Tennessee Downs, Inc. v. Gibbons , 1999 Tenn. App. LEXIS 527 ( 1999 )


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  •                    IN THE COURT OF APPEALS OF TENNESSEE,
    WESTERN SECTION AT JACKSON
    TENNESSEE DOWNS, INC., in its                )
    corporate capacity and on behalf of its      )     On appeal from the Shelby
    employees, JOHN DOES and JANE DOES,          )     County Chancery Court,
    )     Part 2
    Plaintiffs/Appellees,                  )     Case No. 98-0675
    )
    v.                                           )     C.A. No. 02A01-9812-CH-00379
    WILLIAM L. GIBBONS, in his official
    capacity as District Attorney General
    )
    )
    )
    FILED
    for the State of Tennessee, 30th Judicial    )
    July 30, 1999
    District,                                    )
    )
    Defendant/Appellant.                   )                Cecil Crowson, Jr.
    Appellate Court Clerk
    On Appeal from the Chancery Court for Shelby County, Tennessee
    Honorable Chancellor Floyd Peete, Jr.
    Scott K. Haynes, Nashville, Tennessee
    Henry Walker, Nashville, Tennessee
    Luther Wright, Jr., Nashville, Tennessee
    Handel R. Durham, Jr., Memphis, Tennessee
    Attorneys for Plaintiffs/Appellees.
    Paul G. Summers, Attorney General & Reporter
    Michael E. Moore, Solicitor General
    Gina J. Barnham, Deputy Attorney General
    Janet M. Kleinfelter, Senior Counsel
    Attorneys for Defendant/Appellant.
    OPINION FILED:
    REVERSED AND DISMISSED
    INJUNCTION DISSOLVED
    TATUM, S.J.
    HIGHERS, J.: (Concurs)
    FARMER, J.: (Concurs)
    OPINION
    This case presents an appeal as of right of William L. Gibbons, District Attorney
    General, for the State of Tennessee, 30th Judicial District, from a decision by the Chancery
    Court of Shelby County, Part II. Plaintiff, Tennessee Downs, Inc., who proposed to
    conduct pari-mutuel wagering on horse racing in Memphis, Tennessee, sought a
    declaration from the Chancery Court under 
    42 U.S.C. § 1983
     that such activity was legal
    and not prohibited under Tennessee’s anti-gambling statutes, and, therefore, it had a lawful
    right to engage in such activity. The Plaintiff also sought a permanent injunction enjoining
    General Gibbons from prosecuting, or threatening to prosecute, Plaintiff under
    Tennessee’s anti-gambling statutes.
    In his answer, General Gibbons denied that the Chancery Court had jurisdiction.
    He further asserted that Plaintiff had failed to state a claim upon which relief could be
    granted and that the activities that Plaintiff proposed to engage in are illegal under
    Tennessee law. General Gibbons resisted the motion for an injunction on various grounds.
    General Gibbons filed his own affidavit in which he testified that he would prosecute
    Plaintiff and its employees for violating Tennessee’s anti-gambling statutes if they
    attempted to conduct pari-mutuel wagering on horse racing without a valid license. Plaintiff
    informed the court that it was only seeking injunctive relief pursuant to its claim under 
    42 U.S.C. § 1983
     and that its declaratory judgment action and any action for damages were
    not before the court.
    After the hearing, the Chancellor issued a memorandum opinion in which it found
    that it had subject matter jurisdiction solely by virtue of the language of 
    42 U.S.C. § 1983
    .
    The Chancellor further found that “a property right that has been bestowed on the Plaintiffs
    by the passing of the Racing Control Act, which did vest in Tennessee residents the right
    to engage in the pursuit of this particular business and profession under certain
    circumstances,” such circumstances being the possession of a license. However, because
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    the Tennessee Racing Commission was no longer in existence, the chancery court found
    that the need for a license was suspended and, therefore, could “not be enforced by the
    Attorney General or any other agency.”
    The chancery court also found that the Plaintiff had a liberty interest in the “right to
    engage in whatever legal business one elects to pursue without arbitrary governmental
    interference” and that “the threatened prosecution of Plaintiff’s [sic] by the Attorney General
    appears to this Court to be an unlawful and arbitrary governmental interference.”
    Accordingly, the chancery court enjoined General Gibbons “from depriving Plaintiffs of their
    liberty and property rights without due process.”
    The facts in this case are not in dispute. Plaintiff, Tennessee Downs, Inc., is a
    Tennessee corporation that proposes to engage in the operation of pari-mutuel betting
    facilities and horse racing tracks in Tennessee. Defendant, W illiam L. Gibbons, is the duly
    elected District Attorney General for the State of Tennessee, 30th Judicial District.
    By Chapter 311, § 1, Public Acts of 1987, (codified at 
    Tenn. Code Ann. §§ 4-36-101
    ,
    et seq.) Tennessee legislature passed the “Racing Control Act of 1987,” which created the
    Tennessee State Racing Commission and vested the Commission “with plenary power to
    control and regulate racing in Tennessee, with full recognition of the statement that racing
    is a privilege and is not a right.” This Act went into effect on May 7, 1987, for the purposes
    of appointing the membership of the Commission, authorizing the promulgation of rules by
    the Commission, and authorizing the referenda established by the Act. The Commission
    promulgated Race Meeting License rules and regulations under the Act.
    On October 8, 1987, the City of Memphis conducted a referendum pursuant to
    
    Tenn. Code Ann. § 4-36-401
    , in which over 60% of the voters approved of conducting
    horse racing with pari-mutuel wagering within the city.
    In 1993, the legislature amended the Tennessee Governmental Entity Review Law
    3
    to add the Commission as one of the governmental entities scheduled to terminate on
    June 30, 1997. Pursuant to that law, the legislative evaluation committee reviewed the
    continued existence of the Commission in June of 1996 and recommended that the
    Commission be continued until June 30, 2000; however, legislation to continue the
    Commission failed to pass out of the Senate Government Operations Committee and was
    never acted upon by the legislature. Other attempts were made to extend the termination
    date of the Commission, but all failed to pass in the Senate. Accordingly, at the end of the
    one-year wind up period, the Commission was terminated and ceased all activities on June
    30, 1998. See 
    Tenn. Code Ann. §§ 4
    -3L-101, et seq.; 4-29-112; Acts of 1993, ch. 391, §
    2.
    On April 3, 1998, the Commission awarded a race meeting license to Plaintiff for a
    term that “begins on April 3, 1998, and expires at midnight December 31, 2000, or upon
    the Tennessee State Racing Commission going out of existence, whichever occurs first.”
    With the termination of the Commission on June 30, 1998, Plaintiff’s race meeting license
    also terminated.
    Under the chancellor’s ruling, the Plaintiff and all other persons may engage in the
    business of pari-mutuel wagering on horse racing, without regulation, in Memphis and
    throughout the State. The Act provides that only one license shall be issued in each Grand
    Division, but the chancellor held that a license is not necessary, since the issuing authority
    is no longer in existence; hence, any number of persons may lawfully engage in this
    business in all three grand divisions.
    We address the first issue which raises the threshold question as to whether the
    chancery court of Shelby County had jurisdiction to declare Plaintiff’s proposed conduct
    legal, and to enjoin a threatened criminal prosecution. As previously stated, the chancellor
    found that he had jurisdiction on the sole ground that it was granted to the chancery court
    of Shelby County pursuant to the enactment of 
    42 U.S.C. § 1983
    . That federal statute
    provides:
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    Every person, who, under color of any statute, ordinance,
    regulation, custom, or usage, of any State or Territory or the
    District of Columbia, subjects, or causes to be subjected, any
    citizen of the United States or other person within the
    jurisdiction thereof to the deprivation of any rights, privileges,
    or immunities secured by the Constitution and laws, shall be
    liable to the party injured in an action at law, suit in equity, or
    other proper proceeding for redress. For the purposes of this
    section, any Act of Congress applicable exclusively to the
    District of Columbia shall be considered to be a statute of the
    District of Columbia.
    In his decree, the Chancellor stated:
    Section 1983 clearly by its language gives this Court, a court
    of equity, jurisdiction to adjudicate this action as construed by
    the Plaintiff. By bringing the action under Section 1983, the
    Plaintiffs have successfully bypassed the Defendants [sic]
    jurisdictional argument. Congress clearly intended for Courts
    such as this to have jurisdiction over such actions as the one
    brought by this Plaintiff.
    By the enactment of § 1983, Congress did not intend nor attempt to tamper with or
    alter jurisdiction of state courts, and it is our opinion that federalism would have prevented
    it from doing so. Article 3 of the United States Constitution authorizes Congress to
    establish and define the jurisdiction of federal courts; but nowhere in the United States
    Constitution is the power granted to Congress to establish or define jurisdiction of state
    courts. This power was retained by the states. The fundamental principle of “federalism”
    is succinctly stated by Mr. Justice Black, speaking for the United States Supreme Court in
    Afroyim v. Rusk, 
    387 U.S. 253
    , 
    87 S. Ct. 1660
    , 
    18 L. Ed. 2d 757
     (1967):
    Our Constitution governs us and we must never forget that our
    Constitution limits the [United States] Government to those
    powers specifically granted or those that are necessary and
    proper to carry out the specifically granted ones.
    The United States Supreme Court, dealing with questions of equitable jurisdiction
    of federal Courts, has recognized that 
    42 U.S.C. § 1983
     did not attempt to bestow equity
    jurisdiction even in federal courts, when equity jurisdiction did not previously exist. It was
    so held in Giles v. Harris, 
    189 U.S. 475
    , 
    23 S. Ct. 639
    , 
    47 L. Ed. 909
    , 912 (1903). Giles
    v. Harris was followed with approval by the U.S. Supreme Court in Rizzo v. Goode, 
    423 U.S. 362
    , 378-79, 
    96 S. Ct. 598
    , 607-08, 
    42 L. Ed. 2d 561
     (1976) when the Court stated:
    5
    “Section 1983 by its terms confers authority to grant equitable
    relief as well as damages, but its words “allow a suit in equity
    only when that is the proper proceeding for redress, and they
    refer to existing standards to determine what is proper
    proceeding.”
    In arguing this jurisdictional question, the Plaintiffs have cited Babbitt v. United Farm
    Workers National Union, 
    442 U.S. 286
    , 
    99 S. Ct. 2301
    , 
    60 L. Ed. 2d 895
     (1979), and
    Steffel v. Thompson, 
    415 U.S. 452
    , 
    94 S. Ct. 1209
    , 
    39 L. Ed. 2d 505
     (1974). These cases,
    like Giles and Rizzo, deal only with jurisdiction of federal courts and have no bearing on
    the question of jurisdiction of Tennessee equity courts. There are no cases holding that
    Congress has power to fix jurisdiction of state courts; and, as stated, there is no language
    in § 1983 indicating an attempt to do so.
    For the foregoing reasons, we hold that 
    42 U.S.C. § 1983
     did not bestow jurisdiction
    in Tennessee courts of equity to enjoin threatened criminal proceedings and that the
    jurisdiction of chancery courts in this regard remains as fixed by existing state law. It is a
    well-established rule of equity jurisprudence that courts of equity have no jurisdiction to
    enjoin the enforcement of state criminal laws. In accordance with this rule, the Tennessee
    Supreme Court has consistently held that the chancery courts of this state have no
    jurisdiction, inherent or statutory, to enjoin threatened criminal prosecutions, particularly
    as the defense of such prosecution provides an adequate remedy. This proposition is
    discussed at length in Kelly v. Conner, 
    122 Tenn. 339
    , 391, 396-97,
    123 S.W. 622
    , 635,
    636-37 (1909) wherein the court stated:
    Courts of equity are not constituted to deal with crime and
    criminal proceedings. If the law be held valid, they cannot
    punish the complainant for the offenses committed, or
    compensate those injured by his wrongful action while the
    hands of the officers of the law are stayed by injunction. The
    exercise of the jurisdiction contended for would greatly confuse
    and embarrass the enforcement of the police power, and, upon
    sound principles of public policy, it ought not to be favored.
    ***
    We are further of the opinion that courts of equity have no
    jurisdiction to enjoin threatened criminal proceedings under a
    statute enacted by a State in the exercise of the police power
    in relation to which the legislature has complete jurisdiction,
    although it be charged that the statute is invalid and that a
    multiplicity of actions thereunder will injure and destroy civil
    6
    and property rights of the complainants, and that the damages
    resulting will be irreparable, when the complainants’ defense
    thereto, in a court having jurisdiction of the offense, is
    adequate and unembarrassed; and we hold that the chancery
    courts of Tennessee, neither under their inherent nor statutory
    jurisdiction, have any such power or jurisdiction, whatever may
    be the exceptions to the general rule in the courts of equity of
    other jurisdictions.
    ***
    The rule which prevents a court of chancery from interfering
    with the administration of the criminal laws of this State is a
    wise one, founded upon sound principles of public policy, and,
    if we had the power to do so, we fear that changing it would
    result in much confusion and embarrassment in preserving
    peace and order, and enforcing the police power of the State
    generally, which would outweigh the good that would follow an
    immediate decision of this case upon the merits. The injury to
    the general public, which would ultimately result from the
    exercise of this jurisdiction, would be greater than that to
    individuals when left to their remedies in courts of law.
    The rule has been recognized and followed as late as 1996, when the Court of
    Appeals held in State v. First Trust Money Services, Inc., 
    931 S.W.2d 226
    , 229 (Tenn. Ct.
    App. 1996), without discussion, that a counterclaim brought pursuant to 
    42 U.S.C. § 1983
    did not bestow jurisdiction on courts of equity in this state to enjoin enforcement of state
    criminal laws. See also Spoone v. Mayor & Aldermen of Morristown, 
    185 Tenn. 454
    , 
    206 S.W.2d 422
     (1947); Windrow v. Stephens, 
    20 Tenn. App. 647
    , 
    103 S.W.2d 584
    , 586
    (1937); Brackner v. Estes, 
    698 S.W.2d 637
    , 639 (Tenn. Ct. App. 1985).
    The Plaintiffs point out that Tennessee courts have, in some instances, recognized
    the jurisdiction of the chancery courts to issue injunctions “where property rights are
    affected,” citing Brackner v. Estes, 
    698 S.W.2d 637
     (Tenn. Ct. App. 1985), and Earhart v.
    Young, 
    174 Tenn. 198
    , 
    124 S.W.2d 693
     (Tenn. 1939). In the Brackner case, the Court of
    Appeals recognized that the so called “property rights exception” is that a “Plaintiff had a
    legitimate right to bring a possessory action to determine who should have lawful
    possession” of tangible property. In the case before us, possession of property is not
    involved.
    Article VI, Section 8 of the Tennessee Constitution provides “the jurisdiction of the
    7
    circuit, chancery and other inferior courts, shall be as now established by law, until
    changed by the legislature.” Pursuant to this constitutional provision, the Tennessee
    General Assembly has vested exclusive and original jurisdiction of all criminal matters in
    the circuit and criminal courts of this state. 
    Tenn. Code Ann. §§ 16-10-102
    ; 40-1-107 to
    108. Only the General Assembly of Tennessee can increase or diminish the jurisdictions
    of the circuit, chancery and other inferior courts of this state. Moore v. Love, 
    171 Tenn. 682
    , 
    107 S.W.2d 982
    , 984 (1937).
    A district attorney general is answerable to no superior and has virtually unbridled
    discretion in determining to prosecute and for what offense. No court may interfere with
    the discretion of a district attorney general to prosecute, and, in the formulation of this
    decision, he or she is answerable to no one. See Dearborne v. State, 
    575 S.W.2d 259
    ,
    262 (Tenn. 1978). The general assembly cannot enact laws which impede the inherent
    discretion and responsibility of the office of district attorney general without violating Article
    VI, Section 5, of the Tennessee Constitution. State v. Superior Oil, Inc., 
    875 S.W.2d 658
    ,
    66 (Tenn. 1994), quoting State v. Taylor, 
    693 S.W.2d 757
    , 760 (Tenn. Crim. App. 1983).
    It results that the first issue is sustained. This issue being dispositive of the case,
    the other issues are pretermitted. The judgment of the trial court is reversed, the case is
    dismissed, and the injunction is dissolved. The Plaintiffs will pay the costs.
    -----------------------------------------------------------
    F. LLOYD TATUM, SENIOR JUDGE
    CONCUR:
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    ALAN E. HIGHERS, JUDGE
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    DAVID R. FARMER, JUDGE
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