phelps Bailey v. Southern Pacific ... , 613 F.2d 1385 ( 1980 )

united-states-of-america-plaintiff-appellant-appellee-v-certain-land , 420 F.2d 370 ( 1969 )

Joseph Wheeler, Cross v. City of Pleasant Grove, a ... , 664 F.2d 99 ( 1981 )

Dennis FISHER, Plaintiff-Appellee, v. PROCTER & GAMBLE ... , 613 F.2d 527 ( 1980 )

United States v. 320.0 Acres of Land, More or Less in the ... , 605 F.2d 762 ( 1979 )

greenbriar-ltd-and-mary-roensch-cross-appellants-v-city-of-alabaster , 881 F.2d 1570 ( 1989 )

View All Authorities »