Dyson et al v. The City of Calumet City et al
Filing
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MEMORANDUM Opinion and Order Signed by the Honorable John J. Tharp, Jr on 1/23/2018: For the reasons set forth in the Memorandum Opinion and Order, the defendants' motion to dismiss 30 is granted. The Court dismisses plaintiffs' federal claims pursuant to Rule 12(b)(6) and declines to exercise supplemental jurisdiction over the remaining state-law claims. The complaint, however, is dismissed without prejudice. Plaintiffs have until February 23, 2018 to file an amended complaint that addresses the deficiencies outlined in the opinion, if they are able. Moreover, in light of the Court's ruling, the stay imposed on discovery will remain in effect until further notice. A status hearing is scheduled for March 8, 2018 at 9:00 a.m. Mailed notice(air, )
IN THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
SHANEKA DYSON, JUMP N’
JAM INFLATABLES, INC., and
THE ATRIUM VENUE, INC.,
Plaintiffs,
v.
THE CITY OF CALUMET CITY,
MICHELLE QUALKINBUSH,
NYOTA FIGGS, RANDY
BARRON, JAMES PATTON,
SHERYL TILLMAN, DONNA
ZWART, and WILLAM NADEY,
Defendants.
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No. 16 C 11509
Judge John J. Tharp, Jr.
MEMORANDUM OPINION AND ORDER
This case arises out of a decision by Calumet City (the “City”) to deny Plaintiff Shaneka
Dyson a business license to operate a banquet hall. Dyson, along with two of her businesses,
Jump N’ Jam Inflatables, Inc. (“JNJ”) and The Atrium Venue, Inc. (the “Atrium”), 1 have filed
suit against the City and several of its officials, alleging, among other theories, that the City’s
handling of her license application violated her federal and state equal protection and due process
rights, as well as constituted a taking without just compensation. The defendants responded by
moving to dismiss the complaint under Federal Rule of Civil Procedure 12(b)(6) for failure to
state any claim for relief. Because the Court concludes that the complaint does not plausibly
allege any federal constitutional violations, it grants the defendants’ motion with respect to
Dyson’s federal claims and declines to exercise supplemental jurisdiction over the remaining
1
Dyson is the president and sole shareholder of JNJ and the Atrium, (Compl. ¶¶ 6-7, ECF
No. 1), so the Court refers to the plaintiffs collectively as “Dyson” throughout the opinion.
state-law claims. Nevertheless, the complaint is dismissed without prejudice. Dyson is afforded
another opportunity to address the deficiencies outlined in this opinion, if she is able. Any
amended pleading is due no later than February 23, 2017.
BACKGROUND
The following facts are drawn from the complaint and are taken as true for purposes of
the defendants’ Rule 12(b)(6) motion. Yeftich v. Navistar, Inc., 722 F.3d 911, 915 (7th Cir.
2013). Dyson has owned and operated JNJ in Calumet City for several years. (Compl. ¶ 15.) In
early 2015, she sought to open a banquet hall called the Atrium. (Id. ¶ 16.) Dyson executed a
lease agreement in March 2015 that allowed her to combine the property used to operate JNJ
with the property next door, and renovate both into a banquet hall. (Id. ¶¶ 16-18.) (The two
properties have since been converted into a single address—1582 Huntington Drive in Calumet
City—and are referred to in this opinion simply as the “property.”) On the same day, Dyson
applied to the City for a business license to operate a banquet hall. (Id. ¶ 19.)
Dyson started the process for obtaining City approval to renovate the property in March
2015 as well. After meeting with city inspectors and a city engineer, Dyson’s drawings were
approved for “assembly” and she was instructed by Defendant Randy Barron, the then-director
of inspectoral services, to apply for building permits, which would allow her to begin the
necessary renovations. (Id. ¶¶ 11, 20-22.) In June 2015, Dyson was issued three building permits;
one for plumbing, one for electrical work, and another for a sprinkler system. (Id. ¶¶ 25, 28-29.)
In reliance of these building permits, Dyson began renovating the property. (Id. ¶¶ 26, 30.)
Around the same time Dyson applied for building permits, she also inquired with the City
about obtaining a liquor license. (Id. ¶ 23.) That inquiry attracted the attention of Defendant
Michelle Qualkinbush, the mayor of Calumet City, who visited the site in April 2015. (Id.) The
following month, Dyson emailed the mayor an explanation of her business proposal. (Id. ¶ 24.)
2
Dyson followed up with Qualkinbush about her proposal “every few days” thereafter, and on
June 11, 2015, Qualkinbush informed Dyson that she would bring the liquor license request
before the city council. (Id. ¶¶ 24, 27.) The two met again on August 4, 2015, at which time
Qualkinbush told Dyson that the liquor license would be discussed and decided during a city
council meeting the following week. (Id. ¶ 31.)
Later in August, however, Dyson’s business plan began to unravel. At first, she was
informed that the property passed its electrical and plumbing inspections and that an occupancy
permit would be issued once an HVAC problem was corrected. (Id. ¶¶ 32-33.) But then, on
August 27, 2015, Qualkinbush informed Dyson that the property “had outstanding issues with
zoning” and that she would need to present her liquor license request to the city council
personally during a meeting in early September. (Id. ¶ 24.) The following day, Barron delivered
a letter to Dyson which indicated that “no further permits would be issued” until Dyson obtained
a business license. (Id. ¶ 35.) The letter further stated that “a banquet hall” or “special venue
meeting room” license was not “permitted under the current zoning of the property” and that “the
Zoning Board and City Council must approve a change in the zoning to permit this use.” (Id.; see
also id. ¶ 36.) According to Dyson, late August was the first time she was “made aware there
was an issue with how the property was zoned.” (Id. ¶ 34.) Moreover, between May 2015, when
she obtained her first building permit, and August 28, 2015, the date she received the letter from
Barron, Dyson spent over $150,000 renting and renovating the property. (Id. ¶ 42.)
In September 2015, Dyson attempted to get her business plan back on track. She first
attended a city council meeting on September 8, 2015, during which she met briefly with
Alderman Antoine Collins and obtained a dry bar permit for the property. (Id. ¶ 43.) Later in
September, Dyson filed a petition with the Calumet City Zoning Board of Appeals (“ZBA”) to
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allow her banquet hall as a special use. (Id. ¶ 44.) The ZBA held a public hearing on that request
on November 2, 2015, and ten days later, issued its findings and recommendations to the city
council. (Id. ¶ 45.) By a vote of two to two, the ZBA determined not to favorably recommend
Dyson’s special use application. (Id.) The following month, on December 10, 2015, the city
council met and adopted the ZBA’s finding and recommendations, thereby “codifying” the
denial of Dyson’s request. (Id. ¶ 47.) The city attorney then sent Dyson a letter on December 18,
2015, which stated that she would not be issued a business or liquor license for the property. (Id.
¶ 48.) Dyson inquired about how to appeal the decision (with whom, the complaint does not say),
and was informed that she “would have to begin the process anew.” (Id. ¶ 49.)
In May 2016, Dyson submitted a second application for a business license, but proposed
a new business plan. Instead of operating a banquet hall, she proposed to open a youth center for
teens called the “JNJ Spot, Inc.” (Id. ¶ 50.) Dyson followed up on this application several times
over the next month. In early June, she emailed Defendant James Patton, the special assistant to
the mayor, to check on the status of this application. (Id. ¶ 53.) Patton responded that the
application was in the process for zoning approval by Rose Bonato of the City Clerk’s office.
(Id.) Two weeks later, Dyson followed up with Bonato, but was told there “was no update” on
the application. (Id. ¶¶ 54-55.)
Having still not received a resolution on her request, (id. ¶ 56), Dyson filed suit in
December 2016. She alleges in her complaint that the City’s handling of her business license and
special use requests violated numerous federal and Illinois constitutional guarantees, including
equal protection, due process, and the prohibition of takings without just compensation. Dyson
further alleges that city officials conspired to violate her constitutional rights and that the denial
of her requests amount to tortious interference of contract and business expectancy, as Dyson
4
lost future clients and business when she was unable to open her banquet hall. In April 2017, the
defendants filed a motion to dismiss the complaint under Rule 12(b)(6), arguing that Dyson
failed to state any claim for relief. (Defs. Joint Mot. to Dismiss, ECF No. 30.) The motion having
been fully briefed, the Court finds that none of Dyson’s claims may proceed to discovery as
alleged.
DISCUSSION
The defendants move to dismiss the complaint in its entirety under Rule 12(b)(6). To
overcome a Rule 12(b)(6) motion, “a complaint must ‘state a claim to relief that is plausible on
its face.’” Adams v. City of Indianapolis, 742 F.3d 720, 728 (7th Cir. 2014) (quoting Bell Atl.
Corp. v. Twombly, 550 U.S. 544, 570 (2007)). “A claim has facial plausibility when the plaintiff
pleads factual content that allows the court to draw the reasonable inference that the defendant is
liable for the misconduct alleged.” W. Bend Mut. Ins. Co. v. Schumacher, 844 F.3d 670, 675 (7th
Cir. 2016) (quoting Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009)). This Court “must accept as true
all factual allegations in the . . . complaint and draw all permissible inferences” in Dyson’s favor.
Id. (quoting Bible v. United Student Aid Funds, Inc., 799 F.3d 633, 639 (7th Cir. 2015) (internal
quotation marks omitted)). However, “[w]hile a plaintiff need not plead ‘detailed factual
allegations’ to survive a motion to dismiss, she still must provide more than mere ‘labels and
conclusions or a formulaic recitation of the elements of a cause of action’ for her complaint to be
considered adequate under [Rule] 8.” Bell v. City of Chicago, 835 F.3d 736, 738 (7th Cir. 2016)
(quoting Iqbal, 556 U.S. at 678).
Dyson’s federal claims rest on 42 U.S.C. § 1983. To state a claim under section 1983, “a
plaintiff must allege the violation of a right secured by the Constitution and laws of the United
States, and must show that the alleged deprivation was committed by a person acting under color
of state law.” L.P. v. Marian Catholic High School, 852 F.3d 690, 696 (7th Cir. 2017) (citing
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West v. Atkins, 487 U.S. 42, 48 (1988)). Here, Dyson alleges that several city officials, ranging
from the mayor and her assistant, to the current and former directors of inspectoral services and
members of the ZBA, deprived her of several of her constitutional rights. 2 Dyson also alleges,
however, that the City itself is responsible for many of the same constitutional deprivations as its
agents. While a municipality is subject to suit under section 1983, liability may flow to the
municipality only by way of a claim under Monell v. Department of Social Services, 436 U.S.
658 (1978). A Monell claim requires that a plaintiff plead and prove that she was injured not by
the unlawful actions of a municipality’s agents, but by (1) the enforcement of an express policy,
(2) a widespread practice that is so permanent and well settled as to constitute a custom or usage
with the force of law, or (3) a person with final policymaking authority. Estate of Sims ex. rel.
Sims v. County of Bureau, 506 F.3d 509, 514-15 (7th Cir. 2007). 3
Among the nine counts in the complaint, there is no Monell claim labeled as such, even
though Counts I, V, and VI allege federal constitutional violations by the City. The Court might
be warranted in dismissing these claims against the City on that basis alone, but doing so would
elevate form over function. The crux of this suit is that the defendants improperly denied
Dyson’s business license and special use requests. According to the complaint, the basis of those
denials was a zoning decision that was voted on and “codifi[ed]” by the city council. (Compl.
¶ 47.) A codification of a zoning decision by the city council is nothing if not the “policy” of the
City, enacted by those with final policy-making authority. See Benedix v. Village of Hanover
2
No defendant has asserted a claim of qualified or absolute immunity.
3
Dyson also asserts section 1983 claims against several of the municipal officers,
including Qualkinbush, Figgs, Barron, Patton, and Tillman, in their official capacities. These
claims are indistinguishable from the federal constitutional claims asserted against the City.
Walker v. Sheanhen, 526 F.3d 973, 977 (7th Cir. 2008) (“Actions against individual defendants
in their official capacities are treated as suits brought against the government entity itself.”)
(citing Hafer v. Melo, 502 U.S. 21, 25 (1991)). Therefore, the Court need not address separately
any claims alleged against the individual defendants in their official capacities.
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Park, 677 F.3d 317, 318 (7th Cir. 2012) (finding that “legislation makes the elimination of
Benedix’s position the Village’s official policy”). Thus, the Court addresses the claims against
the City to the extent they would be cognizable under Monell; that is, to the extent they are
clearly based on the City’s enacted policy, rather than vicarious liability for its agent’s actions.
Moreover, because Dyson asserts her federal constitutional claims in a collective fashion, the
Court assesses each constitutional theory as to all of the defendants at once.
I.
Class-of-One Equal Protection (Count IV)
The Court turns first to Dyson’s contention that she has been deprived of the Fourteenth
Amendment’s guarantee of equal protection. The Equal Protection Clause prohibits state action
that discriminates on the basis of membership in a protected class or that irrationally targets an
individual for discriminatory treatment as a so-called “class of one.” Bunson v. Murray, 843 F.3d
698, 705 (7th Cir. 2016) (citing Geinosky v. City of Chicago, 675 F.3d 743, 747 (7th Cir. 2012)).
Dyson proceeds under the later theory. In short, she argues that the defendants singled her out for
abuse by stringing along her business license application and then pulling the rug out from
underneath her, all while ignoring local law and all because of the defendants’ spite for
Alderman Collins, with whom Dyson is affiliated. (Pl. Mem. in Opp’n to Defs. Joint Mot. to
Dismiss 17-18, ECF No. 44.) The defendants counter that Dyson’s class-of-one claim fails for
two reasons. First, there is a conceivable rational basis for the denial of her business license and
special use requests; namely, that the property did not comply with existing city zoning
requirements. (Defs. Mot. 16-17.) Second, Dyson fails to identify any similarly situated
individuals to demonstrate that city officials acted irrationally. (Id. at 17-18.) The defendants
have the better of this argument, but they are only half right.
The elements of a class-of-one claim have been in flux since the Seventh Circuit’s en
banc decision in Del Marcelle v. Brown County Corp., 680 F.3d 887 (7th Cir. 2012). In that case,
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the judgement dismissing a purposed class-of-one claim was affirmed by a tie vote, which
resulted in three decisions. The “lead” opinion, signed by four judges, concluded that such
claims arise only when a state actor intentionally singles out the plaintiff for unfavorable
treatment, with both discriminatory intent and effect, and without justification—that is, for
personal reasons not grounded in the official’s public duties. Id. at 889. Judge Easterbrook
penned a solo concurrence, in which he opined that a plaintiff must demonstrate only that there is
no possible justification or rational basis for the defendant’s actions; intent, per se, plays no rule
under this approach. Id. at 900. Finally, the dissenters proposed a standard that requires a
plaintiff to plead and prove only that he was the victim of, and was injured by, intentional
discrimination at the hands of a state actor who lacked a rational basis for singling out the
plaintiff; under this approach, the presence or absence of animus may have evidentiary
significance but it is not dispositive. Id. at 913.
Whatever the resolution of this debate may be, the Seventh Circuit since has stated that
even under the “least demanding standard[,] . . . a class-of-one plaintiff must, to prevail, negative
any reasonably conceivable state of facts that could provide rational basis for the classification.”
Miller v. City of Monona, 784 F.3d 1113, 1121 (7th Cir. 2015) (internal quotation marks and
citations omitted). “Thus, even at the pleadings stage, ‘all it takes to defeat a class-of-one claim
is a conceivable rationale basis for the difference in treatment.’” Id. (quoting D.B. ex rel. Kurtis
B. v. Kopp, 725 F.3d 681, 686 (7th Cir. 2013)) (emphasis and alterations omitted).
A plaintiff in a class-of-one case typically demonstrates an absence of a rational basis by
identifying some similarly situated person who was treated differently—that is, a comparator. Id.
at 1120 (citing Fares Pawn, LLC v. Ind. Dep’t of Fin. Insts., 755 F.3d 839, 845 (7th Cir. 2014)).
But contrary to the defendant’s contention, Dyson’s failure to identify a comparator in the
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complaint is not fatal to the claim; the existence of a comparator is not an element of the claim
but simply a type of evidence that may help support it. Capra v. Cook Cnty. Bd. of Review, 733
F.3d 705, 717 (7th Cir. 2013) (“Plaintiffs alleging class-of-one equal protection claims do not
need to identify specific examples of similarly situated persons in their complaints.”); Geinosky,
675 F.3d at 748 n.3 (“Even in a case where a plaintiff would need to identify a similarly situated
person to prove his case, . . . we see no basis for requiring the plaintiff to identify the person in
the complaint.”) So long as Dyson alleges a pattern of misconduct or acts of overt hostility that
exclude any rational explanation for why local officials targeted her, her class-of-one claim
survives dismissal. See Geinosky, 675 F.3d at 745-48 (finding plaintiff could proceed on classof-one claim without comparator where officers from single police unit allegedly issued 24
bogus parking tickets over the course of 14 months because “[r]eason and common sense
provided no answer to why [the plaintiff] was targeted that could be considered a legitimate
exercise of policy discretion”); Swanson v. City of Chetek, 719 F.3d 780, 785 (7th Cir. 2013)
(reversing grant of summary judgment on class-of-one claim where plaintiff’s allegations of
mayor’s prolonged harassment against him showed that the mayor’s actions were “illegitimate
on their face” and “demonstrate[d] overt hostility”).
Dyson’s allegations, however, fall short of establishing a pattern of misconduct or overt
hostility that excludes any rational explanation. Her story seems to be that city officials lured her
into believing that she could operate a banquet hall, but then short-circuited those plans by
revealing that the property was not zoned for such use and denying her special use and business
license requests. (Pl. Opp’n 17-18.) As evidence of this scheme, Dyson points to the fact that city
officials waited several months to raise the zoning issue and only after she had spent roughly
$150,000 to get her new business up and running. She also argues that the ZBA disregarded its
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own rules to deny her special use application (more accurately, elected to send her application to
the city council with an unfavorable recommendation) in that it voted with less than a quorum
and reached a tie vote. Finally, she asserts that after her requests were denied, she was told to
start the process over again, and after she did, her application was held in limbo.
Unlike in Geinosky and Swanson, however, this story does not inevitably lead to the
conclusion that Dyson was the target of an illegitimate exercise of municipal power. See Fares
Pawn, 755 F.3d at 845 (“[A] given action can have a rational basis and be a perfectly logical
action for a government entity to take even if there are facts casting it as one taken out of
animosity.”) (quoting Flying J Inc. v. City of New Haven, 549 F.3d 538, 547 (7th Cir. 2008)).
Government abuse may be one possible explanation for what happened, but it certainly is not the
only one. To begin with, it is conceivable that the City’s issuance of the building permits, which
supposedly led Dyson to believe the property was zoned to permit a banquet hall, was simply a
mistake, perhaps due to a misinterpretation of the municipal code, oversight by some official, or
some other reason. Dyson alleges that it was an “intentional” act rather than “the result of
government incompetence,” (Compl. ¶¶ 82, 84), but the Court need not accept this wholly
conclusory allegation at face value, Iqbal, 556 U.S. at 681, especially when class-of-one claims
must be based on something more than “ordinary and inevitable mistakes by government
officials,” Geinosky, 675 F.3d at 747 (“[T]he purpose of entertaining a ‘class of one’ equal
protection claim is not to constitutionalize all tort law nor to transform every claim of improper
provision of municipal services . . . into a federal case.”) (quoting McDonald v. Village of
Winnetka, 371 F.3d 992, 1009 (7th Cir. 2004)).
And whether permits were issued by mistake or not, there plainly was a possible rational
basis for the denial of Dyson’s business license and special use applications: Dyson’s proposed
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business did not meet the City’s existing zoning requirements. The Seventh Circuit has made
clear “time and again” that federal courts “are not zoning boards of appeal” and, as such, “[s]tate
and local land-use decisions are entitled to great deference when constitutional claims are raised
in federal court.” CEnergy-Glenmore Wind Farm No. 1, LLC v. Town of Glenmore, 769 F.3d
485, 487 (7th Cir. 2014) (internal quotation marks and citations omitted); see also Maum
Mediation House of Truth v. Lake County, 55 F. Supp. 3d 1081, 1089 (N.D. Ill. July 16, 2014)
(“In general, zoning ordinances imposing restrictions on use and occupation of private land . . .
satisfy the rational basis test.”) (citation omitted). The complaint indicates that the property was
not zoned to permit use as a banquet hall or meeting venue—hence Dyson’s special use
request—and that the City refused to issue a business license until the zoning issue was
addressed. (Compl. ¶¶ 34-35, 44-48.) Moreover, the municipal code, which Dyson cites
throughout the complaint, shows that applicants must meet several requirements before the ZBA
will recommend a special use request to the city council. Calumet City, Ill., Code App’x B,
§ 12.7 (1980) (special uses). But Dyson fails to state whether her special use application met any
of the six requirements listed. Thus, she fails to negate at least one reasonable explanation for the
adverse action that forms the basis of her claim.
Moreover, Dyson has not even established that the ZBA’s vote on her special use
application was out of the ordinary. She contends that a quorum for the ZBA consists of more
than the four members who voted on her application—how many more is unclear—(Pl. Opp’n
17), but offers no support for that proposition. At most, Dyson points to a section of the
municipal code that states that the ZBA “shall consist of seven (7) members.” Calumet City, Ill.,
Code App’x B, § 12.5 (1980). But that provision says nothing about how many members must be
present for a vote. Id. Dyson also argues that, at a minimum, the ZBA must cast three—not
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two—concurring votes to recommend granting or denying a special use permit. But in support of
this argument she cites to a provision that deals with zoning “amendments,” not special use
permits. See id. § 13.5(2) (“A concurring vote of a majority of those members present at the
meeting with a minimum of three (3) concurring votes shall be required to recommend granting
or denying an application for an amendment.”). However, it is not clear to the Court—and Dyson
fails to clarify—whether applications for special uses and zoning amendments adhere to the
same voting standards. Compare id. with § 12.7 (special uses) and § 13.1 (jurisdiction).
Finally, although finding a conceivable rational basis ends the equal protection analysis,
Fares Pawn, 755 F.3d at 845 (“If [the court] can come up with a rational basis for the challenged
action, that will be the end of the matter—animus or no.”), the issue of animus merits a brief
discussion. Dyson claims that she was targeted by the defendants because of her affiliation with
Alderman Collins. But the complaint has little to say about Collins. In particular, it fails to
explain who she is (other than a city council member), how Dyson is affiliated with her, or how
Collins has inspired animus among the defendants. Although it is unclear whether Dyson needs
to plead animus in light of the split in Del Marcelle, the complaint’s fleeting reference to Collins
would not pass muster if she does. Dyson therefore fails to plead an equal protection claim and
the Court dismisses Count IV.
II.
Due Process and Takings Claims (Counts I, II, V, VI)
Dyson also alleges that the defendants violated the substantive and procedural due
process guarantees of the Fourteenth Amendment, as well as the Takings Clause of the Fifth
Amendment (as incorporated by the Fourteenth Amendment). The defendants move to dismiss
these claims on several grounds, including that they are not ripe, that Dyson fails to plead a
threshold property interest, and that Dyson has otherwise failed to allege the remaining
requirements under the Due Process and Takings Clauses. Although the Court finds that Dyson’s
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claims are ripe for adjudication and that there is a property interest at stake (though not the
interest that Dyson posits), it agrees with the defendants that Dyson has not otherwise pled a due
process or takings claim.
A.
Ripeness
The defendants contend that the takings and due process claims are barred under the
ripeness doctrine set forth in Williamson County Regional Planning Commission v. Hamilton
Bank of Johnson City, 473 U.S. 172 (1985). In that case, the Supreme Court held that “takings
claims usually belong in state court, because the Constitution is not offended if the state pays for
what it takes, and state litigation (an inverse condemnation suit) is the way to get a state to pay.”
Callahan v. City of Chicago, 813 F.3d 658, 659–60 (7th Cir. 2016) (citing Williamson, 473 U.S.
at 172). Thus, “if a State provides an adequate procedure for seeking just compensation, the
property owner cannot claim a violation of the Just Compensation Clause until it has used the
procedure and been denied just compensation.” Sorrentino v. Godinez, 777 F.3d 410, 413 (7th
Cir. 2015) (quoting Williamson, 473 U.S. at 195). The exhaustion requirement applies not only
to takings claims, but also to substantive and procedural due process claims that are based on the
same facts as a takings claim. Behavioral Inst. of Ind., LLC v. Hobart Common Council, 406
F.3d 926, 930-91 (7th Cir. 2005) (citation omitted).
The parties dispute whether Williamson applies in this case. The defendants contend that
Dyson’s takings and due process claims are bound up in the same facts—both are underlined by
the City’s refusal to grant a zoning exception—and that Dyson has an adequate takings remedy
under 735 ILCS 30/10-5-5. (Defs. Mot. 8-10.) Dyson rejoins that the doctrine is inapplicable
because her damages are much more extensive than a state court could award in an inverse
condemnation action and because this case is “not simply a land use dispute,” but rather a
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dispute about procedures due to Dyson and the City’s failure to follow those procedures. (Pl.
Opp’n 14-16.)
Dyson wins this argument, but not for the reasons she suggests. The Seventh Circuit
recently accepted a concession (and cited supporting authority) that, while Illinois provides a
procedure in which individuals could obtain compensation for physical takings, it does not have
a similar procedure for regulatory takings. Callahan, 813 F.3d at 660 (citing 745 ILCS 10/2–103;
Sorrells v. City of Macomb, 2015 IL App (3d) 140763 ¶¶ 25–26, 44 N.E.3d 453, 459-60).
Neither party addresses this issue, but at least one other court in this circuit has since refused to
apply Williamson in the context of an Illinois regulatory takings claim. See Vasquez v. Foxx, No.
16 C 8854, 2016 WL 7178465, at *7 (N.D. Ill. Dec. 9, 2016). This Court will follow suit and
proceed to the merits of Dysons’ claims, especially in light of the Seventh Circuit’s recent
clarification that Williamson is a prudential rather than jurisdictional doctrine. Kolton v.
Frerichs, 869 F.3d 532, 533-34 (7th Cir. 2017).
B.
Protected Property Interest
The defendants next argue that Dyson fails to establish a threshold property interest.
Because Dyson alleges that the defendants’ conduct constitutes a taking of her property without
just compensation and without due process of law, she must first establish a protected property
interest. Bell v. City of Country Club Hills, 841 F.3d 713, 717, 720 (7th Cir. 2016). Whether a
plaintiff has a property interest protected by the Due Process or Takings Clause typically is
“defined by existing rules or understandings that stem from an independent source such as state
law.” Bd. of Regents of State Colls. v. Roth, 408 U.S. 564, 577 (1972); accord Dibble v. Quinn,
793 F.3d 803, 808 (7th Cir. 2015) (due process); Daniels v. Area Plan Comm’n, 306 F.3d 445,
459 (7th Cir. 2002) (takings). Moreover, for an interest to be constitutionally protected, the
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plaintiff must show she has “a legitimate claim of entitlement to it” rather than “a unilateral
expectation to it.” Bell, 841 F.3d at 717 (quoting Roth, 408 U.S. at 577). 4
Dyson’s complaint and opposition brief are less than clear about what property interests
are at stake in this case. For purposes of due process, the complaint alleges that Dyson has an
interest in the business licenses, and to some extent the special use permit, that she was denied.
(Compl. ¶¶ 60, 87, 95). But in her brief, she argues only for a property interest in the building
permits and dry bar license she was issued by the City. (Pl. Opp’n 7-8). On the takings front,
Dyson alleges that she was deprived of the use “of the properties referenced in the complaint
supra,” (Compl. ¶ 73), which could mean anything from her actual use of the property as a
banquet hall to any one of the licenses or permits discussed above, though her brief indicates that
the former is the focus of her takings claim, (Pl. Opp’n 14 (“There was no other viable use for
the space outside of a banquet hall, therefore Defendants’ actions constituted an over regulation
and taking of property.”)). Despite the lack of clarity and consistency, the Court will address
each interest in turn.
The first two interests are the business license and special use permit. As Dyson
impliedly admits by abandoning this argument in her opposition brief, neither qualifies as
property in this case. To maintain a claim of property over a government-issued benefit, such as
a license or permit, a plaintiff must show she has “a legitimate claim of entitlement to it,” rather
than “a unilateral expectation to it.” Bell, 841 F.3d at 717 (quoting Roth, 408 U.S. at 577). That
4
To be clear, property interests are not treated identically under both the Takings and
Due Process Clauses; the Takings Clause views property more narrowly than the Due Process
Clause. Pro-Eco, Inc. v. Bd. of Comm’rs, 57 F.3d 505, 513 (7th Cir. 1995) (“The Due Process
Clause . . . recognizes a wider range of interests as property than does the Takings Clause.”);
Pittman v. Chicago Bd. of Educ., 64 F.3d 1098, 1104-05 (7th Cir. 1995) (same). The distinction
does not matter here, though, as Dyson has an interest in the use of the property under either
constitutional provision.
15
is, “a protected property interest exists only when the state’s discretion is clearly limited such
that the plaintiff cannot be denied the interest unless specific conditions are met.” Id. at 719
(internal quotation marks and citations omitted); see also New Burnham Prairie Homes, Inc. v.
Village of Burnham, 910 F.2d 1474, 1480 (7th Cir. 1990) (“[U]nless it is established that the
plaintiffs had the right to receive the building permits, a federal cause of action does not exist.”)
(citations omitted). Thus, in the context of local land-use decisions, the right to receive a license
or permit turns on whether “a municipal ordinance provides substantive criteria which, if met,
dictate the issuance of a permit.” New Burnham, 910 F.2d at 1480 (citing Polenz v. Parrot, 883
F.2d 551, 556 (7th Cir. 1989)). Dyson, however, fails to identify any ordinance that dictates
when and how a business license must be issued. And although the municipal code sets forth
standards for the approval of special use applications, the city council ultimately has discretion in
granting such permits. Calumet City, Ill., Code App’x B, § 12.7 (1980) (“The city council may
grant or deny any application for a special use . . . .”) (emphasis added). Such discretion means
that Dyson had no more than a unilateral expectation to the special use permit when she applied
for it. See Bell, 841 F.3d at 719-20 (finding no claim of entitlement to tax rebate where language
of applicable ordinance and tax rebate application form “demonstrate[d] that the City explicitly
retained the discretion to reject applications from homeowners”).
Nor do the building permits give rise to a protected property interest. It is true that in
some instances, permits and licenses, once granted, can constitute protected property interests, at
least for due process purposes. See Image Media Adver., Inc. v. City of Chicago, No. 17 C 4513,
2017 WL 6059921, at *4 (N.D. Ill. Dec. 7, 2017) (collecting cases). The problem here, though, is
that Dyson alleges that the building permits were issued in violation of the City’s zoning laws
(because no permit should have issued for construction that was not consistent with zoning
16
requirements). (Compl. ¶¶ 34-37). That means that the permits issued to Dyson were invalid
when issued and could not have provided her with a property interest in proceeding with her
project. See, e.g., Space Station 2001, Inc. v. Moses, 118 Ill. App. 3d 658, 663, 455 N.E.2d 266,
270 (1st Dist. 1983) (“A building permit cannot be granted in violation of the terms of a zoning
ordinance; an unauthorized permit is a nullity and it confers no right on the permittee.”) (quoting
Ganley v. City of Chicago, 18 Ill. App. 3d 248, 254, 309 N.E.2d 653, 658 (1st Dist. 1974)). 5
Nevertheless, the Court finds that there is enough in the complaint to establish a property
interest on which Dyson plausibly could stake her due process and takings claims—specifically,
her interest in the leasehold property itself. At bottom, Dyson protests that she is unable to use
the property she has leased for the business purpose she desires. The Seventh Circuit has
recognized that the right to use one’s land as one desires is a measure of “property” under the
Constitution. River Park, Inc. v. City of Highland Park, 23 F.3d 164, 165-66 (7th Cir. 1994)
(discussing how the “references to ‘property’ in the Constitution reflect its Lockean heritage”;
that is, property refers to “land and chattels acquired by the investment and effort or purchase
from another”). Stated differently, “when the right to use property is affected by an
administrative decision, e.g., the denial of a special use permit, a ‘deprivation’ of constitutional
rights is at issue and procedural due process is warranted.” C.L.U.B. v. City of Chicago, 157 F.
Supp. 2d 903, 913 (N.D. Ill. 2001) (quoting River Park, 23 F.3d at 166); see also Polenz, 883
F.2d at 556-57 (finding denial of occupancy permit could amount to deprivation of property
interest based on theory that action interfered with owner’s exclusive right to use property).
Moreover, that Dyson holds a leasehold property interest rather that a fee simple one does not
5
The Court declines to consider whether Dyson has a protected property interest in the
dry bar license. It is not apparent to the Court how that license has any bearing on Dyson’s
federal constitutional claims. Moreover, Dyson provides no support in her brief for her theory
that the dry bar license was “functionally voided” without due process. (Pl. Opp’n 8-9.)
17
matter. The Seventh Circuit also has recognized that “[i]f the state confiscates a leasehold
interest, it must pay ‘just compensation’ under the takings clause of the fifth amendment . . . , a
step that is only possible if leaseholds are ‘property.’” Mid-American Waste Sys., Inc. v. City of
Gary, 49 F.3d 286, 289 (7th Cir. 1994) (internal citation omitted). Thus, the Court will examine
whether Dyson has met the remaining requirements under the Due Process and Takings Clauses.
C.
Substantive Due Process
The Court begins with substantive due process. This claim largely mirrors Dyson’s classof-one equal protection claim, which is unsurprising considering both types of claims address
arbitrary conduct by state actors. Substantive due process protects against government power
arbitrarily and oppressively exercised, either through legislative or executive action. County of
Sacramento v. Lewis, 523 U.S. 833, 846 (1998). But this limitation is modest and in the context
of land-use decisions runs afoul of the Constitution only if the action would “shock the
conscience.” GEnergy-Glenmore, 769 F.3d at 488 (discussing how standard is synonymous with
“arbitrary and capricious” and “random and irrational” standards, at least in land-use context).
Having already concluded that Dyson has failed to establish that the City’s denial of her special
use and business license requests is conceivably rational, the Court dismisses her substantive due
process claim on the same basis. See Goodpaster v. City of Indianapolis, 736 F.3d 1060, 1070-71
(7th Cir. 2013) (finding no substantive due process violation under rational basis review where
plaintiffs failed to negate “every conceivable basis which might support” governmental action). 6
Even if the City’s decision were irrational, Dyson’s substantive due process claim would
fail anyway because there is a prerequisite to advancing such a claim that she has not established.
Before a court will consider if there was an arbitrary and irrational interference with property, a
6
Dyson has not challenged the zoning ordinance that forbids operating a banquet hall on
the property. Rather, she challenges only her ability to operate a banquet hall as a special use.
18
plaintiff must “first establish either an independent constitutional violation or the inadequacy of
state remedies to redress the deprivation[.]” Gen. Auto Serv. Station v. City of Chicago, 526 F.3d
991, 1001 (7th Cir. 2008). Dyson has done neither. Turning to the easy question first, the Court
is dismissing Dyson’s procedural due process, takings, and equal protection claims, so she
cannot point to an independent constitutional violation. See LaBella Winnetka, Inc. v. Village of
Winnetka, 628 F.3d 937, 943 (7th Cir. 2010) (“In light of our conclusion that [plaintiff] failed to
state a class-of-one claim, it has no independent constitutional violation on which to base its
substantive due process claim.”).
Dyson does not directly address the state remedies issue in the context of her substantive
due process claim, but elsewhere in her brief she contends that Illinois courts are inadequate
because they cannot both correct the deprivation at issue and address her damages. (Pl. Opp’n
10-11, 15.) The Court disagrees. For starters, Dyson could have asserted an equitable estoppel
claim against the City to address her license and permit issues. Illinois courts may in some
circumstance prevent a municipality from enforcing a zoning ordinance—the root of Dyson’s
problems—where the plaintiff had begun construction on a project upon “affirmative action and
apparent approval by public authorities.” Cities Serv. Oil Co. v. City of Des Plaines, 21 Ill.2d
157, 159, 163-64, 171 N.E.2d 605, 607-09 (1961). Moreover, with regard to her damages, Dyson
could have asserted the same state-law tortious interference claim that she asserts in this
litigation to recover for her lost business opportunities. Therefore, because Dyson’s substantive
due process claim fails on several fronts, Count I is dismissed.
D.
Procedural Due Process
Dyson’s procedural due process claims do not fare any better. She argues that a number
of procedural irregularities occurred during her bid to open up a banquet hall. The Court has
already addressed two of those issues—that only four ZBA members voted on her special use
19
application and that the ZBA’s vote resulted a tie—and found that Dyson has not establish that
those actions were unlawful or even out of the ordinary. Even if the ZBA’s vote were irregular,
moreover, Dyson cannot show that that it amounted to a deprivation of due process. As a general
matter, “the procedures ‘due’ in zoning cases are minimal.” River Park, 23 F.3d at 166. Indeed,
the Seventh Circuit has stated that “[w]hen zoning decisions are confided to a legislative rather
than a judicial body,” as is the case here, “the affected persons have no right to notice and an
opportunity for a hearing: no right, in other words, to procedural due process.” Indiana Land Co.,
LLC v. City of Greenwood, 378 F.3d 705, 710 (7th Cir. 2004) (collecting cases). The Court
needn’t go that far here, because the complaint fails even to suggest that Dyson lacked notice of
the hearings in which her applications were discussed and decided. Nor does she allege that the
hearings she attended provided no opportunity to be heard. She therefore has no basis to contend
that she lacked the opportunity to seek remedial action under state law.
The other two issues that Dyson raises are not actionable either. She first contends that
the defendants’ decision to keep her second application for a business license (for the youth
center) “in a state of limbo” violates due process. (Compl. ¶¶ 94-102.) But the Seventh Circuit’s
decision in River Park shows the futility of this argument. In that case, a property owner applied
for a zoning change to permit the development of a residential subdivision. River Park, 23 F.3d
at 165. After nominally approving the zoning variance, city officials stalled the implementation,
which forced the developer to start the process over again. Id. After city officials sat on the
developer’s second application, he filed suit claiming that the city’s tactics were a due process
violation. Id. The Seventh Circuit disagreed. It held that the Due Process Clause permits
municipalities to use political methods—which may mirror “procedural maneuvers that prevent[]
[a] question from reaching the floor for a vote”—to decide zoning issue. Id. at 166. Moreover, it
20
found that because “the only procedural rules at stake [in zoning disputes] are those local law
provides,” the suit should have been brought in state not federal court, especially considering the
developer could have asserted a common law writ of certiorari to contest the runaround it had
receiving from the city. Id. at 167. The same is true here. The allegations in the complaint show
that Dyson’s second business license application hinge on a change in zoning, just as her first
application did. (Compl. ¶¶ 50-55.) Thus, her application is subject to the (alleged) political
machinations of the Calumet City government. Moreover, any grievance Dyson has about her
application being held in limbo is a matter of local law in which Illinois provides adequate
protection.
The final procedural issue relates to the City’s improper issuance of building permits.
Dyson argues that it “is axiomatic that a government body violates due process when it fails to
follow the process itself has codified in law.” (Pl. Opp’n 8.) Dyson’s statement of the law is
unavailing because she conflates the process provided by state law with the process due under
federal law. A state or municipality’s failure to follow its own rules does not give rise to a
federal due process violation. Indiana Land Co., 378 F.3d at 711 (“[A]n error of state law is not a
violation of due process.”) (citing Gryger v. Burke, 334 U.S. 728, 731 (1948); Pro-Eco, 57 F.3d
at 514); River Park, 23 F.3d at 166-67 (“[T]he Constitution does not require state and local
governments to adhere to their procedural promises.”) (citing Olim v. Wakinekona, 461 U.S. 238,
248-51 (1983); Archie v. City of Racine, 847 F.2d 1211, 1215-18 (7th Cir. 1988) (en banc)).
Moreover, the cases that Dyson cites in support of her position do not hold otherwise. All but
one involves rules or regulations set by Congress or a federal agency. Yellin v. United States, 374
U.S. 109 (1963) (Congressional committee); Vitarelli v. Seaton, 359 U.S. 535 (1959)
(Department of Interior); Service v. Dulles, 354 U.S. 363 (1957) (Secretary of State); Antonuk v.
21
United States, 445 F.2d 592 (6th Cir. 1971) (United States Army). And the last case, Accardi v.
Shaughnessy, 347 U.S. 260 (1954), deals with the denial of due process afforded by the
Immigration and Nationality Act, not the Constitution. 7 The Court therefore dismisses Counts V
and VI of the complaint.
E.
Takings
Dyson’s takings claim is also deficient. “Takings jurisprudence encompasses four basic
claims: permanent physical invasion, deprivation of all beneficial use, exactions, and partial
regulatory takings.” Goodpaster, 736 F.3d at 1073-74 (citing Lingle v. Chevron, U.S.A., Inc., 544
U.S. 528, 538-39 (2005)). Dyson contends that the City’s conduct falls into the total deprivation
category, (Compl. ¶¶ 72-75, Pl. Opp’n 13-14), and thus her claim is controlled by Lucas v. South
Carolina Coastal Council, 505 U.S. 1003 (1992). In Lucas, the Supreme Court stated that when
a regulatory action causes a property owner “to sacrifice all economically beneficial uses in the
name of the common good, that is, to leave his property economically idle, he has suffered a
taking.” Id. at 1019. In so holding, however, the Supreme Court “was careful not to create the
impression that all zoning decisions that may diminish an owner’s potential uses of her property,
7
Dyson alternatively contends that the defendants’ conduct—which specific conduct is
unclear—constitutes a “random and unauthorized” deprivation; thus, the Court must look at the
sufficiency of her post-deprivation remedies as well. (Pl. Opp’n 10). But this argument is
meritless. As alleged, this is not one of the “relatively rare” cases that involve “random and
unauthorized” conduct. Simpson v. Brown County, 860 F.3d 1001, 1007 (7th Cir. 2017)
(discussing Parratt v. Taylor, 451 U.S. 527 (1981), overruled in part on other grounds by Danial
v. Williams, 474 U.S. 327 (1986) and Hudson v. Palmer, 468 U.S. 517 (1984)). The Seventh
Circuit has made clear that Parratt and Hudson do not apply “unless the government ‘could not
predict the conduct causing the deprivation, could not provide a pre-deprivation hearing as a
practical matter, and did not enable the deprivation through established procedures and a broad
delegation of power.’” Id. (quoting Armstrong v. Daily, 786 F.3d 529, 544 (7th Cir. 2015)). Not
only did Dyson receive a hearing on the zoning issue, but city officials followed the prescribed
process in rejecting her zoning proposal. See id. at 1008 (finding revocation of contractor’s
license was not random and unauthorized where revocation was sanctioned by county through
prescribed process). At any rate, Dyson had adequate post-deprivation remedies available
through state court, as discussed above.
22
or compel a less valuable use, are takings.” Muscarello v. Ogle Cnty. Bd. of Comm’rs, 610 F.3d
416, 422 (7th Cir. 2010) (citing Covington Court v. Village of Oak Brook, 77 F.3d 177, 179 (7th
Cir. 1996)). Instead, “to qualify as a regulatory taking, the measure must place such onerous
restrictions on land as to render it useless.” Id.
The complaint does not come close to pleading a total taking. It states only that the
defendants have denied (or at least effectively denied) two of Dyson’s proposed uses for the
property: a banquet hall and a youth venue. But it does not follow from these allegations that
Dyson is unable to use the property for any economically beneficial purpose; that the defendants
have denied two uses does not mean that the property is now useless. There is no indication, for
example, that Dyson’s lease agreement allows only for the operation of a banquet hall or special
room venue. Cf. Image Media, 2017 WL 6059921, at *6 (finding lessee plausibly alleged that
some of its leasehold interests were rendered useless by zoning ordinance where lease agreement
permitted only use prohibited by ordinance). Nor are there any allegations—aside from a single
conclusory statement, which the Court need not accept as true, Iqbal, 556 U.S. at 681—that the
property cannot be used for any purpose if not as a banquet hall or meeting space.
Although Dyson stakes her all on a theory of total loss, her claim may be more
appropriately viewed as a partial regulatory taking. Some regulatory actions can be so onerous
that they violate the Takings Clause even without destroying all economically beneficial use of a
property. Horne v. Dep’t of Agric., 135 S. Ct. 2419, 2427 (2015) (explaining that compensation
is required for a “regulatory taking” that goes “too far”); Lingle, 544 U.S. at 538-39. To
determine whether a regulation goes too far, but does not quite deprive an owner of all
economically beneficial use, courts evaluate “‘a complex of factors’ [articulated in Penn Central
Transportation Co. v. New York City, 438 U.S. 104 (1978)], including: (1) the economic impact
23
of the regulation on the claimant; (2) the extent to which the regulation has interfered with
distinct investment-backed expectations; and (3) the character of the governmental action.” Murr
v. Wisconsin, 137 S. Ct. 1933, 1942-43 (2017) (citation omitted).
But even under this rubric, Dyson’s takings claim is subject to dismissal. While she
alleges facts that show how the City’s decision has impacted her economically (she claims she is
out over $150,000 in rent and renovation costs, and has lost business opportunities), Dyson does
not plead enough information to evaluate the other two factors. Namely, the complaint fails to
identify how the property is actually zoned and what uses are permitted under its current
classification. Without such information, the Court cannot evaluate the nature of the City’s
action or the degree that action has interfered with Dyson’s investment-based expectations.
Consequently, Dyson fails to adequately allege a takings claim and Count II is dismissed.
III.
Conspiracy (Count III)
The final section 1983 claim Dyson asserts is for conspiracy, but it too falls short. As an
initial matter, Dyson cannot maintain a conspiracy claim when all of her underlying
constitutional violations have been dismissed. Smith v. Gomez, 550 F.3d 613, 617 (7th Cir. 2008)
(“[C]onspiracy is not an independent basis of liability in § 1983 actions."); Hicks v. City of
Chicago, No. 15 C 6852, 2017 WL 4339828, at *7 (N.D. Ill. Sep. 29, 2017) (“In other words,
there is no such thing as a stand-alone claim for ‘conspiracy’—there must be an underlying
constitutional violation.”) (citation omitted).
Even if a constitutional claim had survived, the conspiracy claim still would be
dismissed. Dyson’s theory of conspiracy is based on the following: “Beginning in March of 2015
. . . the individual Defendants, among themselves, expressly or impliedly formed a conspiracy to
violate Plaintiff’s constitutional rights” and that “[i]n furtherance of this conspiracy, the
individual Defendants agreed to deny [Dyson’s] business license without a basis for denial.”
24
(Compl. ¶¶ 77-78.) In short, these conspiracy allegations are nothing more than an unsupported
legal conclusion that the Court is not bound to accept as true. See Redd v. Nolan, 633 F.3d 287,
292 (7th Cir. 2011) (refusing to accept as true allegations that two government officials
“individually and/or in a conspiracy, intentionally interfered with [plaintiff’s employment] by
inducing the Cook County Department of Corrections to discharge Plaintiff”). Moreover,
Dyson’s complaint as a whole “includes not a whiff of conspiratorial agreement or any improper
complicity” between the individual defendants to support Dyson’s conspiracy theory. Id.; see
also Roehl v. Merriless, No. 11 C 4886, 2012 WL 1192093, at *8 (N.D. Ill. Apr. 10, 2012)
(dismissing section 1983 conspiracy claim for “fail[ure] to allege facts or circumstances upon
which either an express or implied agreement between the defendants could be inferred ‘above
the speculative level’”) (quoting Twombly, 550 U.S. at 555).
Dyson argues that her conspiracy allegations are sufficient for two reasons, both of which
are meritless. She first contends that they satisfy Walker v. Thomson, 288 F.3d 1005, 1007-08
(7th Cir. 2002), which holds that “it is enough in pleading a conspiracy merely to indicate the
parties, general purpose, and approximate date, so that the defendant has notice of what he is
charged with.” But Walker is of no help to Dyson. Even that case acknowledges that a
conspiracy claim fails when the complaint does “not so much as hint at what role [a defendant]
might have played or agreed to play” in relation to the allegedly unconstitutional conduct. Id.
Moreover, Walker predates Twombly and Iqbal, and its evaluation does not address the
plausibility requirement imposed by those cases. See Roehl, 2012 WL 1192093, at *8.
Perhaps recognizing as much, Dyson’s second contention, citing Geinosky, is that she
need only allege “a plausible account of conspiracy.” (Pl. Opp’n 16.) While true, the Seventh
Circuit also has stated that some conspiracy claims require “a high standard of plausibility.”
25
Cooney v. Rossiter, 583 F.3d 967, 971 (7th Cir. 2009) (discussing in context of conspiracy claim
how pleading requirements are “relative to circumstances”). Moreover, even before Iqbal and
Twombly, “conspiracy allegations were often held to a higher standard than other allegations;
mere suspicion that persons adverse to the plaintiff had joined a conspiracy against him or her
was not enough.” Id. At any rate, Dyson’s claim is fueled by nothing more than mere suspicion
that Calumet City officials have joined together to bar her from opening a banquet hall. And
unlike in Geinoksy, 675 F.3d at 749, it is not a stretch to image that the events surrounding the
denial of her requests are a product of something other than a conspiracy. Therefore, Dyson fails
to sufficiently plead a conspiracy claim and Count III is dismissed.
IV.
State Law Claims (Counts VII, VIII, and IX)
Having dismissed all of the federal claims, the Court declines to exercise supplemental
jurisdiction over the remaining state law claims. See 28 U.S.C. § 1367(c)(3) (“The district courts
may decline to exercise supplemental jurisdiction over a claim . . . if . . . the district court has
dismissed all claims over which it has original jurisdiction . . . .”); Hagan v. Quinn, 867 F.3d
816, 830 (7th Cir. 2017) (“The usual practice in this circuit is for district courts to ‘dismiss
without prejudice state supplemental claims whenever all federal claims have been dismissed
prior to trial.’”) (quoting Groce v. Eli Lilly & Co., 193 F.3d 496, 501 (7th Cir. 1999)). Therefore,
Counts VII through IX are dismissed without prejudice to Dyson refiling them in state court.
V.
Individual Defendants
Because Dyson will be afforded an opportunity to replead her federal claims, and in the
interest of encouraging both parties to put their best foot forward sooner rather than later, the
Court will note two additional issues that, although not raised by the defendants in their
challenge to the initial complaint, seem likely to surface should Dyson amend her complaint.
26
First, the present complaint fails to plead allegations that allow the Court to draw the
reasonable inference that several of the defendants are liable on an individual basis for the
constitutional misconduct alleged. Individuals cannot be liable under section 1983, of course,
unless they have a “personal involvement in the alleged constitutional deprivation.” Colbert v.
City of Chicago, 851 F.3d 649, 657 (7th Cir. 2017) (quoting Minix v. Canarecci, 597 F.3d 824,
833 (7th Cir. 2010)). That is, “[t]he plaintiff must demonstrate a causal connection between
(1) the sued officials and (2) the alleged misconduct.” Id. (citing Wolf-Lillie v. Sonquist, 699 F.2d
864, 869 (7th Cir. 1983)). Here, nothing in the complaint establishes that defendants Figgs,
Barron, or Patton caused any of the alleged constitutional violations. Figgs is barely mentioned
in the complaint; it provides only a description of her role as the City Clerk, which includes
administrating and maintaining business licenses, and an allegation that the “City Clerk” has not
“formally denied” Dyson’s license application. (Compl. ¶¶ 10, 101.) But these allegations do not
suggest that Figgs personally had a hand in denying the business license request. Rather, the
complaint indicates that the application was rejected based on decisions made by the ZBA and
city council. (Id. ¶¶ 44-48.)
The allegations concerning Barron, the former director of inspectional services, and
Patton, the special assistant to the mayor, are similarly deficient. So far as is alleged, Barron’s
involvement in this case is limited to issuing the building permits, overseeing the inspection of
Dyson’s renovations, and informing Dyson in August 2015 that no further permits would be
issued until she obtained a business license. (Compl. ¶¶ 11, 20-22, 34-35.) None of those
activities, however, show that he had anything to do with Dyson’s special use or business license
requests. Nor does Barron’s role in issuing the building permits expose him to liability; as
discussed above, issuing permits in violation of local law does not raise a constitutional concern.
27
Patton’s connection to this lawsuit is even weaker than Barron’s. The only role he played was to
inform Dyson that her second request for a business license was pending a zoning approval. (Id.
¶ 53.) That action alone does not provide an adequate basis for individual liability under 42
U.S.C § 1983.
As to the remaining individual defendants, Qualkinbush, Donna Zwart, and William
Nadey (the latter two being the “ZBA Defendants”), Dyson may wish to consider whether those
defendants are shielded by the doctrine of absolute legislative immunity. In Tenney v.
Brandhove, the Supreme Court held that state legislators are absolutely immune in any suit for
damages arising under section 1983 for actions that are “legitimate legislative activity” and not
done “for their private indulgences.” 341 U.S. 367, 376-77 (1951). The Court further declared
that “the claim of an unworthy purpose does not destroy the privilege.” Id. at 377; see Bagley v.
Blagojevich, 646 F.3d 378, 392 (7th Cir. 2011) (“Whether an action is legislative ‘turns on the
nature of the act, rather than on the motive or intent of the official performing it.’”) (quoting
Bogan v. Scott-Harris, 523 U.S. 44, 54 (1998)). The immunity has since been extended to local
legislators. Bogan, 523 U.S. at 53-54.
The allegations against the ZBA defendants are limited to their recommendation to the
city council that Dyson’s special use permit be denied. That decision would seem to be a
legislative one. Taking the allegations as true, the ZBA followed statutory procedures in reaching
its decision. See Bagley, 646 F.3d at 392 (“To determine whether an act is legislative in form,
courts look at whether the defendants acted pursuant to constitutional or statutory procedures.”)
(citations omitted). Namely, it issued findings and a recommendation on Dyson’s application
following a public hearing. See Calumet City, Ill., Code App’x B, § 12.7 (1980); (Compl. ¶¶ 4447.) Moreover, the ZBA’s role in the special use application process appears to be substantively
28
legislative as well. See Bagley, 646 F.3d at 393 (examining whether government action at issue
“substantively ‘bore all the hallmarks of traditional legislation’”) (quoting Bogan, 523 U.S. at
55)). The board held a public hearing, gathered facts, and voted on whether to favorably
recommend the zoning proposal. (Compl. ¶¶ 44-47.) At the very least, these actions mirror those
taken by legislative committees, which have long been viewed as quintessential legislative
conduct. See Tenney, 341 U.S. at 377-78 (discussing how Congress’ investigative function is “an
established part of representative government” in finding that Congressional committee was
acting in legislative capacity).
Moreover, to the extent that Qualkinbush is being sued for her role in voting on the
special use application, (see Compl. ¶ 91 (alleging that “the City Council and Mayor
Qualkinbush erroneously . . . denied [Dyson’s] proposed special use without due process”)), she
may be immune from suit as well, see Bogan, 523 U.S. at 55 (finding that mayor enjoyed
absolute legislative immunity for introducing, voting, and signing into law a budget because his
actions were “integral step” in city council’s legislative process); Biblia Abierta v. Banks, 129
F.3d 899, 905 (7th Cir. 1997) (“We believe that rezoning (including participation in the
introduction and passage of a rezoning ordinance) is a legitimate legislative activity.”).
Therefore, if Dyson intends to file an amended complaint, she should keep in mind that several
of the individual defendants may be immune from suit, while others may not have the requisite
personal connection to this litigation to maintain a federal constitutional claim against them.
*
*
*
Accordingly, for the reasons stated above, the Court grants the defendants’ motion to
dismiss Dyson’s federal claims pursuant to Rule 12(b)(6) and declines to exercise supplemental
29
jurisdiction over the remaining state-law claims. The complaint is dismissed without prejudice.
Dyson has until February 23, 2018 to file an amended complaint.
John J. Tharp, Jr.
United States District Judge
Date: January 23, 2018
30
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