DW Aina Le'a Development, LLC v. Bridge Aina Le'a, LLC. , 134 Haw. 187 ( 2014 )


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  •   *** FOR PUBLICATION IN WEST’S HAWAI#I REPORTS AND PACIFIC REPORTER ***
    Electronically Filed
    Supreme Court
    SCAP-13-0000091
    25-NOV-2014
    09:52 AM
    IN THE SUPREME COURT OF THE STATE OF HAWAI#I
    ---o0o---
    DW AINA LE#A DEVELOPMENT, LLC,
    Respondent/Co-Petitioner-Appellant-Appellee,
    vs.
    BRIDGE AINA LE#A, LLC.,
    Respondent/Co-Petitioner-Appellant-Appellee,
    and
    STATE OF HAWAI#I LAND USE COMMISSION,
    Petitioner/Appellee-Appellant,
    and
    STATE OF HAWAI#I OFFICE OF PLANNING,
    COUNTY OF HAWAII PLANNING AGENCY,
    Respondents/Appellees,
    (CIV. NO. 11-1-112K)
    ----------------------------------------------------------------
    BRIDGE AINA LE#A, LLC.,
    Respondent/Appellant-Appellee,
    vs.
    STATE OF HAWAI#I LAND USE COMMISSION,
    Respondent/Appellee-Appellant,
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    and
    STATE OF HAWAI#I OFFICE OF PLANNING and COUNTY OF HAWAI#I,
    Respondents/Appellees,
    and
    DW AINA LE#A DEVELOPMENT, LLC.,
    Respondent/Appellee-Appellant.
    (CIV. NO. 11-1-0969-05)
    SCAP-13-0000091
    APPEAL FROM THE CIRCUIT COURT OF THE THIRD CIRCUIT
    (CAAP-13-0000091; CIV. NOS. 11-1-112K and 11-1-0969-05)
    NOVEMBER 25, 2014
    RECKTENWALD, C.J., NAKAYAMA, MCKENNA, AND POLLACK, JJ.,
    AND CIRCUIT JUDGE LEE, IN PLACE OF ACOBA, J., RECUSED
    OPINION OF THE COURT BY RECKTENWALD, C.J.
    This appeal turns on whether the Land Use Commission
    (the LUC) properly reverted land to its former land use
    classification pursuant to Hawai#i Revised Statutes § 205-4(g)
    (2001 & Supp. 2007).     We hold that the LUC erred in reverting the
    land without complying with the requirements of HRS § 205-4
    because the land owners had substantially commenced use of the
    land in accordance with the representations they had made to the
    Commission.
    The instant dispute concerns the classification of land
    in Waikoloa on Hawai#i Island.       In 1989, the land was
    reclassified from agricultural to urban, in order to allow for
    the development of a residential community.          The reclassification
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    was made subject to numerous conditions, including a condition
    that at least sixty percent of the residential units be
    affordable.    Over time, the land changed hands several times and
    the LUC granted requests to amend the affordable housing
    condition.
    By 2005, the condition required the landowner, Bridge
    Aina Le#a, LLC (Bridge), to construct no fewer than 385
    affordable units, i.e., twenty percent of the total units to be
    constructed.   It further required Bridge to provide certificates
    of occupancy for all of these units within five years, and submit
    a joint venture agreement and mass grading contract within a
    year.
    In December 2008, the LUC issued an order to show cause
    (OSC) why the land should not revert to its former agricultural
    land use classification.      The LUC stated that it had reason to
    believe that Bridge and its predecessors in interest had “failed
    to perform according to the conditions imposed and to the
    representations and commitments made to [the LUC] in obtaining
    reclassification of the Subject Area and in obtaining amendments
    to conditions of reclassification.”        Soon thereafter, Bridge
    informed the LUC that it intended to assign its interest in the
    land to DW Aina Le#a Development, LLC (DW) through an installment
    sale.   DW subsequently invested more than $20 million in
    developing the site.     Nevertheless, after proceedings over the
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    course of several years, the LUC issued an order reverting the
    land to the agricultural use district.         Bridge and DW each sought
    judicial review of the LUC’s decision and order, and their cases
    were consolidated in the circuit court.
    The circuit court reversed and vacated the LUC’s
    decision and order.     The circuit court concluded that the LUC:
    (1) exceeded its statutory authority and violated HRS chapter
    205; (2) violated HRS §§ 205-4(h), 205-17, and 205-4(g); (3)
    violated HRS chapters 91 and 205 and Hawai#i Administrative Rules
    (HAR) chapter 15; and (4) violated Bridge’s and DW’s due process
    and equal protection rights.
    On appeal, the LUC raises three arguments.           First, the
    LUC argues that HRS § 205-4(g) expressly authorizes it to issue
    an OSC why reclassified land should not revert to its former land
    use classification.     Second, the LUC argues that the circuit
    court erred in denying its motion to strike certain documents
    from other LUC cases, which had been included in the record on
    appeal.   Third, the LUC argues that the circuit court erred in
    considering Bridge’s and DW’s constitutional arguments, and that
    those arguments were unfounded.
    We hold that the LUC erred in reverting the property
    without complying with the requirements of HRS § 205-4 that are
    generally applicable when land use boundaries are changed.             See
    infra at 64-65.    Once the LUC issues an OSC, the procedures it
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    must follow before reverting land depend upon whether the
    petitioner has substantially commenced use of the land.            Once use
    of the land has substantially commenced, the LUC is bound by the
    requirements of HRS § 205-4.       Here, by the time the LUC reverted
    the property to the agricultural land use district, Bridge and DW
    had substantially commenced use of the land in accordance with
    their representations.      Specifically, they had constructed
    sixteen townhouses on the property, commenced construction of
    numerous other townhouses, and graded the site for additional
    townhouses and roads.     At that point, more than $20 million had
    been spent on the project.      Although Bridge and DW had
    substantially commenced use of the land, the LUC failed to comply
    with the requirements of HRS § 205-4.         The circuit court
    therefore correctly concluded that the LUC erred in reverting the
    property.
    The circuit court erred, however, in denying the LUC’s
    motion to strike.    The disputed documents are portions of dockets
    from other cases in the LUC.       Because these documents were not
    part of the administrative record, and neither Bridge nor DW
    sought to supplement the record in the circuit court, these
    documents should not have been included in the record on appeal.
    The circuit court also erred in concluding that
    Bridge’s and DW’s procedural and substantive due process rights
    and equal protection rights were violated.          With respect to
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    procedural due process, both Bridge and DW had notice of the OSC
    and that the LUC might revert the property.            They also each had a
    meaningful opportunity to be heard on the proposed reversion.
    With regard to substantive due process, the LUC’s reversion was
    not “clearly arbitrary and unreasonable,” given the project’s
    long history, the various representations made to the LUC, and
    the petitioners’ failure to meet deadlines.            With respect to
    Bridge’s and DW’s equal protection arguments, the record does not
    establish that the LUC’s imposition of a condition and subsequent
    reversion of the property constituted a violation of the
    petitioners’ equal protection rights.
    We therefore affirm the circuit court’s second amended
    judgment in part because the LUC failed to comply with the
    requirements of HRS § 205-4.         We vacate the second amended
    judgment to the extent it is based on the circuit court’s
    conclusion that the LUC violated Bridge’s and DW’s constitutional
    rights.
    I.   Background
    The following factual background is taken from the
    record on appeal.
    A.     Land Use Commission proceedings
    This appeal arises out of a dispute over the
    classification of approximately 1,060 acres of land in Waikoloa.
    In 1989, the LUC granted a petition to reclassify the land from
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    the agricultural to the urban land use district to allow for the
    development of a residential community.         The original proposal,
    submitted by Signal Puako Corporation (Signal), included
    approximately 2,760 residential units.         Signal offered to provide
    thirty percent of the units at prices which families with an
    income range of 80-120% of the County of Hawaii’s median income
    could afford.
    On January 17, 1989, the LUC reclassified the land
    subject to eleven conditions, including the following relevant
    condition related to the affordable housing units:
    1. Petitioner shall provide housing opportunities for low,
    low-moderate, and moderate income Hawaii residents by
    offering for sale at least thirty percent (30%) of the units
    at prices which families with an income range up to one
    hundred twenty percent (120%) of the County of Hawaii’s
    median income can afford, and thirty percent (30%) of the
    units at prices which families with an income range of one
    hundred twenty to one hundred forty percent (120-140%) of
    the County of Hawaii’s median income can afford.
    This condition may be fulfilled through projects under
    such terms as may be mutually agreeable between the
    Petitioner and the Housing Finance and Development
    Corporation of the State of Hawaii. This condition may also
    be fulfilled, with the approval of the Housing Finance and
    Development Corporation, through construction of rental
    units to be made available at rents which families in the
    specified income ranges can afford.
    This affordable housing requirement shall be
    implemented concurrently with the completion of the market
    units for the residential project. The determination of
    median income, as that term is used in this condition, shall
    be based on median income figures that exist at the time
    that this condition must be implemented.
    In 1991, Puako Hawaii Properties (PHP), Signal’s
    successor-in-interest, filed a motion to amend the LUC’s findings
    of fact, conclusions of law, and decision and order.            PHP’s
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    revised proposal included two “world class championship golf
    courses,” and 1,550 residential units, including multi-family
    units and single-family lots.       PHP offered to construct
    affordable units off-site, in a number equal to sixty percent of
    the unit count on the property.
    On July 9, 1991, the LUC issued amended findings of
    fact, conclusions of law, and decision and order, which included
    the following fifteen conditions:
    1. Petitioner shall provide housing opportunities for low,
    low-moderate, and moderate income Hawaii residents by
    offering for sale at least thirty percent (30%) of the units
    at prices which families with an income range up to one
    hundred twenty (120%) of the County of Hawaii’s median
    income can afford, and thirty percent (30%) of the units at
    prices which families with an income range of one hundred
    twenty to one hundred forty percent (120-140%) of the County
    of Hawaii’s median income can afford, provided, however, in
    no event shall the gross number of affordable units be less
    than 1,000 units.
    This condition may be fulfilled through projects under
    such terms as may be mutually agreeable between the
    Petitioner and the Housing Finance and Development
    Corporation of the State of Hawaii. This condition may also
    be fulfilled, with the approval of the Housing Finance and
    Development Corporation, through construction of rental
    units to be made available at rents which families in the
    specified income ranges can afford.
    This affordable housing requirement shall be
    implemented concurrently with the completion of the market
    units for the residential project. The determination of
    median income, as that term is used in this condition, shall
    be based on median income figures that exist at the time
    that this condition must be implemented.
    2. Petitioner shall develop, at its expense and in
    coordination with the State Department of Land and Natural
    Resources and the County of Hawaii Department of Water
    Supply, the necessary water source, storage, and
    transmission facilities to provide an adequate supply of
    potable water to the Property. Petitioner shall develop the
    necessary water source prior to development of the Property.
    3. Petitioner shall ensure that a buffer area along the
    boundary of the Property fronting the Queen Kaahumanu
    Highway right-of-way will be preserved to protect natural
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    open space and scenic views. This buffer area shall be
    preserved in perpetuity either through the establishment of
    a conservation easement pursuant to Chapter 198, HRS, as
    amended, or such other means as shall be reviewed and
    approved by the Office of State Planning of the State of
    Hawaii.
    The buffer area shall be comprised of approximately
    two hundred twenty-five (225) acres and shall extend inland
    from the Queen Kaahumanu Highway right-of-way to a depth of
    approximately one thousand two hundred (1,200) feet. The
    depth of the buffer area may meander to a lesser or greater
    depth to accommodate the Project’s development plan and
    preservation of natural open space and scenic views.
    Exceptions shall be made for infrastructure improvements or
    corridors that may be necessary to service the developed
    portions of the Property. The approximate boundaries of the
    natural open space buffer area are reflected in Petitioner’s
    Exhibit 11 which is attached hereto and incorporated herein
    as Exhibit B.
    4. Petitioner shall participate in the funding and
    construction of present and future transportation
    improvements at project access points as identified and
    deemed necessary by the State Department of Transportation.
    Such improvements may include a highway overpass or
    underpass. Petitioner shall also participate in the funding
    and construction of other on-site and off-site
    transportation improvements necessitated by proposed
    development and in designs and schedules accepted by and
    coordinated with the State Department of Transportation,
    provided that the extent of Petitioner’s participation shall
    not exceed its share of the increased community traffic
    impacts in the region and, provided further that, in the
    event the County adopts an impact fee for transportation
    improvements, the foregoing requirements shall not include
    or double-count the cost of any specific traffic
    improvements which may also be included in the County’s
    impact fee computation.
    5. Petitioner shall design, locate and construct a sewage
    treatment plant as may be required by the County of Hawaii
    and the State Department of Health as to minimize adverse
    impacts on adjoining properties.
    6. Petitioner shall immediately stop work on the impacted
    area and contact the State Historic Preservation Office
    should any archaeological resources, such as artifacts,
    shell, bone, or charcoal deposits, human burial, rock or
    coral alignments, paving or walls be encountered during the
    Project’s development.
    7. Petitioner shall provide a maximum of sixteen (16) acres
    within the Property for public school site(s), as the State
    Department of Education may determine to be necessary to
    service the Property, at no cost to the State of Hawaii.
    These school site(s) shall be provided, if there is a need
    for such site(s), in location(s) designated for community
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    facilities on Petitioner’s master plan, or in location(s) as
    may be mutually agreeable to the Petitioner and the State
    Department of Education.
    8. Prior to the development or transfer of any interests
    whatsoever in and to the Project, Petitioner shall provide
    community benefit assessments as agreed between Petitioner
    and the Office of State Planning and shall file it with the
    Commission within 30 days of the execution of the agreement.
    9. Petitioner shall comply with “The Eight (8) Conditions
    Applicable to This Gold Course Development”, prepared by the
    State Department of Health dated April, 1990 (Version 3) and
    attached hereto.
    10. Petitioner shall engage the services of a qualified
    golf course manager to oversee the irrigation of the golf
    course and application of fertilizers and pesticides to the
    golf course and who shall be certified by the State
    Department of Agriculture in the application of fertilizers
    and pesticides.
    11. Petitioner shall make available adequate golf tee
    times, no less than forty (40) percent of total daily golf
    tee times, at affordable rates for public play by Hawaii
    State residents.
    12. Petitioner shall provide annual reports to the Land Use
    Commission, The Office of State Planning and the County of
    Hawaii Planning Department in connection with the status of
    the Project and Petitioner’s progress in complying with the
    conditions imposed.
    13. Petitioner shall develop the Property in substantial
    compliance with the representations made to the Commission.
    Failure to so develop the Property may result in reversion
    of the Property to its former classification, or change to a
    more appropriate classification.
    14. Petitioner shall give notice to the Land Use Commission
    of any intent to sell, lease, assign, place in trust, or
    otherwise voluntarily alter the ownership interest in the
    Property covered in the petition, prior to development of
    the Property.
    15. The Commission may fully or partially release these
    conditions as to all or any portion of the Property upon
    timely, and upon the provision of adequate assurance of
    satisfaction of these conditions by the Petitioner.
    In 2005, Bridge (who had acquired the land at issue in
    1999) filed a motion with the LUC to amend the 1991 decision and
    order, including the affordable housing condition.           Specifically,
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    Bridge sought to have the affordable housing condition (condition
    #1) amended to read as follows:
    Petitioner shall provide affordable housing opportunities
    for low, low moderate and moderate income residents of the
    State of Hawaii, which shall be consistent and coincide with
    County of Hawaii affordable housing requirements. The
    location and distribution of the affordable housing or other
    provision for affordable housing shall be under such terms
    as may be mutually agreeable between the Petitioner and the
    County of Hawaii.
    Bridge explained that the scope of the project had
    changed significantly from the time of the original order, and
    that Bridge was proposing to build 1,924 residential units, 384
    of which would be for affordable housing.         Bridge further
    explained that the then-existing sixty percent affordable unit
    requirement was “not economically feasible because the cost of
    compliance effectively prevent[ed] the Petitioners from going
    forward with the development of the Project.”          Bridge also
    explained that the proposed 384 affordable housing units were in
    line with the County of Hawaii’s twenty-percent affordable
    housing requirement.
    On November 25, 2005, the LUC granted Bridge’s motion
    to amend the affordable housing condition.          The LUC amended that
    condition to provide the following:
    1. Petitioner shall provide housing opportunities for low,
    low-moderate, and moderate income residents of the State of
    Hawai#i by offering for sale at least twenty percent (20%)
    of the Project’s residential unit prices determined to be
    affordable by the County of Hawai#i Office of Housing and
    Community Development, provided, however, in no event shall
    the gross number of affordable housing units within the
    Petition Area be less than 385 units. The affordable
    housing units shall meet or exceed all applicable County of
    Hawai#i affordable housing standards, and shall be completed
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    in substantial compliance with the representations made to
    the Commission.
    1b. Petitioner shall obtain, and provide copies to the
    Commission, the certificates of occupancy for all of the
    Project’s affordable housing units within five (5) years of
    November 17, 2005.
    1c. Petitioner shall submit to the Commission the
    Petitioner’s signed joint venture agreement and a mass
    grading contract within a reasonable amount of time, not to
    exceed one (1) year from November 17, 2005.
    During 2006 and 2007, Bridge periodically appeared
    before the LUC to provide updates on the project.           On October 11,
    2007, the County Planning Department informed Bridge that an
    Environmental Impact Statement (EIS) was required for the
    project, pursuant to this court’s decision in Sierra Club v.
    Department of Transportation, 115 Hawai#i 299, 
    167 P.3d 292
    (2007).
    During a meeting held by the LUC on September 18, 2008,
    commissioners expressed concern that annual progress reports
    submitted by Bridge in 2005, 2006, and 2007 showed “no activity”
    with respect to the conditions imposed by the 1991 decision and
    order, as amended in 2005.      Specifically, Commissioner Lisa M.
    Judge stated:
    I mean it’s clear they have not, I believe, or we have
    reason to believe, that they’re failing to perform on the
    condition that was imposed, specifically this affordable
    housing condition.
    I would say that the Commission should issue an Order
    to Show Cause to say why the property classification -- that
    the property should not revert to its former land use
    classification.
    I would set forth a motion that the Commission issue
    an Order to Show Cause why the petition area should not
    revert to its former classification or more appropriate
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    classification.
    The LUC voted 6-0 to issue an OSC.
    On October 2, 2008, Bridge submitted to the LUC its
    annual progress report for 2008.          In the report, Bridge stated
    that it “was proceeding with its efforts to develop and complete
    the affordable housing units,” but that “progress has been set
    back by the determination by the [Planning Director of the County
    of Hawai#i] that an accepted EIS will be required before the
    Planning Department accepts the Project District Application for
    review and processing and by the denial of the [Nonsignificant
    Zoning Change Application], presently on appeal with the Board of
    Appeals.”
    On December 9, 2008, the LUC issued an OSC, pursuant to
    HRS § 205-4(g),1 and HAR § 15-15-93 (2000),2
    1
    HRS § 205-4(g) provides:
    Within a period of not more than three hundred sixty-five
    days after the proper filing of a petition, unless otherwise
    ordered by a court, or unless a time extension, which shall
    not exceed ninety days, is established by a two-thirds vote
    of the members of the commission, the commission, by filing
    findings of fact and conclusions of law, shall act to
    approve the petition, deny the petition, or to modify the
    petition by imposing conditions necessary to uphold the
    intent and spirit of this chapter or the policies and
    criteria established pursuant to section 205-17 or to assure
    substantial compliance with representations made by the
    petitioner in seeking a boundary change. The commission may
    provide by condition that absent substantial commencement of
    use of the land in accordance with such representations, the
    commission shall issue and serve upon the party bound by the
    condition an order to show cause why the property should not
    revert to its former land use classification or be changed
    to a more appropriate classification. Such conditions, if
    any, shall run with the land and be recorded in the bureau
    of conveyances.
    (continued...)
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    1
    (...continued)
    (Emphasis added).
    2
    HAR § 15-15-93 provided:
    (a) Any party or interested person may file a motion with
    the commission requesting an issuance of an order to show
    cause upon a showing that there has been a failure to
    perform a condition, representation, or commitment on the
    part of the petitioner. The party or person shall also
    serve a copy of the motion for an order to show cause upon
    any person bound by the condition, representation, or
    commitment. The motion for order to show cause shall state:
    (1) The interest of the movant;
    (2) The reasons for filing the motion;
    (3) A description and a map of the property
    affected by the condition;
    (4) The condition ordered by the commission
    which has not been performed or satisfied;
    (5) Concisely and with particularity the facts,
    supported by an affidavit, giving rise to a
    belief that a condition ordered by the
    commission has not been performed or satisfied;
    and
    (6) The specific relief requested.
    (b) Whenever the commission shall have reason to believe
    that there has been a failure to perform according to the
    conditions imposed, or the representations or commitments
    made by the petitioner, the commission shall issue and serve
    upon the party or person bound by the conditions,
    representations, or commitments, an order to show cause why
    the property should not revert to its former land use
    classification or be changed to a more appropriate
    classification. The commission shall serve the order to
    show cause in writing by registered or certified mail with
    return receipt requested at least thirty days before the
    hearing. A copy shall be also sent to all parties in the
    boundary amendment proceedings. The order to show cause
    shall include:
    (1) A statement of the date, time, place, and
    nature of the hearing;
    (2) A description and a map of the property to
    be affected;
    (3) A statement of the legal authority under
    (continued...)
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    why the land “should not revert to its former land use
    classification or be changed to a more appropriate
    classification.”     The LUC stated that it had reason to believe
    that Bridge and its predecessors in interest had “failed to
    perform according to the conditions imposed and to the
    representations and commitments made to [the LUC] in obtaining
    reclassification of the Subject Area and in obtaining amendments
    to conditions of reclassification.”        Specifically, the LUC noted
    the following:
    1. Condition 1a and 1b of the Findings of Fact, Conclusions
    of Law and Decision and Order, dated July 9, 1991, as
    amended on November 25, 2005 (“Decision & Order”) requires
    Petitioner, by November 17, 2010, to provide no fewer than
    385 affordable housing units within the Petition Area that
    meet or exceed all applicable County of Hawaii affordable
    housing standards and substantially comply with
    2
    (...continued)
    which the hearing is to be held;
    (4) The specific sections of the statutes, or
    rules, or both, involved; and
    (5) A statement that any party may retain
    counsel if the party so desires.
    (c) The commission shall conduct a hearing on an order to
    show cause in accordance with the requirements of subchapter
    7, where applicable. Any procedure in an order to show
    cause hearing may be modified or waived by stipulation of
    the parties and informal disposition may be made in any case
    by stipulation, agreed settlement, consent order, or
    default.
    (d) Post hearing procedures shall conform to subchapter 7 or
    subchapter 9. Decisions and orders shall be issued in
    accordance with subchapter 7 or subchapter 9.
    (e) The commission shall amend its decision and order to
    incorporate the order to show cause by including the
    reversion of the property to its former land use
    classification or to a more appropriate classification.
    (Emphasis added).
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    representations made to the Commission.
    2. Condition 1c of the Decision & Order requires Petitioner
    to submit to the Commission by November 17, 2006: 1) the
    Project’s signed joint venture agreement, and 2) a mass
    grading contract.
    3. Petitioner has represented that the infrastructure and
    concrete pad for the affordable housing portion of the
    Project will be the first part of the Project to be
    constructed, thereby enabling the market units and the
    affordable housing units to be constructed concurrently.
    4. Petitioner has committed to building the Project’s
    affordable units instead of paying an in-lieu fee to the
    County of Hawaii.
    5. Petitioner represented that all contracts with the
    general contractor, subcontractors and other construction
    related consultants have been fully negotiated and will be
    executed within 30 days following the Commission’s decision
    [in November 2005].
    6. Petitioner has represented that no additional
    discretionary governmental approvals remain outstanding,
    with the sole exception of the highway access approval by
    the State Department of Transportation.
    (Brackets in original).
    The LUC held a hearing on the OSC on January 9, 2009.3
    During the hearing, several Commissioners expressed concern over
    the project’s lack of progress.        For example, Commissioner Judge
    stated the following:
    And in 2005 the Petitioner promised to provide 385
    affordable housing units to the Kona community within three
    years. They promised that the development would provide
    jobs and the very much needed workforce housing for West
    Hawai#i.
    . . . .
    Unfortunately, here we are today and there are no
    affordable homes on that development. Worse yet, there’s
    3
    In the meantime, Bridge had filed another motion to amend the
    affordable housing condition. In this motion, Bridge requested that the
    affordable housing condition be amended to require Bridge to provide up to one
    hundred workforce housing units within three years of the filing of the
    amended condition. Bridge subsequently withdrew this motion.
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    not even a glimmer of them coming any time soon.   There’s no
    building permits, there’s no infrastructure.
    But the real cause or the real reason that we are here
    today I think is much bigger. It’s a much larger issue.
    Because in my mind the hearing for the Order to Show Cause
    is when I looked back this petition started back in November
    25th, 1987, more than 20 years ago when the first
    Petitioner, Signal Puako Corporation, filed their district
    boundary [] amendment petition.
    . . . .
    So the affordable housing condition in my mind is
    really just the straw that broke the camel’s back. The
    real[] reason I made the Motion for the Order to Show Cause
    is there’s a state statu[t]e, [HRS § 205-4(g)] that states
    that, “The Commission may provide by condition that absent
    substantial commencement of use of the land in accordance
    with such representations the Commission shall issue and
    serve upon the party bound by the condition an Order to Show
    Cause why the property should not revert to its former land
    use classification or be changed to a more appropriate
    classification.”
    So in my mind there’s been 20 years that have gone by
    and nothing has happened. There were representations made
    to the community. There are several conditions attached to
    those decision and orders.
    . . . .
    So in my mind it’s not only the affordable housing
    condition that needs to be amended. In my mind it’s every
    condition needs to be revisited, discussed and amended.
    Then a decision can be made.
    The LUC ultimately continued the hearing.           In closing,
    the LUC chairman stated the following:
    During this period the Petitioner is urged to prepare
    and present an updated description of its projects with
    timetables and critical paths, and to review the existing
    LUC conditions and commitments, and to determine whether a
    further motion is necessary in order to obtain relief from
    conditions that cannot be met, and, if necessary, to request
    changes to conditions necessary to harmonize the Project
    with the LUC conditions.
    In February 2009, Bridge informed the LUC that it
    intended to assign “all of its right, title, and interest” in the
    land to DW through an installment sale.         DW, in turn, filed a
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    petition to be a co-petitioner with Bridge or, alternatively, to
    be given party status or to intervene.
    The LUC resumed the hearing on the OSC on April 30,
    2009.   For purposes of the hearing, Bridge was treated as the
    sole petitioner.    DW did not participate in the hearing because
    the LUC had not yet ruled on DW’s request to be a co-petitioner.
    During the hearing, the County Planning Department argued that
    “the current Urban District designation is appropriate and that
    the public interest would be best served by allowing [Bridge] to
    maintain its current classification.”         The State Office of
    Planning argued, however, that “reversion of the property to its
    original classification of Agriculture would be appropriate under
    the facts and circumstances of this case.”          Specifically, the
    State Office of Planning argued the following:
    The issue today is whether the Petitioner has complied
    with their representations in developing the property and
    whether they are able to build [385] affordable units on
    site and obtain Certificates of Occupancy by November 2010.
    In our view they have not developed in accordance with
    their representations. . . .
    Our only comments would be that in our view the change
    in ownership is irrelevant to the initial and only question
    which is whether they will be able to comply with the
    condition.
    We would not support any change, any amendment, any
    extension. This matter has gone on for many years. You may
    remember that the affordable housing requirement was amended
    to reduce those requirements in 2005. That amendment, that
    reduction in the requirements was based upon a variety of
    representations.
    In order to preserve the integrity of this process we
    cannot allow developers to come back before you repeatedly
    each time they cannot comply with those representations,
    each time they cannot comply with a condition and simply ask
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    that a condition be changed or removed.
    At the end of the hearing, the LUC voted 7-0 to revert
    the land to agricultural use.       DW then moved to stay entry of
    decision and order on the LUC’s April 30 action, pending
    consideration of additional evidence.         In its motion, DW argued
    that its evidence included “facts that were not available to the
    Land Use Commission at the April 30, 2009 meeting and include[d]
    certain key facts which [would] allow the development to proceed
    and which [would] allow fulfillment of the affordable housing
    condition applicable to this docket.”
    On June 5, 2009, the LUC took under advisement DW’s
    request to be a co-petitioner, granted DW’s motion to stay entry
    of a decision and order on the OSC, and decided to schedule a
    one-day hearing for the submission of additional evidence on the
    OSC.   Bridge filed a motion to rescind the OSC, arguing that it
    had made “substantial commencement of use of the land.”
    The LUC held the one-day evidentiary hearing on
    August 27, 2009.    Bridge designated DW as its agent for purposes
    of presenting evidence on the progress of the project and
    compliance with the decision and order of the LUC.           During the
    hearing, DW’s president, Robert Wessels, testified that DW and
    Bridge were prepared to close on the sale of approximately 61
    acres of the 1,060 acre parcel for the development of the
    affordable housing units.      Wessels explained that grading of this
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    site had begun, and that a second access road to the site had
    been prepared so that infrastructure work and construction of the
    townhouses could occur simultaneously.         Wessels explained that a
    “package” sewage treatment plant would be used for the affordable
    housing units.
    During cross-examination by the State Office of
    Planning, the following exchange occurred:
    Q:    Mr. Wessels, you are familiar with the requirements
    for a certificate of occupancy?
    A:    Yes, I am.
    Q:    In order to get a certificate of occupancy do you know
    whether or not you need to have a working electrical
    hookup?
    A:    I believe you do, yes. You have to meet the life
    safety standards. And electrical would be one of the
    requirements.
    Q:    You would also need to have sewage hookup, correct?
    A:    That’s correct.
    Q:    You would also need to have the water hookup, correct?
    A:    Yes.
    Q:    And you would need to have access to the road such as
    Queen Ka#ahumanu Highway, correct?
    A:    That’s correct.
    Q:    You would need all of that before a certificate of
    occupancy could be issued, correct?
    A:    That’s correct.
    And later, the following exchange occurred:
    Q:    Your current construction plan would have the vertical
    construction [i.e., townhouse construction] going on
    while horizontal construction [i.e., infrastructure
    construction] is continuing, is that right?
    A:    That’s correct.
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    Q:    Would the vertical construction begin before the
    infrastructure connections to that pad or that pod is
    completed?
    A:    Yes.   It has to in order to meet the schedule.
    Q:    So you build the house before you have a connection to
    the sewer, water, and electrical lines.
    A:    That’s correct.
    In response to questions from the commissioners, Wessel
    testified that DW had already spent approximately $4.5 million on
    the project.    The following exchange also occurred:
    COMMISSIONER WONG:       Another question. On the affordable
    housing, once you start vertical
    construction how many homes would
    you be able to build say, per month?
    A:                       We are starting 32 houses a month,
    basically. And as we build to begin
    with, we build so we will be
    delivering and finishing roughly 30-
    40 houses a month, roughly one[-
    ]and-a-half a day.
    COMMISSIONER WONG:       So let us say by March 31st how many
    homes would you be able to finish,
    31st of next year?
    A:                       (off mic) By the 31st of March
    according to our schedule we had
    roughly 32 units.
    CHAIRMAN PLITZ:          Could you repeat that with the
    mic[?]
    A:                       Yes. According to our construction
    schedule as lined out we will have
    one pad completed by the 31st of
    March, which is 32 town homes.
    By a 6-3 vote, the LUC rescinded and vacated the OSC
    “provided that as a condition precedent, [Bridge] completes 16
    affordable units by March 31, 2010.         Further, that the County of
    Hawai#i shall provide quarterly reports to the [LUC] in
    connection with the status of [Bridge’s] progress in complying
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    with this condition.”     The LUC also voted 8-1 to accept DW as a
    co-petitioner.    The LUC issued a written order rescinding the OSC
    and accepting DW as co-petitioner.
    On December 16, 2009, the LUC received DW’s annual
    report.   The report detailed how DW was progressing on satisfying
    each of the conditions.      With respect to the affordable housing
    condition, the report provided the following:
    DW Aina Le#a Development, LLC (“DW”) is working to
    satisfy condition 1. As previously reported to the
    Commission in the Commission’s hearing in the docket earlier
    this year, DW subdivided a portion of the Petition area
    (Parcel D-1-B) in which the initial affordable housing units
    will be built as part of Phase 1. Phase 1 involves the
    construction of fifty four (54) 8 unit multiple family
    structures. Two structures will be located on each of 27
    pads. The individual units which will be provided to meet
    the affordable housing requirements will be either three
    bedroom units or four bedroom units. DW has previously
    submitted to the Commission its financing commitments for
    Phase 1.
    Not less than 385 of these units will conform to the
    affordable housing requirements in the affordable housing
    agreement with the County Office of Housing Agency. The
    actual number of affordable housing units may be increased
    to conform to County of Hawaii affordable housing
    requirements.
    The Phase 1 scheduling is designed to produce
    certificates of occupancy for the 385 Phase 1 affordable
    housing units by November 17, 2010.
    DW has entered into a joint development agreement with
    Bridge Aina Le#a LLC which provides the development with
    rights to access over the agriculturally classified land,
    rights to obtain water for the Project and to establish a
    school site acceptable to the State Department of Education
    on Bridge Aina Le#a’s agriculturally classified land.
    DW has a mass grading and design build contract with
    Goodfellow Brothers which has been previously submitted to
    the Commission. The grading plans for Phase 1 were approved
    by the County Department of Public Works and appropriate
    grading permits were issued. Mass grading has been ongoing
    to create the building sites and the access roads. Although
    the grading plan review and approval process took longer
    than DW initially anticipated, mass grading design drawings
    for the affordable units are 90% complete and all required
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    permits have been obtained to allow grading to proceed.
    Schedule adjustments are being made to allow the Project to
    retain its schedule.
    The following has been completed:
    a.    About 90% of the mass grading for the affordable
    housing townhouse sites has been completed;
    b.    Finish grading for 18 affordable housing
    foundation pads is complete (foundation slabs
    are scheduled to begin in mid-December 2009);
    c.    The immediate access roadway has been graded;
    d.    About 80% of the internal roadways have been
    graded;
    e.    The initial engineering for the roads and
    utilities has been completed;
    f.    The water supply tank sites and service
    corridors have been identified;
    g.    Improvements have been made to the existing
    water well and a 750,000 gallon collection
    reservoir for dust control during construction
    has been built;
    h.    The necessary utility easements have been
    identified and topographic maps have been
    completed (Installation of site utilities to
    begin about 1/1/2010);
    i.    Plan Approval by the Planning Department for the
    affordable housing component was issued on
    November 30, 2009;
    j.    Groundbreaking for the affordable housing phase
    was held on September 22, 2009;
    All necessary permits, including vertical construction
    permits for the affordable housing site have been prepared
    and were recently submitted. DW is working with the County
    to [ensure] that the applications for permits will be
    processed to meet the development schedule.
    DW is working with the Office of Housing and Community
    Development on the terms of the affordable housing
    agreement. The affordable housing units will be in
    buildings which have 16 units in each pad area. The 25 pad
    areas will accordingly produce 400 units of which at least
    385 will be affordable housing units. For the affordable
    housing units, the mix will be 289 three bedroom units and
    96 four bedroom units. A revised affordable housing
    agreement was presented to the Office of Housing for its
    review and approval. The affordable housing units will be
    fee simple condominium units. DW is processing [sic] to
    create the condominium units so that specific affordable
    housing units can be identified for the affordable housing
    agreement.
    On May 4, 2010, the State Office of Planning submitted
    a letter to the LUC commenting on DW’s progress.           With respect to
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    the condition precedent that sixteen units be completed by March
    31, 2010, the letter noted that “any vertical construction which
    occurred was not accompanied by any utility connections, and the
    units cannot be occupied.      The Commission has not addressed
    whether a unit which has no electricity, water, sewage connection
    or roadway infrastructure can be deemed ‘complete.’”            The State
    Office of Planning further noted that DW was behind schedule in
    seeking approval of the EIS, and that the EIS needed to be
    approved before DW could secure approval for required road
    improvements and installation of the wastewater treatment plant.
    The State Office of Planning also stated that Capital
    Asia Group, one of the investors in the project, was using a
    “troubling advertisement” guaranteeing a thirty percent return on
    investment over the course of thirty months.          The State Office of
    Planning explained that the advertisement was troubling because
    “it indicates that financing is likely not secure.”
    The LUC visited the construction site on May 6, 2010.
    The following month, the LUC mailed a letter to DW, requesting a
    written status report in preparation for a hearing scheduled for
    July 1, 2010.    The LUC requested that DW comment on the status of
    its compliance with the condition precedent that sixteen units be
    completed by March 31, 2010, and to address the concerns raised
    by the State Office of Planning in its May 4, 2010 letter.             The
    LUC also asked DW to provide an update on its compliance with
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    each of the conditions under the 1991 decision and order, as
    amended in 2005.
    The LUC received DW’s status report on June 14, 2010.
    In its report, DW stated the following:
    DW understood the requirement to be that it needed to
    complete construction of at least 16 of the affordable
    housing units by March 31, 2010. Since these units are in 8
    unit buildings, this required the completion of construction
    of two buildings.
    DW completed the first two buildings with 8 affordable
    housing units each by March 31, 2010. These buildings have
    completed exteriors and interiors. The electrical and
    plumbing for the units in these buildings is completed and
    ready to hook up. The units have cabinets and appliances
    installed.
    . . . .
    The condition precedent did not require that DW obtain
    certificates of occupancy for the 16 affordable units by
    March 31, 2010. The presentation to the Commission and the
    proceedings on August 27, 2009 show that it was understood
    construction work would be proceeding even if the
    certificates of occupancy could not be obtained until a
    later time.
    DW had submitted to the Commission its schedules for
    construction of the . . . 385 affordable housing units
    required by Condition 1 of the Decision and Order filed on
    November 25, 2005. Those schedules described the site work
    needed to create access to building sites, the establishment
    of the building pads for the structures for the affordable
    housing units and the vertical construction of the
    structures.
    . . . .
    I had submitted a July 30, 2009 status report in
    response to your July 10, 2009 letter for a status report on
    how Petitioners would comply with conditions for
    reclassification. The July 30, 2009 status report included
    a Phase 1 schedule for vertical construction of Phase 1[.]
    In the status report, I had indicated “[t]he goal for Phase
    1 is to obtain occupancy permits for the affordable housing
    units by November 17, 2010[.]”
    The condition was imposed after the Commissioners had
    expressed concerns over the lack of action to implement
    representations made by prior owners in the past. The
    imposition of the condition precedent was a means of holding
    DW to actually constructing affordable housing improvements.
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    Given the testimony that was submitted before the Commission
    imposed its condition precedent, the record showed that a
    number of facts, including the completion of this EIS
    process and the approval of Queen Kaahumanu Highway
    intersection and wastewater treatment plans would be needed
    . . . before occupancy permits could be obtained.
    DW’s plans as presented to the Commission were to
    start with construction of the affordable housing units as
    soon as appropriate grading and building permits were
    obtained and not to wait for the EIS, intersection plan or
    wastewater treatment plant approvals.
    DW believes that it has complied with the condition
    precedent and has demonstrated by actions its commitment to
    proceed with this project. As noted below, DW has not
    limited its construction efforts to these two buildings.
    The site grading for all of the Phase 1 building is
    completed. . . . DW has also had 5 more buildings erected
    which are under construction. . . . Other efforts by DW to
    further work on this project are also described below.
    To date, DW and its contractors have spent more than
    $19,000,000 in proceedings with this project.
    During the July 1, 2010 hearing, Commissioners
    expressed concern that DW had not yet secured title to the
    remaining 1,000 acres of land, the lack of communication with the
    LUC, and the availability of financing for the project.            The
    State Office of Planning also stated that it was concerned
    because the condition precedent was not satisfied, the EIS was
    behind schedule, the pace of construction had slowed, the
    representations made by Capital Asia were problematic, the
    failure to provide the LUC with notice of changes in ownership,
    Bridge’s continuing interest in the project, and November 17,
    2010 should be considered a deadline, not a goal.
    At the end of the hearing, Commissioner Devens moved to
    keep the OSC pending, to schedule a hearing on or after
    September 17, 2010 to consider the OSC, to affirm that
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    November 17, 2010 was a deadline, and that the condition
    precedent had not been satisfied.         The motion passed by a vote of
    8-0.   The LUC also issued a written order finding that DW had
    failed to meet the condition precedent for rescinding the OSC.
    On August 31, 2010, DW filed a motion to amend
    conditions 1, 5, and 7.      Specifically, DW moved to amend the
    affordable housing condition to allow it to complete “the minimum
    385 affordable housing units on the following schedule: 190 units
    by December 31, 2011, 195 units by December 31, 2012”; to modify
    condition 5 “to allow the waste water treatment plant which will
    service the entire project to be located outside the urban
    classified area”; and to amend condition 7 “to require either
    that [DW] provide to the State Department of Education (“DOE”) 16
    acres of land within the urban classified area for a public
    school or provide to DOE 32 acres of land outside the urban
    classified area at such location and upon such terms as are
    acceptable to DW and to the DOE.”         The County Planning Department
    took no position on DW’s motion, the State Office of Planning
    opposed the motion, and Bridge concurred in the motion, but
    argued that the LUC should “eliminate any artificial, arbitrary
    ‘deadlines,’ and instead base [the affordable housing condition]
    upon a revised development schedule that reasonably and credibly
    reflects demand, absorption, and financing in the current
    market.”   DW later submitted a supporting exhibit, i.e., a letter
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    from the County Planning Department indicating that it had
    accepted the final EIS for the project.
    DW later moved to amend its motion.         Specifically, DW
    sought to have condition 1 amended to read as follows:
    a.    A requirement that an updated master plan covering all
    5 phases of the development be submitted to the Land
    Use Commission (hereinafter referred to as “LUC”) for
    its review and approval;
    b.    That the phasing be adjusted to be consistent with the
    current requirements of the LUC. The phasing
    requirements would therefore be adjusted to fit within
    10 year development periods. The phasing would also
    include requirements that infrastructure benefitting
    more that one phase be completed before development of
    later phases which would be dependent on when such
    infrastructure can begin;
    c.    That DW Aina Le’a will continue to complete the
    affordable housing units in Phase I and related
    infrastructure as the priority of the development. DW
    Aina Le’a will not proceed with the development of
    units after Phase I until the updated Master Plan has
    been reviewed and approved by the LUC and the first 56
    affordable housing units have been completed and the
    affordable housing sales program has been started, DW
    Aina Le’a will maintain its sales program for such
    units and will continue to build affordable housing
    units so as to maintain an inventory of such units for
    sale to qualified residents with a minimum inventory
    of 16 units; and
    d.    The current conditions of approval would be amended to
    be consistent with the current practices and
    requirements of the LUC.
    On November 12, 2010, Bridge filed a motion requesting
    an order providing the following: (1) the LUC shall not act on
    the OSC scheduled on the agenda for November 18, 2010; (2) the
    LUC is required to strictly follow HRS Chapter 91, HRS Chapter
    92, HRS Chapter 205, and Hawai#i Administrative Rules (HAR)
    Chapter 15 with respect to the OSC; (3) the OSC is null and void
    because the LUC did not follow the applicable statutes and rules;
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    and (4) the LUC is estopped from proceeding with or taking any
    further action on the matters set forth in the OSC.            DW joined
    Bridge’s motion.
    The following week, the LUC held a hearing on the OSC.
    Due to “the limited number of Commissioners available,” however,
    the LUC heard “evidence and argument on the Show Cause Order,”
    but deferred ruling on the order.
    The State Office of Planning then filed a motion for an
    OSC.   The Office of Planning argued that Bridge and DW “clearly
    violated the LUC’s terms and conditions,” and that “[i]n order to
    preserve the integrity of LUC decisions and the LUC decision-
    making process, Petitioner must be held accountable, and must
    come forward to explain why the Petition Area should not be
    reclassified to its former more appropriate classification.”
    The LUC scheduled a January 20, 2011 hearing on the
    OSC, Bridge’s November 12, 2010 motion, the State Office of
    Planning’s motion, and Bridge’s August 31, 2010 motion to amend.
    Following the hearing, the LUC voted 5-3 to revert the property
    to the agricultural land use district.         The LUC also voted 8-0 to
    deny as moot the State Office of Planning’s motion for an OSC,
    and Bridge’s November 12, 2010 motion.         The LUC did not rule on
    DW’s motion to amend.
    On February 17, 2011, DW submitted a request for a
    hearing on its motion to amend.       On the same day, DW also
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    submitted a request to comment on any proposed findings of fact
    and conclusions of law.       The LUC scheduled a March 10, 2011
    hearing on the adoption of proposed findings of fact, conclusions
    of law, and decision and order, and on the motion to amend.
    The day before the hearing, DW moved for a continuance.
    During the hearing, the LUC voted 6-2 to adopt the proposed
    findings of fact, conclusions of law, and decision and order,
    with amendments.4     By a 6-2 vote, the LUC also granted a
    continuance on DW’s motion to amend.
    On March 17, 2011, DW filed a motion to reconsider and
    to defer entry of final findings of fact, conclusions of law, and
    decision and order.      Bridge joined DW’s motion.       The State Office
    of Planning took no position on the motion.
    Following a hearing on April 8, 2011, the LUC deferred
    acting on DW’s motion to reconsider, and deferred acting on the
    proposed findings of fact, conclusions of law, and decision and
    order.    During a subsequent hearing, Commissioner Kanuha moved to
    grant in part and deny in part DW’s motion to amend.
    Commissioner Kanuha’s motion was defeated 3-5.           With respect to
    DW’s motion to reconsider and defer entry of final findings of
    fact, conclusions of law, and decision and order, the LUC voted
    5-3 to deny the motion.       The LUC also voted 6-2 to adopt the
    4
    Bridge subsequently filed exceptions and objections to the
    proposed findings of fact, conclusions of law, and decision and order, and
    filed its own proposed findings, conclusions, and decision. DW also filed
    exceptions to the proposed findings, conclusions, and decision and order.
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    proposed findings of fact, conclusions of law, and decision and
    order, with amendments.      Finally, on May 13, 2011, the LUC voted
    6-0 to deny DW’s motion to amend.
    On April 25, 2011, the LUC entered an order adopting
    the proposed findings of fact, conclusions of law, and decision
    and order.   The LUC made the following relevant findings of fact:
    G. Violations
    57. As of November 17, 2010, Petitioners had failed to
    provide certificates of occupancy for at least 385
    affordable dwelling units, and violated Condition 1 of the
    2005 Order.
    58. As of January 20, 2011, over 22 years since the
    reclassification was first granted, Petitioners had failed
    to obtain a certificate of occupancy for even one affordable
    dwelling unit within the Petition Area.
    59. Of the 385 affordable dwelling units, Petitioners have
    approximately 40 dwelling units in various stages of
    vertical construction all in the same area.
    60. There is no infrastructure connection to any of the
    affordable dwelling units, including electrical lines,
    sewage lines, water lines, and finished roads. Current
    construction and preliminary infrastructure development has
    been limited to a 62-acre portion of the 1,060 acre Petition
    Area, including temporary access roads.
    61. As of July 1, 2010, Petitioners owed approximately 5.5
    million dollars to the General Contractor, Goodfellow
    Brothers for work previously done.
    62. Petitioners continue to be in violation of Condition 1
    of the 2005 Order, and are unlikely to complete 385
    affordable units in the near future.
    63. Petitioners have not substantially commenced use of the
    Petition Area in conformance with the representations made
    in 2005 or in conformance with the applicable
    representations and conditions as of January 20, 2011.
    Furthermore, Petitioners have failed to substantially comply
    with representations made to the Commission.
    64. Through multiple status hearings and the issuance of the
    December 9, 2008 Order to Show Cause, the Commission has
    clearly informed Petitioners of the importance of complying
    with their representations and all conditions of approval,
    including but not limited to Conditions 1 and 13.
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    65. It is important to the integrity of the State land use
    process that Petitioners comply with the conditions imposed
    by the Commission and with the representations made by the
    Petitioners.
    66. Under the facts and circumstances of this case,
    Petitioners have failed to show cause why the Petition Area
    should not be reverted to its original classification.
    Petitioners have continually violated Condition 13, which
    requires them to substantially comply with representations
    made to the Commission, including but not limited to the
    following:
    • On September 30, 2005, Mr. Paoa represented that
    Petitioner Bridge would build 385 affordable housing units
    on-site within the Petition Area (2005 Order, FOF 9); that
    the homes would be built and certificates of occupancy
    obtained within three years (2005 Order, FOF 12); that no
    additional discretionary governmental approvals were needed,
    with the sole exception of the highway access approval (2005
    Order FOP 26); and that all Petitioner Bridge’s contracts
    with contractors and consultants have been negotiated and
    would be executed and construction site work started within
    30 days of the Commission’s decision (2005 Order, FOF 24 and
    25).
    • On April 30, 2009, Petitioner Bridge represented the
    capabilities, particularly the experience and financial
    capability of DW #Aina Le#a to step into Bridge’s shoes and
    meet all the conditions the Commission had set down.
    Further, Mr. Paoa represented that Petitioner Bridge had the
    capabilities to meet the timeline for construction of the
    affordable housing.
    • On June 5, 2009, in response to a question by the
    Commission prior to being accepted as a co-petitioner, a
    representative of DW #Aina Le#a represented that they had
    reviewed the conditions imposed by the Commission and that
    they were prepared to comply with the conditions. The
    representative of DW #Aina Le#a also represented that they
    had no intent to seek to amend conditions in the 2005 Order.
    • On August 27, 2009, Mr. Wessels, a representative of DW
    #Aina Le#a, represented that DW #Aina Le#a was familiar with
    the Commission’s July 10, 2009 letter to Petitioner Bridge
    requesting information on compliance with conditions, the
    subsequent response letter by Petitioner Bridge on July 30,
    2009, DW #Aina Le#a’s response letter on July 31, 2009, and
    that DW #Aina Le#a was prepared to comply with the conditions
    imposed by the Commission in their 2005 Decision and Order.
    • On December 16, 2009, Co-Petitioner DW #Aina Le#a submitted
    an annual report that represented that all necessary
    permits, including vertical construction permits for the
    affordable housing site had been prepared and recently
    submitted; that they planned to construct the wastewater
    treatment plant in the Agricultural District which would
    require a State Special Permit and amendments to the
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    conditions; that they intend to provide 32 acres in the
    Agricultural District to the Department of Education which
    would require amendments to the conditions; that they would
    comply with DOH conditions; and that they will provide the
    Commission with notice of any intent to sell, lease, assign,
    place in trust, or otherwise voluntarily alter the ownership
    interest of the Property.
    • On November 18, 2010, Co-Petitioner DW #Aina Le#a admitted
    not meeting a deadline by a “very major amount” in reference
    to the requirement to provide certificates of occupancy for
    385 affordable units by November 17, 2010; and further
    admitted that they could not provide a firm date by which
    the 16 units that had been constructed could be occupied.
    • On November 18, 2010, in response to questioning by the
    Commission, Co-Petitioner DW #Aina Le#a represented that
    condominium documents had not been submitted, the package
    wastewater treatment plant had not been delivered and plans
    not submitted to the State Department of Health for review
    and approval, no application had been made to the Public
    Utilities Commission for approval of wastewater or water
    utilities, no plans for landscaping had been submitted for
    review and approval by the County, and Co-Petitioner DW Lea
    had not authorized anything to facilitate the construction
    of the intersection to provide access to the Property.
    The LUC also made the following conclusions of law:
    1. Any conclusions of law herein improperly designated as a
    finding of fact should be deemed and construed as a
    conclusion of law; any finding of fact herein improperly
    designated as a conclusion of law should be deemed and
    construed as a finding of fact.
    2. The Commission has the authority to revert a Petition
    Area to its original land use classification for failure to
    comply with the conditions imposed by the Commission.
    Lana#i Co. Inc. v. Land Use Commission, 105 Hawai#i 296, 318
    (Haw. 2004), and HRS Section 205-4(g).
    3. Under the facts and circumstances of this case,
    Petitioners have failed to satisfy Condition 1 and have
    failed to substantially comply with representations made to
    the Commission, in violation of Condition 13.
    4. Under the facts and circumstances of this case, reversion
    of the Petition Area to its original agricultural
    classification does not violate any applicable rule or
    statutory provisions,
    including Hawai#i Administrative Rules (HAR) subchapter 7 of
    Chapter 15-15, and HRS Chapters 91, 92, and 205.
    5. The Commission does not rule upon questions of
    constitutional law.
    6. Under the facts and circumstances of this case, reversion
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    of the Petition Area to its original agricultural
    classification for violation of conditions, including
    Condition 1 and Condition 13, is not precluded by the
    doctrine of estoppel.
    The LUC therefore ordered that the property be reverted
    to its prior agricultural land use classification.
    B.     Circuit court proceedings
    Bridge appealed the LUC’s order to the Circuit Court of
    the First Circuit (Civil No. 11-1-0969-5), and DW appealed to the
    Circuit Court of the Third Circuit (Civil No. 11-1-0112K).               The
    parties later stipulated to          transfer venue of Bridge’s appeal
    to the Third Circuit, where the two appeals were consolidated.5
    DW filed a motion to stay the LUC’s April 25, 2011
    order.    DW argued it was likely that it would prevail on the
    merits, it would sustain irreparable harm absent a stay, and the
    public interest would be served by a stay.            The circuit court
    denied DW’s motion to stay.         The circuit court concluded that the
    LUC had not violated HRS § 205-4(h) because the reversion was
    made pursuant to HRS § 205-4(g), but that there was insufficient
    evidence to determine whether DW would prevail on its argument
    that the LUC had violated HRS § 205-4(g).           The circuit court also
    concluded that it could not assess the merits of DW’s vested
    rights, estoppel, and constitutional arguments.             The circuit
    court further concluded that the threat of irreparable harm was
    5
    The parties also stipulated to dismissing without prejudice all
    claims against the State of Hawai#i Office of State Planning, County of
    Hawai#i, and County of Hawai#i Planning Department.
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    speculative, and that it could not determine whether the public
    interest would be served by a stay.        The LUC filed a motion to
    strike a portion of the record on appeal.         Specifically, the LUC
    sought an order:
    striking that portion of the Designation of Record on Appeal
    designating the following dockets as part of the record on
    appeal: Land Use Commission dockets: “A93-701; Kaupulehu
    Developments; A00-730, Lanihau Properties; A03-744,
    Hiluhilu; A06-770, The Shopoff Group, L.P.; A06-767,
    Waikaloa Mauka, LLC; and A10-788, HHFDC Forest City”.
    In a memorandum in support of its motion, the LUC
    argued that “[t]he additional 6 dockets designated by Appellant
    are not part of the evidentiary record in [this case].”            DW
    opposed the motion to strike, arguing that the additional dockets
    demonstrated that the LUC violated DW’s equal protection rights.
    DW also argued that the First Circuit Court had denied a
    substantially similar motion during Bridge’s appeal to that
    court.   Specifically, Bridge had requested that documents from
    eighteen LUC cases be included in the record on appeal in the
    First Circuit Court, and the First Circuit Court denied the LUC’s
    motion to strike those documents.         The Third Circuit Court denied
    the LUC’s motion to strike.
    Bridge made the following six main arguments in the
    circuit court: (1) the LUC violated HRS Chapters 205 and 91; (2)
    “zoning estoppel” prevented the LUC from enforcing the boundary
    amendment; (3) the LUC violated its equal protection rights; (4)
    the affordable housing condition was an “unconstitutional land
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    development condition”; (5) the LUC’s final order was not
    supported by the record; and (6) the LUC violated its due process
    rights.
    DW raised the following six arguments:          (1) the LUC’s
    final order violated HRS Chapter 205 and HAR Chapter 15-15; (2)
    the LUC exceeded its statutory authority in enforcing the
    affordable housing condition; (3) equitable estoppel barred the
    LUC from reverting the property to the agricultural land use
    district because DW’s development rights in the property were
    vested; (4) its equal protection rights under the United States
    and Hawai#i Constitutions were violated; (5) its procedural and
    substantive due process rights were violated under the United
    States and Hawai#i Constitutions; and (6) the reversion amounted
    to an unlawful taking under the United States and Hawai#i
    Constitutions.
    The LUC filed a consolidated answering brief, advancing
    seven arguments.6     Those arguments were that:       (1) HRS § 205-4’s
    requirements relating to district boundary amendments do not
    apply to reversions; (2) the affordable housing condition was
    6
    The County Planning Department also filed an answering brief. The
    County Planning Department explained that it relied on the LUC’s
    reclassification of the land in adopting a rezoning ordinance, granting
    subdivision approval, and issuing building permits. The County Planning
    Department explained that the LUC’s reclassification of the property back to
    the agricultural land use district “raises significant questions as to whether
    the [County’s] rezoning action, pursuant to the January 8, 1993, Ordinance No.
    93-1, amending the County’s Zoning Code for the project area from Unplanned to
    Residential, Multi-Family, and Village Commercial uses, is still valid.” The
    County Planning Department, however, did not suggest how the circuit court
    should decide the case.
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    constitutional; (3) Bridge’s and DW’s equal protection and due
    process arguments were unfounded; (4) the doctrine of zoning
    estoppel did not apply because the classification was made
    subject to conditions; (5) its procedures were proper; (6) its
    decision was supported by the record and was neither arbitrary
    nor capricious; and (7) there was no unconstitutional taking.
    The circuit court entered its amended findings of fact,
    conclusions of law, and order reversing and vacating the LUC’s
    final order on June 15, 2012.       The circuit court did not address
    individual findings of fact and conclusions of law in its order.
    Instead, the circuit court’s order provided that the LUC’s April
    25, 2011 order was “reversed and vacated in its entirety.”
    The circuit court first concluded that the LUC exceeded
    its statutory authority and violated HRS Chapter 205.            The
    circuit court explained that HRS Chapter 205 “granted the LUC
    authority to establish land use regulations for the major classes
    of uses and to establish the boundaries of the districts for
    these uses,” but that the “responsibility of enforcing the land
    use classification districts adopted by the LUC was expressly
    delegated to the counties.”       The circuit court further noted that
    HRS Chapter 205 “expressly delegates the power to enforce land
    use conditions, and zoning, to the counties.”          The circuit court
    therefore concluded that the LUC lacked “the authority to
    sanction Bridge and DW with reclassification of the Property to
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    the Agricultural land use district without consideration of the
    factors required for land use district boundary changes pursuant
    to HRS §§ 205-16[7] and 205-17[8].”
    7
    Section 205-16 provides: “No amendment to any land use district
    boundary nor any other action by the land use commission shall be adopted
    unless such amendment or other action conforms to the Hawaii state plan.” HRS
    § 205-16 (2001).
    8
    Section 205-17 provides:
    In its review of any petition for reclassification of
    district boundaries pursuant to this chapter, the commission
    shall specifically consider the following:
    (1) The extent to which the proposed reclassification
    conforms to the applicable goals, objectives, and policies
    of the Hawaii state plan and relates to the applicable
    priority guidelines of the Hawaii state plan and the adopted
    functional plans;
    (2) The extent to which the proposed reclassification
    conforms to the applicable district standards;
    (3) The impact of the proposed reclassification on the
    following areas of state concern:
    (A) Preservation or maintenance of important natural
    systems or habitats;
    (B) Maintenance of valued cultural, historical, or
    natural resources;
    (C) Maintenance of other natural resources relevant to
    Hawaii’s economy, including agricultural resources;
    (D) Commitment of state funds and resources;
    (E) Provision for employment opportunities and
    economic development; and
    (F) Provision for housing opportunities for all income
    groups, particularly the low, low-moderate, and gap groups;
    (4) The standards and criteria for the reclassification or
    rezoning of important agricultural lands in section 205-50;
    (5) The county general plan and all community, development,
    or community development plans adopted pursuant to the
    county general plan, as they relate to the land that is the
    subject of the reclassification petition; and
    (6) The representations and commitments made by the
    petitioner in securing a boundary change.
    (continued...)
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    The circuit court expressly stated that it was not
    concluding that the LUC could never impose specific dates and
    benchmarks, only that “if the LUC is going to enforce these
    conditions, it must do so within a much broader context, and that
    context is found in HRS §§ 205-16 and -17.”          In this regard, the
    circuit court noted that “one of the stated purposes of
    imposition of conditions under HRS Chapter 205 is to hold
    petitioners to their word of representations.”
    The circuit court next concluded that the LUC violated
    HRS § 205-4(h).     The circuit court explained that the LUC
    violated HRS § 205-4(h) by failing to “find upon the clear
    preponderance of the evidence that the proposed boundary is
    reasonable, not violative of HRS § 205-2 and part III of HRS
    Chapter 205, and consistent with the policies and criteria
    established pursuant to HRS §§ 205-16 and 205-17[,]” and “by
    failing to obtain six affirmative votes to amend the land use
    district boundary.”
    Third, the circuit court concluded that the LUC
    violated HRS § 205-16 because “there are no findings of fact or
    conclusions of law in the Final Order, nor any evidence in the
    record, indicating that the LUC considered the Hawaii State
    Plan.”    The circuit court next concluded the LUC also violated
    8
    (...continued)
    HRS § 205-17 (Supp. 2008)
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    HRS § 205-17 because it failed to consider the factors listed
    therein.    Fifth, the circuit court concluded that the LUC
    violated HRS § 205-4(g) because the OSC was not resolved within
    365 days of its issuance.
    The circuit court further concluded that the LUC
    violated HRS Chapters 91 and 205, and HAR Chapter 15 based on
    improper procedures.     Specifically, the circuit court concluded
    that “instead of following these statutes and rules, the LUC
    implemented a rolling and continuing OSC procedure that not only
    extended far beyond the 365-day period required by HRS § 205-
    4(g), but also ignored the required procedures, and created new
    procedures that were not already established.”
    Sixth, the circuit court concluded that the LUC
    violated Bridge’s and DW’s procedural and substantive due process
    rights.    The circuit court specifically noted “(1) [the LUC’s]
    rolling and continuing OSC that extended far beyond the time
    period allowed by law; (2) the LUC’s conduct that was in
    derogation of the statute and rules established to protect Bridge
    and DW; and (3) the LUC’s attempt to create a new procedure that
    was not already established.”       The circuit court concluded that
    the LUC denied Bridge and DW their right to a meaningful
    opportunity to be heard, and that the final order was “arbitrary
    and unreasonable, having no substantial relation to the public
    health, safety, morals, or general welfare.”
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    The circuit court also concluded that the LUC violated
    Bridge’s and DW’s equal protection rights.          The circuit court
    explained that the LUC treated “Bridge, DW and this Project
    differently, and less favorably, than other petitioners in cases
    involving facts and circumstances substantially similar to this
    case.”   The circuit court noted “at least six other major project
    dockets” where the LUC has taken no action to revert, even though
    “the petitioners have failed to fulfill their representations to
    the LUC; have failed to meet their projected development
    timeframes; and have failed to build any housing units, much less
    any affordable housing units.”9
    The circuit court reversed and vacated the LUC’s final
    order in its entirety, declaring that the April 25, 2011 order,
    violates constitutional and statutory provisions, exceeds
    the LUC’s authority and jurisdiction, was made upon unlawful
    procedures, was affected by other errors of law, was clearly
    erroneous in view of the reliable, probative, and
    substantive evidence on the whole record, and was arbitrary,
    capricious, or characterized by abuse of discretion or
    clearly unwarranted exercise of discretion.
    Finally, the circuit court ordered that the OSC and all
    other orders issued by the LUC that were inconsistent with the
    circuit court’s decision were rescinded and voided.
    The circuit court entered an amended final judgment,
    from which the LUC timely filed a notice of appeal.            The ICA
    9
    The circuit court did not reach the zoning estoppel and vested
    rights arguments advanced by Bridge and DW, and they are not at issue on
    appeal. The circuit court also did not address DW’s unconstitutional taking
    argument. We therefore do not consider these arguments.
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    dismissed the appeal for lack of jurisdiction, however, because
    the amended final judgment neither entered judgment on nor
    dismissed the administrative appeals as to the State Office of
    Planning, the County Planning Department, and the County of
    Hawai#i.    The circuit court thereafter entered a second amended
    final judgment, which stated that all claims against the County
    of Hawai#i, the County of Hawai#i Planning Department, and the
    State Office of Planning had been dismissed, and the LUC timely
    filed a notice of appeal.
    The LUC timely filed an application for transfer of the
    appeal from the ICA to this court, and Bridge filed a joinder to
    the LUC’s motion.    This court granted the LUC’s application for
    transfer.
    On appeal, the LUC raises three points of error:
    1.   Haw. Rev. Stat. § 205-4(g) (2001) and Supreme Court
    case law specifically affirm [the issuance of] “an
    order to show cause why the property should not revert
    to its former classification or be changed to a more
    appropriate classification.” The circuit court erred
    by ruling to the contrary[.]
    . . . .
    2.   Haw. Rev. Stat. § 91-14(f) (2012) and Haw. Rev. Stat.
    § 91-9(e) (2012) provide that the court’s review
    “shall be confined to the record.” The circuit court
    erred by considering matters not part of the record.
    . . . .
    3.   The circuit court erred in ruling in an agency appeal
    — without any opportunity for presentation of evidence
    and without regard to the right to trial by jury —
    that the LUC and individual commissioners violated
    developers’ constitutional rights to equal protection
    and due process.
    . . . .
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    II.   Standard of Review
    A.     Secondary appeal
    Review of a decision made by the circuit court upon its
    review of an agency’s decision is a secondary appeal. The
    standard of review is one in which this court must determine
    whether the circuit court was right or wrong in its
    decision, applying the standards set forth in HRS § 91–14(g)
    . . . to the agency’s decision.
    Citizens Against Reckless Dev. v. Zoning Bd. of Appeals of City &
    Cnty. of Honolulu, 114 Hawai#i 184, 193, 
    159 P.3d 143
    , 193
    (2007).
    Section 91-14(g) provides the following:
    Upon review of the record the court may affirm the decision
    of the agency or remand the case with instructions for
    further proceedings; or it may reverse or modify the
    decision and order if the substantial rights of the
    petitioners may have been prejudiced because the
    administrative findings, conclusions, decisions, or orders
    are:
    (1) In violation of constitutional or statutory provisions;
    or
    (2) In excess of the statutory authority or jurisdiction of
    the agency; or
    (3) Made upon unlawful procedure; or
    (4) Affected by other error of law; or
    (5) Clearly erroneous in view of the reliable, probative,
    and substantial evidence on the whole record; or
    (6) Arbitrary, or capricious, or characterized by abuse of
    discretion or clearly unwarranted exercise of discretion.
    HRS § 91-14(g).
    “‘[U]nder HRS § 91–14(g), conclusions of law are
    reviewable under subsections (1), (2), and (4); questions
    regarding procedural defects under subsection (3); findings of
    fact under subsection (5); and an agency’s exercise of discretion
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    under subsection (6).’”        Citizens Against Reckless Dev., 114
    Hawai#i at 
    193, 159 P.3d at 152
    (quoting In re Hawaiian Elec.
    Co., 81 Hawai#i 459, 465, 
    918 P.2d 561
    , 567 (1996)) (brackets in
    original).
    III.   Discussion
    A.     The circuit court correctly concluded that the LUC erred in
    reverting the property to the agricultural land use district
    without complying with the requirements of HRS § 205-4
    The LUC argues that the circuit court’s “fundamental
    error was to equate the reclassification process [under HRS
    § 205-4(a)], with reversion pursuant to [HRS § 205-4(g)].”
    Specifically, the LUC argues that pursuant to HRS § 205-4(g), it
    is authorized to impose conditions on a petition seeking to amend
    a district boundary, to issue an OSC, and to revert property to
    its former land use classification.          In the LUC’s view, because
    reclassification is different than reversion, it was not required
    to consider the factors set forth in HRS §§ 205-16 and 205-17, it
    did not have to satisfy the requirements of HRS § 205-4(h), and
    it did not have to satisfy the 365 day deadline set forth in HRS
    § 205-4(g).
    DW and Bridge argue that the LUC may only revert
    property pursuant to an OSC if the petitioner has not
    substantially commenced use of the property.            DW and Bridge
    further argue that, upon issuance of an OSC, the LUC must follow
    the same procedures applied in considering any other district
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    boundary amendment petition.       Thus, according to DW and Bridge,
    pursuant to HRS § 205-4(h), the LUC must find by a clear
    preponderance of the evidence that the proposed boundary is
    reasonable, not violative of HRS § 205-2, and consistent with the
    policies and criteria established under HRS §§ 205-16 and 205-17.
    They also argue that at least six affirmative votes are required
    to revert property.
    To the extent DW and Bridge argue that the LUC must
    comply with the general requirements of HRS § 205-4 anytime it
    seeks to revert property, they are mistaken.          The express
    language of HRS § 205-4(g) and its legislative history establish
    that the LUC may revert property without following those
    procedures, provided that the petitioner has not substantially
    commenced use of the property in accordance with its
    representations.    In such a situation, the original
    reclassification is simply voided.
    Thus, once the LUC issues an OSC, the relevant
    considerations to be taken into account by the LUC and the
    procedures it must follow turn on whether the petitioner has
    substantially commenced use of the land in accordance with its
    representations.    When the LUC reverts property before the
    petitioner has substantially commenced use of the land, the LUC
    may do so without following the procedures otherwise applicable
    under HRS § 205-4.     However, if the LUC seeks to revert property
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    after use of the land has substantially commenced, then the LUC
    is bound by the requirements of HRS § 205-4.          Applying these
    principles to the facts of this case, the circuit court correctly
    concluded that the LUC erred in reverting the property to
    agricultural use without complying with the requirements of HRS
    § 205-4 because, by the time the LUC reverted the property, DW
    and Bridge had substantially commenced use of the land in
    accordance with their representations.
    1.    Amendments to district boundaries pursuant to HRS §
    205-4
    There are four major land use districts in which all
    lands in the state are placed:       urban, rural, agricultural, and
    conservation.    HRS § 205-2.     The LUC generally sets the standards
    for determining the boundaries of each district.           
    Id. Section 205-4
    generally sets forth the procedures the
    LUC must follow in amending a district boundary.           Section 205-
    4(a) provides that any department or agency of the State, any
    department or agency of the county in which the land is situated,
    or any person with a property interest in the land sought to be
    reclassified may petition the LUC for a boundary change.             HRS
    § 205-4(a).   Not less than sixty days and not more than one
    hundred eighty days after the proper filing of a petition, the
    LUC must conduct a hearing on the petition.          HRS § 205-4(b).
    Section 205-4(h) provides that no amendment to a
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    district boundary shall be approved unless the LUC “finds upon
    the clear preponderance of the evidence that the proposed
    boundary is reasonable, not violative of section 205-2 and
    consistent with the policies and criteria established pursuant to
    section 205-16 and 205-17.”       HRS § 205-4(h).     Section 205-4(h)
    further provides that “[s]ix affirmative votes of the commission
    shall be necessary for any boundary amendment under this
    section.”    HRS § 205-4(h).
    Section 205-4(g) is particularly relevant here.           That
    section provides that within a period of not more than three
    hundred sixty-five days after the filing of a petition for a
    boundary amendment, the LUC shall act to approve, deny, or modify
    the petition, by filing findings of fact and conclusions of law.
    HRS § 205-4(g).    This section further provides that the LUC may
    modify a petition by imposing conditions necessary to uphold the
    intent and spirit of HRS Chapter 205, the policies and criteria
    established pursuant to HRS § 205-17, or to assure substantial
    compliance with representations made by the petitioner in seeking
    a boundary change.     HRS § 205-4(g).     In other words, HRS §
    205–4(g) gives the LUC broad authority to impose conditions on
    boundary amendment petitions.       Lanai Co. v. Land Use Comm’n, 105
    Hawai#i 296, 317, 
    97 P.3d 372
    , 393 (2004).
    In general, however, enforcement of these conditions is
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    left to the counties under HRS § 205-12,10 and not the LUC.
    Lanai Co., 105 Hawai#i at 
    394-95, 97 P.3d at 318-19
    .            For
    example, in Lanai Co., the LUC reclassified land from the rural
    and agricultural land use districts to the urban land use
    district to allow for the construction of a golf course.              105
    Hawai#i at 
    298, 97 P.3d at 374
    .         The LUC reclassified the land
    subject to a condition prohibiting the landowner from utilizing
    potable water from the high-level groundwater aquifer for golf
    course irrigation use, and another condition requiring the
    landowner to develop its own sources of water to service the
    property.    
    Id. at 300,
    97 P.3d at 376.        The reclassification was
    also made subject to the condition that the landowner “shall
    develop the property in substantial compliance with
    representations made to the [LUC]” and that “[f]ailure to do so
    may result in reclassification of the property to its former land
    use classification.”      
    Id. at 300-01,
    97 P.3d at 376-77.
    After the land was being used as a golf course, the LUC
    issued an OSC why the land should not revert to its former
    classifications or be changed to a more appropriate
    10
    Section 205-12 provides:
    The appropriate officer or agency charged with the
    administration of county zoning laws shall enforce
    within each county the use classification districts
    adopted by the land use commission and the restriction
    on use and the condition relating to agricultural
    districts under [HRS § 205-4.5] and shall report to
    the commission all violations.
    HRS § 205-12 (2001).
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    classification, based on a claim that the landowner had
    impermissibly used water from the high-level groundwater aquifer,
    and had failed to develop and utilize alternative sources of
    water.   
    Id. at 302,
    97 P.3d at 378.       The LUC concluded that the
    landowner failed to perform according to the groundwater aquifer
    condition, and issued an order requiring the landowner to comply
    with this condition, to cease and desist any use of water from
    the high-level aquifer, and to file a detailed plan specifying
    how it would comply with the order.        
    Id. at 306,
    97 P.3d at 382.
    The circuit court concluded that the LUC’s finding that the
    landowner had violated the groundwater aquifer condition was
    clearly erroneous and the LUC exceeded its authority in issuing
    the cease and desist order.       
    Id. This court
    affirmed the circuit court’s ruling that
    the LUC’s finding regarding the alleged violation of the
    groundwater aquifer condition was clearly erroneous, but remanded
    the question of whether the landowner was using potable water
    from the high-level aquifer to the circuit court, with
    instructions to remand the issue to the LUC.          
    Id. For purposes
    of remand, this court explained that whether there had been a
    breach of a condition was a determination to be made by the LUC.
    
    Id. at 317,
    97 P.3d at 393.
    This court explained that HRS § 205-4(g) empowers the
    LUC to use conditions to uphold the intent and spirit of HRS
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    Chapter 205, uphold the policies and criteria established
    pursuant the HRS § 205-17, and assure substantial compliance with
    representations made by a petitioner seeking a boundary change.
    
    Id. This court
    further explained, however, that HRS Chapter 205
    does not expressly authorize the LUC to issue cease and desist
    orders.     
    Id. at 318,
    97 P.3d at 394.        Thus, this court concluded,
    although “the LUC must necessarily be able to order that a
    condition it imposed be complied with, and that a violation of a
    condition cease,” the “power to enforce the LUC’s conditions and
    orders . . . lies with the various counties.”             
    Id. This court
    explained that “[t]here is no provision in
    HRS § 205-12 that expressly delegates enforcement power to the
    LUC,” and that “[i]f the legislature intended to grant the LUC
    enforcement powers, it could have expressly provided the LUC with
    such power.”      
    Id. Thus, this
    court observed, “looking to the
    express language of HRS § 205-12, it is clear and unambiguous
    that enforcement power resides with the appropriate officer or
    agency charged with the administration of county zoning laws,
    namely the counties, and not the LUC.11           
    Id. 11 The
    Lanai Co. court also stated that “the legislature granted the
    LUC the authority to impose conditions and to down-zone land for the violation
    of such conditions[.]” 105 Hawai#i at 
    318, 97 P.3d at 394
    . As DW and Bridge
    observe, this passage was dictum. Moreover, elsewhere in the opinion, the
    court noted that the power to revoke was dependent on whether substantial
    commencement of use of the land had occurred. See Lanai Co., 105 Hawai#i at
    
    317, 97 P.3d at 393
    (“Moreover, ‘absent substantial commencement of use of the
    land in accordance with such representations made . . . in seeking [the]
    boundary change[,]’ the LUC is expressly authorized to order a reversion of
    land to the prior classification.” (ellipsis and brackets in original)
    (continued...)
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    The one exception to this general rule is found in HRS
    § 205-4(g).    That section provides in relevant part that, “The
    commission may provide by condition that absent substantial
    commencement of use of the land in accordance with such
    representations [made to the LUC by the petitioner], the
    commission shall issue and serve upon the party bound by the
    condition an OSC why the property should not revert to its former
    land use classification or be changed to a more appropriate
    classification.”12
    This sentence was added to HRS § 205-4(g) in 1990.
    1990 Haw. Sess. Laws Act 261 § 1 at 563-64.            The legislative
    history indicates that the legislature sought to empower the LUC
    to void a district boundary amendment where the petitioner does
    not substantially commence use of the land in accordance with
    representations made to the LUC.         In this regard, the Senate
    Committee on Energy and Natural Resources explained in its report
    that the purpose of adding this sentence was “to allow the Land
    Use Commission to attach a condition to a boundary amendment
    decision which would void the boundary amendment when substantial
    commencement of the approved land use activity does not occur in
    11
    (...continued)
    (footnote and emphasis omitted)).   Thus, this passage is not dispositive of
    the issue here.
    12
    Although HRS § 205-4(g) provides that the LUC may either revert
    the land or change it to “a more appropriate classification,” the latter
    alternative is not at issue in the instant case.
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    accordance with representations made by the petitioner.”             S.
    Stand. Comm. Rep. No. 2116, in 1990 S. Journal, at 915 (emphasis
    added).   The House Committee on Planning, Energy, and
    Environmental similarly stated in its report that the purpose of
    the bill was to “strengthen existing statutes by permitting the
    Land Use Commission further control over a proposed development
    by voiding a change in zoning if the petitioner does not make a
    substantial commencement of the approved land use activity.”                H.
    Stand. Comm. Rep. No. 1086-90, in 1990 H. Journal, at 1265
    (emphasis added).
    The legislative history further indicates that the
    legislature added this language in order to empower the LUC to
    address a particular situation, namely, where the landowner does
    not develop the property in a timely manner.          The Senate
    Committee on Energy and Natural Resources specifically noted that
    “[v]acant land with the appropriate state and county land use
    designation is often subjected to undesirable private land
    speculation and uncertain development schedules[,]” and that
    “[s]uch speculation and untimely development inflates the value
    of land, increases development costs, and frustrates, federal,
    state, county, and private coordination of planning efforts,
    adequate funding, public services, and facilities.”            S. Stand.
    Comm. Rep. No. 2116, in 1990 S. Journal, at 915.
    The fact that the legislature sought to address
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    situations where the petitioner has not substantially commenced
    use of the land is further evidenced in the testimony presented
    to both the Senate and House committees.         In both the Senate and
    the House, the Office of State Planning offered testimony that
    “[a] positive approach to comprehensive land use planning and a
    strong preventive measure to land speculation, necessitates this
    bill which will require that successful applicants for land use
    boundary amendments either ‘use it, or lose it.’”           Letter from
    Office of State Planning, to S. Comm. on Energy & Natural Res.
    (Feb. 7, 1990) (on file with the Hawai#i State Archives)
    (emphasis added); Letter from Office of State Planning, to H.
    Comm. on Planning, Energy & Envtl. Protection (Mar. 8, 1990) (on
    file with the Hawai#i State Archives) (emphasis added).            The LUC
    also offered testimony to both the Senate and the House, stating
    that “the proposed amendment will clarify the Commission’s
    authority to impose a specific condition to downzone property in
    the event that the Petitioner does not develop the property in a
    timely manner.”    Letter from Land Use Comm’n, to S. Comm. on
    Energy & Natural Res. (Feb. 7, 1990) (on file with the Hawai#i
    State Archives) (emphasis added); Letter from Land Use Comm’n, to
    H. Comm. on Planning, Energy & Envtl. Protection (Mar. 8, 1990)
    (on file with the Hawai#i State Archives) (emphasis added).
    Thus, the legislative history establishes that by adding this
    sentence to HRS § 205-4(g) in 1990, the legislature sought to
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    empower the LUC to void a boundary amendment, after giving the
    landowner the opportunity for a hearing, if the landowner failed
    to substantially commence use of the land in accordance with its
    representations.
    The proper procedure to be followed by the LUC in
    ruling on the OSC therefore depends on whether the petitioner has
    substantially commenced use of the land in accordance with its
    representations.    Section 205-4(g) represents a limited exception
    to the general principles set forth in HRS Chapter 205, which
    require consideration of whether the boundary change violates HRS
    § 205-2 (setting forth general considerations in districting and
    classifying land), is consistent with the policies and criteria
    set forth in HRS § 205-16 (compliance with the Hawai#i state
    plan) and HRS § 205-17 (setting forth decision-making criteria
    for the LUC).
    Where the LUC issues an OSC and seeks to revert
    property based on a petitioner’s failure to substantially
    commence use of the land in accordance with its representations,
    the LUC is not required to follow the procedures otherwise
    applicable to boundary changes under HRS Chapter 205.            A
    reversion in such circumstances simply restores the status quo
    ante, prior to the original reclassification.          Following the
    general procedures set forth in HRS § 205-4 would serve no
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    purpose under these circumstances.13
    Indeed, as noted above, the legislative history of HRS
    § 205-4(g) indicates that the legislature intended to empower the
    LUC to void a boundary change where the petitioner failed to
    substantially commence use of the property in accordance with its
    representations.     S. Stand. Comm. Rep. No. 2116, in 1990 S.
    Journal, at 915 (“The purpose of this bill is to amend section
    205-4(g), Hawaii Revised Statutes, to allow the Land Use
    Commission to attach a condition to a boundary amendment decision
    which would void the boundary amendment when substantial
    commencement of the approved land use activity does not occur in
    accordance with representations made by the petitioner.”
    (Emphasis added)); H. Stand. Comm. Rep. No. 1086-90, in 1990 H.
    Journal, at 1265 (“The purpose of this bill is to strengthen
    existing statutes by permitting the Land Use Commission further
    control over a proposed development by voiding a change in zoning
    if the petitioner does not make substantial commencement of the
    approved land use activity.” (Emphasis added)).           In other words,
    the legislative history of HRS § 205-4(g) indicates that
    13
    DW and Bridge argue that the LUC violated HRS § 205-16. Section
    205-16 provides that “[n]o amendment to any land use district boundary
    amendment nor any other action by the land use commission shall be adopted
    unless such amendment or other action conforms to the Hawaii state plan.” HRS
    § 205-16 (emphasis added). However, as noted above, the legislature expressly
    granted the LUC the authority to revert land where the petitioner has not
    substantially commenced use of the property in accordance with its
    representations under HRS § 205-4(g). There is no indication that the LUC’s
    authority to void a boundary amendment pursuant to HRS § 205-4(g) is
    conditioned on a finding under HRS § 205-16.
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    compliance with all of the procedures of HRS § 205-4 is
    unnecessary when the petitioner has not substantially commenced
    use of the land because the prior reclassification is simply
    voided.    Thus, when the petitioner has not substantially
    commenced use of the land, the LUC may revert the land without
    following the procedures set forth in HRS § 205-4.14
    On the other hand, if the LUC seeks to revert land
    after the petitioner has substantially commenced use of the land,
    the LUC is required to follow the procedures set forth in HRS
    § 205-4.    After the petitioner substantially commences use of the
    land, the circumstances have changed and it may no longer be
    appropriate to revert the land to its prior classification.
    Having the LUC follow the procedures set forth in HRS
    § 205-4 after the petitioner has substantially commenced use of
    the land is also consistent with the division of authority
    between the LUC and the counties of Hawai#i.          As this court noted
    in Lanai Co., the power to enforce the LUC’s conditions and
    orders generally lies with the various counties.            105 Hawai#i at
    
    318, 97 P.3d at 394
    .      The one exception to this general rule, of
    course, is the LUC’s express grant of authority to revert land if
    the petitioner has not substantially commenced use of the land in
    14
    Of course, this is not to say that the LUC is free of any
    procedural constraints when it seeks to revert land in such circumstances.
    The LUC is bound by the procedures it has set forth in HAR § 15-15-93,
    including the specific requirements relating to the information to be included
    in the order to show cause, the necessity that a hearing be held on the
    motion, and the LUC’s post-hearing procedures.
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    accordance with its representations.         See HRS § 205-4(g).
    Thus, where the petitioner has substantially commenced
    use of the land, the LUC is required to follow the procedures set
    forth in HRS § 205-4 that are generally applicable when
    boundaries are changed.      The LUC is therefore required to find by
    a clear preponderance of the evidence that the reclassification
    is reasonable, not violative of HRS § 205-2, and consistent with
    the policies of HRS §§ 205-16 and 205-17.         HRS § 205-4(h).      The
    LUC is also required to obtain six votes in favor of the
    reclassification.    HRS § 205-4(h).       Finally, the LUC must resolve
    the reversion or reclassification issue within three hundred
    sixty-five days.    HRS § 205-4(g).       On the other hand, if the
    petitioner has not substantially commenced use of the property,
    then the LUC may revert the property without following the
    strictures of HRS § 205-4, so long as it otherwise complies with
    HAR § 15-15-93.
    2.    The LUC erred in reverting the property to the
    agricultural land use district without complying with
    the requirements of HRS § 205-4 because Bridge and DW
    substantially commenced use of the property
    We therefore consider as a threshold matter whether
    Bridge and DW substantially commenced use of the land in
    accordance with their representations.         If Bridge and DW did not
    substantially commence use of the property, then the LUC was not
    required to follow the procedures of HRS § 205-4.           If, however,
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    Bridge and DW did substantially commence use of the property in
    accordance with their representations, then the LUC was required
    to follow the procedures of that section.
    Section 205-4(g) does not include a definition of
    “substantial commencement,” and the LUC’s April 25, 2011 order
    does not explain how the LUC interpreted that term.            The
    interpretation of a statute is a question of law which is freely
    reviewable by this court.      See Univ. of Haw. v. Befitel, 105
    Hawai#i 485, 488, 
    100 P.3d 55
    , 58 (2004).         “Substantial” is,
    according to Blacks’s Law Dictionary, “considerable in amount or
    value; large in volume or number.”        Black’s Law Dictionary 1656
    (10th ed. 2014).    In drafting HRS § 205-4(g), the legislature did
    not require that the use be substantially completed, but rather
    that it be substantially commenced.        This is consistent with the
    concerns identified by the legislature in the legislative history
    of the statute, i.e., that it was trying to deter speculators who
    obtained favorable land-use rulings and then sat on the land for
    speculative purposes.
    In its April 25, 2011 order, the LUC found that
    “Petitioners have not substantially commenced use of the Petition
    Area in conformance with the representations made in 2005 or in
    conformance with the applicable representations and conditions as
    of January 20, 2011.”     The LUC contends that Bridge and DW did
    not challenge that finding and are accordingly bound by it.             DW,
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    however, challenged this finding in the circuit court,15 and the
    circuit court reversed and vacated the April 25, 2011 order in
    its entirety.
    To the extent the circuit court concluded that the
    LUC’s finding as to whether DW and Bridge had substantially
    commenced use of the land in accordance with their
    representations was clearly erroneous, that conclusion was
    correct.    As the circuit court found, after the LUC rescinded the
    OSC on September 24, 2009, DW “continued to actively proceed with
    preparation of plans and studies, including building plans and
    studies for the EIS.”      Moreover, “DW also continued work on
    infrastructure and proceeded forward with building the affordable
    housing townhomes for the Project.”
    Specifically, DW had constructed sixteen townhouses on
    the property by March 31, 2010.        DW explained that the units had
    “completed exteriors and interiors,” with “cabinets and
    appliances installed,” and with “electrical and plumbing . . .
    ready to hook up.”      DW also offered testimony that an additional
    24 townhouses had been constructed up to the roof, with 32 more
    townhouses in various stages of completion.           In a status report
    submitted to the LUC, DW also stated that mass grading for the
    15
    In the circuit court, DW explicitly argued that the LUC finding
    “that ‘Petitioners have not substantially commenced use of the [Property] in
    conformance with [their] representations,’” was “clearly erroneous in view of
    th reliable, probative, and substantial evidence on the record.” (Brackets in
    original).
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    affordable housing sites had been completed, foundation slabs for
    eight buildings (64 townhouses) were complete, and the immediate
    access and internal roadways were graded.          In a later filing, DW
    also informed the LUC that by July 2010, “more than $20,000,000
    had been expended for plans and construction work on the
    project.”
    Rather than holding the land undeveloped for
    speculative purposes — the result which the legislature sought to
    avoid in HRS § 205-4(g) — Bridge and DW invested a considerable
    amount of money and effort, by any reasonable measure, to develop
    the affordable housing.       In these circumstances, Bridge and DW
    substantially commenced use of the land.16         This is particularly
    clear when Bridge’s and DW’s actions in 2009 and later are viewed
    in the context of the events that occurred prior to the initial
    issuance (and subsequent conditional recision) of the December 9,
    2008 OSC.
    The 1991 order amending the original reclassification
    order included a condition providing that “Petitioner shall
    develop the Property in substantial compliance with the
    representations made to the Commission[,]” and that “[f]ailure to
    so develop the Property may result in reversion of the Property
    16
    In the absence of both a statutory definition of “substantial
    commencement” and an expression of LUC’s interpretation of “substantial
    commencement” for a particular project, a determination of whether a party has
    substantially commenced use of the land will turn on the circumstances of each
    case, not on a dollar amount or percentage of work completed.
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    to its former classification, or change to a more appropriate
    classification.”17    The LUC initially issued Bridge an OSC
    stating that it had reason to believe that Bridge and its
    “predecessors in interest have failed to perform according to the
    conditions imposed and to the representations and commitments
    made to the Commission in obtaining reclassification of the
    Subject Area and in obtaining amendments to conditions of
    reclassification.”     The LUC did not err in issuing the OSC.          See
    HAR § 15-15-93(b) (“Whenever the commission shall have reason to
    believe that there has been a failure to perform according to the
    conditions imposed, or the representations or commitments made by
    the petitioner, the commission shall issue . . . an [OSC].”).
    Bridge and DW do not contend otherwise.
    In this regard, during a January 9, 2009 hearing on the
    OSC, Commissioner Judge noted that despite the representations
    made by Bridge, “there are no affordable homes on that
    development.    Worse yet, there’s not even a glimmer of them
    coming any time soon.      There’s no building permits, there’s no
    infrastructure.”     Commissioner Kanuha expressed similar concerns,
    noting that “thus far there has been no progress, no nothing
    17
    Bridge argues that the affordable housing condition was an
    “unconstitutional land development condition.” However, as noted above, HRS §
    205-4(g) gives the LUC broad authority to impose conditions, including those
    necessary “to assure substantial compliance with representations made by the
    petitioner.” Given this broad authority and Bridge’s representations to the
    LUC, the affordable housing condition and its included deadline were valid.
    Bridge cites no authority that would prevent the LUC from imposing benchmarks
    or deadlines on development schedules.
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    related to the Project.”      Commissioner Constrades later stated,
    “I don’t see anything happen when I go by that place.            You can
    tell me ‘I spent millions of dollars.’         Where?    What has
    happened?    Why four years ago when they’re begging for housing
    and there’s still nothing there?        Now you guys come back and say
    ‘Please, we need the housing.’       Nothing’s happening.”       Following
    a subsequent hearing on April 30, 2009, the LUC voted 7-0 to
    revert the property to its former agricultural land use district.
    Despite the LUC’s vote to revert the property, the
    Commission never entered a corresponding written order.             Instead,
    the LUC later rescinded the OSC, provided that as a condition
    precedent, sixteen affordable units be completed by March 31,
    2010.   In this regard, DW notes that the “LUC did not define the
    term ‘complete[.]’”     This is correct.      In its order, the LUC
    stated that the OSC was rescinded “provided that as a condition
    precedent, the Petitioner completes 16 affordable units by
    March 31, 2010,” but the order did not make it clear what would
    qualify as a “complete” unit.
    This court has observed that “[p]arties subject to an
    administrative decision must have fair warning of the conduct the
    government prohibits or requires, to ensure that the parties are
    entitled to fair notice in dealing with the government and it
    agencies.”    Lanai Co., 105 Hawai#i at 
    314, 97 P.3d at 390
    .          Thus,
    “[a]n administrative agency, such as the LUC, has the
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    responsibility of stating with ascertainable certainty what is
    meant by the conditions it has imposed.”          
    Id. Here, the
    LUC
    failed to state what level of completion would satisfy the
    March 31, 2010 deadline.
    Moreover, during the August 27, 2009 hearing, DW made
    it clear that the townhouse structures would be completed before
    utilities could be installed.        In this regard, the following
    exchange occurred between DW’s president and an attorney for the
    State Office of Planning:
    Q     Your current construction plan would have the vertical
    construction going on while the horizontal
    construction is continuing is that right?
    A     That’s correct.
    Q     Would the vertical construction begin before the
    infrastructure connections to that pad or that pod is
    completed?
    A     Yes.   It has to in order to meet the schedule.
    Q     So you build the house before you have a connection to
    the sewer, water, and electrical lines.
    A     That’s correct.
    Thus, DW made it clear to the LUC that vertical and
    horizontal construction would be occurring simultaneously, and
    that townhouses would be completed before they would have
    connections to sewer, water, and electrical lines.            The LUC
    failed to state with “ascertainable certainty” that in addition
    to completing the physical townhouse structures, certificates of
    occupancy were also required in order to satisfy the March 31,
    2010 deadline.    See Lanai Co., 105 Hawai#i at 314, 97 P.3d at
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    390.     Thus, to the extent the LUC kept the OSC pending because
    “[s]ixteen affordable units have been constructed, but no
    certificates of occupancy have been obtained,” it erred in doing
    so.
    In any event, regardless of whether the sixteen
    townhouses were “complete” by March 31, 2010, the record is plain
    that by the time the LUC held its July 1, 2010 hearing, DW had
    substantially commenced use of the property in accordance with
    its representations to the LUC.          At that point, the LUC could no
    longer revert the property without following the requirements of
    HRS § 205-4.
    In this regard, before the LUC could revert the
    property, its was required to find by a “clear preponderance of
    the evidence” that the reversion was reasonable, not violative of
    HRS § 205-2, and consistent with the policies and criteria
    established pursuant to HRS §§ 205-16 and 205-17.              HRS § 205-
    4(h).     The LUC was also required to resolve the OSC within 365
    days.     HRS § 205-4(g).      These requirements were not met here.
    In its order reverting the property to the agricultural
    land use district, the LUC explained how DW and Bridge had failed
    to comply with representations made to the commission.               The LUC
    made no specific findings, however, relating to whether reversion
    was “reasonable,” not violative of HRS § 205-2, and consistent
    with the policies and criteria established under HRS §§ 205-16
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    and 205-17.   At most, the LUC concluded that “[u]nder the facts
    and circumstances of this case, reversion of the Petition Area to
    its original agricultural classification does not violate any
    applicable rule or statutory provisions, including Hawai#i
    Administrative Rules (HAR) subchapter 7 or Chapter 15-15, and HRS
    Chapters 91, 92, and 205.”      The LUC’s conclusion, without more,
    fails to demonstrate that the commission considered the requisite
    factors under HRS § 205-4(h).
    Moreover, the circuit court correctly concluded that
    the LUC violated HRS § 205-4(g) in failing to resolve the OSC
    within 365 days.    The circuit court concluded that the OSC had to
    be resolved by December 9, 2009, i.e., 365 days after the initial
    OSC was issued on December 9, 2008.        The LUC’s findings of fact
    and conclusions of law were not filed until April 25, 2011.
    Although the LUC had rescinded the OSC on September 28, 2009,
    that recision was conditioned upon the completion of sixteen
    affordable housing units by March 31, 2010.          On July 26, 2010,
    the LUC entered an order finding that the condition precedent was
    not satisfied, and that the OSC remained pending.           Thus, the OSC
    was not resolved until April 25, 2011, well beyond the 365 days
    allowed under HRS § 205-4(g).
    The circuit court therefore correctly concluded that
    the LUC erred in reverting the property without complying with
    the requirements of HRS § 205-4.
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    B.     The circuit court erred in denying the LUC’s motion to
    strike documents not in the administrative record
    The LUC next argues that the circuit court erred in
    considering materials not part of the record.            Specifically, the
    LUC argues that the circuit court erred in denying its motion to
    strike from the record on appeal documents from other cases
    before the LUC.      DW argues that the circuit court did not err in
    allowing supplementation of the record with documents from other
    dockets before the LUC.        Because the additional documents were
    not part of the record before the LUC, they should have been
    stricken.
    In an agency appeal, judicial review is generally
    confined to the administrative record.           See HRS § 91-14(f) (“The
    review shall be conducted by the appropriate court without a jury
    and shall be confined to the record, except that in the cases
    where a trial de novo . . . is provided by law and also in cases
    of alleged irregularities in procedure before the agency not
    shown in the record[.]” (Emphasis added)).            Section 91-14(e),
    however, provides in pertinent part that
    If, before the date set for hearing, application is made to the
    court for leave to present additional evidence material to the
    issue in the case, and it is shown to the satisfaction of the
    court that the additional evidence is material and that there were
    good reasons for failure to present it in the proceeding before
    the agency, the court may order that the additional evidence be
    taken before the agency upon such conditions as the court deems
    proper.
    HRS § 91-14(e).
    Here, neither DW nor Bridge moved to supplement the
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    record pursuant to HRS § 91-14(e).        The circuit court was
    therefore “confined to the record” under HRS § 91-14(f).             See
    Diamond v. Dobbin, 132 Hawai#i 9, 24, 
    319 P.3d 1017
    , 1033 (2014)
    (“Pursuant to HRS § 91–14(f), a review of an agency decision
    ‘shall be conducted by the appropriate court . . . and shall be
    confined to the record.’”).
    Under HRS § 91-9(e), for purposes of agency decisions,
    the record includes:     (1) all pleadings, motions, intermediate
    rulings; (2) evidence received or considered, including oral
    testimony, exhibits, and a statement of matters officially
    noticed; (3) offers of proof and ruling thereon; (4) proposed
    findings and exceptions; (5) report of officer who presided at
    the hearing; and (6) staff memoranda submitted to members of the
    agency in connection with their consideration of the case.
    The LUC argues that the circuit court erred in denying
    its motion to strike portions of the record on appeal designated
    by DW and Bridge.    Specifically, the LUC argues that the circuit
    court erred in allowing 9,917 pages of documents from the dockets
    of six other cases before the LUC to be included in the record.
    To the extent these specific documents were not before the LUC,
    the LUC is correct that the circuit court erred in denying its
    motion to strike.
    On numerous occasions before the LUC, Bridge and DW
    argued that they were being treated differently than other
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    petitioners before the LUC.       In support of this argument, DW and
    Bridge cited specific cases both in writing and during hearings.
    They did not, however, present documents from those other cases
    to the LUC to consider.       Moreover, to the extent Commissioner
    Kanuha referred to the six cases during the April 21, 2011
    hearing, neither DW nor Bridge presented the actual dockets to
    the LUC.     Also, they did not move to supplement the record on
    appeal once the case was in the circuit court, and did not
    request that the circuit court take judicial notice of the
    dockets.18
    Although the LUC argues that the circuit court erred in
    “considering” the additional materials designated by Bridge and
    DW, it is unclear whether the circuit court in fact relied on the
    documents in issuing its order.        In the LUC’s opening brief, it
    states that the circuit court “may have considered the material
    in its ultimate ruling but does not specifically refer to it.”
    Thus, although the circuit court erred in denying the LUC’s
    motion to strike, there is no indication that the circuit court
    in fact relied on the disputed documents.
    18
    Hawai#i Rules of Evidence (HRE) Rule 201(d) (1993) provides that a
    “court shall take judicial notice if requested by a party and supplied with
    the necessary information.” Cf. Williams v. Aona, 121 Hawai#i 1, 11 n.6, 
    210 P.3d 501
    , 511 n.6 (2009) (court takes judicial notice of terms of collective
    bargaining agreement). However, there is no indication that DW requested that
    the circuit court take judicial notice of the documents from the other LUC
    cases, nor does the record demonstrate that the circuit court in fact did so.
    Additionally, DW and Bridge do not request that this court take judicial
    notice of the records.
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    C.     The circuit court erred in concluding that the LUC violated
    DW’s and Bridge’s constitutional rights to due process and
    equal protection
    The LUC’s final argument is that the circuit court
    erred in determining that the LUC violated DW’s and Bridge’s
    constitutional rights to due process and equal protection.               On
    the merits, the LUC argues that it violated neither DW’s nor
    Bridge’s substantive or procedural due process rights.              The LUC
    further argues that DW’s and Bridge’s equal protection arguments
    are unfounded.      Both DW and Bridge argue that the LUC violated
    their procedural and substantive due process rights, and equal
    protection rights.
    This court has observed that, “‘if a case can be
    decided on either of two grounds, one involving a constitutional
    question, the other a question of statutory construction or
    general law, . . . [this court] will decide only the latter.’”
    State v. Lo, 
    66 Haw. 653
    , 657, 
    675 P.2d 754
    , 757 (1983) (ellipsis
    and brackets in original) (quoting Ashwander v. Tenn. Valley
    Auth., 
    297 U.S. 288
    , 347 (1936) (Brandeis, J., concurring)).
    Here, however, Bridge has a suit pending against the LUC and its
    Commissioners in federal court, raising many of the same issues
    presented in the instant appeal.          The federal district court
    stayed that case pending resolution of this appeal.              See Bridge
    Aina Le#a, LLC v. Haw. Land Use Comm’n, No. 11-00414 SOM-BMK,
    
    2012 WL 1109046
    , at *1 (D. Haw. Mar. 30, 2012).             The LUC filed an
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    appeal and Bridge a cross-appeal from the district court’s order
    (9th Cir. Nos. 12-15971 and 12-16076).         The United States Court
    of Appeals for the Ninth Circuit heard oral argument on the
    cross-appeals on June 10, 2014, and thereafter issued an order
    withdrawing submission of the appeal, pending our decision in
    this case.     In the interest of judicial economy, we therefore
    also consider the constitutional claims decided by the circuit
    court.
    1.      The circuit court may decide constitutional issues in
    an administrative appeal
    As a preliminary matter, the LUC argues that the
    circuit court erred in ruling on DW’s and Bridge’s due process
    and equal protection arguments because the LUC had no opportunity
    to present evidence and did not have the benefit of a trial by
    jury.     The LUC argues that it was “inappropriate” for the circuit
    court to rule on these constitutional claims under such
    circumstances, and that in doing so, the court “deprived the LUC
    and Commissioners of any process whatsoever.”          Section 91-14(g)
    explicitly provides, however, that the circuit court may reverse
    or modify an agency decision “if the substantial rights of the
    petitioners may have been prejudiced because the administrative
    findings, conclusions, decisions, or orders are . . . in
    violation of constitutional or statutory provisions[.]”
    (Emphasis added).     Section 91-14(g) does not condition the
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    circuit court’s authority on either the opportunity of the
    parties to present evidence or whether the case was tried before
    a jury, and the LUC does not cite any authority supporting its
    argument that a court’s power is limited in the absence of these
    conditions.   Thus, the circuit court properly considered DW’s and
    Bridge’s constitutional arguments in reversing and vacating the
    LUC’s final order.
    2.    The circuit court erred in concluding DW’s and Bridge’s
    due process rights were violated
    The circuit court concluded that the LUC’s conduct
    constituted “a denial of procedural and substantive due process”
    under both the United States and Hawai#i Constitutions.
    Specifically, the circuit court noted the LUC’s “rolling and
    continuing [OSC] that extended far beyond the time period allowed
    by law,” “conduct that was in derogation of the statute and rules
    established to protect Bridge and DW,” and “attempt to create a
    new procedure that was not already established.”           The circuit
    court also concluded that the LUC “denied Bridge and DW their
    rights to a meaningful opportunity to be heard,” and that its
    final order was “arbitrary and unreasonable, having no
    substantial relation to the public health, safety, morals, or
    general welfare.”
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    “The basic elements of procedural due process of law
    require notice and an opportunity to be heard at a meaningful
    time and in a meaningful manner before governmental deprivation
    of a significant property interest.”        Sandy Beach Def. Fund v.
    City Council of City & Cnty. of Honolulu, 
    70 Haw. 361
    , 378, 
    773 P.2d 250
    , 261 (1989) (citing Matthews v. Eldridge, 
    424 U.S. 319
    ,
    333 (1976)).
    Here, both Bridge and DW had notice and a meaningful
    opportunity to be heard before the LUC reverted the property.
    With respect to notice, as early as September 2008, Bridge was
    aware that the LUC was considering issuing an OSC.           The LUC
    issued the written OSC on December 9, 2008.          This was two months
    before DW had obtained any interest in the property.            Both Bridge
    and DW therefore plainly had notice that the LUC might revert the
    property.
    With respect to a meaningful opportunity to be heard,
    Bridge presented testimony on its behalf with respect to the OSC
    during hearings on January 9, 2009, and April 30, 2009.            As noted
    above, after the LUC voted to revert the property, it did not
    issue a written order effecting the reversion.           In fact, the LUC
    stayed entry of its decision and order, and allowed DW to present
    evidence during a hearing on June 5, 2009.          DW also presented
    additional testimony during a hearing on August 27, 2009.             After
    the March 31, 2010 deadline for the completion of the sixteen
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    units had passed, DW was again heard by the LUC during a hearing
    on July 1, 2010.    The LUC held subsequent hearings on
    November 18, 2010, January 20, 2011, March 10, 2011, April 8,
    2011, April 21, 2011, and May 13, 2011.         Bridge and DW were each
    represented by counsel during all of these subsequent hearings.
    Because both Bridge and DW had notice and a meaningful
    opportunity to be heard on the reversion issue, the circuit court
    erred in concluding that their procedural due process rights had
    been violated.
    As this court has stated, “[d]ue process includes a
    substantive component that guards against arbitrary and
    capricious government action[.]”        In re Applications of Herrick,
    82 Hawai#i 329, 349, 
    922 P.2d 942
    , 962 (1996).          To establish a
    violation of substantive due process, “an aggrieved person must
    prove that the government’s action was clearly arbitrary and
    unreasonable, having no substantial relation to the public
    health, safety, morals, or general welfare.”          Lopez v. State, 133
    Hawai#i 311, 322, 
    328 P.3d 320
    , 331 (2014) (quoting In re
    Herrick, 82 Hawai#i at 
    349, 922 P.2d at 962
    ).
    On this issue, the circuit court stated only that the
    LUC’s final order “was by its terms arbitrary and unreasonable,
    having no substantial relation to the public health, safety,
    morals, or general welfare.”       Although the circuit court echoed
    the language set forth by this court in Herrick, the facts of
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    this case do not support such a conclusion.
    Here, the LUC first reclassified the land at issue from
    the agricultural to the urban land use district in 1989.             By the
    time the LUC issued an OSC in December 2008, the land had changed
    hands numerous times and the LUC had amended the original
    reclassification order on multiple occasions.          Moreover, as noted
    above, by the end of 2008, the landowners had done little to
    develop the property in accordance with representations made to
    the LUC.   Given this history, the LUC was understandably wary of
    representations being made by Bridge and DW that they would be
    able to satisfy the 1991 order’s conditions, as amended in 2005.
    Nevertheless, Bridge and DW repeatedly assured the LUC that they
    would be able to complete the affordable housing units by
    November 2010.    As it turned out, however, Bridge and DW did not
    satisfy the affordable housing condition, and did not comply with
    numerous other representations made to the LUC.           Thus, although
    Bridge and DW may disagree with the process that ultimately
    resulted in the reversion, the LUC’s conduct was not “arbitrary
    and unreasonable,” given the long history of unfulfilled promises
    made in connection with the development of this property.             In
    these circumstances, the circuit court erred in concluding the
    LUC violated Bridge’s and DW’s substantive due process rights.
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    3.    The circuit court erred in concluding Bridge’s and DW’s
    equal protection rights were violated
    The circuit court also concluded that the LUC
    “intentionally treated Bridge, DW, and this Project differently,
    and less favorably, than other petitioners in cases involving
    facts and circumstances substantially similar to this case.”
    Specifically, the circuit court concluded that the LUC treated
    Bridge and DW “in a materially, adversely different manner than
    other similarly situated developers, and that the LUC did so
    intentionally and without any rational basis for the differential
    treatment.”
    In general, the equal protection clauses of the United
    States and Hawai#i Constitutions “mandate[] that all persons
    similarly situated shall be treated alike, both in privileges
    conferred and in the liabilities imposed.”          State v. Freitas, 
    61 Haw. 262
    , 271, 
    602 P.2d 914
    , 922 (1979).         “[E]qual protection
    jurisprudence has typically been concerned with governmental
    classifications that ‘affect some groups of citizens differently
    than others.’”    Engquist v. Oregon Dept. of Agric., 
    553 U.S. 591
    ,
    601 (2008).   The United States Supreme Court has nevertheless
    recognized that an equal protection claim may be brought by a
    “class of one,” “where the plaintiff alleges that [he/she] has
    been intentionally treated differently from others similarly
    situated and that there is no rational basis for the difference
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    in treatment.”    Vill. of Willowbrook v. Olech, 
    528 U.S. 562
    , 564
    (2000).
    Bridge and DW do not argue that they are part of a
    group of persons that are being treated differently than others.
    Rather, Bridge and DW argue that their equal protection rights
    were violated because the LUC did not seek to revert the
    classification of properties owned by similarly situated
    developers that experienced similar delays.          Their equal
    protection arguments are therefore dependent on the “class of
    one” theory.    This court has not previously adopted that theory.
    Assuming arguendo that the “class of one” theory is applicable
    under Hawai#i law, the LUC did not violate Bridge’s and DW’s
    equal protection rights.
    DW argues that it was treated differently than others
    who were similarly situated, citing the affordable housing
    condition and its November 2010 deadline, and the fact that the
    LUC reverted the property because DW failed to meet this
    deadline.    Neither DW nor Bridge, however, have demonstrated that
    they were treated differently than other similarly situated
    developers because the documents from the LUC cases involving the
    other developers were not properly included in the record on
    appeal, supra at 86-89.      In any event, even assuming Bridge and
    DW had demonstrated different treatment, their equal protection
    argument still fails because they did not establish that the LUC
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    was without a rational basis.       As noted above, the LUC has broad
    discretion to attach conditions to orders granting
    reclassification petitions.       Lanai Co., 105 Hawai#i at 
    317, 97 P.3d at 393
    .   Given the long history of this property and the
    LUC’s dealings with the landowners over the course of many years,
    we cannot say it was irrational for the LUC to exercise its broad
    discretion by imposing a completion deadline.          Again, the LUC had
    good reason to be wary of any assurances being offered by Bridge
    and DW, given the history of the project.
    Moreover, the fact that the LUC enforced its conditions
    did not violate Bridge’s and DW’s equal protection rights.                As
    the Court has explained:
    There are some forms of state action, however, which by
    their nature involve discretionary decisionmaking based on a
    vast array of subjective, individualized assessments. In
    such cases the rule that people should be “treated alike,
    under like circumstances and conditions” is not violated
    when one person is treated differently from others, because
    treating like individuals differently is an accepted
    consequence of the discretion granted. In such situations,
    allowing a challenge based on the arbitrary singling out of
    a particular person would undermine the very discretion that
    such state officials are entrusted to exercise.
    
    Engquist, 553 U.S. at 603
    .
    In short, the LUC had broad authority to impose
    conditions and the power to determine whether Bridge and DW
    breached those conditions.      See Lanai Co., 105 Hawai#i at 
    317, 97 P.3d at 393
    (“Whether there has been a breach of [a condition] is
    a determination to be made by the LUC.”).         Thus, Bridge’s and
    DW’s equal protection rights were not violated because the record
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    does not establish that the LUC lacked a rational basis for its
    decisions.
    IV. Conclusion
    The circuit court’s second amended final judgment is
    therefore affirmed in part and vacated in part.           We affirm the
    judgment to the extent it is based on the circuit court’s
    conclusion that the LUC erred in failing to comply with the
    requirements of HRS § 205-4, we vacate the judgment to the extent
    it is based on the circuit court’s conclusion that the LUC
    violated Bridge’s and DW’s constitutional rights, and we remand
    to the circuit court for further proceedings consistent with this
    opinion.
    William J. Wynhoff                 /s/ Mark E. Recktenwald
    for petitioner
    /s/ Paula A. Nakayama
    Bruce D. Voss and
    Matthew C. Shannon                 /s/ Sabrina S. McKenna
    for respondent
    Bridge Aina Le#a, LLC              /s/ Richard W. Pollack
    David J. Minkin,                   /s/ Randal K.O. Lee
    Dayna H. Kamimura-Ching,
    and Troy J.H. Andrade
    for respondent DW Aina
    Le#a Development, LLC
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