DocketNumber: Docket Nos. 70188, 70189. (Calendar No. 6)
Citation Numbers: 365 N.W.2d 74, 421 Mich. 93
Judges: Boyle, Brickley, Cavanagh, Kavanagh, Levin, Ryan, Williams
Filed Date: 1/29/1985
Status: Precedential
Modified Date: 10/19/2024
I. Introduction
The narrow issue to be decided in this case is whether the Legislature intended to preclude the Department of Corrections from denying certain classes of offenders, "drug traffickers” in this case, eligibility for placement in community residence programs. We hold that the plain language of the statute does not preclude a construction that the Department of Corrections is authorized to define eligibility for community placement by category, in addition to the two categories for which the Legislature has explicitly defined eligibility. The legislative history of the statute also indicates that the Legislature intended to vest the department with broad discretion in deciding which offenders should be eligible for placement. In addition, the Legislature has acquiesced in the department’s long-standing policy of excluding drug traffickers from eligibility. Lastly, our duty to avoid unreasonable constructions of the statute, in light of the large number of offenders seeking access to the program, supports our finding that the Legislature did not intend to preclude the department from denying the class of drug traffickers eligibility for community placement. We reverse the decision of the Court of Appeals and remand the case to the Court of Appeals for consideration of questions raised but not decided there.
Before discussing the specific claims of the offenders challenging the Department of Correction’s eligibility rule, we shall describe the evolution of the department’s community residence program and the statutory and administrative rules which govern its implementation.
The Department of Corrections began placing offenders who did not pose an unreasonable risk to the public in their home communities prior to parole as early as 1963. The goal of such placement was, and continues to be, to ease an offender’s transition from incarceration to life outside prison by facilitating the pursuit of educational goals or the development of job skills.
The Department of Corrections initiated the community residence program in 1963 on the authority of 1956 PA 6, § 193, and 1958 PA 215, § 193. Under that legislation and 1937 PA 255, ch 4, § 4 (MCL 791.264; MSA 28.2324):
"The assistant director in charge of the bureau of penal institutions shall have authority and it shall be his duty to classify the prisoners in the several penal institutions.”
Pursuant to the above authorization, Departmental Directive No. 43, of March 15, 1966, established a work-pass program including the following criteria:
"Any inmate so selected must meet the following criteria:
* * *
"4. Persons involved in the narcotics traffic will be excluded.”
As the Department of Corrections’ program ex
In 1973, the department revised its eligibility criteria for placement in the work/study-pass program. The new criteria stated that an offender
"[m]ust have no involvement in organized crime or narcotics traffic. Inmates with histories of substance abuse are eligible so long as there is no history of involvement in narcotics traffic beyond personal use and limited sale to support the offender’s own addiction.” (Policy Directive SPF-8.)
The following year, the Legislature explicitly authorized these community placement programs in 1974 PA 68. The proper construction of this statute is at issue in this case; the relevant provisions state:
"(1) The director may extend the limits of the place of confinement of a prisoner as to whom there is reasonable cause to believe the prisoner will honor his trust, by authorizing the prisoner, under prescribed conditions, to,
"(a) Visit a specifically designated place or places for a period not to exceed 30 days. . . .
"(b) Work at paid employment or to participate in a training program in the community on a voluntary basis while continuing as a prisoner of the institution or facility to which he is committed.
"(2) The director shall promulgate rules to implement this section.
"(5) Prisoners convicted of a crime of violence or any assaultive crime shall not be eligible for the releases provided in this section (1) until such time as the minimum sentence imposed for the crime has less than*98 180 days remaining, except that where the reason for the release is to visit a critically ill relative, attend the funeral of a relative, or obtain medical services not otherwise available, the director may allow the release under escort for a period not to exceed 30 days.
"(6) Prisoners serving a sentence for murder in the first degree shall not be eligible for the releases under this section prior to initiation of official processing for commutation, and in no case prior to service of 15 calendar years with a good institutional adjustment.” (Emphasis added.) MCL 791.265a; MSA 28.2325(1).
The departmental policy directive making narcotics traffickers ineligible for community placement remained unchanged until 1977, when it was amended to provide that an offender:
"Must have no involvement in organized crime or extensive narcotics-traffic trafficking in controlled substances. Individuals with histories of substance abuse are eligible, so long as there is no history of involvement in narcotics controlled substances traffic beyond personal use, or limited sales to support the offender’s own addiction.” (Policy Directive, PD-DWA-41.01.)
That same year, the department formally promulgated an administrative rule which included among the eligibility criteria for community placement the following provision:
"Has no involvement in organized crime, professional criminal activities, or narcotics traffic. Residents with histories of substance abuse are eligible so long as there is no history of involvement in narcotics traffic beyond personal use and limited sale to support the resident’s own addiction.” 1979 AC, R 791.4410.
The Legislature’s Joint Committee on Administrative Rules approved this rule. 1977 Journal of the House 2521.
The Department of Corrections has defined
"a. A conviction for delivery or possession of a controlled substance that involved:
"1. Seven grams or more of any substance containing heroin or cocaine, or
"2. One pound or more of marijuana, or
"3. One hundred units (pills, capsules, etc.) of any other controlled substance.
"b. That local law enforcement officials (police or prosecutor) confirm on the basis of reliable evidence that the individual is considered by them to be a significant trafficker in controlled substances in the community.
"c. Conviction for delivery or possession with intent to deliver controlled substances without any history of personal controlled substance use.” (Policy Directive PD-DWA-43.01.)
III. Facts
Plaintiffs Brenda Luttrell and Francis Garnica, and all class members they represent, and plaintiff Percy Edmond, are offenders who have been denied eligibility for community placement on the basis of their classification as drug traffickers within the meaning of Policy Directive No. 43.01. The three named plaintiffs were classified as drug traffickers because local law enforcement officials informed the department that they were considered significant traffickers in their communities. Each offender unsuccessfully challenged the drug trafficker designation through the department’s administrative grievance process. Plaintiffs Luttrell and Garnica and plaintiff Edmond then filed separate complaints in the Ingham Circuit Court, each claiming that the department’s rules and
IV. Legislative Interpretation
The offenders challenge the validity of the Department of Corrections’ rules and policy directives under the standard quoted in Chesapeake & Ohio R Co v Public Service Comm, 59 Mich App 88, 98-99; 228 NW2d 843 (1975), lv den 394 Mich 818 (1975):
"Where an agency is empowered to make rules, courts employ a three-fold test to determine the validity of the rules it promulgates: (1) whether the rule is within the matter covered by the enabling statute; (2) if so, whether it complies with the underlying legislative intent; and (3) if it meets the first two requirements, when [sic] it is neither arbitrary nor capricious.”
The offenders do not dispute that the drug-trafficker rule is within the matter covered by the enabling statute. They contend, and the Court of Appeals agreed, that the drug-trafficker classifica
A. Plain Language
Before looking to the legislative history and other aids to statutory interpretation, consideration should be given to the plain language of the statute. There are four critical points. The first two sections vest wide discretion in the director to execute release programs. Section 1 provides:
"The director may extend the limits of the place of confinement of a prisoner as to whom there is a reasonable cause to believe the prisoner will honor his trust
Section 2 provides:
"The director shall promulgate rules to implement this section.”
These two sections provide a wide discretion in the director to determine who "will honor his trust” and to whom release will be extended. This certainly would allow the director to establish eligibility by category as well as by individual case.
The offenders, however, argue that the ineligibility sections, (5) and (6), disqualifying prisoners convicted of violent and assaultive crimes and first-degree murder except under certain condi
To sum up, the plain language of 1974 PA 68 must be construed so that sections (1) and (2) authorize the director to make his determination as to which prisoners will honor their trust individually or by category as he finds "reasonable cause,” and so that sections (5) and (6) say that certain categories of persons shall be considered for eligibility only under certain circumstances without saying that these disqualifications by category are exclusive. The plain language of the statute certainly does not require a construction that the director may not disqualify by category beyond those specified. It is certainly arguable that the plain language rule is applicable, but it would be useful to examine the statute in light of the normal rules of legislative interpretation.
We turn then to the rules of statutory interpretation. First, we are convinced that the legislative history shows that sections (5) and (6) were added as individual concerns of the legislators rather than as a reasoned part of a statute precluding all other disqualifications by category. Second, the doctrine of legislative acquiescence provides a basis for arguing that the director should be permitted to continue to disqualify by category. Third, the doctrine of avoiding absurdity or unreasonableness likewise provides a basis for arguing against precluding the director from disqualifying by category. Finally, the effect of the rule "expressio unius est exclusio alterius,” while a valid maxim, is so much at odds with the other three rules that reason dictates it is inapplicable in the instant case.
Where ambiguity exists in a statute, a court may refer to the history of the legislation in order to determine the underlying intent of the Legislature. "Courts do not exist in a vacuum. They may take cognizance of facts and events surrounding the passage and purpose of legislation.” Wilkins v Ann Arbor City Clerk, 385 Mich 670, 691; 189 NW2d 423 (1971).
The available legislative history suggests that the Legislature’s primary purpose in enacting MCL 791.265a; MSA 28.2325(1) was to place its imprimatur on the department’s community residence program. The statute originated in Senate Bill 599, which included only three sections. The first empowered the director of the department to place any prisoner "as to whom there is reasonable cause to believe the prisoner will honor his trust” outside ordinary places of confinement in order to work or receive training. The second section directed the department to promulgate rules to execute this power, and the third section provided that an offender who failed to remain within the extended limits of confinement or return timely would be deemed an escapee under state law. The House of Representatives legislative analysis section prepared a report on "The Apparent Problem to Which the Bill Addresses Itself’ and found that:
"For several years, the Department of Corrections has permitted inmates under escort to visit sick relatives, participate in work-study programs, or visit families when they are near parole. These furloughs have been granted in the belief that they are properly authorized under existing law. However, this authority has recently been questioned. Legislation is needed to clarify the conditions under which prisoners may be granted leaves from the prison.”
This brief history indicates that the Legislature had several clear purposes in enacting this statute. First, the Legislature wanted to ratify the community residence program, and to ensure that the costs of prosecution for escape or tardy return did not fall disproportionately on those communities in which offender residences were located. Second, the Legislature wanted to vest the Department of Corrections with broad discretion in deciding which offenders were likely to honor their trust. The Legislature felt the need to address eligibility criteria for only two specific classes of prisoners, those in subsections (5) and (6). Prior departmental policy would have made these classes of offenders eligible for some placements within a year of their earliest release date. Subsection (5) reduced the eligibility period for offenders convicted of violent crimes to 180 days prior to their earliest release date, and further restricted the eligibility of offenders convicted of first-degree murder by requiring a minimum service of years. The statute passed, as amended, without explicit mention of drug traffickers as a class, however defined.
Nothing in the legislative history reflects either an intent to make drug traffickers eligible for community placement, or an intent to curtail the department’s power to set eligibility criteria on the basis of such classifications. Instead, the his
C. Legislative Acquiescence
We consider next the doctrine of legislative acquiescence: legislative silence in the face of an agency’s construction of a statute "can only be construed as consent to the accuracy of that interpretation.” Magreta v Ambassador Steel Co, 380 Mich 513, 520; 158 NW2d 473 (1968), quoting from In re Clayton Estate, 343 Mich 101, 106, 107; 72 NW2d 1 (1955). This doctrine is based on the assumption that the Legislature is aware of prior interpretations of its acts, and that the construction given a statute by those charged with its execution is likely to be the most accurate.
This Court recently held that the Legislature acquiesced in the construction given a provision of the tax code by the Tax Tribunal. Wikman v Novi, 413 Mich 617, 637-638; 322 NW2d 103 (1982). The Tax Tribunal and the courts had consistently held that the tribunal had jurisdiction over special assessments levied pursuant to municipal charters. This was the result despite statutory language which confined the tribunal’s jurisdiction to special assessments levied under "property tax laws.” MCL 205.731; MSA 7.650(31). Because the Legislature amended the act twice without changing the jurisdictional provision, we reasoned that the Legislature agreed with this construction. Id., p 638.
D. Absurdity or Unreasonableness
It is a recognized rule of statutory interpretation that the courts will not construe a statute so as to achieve an absurd or unreasonable result. The offenders contend that sections (5) and (6) are the exclusive categories that the director may consider in exercising his discretion to determine which
E. Expressio Unius Est Exclusio Alterius
The offenders rely heavily on the rule of expressio unius est exclusio alterius. As the offenders indicate, this is a recognized rule of statutory interpretation. But like all other such rules, it is a tool to ascertain the intent of the Legislature. It does not automatically lead to results. As we have seen, reference to the legislative history, the rule of legislative acquiescence and the rule of avoiding absurdity and unreasonableness leads to exactly the opposite result from that which the offenders’ rule would. Furthermore, there is nothing upon consideration of the plain language of the statute that would apparently point in the offenders’ direction. As a consequence, while we recognize the offenders’ standard rule of interpretation, we do not find it persuasive in the circumstances of this case. See Mosley v Federal Department Stores, Inc, 85 Mich App 333; 271 NW2d 224 (1978) (express availability of mental anguish damages in the few circumstances mentioned in the statute did not imply their non-availability in actions unrelated to the statute).
Both the historical context in which the department’s rule evolved and accepted principles of statutory construction support the conclusion that the Legislature did not intend to ensure eligibility of the class of drug traffickers for community placement. Therefore, we hold that the rule which excludes the class of drug traffickers from eligibility for community placement is within the legislative intent underlying MCL 791.265a; MSA 28.2325(1). We have not considered, and do not in any way rule on, the merits of the offenders’ other claims. We therefore reverse the decision of the Court of Appeals and remand the case to that Court for further consideration of the other claims raised below.
For purposes of this opinion, in order to avoid unduly complicating it, we do not decide whether the later, more specific MCL 791.265a; MSA 28.2325(1) does eliminate the power of the assistant director under MCL 791.264; MSA 28.2324 "to classify prisoners in the several penal institutions.” While MCL 791.265a; MSA 28.2325(1) establishes a general eligibility standard, it may very well not fully repeal the power of the assistant director to work under that standard by determining eligibility by category as well as by individual.