City of Floresville, Texas, City of Floresville City Council, City of Floresville City Planning and Zoning Committee, and the Wilson County Appraisal District v. Starnes Investment Group, LLC ( 2016 )


Menu:
  •                                 Fourth Court of Appeals
    San Antonio, Texas
    OPINION
    No. 04-16-00038-CV
    CITY OF FLORESVILLE, Texas, City of Floresville City Council, City of Floresville City
    Planning and Zoning Committee, and the Wilson County Appraisal District,
    Appellants
    v.
    STARNES INVESTMENT GROUP, LLC,
    Appellee
    From the 81st Judicial District Court, Wilson County, Texas
    Trial Court No. 15-06-0367-CVW
    Honorable Donna S. Rayes, Judge Presiding
    Opinion by:       Sandee Bryan Marion, Chief Justice
    Sitting:          Sandee Bryan Marion, Chief Justice
    Marialyn Barnard, Justice
    Jason Pulliam, Justice
    Delivered and Filed: September 28, 2016
    REVERSED AND RENDERED
    This is an accelerated appeal from the trial court’s denial of a plea to the jurisdiction filed
    by the City of Floresville, Texas; City of Floresville City Council; City of Floresville City Planning
    and Zoning Committee; and the Wilson County Appraisal District (collectively, the “appellants”).
    We reverse the trial court’s order denying appellants’ plea to the jurisdiction and render a dismissal
    with prejudice of appellee’s claims against appellants.
    04-16-00038-CV
    BACKGROUND
    The facts in the underlying lawsuit are for the most part undisputed. In 2010, the City of
    Floresville (“the City”) began to update and digitize its municipal city limits map. In 2011, Starnes
    Investment Group, LLC (“Starnes”) began looking at property to develop as a commercial
    recreational vehicle park. In December 2011, Starnes began a feasibility study on property located
    in Wilson County. Starnes met with Wilson County and City officials, and was informed that the
    property was partially inside and partially outside the City, and entirely inside Wilson County.
    In Spring 2012, the City’s Code Compliance and Permitting Officer told Starnes that she
    saw no problem with approval of its proposed RV park so long as it complied with the City’s
    Recreational Vehicle Development Ordinance. Starnes purchased the property and, on March 29,
    2012, filed its zoning application with the City. On June 14, 2012, the City’s attorney told Starnes
    the property was entirely outside the City limits; therefore, the City’s zoning requirements were
    inapplicable. The City’s attorney also told Starnes that approval by Wilson County was still
    required, and, on October 12, 2012, the Wilson County Commissioner’s Court approved the
    project.
    In 2013, the City completed its new map, which showed Starnes’s property to be partially
    inside and partially outside the City’s limits. On April 12, 2013, the City’s attorney informed
    Starnes’s attorney about the property’s location within City limits, and that City zoning approval
    was now required. On September 12, 2013, the City approved Starnes’s zoning application, and
    the property was then connected to City water and sewage services.
    On June 26, 2015, Starnes sued the appellants alleging: (1) a takings claim under the Texas
    Constitution, (2) due process and equal protection violations, (3) violation of the Texas Vested
    Property Rights Act, (4) tortious interference with prospective business relations, (5) negligence
    under the Texas Tort Claims Act, and (6) civil conspiracy. Starnes also sought a declaratory
    -2-
    04-16-00038-CV
    judgment as to its rights under Texas statutes and relevant City and Wilson County ordinances and
    regulations. The premise of Starnes’s lawsuit is that it was harmed by the City’s delay in approving
    its zoning application and delay in providing water and sewage from March 29, 2012 until
    September 12, 2013.
    On July 27, 2015, the appellants filed a “Plea to the Jurisdiction, Special Exceptions, and
    General Denial.” About five months later, the trial court conducted a hearing on the plea to the
    jurisdiction and special exceptions. At the end of the hearing, the trial court orally rendered its
    decision granting the special exceptions and allowing Starnes to re-plead no later than December
    30, 2015. The trial court set a hearing for January 5, 2016 to sign the order.
    On December 30, 2015, Starnes filed an amended petition alleging three causes of action:
    (1) a takings/inverse condemnation claim under the Texas Constitution, (2) due process and equal
    protection violations, and (3) violations of the Texas Vested Property Rights Act. Starnes did not
    request declaratory or injunctive relief in its amended petition. On January 5, 2016, the trial court
    signed an “Order on Plea to Jurisdiction and Special Exceptions” in which the trial court denied
    the plea and granted the special exceptions. Appellants filed this appeal arguing Starnes’s
    amended petition failed to allege a claim for which appellants’ governmental immunity has been
    waived and, therefore, the trial court lacked jurisdiction to hear the claims asserted by Starnes.
    COMPLAINTS RAISED FOR FIRST TIME ON APPEAL
    Before considering the merits of appellants’ arguments on appeal, we first consider whether
    appellants may challenge Starnes’s amended petition. Starnes argues the invited error doctrine
    precludes appellants from complaining that the trial court allowed Starnes to re-plead rather than
    granting appellants’ plea to the jurisdiction. Starnes contends appellants asked for and received
    the very relief they sought—that the trial court sustain their special exceptions. According to
    Starnes, because appellants’ special exceptions were sustained and because appellants never filed
    -3-
    04-16-00038-CV
    a pleading challenging Starnes’s amended petition, appellants’ complaints on appeal about the
    amended petition are barred.
    Appellants contend on appeal that Starnes’s amended petition was the live pleading before
    the trial court “when the trial court entered its Order granting Appellants’ special exceptions, but
    denying the Plea on January 5, 2016.” Appellants contend this left the amended petition “as the
    live pleading to which the plea to jurisdiction necessarily attached.” However, the trial court’s
    ruling denying the plea to the jurisdiction and sustaining the special exceptions was rendered on
    December 7, almost one month before the amended petition was filed. And, it is clear from the
    express language of the written order that the trial court did not consider the amended petition
    when it denied appellants’ plea to the jurisdiction. However, this does not end the inquiry into
    whether appellants may challenge on appeal an amended petition that was not before the trial court
    when the trial court denied appellants’ plea to the jurisdiction.
    Sovereign immunity deprives courts of subject-matter jurisdiction. Rusk State Hosp. v.
    Black, 
    392 S.W.3d 88
    , 95 (Tex. 2012). If immunity is first asserted on interlocutory appeal, an
    appellate court is not precluded “from having to consider the issue at the outset in order to
    determine whether it has jurisdiction to address the merits.” 
    Id. “Under Rusk,
    an appellate court
    must consider all of a defendant’s immunity arguments, whether the governmental entity raised
    other jurisdictional arguments in the trial court or none at all.” Dallas Metrocare Servs. v. Juarez,
    
    420 S.W.3d 39
    , 41 (Tex. 2013); see also Clint Indep. Sch. Dist. v. Marquez, No. 14-0903, 
    2016 WL 1268000
    , at *14 (Tex. Apr. 1, 2016) (“Subject-matter jurisdiction cannot be created by waiver,
    and parties may raise challenges to subject-matter jurisdiction for the first time on appeal.”).
    Therefore, although none of appellants’ complaints about Starnes’s amended petition were before
    the trial court when the trial court denied appellants’ plea to the jurisdiction, “we must consider all
    -4-
    04-16-00038-CV
    of [appellants’] immunity arguments” for the first time in this appeal. 1 Dallas Metrocare 
    Servs., 420 S.W.3d at 41
    .
    PLEA TO THE JURISDICTION
    In a single issue on appeal, appellants assert that, despite being afforded the opportunity to
    re-plead and cure jurisdictional defects, Starnes’s amended petition fails to allege a claim for which
    appellants’ governmental immunity has been waived. Therefore, appellants argue the trial court
    erred in denying their plea to the jurisdiction.
    A. Standard of Review
    Whether a court has subject-matter jurisdiction over a case is a question of law, which we
    review de novo. Texas Dep’t of Parks & Wildlife v. Miranda, 
    133 S.W.3d 217
    , 226 (Tex. 2004).
    There are two general categories of pleas to the jurisdiction: (1) those that challenge only the
    pleadings, and (2) those that present evidence to challenge the existence of jurisdictional facts. 
    Id. at 226-27.
    When, as here, a plea to the jurisdiction challenges only the pleadings, we determine
    whether the pleader has alleged facts that affirmatively demonstrate the court’s jurisdiction to hear
    the case. 
    Id. at 226.
    Our de novo review of such challenges looks to the pleader’s intent and
    construes the pleadings in its favor. 
    Id. If the
    pleadings lack sufficient facts to affirmatively
    demonstrate the trial court’s jurisdiction but do not affirmatively demonstrate incurable defects in
    jurisdiction, the issue is one of pleading sufficiency, and the plaintiff should generally be given an
    opportunity to amend. 
    Id. at 226-27.
    1
    Following oral arguments in this appeal, this court allowed both parties to file post-submission briefs addressing
    whether we could review the appellants’ jurisdictional challenges to the amended petition. In its post-submission
    brief, Starnes recognized this court could do so.
    -5-
    04-16-00038-CV
    B. Takings/Inverse Condemnation Claim
    In its amended petition, Starnes asserted the City’s wrongful delay in approving its zoning
    application and delay in providing water and sewage services constituted a taking and deprived it
    of its reasonable investment backed expectations.         Starnes contended it was denied all
    economically beneficial or productive use of its property from March 29, 2012—when the City
    zoning applications were originally filed—until September 12, 2013—when the applications were
    approved.
    There is a clear and unambiguous limited waiver of immunity for valid claims under article
    I, section 17 of the Texas Constitution, the “takings clause,” which provides that “[n]o person’s
    property shall be taken, damaged or destroyed for or applied to public use without adequate
    compensation being made . . . .” TEX. CONST. art. I, § 17(a). If the government appropriates
    property without paying adequate compensation, the owner may bring an inverse condemnation
    claim to recover the resulting damages. Westgate, Ltd. v. State, 
    843 S.W.2d 448
    , 452 (Tex. 1992).
    An inverse condemnation may occur when the government physically appropriates or invades the
    property, or when it unreasonably interferes with the landowner’s right to use and enjoy the
    property, such as by restricting access or denying a permit for development. 
    Id. To plead
    a valid inverse condemnation claim and establish waiver of immunity under the
    takings clause, a plaintiff must allege that the governmental entity (1) intentionally performed
    certain acts in the exercise of its lawful authority (2) that resulted in taking, damaging, or
    destroying the plaintiff’s property (3) for public use. Gen. Servs. Comm’n v. Little-Tex Insulation
    Co., 
    39 S.W.3d 591
    , 598 (Tex. 2001); City of San Antonio v. Alamo Aircraft Supply, Inc., 
    448 S.W.3d 507
    , 511 (Tex. App.—San Antonio 2014, no pet.). A governmental entity does not have
    immunity from a valid takings claim. Little-Tex Insulation 
    Co., 39 S.W.3d at 598
    . If, however,
    -6-
    04-16-00038-CV
    the plaintiff fails to allege a valid takings claim, the governmental entity retains its immunity from
    suit. 
    Id. “Whether particular
    facts are enough to constitute a taking is a question of law.” 
    Id. In a
    takings case, “the requisite intent is present when a governmental entity knows that a
    specific act is causing identifiable harm or knows that the harm is substantially certain to result.”
    Tarrant Reg’l Water Dist. v. Gragg, 
    151 S.W.3d 546
    , 555 (Tex. 2004). It is not enough that the
    act causing the harm be intentional—there must also be knowledge to a substantial certainty that
    the harm will occur. City of Dallas v. Jennings, 
    142 S.W.3d 310
    , 313-14 (Tex. 2004). A taking
    cannot rest on the mere negligence of the government. City of Tyler v. Likes, 
    962 S.W.2d 489
    , 505
    (Tex. 1997).
    In Jennings, the Texas Supreme Court further explained the type of intent that must be
    shown in order to establish the first element of an inverse-condemnation claim. The court held it
    is not enough to show merely that the governmental entity intended to perform the act that resulted
    in the taking or the damage, because such a standard would hold the governmental entity to a
    stricter standard of liability than a private person engaging in the same 
    acts. 142 S.W.3d at 313
    .
    Moreover, “[w]hen damage is merely the accidental result of the government’s intentional act,
    there is no public benefit and the property cannot be said to have been taken or damaged for public
    use.” 
    Id. (quoting Texas
    Highway Dep’t v. Weber, 
    147 Tex. 628
    , 
    219 S.W.2d 70
    , 71 (1949)).
    Starnes’s amended petition alleged the following: (1) the City began a project in 2010 to
    update its municipal city limits map; (2) on June 14, 2012—before the mapping project was
    complete—the City told Starnes its property was partially inside and partially outside the City
    limits; (3) on March 29, 2012—again, before the mapping project was complete—the City’s
    attorney told Starnes its property was entirely outside the City limits and, therefore, the City’s
    zoning ordinances did not apply; (4) in 2013, the City completed its mapping project; and (5) on
    April 12, 2013, the City’s attorney told Starnes that its property was partially inside and partially
    -7-
    04-16-00038-CV
    outside the City limits and, therefore, the City’s zoning approval was required. There is no dispute
    that the information intentionally provided by the City’s attorney in March 2012 was incorrect.
    However, Starnes’s amended petition alleges no facts that the information was the result of
    anything more than either a mistake or negligence on the City attorney’s part. Starnes alleges no
    facts that the City knew to a substantial certainty that harm would occur as a result of the delay in
    its mapping project or the incorrect information it provided while the mapping project was on-
    going. See Sheffield Dev. Co. v. City of Glenn Heights, 
    140 S.W.3d 660
    , 680 (Tex. 2004) (“Nor
    does the record show how Sheffield’s reasonable, investment-backed expectations excluded the
    possibility of a fifteen-month delay in a decision on its development plans. No other aspects of
    the moratorium [on development] make it more like a temporary taking—that is, an unreasonable
    prohibition in the use of property for a defined period—than a mere delay in decision.”). As a
    result, “there is no public benefit and the property cannot be said to have been taken or damaged
    for public use.” 
    Jennings, 142 S.W.3d at 313
    . Because Starnes alleged no facts, in its amended
    petition, showing an intentional taking, the trial court erred in denying appellants’ plea to the
    jurisdiction on Starnes’s takings/inverse condemnation claim.
    C. Due Process and Equal Protection Claims
    Starnes’s amended petition alleged appellants deprived it of its interests and business
    expectations in the property, thereby violating its rights of due process under the law. No factual
    allegations were asserted to support this allegation. Presumably, Starnes is alleging the appellants
    violated its due process rights by giving it incorrect information regarding whether its property
    was located inside or outside the City limits and the delay of the approval of its zoning application
    because of the incorrect information.
    To state a valid due process or due course of law claim, a plaintiff must first allege the
    existence of a protected right. NCAA v. Yeo, 
    171 S.W.3d 863
    , 867 (Tex. 2005). If the plaintiff has
    -8-
    04-16-00038-CV
    a protected right, the court must determine what amount of process is due. Univ. of Tex. Med. Sch.
    v. Than, 
    901 S.W.2d 926
    , 930 (Tex. 1995). To have a property interest in a governmental benefit,
    a person must have more than a unilateral expectation of that benefit. Bd. of Regents v. Roth, 
    408 U.S. 564
    , 577 (1972); Smith v. Travis Cty. Bail Bond Bd., 
    559 S.W.2d 693
    , 694 (Tex. Civ. App.—
    Austin 1977, no writ) (holding plaintiff had no property interest in expired license); see also
    Shrieve v. Tex. Parks & Wildlife Dep’t, No. 03-04-00640-CV, 
    2005 WL 1034086
    , at *5-6 (Tex.
    App.—Austin May 5, 2005, no pet.) (mem. op.) (holding that Shrieve’s expectation of a permit
    was not a protected property interest). Instead, the plaintiff must have a legitimate claim of
    entitlement to the benefit. See 
    Smith, 559 S.W.2d at 694
    .
    Starnes’s zoning application merely sought a governmental benefit to which it was not
    already entitled. As such, Starnes only had an expectation of the governmental benefit, and its
    expectation is not a protected property right. 
    Smith, 559 S.W.2d at 694
    ; Shrieve, 
    2005 WL 1034086
    , at *5-6. This is not a case where a zoning application had been approved or a permit
    had been granted but was later taken away by the governmental entity without cause. See, e.g.,
    House of Tobacco, Inc. v. Calvert, 
    394 S.W.2d 654
    , 657 (Tex. 1965) (holding that, although license
    to wholesale cigarettes was a privilege that did not have to be granted, once granted, it could not
    be taken away except for good cause; therefore, wholesaler was entitled to due process).
    Accordingly, Starnes has failed to demonstrate that sovereign immunity is waived for its due
    process and due course of law claims. Thus, the trial court erred in denying appellants’ plea to the
    jurisdiction on Starnes’s due process claim.
    Under its equal protection claim, Starnes contended properties in the vicinity of its property
    have been put to the same or similar use, and Starnes was treated differently from those whose
    situations “are directly comparable in all material respects.” Starnes argued that appellants’
    -9-
    04-16-00038-CV
    preventing it from developing its property while allowing other properties in the vicinity to be put
    to the same or similar use constituted a denial of equal protection.
    Similar to the federal constitution, “the equal protection clause of the state constitution
    directs governmental actors to treat all similarly situated persons alike.” City of Houston v.
    Johnson, 
    353 S.W.3d 499
    , 503 (Tex. App.—Houston [14th Dist.] 2011, pet. denied); see City of
    Cleburne v. Cleburne Living Ctr., 
    473 U.S. 432
    , 439-40 (1985) (discussing federal constitution’s
    equal protection clause). To assert an equal protection claim, the deprived party must establish
    two elements: (1) that it was treated differently than other similarly-situated parties; and (2) it was
    treated differently without a reasonable basis. Mayhew v. Town of Sunnyvale, 
    964 S.W.2d 922
    ,
    939 (Tex. 1998). The purpose of the equal protection clause is to secure persons against intentional
    and arbitrary discrimination. City of Dallas v. Jones, 
    331 S.W.3d 781
    , 787 (Tex. App.—Dallas
    2010, pet. dism’d); Leonard v. Abbott, 
    171 S.W.3d 451
    , 458 (Tex. App.—Austin 2005, pet.
    denied). However, a plaintiff must allege it is being treated differently from those whose situation
    is directly comparable in all material respects. City of 
    Dallas, 331 S.W.3d at 787
    .
    Other than a conclusory statement that it was treated differently from others similarly-
    situated, Starnes failed to allege, in its amended petition, any facts describing the parties similarly
    situated or the nature of the different treatment. Therefore, the trial court erred in denying
    appellants’ plea to the jurisdiction on Starnes’s equal protection claim.
    D. Texas Vested Property Rights Act
    In its amended petition, Starnes alleged appellants’ “acts, omissions and conduct” violated
    Texas Local Government Code chapter 245. Starnes’s petition does not indicate which section of
    chapter 245 was allegedly violated, but we assume it refers to section 245.002, which provides as
    follows:
    - 10 -
    04-16-00038-CV
    (a)     Each regulatory agency shall consider the approval, disapproval, or
    conditional approval of an application for a permit solely on the basis of any orders,
    regulations, ordinances, rules, expiration dates, or other properly adopted
    requirements in effect at the time: (1) the original application for the permit is filed
    for review for any purpose, including review for administrative completeness; or
    (2) a plan for development of real property or plat application is filed with a
    regulatory agency.
    (a-1) Rights to which a permit applicant is entitled under this chapter accrue on
    the filing of an original application or plan for development or plat application that
    gives the regulatory agency fair notice of the project and the nature of the permit
    sought. An application or plan is considered filed on the date the applicant delivers
    the application or plan to the regulatory agency or deposits the application or plan
    with the United States Postal Service by certified mail addressed to the regulatory
    agency. A certified mail receipt obtained by the applicant at the time of deposit is
    prima facie evidence of the date the application or plan was deposited with the
    United States Postal Service.
    TEX. LOC. GOV’T CODE ANN. § 245.002(a), (a-1) (West 2005).
    Generally, the right to develop property is subject to intervening regulatory changes. Quick
    v. City of Austin, 
    7 S.W.3d 109
    , 124 (Tex. 1998). Section 245.002(a) creates a narrow exception
    to this rule by ensuring that if, after receiving a development application or plan, a regulatory
    agency changes its land-use regulations, the agency cannot enforce such regulatory change to the
    detriment of the applicant. See TEX. LOC. GOV’T CODE § 245.002(a); Shumaker Enters., Inc. v.
    City of Austin, 
    325 S.W.3d 812
    , 814 (Tex. App.—Austin 2010, no pet.). “Chapter 245 of the
    [Texas Local Government] Code recognizes a developer’s vested rights and requires a regulatory
    agency to consider approval or disapproval of an application for a permit . . . based on regulations
    and ordinances in effect at the time the original application is filed.” Milestone Potranco Dev.,
    Ltd. v. City of San Antonio, 
    298 S.W.3d 242
    , 248 (Tex. App.—San Antonio 2009, pet. denied).
    Section 245.002(a-1) clarifies that an applicant’s rights under section 254.002 accrue as of the
    filing “that gives the regulatory agency fair notice of the project and the nature of the permit
    sought.” Shumaker 
    Enters., 325 S.W.3d at 815
    ; see TEX. LOC. GOV’T CODE § 245.002(a-1).
    - 11 -
    04-16-00038-CV
    Starnes did not assert any factual allegations, in its amended petition, to support its
    contention that section 245.002 was violated. Presumably, Starnes is alleging the appellants gave
    it incorrect information regarding the location of its property and thus delayed approval of its
    zoning application filed with the City. But Starnes does not point to any change in the City’s
    existing “orders, regulations, ordinances, rules, expiration dates, or other properly adopted
    requirements” that occurred after Starnes filed its zoning application with the City in 2012. Nor
    did Starnes point to any regulatory change the City attempted to enforce after Starnes filed its 2012
    zoning application.
    “The effect of vested rights under Chapter 245 of the Local Government Code is to ‘freeze’
    the land use regulations as they existed at the time the first permit application was filed through
    completion of the ‘project;’ in other words, a project with vested rights is not subject to intervening
    regulations or changes after the vesting date.” City of San Antonio v. Rogers Shavano Ranch, Ltd.,
    
    383 S.W.3d 234
    , 245 (Tex. App.—San Antonio 2012, pet. denied). Here, Starnes’s application
    was approved by the City. Starnes does not argue the City’s zoning laws in effect in March 2012
    should be frozen and applied to it in September 2013. Thus, Starnes’s allegations do not trigger
    application of chapter 245. See Save Our Springs All. v. City of Austin, 
    149 S.W.3d 674
    , 682 (Tex.
    App.—Austin 2004, no pet.) (“Stratus and the City are not seeking to apply pre-Ordinance
    development regulations to requested permits, a situation that would trigger the statutory
    requirements and exceptions of chapter 245.”).
    Also, in its petition, Starnes requested compensatory damages pursuant to Chapter 245,
    presumably for the delay in approving its application. Starnes did not request declaratory or
    injunctive relief. Chapter 245 “may be enforced only through mandamus or declaratory or
    injunctive relief.” TEX. LOC. GOV’T CODE § 245.006.
    - 12 -
    04-16-00038-CV
    For these reasons, we conclude the trial court erred in denying appellants’ plea to the
    jurisdiction on Starnes’ Local Government Code chapter 245 claim.
    RENDER OR REMAND TO ALLOW RE-PLEADING
    For the reasons stated above, we hold the trial court erred in denying appellants’ plea to
    the jurisdiction. Ordinarily, this holding would require us to dismiss Starnes’s claims for lack of
    jurisdiction.     However, appellate courts generally must remand a case to afford parties an
    opportunity to cure jurisdictional defects in their pleadings when the parties did not have that
    opportunity in the first instance because the jurisdictional issue arose for the first time on appeal. 2
    See 
    Rusk, 392 S.W.3d at 96-97
    ; 
    Miranda, 133 S.W.3d at 231
    . Here, however, the appellants did
    not raise their governmental immunity argument for the first time on appeal. Starnes had the
    opportunity to, and did in fact, amend its pleadings in the trial court after the appellants filed their
    special exceptions and a plea to the jurisdiction requesting dismissal of Starnes’s suit. See
    
    Miranda, 133 S.W.3d at 231
    (observing that parties had an opportunity to amend their pleadings
    and did so and were not entitled to another opportunity to replead).
    The right to amend typically arises when the pleadings fail to allege enough jurisdictional
    facts to demonstrate the trial court’s jurisdiction. Tex. Dep’t of Transp. v. Ramirez, 
    74 S.W.3d 864
    , 867 (Tex. 2002) (“A plaintiff has a right to amend her pleadings to attempt to cure pleading
    defects if she has not alleged enough jurisdictional facts.”). “If a plaintiff has been provided a
    reasonable opportunity to amend after a governmental entity files its plea to the jurisdiction, and
    the plaintiff’s amended pleading still does not allege facts that would constitute a waiver of
    immunity, then the trial court should dismiss the plaintiff’s action.” Harris Cty. v. Sykes, 136
    2
    In its post-submission brief, Starnes asserted we should remand the cause to the trial court to allow it an opportunity
    to re-plead a second time.
    - 13 -
    04-16-00038-CV
    S.W.3d 635, 639 (Tex. 2004). “Such a dismissal is with prejudice because a plaintiff should not
    be permitted to relitigate jurisdiction once that issue has been finally determined.” 
    Id. In Sykes,
    one of the issues before the Texas Supreme Court was whether “a dismissal
    [pursuant to a plea to the jurisdiction] is with prejudice because it fully and finally adjudicates
    whether the claims that were asserted, or that could have been asserted, come within the Texas
    Tort Claims Act’s waiver of sovereign immunity.” 
    Id. at 637.
    Before dismissing the case, the trial
    court allowed Sykes to file an amended petition, after which the trial court made a final
    adjudication that the Legislature had not waived governmental immunity under the Texas Tort
    Claims Act with respect to any claim Sykes brought against Harris County.                
    Id. at 639.
    Accordingly, the Texas Supreme Court determined Sykes “[was] foreclosed from relitigating
    whether the Texas Tort Claims Act waive[d] immunity in this case.” 
    Id. at 639-40.
    The supreme
    court modified the court of appeals’ judgment to dismiss Sykes’s claims against Harris County
    with prejudice. 
    Id. at 640.
    Here, as in Sykes, Starnes was given an opportunity to amend its original petition after the
    trial court sustained appellants’ special exceptions.       Despite amending its takings/inverse
    condemnation claim, Starnes alleged facts that showed only accident or negligence on the part of
    the appellants. Starnes did not allege any facts that the appellants possessed the knowledge
    required to establish an intentional taking. In its amended petition, Starnes did not allege any facts
    to support its due process claim. And, any claim based on the delay in providing zoning approval
    and water and sewage services was based on an expectation of a governmental benefit, and not a
    protected property right. Starnes’s equal protection claim was equally deficient despite being
    afforded an opportunity to amend because Starnes failed to allege any facts supporting this claim
    other than its conclusory statement that it was treated differently from others similarly situated.
    Finally, Starnes requested only compensatory damages under the Texas Vested Property Rights
    - 14 -
    04-16-00038-CV
    Act and, despite being afforded an opportunity to amend, it alleged no facts that would trigger
    application of the Act. We also note that, again despite being afforded an opportunity to amend,
    Starnes’s amended petition alleged no wrongful acts on the part of the City of Floresville City
    Council; City of Floresville City Planning and Zoning Committee; and the Wilson County
    Appraisal District.
    For these reasons, we conclude Starnes had a fair opportunity to allege facts tending to
    demonstrate the trial court had jurisdiction to hear the case. Therefore, we must conclude that if
    the case was remanded Starnes would not be able to show jurisdiction.
    CONCLUSION
    We reverse the trial court’s order denying appellants’ plea to the jurisdiction and render
    judgment dismissing Starnes’s claims against appellants with prejudice.
    Sandee Bryan Marion, Chief Justice
    - 15 -