Cenergy-Glenmore Wind Farm 1, LLC v. Town of Glenmore , 769 F.3d 485 ( 2014 )


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  •                                 In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________________
    No. 13-2633
    CENERGY-GLENMORE WIND FARM #1, LLC,
    Plaintiff-Appellant,
    v.
    TOWN OF GLENMORE,
    Defendant-Appellee.
    ____________________
    Appeal from the United States District Court for the
    Eastern District of Wisconsin.
    No. 12-C-1166 — William C. Griesbach, Chief Judge.
    ____________________
    ARGUED APRIL 1, 2014 — DECIDED AUGUST 7, 2014
    ____________________
    Before TINDER and HAMILTON, Circuit Judges, and
    KAPALA, District Judge. *
    HAMILTON, Circuit Judge. Plaintiff CEnergy-Glenmore
    Windfarm #1, LLC, obtained a conditional use permit from
    the town of Glenmore, Wisconsin, to develop a wind farm
    there. But the company did not obtain required building
    permits in time to take advantage of a lucrative opportunity
    * The Honorable Frederick J. Kapala, of the United States District Court
    for the Northern District of Illinois, sitting by designation.
    2                                                  No. 13-2633
    to sell electricity generated by wind turbines to a Wisconsin
    power company. CEnergy then filed this lawsuit against
    Glenmore claiming a denial of its right under the Fourteenth
    Amendment to substantive due process and a violation of
    the town’s state law obligation to deal in good faith. The dis-
    trict court dismissed the due process claim for failure to state
    a claim upon which relief can be granted and declined to re-
    tain jurisdiction over the supplemental state law claim.
    CEnergy has appealed. We affirm the district court’s judg-
    ment.
    I. Factual and Procedural Background
    On appeal from the grant of a Rule 12(b)(6) motion to
    dismiss, we must accept the facts alleged in the plaintiff’s
    complaint as true. See Chrzanowski v. Bianchi, 
    725 F.3d 734
    ,
    736 (7th Cir. 2013). CEnergy alleges that Prelude, a company
    whose assets it later purchased, contracted in 2007 with a
    family in Glenmore to build a wind farm on the family’s
    property. Prelude also obtained a conditional use permit
    from Glenmore to develop the farm.
    Roughly two years later, Prelude entered into a power
    purchase agreement with the Wisconsin Public Service Cor-
    poration (WPS) to sell wind turbine-generated electricity for
    20 years at specified rates. The agreement was binding on
    WPS only if Prelude obtained all necessary permits and sat-
    isfied various other requirements by March 1, 2011.
    Prelude learned in September 2010 that before construc-
    tion could begin, it would need to obtain a building permit
    for each of the seven planned wind turbines. The company
    tried to submit applications for the permits to the Town
    Board, Glenmore’s legislative body, but the Board refused to
    No. 13-2633                                                3
    accept the applications unless the company provided addi-
    tional information about the project.
    By December 31, 2010, Prelude provided the Board with
    all requested information and told the Chair of the Board
    that the building permits would need to be approved by
    March 1, 2011, for the power purchase agreement with WPS
    to take effect. Without the power purchase agreement, Prel-
    ude told the Chair, the wind farm project would not be fea-
    sible because the energy market had changed substantially
    since the execution of the agreement with WPS. Also in De-
    cember 2010, CEnergy agreed to purchase Prelude’s assets,
    including the right to develop the wind farm. The sale closed
    in February 2011, on the eve of the WPS contract deadline.
    In the meantime, public sentiment in Glenmore had
    turned decidedly against the wind farm project, as the Town
    Board well knew. Angry citizens had gathered at the Board’s
    public meetings in January and February 2011 to oppose the
    plan. Unbeknownst to CEnergy, the Chair of the Board was
    receiving “threats to his physical safety should he approve
    the wind turbine project.”
    Although CEnergy had asked the Town Board to take up
    the issue of the building permits at both the January and
    February meetings, the Board did not do so, ostensibly be-
    cause the town’s attorney needed more time to review the
    information Prelude had submitted in December 2010.
    CEnergy contends that the Board members actually avoided
    taking up the issue “because of threats made to the physical
    safety of those officials by a mob of citizens opposing the
    project.”
    4                                                 No. 13-2633
    The Town Board “finally allowed CEnergy to complete
    and submit” applications for the building permits on March
    1, 2011, and considered the applications at a meeting on
    March 7. At that meeting, the Board voted to grant the per-
    mits and then adjourned. But citizens in attendance became
    “accusatory and threatening” toward Board members and
    other town officials. The Chair reopened the meeting in re-
    sponse to the clamor. After further discussion, the Board
    voted to rescind the grant of the permits. A little over a week
    later, the Board held a special meeting and again reversed
    course, voting to nullify the actions it had taken after ad-
    journment on March 7, thus reinstating the earlier vote in
    favor of granting the permits. The permits still were not ac-
    tually issued, however, because the attorney for Glenmore
    contended that the applications were still missing crucial in-
    formation.
    As it turned out, even the initial vote on March 7 had
    come too late to save the wind farm project. WPS, perhaps
    pleased to escape from what had become for it an unprofita-
    ble deal, had sent CEnergy a letter on March 4 backing out of
    the power purchase agreement. As a principal reason, WPS
    cited CEnergy’s failure to obtain the necessary permits by
    March 1.
    After learning that the deal with WPS could not be sal-
    vaged, CEnergy filed this suit claiming that Glenmore de-
    prived it of property without substantive due process of law
    when the Town Board delayed granting the building per-
    mits. In support of this claim, CEnergy alleges in its com-
    plaint that it had “vested property rights granted to it in the
    CUP [conditional use permit] and the requested building
    permits.” The Town Board’s decision to take no action on the
    No. 13-2633                                                    5
    building permits “at least until after March 1” was meant to
    thwart the wind farm project, making the decision “an arbi-
    trary and egregious abuse of [the Board’s] authority” that
    “shock[s] the conscience” and cost CEnergy a contract worth
    more than $7 million in profits.
    The district court concluded for two reasons that CEner-
    gy did not state a viable substantive due process claim. First,
    the court explained, the Town Board’s decision to delay ac-
    tion on the building permit applications in the face of strong
    public opposition did not “shock the conscience” as required
    to state a substantive due process claim. Second, CEnergy
    did not use available state law mechanisms for forcing action
    on its permit applications. Specifically, CEnergy did not pur-
    sue building permits under a local ordinance that governs
    the building-permit application process, nor did CEnergy
    ask a state court for a writ of mandamus to force action on
    its requests for building permits. This circuit has long held
    that a plaintiff who fails to pursue available state law reme-
    dies in the land-use context has no substantive due process
    claim.
    II. Analysis
    We review de novo the district court’s decision to grant
    Glenmore’s Rule 12(b)(6) motion to dismiss, construing the
    complaint in the light most favorable to the non-moving par-
    ty—CEnergy—and accepting the factual allegations in the
    complaint as true. See, e.g., Yeftich v. Navistar, Inc., 
    722 F.3d 911
    , 915 (7th Cir. 2013). We note at the outset, however, that
    federal courts, as we have explained time and again, are not
    zoning boards of appeal. See, e.g., General Auto Service Sta-
    tion v. City of Chicago, 
    526 F.3d 991
    , 1000 (7th Cir. 2008); Dis-
    covery House, Inc. v. Consolidated City of Indianapolis, 
    319 F.3d 6
                                                        No. 13-2633
    277, 283 (7th Cir. 2003); Centres, Inc. v. Town of Brookfield, 
    148 F.3d 699
    , 704 (7th Cir. 1998); River Park, Inc. v. City of Highland
    Park, 
    23 F.3d 164
    , 165 (7th Cir. 1994); Polenz v. Parrott, 
    883 F.2d 551
    , 558 (7th Cir. 1989). State and local land-use deci-
    sions are entitled to great deference when constitutional
    claims are raised in federal court.
    Successful constitutional challenges to state and local
    land-use decisions generally rely on the takings clause of the
    Fifth Amendment (as incorporated by the Fourteenth) or the
    equal protection clause of the Fourteenth Amendment. See,
    e.g., Koontz v. St. Johns River Water Management Dist., 133 S.
    Ct. 2586, 2599–2600 (2013) (takings clause violated by condi-
    tioning approval of land-use permit on monetary exaction
    that lacked nexus to proposed project); City of Cleburne v.
    Cleburne Living Center, 
    473 U.S. 432
    , 448–50 (1985) (require-
    ment that group home for the mentally disabled obtain a
    special permit violated equal protection clause). But the Su-
    preme Court has acknowledged at least the theoretical pos-
    sibility that a land-use decision—if it was “arbitrary in the
    constitutional sense” and deprived the plaintiff of proper-
    ty—could constitute a deprivation of property without sub-
    stantive due process of law. See City of Cuyahoga Falls v. Buck-
    eye Community Hope Foundation, 
    538 U.S. 188
    , 198–99 (2003)
    (rejecting substantive due process claim based on delay in
    issuance of building permits because delay was “eminently
    rational” rather than arbitrary). We also have acknowledged
    that possibility, see 
    Polenz, 883 F.2d at 558
    (collecting cases),
    though like the Supreme Court we have never definitively
    concluded that any land-use decision actually amounted to a
    deprivation of property without substantive due process.
    One reason that substantive due process is of questionable
    relevance in this area is that the due process clause’s proce-
    No. 13-2633                                                    7
    dural guarantees and the rights protected by the equal pro-
    tection and takings clauses leave little if any ground uncov-
    ered.
    Whether CEnergy has even identified a property interest
    in the building permits it sought, its use of the land it leased,
    or its agreement with WPS is questionable, but we need not
    decide those issues. Like the district court we conclude that
    CEnergy’s substantive due process claim fails because the
    Board’s actions were not arbitrary in the constitutional sense
    and because CEnergy did not seek recourse under state law
    as required by a long line of cases in this circuit. We need not
    address other potential problems with the company’s claim.
    On the issue of arbitrariness, we have said that a land-use
    decision must “shock the conscience” to run afoul of the
    Constitution. Bettendorf v. St. Croix County, 
    631 F.3d 421
    , 426
    (7th Cir. 2011). We also have suggested that the action must
    have been “arbitrary and capricious,” 
    Centres, 148 F.3d at 704
    , or “random and irrational,” General Auto Service 
    Station, 526 F.3d at 1000
    . In yet another formulation, the Supreme
    Court has explained that a land-use decision must be arbi-
    trary to the point of being “egregious” to implicate substan-
    tive due process. Cuyahoga 
    Falls, 538 U.S. at 198
    . These
    standards should not be viewed as distinct, at least in the
    land-use context. In Cuyahoga Falls, the Supreme Court relied
    upon County of Sacramento v. Lewis, 
    523 U.S. 833
    , 846 (1998),
    for the proposition that “only the most egregious official
    conduct can be said to be arbitrary in the constitutional
    sense” (internal quotation marks omitted), and Lewis itself,
    
    see 523 U.S. at 855
    , applied the “shock the conscience”
    standard.
    8                                                  No. 13-2633
    However the standard is formulated, the Glenmore Town
    Board’s decision to delay action on CEnergy’s building per-
    mit requests could not have been arbitrary in the constitu-
    tional sense. As far as the Constitution is concerned, popular
    opposition to a proposed land development plan is a ration-
    al and legitimate reason for a legislature to delay making a
    decision. See River 
    Park, 23 F.3d at 167
    (explaining that “the
    idea in zoning cases is that the due process clause permits
    municipalities to use political methods to decide”).
    Even if the Board’s treatment of the building permit ap-
    plications had been arbitrary in the constitutional sense,
    CEnergy still would have failed to state a substantive due
    process claim. We have held repeatedly that a plaintiff who
    ignores potential state law remedies cannot state a substan-
    tive due process claim based on a state-created property
    right. E.g., Lee v. City of Chicago, 
    330 F.3d 456
    , 467 (7th Cir.
    2003); 
    Centres, 148 F.3d at 704
    ; 
    Polenz, 883 F.2d at 558
    –59.
    Without this requirement, procedural due process claims
    based on “random and unauthorized” deprivations of prop-
    erty (which might also be described as “arbitrary”) could be
    brought as substantive due process claims even when a post-
    deprivation remedy was available. Kauth v. Hartford Ins. Co.
    of Illinois, 
    852 F.2d 951
    , 958 (7th Cir. 1998). This would un-
    dermine the holdings of Hudson v. Palmer, 
    468 U.S. 517
    (1984), and Parratt v. Taylor, 
    451 U.S. 527
    (1981), that a post-
    deprivation remedy is sufficient to satisfy due process in
    such situations. The claims would simply be reframed as
    substantive due process claims. 
    Kauth, 852 F.2d at 958
    (“Giv-
    en the Supreme Court's recent decisions in Parratt and Hud-
    son, however, we believe that in cases where the plaintiff
    complains that he has been unreasonably deprived of a state-
    created property interest, without alleging a violation of
    No. 13-2633                                                  9
    some other substantive constitutional right or that the avail-
    able state remedies are inadequate, the plaintiff has not stat-
    ed a substantive due process claim.”).
    We have similarly held that, regardless of how a plaintiff
    labels an objectionable land-use decision (i.e., as a taking or
    as a deprivation without substantive or procedural due pro-
    cess), recourse must be made to state rather than federal
    court. See River 
    Park, 23 F.3d at 167
    (“Labels do not matter. A
    person contending that state or local regulation of the use of
    land has gone overboard must repair to state court.”).
    CEnergy had options under state law for obtaining the
    building permits that it did not use.
    As the district court explained, the standard process in
    Glenmore for obtaining a building permit is set out in the
    “Town of Glenmore Zoning Ordinance.” Under Section E.2
    of that ordinance, permit requests are to be submitted in
    writing to the “Glenmore Town Zoning Administrator.” If
    the Administrator does not make a decision on the applica-
    tion within 10 days, the application is considered denied,
    and the applicant then has 30 days to appeal to the “Board of
    Appeals.” The process under the ordinance seemingly does
    not involve the Town Board at all. Nonetheless, CEnergy
    made no attempt to proceed under the ordinance, even after
    the Town Board refused to accept its permit applications in
    September 2010 and began making excuses for not taking
    action on the permit requests despite knowing of the dead-
    line CEnergy faced.
    Nor did CEnergy take advantage of another potential op-
    tion under state law: seeking a writ of mandamus to force
    the town to act on the permit applications. Wisconsin courts
    may under some circumstances issue writs of mandamus to
    10                                                No. 13-2633
    compel the issuance of building permits. See Lake Bluff Hous-
    ing Partners v. City of South Milwaukee, 
    540 N.W.2d 189
    (Wis.
    1995). CEnergy argues that a writ of mandamus to force ac-
    tion from the town was not a possibility because mandamus
    cannot be used to force legislative action. Although CEnergy
    may be right, its argument depends on the premise that a
    decision about the building permits was a legislative one.
    But if the building-permit decision was legislative, then it
    was discretionary. In that case CEnergy had no property
    right in the permits, meaning that the Board’s delay in grant-
    ing them could not have been a deprivation of property that
    could support a due process claim.
    Confusingly, CEnergy contends elsewhere in its appellate
    brief that the decision whether to issue the permits was not
    “subject to legislative or political whims.” Yet the company
    chose to ask a legislative body, the Town Board, to vote on
    the permit requests rather than proceeding under the zoning
    ordinance or arguing in state court for mandamus relief on
    the basis that the Board’s consideration of the permit re-
    quests was actually an administrative function rather than a
    legislative one. CEnergy is thus like the unsuccessful plain-
    tiff in River Park, which alleged in support of its due process
    claim that the city council was obliged by state law to ap-
    prove a subdivision plan but intentionally delayed approval
    until the subdivision project was no longer feasible. CEnergy
    also “went along with the political process until it was too
    late” for another course of action and then “lost the political
    
    fight.” 23 F.3d at 167
    . Now CEnergy seeks a judgment in
    federal court that would cost each resident of Glenmore
    roughly $6000. The company, however, must live with its
    strategic choices. No do-over is available through federal lit-
    igation. 
    Id. No. 13-2633
                                             11
    The judgment of the district court is AFFIRMED.