ANALYSIS OF AUGUST 30, 2019 SUPREME COURT OPINIONS

 

 

(Posted August 30, 2019) For the seventh straight business day – a string that is likely unprecedented in the long history of our Commonwealth and its highest court – the Supreme Court of Virginia issues decisions today. There are two new published opinions this morning, leaving one solitary appeal undecided from the cases argued before now. (It’s possible that the court could decide that one by unpub later today.) We are walking an unmapped path.

 

Criminal law

A suppression motion is the only appellate issue in Hill v. Commonwealth. Here’s the setup: Two veteran police detectives saw a car parked in a “high crime, high drug area” of Portsmouth one April afternoon. They saw Hill sitting alone in the car, in the driver’s seat. Here’s how the court describes the scene (omitting appendix citations):

[Hill] was “leaning back in the seat watching” and not “moving around.” The detectives made a U-turn and observed Hill for approximately “a minute or so.” As the detectives pulled up near Hill’s vehicle, Hill began “looking up and down, up and down, and he was constantly doing a bunch of movement inside of the vehicle.” The detectives pulled up “right beside [Hill’s] vehicle” and parked approximately 25 feet away without using any lights or sirens. Wearing their “police vest[s]” and “badge[s] of authority,” the detectives walked up to Hill “on the driver’s side of the vehicle, at which time when [they] approached [Hill], he put his left hand on the steering wheel and then … he turned his back and head away from [them]” and “began digging with his right hand between … the driver’s seat.”

The detectives feared that Hill was reaching for a gun. They identified themselves as police and shouted, “Show us your hands” several times, but Hill just “kept digging around inside the vehicle.” That was enough for the detectives; they opened the door and yanked Hill outside. A quick search under the driver’s seat revealed a stash of cocaine.

Hill moved to suppress the evidence, claiming that the police had no right to search him. He asserted that the seizure was not a valid Terry stop because police couldn’t articulate any suspected criminal activity. The trial court felt that the officers had a legitimate fear that they might be facing a deadly weapon, so the court denied the motion to suppress.

Justice Kelsey writes today’s opinion for a divided court. He concludes that the trial judge got it right: These officers, seeing a suspect reaching into a concealed area at their approach, could easily have been in peril of being shot at point-blank range if the object of Hill’s search was indeed a concealed weapon. In my former life as a local-government lawyer, I represented a lot of police officers, so I’m keenly aware of officer-safety concerns. When I finished reading the majority opinion, I was convinced that it was the correct result.

That view did not survive my reading of the third paragraph in Justice Millette’s dissent, in which Justice Mims joins. The dissent points out that Terry analysis is a two-phase endeavor, and the majority has jumped straight to the second step, while ignoring the first one: The police have to have an articulable suspicion of some likely criminal activity before they conduct a Terry stop. Justice Millette begins by quoting this line from a Fourth Circuit ruling in a Terry appeal: “[A]n officer may not conduct a protective search to allay a reasonable fear that a suspect is armed without first having a reasonable suspicion that supports an investigatory stop.”

There are more quotations in the dissent to the same effect, but it comes down to this: If the only thing necessary for a Terry stop is that the officer fears that his safety might be at risk, then the Fourth Amendment is an empty promise. Any police officer could stop and frisk any person in any situation, simply by claiming a subjective fear of personal harm.

The Terry doctrine requires more. As the dissent notes, the stop must be objectively reasonable, and that requires objective facts to back up a claim that the officer legitimately feared for his safety. The only factor supporting such a claim was the location – high-crime, high-drug – while other circumstances here militated against such a conclusion. The encounter was in broad daylight; Hill was just sitting in a car; and while weapons often accompany drug activity, one of the detectives here acknowledged that he had never recovered a weapon in all his previous work in that area.

I don’t handle criminal appeals, so I’m loath to offer bold opinions on criminal rulings. But I believe that the Fourth Amendment groans at today’s decision. If police really can jump straight to the “I was legitimately fearful” justification for a stop-and-frisk encounter, without naming any specific suspected crime, we are all less free.

 

Torts

Justice Kelsey also gives us the majority opinion in today’s other opinion. Our Lady Of Peace, Inc. v. Morgan is a lawsuit against a nursing home alleging that an employee raped an 85-year-old resident. This one features quite a procedural novelty.

There seems little doubt that the employee committed the rape. The home tasked him with personal care of residents – dressing, bathing, etc. – and he pleaded guilty in a criminal court to the assault. The resident’s personal representative sued the employee and added claims against the home based, among other things, on respondeat superior.

In an action like this, the plaintiff has the burden of proof on a respondeat superior claim. But a showing that the employee was working for the employer at the time creates a rebuttable presumption (of the bursting bubble variety, for those evidence geeks among you) that the employee was acting within the scope of the employment. There’s no dispute here that that presumption applied.

The home answered the suit in part with a special plea in bar on respondeat superior liability. Neither party demanded a jury on the plea, so the issue came before the trial court in an ore tenus hearing. At that hearing, the home called only one witness, its executive director, who said nothing about the assault. She instead “generally described Our Lady of Peace’s policies and practices, the regulations to which it was subject, the role of nursing assistants, [the employee’s] employment record, and the medical and daily-activity assistance provided to [the resident].”

The personal rep replied that the question whether the assault was within the scope of employment was ultimately for the jury to decide. The trial court took the matter under advisement and eventually issued an order, ruling in favor of the personal rep. But instead of finding that the issue was unripe for immediate decision, the court handed the personal rep an unexpected boon: It ruled that the act was indeed within the scope of the employment. It later barred evidence relating to the scope-of-employment issue and issued a peremptory jury instruction, taking the issue away from the jury.

That jury returned a verdict of $1.75 million in damages against the home and the employee. Both appealed, but the justices awarded the home only an appeal. Today a majority of the court reverses and remands the case for a new trial.

Justice Kelsey, again writing for the court’s majority, chides the trial court for deciding a special plea based solely on allegations in pleadings. That’s the process for a demurrer, while a plea raises a distinct issue – usually one of fact – that makes the rest of the issues in the case irrelevant. The majority would hold the personal rep to the position it asserted in response to the plea, that this was a question for the jury at trial, and today it remands for just that proceeding.

Justices Mims and Powell see this differently. The home elected to roll the dice on the respondeat superior issue by presenting it to a judge. But at the evidentiary hearing on that plea, the home adduced insufficient evidence to win on that issue. What does that mean?

It means, in the dissent’s view, that the home’s argument was foreclosed when the dice came up snake-eyes. That is, it’s the home that should be held to its strategic decision, and when that backfired, that’s the end of that issue; the rest of the case is for the jury.

There’s more. Justice Mims, who has a devilish sense of irony, takes pains to quote an authoritative source in arguing that “[t]he litigants—not the judges—determine the issues to be decided, the facts to be presented, and the range of remedies to be sought.” That source is an article by Justice Kelsey himself. The dissent uses this passage to illustrate that when the litigants decide to use a given approach to resolving a dispute, it isn’t up to the judge to second-guess them. Justice Mims also cites a recent SCV opinion, also authored by Justice Kelsey, on the presumption issue.

The dissent also identifies one other point that, if they’re right, has ominous overtones for appellate practice. Noting that the home had below asked the trial court to make a factual finding in its favor, only to have that finding go the other way, the dissent points out that the home doesn’t contend on appeal that the trial court got the facts wrong. “Indeed, it acknowledges on brief that it ‘does not contend that the Circuit Court “erroneously resolved the facts.”’”

Why does this matter? In the dissent’s next sentence, it accuses the majority of “ignor[ing] the arguments Our Lady of Peace actually made and instead revers[ing] the trial court for a reason that was not advanced in Our Lady of Peace’s briefing or oral argument: that it was impossible for the trial court to reach its conclusion based on the limited evidence presented at the plea-in-bar hearing.” That is, the home never made the argument in the appellate court that the majority seizes on to reverse. The dissent understandably calls this approach “wrong-result-wrong-reason,” something the Supreme Court has never done before other than on jurisdictional grounds.

Is this the new normal? Will Supreme Court majorities start finding unpleaded reasons to reverse, instead of limiting the “wrong reason” remedy to affirmances? I doubt it. This appears to be a case-specific approach, one driven by the need to reach a particular appellate outcome in this appeal. In short, don’t assume that the justices will do this for you in your appeal.

That leaves us with proceedings on remand. There’ll be another trial, of course, unless the parties settle. The employee’s liability is fixed, so retrial will relate only to the home’s potential liability. The home had asked the Supreme Court to rule as a matter of law that it isn’t liable for this criminal assault, since that clearly exceeded the scope of the employee’s authorized duties. The court balks at that, holding that as the personal rep pleaded it, it is indeed a matter for the jury. You’ll find the customary language in the majority opinion, stating that the appellate court takes the facts as the personal rep pleaded them. You’ll also see a passage – by now also customary – on page 16 expressing essentially unveiled skepticism that the plaintiff can actually prove the case.

Justice McCullough, joined by Justice McClanahan, files a concurring opinion, joining fully in the majority but expressing grave reservations that an employer can be liable for a rape. That abhorrent act, these justices feel, deviates much too far from the employee’s authorized activities for the employer to have to answer for it. The dissenting justices approach this entire discussion by describing it as unnecessary dicta, and condemning it as “overruling sub silentio a sizeable portion of this Court’s respondeat superior precedent.”

While I’ve spent plenty of space exploring this decision, I’m still concerned that I’m not doing it justice. The discussion on both sides of the question is fascinating; this case merits your full reading for the joy of the analysis, in addition to the procedural lessons it imparts.

 

*   *   *

 

The court’s release of these two decisions means that the justices have decided all but one appeal argued to date. That sole outlier, Tingler v. Graystone Homes, was argued in June. As I mention above, the court still might release an unpublished order later today, in which case the court will have achieved a truly rare 100% clearance rate. This, too, is an unexplored path for those of us who follow appellate developments here in Virginia.

Finally, I’ll add a note of gratitude. I’ve noted my surprise at the unexpected distribution of opinions over the past week. I speculated that it had something to do with Justice McClanahan’s impending retirement. Peter Vieth of Virginia Lawyers Weekly inquired and got the following response from the court. I’m very grateful to him for sharing it with me; you should see an article from him today on the paper’s website.

In the past, the Court occasionally handed down an opinion wherein a footnote explained the participation of a justice in the opinion after death or retirement.   For example, in Commonwealth v. Smith, 281 Va. 582 (2011), which was handed down on April 21, 2011, a footnote stated:

Former Chief Justice Hassell presided and participated in the hearing and decision of this case before his death on February 9, 2011; Justice Koontz participated in the hearing and decision of this case prior to the effective date of his retirement on February 1, 2011; Justice Kinser was sworn in as Chief Justice on February 1, 2011.

Additionally, in Ellis v. Commonwealth, 281 Va. 499 (2010), the opinion of the Court was authored by Justice Barbara Keenan and handed down on April 15, 2010.  A footnote in the opinion stated:

Justice Keenan participated in the hearing and decision of this case prior to her retirement from the Court on March 12, 2010.

Subsequent to the cases cited above, the court changed its practice. Now a Justice’s vote will not be counted in any case unless the Justice served in that capacity on the date of the handing down of the Court’s opinion or order. With regard to an opinion, the mandate that follows is a ministerial act of the clerk and will not have any bearing on the date the vote is counted.

Justice Elizabeth McClanahan is retiring from the Court on September 1, 2019.   In order to have her vote counted on the cases upon which she sat, under these circumstances, the Court decided to hand down opinions or orders as they became otherwise final and ready for release.


ANALYSIS OF AUGUST 29, 2019 SUPREME COURT OPINION

 

 

(Posted August 29, 2019) Another day, another decision from the Supreme Court of Virginia. Today we get an important ruling in the field of eminent domain, including an expansive discussion of the framework for proving a reasonable probability of rezoning. Today’s appeal is Helmick Family Farm, LLC v. Commissioner of Highways.

The subject property is in a beautiful part of the Commonwealth, just east of downtown Culpeper. The farm comprised 168 acres and was zoned Agricultural. The Commissioner took two acres in fee, plus a little over half an acre in easements, in connection with a road project.

Despite its zoning, the farm was near other property zoned for commercial or industrial use. The landowner sought at trial to adduce evidence of the property’s value, considering the probability that part of it – including the area that the Commissioner condemned – would be rezoned to permit a similar, more intensive use. The landowner hired a land planner to testify about the zoning probability, and an appraiser to opine about the value given the likelihood of that rezoning.

The Commissioner objected to this testimony on the basis that it was speculative. The trial court agreed and excluded it, leading to a one-sided trial: The Commissioner called an expert who estimated just compensation based on a low per-acre figure, reflecting the Agricultural zoning, and the condemnation commissioners returned a report that tracked almost exactly the condemnor’s number.

Today, the Supreme Court takes up an issue that Justice McCullough’s majority opinion describes as unaddressed in the court’s previous jurisprudence: “whether evidence concerning the reasonable probability of a rezoning is admissible in a condemnation proceeding.” Previous decisions have talked all around this precise question, and today the court rules squarely that it is indeed admissible. Land that is likely to be upzoned will understandably be more valuable to a prospective buyer than is land that has no reasonable prospect of changing from a lower zoning classification.

I found the most important part of today’s majority opinion to be part C, on pages 13-15 of the slip opinion. This discussion sets out key “parameters” of admission of such evidence, including the burden of proof (it’s on the landowner), the initial decisionmaker (the trial judge has a gatekeeper function here to determine if the rezoning probability is reasonable), the factors to consider, and the duty to discount the value because any prospective rezoning is not yet complete.

Three justices file a partial dissent. Justice Goodwyn writes on behalf of Justices McClanahan and Powell. The dissent takes no issue with the holding that this evidence is generally admissible, and agrees with the guidelines in part C of the majority. That means that those holdings enjoy unanimous judicial approval, and you should regard them as firmly established going forward.

The dissent parts company with the admissibility of the landowner’s specific expert testimony here, finding that there was no proof that rezoning was truly “reasonably likely” for this site. The landowner pointed to, for example, no evidence of demand for commercial or industrial property near this farm. Justice Goodwyn cites earlier SCV decisions holding that future developments are remote and inadmissible if they depend on contingencies outside the landowner’s control. The dissent feels that a rezoning is an act outside the landowner’s control here, so the evidence should be inadmissible.

Who’s right? In one sense, the side that gets four votes is, because the Supreme Court is the court of last resort in cases like this. But I agree with the majority here. Here are two sentences from the dissent that I find impossible to reconcile:

“I agree with the majority opinion that the reasonable probability of rezoning of property taken through condemnation may be relevant to the property’s fair market value ….”

“The future approval of rezoning by the County is a contingency outside the control of the landowner.”

I don’t think you can have this both ways. If the probability of rezoning is relevant, and if (as the dissent specifically states) there is a proper framework for admitting evidence of it, how can you bar such evidence by saying that it’s out of the landowner’s hands? The ultimate decision on rezoning will always be out of any landowner’s hands, and if you hold that that makes it remote and speculative, then such evidence will always be inadmissible.

The dissent suggests that one key factor is whether rezoning proceedings are already underway. Here, they weren’t; the Commissioner filed a certificate of take before the landowner did anything to try to rezone any portion of this farm. In future cases, this may be a key factor, but given today’s majority ruling, it isn’t essential to secure the admission of the evidence.

The justices reverse the judgment today and remand for a new trial.

 


NEW DAVID-GOLIATH INDEX

 

 

(Posted July 15, 2019) I’m a bit overdue in reporting on the justices’ voting patterns in the second quarter of 2019. This feature, which I instituted early last year, collects results from published rulings (opinions and published orders) from the Supreme Court of Virginia, where those appeals have an identifiable Big-Guy-vs.-Little-Guy dynamic. About 15 years ago, each side was winning roughly half of the time on appeal, which is the sort of distribution you’d expect. Trial judges aren’t perfect – a fact for which we appellate lawyers are profoundly grateful – and they’re as likely to err in favor of either side as the other.

But I noticed that the voting started to shift a few years ago, to the point that Goliath was winning far more than was David. I decided to keep track of the results and report them here. In 2016 and 2017, Goliath hit an admirable high-water mark, prevailing in over 80% of those published decisions. Last year, David did a little better, winning 31% of the time and losing 69%. In the first quarter of this year, the DGI was 27/73, meaning that Goliath was still winning far more than losing.

The numbers are in for the second quarter. I had to go back and check again before posting this, because the results surprised me: Goliath had an undefeated quarter, winning all ten decisions in April, May, and June. That raises the year-to-date DGI to 86/14 (18 wins for Goliath to 3 for David). That’s the greatest imbalance I’ve ever seen, though the year obviously isn’t over yet.

 


HOW TO SPEAK TO AN APPELLATE COURT

PART 1

 

 

(Posted January 22, 2019) It’s been quite a while since I’ve addressed the topic of oral advocacy. While there are numerous speaking styles, and no one of them is definitively correct, here are some notes on the way I do things.

Part 1 – How to Speak

This section is simultaneously breathtaking in its scope and dangerous in its connotation. The topic of how to speak is immense; the study of rhetoric and oratory goes back at least to Aristotle and Demosthenes. And tackling the task of telling people – educated people, at that – how to do something as basic as talking risks giving offense. After all, while we may realize that we’re not very good at painting portraits or singing or ballet, everybody perceives that he or she can talk well. You do, right?

As for the scope, I won’t try to be comprehensive here. I couldn’t possibly set out in an essay everything I’ve learned about public speaking since I was 13 years old and received my first training in it. It’s far too voluminous, and besides, there are some things that I don’t even realize that I know; they just come naturally after a lifetime of practice.

As for giving offense, please be assured that I’m not here to insult anyone. One of my primary goals in publishing this website is to help you to become a better appellate advocate. But even professionals who are highly skilled in their chosen craft may not know how to convey ideas clearly, forcefully, and persuasively. Here are a few basic suggestions.

CLICK HERE to continue

 


 

EMERGENCY APPEALS: A HOW-TO GUIDE

(Posted October 15, 2018) I’ll confess that I’ve tended to take a lighthearted view of what I’ve described as “omigod appeals,” where a party just has to have immediate review of a trial court’s ruling. I’ve given the example of, “You’re litigating over an ice cream truck, and it’s 97 degrees outside.” I never really gave much thought to when a real need for such an appeal might arise, or how I would go about pursuing one.

All that changed recently when I was asked to speak at an upcoming conference. My topic is how to appeal in denial-of-care cases. Yet another confession: My immediate reaction to that request was, “What’s a denial-of-care case?” I really have lived a sheltered life.

I soon found out that these cases are nothing to take lightly. They refer to the circumstance where a hospital denies medical care needed to preserve someone’s life. There may be squabbling family members, and maybe even a do-not-resuscitate provision in an advance medical directive. In these cases, if a circuit court issues an order allowing or directing the hospital to deny care, and a family member wants to appeal, the normal appellate process is out of the question. These days, it takes well over a year to get from circuit-court judgment to Supreme Court opinion, and most patients in that circumstance don’t have anywhere near that much time. For these folks, there has to be a faster way.

CLICK HERE to continue…