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Sunday, November 23, 2008

MN v. Paul Spence A06-1541

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State of Minnesota, Respondent, vs. Paul P. Spence, Appellant. A06-1541, Court of Appeals ..
When a homeowner has the lawful right to possess a home and no court order dispossesses him of that right, he may not be charged with burglary for entering the home and assaulting another co-owner. Affirmed in part, ...
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STATE OF MINNESOTA

IN COURT OF APPEALS

A06-1541

State of Minnesota, Respondent, vs. Paul P. Spence, Appellant. A06-1541, Court of Appeals Published, December 11, 2007

State of Minnesota,
Respondent,

vs.

Paul P. Spence,
Appellant.

Filed December 11, 2007

Affirmed in part, reversed in part, and remanded

Klaphake, Judge

Jackson County District Court

File No. K7-05-1004

Lori Swanson, Attorney General, James B. Early, Assistant Attorney General, 1800 Bremer Tower, 445 Minnesota Street, St. Paul, MN 55101-2134; and

Robert C. O’Connor, Jackson County Courthouse, 405 Fourth Street, Suite 2D, Jackson, MN 56143 (for respondent)

John M. Stuart, State Public Defender, Benjamin Jon Butler, Assistant State Public Defender, 2221 University Avenue S.E., Suite 425, Minneapolis, MN 55414 (for appellant)

Considered and decided by Klaphake, Presiding Judge; Shumaker, Judge; and Huspeni, Judge.*

S Y L L A B U S

1. When a homeowner has the lawful right to possess a home and no court order dispossesses him of that right, he may not be charged with burglary for entering the home and assaulting another co-owner.

2. Evidence that a victim of a crime recognizes the voice of her assailant is sufficient to establish the identity of the assailant.

O P I N I O N

KLAPHAKE, Judge

Appellant was convicted of first-degree burglary and gross misdemeanor domestic assault for entering a home in which he was a co-owner to assault the other co-owner, with whom he had formerly cohabited. Appellant claims that he could not be charged with burglary because he was in lawful possession of the home at the time of the offense. He also claims that the identification evidence was insufficient to support the convictions. We reverse the burglary convictions, affirm the domestic assault conviction, and remand for resentencing.

FACTS

Appellant Paul Spence and A.S. began cohabiting in 1993. The couple had three children together, and their Lakefield household also included two of A.S.’s children from a prior relationship. They co-owned their home.

Appellant moved out of the home in 2004 when the couple split, but he continued to visit the children, provide for them financially, and make house mortgage payments. On April 26, 2004, the couple argued, and appellant grabbed A.S. by her chin and made a mark on her face. That day, A.S. got an order for protection against appellant, which she later withdrew.

Appellant moved into an apartment one block from the home. In early January 2005, the couple disputed whether A.S. should relinquish her interest in the home because she had been contributing less to the monthly mortgage payments and had made no contribution to the December 2004 mortgage payment. On January 13, 2005, appellant and A.S. had another argument, and A.S. and her daughter both testified that appellant told A.S. to “get out of the house.” A.S.’s daughter testified that appellant also said, “or else.”

In the early morning hours of January 14, A.S. heard a noise inside the home and when she went to investigate, she was grabbed by the hair from behind by an intruder. The intruder pushed her to the floor, abrading her cheek on the carpet, and according to A.S., said, “Don’t [f—k] with me.” A.S. testified that she recognized the intruder’s voice as appellant’s, stating, “[T]here was no doubt in my mind it was him.” She also testified that her 18-month-old son, who had come upon the scene, said, “[M]y daddy is naughty.”

Appellant was charged with two counts of first-degree burglary under Minn. Stat. § 609.582, subd. 1(a), (c) (2004), and one count of gross misdemeanor domestic assault under Minn. Stat. § 609.2242, subd. 2 (2004). At trial, he testified that he was watching television in his apartment at the time of the offense. His version of the facts was corroborated by a neighbor who heard appellant come home from work at about 2:00 a.m. and who testified that he would have heard appellant leave after that, but he did not.

Appellant was convicted on all three counts. At sentencing, the district court denied appellant’s motion for a downward dispositional departure and imposed the 48-month presumptive sentence for first-degree burglary.

ISSUES

1. May appellant be charged with burglarizing a home that he co-owned and formerly resided in with the victim when no court order excluded him from lawful possession of the home?

2. Did the district court err in finding evidence of identity sufficient to support appellant’s convictions?

ANALYSIS

I.

“Construction of a criminal statute is a question of law subject to de novo review.” State v. Colvin, 645 N.W.2d 449, 452 (Minn. 2002). Courts apply strict construction to penal statutes, and such statutes “may not be interpreted to create criminal offenses that the legislature did not contemplate.” Id.

First-degree burglary is defined as entering an occupied dwelling without consent and with intent to commit a crime, or entering an occupied dwelling without consent and committing an assault while in the building. Minn. Stat. § 609.582, subd. 1(a), (c) (2004). “Enters a building without consent” is defined as “to enter a building without the consent of the person in lawful possession[.]” Minn. Stat. § 609.581, subd. 4(a) (2004).

In State v. Evenson, 554 N.W.2d 409, 411 (Minn. App. 1996), review denied (Minn. Oct. 29, 1996), this court construed “lawful possession” to mean “actual holding or occupancy with or without rightful ownership” and held that a man who owned a home, but was excluded from residing in it by an order for protection, committed burglary by entering the home to assault his wife. Id. at 412. The Evenson court declined to narrowly define “lawful possession” solely with regard to legal ownership, but instead focused on “the distinct legal right to possess.” Id. Because an order for protection “deprived Evenson of ‘lawful possession[,]’” this court concluded that he did not have the legal right to possess the home and affirmed his burglary conviction. Id.

The question in this case is whether appellant’s tacit agreement with A.S. to vacate the home and other facts indicating that she was in sole possession of the home at the time of the offense, without more, are sufficient to show that appellant was not in lawful possession of the home at the time he entered it and assaulted A.S. No reported Minnesota case has addressed this issue. Minnesota courts recognize that people have a reasonable expectation of privacy in their homes, and for sentencing purposes “unauthorized entry into residential dwellings [is] viewed more seriously than entry into commercial or industrial buildings.” State v. Pierson, 368 N.W.2d 427, 436 (Minn. App. 1985).

But we decline to extend Evenson to a fact situation where the purported burglar is a homeowner who has the legal right to enter the home. The record evidence here shows that in addition to owning the home, appellant retained a key to the home, made visits there to pick up the children, and was not excluded from the property or habitation there by a valid court order. On these facts, the evidence demonstrates that he was not dispossessed of his lawful right to enter the home. See, e.g., People v. Gauze, 542 P.2d 1365, 1369 (Cal. 1975) (ruling that roommate could not be convicted of burglarizing his own apartment); State v. Altamirano, 803 P.2d 425, 429-30 (Ariz. Ct. App. 1990) (ruling that person could not be convicted of burglarizing his own home). We decline to extend the ruling in Evenson to allow appellant to be charged with burglary of a home in which he had the right of lawful possession, when no court order divested him of that right. We therefore vacate appellant’s burglary conviction and remand for resentencing on the domestic assault conviction.[1]

II.

Appellant next claims that A.S.’s testimony that she recognized his voice during her assault is insufficient to identify him as the person who assaulted her. An appellate court’s review of a claim of insufficiency of the evidence “extends no further than to make a painstaking review of the record to determine whether the evidence, direct and circumstantial, viewed most favorably to support a finding of guilt, is sufficient to permit the jury to reach that conclusion.” State v. Mems, 708 N.W.2d 526, 531-32 (Minn. 2006) (quotation omitted). The jury determines witness credibility and “the weight to be given a witness’s testimony,” and the jury may “accept part and reject part of a witness’s testimony.” Id. at 531. “Inconsistencies or conflicts between one witness and another do not necessarily constitute false testimony or serve as a basis for reversal.” Id.; see State v. Gomez, 721 N.W.2d 871, 883 (Minn. 2006) (“It is not the province of [the appellate] court to reconcile conflicting evidence”).

A victim’s identification of her assailant’s voice is “direct evidence sufficient to present a fact question for the jury.” State v. Otten, 292 Minn. 493, 494, 195 N.W.2d 590, 591 (1972); see Sauber v. Northland Ins. Co., 251 Minn. 237, 243, 87 N.W.2d 591, 596 (1958) (allowing voice identification to establish the identity of a telephone caller). Like any other identification evidence, voice identification evidence is typically a matter of credibility properly left for the jury to decide. State v. Doppler, 590 N.W.2d 627, 635 (Minn. 1999). Here, A.S. identified with certainty that the voice of her assailant was appellant’s. This evidence was sufficient to permit the jury to find that appellant was A.S.’s assailant.

Appellant argues that because he had a strong alibi and because A.S.’s identification was uncorroborated and she was inconsistent in her testimony on other points, this court should find her identification testimony insufficient. As to appellant’s alibi, while he could account for himself after 2:00 a.m., the jury could have either disbelieved this testimony or believed that appellant entered A.S.’s home after he left work at 1:30 a.m. but before he went to his apartment. The assault took only a few minutes, according to A.S., and appellant lived only one block from the family home. Further, A.S.’s testimony was corroborated by the unobjected-to, out-of-court statement from her son, who observed the assault and said, “[M]y Daddy is naughty.”

Appellant further attempts to offer other reasons to discredit A.S., including her failure to remember an earlier burglary and alleged inconsistencies in her testimony, particularly her testimony about how the assault occurred. Viewed in the context of her whole testimony, any inaccuracies are minor and irrelevant to the issues of this case, and inconsistencies appear to be constructed by appellant by taking A.S.’s testimony out of context or time, rather than true inconsistencies. We conclude that the identification evidence was sufficient to support appellant’s domestic assault conviction.[2]

D E C I S I O N

We affirm appellant’s domestic assault conviction, reverse appellant’s burglary convictions, and remand for resentencing.

Affirmed in part, reversed in part, and remanded.



* Retired judge of the Minnesota Court of Appeals, serving by appointment pursuant to Minn. Const. art. VI, § 10.

[1] As noted by the Minnesota Supreme Court in State v. Colvin, 645 N.W.2d 449, 455 (Minn. 2002), domestic abuse is a “serious problem,” but part of its statutory scheme for “ratcheting up the penalties for repeat violations” is premised on victims obtaining orders for protection. To gain the protections against domestic abuse based on unauthorized entry, we encourage potential victims to obtain orders for protection.

[2] Appellant also challenges his sentence, claiming that the district court abused its discretion by declining to impose a downward dispositional departure and sentence him to treatment rather than an executed prison term. Because we vacated the burglary conviction on which this sentence was based, we decline to address this issue.

Tuesday, November 18, 2008

Jennifer Lund et al v. Michael J. Brouillette _A07-1203 Judge Blakely MN

I'm so sick of these Lawyer_Judges, techinally all published and unpublished opnions must be revisited today at www.mncourts.gov the Unpublished Opinion by Blakely is posted
http://sharon4judge.blogspot.com
http://www.mncourts.gov/opinions/coa/current/...

Judge Timothy Blakely said he was eager to see difficult divorces settled out of court. So, he assigned case after case to a St. Paul mediator Blakely swore he could trust. There were two problems:

  • The attorney was his own.
  • He owed her six figures.

    The Goodhue County district judge stands accused of funneling 19 divorce cases to the law firm that handled his divorce in exchange for a steep reduction in his legal debt. He appeared Monday before a judicial fact-finding panel to fight allegations of misconduct.

    The "quid pro quo" arrangement allegedly helped him slice two-thirds — nearly $64,000 — off a legal bill of $108,000 left over from his divorce, according to attorneys for the Minnesota Board on Judicial Standards, which filed a complaint against him in August.

    In a November 2005 e-mail to attorney Christine Stroemer, Blakely said he was saddled with debts from his failed marriage and the six children he and his fiancee were raising together. He offered Stroemer the "lump sum" proceeds from the sale of his home as a compromise.

    We are challenging the Authority and Jurisdiction of State Canvass Board
    http://sharon4staterep64a.blogspot.com
    http://opinions-unpublished.blogspot.com

  • This opinion will be unpublished and

    may not be cited except as provided by

    Minn. Stat. § 480A.08, subd. 3 (2006).

    STATE OF MINNESOTA

    IN COURT OF APPEALS

    A07-1203

    Jennifer Lund, et al., Respondents, vs. Michael J. Brouillette, Appellant.

    Filed November 18, 2008

    Affirmed

    Minge, Judge

    Dakota County District Court

    File No. C2-07-12736

    Jennifer Lund, 2125 Saphire Lane, Eagan, MN 55122 (pro se respondent)

    Michael James Brouillette, P.O. Box 111004, St. Paul, MN 55111-0004 (pro se appellant)

    Considered and decided by Connolly, Presiding Judge; Lansing, Judge; and Minge, Judge.

    U N P U B L I S H E D O P I N I O N

    MINGE, Judge

    Appellant challenges the issuance of a harassment restraining order. Because we conclude that the district court did not clearly err in finding facts supporting the order and the record supports the breadth of the order, we affirm. 2

    FACTS Respondents Jennifer Lund and Ricky Spreeman petitioned the district court for a harassment restraining order under Minn. Stat. § 609.748 (2006), alleging that appellant Michael Brouillette, who is Lund’s ex-boyfriend, had harassed them numerous times between March 2004 and March 7, 2007. In an accompanying affidavit, Lund and Spreeman alleged that Brouillette’s harassment included "tracking" the whereabouts of Lund, making uninvited visits to and burglarizing their home, damaging Lund’s property, calling Lund disreputable names, making harassing phone calls, and continuously threatening that the respondents would be killed by Brouillette, the Hell’s Angels biker gang, or Brouillette’s "buddies." Brouillette denied the allegations.

    At the hearing on the petition, the district court heard testimony from Brouillette, Lund, and Spreeman.1 Lund testified that Brouillette had harassed Spreeman and her for the past three years. Lund stated that, due to this conduct, she and Spreeman had moved three times in an effort to hide, but Brouillette always found them. Lund testified that Brouillette’s most recent series of contacts began on February 7, 2007, when he started calling Lund and Spreeman on Spreeman’s cell phone. Lund stated that, on February 7, she was on a business trip in Phoenix, Arizona with Spreeman. Brouillette recently had been discharged from probation. During one call, Brouillette told Spreeman that he knew

    1 The respondents also attempted to enter into evidence three Eagan Police Department incident reports, dating from February 7, 2007, February 8, 2007, and March 5, 2007, which detail interactions between Brouillette and the respondents. Although the district court did not receive the reports into evidence and they are not a part of the record, they remained in the district court file. Because the reports are not part of the record, we do not consider them. 3

    the couple’s flight time back to Minneapolis, what hotel they were staying at, what Lund was doing in Phoenix, and Lund’s home address in Eagan. This made Lund "really nervous." According to Lund, Brouillette called Lund’s home while she was in Arizona and spoke to Lund’s babysitter, asking the babysitter, "Hey baby, what time can I come over?" Spreeman and Lund were especially disturbed by this phone call because Brouillette was aware that they were in Arizona. Lund testified that she and Spreeman became very irate with Brouillette and returned at least two of his phone calls. According to Lund, this did not stop Brouillette from continuing to call and harass the respondents. Out of "anger," "frustration," and prompting from law enforcement, Lund and Spreeman eventually changed their cell and home phone numbers and in March 2007 applied for the restraining order.

    Spreeman testified that Lund and he had been in a "three-and-a-half year battle" with Brouillette. Spreeman stated that he consistently received death threats from Brouillette, which included Brouillette claiming the ability to use the Hell’s Angels and the Navy Seals to carry out the murders.

    Brouillette testified that he placed four or five calls to Spreeman and Lund’s cell phones from February 7 to February 11, 2007. He claimed that he placed these calls to tell Spreeman and Lund to leave him alone. He denied that he called the babysitter. Brouillette also submitted a tape recording of calls made to him by Lund and Spreeman. Brouillette claimed that the recording shows that Spreeman and Lund had been harassing him. Brouillette testified that he previously tried to get a restraining order on the 4

    respondents, but he was unsuccessful. He also testified that he did not ride with the Hell’s Angels.

    The district court found that Brouillette had made four or five telephone calls. The district court read the statutory definition of harassment to the parties, determined that Brouillette’s calls were "clearly unwanted" and had a "substantial impact" on Lund and Spreeman, concluded that the calls constituted harassment and granted the restraining order. In addition to prohibiting Brouillette from harassing or having contact with Lund or Spreeman, the order requires Brouillette to stay at least one mile away from the respondents’ residence and to stay away from Spreeman’s place of business. The order specifies that it remains in effect until April 16, 2009. This appeal follows.

    D E C I S I O N

    I.

    The first issue is whether the district court abused its discretion when it granted the harassment order for protection. "An appellate court reviews a district court’s grant of a harassment restraining order under an abuse-of-discretion standard." Kush v. Mathison, 683 N.W.2d 841, 843 (Minn. App. 2004), review denied (Minn. Sept. 29, 2004). It is sufficient if the district court finds that the perpetrator’s "actions had, or were intended to have, a substantial adverse effect on the safety, security, or privacy of" the petitioner. Id. at 844. A district court’s findings of fact are reviewed for clear error, but we will "reverse the issuance of a restraining order if it is not supported by sufficient evidence." Id. at 843-44. Although remand may be required if the district court fails to make adequate findings, remand is unnecessary if this court can infer the findings from the 5

    district court’s conclusions. Welch v. Comm’r of Pub. Safety, 545 N.W.2d 692, 694 (Minn. App. 1996).

    "Harassment" includes "a single incident of physical or sexual assault or repeated incidents of intrusive or unwanted acts, words, or gestures that have a substantial adverse effect . . . on the safety, security, or privacy of another, regardless of the relationship between the actor and the intended target." Minn. Stat. § 609.748, subd. 1(a)(1) (2006). The law provides that a district court may issue a restraining order if it finds "reasonable grounds to believe that [Brouillette] has engaged in harassment." Minn. Stat. § 609.748, subd. 5(a)(3) (2006). "The determination of whether certain conduct constitutes harassment may be judged from both an objective standard, when assessing the effect the conduct has on the typical victim, and a subjective standard, to the extent the court may determine the harasser’s intent." Kush, 683 N.W.2d at 845. Inappropriate or argumentative statements alone cannot be considered harassment. Beach v. Jeschke, 649 N.W.2d 502, 503 (Minn. App. 2002). However, a party’s actions need not be obscene or vulgar to constitute harassing conduct. Welsh v. Johnson, 508 N.W.2d 212, 216 (Minn. App. 1993).

    The record supports the district court’s finding of harassment. Lund and Spreeman testified about a considerable history of unwanted contact with Brouillette. Lund is his ex-girlfriend. She and Spreeman had tried to avoid Brouillette for three or more years, but Brouillette persisted in finding them. Brouillette admitted that he placed four or five calls to Spreeman and Lund’s cell phones from February 7 to February 11, 2007. Spreeman testified that Brouillette had made death threats over the phone. The 6

    call that Brouillette made on February 7, 2007 to Spreeman’s cell phone and a subsequent call to her babysitter both disturbed and irritated the respondents. Brouillette’s claim that his calls were not harassing because he merely was returning phone calls to the respondents presents questions of characterization and credibility, which are determined by the district court. In Kush, the court found that one party may harass another party over the phone even if the victim is the party that placed the call. 683 N.W.2d at 844. In this case, even if Brouillette was returning phone calls made to him by Lund and Spreeman, this fact would not preclude the conclusion that Brouillette engaged in harassing conduct.

    Here, the district court’s findings that Brouillette placed four or five harassing, unwanted phone calls to the respondents that had a "substantial impact" on them was an adequate basis for the order. Although the district court did not discuss any other allegations made by the respondents or by Brouillette and made no other factual findings, we assume that the district court concluded the factual grounds identified were adequate to support its decision and that it did not need to have a more expansive statement.

    II.

    The second issue is whether the district court abused its discretion when it ordered Brouillette to stay one mile from the respondents’ residence. Again, we review the district court’s order under an abuse-of-discretion standard. Under Minnesota law, when the requirements for a harassment restraining order are met, the district court "may grant a restraining order ordering the respondent to cease or avoid the harassment of another 7

    person or to have no contact with that person . . . ." Minn. Stat. § 609.748, subd. 5(a) (2006).

    The district court ordered the one-mile buffer after Lund expressed concern that Brouillette had driven by her home on his motorcycle on the night before the hearing. The district court found that the distance was "not unreasonable." Because we give high deference to the district court’s exercise of discretion and because Brouillette provides no legal basis for his claim that a one-mile buffer around a victim’s house is unreasonable, we conclude that the district court did not abuse its discretion when ordering Brouillette to remain one mile from the respondents’ residence.

    III.

    The third issue is whether the district court abused its discretion when it ordered the restrictions to remain in effect for two years. Again, we review the district court’s order under an abuse-of-discretion standard. Under Minnesota law, the district court may grant relief through a restraining order "for a fixed period of not more than two years." Minn. Stat. § 609.748, subd. 5(a)(3) (2006). In this case, the district court heard testimony from Lund and Spreeman that Brouillette had persisted in unwanted contact with them for three or more years prior to the hearing. The district court had the power to order the two-year duration under Minn. Stat. § 609.748. Given the apparent seriousness of Brouillette’s threats and his persistence in finding and contacting Lund and Spreeman, we conclude that the district court was well within its discretion when establishing the two-year duration of the restraining order. 8

    We are aware that this case is one of several that has resulted from a particularly prolonged and troubling breakup between Brouillette and Lund. We are aware of two other recent appeals before this court initiated by Brouillette against Lund. See Brouillette v. Lund, No. A07-1753 (Minn. App. Sept. 9, 2008); Brouillette v. Lund, No. A07-1880 (Minn. App. filed Oct. 2, 2007). Brouillette should recognize that the public, judicial record makes it clear that his conduct involves much more than five or six harassing phone calls.

    Affirmed.

    Dated:

    Wednesday, November 12, 2008

    Unpublished Fee v. Edina Realty et al

    This opinion will be unpublished and

    may not be cited except as provided by

    Minn. Stat. § 480A.08, subd. 3 (2006).

    STATE OF MINNESOTA

    IN COURT OF APPEALS

    A07-2211

    Daniel M. Fee, et al., Appellants, vs. George G. Stahley, et al., Respondents, Edina Realty, et al., Respondents, Cendant Mortgage Corporation, Respondent, TCF National Bank, Respondent, Lawyers Title Insurance Corporation, Respondent.

    Filed November 10, 2008

    Affirmed

    Worke, Judge

    Chisago County District Court

    File No. 13-CV-06-432

    James R. Doran, Doran Law Offices, 416 East Hennepin Avenue, Minneapolis, MN 55414 (for appellants)

    Kelly A. Putney, Bassford Remele P.A., 33 South Sixth Street, Suite 3800, Minneapolis, MN 55402 (for respondents Edina Realty, et al.) 2

    Timothy J. Grande, Mychal A. Bruggeman, Mackall, Crounse, & Moore, P.L.C., 1400 AT&T Tower, 901 Marquette Avenue, Minneapolis, MN 55402 (for respondent Lawyers Title Ins. Co.)

    Considered and decided by Worke, Presiding Judge; Connolly, Judge; and Collins, Judge.*

    * Retired judge of the district court, serving as judge of the Minnesota Court of Appeals by appointment pursuant to Minn. Const. art. VI, § 10.

    U N P U B L I S H E D O P I N I O N

    WORKE, Judge On appeal from the grant of summary judgment in favor of respondents real-estate company, agent, and title-insurance company, appellants argue that genuine issues of material fact exist as to whether (1) the real-estate company and agent negligently misrepresented information about the property appellants purchased, and (2) the title-insurance company was in breach of contract by failing to indemnify and defend them on title issues. We affirm. FACTS

    In 1997, respondents George G. Stahley and Lori A. Stahley purchased property that they believed was approximately 16 acres and included lakeshore. For approximately seven years the Stahleys lived on the property, paid property taxes on 15.8 acres, and never had an issue with a neighbor claiming to own any portion of the property. When the Stahleys decided to sell their property they enlisted the help of real-estate agent respondent Paul Ross Olson. Olson walked the property with the Stahleys and instructed them to mark the corners and boundary lines with stakes. The Stahleys 3

    told Olson that the property was approximately 16 acres with approximately 100 feet of lakeshore. Olson confirmed the acreage with tax records. Respondent Edina Realty and Olson prepared a MLS listing describing the property as having, among other things, 100 feet of shoreline, 16 acres of rolling land, an asphalt driveway, and a private sewer.

    In September 2004, appellants Daniel M. Fee and Kerri A. Fee became interested in the Stahleys’ property. Appellants visited the property a total of four times before making an offer. Appellant Kerri A. Fee (Fee) is a licensed realtor and acted as the buyer’s agent. Fee "looked at everything" related to the property, including plat maps provided by the county. Fee believed that she had "checked everything out" and confirmed that the property she and her husband were buying was accurately described by Olson and the Stahleys, although she did not order a survey. On September 21, 2004, appellants and the Stahleys entered into a purchase agreement. The parties closed on October 28, 2004. The same day, appellants purchased title insurance from respondent Lawyers Title Insurance Corporation (Lawyers). The legal description provided in the policy matches the legal description provided in the warranty deed conveyed to appellants.

    While appellants were still moving onto the property, a northerly neighbor, Robert Peterson, ordered a survey of his property. Appellants saw the surveyors on what they believed to be their property and asked the surveyors what they were doing on their land. A surveyor replied that he believed that it was Peterson’s property. When asked what he planned to do, Peterson replied that he "will just have to let the lawyers figure it out." Appellants ordered a survey, which indicated that they did not own 16 acres with 100 feet 4

    of lakeshore, but rather 7.1 acres and no lakeshore; that a fence line encroached onto their neighbor’s property; and their septic cleanout and driveway is on Peterson’s property. No court action has been taken against appellants to divest them of the land they believed they purchased, they still live in the home and use the driveway, and nobody has told them to remove any encroachments. However, appellants made a claim for indemnification, which Lawyers refused.

    In 2006, appellants filed a complaint against respondents Stahleys, Edina Realty, Olson, Cendant Mortgage Corporation, TCF National Bank, and Lawyers. Appellants alleged that the Stahleys, Edina Realty, and Olson intended to deceive and induce them to purchase the property, and that Lawyers breached the title-insurance policy by refusing to insure and compensate them. In April 2007, respondents moved for summary judgment. Following a hearing, the district court ordered that the record would remain open for the Petersons’ depositions. Appellants filed an offer of proof, in which they requested that the court consider the testimony of a real-estate broker who would testify regarding an agent’s standard of care.

    The district court granted respondents’ motions for summary judgment and refused to consider appellants’ offer of proof. The court concluded that appellants failed to establish their claims of intentional and negligent misrepresentation. The district court also concluded that appellants failed to establish their breach-of-contract claim against Lawyers, finding that appellants’ claimed losses related to land outside of the legal description included in the policy. This appeal follows. 5

    D E C I S I O N

    In reviewing a district court’s grant of summary judgment, this court must determine whether there are any genuine issues of material fact and whether the law was erroneously applied. State by Cooper v. French, 460 N.W.2d 2, 4 (Minn. 1990). Summary judgment is appropriate when "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 and that [the moving] party is entitled to a judgment as a matter of law." Minn. R. Civ. P. 56.03. "Speculation, general assertions, and promises to produce evidence at trial are not sufficient to create a genuine issue of material fact for trial." Nicollet Restoration v. St. Paul, 533 N.W.2d 845, 848 (Minn. 1995); see also Minn. R. Civ. P. 56.05 (requiring affidavits "present specific facts" because "mere averments or denials" do not preclude summary judgment). Although an appellate court reviews the evidence in a light most favorable to the non-moving party, and is prohibited from weighing the evidence, it is not enough for the non-moving party to show "some metaphysical doubt." DLH, Inc. v. Russ, 566 N.W.2d 60, 70-71 (Minn. 1997).

    Negligent Misrepresentation

    Appellants first argue that the district court erred in granting summary judgment in favor of Edina Realty and Olson, contending that a genuine issue of material fact exists regarding whether Edina Realty or Olson negligently misrepresented facts. Appellants argue that Olson failed to exercise reasonable care in determining the correct boundaries 6

    and negligently communicated that the property had an asphalt driveway, private sewer system, and lakeshore.

    Negligent misrepresentation causing pecuniary loss is defined as follows:

    One who, in the course of his business, profession or employment, or in any other transaction in which he has a pecuniary interest, supplies false information for the guidance of others in their business transactions, is subject to liability for pecuniary loss caused to them by their justifiable reliance upon the information, if he fails to exercise reasonable care or competence in obtaining or communicating the information.

    Smith v. Brutger Cos., 569 N.W.2d 408, 414 n.3 (Minn. 1997) (quoting Restatement (Second) of Torts § 552 (1977)). Negligent misrepresentation is limited to situations when one party is providing guidance to another; there is no cause of action when the parties are engaging in an arms-length commercial transaction. Safeco Ins. Co. of Am. v. Dain Bosworth Inc., 531 N.W.2d 867, 873 (Minn. App. 1995), review denied (Minn. July 20, 1995).

    Because neither Edina Realty nor Olson provided information "for the guidance" of appellants and this was an arms-length commercial transaction, appellants’ argument fails. Edina Realty and Olson represented the sellers, the Stahleys. Appellants were represented by Fee, a licensed real estate agent, acting as the "buyer’s agent." Additionally, Olson did not fail to exercise reasonable care. Appellants offer that a real estate broker would testify that Olson breached the standard of care for a real estate agent in communicating information to a buyer. But appellants presented this as an offer of proof after the summary-judgment hearing and the district court refused to accept this offer of proof. Therefore, we will not consider appellants’ proffered evidence on appeal. 7

    Moreover, appellants’ argument that Olson failed to exercise reasonable care fails because an agent is not required to make an independent investigation into facts which he has no reason to doubt, unless he undertakes such an obligation. See Hommerding v. Peterson, 376 N.W.2d 456, 459 (Minn. App. 1985) (stating realtor has no duty to disclose material facts absent special knowledge). First, Olson had no reason to doubt what the Stahleys told him about the property. The Stahleys believed that they owned 16 acres, 100 feet of lakeshore, their driveway, and their septic system. The Stahleys moved onto the property in 1997 and used all of the property as if it belonged to them. Second, none of the Stahleys’ neighbors ever claimed to own any of the property. Third, the MLS listing is based on the information the Stahleys gave to Olson and the property boundaries they marked. Lastly, Olson checked the tax records and confirmed that the Stahleys paid taxes on approximately 16 acres.

    Finally, appellants cannot argue that they relied on Olson’s representations or that he undertook an obligation to independently investigate facts, because Fee acted as the buyer’s agent and investigated the facts. Appellants visited the property a total of four times before making an offer. Fee stated that she "looked at everything" related to the property and believed that she had "checked everything out" and confirmed that the property she and her husband were buying was accurately described by Olson and the Stahleys. Appellants did not order a survey because everything checked out. Because Fee undertook the obligation as the buyer’s agent, appellants cannot now claim that Edina Realty and Olson negligently misrepresented facts. Because there are no genuine issues of material fact and the law was not erroneously applied, appellants’ claim of negligent 8

    misrepresentation fails, and the district court did not err in granting summary judgment in favor of Edina Realty and Olson.

    Breach of Contract

    Appellants also argue that the district court erred in granting summary judgment in favor of Lawyers, contending that a genuine issue of material fact exists as to whether Lawyers is contractually obligated to defend and indemnify them regarding certain covered risks contained in their policy. "General principles of contract interpretation apply to insurance policies." Lobeck v. State Farm Mut. Auto. Ins. Co., 582 N.W.2d 246, 249 (Minn. 1998). "Interpretation of an insurance policy and application of the policy to the facts in a case are questions of law that we review de novo." Am. Family Ins. Co. v. Walser, 628 N.W.2d 605, 609 (Minn. 2001). "When interpreting an insurance contract, words are to be given their natural and ordinary meaning and any ambiguity regarding coverage is construed in favor of the insured." Id.

    Appellants claim that ten covered risks are triggered: (1) they do not have actual legal access to and from the land; (2) someone has an easement on the land; (3) someone has a right to limit their use of the land; (4) they are forced to remove existing structures on the land because the structures encroach on neighboring property; (5) their title is defective; (6) someone has an encumbrance on their title; (7) someone owns an interest in their title; (8) someone claims to have rights affecting their title arising out of fraud, duress, incompetency or incapacity; (9) their title is unmarketable; and (10) the map, if any, attached to the policy does not show the correct location of the land according to public records. 9

    Legal Access

    Appellants claim that they do not have legal access because Peterson owns the driveway. However, Peterson has not denied appellants use of the driveway and they still use it. Additionally, the property abuts a public road; thus, appellants have legal access to their property.

    Easement/Limit Use of Land/Remove Structures

    Appellants claim that Peterson has an unrecorded easement and because he owns the driveway, lakeshore, and septic cleanout, he could limit their use of the land and demand that they remove their fences and septic system. First, appellants provide no evidence of an easement. Second, the title insurance covers only the land legally described in the policy and the legal description does not include the driveway, the lakeshore, or the septic cleanout. Finally, nobody has demanded that appellants remove any structures. The policy covers actual loss, and because appellants have suffered no loss, their claim is currently either improper or premature.

    Title

    Appellants claim that their title is defective; it has an encumbrance; Peterson owns an interest in it; someone claims to have rights affecting title arising out of fraud, duress, incompetency or incapacity; and it is unmarketable. Appellants contend that they do not own the land depicted in the drawing and that Peterson has an encumbrance. The policy covers the legal description attached to the policy—the policy does not cover the loss that appellants claim because the legal description does not include the lakeshore, driveway, or septic system. Further, there is no evidence that the title appellants received 10

    is defective. Appellants have offered no argument for their claim that someone claims to have rights affecting title arising out of fraud, duress, incompetency or incapacity. Finally, appellants claim that their title is unmarketable because they have no vehicular access and diminished value because of the loss of lakeshore. However, appellants do have legal access and diminished value does not make their title unmarketable. Appellants have no evidence that their title is unmarketable because appellants have not shown that they have been unsuccessful in attempting to sell their property.

    Map

    Finally, appellants argue that a map is attached to the policy showing that they own lakeshore and the driveway. But a map was not attached to the policy. Appellants suggest that a "property sketch" was attached and serves to remove standard exceptions. But the sketch provides: "This is not a survey." Additionally, the sketch states that the locations are approximate, it is only for informational purposes, it is not to be considered a liability of the company, and is limited for mortgage purposes. Moreover, the record shows that appellants did not rely on the property sketch and that they were not even sure when they first looked at it. The record shows that the sketch was created for internal use only to verify access, if the home is within lot lines, and if there is new construction. The record also shows that generally, a sketch is not attached to a policy and is given to a buyer only upon request. Thus, the sketch was never intended to be used as a map. Because there are no genuine issues of material fact and the law was not erroneously applied, the district court did not err in granting summary judgment in favor of Lawyers.

    Affirmed.

    Tuesday, September 30, 2008

    A07-1311 Walnut Towers, Respondent, vs. Lori A. Schwan, Appellant

    Former St.Paul City Attorney and SMRLS Lawyer

    This opinion will be unpublished and may not be cited except as provided by Minn. Stat. § 480A.08, subd. 3 (2006).

    STATE OF MINNESOTA IN COURT OF APPEALS A07-1311 Walnut Towers, Respondent, vs. Lori A. Schwan, Appellant. Filed September 16, 2008 Reversed Hudson, Judge Blue Earth County District Court File No. 07-CV-07-1183 Walnut Towers, 105 East Walnut Street, Mankato, Minnesota 56001 (respondent) Tashi Lhewa, Southern Minnesota Regional Legal Services, Inc., 12 Civic Center Plaza, Suite 3000, Mankato, Minnesota 56002-3304; and Michael Hagedorn, 166 East Fourth Street, Suite 200, St. Paul, Minnesota 55101-1448 (for appellant)

    Considered and decided by Kalitowski, Presiding Judge; Hudson, Judge; and Collins, Judge.

    Retired judge of the district court, serving as judge of the Minnesota Court of Appeals by appointment pursuant to Minn. Const. art. VI, § 10. 2

    U N P U B L I S H E D O P I N I O N

    HUDSON, Judge

    On appeal in this eviction matter, appellant-tenant argues that the district court erred in (a) permitting respondent-corporation to appear in district court without the representation of a licensed attorney; (b) entering judgment in favor of respondent-corporation on the basis that appellant‟s request for reasonable accommodation would impose an undue financial and administrative burden on respondent-corporation; and (c) granting the request to evict appellant when appellant was not provided with the opportunity to meet with management before filing of the eviction action. Because the district court erred in allowing respondent-corporation to appear in district court without the representation of legal counsel, we reverse.

    FACTS

    In July 2006, appellant Lori Schwan entered into a lease agreement to rent a federally subsidized apartment from respondent Walnut Towers. In the following months, appellant was issued several "Notice of Lease/Rule Violations" for conduct that was allegedly in violation of her lease agreement. Finally, in March 2007, after a confrontation with her landlord, appellant was advised that her lease was terminated.

    After an eviction action was filed against appellant in April 2007, appellant filed, in district court, a memorandum in support of reasonable accommodation. Appellant claimed to be disabled as defined in 42 U.S.C. § 3602 (h) (2003), and requested that Walnut Towers provide her with a reasonable accommodation. At the eviction hearing, Mary Dundas, the manager at Walnut Towers, appeared on behalf of Lasson Management, the corporation that 3

    manages Walnut Towers. Appellant objected to Dundas appearing on behalf of the corporation because she is not a licensed attorney. The court overruled appellant‟s objection, stating that it is "the long standing tradition in Blue Earth County of not requiring incorporated landlords to be represented during eviction hearings." The district court then concluded that appellant "may have a disability as defined under 42 U.S.C. § 3602 (h)," but the "accommodation requested by [appellant] is unreasonable as it will impose undue hardships and/or undue financial and administrative burdens upon [Walnut Towers]." Thus, the district court entered judgment in favor of Walnut Towers. Appellant‟s eviction was stayed pending determination of this appeal.

    D E C I S I O N

    Appellant argues that the district court erred in permitting Walnut Towers, a corporation, to be represented by a non-attorney agent during eviction proceedings in district court. Questions concerning rules are questions of law, and we need not defer to the conclusions of law drawn by the district court from undisputed facts. See Reichel v. Hefner, 472 N.W.2d 346, 347 (Minn. App. 1991). Consequently, we review this issue de novo. See Frost-Benco Elec. Ass’n v. Minn. Pub. Utils. Comm’n, 358 N.W.2d 639, 642 (Minn. 1984) (stating that appellate courts review legal issues de novo).

    We initially note that appellant phrases the issue as one of jurisdiction, and that while appellant does not specify whether her argument refers to personal jurisdiction, subject-matter jurisdiction, in rem jurisdiction, or some other type of jurisdiction, the substance of her argument suggests that she is arguing that the district court lacked subject-matter jurisdiction. The issue presented, however, is not one of jurisdiction. In the past, this court 4

    has been presented with similar issues and has loosely used the term "jurisdiction" to conclude that a corporation may not appear in district court without the representation of a licensed attorney. See, e.g., World Championship Fighting, Inc. v. Janos, 609 N.W.2d 263, 265 (Minn. App. 2000) (holding that because a corporation could not appear in district court without an attorney, the district court was correct to conclude that it lacked jurisdiction to hear the case). More recently, the United States Supreme Court has cautioned against the misuse of the term "jurisdiction." Kontrick v. Ryan, 540 U.S. 443, 454–55, 124 S. Ct. 906, 915 (2004) (noting that "[c]ourts, including this Court . . . have more than occasionally [mis]used the term „jurisdictional‟"). In an effort to add clarity to the issue, this court recently stated that "[b]ecause the common law rule requiring that a corporation be represented by counsel in legal proceedings does not describe the classes of cases or persons within the district court‟s adjudicatory authority, the rule is not „jurisdictional.‟" Save Our Creeks v. City of Brooklyn Park, 682 N.W.2d 639, 643 (Minn. App. 2004), aff’d, 699 N.W.2d 307 (Minn. 2005). The Minnesota Supreme Court, on review, found this reasoning to be "persuasive" and adopted it. Save Our Creeks v. City of Brooklyn Park, 699 N.W.2d 307, 310 (Minn. 2005). Therefore, we reiterate that the issue of corporations appearing in district court without counsel does not involve the court‟s subject-matter jurisdiction to hear the case.

    We now turn to the district court‟s decision to allow Walnut Towers, a corporation, to proceed in the eviction action without the representation of legal counsel. In reaching this conclusion, the district court stated that: 5

    [Appellant‟s] counsel has raised the issue of [Walnut Towers] appearing in District Court without the assistance of an attorney. The Court has addressed this issue with [appellant‟s] counsel and reiterated the long standing tradition in Blue Earth County of not requiring incorporated landlords to be represented during eviction hearings. This policy is akin to the policy in other informal proceedings such as conciliation court. Ultimately, whether [Walnut Towers] is represented in Court by counsel would not change the facts or outcome of this case.

    Appellant argues that under Minnesota law, the district court‟s conclusion is erroneous. We agree. In Minnesota, a corporation must be represented by an attorney in legal proceedings. Nicollet Restoration, Inc. v. Turnham, 486 N.W.2d 753, 754 (Minn. 1992). "The purpose behind attorney licensing requirements „is the protection of the public and the courts from the consequences of ignorance or venality.‟" Id. (quoting Strong Delivery Ministry Ass’n v. Bd. of Appeals of Cook County, 543 F.2d 32, 33 (7th Cir. 1976)).1

    1 In addition, Minn. Stat. § 481.02, subd. 3(12) (2006), provides that "any authorized management agent of an owner of rental property used for residential purposes, whether the management agent is a natural person, corporation, partnership, limited partnership, or any other business entity," is not authorized to "appear before a district court or the court of appeals or supreme court pursuant to an appeal" if the agent it not a licensed attorney. We think the language of this statute comports with Nicollet Restoration, but we recognize that there could be alternative readings of this statute. Nonetheless, because the statutory construction of Minn. Stat. § 481.02, subd. 3(12), was not briefed in this appeal, we decline to address it. See Balder v. Haley, 399 N.W.2d 77, 80 (Minn. 1987) (stating that, generally, appellate courts will not consider issues not argued in the parties‟ briefs).

    In Nicollet Restoration, the supreme court rejected the argument that Minn. Stat. § 481.02, subd. 2 (1990), authorized a corporation to appear by or through a non-attorney agent. 486 N.W.2d at 755. The court stated that under the common law, a corporation still must be represented by a licensed attorney when appearing in district court because "a 6

    careful reading of Minn. Stat. § 481.02, subd. 2," does not permit an officer, employee, or agent appearing on behalf of a corporation in district court to be a non-attorney. Id. The court further noted that "[e]ven assuming that Minn. Stat. § 481.02, subd. 2, could be construed to permit a corporation to appear by or through a non-attorney agent, such a construction would raise serious constitutional problems." Id. The court then stated that under Article III, section I, of the Minnesota Constitution, the power to decide who may properly practice law before the courts of this state is vested solely in the judiciary. Id. Thus, the court held that "legislative enactments which purport to authorize certain classes to practice law in the courts of this state are not controlling upon the judiciary. As such, we reaffirm our conviction that a corporation must be represented by a licensed attorney when appearing in district court." Id. at 756.

    Here, despite the district court‟s attempt to carve out an exception for incorporated landlords to appear in eviction hearings without representation by legal counsel, we conclude that on this record, Nicollet Restoration controls, and there is no legal support for such an exception. See Save Our Creeks, 699 N.W.2d at 309 (stating that under Minnesota common law, a corporation must be represented by an attorney in legal proceedings); see also Nicollet Restoration, 486 N.W.2d at 756 (holding that "a corporation must be represented by a licensed attorney when appearing in district court"); Janos, 609 N.W.2d at 265 (stating that the legislature did not intend that some corporations be allowed to institute district-court actions without the aid of counsel while others would not). We fully acknowledge that the conciliation court rules permit a corporation to appear by a non-attorney in conciliation-court proceedings. See Minn. R. 7

    Gen. Pract. 512(c). We also recognize the supreme court‟s adoption of the rules for the "housing courts" in Hennepin and Ramsey counties, which permit incorporated landlords to appear without counsel, if their agents have the required "Power of Authority." See Minn. R. Gen. Pract. 603 (stating that "[n]o person other than a principal or a duly licensed attorney shall be allowed to appear in Housing Court unless the Power of Authority is attached to the complaint at the time of filing").2 But those rules do not apply to eviction proceedings heard in district court. When appearing before this court, our supreme court, or in district court, the law in Minnesota requires that a corporation must be represented by a licensed attorney. Therefore, given our role as an error-correcting court, we conclude that the district court erred in permitting the non-attorney agent of Walnut Towers to appear on behalf of the corporation in the eviction proceedings. Next, we address the appropriate remedy to be applied. In Save our Creeks, the issue before the supreme court was "whether a complaint filed and signed on behalf of a corporate entity by a non-lawyer is a legal nullity." 699 N.W.2d at 309. The court held that it was not a legal nullity, but it presented a curable defect. Id. at 310. The court then explained that

    2 We express no opinion at this time as to whether Minn. R. Gen. Pract. 603 is inconsistent with Minn. Stat. § 481.02, subd. 3. See Minn. R. Gen. Pract. 601 (stating that the rules pertaining to housing court "shall apply to housing court practice except where they are in conflict with applicable statutes").

    an amendment to add an attorney‟s signature to a corporation‟s complaint should be permitted when the following four elements are met: (1) the corporation acts without knowledge that its action was improper; (2) upon 8

    notice, the corporation diligently corrects its mistake by obtaining counsel, but in no event may it appear in court without an attorney; (3) the nonattorney‟s participation in the action is minimal; and (4) the nonattorney‟s participation results in no prejudice to the opposing party.

    Id. at 311.

    Under Save Our Creeks, the mere fact that an attorney did not sign the eviction complaint on behalf of Walnut Towers does not render the complaint void. See id. But in this case, unlike in Save Our Creeks, there was never any attempt to remedy the defect and Walnut Towers still has not retained counsel to represent it in this matter. Because the defect caused by the non-attorney appearance on behalf of Walnut Towers was not cured, the district court should have dismissed the eviction action, rather than proceeding to trial. Accordingly, we reverse the judgment in favor of Walnut Towers. In light of our decision, the additional issues raised by appellant are moot and, therefore, we decline to address them.

    Reversed.

    Thursday, August 28, 2008

    Diva's Bar_Unpublished 26Aug08

    http://www.mncourts.gov/opinions/coa/current/opa071599-0826.pdf

    This opinion will be unpublished and may not be cited except as provided by Minn. Stat. § 480A.08, subd. 3 (2006). STATE OF MINNESOTA IN COURT OF APPEALS A07-1599 DRJ, Inc., d/b/a Diva‟s Overtime Lounge, Relator, vs. City of St. Paul, Respondent. Filed August 26, 2008 Affirmed

    Harten, JudgeCity of St. Paul Council File No. 07-737 Marshall H. Tanick, Teresa J. Ayling, Mansfield, Tanick & Cohen, P.A., 1700 U.S. Bank Plaza South, 220 South Sixth Street, Minneapolis, MN 55402; and Andrew J. Dawkins, Law Office of Andrew J. Dawkins, 1700 U.S. Bank Plaza South, 220 South Sixth Street, Minneapolis, MN 55402 (for relator) John Jung-Hoon Choi, St. Paul City Attorney, Rachel Gunderson Tierney, Assistant City Attorney, 400 City Hall, 15 West Kellogg Boulevard, St. Paul, MN 55102 (for respondent) Considered and decided by Klaphake, Presiding Judge; Connolly, Judge; and Harten, Judge.

    Retired judge of the Minnesota Court of Appeals, serving by appointment pursuant to Minn. Const. art. VI, § 10. 2

    U N P U B L I S H E D O P I N I O N

    HARTEN, Judge

    Relator DRJ Inc., d/b/a Diva‟ Overtime Lounge (Diva‟), challenges the revocation of its licenses by respondent City of St. Paul (the city). Because evidence supports the city‟ findings of fact and conclusions of law and because the revocation was not arbitrary or capricious, we affirm.

    FACTS

    In June 2005, the bar at 1141 Rice Street in St. Paul began operating as Diva‟. Maintaining video surveillance cameras that operated during business hours was among the conditions imposed when Diva‟ obtained necessary operational licenses from the city.

    In May 2006, the city filed a notice of violation, alleging that Diva‟ had permitted after-hours consumption of alcohol and display of alcoholic beverages. Diva‟ appeared before the St. Paul City Council (the city council), which imposed a $500 fine and $2,800 in costs and required Diva‟ to close at 1:00 a.m. instead of 2:00 a.m.

    Two other events, not related to these violations, happened at Diva‟ later in 2006: a murder was committed inside the building in July, and the attempted murder of a patron leaving the building occurred in November.

    In December 2006, the city served on Diva‟ a notice of intent to revoke its licenses (the December notice). A hearing on the allegations in the notice was held in March and April 2007 before an administrative law judge (ALJ). During the hearing, the ALJ ruled that: (1) the city could not rely on the incidents in July and November 2006 3

    because they were still under criminal investigation; (2) the city could "submit and adduce testimony [about these incidents], in the same manner as . . . other historical events in the hearing record—such as meetings, inspections or police calls—are referenced"; but (3) [the incidents may] not form the basis of an adverse licensing action."

    In April 2007, while the ALJ‟ decision on the December notice was pending, Diva‟ received another notice of violation (the April notice). A hearing on the April notice before a second ALJ resulted in that ALJ concluding that Diva‟ had violated Minn. Stat. § 340A.502 (2006) by serving alcohol to an intoxicated person and had violated St. Paul, Minn., Legislative Code § 310.06(b) (2006) by failing to comply with its obligation to provide the city‟ police with surveillance videotapes. The second ALJ‟ order recommended that the city "take appropriate action against [Diva‟] licenses."

    The first ALJ released his order pertaining to the December notice in June 2007. He concluded that Diva‟ committed six violations of code or license requirements, to-wit: (1) and (2) Diva‟ twice failed to comply with the video surveillance requirement; (3) Diva‟ did not obtain the required building permit before building a smoking patio; (4) Diva‟ did not apply for a building permit before renovating a kitchen exhaust system; (5) Diva‟ did not apply for a permit to display signs and violated limitations on the size of signs; and (6) Diva‟ did not timely pay a fine imposed at Diva‟ initial appearance before the city council. The ALJ also concluded that the city did not establish by a preponderance of evidence that Diva‟ conduct endangered the community and 4

    recommended that the city impose "a weighty administrative sanction" but not revoke Diva‟ licenses.

    In August 2007, the city council held a public hearing on the recommendations of both ALJs. Following the hearing, the city adopted both ALJs‟findings of violations and found in addition that Diva‟ had unreasonably annoyed or endangered a number of members of the public. The city council revoked Diva‟ licenses. Diva‟ challenges the revocation.1 D E C I S I O N "[W]hen examining quasi-judicial municipal proceedings, we review the evidence only to determine whether it supports the findings of fact or the conclusions of law, and whether the municipality‟ decision was arbitrary or capricious." In re Dakota Telecomm. Group, 590 N.W.2d 644, 646 (Minn. App. 1999). 1. Does Substantial Evidence Support the City’s Findings?

    1 Both the city and this court denied Diva‟ motions to stay the revocation pending appeal. See DRJ, Inc. v. City of St. Paul, 741 N.W.2d 141, 143, 45-46 (Minn. App. 2007) (holding that the city‟ denial of Diva‟ motion for a stay pending appeal was not an abuse of discretion).

    Code § 310.06(b) provides that a license may be revoked because "(5) [t]he licensee or applicant has failed to comply with any condition set forth in the license, or set forth in the resolution granting or renewing the license," or "(8) [t]he licensed business, or the way in which such business is operated, maintains or permits conditions that unreasonably annoy, injure or endanger the safety, health, morals, comfort or repose 5

    of any considerable number of members of the public." St. Paul, Minn., Legislative Code § 310.06(b)(5), (8) (2006). a. Code § 310.06(b)(5)

    The city based its revocation in part on the conclusion that "[eight] violations [of laws, codes, or license conditions,] with one prior sustained adverse action, form a sufficient basis for license revocation." Diva‟ does not challenge three violations: failure to comply with signage requirements, failure to timely pay the fine imposed at Diva‟ first appearance, and serving alcohol to an intoxicated patron.

    Three of the remaining five violations involved failures to provide surveillance videotapes. One ALJ found that, when police requested tapes for the night of 2-3 March 2007 to see if Diva‟ had served an obviously intoxicated individual, the tapes Diva‟ provided were "useless for determining whether [Diva‟] had served [the individual] when he was intoxicated" because: (1) they "did not show camera angles from outside" and "revealed only about one-fourth of the service area inside"; (2) they "switched between one date and another and switched from black and white to color"; (3) "[i]n some shots, patrons wore shorts and short sleeves, although the tape was to have [been] recorded March 2nd"; (4) "[i]n other shots, patrons were smoking, indicating that the video could not have been [recorded on 2 March 2007], by which date smoking had been banned entirely from bars"; and (5) at some points, "[t]he portion of the tape . . . was recorded at 16 times normal speed." The other ALJ found that, when police sought tapes for the night of 12-13 September 2006 to investigate a fight, a videocassette Diva‟ provided on 20 September was blank; a viewable tape was provided on 4 October but the 6

    date-line on it was not the tape for the date requested; and, about a month later, police ultimately obtained tapes and recording equipment with a warrant. Diva‟ does not dispute any of the ALJs‟videotape findings.

    A fourth violation was the constructing, without the required permit, of a smoking patio that did not comply with legal requirements. Diva‟ challenges this procedurally, arguing that the city is estopped from considering the patio violation because the city allegedly told Diva‟ to remove the patio by 2 August 2006 and Diva‟ removed it on 1 August. But the city found that the office of License, Inspection, and Environmental Protection (LIEP) had informed Diva‟, as it had informed all other licensees, of the requirements for a smoking patio at the time the smoking ban came into effect. Diva‟ then built a non-complying patio, without a permit, in April 2006. On 26 June 2006, the city directed Diva‟ to either furnish a site plan or remove the patio by 3 July 2006, or face legal action. Diva‟ did not remove the patio. After the murder at the premises on 13-14 July 2006, Diva‟ was again told to remove the patio or bring it into compliance, this time by 2 August 2006. Thus, Diva‟ ignored both the city‟ directives on how to build a patio and its first order to remove the patio and complied only with a second order, by which time the patio had existed for four months.

    A fifth violation involved an exhaust hood in the kitchen. Diva‟ again argues that the city is estopped from raising this issue because, in a letter dated 26 July 2006, the city told Diva‟ that it "shall not use the kitchen exhaust hood until the building inspector has given written approval" and the exhaust hood was never used. But Diva‟ estoppel argument ignores two other letters Diva‟ received from the city, one on 28 July 2006 and 7

    the other on 4 October 2006. Both letters said that the exhaust hood had to be removed or brought up to compliance. The first letter provided 31 August 2006 as the last day to comply without penalty; the second letter referenced the first and set 18 October 2006 as a "final opportunity" to correct the problem. Thus, failing either to remove the hood or to bring it into compliance was a violation. Substantial evidence supports the findings that Diva‟ in eight instances failed to comply with the conditions set forth in its licenses, thereby violating Code § 310.06(b)(5) and providing a basis for revocation.

    b. Code § 310.06(b)(8)2

    2 Code § 310.06(b)(8) is almost identical to Minnesota‟ public nuisance statute, which provides that it is a misdemeanor to "maintain[] or permit[] a condition which unreasonably annoys, injures or endangers the safety, health, morals, comfort or repose of any considerable number of members of the public." Minn. Stat. § 609.74(1) (2006). 3 The city also gave "violations of the license conditions" as a factor supporting revoking Diva‟ licenses under Code § 310.06(b)(8). While these violations furnish an independent basis for revocation under Code § 310.06(b)(5), they do not meet the "unreasonably annoy, injure or endanger the safety, health, morals, comfort or repose of any considerable number of members of the public" criterion of Code § 310.06(b)(8).

    The city based its conclusion that Diva‟ had violated Code § 310.06(b)(8) on eight factors: (1) an increase in police calls to the area; (2) large street fights involving Diva‟ patrons; (3) modification of police patrol patterns to accommodate Diva‟; (4) neighborhood noise; (5) the concern of police officers for their own safety in dealing with situations at Diva‟ because of large crowds; (6) proximity of Diva‟ to a residential neighborhood, school, and church; (7) citizen complaints; and (8) failure of community efforts to resolve issues with Diva‟.3 Substantial evidence supports these factors. 8

    The first factor, an increase in police calls, is supported by exhibits showing that there were 117 police calls to Diva‟ area between its June 2005 opening and March 2007 (22 months), as opposed to 43 police calls in the 22 months preceding June 2005, and that many of the 117 calls were for fights and/or led to arrests.

    The second, third, fourth, and fifth factors—street fights, changes in police patrol patterns, neighborhood noise, and officers‟concern for their own safety—are supported by testimony from six police officers.

    One officer testified that, at about 2:00 a.m. on 20 November 2005, she was driving past Diva‟ and observed about 30 people fighting in the street, that the people did not respond to requests to clear the area, and that about ten squad cars were summoned to assist. When asked, "Could you tell where the people were coming from?" she answered, "They were coming out of Diva‟ bar." When asked, "Did you see them coming out of Diva‟ bar?" she answered, "We did." The officer testified that she would have been concerned for the safety of someone who happened to walk by and that the situation was disruptive to the neighborhood.

    A second officer testified that he was sent to Diva‟ on 17 June 2006 at about 2:00 a.m.; that he found one man unconscious in the street after apparently having been hit with a brick; that the crowd numbered at least 30 people; that the officer assumed they came from Diva‟ and knew of nowhere else they could have come from; that he did not remember seeing Diva‟ security guards present; that at least 14 officers were needed to control the situation; and that he was concerned for the officers‟safety. 9

    A third officer testified that he was driving by Diva‟ at the time of the 17 June 2006 incident, saw a crowd of between 50 and 60 people, got out of his squad car to try to control the crowd, had to radio for assistance, and saw people coming out of Diva‟ and fighting. A fourth officer, testifying about yet another incident, answered the question, "Was the crowd [outside Diva‟] loud?" with "They were fighting, obnoxious, yelling." A fifth officer testified that "It was known [to officers] that when it got close to bar clos[ing time], that we had to go up around that [Diva‟] area because of the continued problems that we had up there as far as fights." The sixth officer testified that, "The midnight sergeant said there was a lot of problems at the Diva‟ Bar . . . and he asked the officers if anybody had any downtime, when they were not taking calls, to please drive up there and just make sure that there‟ no problems going on up there." This officer also testified that she had used her loudspeaker to tell two groups of fighting patrons "to break it up, go home, keep walking," but that they "weren‟ listening to our orders to go home."

    The testimony of these six officers provides substantial evidence to support the findings that large fights involving Diva‟ patrons occurred in the street outside Diva‟, that police officers changed their patrol patterns because of the situation at Diva‟, that Diva‟ was a source of noise in the neighborhood,4 and that officers feared for their own safety because of occurrences at Diva‟.

    4 Diva‟ claims that "noise" was not an appropriate basis for the revocation because noise was not mentioned in the notice of intent to revoke. But the notice of intent to revoke 10

    listed an incident on 28 April 2006 when an officer near Diva‟ observed "a large group of people yelling who can be heard from 80 feet away."

    The sixth, seventh, and eighth factors—Diva‟ proximity to church, school, and residence, citizens‟complaints, and the failure of community efforts to resolve issues with Diva‟—were supported by testimony from the city‟ director of LIEP. When asked how he became aware of Diva‟, he testified that, soon after becoming LIEP director, he "began to meet with neighborhood groups and organizations talking about the position, and [Diva‟] frequently came up." He recounted complaints made through a computerized complaint system about loud music at all hours, about Diva‟ dumping dirty water under a nearby store, about an obscene sign, about a sign saying "Smoking permitted" because Diva‟ was a "private club," and about patrons so loud between 1:00 and 2:30 a.m. that a neighbor two blocks away had to close her windows. The LIEP director reported that one complainant had said, "Diva‟ had brought a trashy element to the neighborhood . . . patrons wander the streets and yell at each other." The record also includes a number of email complaints from neighborhood residents.

    The LIEP director testified about complaints made to him personally about Diva‟ "hours of operation, of late at night the loud music, reports of fights and unfortunately of gunshots being fired and people actually being shot, killed and wounded." The LIEP director also testified about an occasion in July 2006 when he

    had an opportunity to meet with over 150 neighbors in a very large meeting, and to a person they expressed to me their concern about public safety as a result of the way that this particular establishment [Diva‟] was being operated. . . . [I]t‟ the nature of the fights, of the large, loud interactions of people outside of the establishment, and again the gunshots, 11

    the people being shot, and the fear that people have for that establishment being . . . right across the street from a school.

    The LIEP director explained that he was familiar with the neighborhood where Diva‟ was located and that what had been "a very safe, very sound neighborhood" was now a place "where [people] feel threatened in their own particular neighborhood, where they don‟ feel safe actually walking out of church at night to their cars." He believed that this was "solely due to the way this particular bar is operating, when it has been a bar for many, many, many years and we had not had complaints like that."

    When asked how he responded to all the complaints, the LIEP director said, "[W]e met in a number of meetings . . . to try to fashion conditions that would be placed on the license [issued to Diva‟s] that would assure that the establishment could operate, continue to operate, and at the same time would be safe to the rest of the neighborhood." He testified that, after the murder at Diva‟, meetings were held "to develop conditions to assure the safe operation of that establishment, to protect the neighborhood and to maintain the license holder‟ right to operate." This testimony supports the findings that Diva‟ was close to a school, a church, and private residences; that citizens had complained about Diva‟; and that efforts to resolve issues with Diva‟ had failed.

    Diva‟ argues that some evidence indicates that Diva‟ did not violate Code § 310.06(b)(8), i.e., that it did not "maintain[] or permit[] conditions that unreasonably annoy, injure or endanger the safety, health, morals, comfort or repose of any considerable number of members of the public." But the city‟ findings must be supported by substantial evidence, which is "such relevant evidence as a reasonable mind 12

    might accept as adequate to support a conclusion." Nat’l Audubon Soc’y v. Minn. Pollution Control Agency, 569 N.W.2d 211, 215 (Minn. App. 1997), review denied (Minn. 16 Dec. 1997). It is unnecessary that all the evidence favor the finding of a violation.

    To summarize, substantial evidence supports the findings that Diva‟, in eight instances, "failed to comply with any condition set forth in the license, or set forth in the resolution granting or renewing the license" under Code § 310.06(b)(5); and that Diva‟, or the way in which Diva‟ was operated, in eight further instances, "maintain[ed] or permit[ted] conditions that unreasonably annoy, injure or endanger the safety, health, morals, comfort or repose of any considerable number of members of the public" under Code § 310.06(b)(8).5 2. Was the Decision to Revoke Diva’s Licenses Arbitrary or Capricious?

    5 Diva‟ also argues that the city council erred in relying on evidence of the murder and the attempted murder occurring on Diva‟ premises, but admits that "it may never be known with certainty whether the City Council improperly considered the July and November 2006 incidents[] when it voted to revoke." The ALJ ruled that the city council "may not rely on [these incidents] to establish that [Diva‟ violated] . . . Code 310.06(b)(8)" but that the city could "submit and adduce testimony [about these incidents] in the same manner as to which other historical events in the hearing record—such as meetings, inspections or police calls—are referenced." The ALJ also noted that "due process requires that [the incidents] not form the basis of an adverse licensing action." The only extensive testimony about the murder was provided by Diva‟ manager in response to questions from Diva‟ counsel, over the city‟ objection. The city produced ample evidence, exclusive of these incidents, to justify the revocation. Thus, those incidents did not form the basis of this adverse licensing action.

    Code § 310.05(m) provides a matrix of penalties for violations based on the number of appearances the licensee has had before the city council. St. Paul, Minn., Legislative Code § 310.05(m) (2006). For example, violations of conditions placed on a 13

    license or of relevant provisions of the code are punishable by a $500 fine after the first appearance; a $1,000 fine after the second appearance; a $2,000 fine and a ten-day suspension after the third appearance; and revocation after the fourth appearance. Id. Code § 409.26(b) provides another matrix specifically for those holding licenses to sell alcoholic beverages. St. Paul, Minn., Legislative Code § 409.26(b) (2006). For example, the sale of an alcoholic beverage to an intoxicated person is punishable at the first appearance by an unspecified fine; at the second appearance by an unspecified fine; at the third appearance by a suspension of the license for up to 18 days; and at the fourth appearance by revocation of the license. Id.

    The penalties stated in the matrices "are presumed to be appropriate for every case; however the council may deviate therefrom in an individual case where [it] finds and determines that there exist substantial and compelling reasons making it more appropriate to do so." St. Paul, Minn., Legislative Code §§ 310.05(m), 409.26(a). When deviating, the city council must "provide written reasons that specify why the penalty selected was more appropriate." Id.

    Diva‟ argues that, because this was only its second appearance before the city council, it was subject only to a fine of $1,000 under Code § 310.05(m) or an unspecified fine under Code § 409.26(b), and not to revocation. But the city council "considered all the evidence contained in the record for both hearings" before the ALJs and resolved "that these two separate actions having come before the Council at one time are more efficiently given one sanction." Therefore, the appearance at issue here was in reality a consolidation of what would have been Diva‟ second and third appearances. 14

    In revoking Diva‟ license, the city council treated this as a fourth appearance, saying it found "[five] substantial and compelling reasons to deviate from [the] presumptive penalty [for a third appearance under Code § 310.05(m)]." First, "[b]oth Notices alleged more than one license violation . . . and in both cases more than one license violation was proved." Second, "[t]he violation of . . . Code § 310.06(b)(8) [wa]s a serious violation that indicates Diva‟ poses an immediate threat to public safety." Third, if Diva‟ had had a separate appearance before the city council for each violation, revocation would have been imposed after the fourth violation. Fourth, Diva‟ had multiple violations after it agreed to add conditions to its license, demonstrating that adding conditions to its license was ineffective. And fifth, in some instances Diva‟ had not complied with license conditions until the city took further action.

    Diva‟ claims that one member of the city council "tried to blur the distinction between violations and appearances in determining the penalty." But the code clearly intends to make penalties commensurate with the type of violation and the number of times it was committed, not with the number of times an offender appears before the council. See St. Paul, Minn., Legislative Code §§ 310.05(m)(ii)-(iii), 409.26(c) (providing that "[t]he occurrence of multiple violations shall be grounds for departure from such penalties [in the matrix] in the council‟ discretion"; and that unless the licensee admits the facts of a subsequent violation and stipulates to its addition to the notice, "violations occurring after the date of the formal notice of hearing shall be the subject of a separate proceeding and dealt with as a „2nd [or subsequent] appearance‟before the council"). 15

    Diva‟ contrasts its situation to that in BAL, Inc. v. City of St. Paul, 469 N.W.2d 341 (Minn. App. 1991) (upholding revocation of a bar‟ license), to argue that the revocation was not permitted by the code and was arbitrary and capricious because Diva‟ was given the same penalty as another licensee whose violations were more severe.

    As happened here, the city council in BAL revoked the license of The Wabasha Bar on its third appearance, even though the ALJ had not recommended revocation. 469 N.W.2d at 342-43. This court affirmed the revocation. Id. at 343. Diva‟ argues that BAL is distinguishable on its facts but the distinctions are insignificant. In BAL, "[w]itnesses and police officers testified they saw bar patrons leave the premises with drinks, congregate outside, and engage in loud and sometimes unruly behavior," id., whereas here, several police officers, but no other witnesses, testified to similar behavior of Diva‟ patrons. In BAL, the owner of a neighboring apartment building testified that he had lost business because of the bar; here, the LIEP director testified to complaints he had received from neighborhood residents and business owners. Moreover, The Wabasha Bar did not violate its on-sale license conditions or the building code. The situation of The Wabasha Bar in BAL is sufficiently similar to that of Diva‟ to show that imposing the same penalty on Diva‟ was not arbitrary or capricious. Thus, BAL does not indicate that the revocation of Diva‟ license was arbitrary or capricious. 16

    We conclude that substantial evidence supports the findings that Diva‟ violated the conditions of its licenses and operated in such a way as to endanger members of the public and that the city‟ decision to revoke its license was not arbitrary or capricious.

    Affirmed.

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