MARK AND KATHERINE SMITH VS. SOUTH BRUNSWICK TOWNSHIP,PSE&GÂ MARK AND KATHERINE SMITH VS. SOUTH BRUNSWICK PLANNING BOARD(L-906-15 AND L-907-15, MIDDLESEX COUNTY AND STATEWIDE)(CONSOLIDATED) ( 2017 )


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    SUPERIOR COURT OF NEW JERSEY
    APPELLATE DIVISION
    DOCKET NO. A-1218-15T2
    A-3014-15T2
    MARK and KATHERINE SMITH,
    Plaintiffs-Appellants,
    v.
    SOUTH BRUNSWICK TOWNSHIP,
    PUBLIC SERVICE ELECTRIC &
    GAS COMPANY, and TRUSTEES
    OF PRINCETON UNIVERSITY,
    Defendants-Respondents.
    ____________________________________
    MARK and KATHERINE SMITH,
    Plaintiffs-Respondents/
    Cross-Appellants,
    v.
    SOUTH BRUNSWICK PLANNING BOARD,
    Defendant,
    and
    PUBLIC SERVICE ELECTRIC &
    GAS COMPANY,
    Defendant-Appellant/
    Cross-Respondent.
    ______________________________________
    Argued May 8, 2017 – Decided May 18, 2017
    Before Judges Sabatino, Haas and Geiger.
    On appeal from Superior Court of New Jersey,
    Law Division, Middlesex County, Docket Nos.
    L-906-15 and L-907-15.
    Bruce I. Afran argued the cause for Mark and
    Katherine Smith, appellants in A-1218-15 and
    respondents/cross-appellants in A-3014-15.
    David L. Cook argued the cause for Public
    Service Electric and Gas Company, respondent
    in A-1218-15 and appellant/cross-respondent
    in A-3014-15 (Sills Cummis & Gross, attorneys;
    Mr. Cook and Steven Siegel, on the briefs).
    Richard S. Goldman argued the cause for
    Trustees of Princeton University, respondent
    in A-1218-15 (Drinker Biddle & Reath, LLP,
    attorneys; Mr. Goldman, Karen A. Denys and
    Nicole S. Bayman, on the brief).
    Donald J. Sears argued the cause for South
    Brunswick Township, respondent in A-1218-15
    and joins in the brief of respondent Trustees
    of Princeton University.
    PER CURIAM
    These back-to-back appeals, which we now consolidate for
    purposes of this opinion, arise from defendant South Brunswick
    Township's ("Township's") adoption of two land use ordinances in
    2003,   and    defendant   Public   Service   Electric   &   Gas   Company's
    ("PSE&G's") application in 2014 for planning board approval to
    construct an electrical substation in the Township on land that
    2                              A-1218-15T2
    PSE&G purchased from defendant Trustees of Princeton University
    ("the University") in the zone covered by the ordinances.
    In Docket No. A-1218-15, plaintiffs Mark and Katherine Smith
    appeal from the Law Division's October 13, 2015 order granting the
    University's motion for summary judgment and the Township's motion
    to dismiss plaintiffs' complaint challenging the ordinances.1      The
    trial court found that plaintiffs' complaint was untimely because
    they had waited almost twelve years after the adoption of the
    ordinances to file it and, in any event, the arguments plaintiffs
    raised lacked merit.
    In Docket No. A-3014-15, PSE&G appeals from the Law Division's
    February 10, 2016 order reversing the South Brunswick Planning
    Board's ("Planning Board's") approval of its application for a
    variance permitting the substation project to extend into a 200-
    foot residential buffer between the substation and a property
    owned by a resident who did not object to PSE&G's application.
    PSE&G also challenges the court's decision to decline to consider
    the Planning Board's approval of the minor subdivision involved
    in the project.     In its cross-appeal from the February 10, 2016
    order, plaintiffs challenge the court's rejection of all of the
    1
    PSE&G joined in these motions.
    3                        A-1218-15T2
    other arguments they raised against the Planning Board's approval
    of the project.
    Having reviewed the parties' respective claims in light of
    the record and applicable law, we affirm the October 13, 2015
    order dismissing plaintiffs' challenge to the two ordinances.                     We
    reverse the portion of the trial court's February 10, 2016 order
    that overturned the Planning Board's decision to grant PSE&G a
    variance      concerning     the    200-foot    residential    buffer,     and    we
    reinstate the Planning Board's approval of that variance.                         In
    addition, we reverse the trial court's denial of PSE&G's minor
    subdivision application and remand that matter to the trial court
    with the direction that it consider PSE&G's application for that
    part    of   its     project.      Finally,    we   affirm   the   trial   court's
    rejection of all of plaintiffs' remaining arguments.
    I.
    In    2003,    the   University   sought     general   development      plan
    ("GDP") approval from the Planning Board to develop 1,800,000
    square feet of property it owned, known as the Princeton Nurseries
    site.    The path to approval occurred in stages, beginning with the
    rezoning of Princeton Nurseries, as detailed in a developer's
    agreement between the University and the Township.                 As part of the
    agreement, the Township amended and supplemented its municipal
    code by adopting two ordinances that are now at issue in this
    4                                 A-1218-15T2
    matter:   Ordinance 15-03 and Ordinance 17-03.
    Ordinance 15-03, introduced and passed on first reading by
    the Township Council ("Council") on March 4, 2003, created a new
    zoning category known as the Office/Corporate (OC) Zone District.
    On March 13, 2003, a published notice advised that Ordinance 15-
    03 would be considered at a public meeting on April 1, 2003.     The
    notice further advised that free copies of the ordinance could be
    obtained from the municipal clerk.   On April 1, 2003, the Council
    adopted Ordinance 15-03, and notice of the adoption was published
    on April 10, 2003.
    Ordinance 15-03 states that the purpose and intent of the OC
    Zone District
    is to permit the development of executive and
    corporate offices, high-technology research
    facilities   and   full  service   hotel  and
    conference   activities   in  comprehensively
    planned facilities, with accessory activities
    provided through a plan which shall be
    consistent with any historic land use and
    character of the surrounding area.
    Among the other land uses permitted in the OC zone under Ordinance
    15-03 are "government and public utility facilities," a term that
    is not specifically defined in the ordinance.    The ordinance also
    contains regulations pertaining to building sizes, lot sizes, and
    buffer areas required between the OC Zone District and privately-
    owned residential property in the area.
    5                           A-1218-15T2
    Ordinance 17-03, which rezoned Princeton Nurseries from an
    OR Office/Research/Conference District, R-1 Single-Family/Cluster
    District and R-4 Village Residential District to an OC Zone
    District, was also introduced by the Council on March 4, 2003.            On
    March 12, 2003, the Planning Board reviewed it and recommended its
    approval.
    On March 13, 2003, a published notice advised that Ordinance
    17-03 would be considered at a public meeting on April 1, 2003.
    Personal notices and copies of Ordinance 17-03 were mailed to
    those individuals and firms that owned property within 200 feet
    of the Princeton Nurseries site, including plaintiffs.          Plaintiff
    Mark Smith received and signed for this written notice on March
    19, 2003.
    Following the public meeting on April 1, 2003, the Council
    announced that Ordinance 17-03 would be tabled and considered on
    April 15, 2003.     On April 10, 2003, another notice was published
    advising the public of the upcoming April 15, 2003 meeting.               On
    April 15, 2003, the Council adopted Ordinance 17-03 as presented,
    and notice of its adoption was published on April 24, 2003.
    With the two ordinances in place, the University filed its
    GDP   application   on   August   1,       2003.   The   University's   GDP
    application contained a general land use plan, which provided:
    6                           A-1218-15T2
    6.1 General Land Use Plan. The General Land
    Use Plan indicates the tract areas and the
    limits of the land uses within the tract. The
    land uses are
       Office/Corporate District Uses
       Open Space Preserve.
    Among the uses permitted within the OC
    District, as described in the South Brunswick
    Land   Use   Ordinance   are:   executive   and
    corporate    offices;   scientific    or   high
    technology laboratories devoted to research,
    design,    experimentation    or    production;
    assembly of high technology and electronic
    equipment; health maintenance organization;
    and full service hotels/conference center.
    Section 7.1.5 of the GDP references the 200-foot residential
    buffer zone requirement at issue here:
    Finally, the General Land Use Plan shows the
    required buffer area between any OC District
    and the boundary line of any privately owned
    residential property of two hundred (200)
    feet,   in  accordance  with   Section  175-
    93B(4)(f).
    On October 24, 2003, a published notice advised that a public
    hearing would be held on November 3, 2003, to consider the GDP.
    The    notice   provided     a   detailed         synopsis    of   the   GDP   and   the
    University's requests for relief.                   Personal notices were mailed
    to owners of property within 200 feet of the site, including
    plaintiffs.     On December 10, 2003, the Planning Board approved the
    GDP.     The    University       and   the       Planning    Board   executed    a   GDP
    Developers' Agreement, which provided that approximately 150 acres
    7                                  A-1218-15T2
    of Princeton Nurseries "is now zoned the OC District" and the
    majority of the remaining acreage would be preserved as open space.
    The   Developers'     Agreement          also   stated     that   "no      additional
    . . . environmental . . . studies" would be required for future
    development of the property.
    After   securing       the    necessary      approvals,     the      University
    expended approximately $4 million in developing the site in the
    ten-year    period    between       2004    and    2014.      According       to   two
    uncontradicted certifications submitted by Curt Emmich,2 the vice-
    president of the real estate consulting company retained by the
    University    to     develop       the    Princeton      Forrestal      Campus,    the
    University    undertook        "significant        development       and     incurred
    significant costs" between 2004 and 2015, "all in reliance on the
    2003 OC Zoning Ordinance" and GDP approval, including, among other
    things,    donating    property      it    owned    for    open   space     purposes,
    installing    water    and    sewer      lines,    and    ensuring   the     historic
    preservation of nearby residences.
    Notice of this activity was provided to residents, including
    plaintiffs.    For example, in 2004, the University obtained the
    Planning Board's approval for a retention basin on the site, and
    2
    Emmich certified that both of his certifications were based upon
    his personal knowledge after reviewing "the relevant development
    files, permits, agreements, maps, site plans and documents related
    to the property at issue in this case."
    8                                  A-1218-15T2
    notice of those proceedings was published. In 2008, the University
    obtained the Planning Board's approval to construct a roadway and
    detention basins on the site.
    In 2014, PSE&G sought approval for a subdivision of a portion
    of Princeton Nurseries, zoned as OC and consisting of a 7.369 acre
    lot, for construction of a 6019 square foot electrical substation.
    When   it   submitted   this   application,   PSE&G   was   the   contract
    purchaser of the proposed subdivision, and it later completed the
    purchase and acquired title to the property on May 29, 2015.
    PSE&G's substation would be located on the north-central portion
    of the subdivision, along with a 1150 square-foot control building
    erected on the southeast portion of the site.
    Although PSE&G requested several variances, of particular
    relevance to this appeal is the "(c)(2)" dimensional variance it
    sought under N.J.S.A. 40:55D-70(c)(2) to permit the project to
    extend into the 200-foot residential buffer zone located between
    the subdivision and Block 99, Lot 11.04, a residential property
    located north-east of the project.3       The owner of Lot 11.04 did
    not file any objection to PSE&G's variance application.                 The
    buildings on Lot 11.04 were located in the northern most portion
    of the lot and were well beyond the 200-foot buffer.
    3
    PSE&G also requested a variance from the requirement that its
    subdivision contain at least 300 feet of street frontage.
    9                              A-1218-15T2
    Plaintiffs own Block 99, Lot 8.031, a parcel of land in the
    R-1 zone that is well to the west of PSE&G's subdivision, and well
    outside the 200-foot buffer.             Indeed, the parties agreed at oral
    argument on appeal that there was at least 500 feet of buffer
    between    the    PSE&G     project      and     plaintiffs'       property     line.
    Therefore, PSE&G's application for a variance of the 200-foot
    buffer    requirement       did    not     involve       an   encroachment        upon
    plaintiffs' property.
    The Planning Board held a four-day public hearing at which
    ten experts testified, as well as several members of the public.
    Joseph    Barton,    a     PSE&G   consultant,         explained     that     PSE&G's
    application was necessitated by a finding made by Pennsylvania-
    Jersey-Maryland      Interconnection,            LLC     ("PJM"),     a     regional
    independent power transmission organization that operates under
    the    Federal    Energy    Regulatory         Control    Commission      ("FERC"). 4
    According to Barton, PJM conducted a study that concluded that "if
    a [substation] project was not executed, there would be voltage
    violations in the region."          If proper voltage was not sustained,
    then   "rolling     brownouts"     could       result,    which     would     involve
    "tak[ing] customers out of service."                Additionally, PSE&G would
    4
    PJM oversees and coordinates power transmission in thirteen
    states, operates transmission assets owned by its member
    companies, including PSE&G, and performs reliability studies.
    10                                   A-1218-15T2
    face "fines and penalties" from FERC if it did not build a new
    substation to service the area and its customers.
    To    address    PJM's    concerns,         PSE&G   proposed       a    two-phase
    project.     Barton    explained          that    during     the    first        phase,
    construction of the new substation would link together two existing
    New Jersey substations.        Through that linkage, voltage reliability
    in the area would improve for 62,000 current customers.                         In the
    second phase of the project, additional transformers and switch
    gears   would   be    installed      to    distribute      power   to       25,000   new
    customers.
    According to Barton, the substation would be gated and fenced,
    with "an elaborate landscape plan around the property" designed
    to hide it from view.          While the substation would typically be
    unmanned, a PSE&G certified traveling operator would inspect it
    once per week.        Electricity would travel out of the substation
    underground, rather than through overhead wires held by poles.
    M.D.    Sakib,    PSE&G's       principal     system    planning        engineer,
    testified    that    based    upon    PJM's      simulations   and      studies,       as
    corroborated    by    PSE&G,   the     anticipated       voltage    violation        was
    expected to occur in 2015.           According to Sakib, there was "a very
    high possibility" of future brownouts occurring if the proposed
    substation was not built.             Sakib further explained that while
    phase one of the project would support voltage in the area by
    11                                    A-1218-15T2
    increasing power availability and creating "another hub" for the
    South Brunswick area, phase two would add more power capacity to
    accommodate new homes and businesses.     Because Penns Neck, an
    existing substation serving the Township, had minimal capacity for
    growth and enlargement, Sakib testified that the better solution
    was construction of a new substation as proposed by PSE&G.
    Christopher Light, PSE&G's senior project manager, testified
    that although other sites were considered, the proposed location
    for the substation was "the perfect site" to tie all of the lines
    together, as required by PJM.    Light explained that the site's
    location would enable two substations, located to the north and
    south, to be linked as required by PJM.
    Light testified that if the station was moved west on the
    property, then it would not encroach upon the 200-foot residential
    buffer of Lot 11.04.   However, that orientation would "move[] the
    station more into the view shed of some of the residents on Ridge
    Road" and "extend[] the length of [the] underground feeds that go
    into the station increasing exposure of those circuits a little
    bit."   Moving the project to the west would also bring it closer
    to plaintiffs' property line.
    Light testified that it was possible that PSE&G "could install
    a new technology that is called GIS" (gas-insulated switch gear)
    that might partially reduce the substation's footprint in one
    12                           A-1218-15T2
    specific area of the project.        However, Light explained that
    implementing this technology would not "help . . . in reducing the
    overall size of the station."   In addition, using GIS technology
    would cost ratepayers an additional $8 million, or approximately
    an extra 25% of the total project cost, and Light explained that
    PSE&G prefers air, rather than gas, insulated equipment.
    Art Bernard, a professional planner, testified on behalf of
    PSE&G that the project would promote the Township's general master
    plan goals, including economic development, and would benefit the
    public through the provision of "more reliable power."     Bernard
    further stated that the project advanced the purpose of the
    Municipal Land Use Law ("MLUL"), N.J.S.A. 40:55D-1 to -112, by
    encouraging appropriate use of the land for projects designed to
    serve and protect the public.
    Bernard found "no substantial negative impact" related to the
    residential buffer variance, as the substation's placement would
    "have a minimal impact on adjacent properties."   He explained that
    the sole affected property, Lot 11.04, was "a very long residential
    lot, and [the resident's] home is something like 1,000 feet from
    that corner" of the site that would encroach upon the buffer zone.5
    Bernard further testified that PSE&G "provided a very generous
    5
    As previously noted, plaintiffs' property has at least a 500-
    foot buffer from PSE&G's project.
    13                          A-1218-15T2
    landscaping plan . . . that will screen the facility and the basin
    from the homes."        Finally, Bernard testified that all the lines
    feeding into the substation will be underground, and "the ambient
    sounds along Ridge Road would be such that people will not hear
    the facility in their homes."
    Although the subdivision did not have any street frontage,
    Bernard likewise found "no negative impact" with regard to that
    requested variance, because the site was "not going to generate
    any traffic to speak of" and would be accessible to employees and
    emergency personnel through an access road.                   Bernard further
    testified that the public would benefit from the site's lack of
    street frontage, because it made the facility more secure.
    Edward     Clark,    an     acoustical     consultant     and    licensed
    professional engineer, completed a sound study for the project.
    He   described    the   two     kinds   of   noise   produced   by    substation
    transformers: a "hum" and a "broadband noise associated with
    cooling fans."      He testified that none of the sound frequencies
    generated by the transformer would exceed any of the maximum levels
    set in the Township's code.             Moreover, Clark concluded that it
    would be "difficult to hear the substation at points offsite"
    given other ambient noise in the area, such as vehicle traffic on
    Route One.
    In support of their opposition to the project, plaintiffs
    14                               A-1218-15T2
    presented the testimony of Russell Smith, a professional engineer.
    Smith   testified   that   the   project   did    not   comply    with    the
    residential buffer on the east side near Lot 11.04 and would extend
    into the 200-foot wide buffer for that property by as much as 160
    feet.   Smith further testified that the proposed access road would
    not provide adequate access for emergency vehicles, particularly
    since it was located in an area which floods "periodically during
    storms."   Smith opined that the proposed width of the access road,
    twenty feet, was "substandard" and would "make it difficult for
    two vehicles to pass" through, thereby hampering emergency vehicle
    access.
    Carlos   Rodriguez,    a    professional    engineer   and   planner,
    testified that "there is nothing unique about this site . . . that
    would   mandate   the   proposed   subdivision    and   site     layout    as
    specifically proposed." He opined that the (c)(2) variance "cannot
    be granted without detriment to the public good or integrity to
    the neighborhood" as the facility would "dramatically undermine
    the character of the neighborhood" and decrease property value.
    He further testified that since the 200-foot residential buffer
    zone is clearly noted in the GDP, any intrusion "represents a
    violation of the GDP and can only be sanctioned by way of an
    amendment to that same document."
    As a better alternative, Smith and Rodriguez proposed moving
    15                              A-1218-15T2
    the   site    out   of   the   residential   buffer     zone    altogether   and
    eliminating the need for a variance.            Rodriguez added that any
    constraints or hardships asserted by PSE&G, such as the greater
    expense of GIS technology, or the inability to acquire more land
    from the University, were "self-imposed."
    Regarding     PSE&G's     request    to   waive     submission    of     an
    environmental impact statement ("EIS"), Rodriguez testified that
    the Planning Board violated the Township code because it failed
    to seek advice from the Township Environmental Commission before
    granting the waiver.       Rodriguez also testified that to the extent
    PSE&G was relying on environmental documentation submitted with
    the 2003 GDP, a proper EIS was not completed at that time.
    Later colloquy among Planning Board members explained that
    every application is sent to the Environmental Commission for
    review.      On the next hearing date, one Planning Board member, who
    also sat on the Environmental Commission, clarified that the
    Commission reviewed and reported on the application, but never
    received a request for advice from the Planning Board regarding
    the waiver.
    Sonya Thorpe, an acoustical consultant, reviewed Clark's
    report but did not submit a report of her own.                 Thorpe testified
    that Clark's report was deficient and incomplete because it did
    not describe the "octave band numbers."                  However, she later
    16                                A-1218-15T2
    conceded that Clark's report indicated that an octave band analysis
    had been performed.    When questioned by a Planning Board member,
    Thorpe also admitted that Clark conducted a sound test of the
    proposed    facility   that   complied   with   the   governing     State
    regulations.6
    On December 17, 2014, the Planning Board voted to approve
    PSE&G's application and grant it all necessary variance relief,
    including relief from the 200-foot buffer in terms of Lot 11.04.
    The Planning Board's seventeen-page resolution summarized all of
    the relevant witness testimony and set forth detailed findings of
    fact and conclusions of law in support of its decision.7
    On February 17, 2015, plaintiffs filed two complaints in lieu
    of prerogative writs challenging PSE&G's right to proceed with its
    project.    In one complaint,8 plaintiffs asserted that Ordinance
    15-03 and Ordinance 17-03, which had been adopted almost twelve
    6
    Another pair of objectors, Gang Qian and Xiaodan Zhang, presented
    testimony from Joseph Mazotas, a real estate appraiser. Mazotas
    testified that a substation would be visible from the Qian/Zhang
    property, and that it would significantly affect their home's
    property value (by five or ten percent, or more) and marketability.
    However, Mazotas admitted that he had not done any comparability
    studies, nor was he familiar with the landscaping plan intended
    to cover the project from view.      These two objectors are not
    parties to the present appeals.
    7
    We address the Planning Board's decision in greater detail in
    Section III of this opinion.
    8
    Docket No. MID-L-00907-15.
    17                              A-1218-15T2
    years previously, were nevertheless void due to lack of adequate
    notice to them; unconstitutionally vague because it was allegedly
    not clear that a "substation" was a "public utility facilit[y]"
    permitted in the OC zone; and constituted illegal "spot zoning."
    As noted above, defendants moved for summary judgment and a
    dismissal of plaintiffs' complaint.
    On   October   13,   2015,   the   trial   judge   issued    an    order,
    supported by a detailed written decision, granting defendants'
    motions and dismissing plaintiffs' complaint.                The judge found
    that     plaintiffs'   complaint     in    lieu   of   prerogative   writs     was
    untimely under Rule 4:69-6 because they waited almost twelve years
    to file a challenge to the 2003 ordinances.                 In addition, the
    judge considered plaintiffs' challenges to the ordinances and
    found that they lacked merit.
    In the second complaint they filed on February 17, 2015,9
    plaintiffs sought to reverse the Planning Board's approval of
    PSE&G's application for variance relief and minor subdivision
    approval.      Following a two-day hearing on the record developed
    before the Planning Board and the parties' oral argument, the
    trial judge10 entered a judgment and written decision.               The judge
    9
    Docket No. MID-L-00906-15.
    10
    The same trial judge presided over both proceedings involved in
    these appeals.
    18                                  A-1218-15T2
    reversed the Planning Board's grant of a (c)(2) residential buffer
    variance to PSE&G.      In so ruling, the judge found that PSE&G did
    not show that "its plan is a better zoning alternative" for the
    property. The judge also stated that "[t]he Board made no findings
    as to the reasonableness of not being able to build a gas insulated
    switch   (GIS)   gear      facility,    nor    .   .    .     relative   to    the
    reasonableness    of    PSE&G's    inability       to       acquire    (or    [the
    University's] unwillingness to sell) additional lands" that would
    eliminate the need for the 200-foot residential buffer variance.
    Thus, the judge concluded that the Planning Board's grant of the
    variance was "not supported by the record."
    Because PSE&G would not be able to construct its project as
    it was then configured without the residential buffer variance for
    Lot 11.04, the trial judge also determined that the Planning
    Board's grant of the minor subdivision to PSE&G could not stand.
    In all other respects, the judge found that plaintiffs' objections
    to the Planning Board's decision lacked merit.
    These appeals and cross-appeal followed.
    II.
    We first address plaintiffs' contention in Docket No. A-1218-
    15 that the trial judge erred in granting summary judgment to
    defendants and dismissing their challenge to the validity of the
    two   2003   ordinances.      Plaintiffs      contend       that   although   they
    19                                 A-1218-15T2
    captioned their pleading as a complaint in lieu of prerogative
    writs, their claims were actually cognizable under the Uniform
    Declaratory Judgments Law, N.J.S.A. 2A:16-50 to -62, because they
    sought a declaration that the ordinances were unconstitutional and
    unlawful.       Therefore, plaintiffs allege that even though they
    waited almost twelve years after the adoption of the ordinances
    to file their complaint, they are not subject to the forty-five
    day filing deadline for actions in lieu of prerogative writs
    established by Rule 4:69-6.
    Our review of a ruling on summary judgment is de novo,
    applying the same legal standard as the trial court.                  Nicholas v.
    Mynster,      
    213 N.J. 463
    ,   477-78   (2013).      Summary   judgment     is
    appropriate         where    "the   pleadings,    depositions,       answers     to
    interrogatories        and    admissions     on   file,    together    with    the
    affidavits, if any, show that there is no genuine issue as to any
    material fact challenged and that the moving party is entitled to
    a judgment or order as a matter of law."               R. 4:46-2(c).
    Applying these principles, we discern no basis for disturbing
    the   trial    judge's      decision   to    dismiss   plaintiffs'    complaint,
    although we reach this conclusion for a slightly different reason
    20                                A-1218-15T2
    than that expressed by the judge.11        Whether plaintiffs' complaint
    was an action in lieu of prerogative writs subject to the time
    limitations of Rule 4:69-6 or a declaratory judgment action not
    subject to a specific statute of limitations, (see Bell v. Township
    of Stafford, 
    110 N.J. 384
    , 390 (1988)), is not the critical issue
    here because, no matter what nomenclature is used to identify
    their action, plaintiffs' complaint was properly dismissed under
    the doctrines of laches and equitable estoppel.
    The doctrine of laches is an equitable defense which may be
    interposed   even   in    the    absence   of    a     specific   statute    of
    limitations. Lavin v. Bd. of Ed., 
    90 N.J. 145
    , 151 (1982). Laches
    "precludes relief when there is an 'unexplainable and inexcusable
    delay' in exercising a right, which results in prejudice to another
    party."   Fox v. Millman, 
    210 N.J. 401
    , 417 (2012).                "The time
    constraints of laches, unlike the periods prescribed by the statute
    of   limitations,   are    not    fixed    but       are   characteristically
    flexible."   
    Lavin, supra
    , 90 N.J. at 151.
    The doctrine of laches has been described as:
    [N]ot an arbitrary or technical doctrine.
    Where it would be practically unjust to give
    a remedy, either because the party has, by his
    [or her] conduct, done that which might fairly
    11
    See State v. Heisler, 
    422 N.J. Super. 399
    , 416 (App. Div. 2011)
    (stating an appellate court is "free to affirm the trial court's
    decision on grounds different from those relied upon by the trial
    court").
    21                                A-1218-15T2
    be regarded as equivalent to a waiver of it,
    or where by his [or her] conduct and neglect
    he [or she] has, though perhaps not waiving
    that remedy, yet put the other party in a
    situation in which it would not be reasonable
    to place him [or her] if the remedy were
    afterwards to be asserted, in either of these
    cases, lapse of time and delay are most
    material.
    [Id. at 152 (quoting Hall v. Otterson, 52 N.J.
    Eq. 522, 535 (Ch. 1894)).]
    The length of and reasons for the delay, and changing conditions
    of either party, are the most important factors.     
    Ibid. (citing Pavlicka v.
    Pavlicka, 
    84 N.J. Super. 357
    , 368-69 (App. Div. 1964)).
    "The length of the delay alone or in conjunction with the other
    elements may result in laches."   
    Ibid. (citing Obert v.
    Obert, 
    12 N.J. Eq. 423
    , 428-30 (E. & A. 1858)).
    Equitable estoppel is a similar doctrine.
    Equitable estoppel is the effect of the
    voluntary conduct of a party whereby he [or
    she] is absolutely precluded, both at law and
    in equity, from asserting rights which might
    perhaps have otherwise existed, either of
    property, of contract, or of remedy, as
    against another person, who has in good faith
    relied upon such conduct, and has been led
    thereby to change his [or her] position for
    the worse, and who on his [or her] part
    acquires some corresponding right, either of
    property, of contract, or of remedy.
    [Highway Trailer Co. v. Donna Motor Lines,
    Inc., 
    46 N.J. 442
    , 449 (1966) (citing Pomeroy
    Equity Jurisprudence, § 804 (5th Ed. 1941)).]
    22                           A-1218-15T2
    Here,    plaintiffs'      complaint     was   clearly      barred    by    the
    doctrines of laches and equitable estoppel.                As detailed above,
    the Township Clerk provided published notice on March 13, 2003 of
    its proposed adoption of Ordinance 15-03 and, on that same date,
    sent personal notice to plaintiffs of the proposed adoption of
    Ordinance 17-03, together with a copy of the ordinance itself.
    Plaintiffs received that personal notice on March 19, 2003.                      The
    Township adopted both ordinances in April 2003.
    Between April 2003 and February 2015 when plaintiffs filed
    their complaint challenging the ordinances, the University made
    significant investments in, and improvements on, the property in
    reliance on the ordinances and the lack of a timely challenge to
    their validity. Among other things, the University expended nearly
    $1   million   in    applying    for   and   complying    with    the     2003   GDP
    approval; spent $150,000 developing and implementing an Open Space
    Initiative/Donation Agreement to Green Acres; donated land by
    creating   the      Mapleton    Preserve     in   the   Township;   contributed
    $300,000 to the rehabilitation of historic structures in the
    Mapleton Preserve; subjected residences owned by the University
    to deed restrictions for historic preservation; spent $200,000 on
    environmental studies; and expended $100,000 on the installation
    of a twelve-inch waterline along Ridge Road and an additional
    $150,000 for storm water basin piping adjacent to Greenwood Avenue.
    23                                  A-1218-15T2
    These are funds which can obviously not be recouped and, just as
    significantly, the disposition of the University's property for
    other purposes cannot be undone.12
    We reject plaintiffs' contention that the trial court was
    obligated to allow them to pursue discovery to attempt to contest
    these   facts,    a   process      that     would      have   only      prolonged    this
    extremely     belated      litigation       and       which   could      have   imposed
    significant additional burdens on the parties.                          We also reject
    plaintiff's      argument        that    such     discovery       was    necessary     to
    determine which expenditures related to property on the South
    Brunswick    side     of   the    project       and   which   was    related    to   the
    Plainsboro Township side, a breakdown that would be of no or scant
    relevance.
    Plaintiffs'       failure      to    challenge         the    adoption     of    the
    ordinances    for     almost     twelve     years      is   inexcusable      under    any
    reasonable assessment of the idiosyncratic circumstances of this
    case, especially in light of the University's obvious detrimental
    reliance upon their non-action.                 On this record, plaintiffs are
    barred by the doctrines of laches and equitable estoppel from
    prosecuting an action challenging the 2003 ordinances at this late
    12
    For its part, PSE&G undertook years of planning and also expended
    substantial sums in preparing its electrical substation project
    on land it ultimately purchased from the University.
    24                                    A-1218-15T2
    date.   Therefore, the trial judge properly dismissed plaintiffs'
    complaint as untimely.
    However, even if plaintiffs' complaint were not barred by
    these doctrines, we are satisfied that the trial judge also
    properly     dismissed    plaintiffs'     allegations   concerning     the
    propriety of the ordinances on their merits.
    Plaintiffs argued that Ordinance 17-03 constituted illegal
    "spot zoning" in that it "violate[d] equal protection by conveying
    privileges to [the University] next door while failing to convey
    similar privileges to others," including themselves.       In rejecting
    this contention, the trial judge found that plaintiffs failed to
    provide sufficient proof "that Ordinance 17-03 [wa]s inconsistent
    with the Township's Master plan" or "that the rezoning was not
    pursuant to a comprehensive plan."          We agree with the judge's
    cogent analysis.
    "Spot zoning is the antithesis of . . . planned zoning."
    Palisades Props., Inc. v. Brunetti, 
    44 N.J. 117
    , 134 (1965).           Our
    Supreme Court has defined "spot zoning" as "the use of the zoning
    power to benefit particular private interests rather than the
    collective    interests   of   the   community."   Taxpayers   Ass'n    of
    Weymouth Twp. v. Weymouth Township, 
    80 N.J. 6
    , 18 (1976), cert.
    denied, 
    430 U.S. 977
    , 
    97 S. Ct. 1672
    , 
    52 L. Ed. 2d 373
    (1977).
    Spot zoning transpires "when a municipality seeks to relieve a
    25                          A-1218-15T2
    particular   property      of    the   burden     imposed   by        its    zoning
    classification   so   as    to   benefit    the   lot   owner    or    permit      an
    incompatible use."      Jennings v. Borough of Highlands, 418 N.J.
    Super. 405, 425-26 (App. Div. 2011).          "[T]he test for spot zoning
    is whether the particular provision of the zoning ordinance is
    made with the purpose or effect of furthering a comprehensive
    scheme or whether it is designed merely to relieve a lot or lots
    from the burden of a general regulation."           
    Id. at 426
    (alteration
    in original) (quoting 
    Palisades, supra
    , 44 N.J. at 134).
    Here, plaintiffs failed to allege that the effect of the
    ordinance was inconsistent or incompatible with the Township's
    comprehensive zoning plan, as required by 
    Jennings, supra
    , 418
    N.J. Super. at 426.        Moreover, the fact that the University was
    initially the only landowner in the OC Zone District is simply not
    prima facie proof of spot zoning.            
    Palisades, supra
    , 44 N.J. at
    135.     Indeed, it is well established that an otherwise valid
    ordinance is "unobjectionable even if . . . initially proposed by
    private parties [who] are . . . its ultimate beneficiaries."
    Taxpayers 
    Ass'n, supra
    , 80 N.J. at 18.             Because nothing in the
    record supports a finding that Ordinance 17-03 was inconsistent
    with the Township's comprehensive zoning plan, the trial judge
    correctly determined that plaintiffs' spot zoning claim lacked
    merit.
    26                                   A-1218-15T2
    Plaintiffs         next   argued   that    the    published      notices       for
    Ordinance 15-03 and Ordinance 17-03 were defective because they
    did   not   contain       a   "brief   summary   of    the    main    objectives       or
    provisions    of    the       ordinance."      They    also   asserted        that   the
    personal, mailed notice they admittedly received for Ordinance 17-
    03 did not contain "the nature of the matter to be considered" or
    "street names, common names or other identifiable landmarks" to
    identify the affected zoning district.
    The trial judge rejected these contentions.                    The judge found
    that the Township's published notice for Ordinance 15-03 complied
    with N.J.S.A. 40:49-2.1(a), which requires "citing such proposed
    ordinance by title, giving a brief summary of the main objectives
    or provisions" plus a statement that copies are on file for public
    examination,       and    notice    of   the    time   and    place     for    further
    consideration of the proposal.              The judge also found that N.J.S.A.
    40:55D-62.1 did not require the Township to send personal notice
    of Ordinance 15-03 to plaintiffs because that ordinance "created
    a classification that did not previously exist" and "was neither
    a change in classification within a district, nor a boundary change
    to a district."          At the time of its adoption, the newly created
    zone "had no impact upon any property owner."                 As to Ordinance 17-
    03, the judge found that the Township's published notice comported
    with N.J.S.A. 40:49-2.1(a), and that the personal notice satisfied
    27                                     A-1218-15T2
    N.J.S.A. 40:55D-62.1.      For the reasons that follow, we agree with
    the judge that the notices met the requirements of N.J.S.A. 40:49-
    2.1(a) and N.J.S.A. 40:55D-62.1.
    At a minimum, municipalities must substantially comply with
    statutory published notice requirements.         Wolf v. Shrewsbury, 
    182 N.J. Super. 289
    , 295 (App. Div. 1981), certif. denied, 
    89 N.J. 440
    (1982).       "Failure to substantially comply with the requirements
    of a statute requiring publication renders the ordinance invalid."
    
    Ibid. "A notice of
    a proposed change in the zoning laws must be
    reasonably sufficient and adequate to inform the public of the
    essence and scope of the proposed changes."         
    Id. at 296.
    In support of their contentions, plaintiffs primarily rely
    upon our decision in Rockaway Shoprite Assocs. v. City of Linden,
    
    424 N.J. Super. 337
    (App. Div. 2011), certif. denied, 
    209 N.J. 233
    (2012), which stressed the importance of N.J.S.A. 40:49-2.1(a)'s
    "brief summary" requirement.         There, we found that a published
    notice regarding rezoning of the former GM Linden Assembly Plant
    site    was   non-compliant   with   N.J.S.A.   40:49-2.1(a)   because   it
    provided no indication of what new zones were being created, or
    what new uses would be permitted on the site.           
    Id. at 343.
         We
    reasoned:
    While the published notice at most alerted the
    public that some type of zoning amendment was
    being considered regarding the GM site,
    28                           A-1218-15T2
    nothing therein informed interested persons of
    the nature or extent of the change or whether
    it was consequential enough to warrant their
    attendance at, and participation in, the
    ensuing public hearing.
    [Id. at 349-50.]
    Thus, we held that "New Jersey requires at a minimum that published
    notice of a zoning ordinance creating new zones and uses applicable
    to an area identify and briefly describe those new zones and uses."
    
    Id. at 346.
    The published notice for Ordinance 15-03 contains a one-
    sentence "brief summary" which states: "This ordinance amends and
    supplements Chapter 175 of the South Brunswick Code by the addition
    of Section 175-93, Office/Corporate District."   The notice further
    provides the ordinance's full title, gives the time and place of
    the upcoming public meeting, and explains that copies of the
    ordinance can be obtained without charge.
    While the summary is brief, and does not list any of the
    permitted uses within the newly-created OC Zone District, it
    nevertheless adequately conveys the ordinance's main objective as
    required by N.J.S.A. 40:49-2.1(a), i.e., the "addition of an
    Office/Corporate   District."   Unlike   in   Rockaway,   where   the
    ordinance rezoned a large, existing property, Ordinance 15-03
    created a new zoning district not yet applicable to any area.
    Under these unique circumstances, we are satisfied that the 2003
    29                           A-1218-15T2
    published notice was "reasonably sufficient," as it bore no effect
    upon plaintiffs' property, or any other property.          
    Wolf, supra
    ,
    182 N.J. Super. at 296.
    In addition, copies of the ordinance were available for
    review, and interested parties could have attended the public
    meeting to learn more.    Finally, personal notice was not required
    in connection with Ordinance 15-03 because N.J.S.A. 40:55D-62.1
    applies only "to two events—classification changes and boundary
    changes."   Mahwah Realty Assocs. v. Township of Mahwah, 430 N.J.
    Super. 247, 257 (App Div. 2013).        Ordinance 15-03 effectuated
    neither a classification change nor a boundary change.
    Turning to the required notice for Ordinance 17-03, both
    N.J.S.A. 40:49-2.1(a) and N.J.S.A. 40:55D-62.1 are applicable.
    The   published   notice's   "brief   summary"   for    this   ordinance
    provided: "This ordinance amends the zoning map of the Township
    of South Brunswick by re-zoning certain property along southbound
    Route 1 from OR, R-1 and R-4 to OC." It also stated the ordinance's
    title, the time and location for the upcoming public meeting, and
    advised that copies of the ordinance were available free of charge.
    Thus, the Township's published notice substantially complied
    with the requirements of N.J.S.A. 40:49-2.1(a).        It was clear from
    the notice that the ordinance's main objective was the rezoning
    of property to an OC classification.       Therefore, the published
    30                              A-1218-15T2
    notice was "sufficient to alert a reasonably intelligent reader
    as to the nature and import of the . . . changes in the zone plan."
    
    Wolf, supra
    , 182 N.J. Super. at 296.
    The    Township       also   duly      provided    personal   notice     of   the
    ordinance to plaintiffs, and this notice included a copy of the
    ordinance     and    the   proposed      zoning   map    identifying    the     exact
    location of the property to be re-zoned. Thus, the personal notice
    substantially complied with N.J.S.A. 40:55D-62.1 by providing the
    nature   of    the    matter      to   be    considered,     street    names,      and
    identifiable landmarks in order to identify the affected zoning
    district.     Therefore, the trial judge committed no error when he
    held that the Township substantially complied with the statutory
    notice requirements for both ordinances.
    Finally, like the trial judge, we also reject plaintiffs'
    contention that the term "public utility facilities" in Ordinance
    15-03 was unconstitutionally vague and, therefore, they and other
    members of the public would not have been able to determine that
    an electrical substation might be built in the OC zone.
    "The established rules of statutory construction govern the
    interpretation of a municipal ordinance."                 Township of Pennsauken
    v. Schad, 
    160 N.J. 156
    , 170 (1999).               On appeal, we review a trial
    judge's statutory interpretation de novo."                Commerce Bancorp, Inc.
    v. InterArch, Inc., 
    417 N.J. Super. 329
    , 334 (App. Div. 2010)
    31                                A-1218-15T2
    (citing State v. Gandhi, 
    201 N.J. 161
    , 176 (2010)), certif. denied,
    
    205 N.J. 519
    (2011).
    "Our analysis of a statute begins with its plain language,
    giving the words their ordinary meaning and significance."                     In re
    Estate of Fisher, 
    443 N.J. Super. 180
    , 190 (App. Div. 2015) (citing
    State v. Olivero, 
    221 N.J. 632
    , 639 (2015)), certif. denied, 
    224 N.J. 528
    (2016).        "It is a basic rule of statutory construction
    to ascribe to plain language its ordinary meaning.                      When that
    language 'clearly reveals the meaning of the statute, the court's
    sole function is to enforce the statute in accordance with those
    terms.'"      
    Ibid. (citations omitted). As
    noted above, Ordinance 15-03 specifically states that
    "public utility facilities" are one of the uses permitted in the
    OC zone. In N.J.S.A. 40:55D-6, the MLUL defines a "public utility"
    as "any public utility regulated by the" Board of Public Utilities
    ("BPU").   Here, the proposed substation facility will be owned and
    maintained by PSE&G, which is the State's largest regulated public
    utility and, as such, is subject to the BPU's jurisdiction and
    regulation.       See   In   re    Pub.   Serv.    Elec.    &   Gas    Co.'s   Rate
    Unbundling, 
    167 N.J. 377
    , 382 (2001) (noting that PSE&G is one of
    the   State's     "existing       four    [electric      utility      monopolies]"
    regulated by the BPU).
    Thus,    the    "public   utility"      in   the   term   "public   utility
    32                                A-1218-15T2
    facilities"   referenced   in   Ordinance    15-03   obviously   includes
    PSE&G.   Just as obviously, the remaining word in that term,
    "facilities" would include an electrical substation operated by
    the public utility.   In this regard, the ordinary definition of a
    "facility" is "something (such as a building or large piece of
    equipment) that is built for a specific purpose."         Merriam-Webster
    Online Dictionary, http://www.merriam-webster.com (last visited
    May 12, 2017) (emphasis added).            A "substation" is generally
    defined as "a place where the strength of electricity is changed
    as the electricity passes through on its way from the power plant
    to homes and businesses."    
    Ibid. The fact that
    PSE&G's substation
    includes both a building and equipment clearly brings it within
    the common definition of "facility" as used in Ordinance 15-03.
    We need not address hypothetical scenarios not present in this
    case testing the breadth of the term.
    Moreover,   Joseph    Barton,   who    served   as   PSE&G's    expert
    consultant, testified that a substation is a critical component
    of a public utility's electrical transmission system.         Without it,
    the other components of an electrical system, such as conduits,
    cables, wires, towers, and poles, referenced in other statutes
    33                                A-1218-15T2
    describing public utility facilities,13 would be useless.                Thus,
    contrary     to    plaintiffs'    contention,     the   plain   language      of
    Ordinance 15-03 creating the OC Office/Corporate District provided
    clear and explicit notice that "public utility facilities" were
    permitted in the newly created OC zone.
    In sum, we affirm the trial judge's October 13, 2015 order
    granting defendants' motion for summary judgment and dismissing
    plaintiffs'       complaint   challenging   the   Township's    adoption      of
    Ordinance 15-03 and Ordinance 17-03.
    III.
    We now turn to PSE&G's contentions in its appeal in Docket
    No. A-3014-15.       PSE&G argues that the Planning Board's decision
    to   grant   the    residential   buffer    variance    was   not   arbitrary,
    capricious, or unreasonable, and that the trial judge mistakenly
    failed to defer to the Planning Board's findings of fact and
    conclusions of law, which were supported by substantial credible
    13
    See, e.g., N.J.S.A. 40:11A-7.1 (defining "public utility
    facility" to include "any tracks, pipes, mains, conduits, cables,
    wires, towers, poles and other equipment and appliances . . . of
    any public utility"). That definition is repeated within other
    chapters of Title 40, and in other Titles. See N.J.S.A. 40:14A-
    20, N.J.S.A. 40:37D-7, N.J.S.A. 40:68A-54 (utilizing same
    definition).   See also N.J.S.A. 58:22-14, N.J.S.A. 52:27I-36,
    N.J.S.A. 52:9Q-22, N.J.S.A. 40A:12A-10, N.J.S.A. 40A:26A-8,
    N.J.S.A. 40A:31-8, N.J.S.A. 34:1B-8, N.J.S.A. 27:23-6, N.J.S.A.
    58:1B-8, N.J.S.A. 12:11A-7, and N.J.S.A. 5:10-8 (also utilizing
    same definition).
    34                                A-1218-15T2
    evidence in the record.        We agree.
    "[W]hen reviewing the decision of a trial court that has
    reviewed municipal action, we are bound by the same standards as
    was the trial court."         Fallone Props., L.L.C. v. Bethlehem Twp.
    Plan. Bd., 
    369 N.J. Super. 552
    , 562 (App. Div. 2004).                Thus, our
    review of the Board's action is limited.              See Bressman v. Gash,
    
    131 N.J. 517
    , 529 (1993) (holding that appellate courts are bound
    by the same scope of review as the Law Division and should defer
    to the local land-use agency's broad discretion).
    In reviewing a municipal zoning board's decision, courts must
    be mindful that the Legislature vested these boards with the
    discretion to make decisions that reflect the character and level
    of   development    within    their      municipality.     Booth   v.    Bd.    of
    Adjustment of Rockaway, 
    50 N.J. 302
    , 306 (1967).                   A planning
    board's discretionary decisions carry a rebuttable presumption of
    validity.    Harvard Enters., Inc. v. Bd. of Adjustment of Madison,
    
    56 N.J. 362
    , 368 (1970).
    It is well-established that "a decision of a zoning board may
    be   set    aside   only     when   it     is   'arbitrary,     capricious      or
    unreasonable.'"      Cell     South   of    N.J.,   Inc.   v.   Zoning   Bd.    of
    Adjustment of W. Windsor, 
    172 N.J. 75
    , 81 (2002) (quoting Medici
    v. BPR Co., 
    107 N.J. 1
    , 15 (1987)).             "[P]ublic bodies, because of
    their peculiar knowledge of local conditions, must be allowed wide
    35                                 A-1218-15T2
    latitude in their delegated discretion."         Jock v. Zoning Bd. of
    Adjustment of Wall, 
    184 N.J. 562
    , 597 (2005).        Therefore, "[t]he
    proper scope of judicial review is not to suggest a decision that
    may be better than the one made by the board, but to determine
    whether the board could reasonably have reached its decision on
    the record."    
    Ibid. The burden is
    on the challenging party to overcome this
    highly deferential standard of review.       Smart SMR of N.Y., Inc.
    v. Borough of Fair Lawn Bd. of Adjustment, 
    152 N.J. 309
    , 327
    (1998).   A court must not substitute its own judgment for that of
    the local board unless there is a clear abuse of discretion.           See
    Cell 
    South, supra
    , 172 N.J. at 82.       As we stated in CBS Outdoor,
    Inc. v. Borough of Lebanon Planning Bd., 
    414 N.J. Super. 563
    , 577
    (App. Div. 2010), "[e]ven were we to harbor reservations as to the
    good judgment of a local land use agency's decision, 'there can
    be no judicial declaration of invalidity in the absence of clear
    abuse of discretion by the public agencies involved.'" (quoting
    Kramer v. Bd. of Adjustment, Sea Girt, 
    45 N.J. 268
    , 296-97 (1965).
    N.J.S.A.   40:55D-70   authorizes   local    zoning   and   planning
    boards to grant variances from zoning ordinances. N.J.S.A. 40:55D-
    70(c) defines two categories of variances:            N.J.S.A. 40:55D-
    70(c)(1), known as the "hardship variance," and N.J.S.A. 40:55D-
    70(c)(2), known as the "flexible or bulk variance."        PSE&G sought
    36                               A-1218-15T2
    a   (c)(2)     variance     from   the     200-foot     residential     buffer
    requirement.
    The Supreme Court succinctly described the test for granting
    a (c)(2) variance as follows:
    N.J.S.A.    40:55D-70(c)(2)   permits   a
    variance for specific property, if the
    deviation from bulk or dimensional provisions
    of a zoning ordinance would advance the
    purposes of the zoning plan and if the benefit
    derived from the deviation would substantially
    outweigh any detriment. The applicant bears
    the burden of proving both the positive and
    negative criteria.
    [Ten Stary Dom P'ship v. Mauro, 
    216 N.J. 16
    ,
    30 (2013).]
    Satisfaction of the positive criteria requires "proof that
    the characteristics of the property present an opportunity to put
    [it] more in conformity with the development plans and advance the
    purposes of zoning."         
    Ibid. The purposes of
    zoning include
    promoting "public health and safety" and a "desirable visual
    environment"; providing "adequate light, air and open space";
    securing "safety from fire, flood, [and] panic"; and providing
    "sufficient    space   in   appropriate     locations    for   a   variety    of
    . . . uses . . . in order to meet the needs of all New Jersey
    citizens."     N.J.S.A. 40:55D-2.        As to the negative criteria, the
    applicant must prove "that the variance would not result in
    substantial detriment to the public good or substantially impair
    37                                A-1218-15T2
    the purpose of the zone plan."        Ten Stary 
    Dom, supra
    , 216 N.J. at
    30.
    Significantly, under this "more flexible test," an applicant
    for a (c)(2) variance need not demonstrate hardship.                Price v.
    Himeji, LLC, 
    214 N.J. 263
    , 297 (2013) (citing Lang v. Zoning Bd.
    of Adjustment, 
    160 N.J. 41
    , 57 (1999)); Jacoby v. Zoning Bd. of
    Adjustment,   442    N.J.   Super.   450,   470   (App.   Div.   2015).     In
    addition,     "the    magnitude      of     the    deviation      from    the
    . . . dimensional requirements of the zoning ordinance and the
    impact on the zoning plan are often a matter of degree" and, as
    such, "a board's consideration of a variance should recognize that
    fact."   Ten Stary 
    Dom, supra
    , 216 N.J. at 32.
    As our Supreme Court explained almost twenty-nine years ago:
    By definition . . . no (c)(2) variance
    should be granted when merely the purposes of
    the owner will be advanced.     The grant of
    approval must actually benefit the community
    in that it represents a better zoning
    alternative for the property. The focus of a
    (c)(2) case, then, will not be on the
    characteristics of the land that, in light of
    current   zoning   requirements,   create   a
    "hardship"   on   the  owner   warranting   a
    relaxation   of   standards,   but   on   the
    characteristics of the land that present an
    opportunity for improved zoning and planning
    that will benefit the community.
    [Kaufmann v. Planning Bd. for Twp. of Warren,
    
    110 N.J. 551
    , 563 (1988) (emphasis added).]
    In short, the granting of a "(c)(2) variance will stand if,
    38                              A-1218-15T2
    after adequate proofs are presented, the Board concludes that the
    'harms, if any, are substantially outweighed by the benefits.'"
    
    Jacoby, supra
    , 442 N.J. Super. at 471 (quoting 
    Kaufmann, supra
    ,
    110 N.J. at 565).
    Applying these standards, we are constrained to conclude that
    the trial judge mistakenly overrode the Planning Board's decision
    to grant a variance of the 200-foot residential buffer to PSE&G
    so   that   it   could   construct   an   electrical   substation   on   its
    property.    The evidence adduced during the Planning Board's four-
    day hearing overwhelmingly supported its decision to permit a
    variance that affected only one property, Lot 11.04, whose owner
    raised no objection to the application.          The record also plainly
    demonstrated that the grant of this decidedly minor variation in
    the overall zoning scheme would enable PSE&G to comply with PJM
    and FERC requirements and ensure that thousands of property owners
    in the area, including plaintiffs, were supplied with safe and
    efficient electrical power in the face of growing energy demands
    in the region.      Under these circumstances, the Planning Board's
    decision clearly represented a "better zoning alternative for the
    property" and, therefore, the Planning Board's decision should
    have been affirmed.
    The trial judge's conclusion that the planning board did not
    provide an adequate explanation of its decision is not supported
    39                             A-1218-15T2
    by our review of that decision.         The Planning Board specifically
    found that "the proposed use [of the land] [wa]s a permitted use"
    that "promotes the safe and efficient flow of electricity to the
    community-at-large" by increasing power reliability and adding new
    capacity for up to 25,000 future customers.       It further found that
    "the existing network structure . . . is close to capacity" and
    "if the proposed substation is not built within a short period of
    time, it is reasonably foreseeable that brown outs are at greater
    risk to occur in the area."        As detailed in Section I of this
    opinion, these findings are firmly grounded in the record.
    As to the location chosen for PSE&G's project, the Planning
    Board found that the undeveloped property, located in an OC zone,
    was "an excellent location for the substation" in order "to link
    . . . two . . . other substations located to the north and south
    of the site" and was "adjacent to existing PSE&G property that
    [would] facilitate the construction of the underground outlets
    required."
    The Planning Board found that Lot 11.04 was the only one
    affected   by   the   (c)(2)   variance.     While   acknowledging   the
    "significant amount of testimony presented by objectors . . . that
    the site was not suitable for the use because it require[d] a
    [residential buffer] variance," the Planning Board found that Lot
    11.04, whose owner has not objected to a variance that affects
    40                           A-1218-15T2
    only his property, was "a long and narrow lot" and that its
    "structures . . . [were] in the northern most portion of the lot,
    furthest away from the site and well beyond the [200-foot] buffer."
    Regarding     the    potential    negative      impact    on    surrounding
    residential properties, the Planning Board found that "Lot 11.14,
    a Township-owned dedicated open space lot, runs between [PSE&G's]
    property and Lot 11.04" and "buffers the negative impact the
    substation will have" upon that lot.               The Planning Board also
    concluded that any negative visual impact from the substation
    would   be    minimized    because    much   of    the   equipment     would    be
    underground, and "significant landscaping" provided by PSE&G would
    further "buffer and practically shield the [thirteen-foot control]
    building from the adjacent residential properties."
    The     Planning    Board   carefully   balanced     concerns     that    the
    substation     might    affect   residential      property    values   with    the
    project's potential to advance the zoning plan.                     The Planning
    Board stated:
    As to [Mazotas's] valuation testimony, the
    proposed use is a permitted use so the
    testimony   was   arguably    not   relevant.
    Furthermore, the testimony provided was not
    well researched and was not based on any
    meaningful data.   The Board provides little
    weight to this testimony especially in light
    of the fact that the GDP for this area allows
    for a significant amount of commercial
    development. The Board finds that the expert
    testimony on valuation failed to distinguish
    41                                 A-1218-15T2
    the impact the substation would have on the
    value of the residential properties in the
    area as compared to the impact of more than
    . . . 1,800,000 square feet of commercial
    space would have on the value of the nearby
    residential properties. Thus, the Board finds
    credible the testimony of [PSE&G's] planner
    that the detrimental impact the substation
    will have on the public good and the intent
    and purpose of the Master Plan and Zone Plan
    will be minimal.
    Concerning noise levels, the Planning Board determined that
    noise on the site "will not exceed state or local noise standards."
    It accepted Clark's testimony as credible, and found Thorpe's
    testimony less credible because she "failed to state that the
    manner   and   methods    used    by    [Clark]    deviated   from   acceptable
    standards in the industry."             Clark testified that he performed
    various simulation tests and concluded that it would be "difficult
    to hear the substation at points offsite" given the ambient noise
    level in the area.       Although Thorpe criticized Clark's methodology
    and conclusions, she did not complete a study of her own and
    admitted     that   Clark's   study     complied    with   applicable   testing
    requirements.
    The record also does not support the trial judge's finding
    that   the    Planning    Board   did    not   adequately     address   Light's
    testimony concerning the possibility that PSE&G could use GIS
    technology to reduce the overall size of the project and thereby
    lessen or eliminate the need for it to deviate from the 200-foot
    42                              A-1218-15T2
    buffer for Lot 11.04.    In making this finding, the judge only
    focused on Light's testimony that implementing GIS technology at
    a cost of an additional $8 million to ratepayers might reduce the
    size of one component of the project.    However, the judge did not
    consider Light's clarifying testimony that in terms of reducing
    "the overall size of the station[,]" GIS technology "doesn't really
    help you[.]"
    Finally, the judge found that the Planning Board did not make
    any findings as to the reasonableness of PSE&G's asserted inability
    to acquire additional lands from the University that would have
    enabled PSEG to construct the substation while preserving the 200-
    foot buffer.    Thus, the judge concluded that any "hardship"
    suffered by PSE&G was "a self-created one."
    We disagree with the trial judge's assessment. First, because
    this was an application for a (c)(2) variance, PSE&G was not
    required to establish a hardship in order to justify its need for
    the residential buffer variance.     
    Price, supra
    , 214 N.J. at 297.
    As we recently noted in Jacoby, "[a] (c)(2) variance contemplates
    that even absent proof of a hardship, a bulk or dimensional
    variance that advances the purposes of the MLUL may be granted if
    the benefits of the deviation outweigh the detriment."   
    Supra, 442 N.J. Super. at 470
    .   As discussed above, that is clearly the case
    here.
    43                          A-1218-15T2
    Contrary to the trial judge's finding, any hardship upon
    PSE&G    as   the       result   of    the   University's        refusal        to   sell    it
    additional land was obviously not a "self-imposed" one.                                     The
    University        and    PSE&G       are   clearly     separate        entities      and    the
    University was under no obligation to sell PSE&G any more property
    than    it    chose      to    convey.       Finally        on   this    point,       PSE&G's
    acquisition of additional land from the University in the manner
    suggested by plaintiffs as a means of keeping the project within
    the    buffer     in     terms   of    Lot   11.04       would   appear        to    move   the
    substation closer to plaintiffs' property.
    In sum, the Planning Board properly concluded on the record
    before       it    that       "the     benefits       in    granting          the    variance
    . . . substantially outweigh[ed] the detriments" and that the
    variance could "be granted without causing substantial detriment
    to the public good."             Because the Planning Board's determination
    to grant the residential buffer variance was well-supported by
    substantial       credible       evidence        in   the   record      and    was    neither
    arbitrary, capricious, or unreasonable, the trial judge erred by
    substituting        his       judgment     for    that      of   the    Planning       Board.
    Therefore, we reverse the judge's determination and reinstate the
    Planning Board's approval of PSE&G's application for a residential
    buffer variance.
    44                                       A-1218-15T2
    IV.
    The trial judge also reversed the Planning Board's decision
    granting PSE&G's request for minor subdivision approval.                  In
    explaining this aspect of his decision, the judge stated:
    Because   the   geometry  of   the   proposed
    subdivision is at the core of the variance
    request, it is incumbent upon this court to
    also reverse the decision of the Board
    granting PSE&G's application for subdivision.
    To allow the subdivision grant to stand
    without an approved site plan upon which it
    is based is contradictory to common sense.
    As a result, the judge declined to decide whether the Planning
    Board's grant of the subdivision variance for lack of street
    frontage was reasonable and, solely on that basis, he reversed the
    Planning Board's decision.
    In light of our decision that the Planning Board's approval
    of the residential buffer variance was appropriate and must be
    reinstated, the trial judge may now address plaintiffs' challenge
    to the minor subdivision approval.          Therefore, we reverse the
    judge's   denial   of   the   Planning   Board's   approval   of   PSE&G's
    subdivision application and remand so that the judge may promptly
    consider the matter. We further direct that the remand proceedings
    be completed within ninety days.         Any party or parties aggrieved
    by the court's ruling on the issue may file a timely new appeal
    with this court under a new docket number.
    45                              A-1218-15T2
    V.
    Finally,     we   briefly     address   the    arguments        raised     by
    plaintiffs   in    their   cross-appeal      in    Docket     No.    A-3014-15.
    Plaintiffs contend that:         (1) an electrical substation is not a
    permitted use under the University's GDP; (2) the Planning Board
    "illegally   waived"   the   required     EIS;    (3)   the   Planning     Board
    "approved the site plan without the acoustic testing required by
    local and state law"; and (4) the Planning Board's findings "were
    not substantiated" or "adequately supported by the record or are
    contrary to the record."14
    We have reviewed plaintiffs' contentions on these points in
    light of the record and the applicable law and conclude that they
    are without sufficient merit to warrant discussion in a written
    opinion.     R.   2:11-3(e)(1)(E).        Nevertheless,       we    provide   the
    following comments.
    Contrary to plaintiffs' assertion, the installation of an
    electrical substation was clearly consistent with the University's
    GDP. As the Planning Board noted in its decision approving PSE&G's
    variance application, the resolution approving the GDP plainly
    "states that the approval is for '1,800,000 [square feet] of office
    14
    Plaintiffs also contend that the term "public utility
    facilities" does not apply to electrical substations. As discussed
    in Section II above, this contention lacks merit and, therefore,
    we need not address it further here.
    46                                  A-1218-15T2
    corporate space and other uses permitted in the OC zone.'"                      As
    noted above, "public utility facilities," like the substation at
    issue here, are expressly permitted in the OC zone under Ordinance
    15-03.    Therefore, we reject plaintiffs' contention on this point.
    Plaintiffs'    argument     that     the   Planning     Board    "illegally
    waived" the requirement that an EIS be submitted ignores several
    key facts. First, the GDP between the University and the Township,
    which was approved by the Planning Board, "stated that an [EIS]
    would not have to be submitted for development of any portion of
    the property contained within the GDP."             Thus, the Planning Board
    properly determined that it was not necessary for PSE&G to submit
    an EIS.
    In addition, the Planning Board found, based upon the colloquy
    between    its   members    on     this    issue,     that    the     Township's
    "Environmental Commission reviewed the application and did not
    request that the applicant submit an" EIS. Moreover, to the extent
    that an EIS might be required, the Planning Board granted PSE&G's
    request for a waiver of this requirement as it was permitted to
    do under the governing ordinance.           Under these circumstances, we
    discern no basis for disturbing the trial judge's determination
    that plaintiffs' argument on this issue lacked merit.
    Plaintiffs    next    argue    that   the   trial     judge     incorrectly
    rejected their contention that the acoustic testing performed by
    47                                  A-1218-15T2
    Clark, who was PSE&G's expert, was flawed.   We disagree.
    The Planning Board made the following findings with regard
    to Clark's testimony and the testimony of plaintiffs' expert,
    Thorpe:
    The applicant presented expert testimony
    regarding the noise that will be generated
    from the facility.    The testimony presented
    [from Clark] was that based on the studies
    performed, the site will not exceed state or
    local noise standards . . . . As to the issue
    of acoustics/noise, expert testimony [from
    Thorpe] was provided in opposition to the
    application.    [Thorpe] testified that she
    would have performed the noise study in a
    different manner . . . . In her opinion, her
    suggested method would have been more thorough
    than the method used by [Clark].      However,
    [Thorpe] failed to state that the manner and
    methods   used   by  [Clark]   deviated   from
    acceptable standards in the industry as to how
    acoustical/noise studies are to be performed.
    Thus [Thorpe] testified to a preference as to
    how the applicant's noise study could have
    been performed rather than raising genuine
    irregularities or deviations from accepted
    standards in how the study was performed.
    The Planning Board considered the potential negative impact
    on "the quality of life mainly due to noise generated from the
    substation," but concluded that "[t]he detrimental impacts are
    limited to those property owners immediately adjacent to the
    project site and are mitigated through many factors" including
    "the significant landscape buffer."   Moreover, as a condition of
    its approval, the Planning Board required PSE&G, "within six months
    48                           A-1218-15T2
    of    the   substation      operating     .   .   .     [to]   perform     [an]
    acoustical/noise test to insure the substation generates noise
    that does not exceed State or local standards."
    The trial judge    affirmed the Planning Board's determination,
    noting that while Thorpe criticized certain aspects of Clark's
    report, she conceded that Clark's study complied with State and
    local regulations, and that she did not perform her own study.
    The judge's decision on this point is well supported by the record
    and, therefore, there is no basis for overturning it.
    Finally, plaintiffs argue generally that the Planning Board's
    decision was not adequately supported by the record.             However, as
    discussed in detail in Section III of this opinion, this is clearly
    not the case.15
    VI.
    In sum, we affirm the October 13, 2015 order dismissing
    plaintiffs' challenge to Ordinance 15-03 and Ordinance 17-03.                 We
    reverse the portion of the February 10, 2016 order that overturned
    the   Planning    Board's   approval     of   PSE&G's    residential     buffer
    variance, and we reinstate the Planning Board's approval of that
    15
    For completeness purposes, we note that any issues raised by
    plaintiffs in their appeal in Docket No. A-1218-15 and their cross-
    appeal in Docket No. A-3014-15 that are not specifically addressed
    in this opinion lack sufficient merit to warrant discussion. R.
    2:11-3(e)(1)(E).
    49                                 A-1218-15T2
    application.   We also reverse the trial court's denial of the
    minor subdivision approval PSE&G received from the Planning Board,
    and remand to the trial court for consideration of that issue
    consistent with this opinion.    These remand proceedings must be
    completed within ninety days.   In all other respects, the February
    10, 2016 order is affirmed.
    Affirmed in part; reversed in part; and remanded.   We do not
    retain jurisdiction.
    50                          A-1218-15T2