Santucci et al v. Levine et al
Filing
52
OPINION & ORDER re: 43 MOTION to Dismiss Plaintiffs' First Amended Complaint. filed by Town of Southeast, NY, Tony Hay, Willis Stephens, Michael Levine., For the foregoing reasons, Defendants' motion to dismiss is GRANTE D. Plaintiff shall have until September 12, 2019 to file a second amended complaint concerning those claims dismissed without prejudice. Otherwise said claims shall be deemed dismissed with prejudice. Should Plaintiffs file a second amended compla int, Defendants will have thirty days from the date of the complaint's filing to answer or respond. The Clerk of the Court is respectfully directed to terminate the motion at ECF No. 43. Amended Pleadings due by 9/12/2019. (Signed by Judge Nelson Stephen Roman on 8/8/2019) (rj)
UNITED STATES DISTRJCT COURT
SOUTHERN DISTRJCT OF NEW YORK
DENNIS SANTUCCI and KIMBERLEY
SANTUCCI,
Plaintiffs,
No. 17-cv-10204 (NSR)
-againstMICHAEL LEVINE, individually, WILLIS
STEPHENS, individually, TONY HAY,
individually and the TOWN OF SOUTHEAST, New
York,
OPINION & ORDER
Defendants.
NELSONS. ROMAN, United States District Judge
Plaintiffs Dennis Santucci and Kimberley Santucci ("Plaintiffs") initiated this action on
December 29, 2017 by filing a federal complaint, which they amended on October 2, 2018, against
Defendants Michael Levine, Willis Stephens, Tony Hay, and the Town of Southeast (the "Town")
(collectively, "Defendants"). (See Am. Compl. ("AC"), ECF No. 40.) Plaintiffs assert two claims
pursuant to 42 U.S.C. § 1983, alleging that (1) Defendants Hay and the Town retaliated against
them in violation of the First Amendment and (2) all Defendants violated their Fourteenth
Amendment right to equal protection. Presently before the Court is Defendants' motion to dismiss
the AC pursuant to Federal Rule of Civil Procedure 12(b)(6) (the "Motion"). (See Defs. Mot. to
Dismiss ("Defs. Mot."), ECF No. 43.)
For the following reasons, Defendants' motion is GRANTED.
BACKGROUND
The following facts are derived from the AC and are assumed to be true for the purposes
of the Motion.
I
I
DOCUl'viENT
1
11
ELECTRONICALLY
:i
~
I DOC#:_______
l( DATE FILED:
~/~~~2:~(Jl
I.
Factual Background
A. Plaintiffs’ Property Grievances
Plaintiffs are the owners of a parcel of land located at 5 Shady Lane, Southeast, New York.
(AC ¶ 2.) They have resided at 5 Shady Lane since July 2013. (Id.) Plaintiffs’ neighbor is Mr.
Eric Heinecke (“Heinecke”), who resides at 7 Shady Lane. (Id. ¶¶ 3, 11.) As the AC details, 5
Shady Lane and 7 Shady Lane are contiguous properties, slopping downwards from north to south.
(Id. ¶ 11.) Both properties are also situated in a R-60 zoning district within the Town. (Id.)
Unfortunately for Plaintiffs, Heinecke has “openly and continuously” used and developed
his property in a manner that allegedly violates several provisions of the Town Code. (Id. ¶ 14.)
Specifically, Heinecke has (1) expanded a “visually offensive” motorcycle racetrack (“Motocross
Track”), in violation of Town Code Section 134-3; (2) created and used an access road to the
Motocross Track; (3) altered his property’s grades to the north, south, and west as a result of the
Motocross Track’s expansion, in violation of Town Code Section 69-8; (4) publicly advertised and
operated a commercial automobile repair facility on his property, which created substantial noise
and violated Town Code Section 138-17; (5) constructed “unsightly and extremely high” berms,
in violation of Town Code Section 69; (6) permitted the use of motor vehicles within 100 feet of
Plaintiffs’ property, in violation of Chapter 134(E) of the Town Code; (7) removed soil from the
common boundary with Plaintiffs’ property, in violation of Town Code Section 69-8; (8) added
several hundred cubic yards of fill, in violation of the Town Code 1; (9) constructed a “watchtower”
for spectators to observer races; and (10) converted a former restaurant into a residence. (Id.)
Plaintiffs have not stood silent about these issues. Rather, they have repeatedly challenged
Defendants about the legality of Heinecke’s use of his property, although the AC is often not clear
1
The AC does not provide the specific Town Code provision Heinecke allegedly violated.
2
about when Plaintiffs specifically raised their concerns. As detailed below, Defendants have
generally dismissed or ignored Plaintiffs’ ten complaints.
1. Motocross Track
At the heart of Plaintiffs’ allegations is the Motocross Track. Plaintiffs, for their part, have
identified to Defendants several Town Code violations related to this use of Heinecke’s property.
(Id. ¶ 12.) On July 12, 2017, Defendant Levine—the Town’s Building Inspector (id. ¶ 3)—
eventually addressed these Motocross Track-related complaints, but he did not resolve the issue in
Plaintiffs’ favor. 2 (Id. ¶ 12.) Instead, he concluded that the Motocross Track was a permissible
“accessory use” under Town Code Section 138-4B. (Id.) Because the Motocross Track was an
“accessory use,” Defendant Levine “refused to enforce” the Town Code against Heinecke. (Id.)
In doing so, he also “singled [] Plaintiffs out” for complaining about Heinecke’s property use. (Id.)
2. Access Road to the Motocross Track
At some earlier point in time, Heinecke asserted a property interest in the northern corner
of Plaintiffs’ land for use as a vehicular access point. (Id. ¶ 18.) Eventually, on December 14,
2015, Defendant Levine urged Plaintiffs to allow Heinecke to use this corner, and to remove the
surveyor marker delineating the northern lot line of their property. (Id. ¶ 19.) Defendant Levine
explained that if they allowed Heinecke to use this northern corner, as requested, “a ‘lot’ of
Plaintiffs’ problems with the [T]own would ‘go away.’” (Id. ¶ 20.) Plaintiffs did not agree, which
extended their “difficulties” with the Town. 3 (Id. ¶ 21.)
2
3
Defendant Levine’s decision appears to be included in Defendants’ Exhibit List, Exhibit D. (Defs. Mot.
Exhibit List (“Defs. Ex. List”), ECF No. 46, Ex. D.) The Court has taken judicial notice of the records
listed in Exhibits B-F of Defendants Exhibit List, as it is permitted to do on a motion to dismiss. Weiss v.
Inc. Vill. of Sag harbor, 762 F. Supp. 2d 560, 567 (E.D.N.Y. 2011).
The AC does not note what those difficulties specifically entailed.
3
3. Alteration of Property Grades
Heinecke “frequently and extensively” altered—and apparently continues to alter—the
grades on his property. (Id. ¶ 22.) Despite awareness of these alterations and Plaintiffs’ “repeated
objections,” Defendant Stephens—the Town Attorney and Heinecke’s personal attorney for
zoning/land disputes (id. ¶ 5)—has not taken action against Heinecke. 4 (Id.¶ 23.)
4. Operation of an Automobile Repair Shop on the Property
In conjunction with his Motocross Track, Heinecke operated a commercial vehicle repair
facility on his property, which Defendant Stephens frequently used. (Id. ¶¶ 24-25.) Plaintiffs, on
an unspecified date, lodged a complaint to Defendant Levine about this issue. (Id. ¶ 26.)
Defendant Levine later advised Heinecke that he would inspect the facility, allowing Heinecke to
“conceal the commercial equipment that would have clearly evidenced commercial use.” (Id. ¶¶
26-27.) Having not identified a violation, Defendant Levine took no action. (Id. ¶ 27.)
5. Construction of Berms on the Motocross Track
Heinecke’s development of the Motocross Track involved constructing “very high berms.”
(Id. ¶ 28.) Plaintiffs, at an unspecified point in time, raised concerns about the berms to Defendant
Levine. (Id. ¶ 29.) Defendants Stephens was also aware of them because of his “frequent
presence” at 7 Shady Lane. (Id.) Neither Defendant Levine nor Defendant Stephens took
enforcement action against Heinecke. (Id.)
6. Operation of Motor Vehicles Near Plaintiffs’ Property
Heinecke’s operation of the Motocross Track meant that motor vehicles operated at high
speeds within a few feet of the properties’ common boundary line. (Id. ¶ 30.) Plaintiffs raised
4
Plaintiffs do not indicate whether Defendant Levine had been made aware of this issue. However,
according to Exhibit D, Defendant Levine did conclude that Heinecke’s alterations to the contours of his
property were a violation of Chapter 69 Article II of the Town Code and, in turn, allowed Heinecke to
apply for a special permit. (Defs. Ex. List, Ex. D at 3-5.)
4
this issue with Defendant Levine, but, relying on his determination that the Motocross Track was
an “accessory use,” he disregarded the complaint. 5 (Id. ¶ 31.)
7. Removal of Soil from the Properties’ Boundary
Heinecke began removing soil from the common boundary line between 7 Shady Lane and
5 Shady Lane. (Id. ¶ 32.) On another unidentified date, Plaintiffs expressed their belief to
Defendant Levine that this soil removal was impermissible. (Id.) Defendant Levine, however,
refused to inspect Heinecke’s property, advising Plaintiffs that he was “too busy.” (Id. ¶ 33.)
8. Addition of Yard Fill
Heinecke added “hundreds of yards of fill” to his property in excess of the “one hundred
cubic yard per acre” limit set by the Town. (Id. ¶ 34.) Despite Plaintiffs’ (undated) complaints,
neither Defendant Levine nor Defendant Stephens acted. (Id. ¶ 35.)
9. The Watchtower
To allow spectators to observe races on the Motocross Track, Heinecke constructed a
“watchtower.” (Id. ¶ 37.) At some point, Plaintiffs protested to Defendant Levine. (Id. ¶ 38.)
Nevertheless, he “summarily dismissed” their complaint on a “calculatedly fabricated” premise
that the watchtower was a children’s swing. (Id.) After Defendant Levine’s declination, Heinecke
later added a slide to the tower “to give the impression” that it was a children’s play area. (Id.)
10. Conversion of the Restaurant into a Residence
Finally, in or about March 2016, Plaintiff raised concerns about Heinecke’s conversion of
a restaurant located on his property into a residence. (Id. ¶ 39.) Again, Defendant Levine ignored
their complaint, explaining that it was permissible to have two residences on one lot. (Id. ¶ 40.)
5
The operation of motor vehicles on Heinecke’s’ property appears to have been addressed in Defendant
Levine’s June 12, 2017 assessment. (Defs. Ex. List, Ex. D at 3.)
5
B. Defendants’ Conduct Towards Plaintiffs
As Plaintiffs raised their grievances, they faced apparent affirmative pushback from
Defendants Levine, Stephens, and Hay. Plaintiffs explain that this was part of a scheme to silence
them. (Id. ¶ 13.)
1. Defendant Levine
While Defendant Levine repeatedly declined to enforce Heinecke’s purported violations of
the Town Code, he instituted against Plaintiffs enforcement actions related to similar issues. For
example, although he did not take remedial or enforcement action against Heinecke because of the
grade alterations made to the Motocross Track, Defendant Levine did challenge Plaintiffs’ grading
at the front of their property. 6 (Id. ¶ 23.) This forced Plaintiffs to purchase expert assistance to
show that any grading issue had been resolved. (Id.) Similarly, although he took no action when
Heinecke added fill to his property, Defendant Levine brought an enforcement action against
Plaintiffs when they added two hundred cubic yards of fill to their property. 7 (Id. ¶ 36.)
In other instances, such as on December 12, 2014, Defendant Levine cited Plaintiffs for
“wetlands violations” occurring on another property, 1 Shady Lane, at which Dennis Santucci was
undertaking repair work. (Id. ¶ 49.) By filing a wetlands violation against 5 Shady Lane,
Defendant Levine gave the impression that Plaintiffs’ property title was compromised. (Id. ¶ 50.)
Plaintiffs objected, but the violation remained on file for months. (Id. ¶ 51.)
Defendant Levine’s conduct apparently extended to his interpretation of Town Codes.
Specifically, he “intentionally misinterpreted the law” to reach the conclusion that the Motocross
Track was an “accessory use” that did not warrant an enforcement action. 8 (Id. ¶ 12.)
6
7
8
The AC does not specify when this enforcement action occurred, or what zoning codes were enforced.
The AC does not specify when this enforcement action occurred, or what zoning codes were enforced.
Then, on June 24, 2017, Defendant Levine publicly criticized Plaintiffs because of their repeated complaints
about Heinecke’s property. (Id. ¶ 4.) Plaintiffs do no allege what this critique entailed or where it occurred.
6
2. Defendant Stephens
Plaintiffs have what can generously be described as an acrimonious relationship with
Defendant Stephens. For example, while acting as Heinecke’s personal attorney, he, on December
14, 2015, threatened to sue Plaintiffs if they did not “accede to Heinecke’s” demand that he be
permitted to use the northern corner of Plaintiffs’ property. 9 (Id. ¶¶ 5, 19.)
Undeterred, Plaintiffs continued to challenge the legality of the Motocross Track and its
day-to-day operation. 10 (Id. ¶ 15.) As a result, on April 26, 2017, Defendant Stephens warned
Plaintiffs’ counsel that the Town would “make it difficult for [] Plaintiffs to develop their property”
if they continued to express their opinions. 11 (Id. ¶ 16.) Plaintiffs ultimately ignored these
warnings and continued their vocal opposition to the Motocross Track. (Id. ¶ 17.)
3. Defendant Hay
Plaintiffs also attempted to raise their concerns with Defendant Hay, the elected Supervisor
of the Town. (Id. ¶ 9, 43.) Yet on July 27, 2017, when Defendant Hay learned that Plaintiffs had
attempted to address him in person, he instructed Plaintiffs to communicate any future concerns to
him in writing. (Id. ¶ 43.) Later, on November 16, 2017, Defendant Dennis Santucci (“Mr.
Santucci”) attended a Town Board meeting to express his opinion about the Town’s code
enforcement. (Id. ¶ 47.) When he attempted to raise his concerns during the public comment
portion of the meeting, Defendant Hay “immediately announced” that the “th[e] [public] comment
[was] over.” (Id. ¶ 48.) This prevented Mr. Santucci from speaking at the meeting. (Id.)
9
10
11
Five months later, around May 2016, Plaintiffs filed an ethics complaint with the Town regarding Defendant
Stephens because of his improper insulation of Heinecke, in concert with Defendant Levine, from any code
enforcement. (Id. ¶ 41.) The Town ultimately concluded on May 25, 2016 that any collaboration between
Defendant Stephens and Defendant Levine did not violate the Town’s Ethics Code. (Id. ¶ 42.)
The AC does not specify to whom Plaintiffs complained.
The AC does not specify whether privy to or aligned with Defendant Stephens’s sentiment.
7
II.
Procedural Background
On December 29, 2017, Plaintiffs commenced this action pursuant to 42 U.S.C. § 1983,
alleging that Defendants (1) engaged in a retaliatory plan to silence Plaintiffs, in violation of the
First Amendment; and (2) selectively enforced the Town’s zoning laws against Plaintiffs, in
violation of the Equal Protection Clause of the Fourteenth Amendment. (ECF No. 1.) Defendants
initially moved to dismiss the complaint on September 20, 2018 (ECF No. 30), but, on October 2,
2018, Plaintiffs filed the AC to remove its official capacity claims against Defendants. (ECF No.
40.) Pursuant to a joint stipulation to allow Defendants to file a motion to dismiss the AC (ECF
No. 39), Defendants then filed the present Motion on November 15, 2018. (ECF No. 43.)
Defendants move to dismiss the AC on several grounds. First, Defendants contend that
dismissal is warranted because Plaintiffs failed to allege the dates of wrongdoing regarding several
of the acts of misconduct alleged in the AC and, in other cases, failed to identify the specific Town
Codes or Laws that Defendants selectively enforced. (Defs. Memo. of Law in Support of Their
Motion to Dismiss (“Defs. Mot.”), ECF No. 47, at 8, 10.) Defendants also argue that several of
Plaintiffs’ claims are time barred under the applicable statute of limitations. (Id. at 9.) Second,
Defendants argue that Plaintiffs have failed to state a viable Equal Protection claim against
Defendants. (Id. at 11.) Third, Defendants maintain that Plaintiffs have not sufficiently pleaded a
cause of action for First Amendment retaliation. (Id. at 16.) Finally, Defendants contend that any
claims against Defendant Hay must be dismissed for lack of personal involvement, and that
Defendant Stephens cannot be liabile for merely providing legal counsel. 12 (Id. at 19.)
12
Plaintiffs removal of their official capacity claims in the AC renders moot Defendants’ motion to dismiss
those claims. The Court notes that Defendants did not challenge whether Plaintiffs sufficiently pleaded that
Defendants acted under a municipal policy or custom, as would be required to bring claims against the Town
under Monell v. Dep’t of Soc. Servs., 436 U.S. 658, 690-91 (1978). As neither party raised this issue, the
Court does not address it. See Dodson v. Board of Educ. of the Valley Stream Union Free School Dist., 44
F. Supp. 3d 240, 247 (E.D.N.Y. 2014) (declining to address a Monell issue where neither party raised it).
8
Legal Standards
I.
Rule 12(b)(6)
Under Rule 12(b)(6), the inquiry for a motion to dismiss is whether the complaint
“contain[s] sufficient factual matter, accepted as true, to ‘state a claim to relief that is plausible on
its face.’” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009) (quoting Bell Atl. Corp. v. Twombly, 550
U.S. 544, 570 (2007)). “While legal conclusions can provide the framework of a complaint, they
must be supported by factual allegations.” Id. at 679. A court must take all material factual
allegations as true and draw reasonable inferences in the non-moving party’s favor, but it is “‘not
bound to accept as true a legal conclusion couched as a factual allegation,’” or to credit “mere
conclusory statements” or “[t]hreadbare recitals of the elements of a cause of action.” Id. at 678
(quoting Twombly, 550 U.S. at 555).
When considering a motion to dismiss, a court is generally confined to the facts alleged in
the complaint. Cortec Indus. v. Sum Holding L.P., 949 F.2d 42, 47 (2d Cir. 1991). A court may,
however, consider documents attached to the complaint, statements or documents incorporated
into the complaint by reference, matters of which judicial notice may be taken, public records, and
documents that the plaintiff either possessed or knew about, and relied upon, in bringing the suit.
Kleinman v. Elan Corp. plc., 706 F.3d 145, 152 (2d Cir. 2013).
To determine whether a complaint states a plausible claim for relief, a court must consider
the context and “draw on its judicial experience and common sense.” Iqbal, 556 U.S. at 679. A
claim is facially plausible when the facts allow a court “to draw the reasonable inference that the
defendant is liable for the misconduct alleged.” Id. at 678.
9
II.
Section 1983
Under Section 1983, “[e]very person who, under color of any statute, ordinance, regulation,
custom, or usage, of any State . . . subjects, or causes to be subjected, any citizen of the United
States . . . to the deprivation of any rights, privileges, or immunities secured by the Constitution
and laws, shall be liable to the party injured.” 42 U.S.C. § 1983. “Section 1983 itself creates no
substantive rights; it provides only a procedure for redress for the deprivation of rights established
elsewhere.” Sykes v. James, 13 F.3d 515, 519 (2d Cir. 1993). As such, to successfully assert a
Section 1983 claim, “a plaintiff must demonstrate: ‘(1) a right secured by the Constitution or laws
of the United States was violated, and (2) the right was violated by a person acting under color of
state law, or a state actor.’” Town and Country Adult Living, Inc. v. Vill./Town of Mount Kisco,
No. 17-CV-8586 (CS), 2019 WL 1368560, at *17 (S.D.N.Y. Mar. 26, 2019).
It is well settled in this Circuit that personal involvement in an alleged constitutional
deprivation is a perquisite to an award of damages under Section 1983. Colon v. Coughlin, 58
F.3d 865, 873 (2d Cir. 1995). Personal involvement entails an “intentional participation in the
conduct constituting a violation of the victim’s rights by one who knew of the facts rendering it
illegal.” Gronowski v. Spencer, 424 F.3d 285, 293 (2d Cir. 2005). In other words, a “plaintiff
must demonstrate that the individual defendant acted with an improper motive and played a
meaningful role in the decision making process, or was a moving force behind the discriminatory
treatment.” Town and Country Adult Living, Inc., 2019 WL 1368560 at *12 (internal quotations
and alterations omitted).
DISCUSSION
At issue on the Motion are Plaintiffs’ (1) First Amendment claim, against only Defendant
Hay and the Town, regarding a “retaliatory plan to silence [] Plaintiffs” (id. ¶¶ 52-53); and
10
(2) Fourteenth Amendment Equal Protection claim, against all Defendants, regarding the selective
enforcement of the Town Code against Plaintiffs (AC ¶¶ 54-55).
Defendants offer several arguments in support of the Motion. As to the Equal Protection
claim, Defendants contend that dismissal is warranted because (1) Plaintiffs failed to allege the
dates of wrongdoing for several of the alleged acts of misconduct in the AC and, in other cases,
failed to identify the specific Town Code or Laws that have been selectively enforced (Defs. Mot.
8, 10.); (2) some of Plaintiffs’ claims are time barred under the applicable statute of limitations
(id. at 9); and (3) Plaintiffs’ Equal Protection claim is substantively deficient due to their failure to
identify a similarly situated comparator or establish Defendants’ bad faith or intent (id. at 11-16).
Regarding the First Amendment claim, Defendants maintain that (a) Plaintiffs have failed to
identify a deprivation of a protected First Amendment interest or establish a harm; and (b) in any
event, Plaintiffs’ claims are not ripe. (Id. at 16-19.) Defendants also contend, as an additional
basis for dismissal, that Plaintiffs have not pleaded Defendant Hay’s personal involvement, and
that Defendant Stephens cannot be liable for providing legal counsel to the Town. 13 (Id. at 19-22.)
Below, the Court addresses these arguments.
I.
Equal Protection Claim
Plaintiffs’ AC sets forth a series of allegedly intentional and erroneous enforcement
decisions, which tended to benefit Heinecke and burden Plaintiffs. As Plaintiffs allege, this
“selective enforcement activity” targeted Plaintiffs in violation of their right to Equal Protection
under the law. (AC ¶ 55.) Defendants counter that, inter alia, Plaintiffs have not sufficiently
pleaded or established that “their property, or the nature of the violations charged against their
property,” is similarly situated to Heinecke’s property or his alleged zoning violations.
13
In their reply papers, Defendants also challenge any claim against Defendant Stephens for lack of personal
involvement. (Defs. Reply to Pls. Opp. (“Defs. Reply”), ECF No. 49, at 8.)
11
(Defs. Mot. 13.) Defendants further contend that Plaintiffs’ selective enforcement claims cannot
be maintained against Defendants Stephens or Hays, and that Plaintiffs’ claim regarding the
December 2014 wetlands violation is time barred. As explained below, the Court fully agrees.
A. Selective Enforcement
Under the Equal Protection Clause, “[n]o State shall . . . deny to any person within this
jurisdiction the equal protections of the laws.” U.S. Const. amend. XIV, § 1. The clause “is
essentially a direction that all persons similarly situated should be treated alike.” Thomas v. Town
of Southeast, 336 F. Supp. 3d 317, 331 (S.D.N.Y. 2018) (quoting Brown v. City of Oneonta, 221
F.3d 329, 337 (2d Cir. 2000)). To succeed on an Equal Protection claim, a “plaintiff must
demonstrate that [he or she] was treated differently than others similarly situated as a result of
intentional or purposeful discrimination.” Phillips v. Girdich, 408 F.3d 124, 129 (2d Cir. 2005)
(citing Giano v. Senkowski, 54 F.3d 1050, 1057 (2d Cir. 1995)).
“Although the prototypical equal protection claim involves discrimination against people
based on their membership in a vulnerable class, [courts] have long recognized that the equal
protection guarantee also extends to individuals who allege no specific class membership but are
nonetheless subjected to invidious discrimination at the hands of government officials.” Harlen
Assocs. v. Inc. Vill. of Mineola, 273 F.3d 494, 499 (2d Cir. 2001). To this end, a plaintiff can show
that he or she was treated differently from similarly situated individuals in circumstances where
(1) “there was no rational basis for the difference in treatment (‘class of one’);” or (2) “the different
treatment was based on a malicious or bad-faith intent to injure (‘selective enforcement’).” Artec
Constr. & Dev. Corp. v. City of New York, No. 15-CV-9494 (KPF), 2017 WL 5891817, at *4
(S.D.N.Y. Nov. 28, 2017).
12
Both parties seem to agree that Plaintiffs have brought a “selective enforcement” claim.
(Compare AC ¶ 55, and Pls. Mot. in Opposition to Defs. Mot. (“Pls. Opp.”), ECF No. 41, at 12,
with Defs. Mot. at 12-14.) And an essential component of such a claim is that the plaintiff
establishes that he or she is similarly situated with a comparator. Bishop v. Best Buy, Co., No. 08
Civ. 8427 (LBS), 2010 WL 4159566, at *11 (S.D.N.Y. Oct. 13, 2010).
Generally, whether comparators are similarly situated is a fact issue for the jury. Harlen
Assocs., 273 F.3d at 499 n.2. This, however, is not an absolute rule. Id. Thus, on a motion to
dismiss, a court “must determine whether, based on a plaintiff's allegations in the complaint, it is
plausible that a jury could ultimately determine that the comparators are similarly situated.”
Panzella v. City of Newburgh, 231 F. Supp. 3d 1, 8 (S.D.N.Y. 2017). Conclusory allegations of
selective enforcement are insufficient. Id.
Notably, courts within the Second Circuit have expressed disagreement on the degree of
similarity required by a selective enforcement claim. Some courts have applied the more exacting
standard used for class-of-one claims, i.e. requiring that “[t]he level of similarity between plaintiffs
and the persons with whom they compare themselves [] be extremely high.” See Kamholtz v. Yates
Cty., No. 08-CV-6210, 2008 WL 5114964, at *5 (W.D.N.Y. Dec. 3, 2008). Other courts have
applied a less demanding standard, requiring that plaintiffs “identify comparators whom a prudent
person would think were roughly equivalent.” Mosdos Chofetz Chaim, Inc. v. Vill. of Wesley Hills,
815 F. Supp.2d 679, 696 (S.D.N.Y. 2011) (internal quotations omitted); accord Yajure v. DiMarzo,
130 F. Supp. 2d 568, 572 (S.D.N.Y. 2001) (“The test for determining whether persons similarly
situated were selectively treated is whether a prudent person, looking objectively at the incidents,
would think them roughly equivalent.”). The Court need not resolve this split here because
Plaintiffs would not even meet the less demanding standard.
13
Plaintiffs argue that they are similarly situated to Heinecke because (1) they are both real
property owners in the Town with contiguous properties that slope downwards from north to south;
and (2) their properties are both in a R-60 zoning district. (AC ¶ 11.) However, that is where the
similarities end. The AC does not identify any other factual similarities necessary to support a
plausible claim. For example, the AC does not note whether Plaintiffs’ property had similar types
of land uses or structures—whether non-conforming and/or “accessory” 14—against which
Defendants could have selectively enforced the Town Code. See, e.g., Panzella, 231 F. Supp. 3d
at 9 (concluding that plaintiffs, operators of a cruise boat business, did not identify similarly
situated comparators because, although the comparators both had boats and operated on the same
river, plaintiffs did not allege that defendant treated those comparators differently under similar
circumstances); Viteritti v. Inc. Vill. of Bayville, 918 F. Supp. 2d 126, 135-36 (E.D.N.Y. 2013)
(holding that plaintiffs did not establish that their property was similarly situated to comparators
because plaintiffs’ property contained significantly different structures than the comparators).
Further, although Plaintiffs allege that Defendants selectively enforced two purported code
violations on their property (AC ¶¶ 23, 36), there is no indication that they were of a similar nature
or degree as those violations identified on Heinecke’s property. It is simply not plausible, on the
facts alleged, for a jury to find that Plaintiffs’ property is similarly situated to Heinecke’s property.
Plaintiffs’ Equal Protection claim is dismissed without prejudice. 15
14
15
Upon a review of Exhibit D, it appears that there was some disagreement amongst the Town’s officials as to
whether Heinecke’s Motocross Track was a “pre-existing, non-conforming use” (Defs. Ex. List, Ex. C) or an
“accessory use” (Id. Ex. D at 3 n.2.) The distinction, however, is inconsequential here because Plaintiffs
have not established that their property had any similar type of use on their property to which Defendants
selectively enforced the Town’s Code.
Because the Court has concluded that Plaintiffs failed to allege that Heinecke is a similarly situated
comparator, it does not address Defendants’ intent, or whether, as Defendants have argued, Plaintiffs’ First
Amendment claim “coalesces” with the Equal Protection claim. (Defs. Reply 3-4.)
14
B. Defendant Stephens’s Personal Involvement
In the AC, Plaintiffs contend that Defendant Stephens “knowingly acted in concert” with
the other Defendants to “publicly side[] . . . with Heinecke against Plaintiffs in connection with
land use and zoning issues affecting both of their properties.” (Id. ¶ 7.) To support an inference
of purported misconduct, Plaintiffs maintain that Defendant Stephens, “both as Town Attorney
and Heinecke’s personal attorney,” warned Plaintiffs’ counsel that the Town would “make it
difficult” for Plaintiffs to develop their property (id. ¶ 16), and, in other instances ignored
Heinecke’s purported violations (id. ¶¶ 23, 29). Plaintiffs, however, allege no tangible, nonconclusory facts that indicate that Defendant Stephens, in his capacity as Town Attorney, was a
moving force in the decision to bring an enforcement action against Plaintiffs or to not bring an
enforcement action against Heinecke. See Zdziebloski v. Town of E. Greenbush, 336 F. Supp. 2d
194, 202 (N.D.N.Y. 2004) (concluding that a town attorney’s “[i]nvolvement in discussions that
[led] to a decision [by the town board was] not personal involvement”). Even had the Court not
dismissed Plaintiffs’ Equal Protection claim for failure to sufficiently identify a similarly situated
comparator, any claims against Defendant Stephens would nevertheless be dismissed, without
prejudice, for lack of personal involvement. 16
C. Defendant Hay’s Personal Involvement
Aside from a stray assertion that Defendant Hay had “plenary discretionary authority for
inter alia the enforcement of the Town’s Code” (id. ¶ 9), the AC does not explain how he was
personally involved, if at all, in any of the alleged zoning decisions. Therefore, any claims related
16
Plaintiffs’ claims against Defendant Stephens would also be dismissed to the extent they are predicated on
solely his conduct as Heinecke’s personal attorney. (See, e.g., AC ¶ 19.) It is well established that a claim
under Section 1983 requires that a private attorney act under the color of law. See Fine v. City of New York,
529 F.2d 70, 74 (2d Cir. 1975) (agreeing that defendant “did not act ‘under color of law’, but merely in the
capacity of a private attorney then representing Fine in state criminal proceedings”).
15
to the enforcement of the Town Code are dismissed, without prejudice, as to Defendant Hay for
lack of personal involvement. See Raus v. Town of Southampton, No. CV 13-7056, 2015 WL
2378974, at *5 (E.D.N.Y. May 18, 2015) (dismissing claim against town supervisor because
complaint lacked specific allegations of personal involvement).
D. Wetlands Violation
There is no independent statute of limitations set by Section 1983. See Owens v. Okure,
488 U.S. 235, 239 (1989). For this reason, courts will apply “the statute of limitations for personal
injury actions under state law.” Hogan v. Fischer, 738 F.3d 509, 517 (2d Cir. 2013). The
applicable statute of limitations for Section 1983 claims arising in New York is three years. Pinaud
v. Cty. of Suffolk, 52 F.3d 1139, 1156 (2d Cir. 1995). Although there is an exception for continuing
violations, that doctrine only applies to “claims composed of a series of acts that collectively
constitute on unlawful practice.” Andrews v. Town of Wallingford, No. 3:16-cv-01232 (JAM),
2017 WL 3588571, at *3 (D. Conn. Aug. 21, 2017) (quoting Gonzalez v. Hasty, 802 F.3d 212, 220
(2d Cir. 2015)). The “continuing violation” rule does not apply to “discrete unlawful acts, even
where those discrete acts are part of a ‘serial violation.’” Gonzalez, 802 F.3d at 220 (alteration
omitted). Nor does it apply “merely because a plaintiff experiences continuing harm from a
defendant’s otherwise discrete time-barred act.” Andrews, 2017 WL 3588571 at *3.
In this case, Defendants contend that Plaintiffs’ claims premised on the December 12, 2014
wetlands violation is time barred. (Defs. Mot. 9-10; see also AC ¶ 49; Defs. Ex. List, Ex. B.).
Plaintiffs filed this action on December 29, 2017. Accordingly, any claims accruing before
December 29, 2014—such as the December 14, 2014 wetlands violation—fall outside of the
statute of limitations. Plaintiffs, however, argue that the wetlands violation was a continuing
violation because its effects continued past the date it was issued by being “kept on Plaintiffs’
16
property for months, causing them continuous impairment of their property title.” (Pls. Opp. at
15). The Court disagrees. Regardless of its long-term effects, the issuance of the violation itself
was a “discrete act” that, at most, amounted to a “serial violation.” As such, the wetlands-violation
claim is dismissed with prejudice as time barred. 17
II.
First Amendment Claim
Plaintiffs essentially plead two distinct harms to support their First Amendment claim:
(1) Defendant Hay’s infringement of Plaintiffs’ right to complain to the Town (AC ¶¶ 43-48; Pls.
Opp. 6-11); and (2) Defendants’ retaliatory enforcement (and non-enforcement) of the Town Code
(AC ¶¶ 11-40). Defendants first argue that Defendant Hay did not deprive Plaintiffs of an
opportunity to submit grievances to the Town or impermissibly prevent them from speaking during
the “public comment” portion of the Town Board Meeting. (Defs. Mot. 16-18.) Defendants then
maintain that, regarding the enforcement of the Town Code, Plaintiffs have not identified any
chilled speech. (Id. at 18-19.) The Court considers each argument.
A. First Amendment Claim Against Defendant Hay
1. Defendant Hay’s Written Communication Requirement
The First Amendment protects the right to petition the government for a redress of
grievances. Weiss v. Willow Tree Civic Ass’n, 467 F. Supp. 803, 817 (S.D.N.Y. 1979) (explaining
that plaintiffs’ assembling at a public meeting and speaking against a zoning application was
entitled to First Amendment protection). This right to petition, however, “does not include an
absolute right to speak in person to officials.” Piscottano v. Town of Somers, 396 F. Supp. 2d 187,
206 (D. Conn. 2005) (quoting Cronin v. Town of Amesbury, 895 F. Supp. 375, 390 (D. Mass.
17
Defendants also note that Defendant Stephens made an assessment regarding the legality of the Motocross
Track in 2006 (See Defs. Ex. B.) To the extent that any of Plaintiffs’ claims are premised on the propriety
of that 2006 decision, those claims are likewise time barred.
17
1995)). Indeed, courts within our Circuit have concluded that, so long as a plaintiff has an
opportunity to submit grievances in writing, a defendant has not denied his or her the right to
petition the government. See Prestopnik v. Whelan, 253 F. Supp. 2d 369, 375 (N.D.N.Y. 2003)
(finding no constitutional injury in a refusal to permit plaintiff’s attorney to speak at meeting
because plaintiff could submit grievances in writing).
Here, Plaintiffs only allege that Defendant Hay instructed them to ensure that any future
communications with him were in writing. (AC ¶ 43.) These allegations do not establish that
Defendant Hay deprived Plaintiffs of an opportunity to raise their grievances with the Town.
Rather, Plaintiffs continued to maintain a written avenue to raise their concerns. See Osborne v.
Fernandez, No. 06-CV-4127 (CS) (LMS), 2009 WL 884697, at *44 (S.D.N.Y. Mar. 31, 2009)
(“Although the Plaintiffs advance allegations that the Defendants violated their First Amendment
rights by ‘determining whom Plaintiffs could and could not speak with, [ ] by prohibiting them
from speaking with other persons with business before the Planning Board,’ and by requiring that
‘all documents be sent only to the Chairman at Town Hall,’ these allegations do not raise the
possibility—nor could they—that the Plaintiffs were literally prohibited from speaking with such
other persons or from submitting such documents to persons other than Defendant Fernandez.”).
Plaintiffs’ conclusory assertion that this requirement was “clearly intended” to prevent Mr.
Santucci from addressing the Board (id. ¶ 44.) does not alter this conclusion. 18
18
To distinguish cases like Osborne and, specifically, Prestopnik, Plaintiffs’ contend that Hay “limited
Santucci’s expression of grievances in writing and to Hay alone.” (Pls. Opp. at 10.) This fact is not properly
before the Court. It does not appear anywhere in the AC, and it is well settled that Plaintiffs may not amend
a complaint in their opposition. Teletronics Proprietary, Ltd. v. Medtronic, Inc., 687 F. Supp. 832, 836
(S.D.N.Y. 1988) (“A claim for relief ‘may not be amended by the briefs in opposition to a motion to
dismiss.’”). In any event, Plaintiffs’ attempt at a distinction is unavailing. Without more facts, there is no
indication that Plaintiffs would have been denied an opportunity to raise their grievances just because Hay
requested that they direct their grievances to him in his capacity as Town’s Supervisor.
18
In short, Plaintiffs’ claims predicated on Defendant Hay’s directive that their complaints
be in writing fail to state a claim under the First Amendment. The Court thus grants Defendants’
Motion to the extent it applies to Defendant Hay’s written-statement directive.
2. The “Public Comment” Incident
When assessing the propriety of government speech restrictions, courts will analyze three
elements: (1) whether the speech is protected by the First Amendment; (2) what is the nature of
the speech’s forum; and (3) whether the “justifications for exclusion from the relevant forum
satisfy the requisite standard.” See Cornelius v. NAACP Legal Defense and Educ. Fund, Inc., 473
U.S. 788, 797 (1985). Because it has concluded that Plaintiffs zoning violation grievances are
protected by the First Amendment, the Court focuses its analyses on the latter two elements.
There are traditionally four types of forum classifications that will dictate the level of
scrutiny with which a court examines speech restrictions: (1) a traditional public forum; (2) a
designated public forum; (3) a limited public forum; and (4) a nonpublic forum. R.O. ex rel.
Ochshorn v. Ithaca City School Dist., 645 F.3d 533, 539 (2d Cir. 2011). Generally, for traditional
public forums and designated public forums, the government may only impose content-neutral
time, place, and manner restrictions that are “narrowly tailored to serve a significant government
interest,” and it must leave open ample alternative channels of communication. See Hershey v.
Goldstein, 938 F. Supp. 2d 491, 506-07 (S.D.N.Y. 2013) (citing Perry Educ. Ass’n v. Perry Local
Educators’ Ass’n, 460 U.S. 37 (1983)). For limited public forums, the government typically may
impose restrictions on speech if they are “viewpoint neutral and reasonable in relation to the
forum’s purpose.” Hotel Emps. & Rest. Emps. Union, Local 100 of N.Y. v. City of New York Dep’t
of Parks & Recreation, 311 F.3d 534, 546 (2d Cir. 2002). Finally, for nonpublic forums, the
19
government may apply reasonable restrictions that are “not an effort to suppress expression merely
because public officials oppose the speaker’s view.” Perry Educ. Ass’n, 460 U.S. at 46.
“Courts have generally held that a public meeting of an elected municipal board . . . is a
limited public forum for the purposes of First Amendment analysis.” Malta v. Slagle, No. 05-CV342S, 2007 WL 952045, at *3 (W.D.N.Y. Mar. 29, 2007) (collecting cases from within this
Circuit). This includes the public comment portions of municipal board meetings. See CipollaDennis v. Cty. of Tompkins, No. 3:18-CV-1241, 2019 WL 2176669, at *6 (N.D.N.Y. May 20,
2019); Smith v. City of Middletown, No. 3:09-cv-1431, 2011 WL 3859738, at *4 (D. Conn. Sept.
1, 2011), aff’d sub nom Smith v. Santangelo, 518 F. App’x 16 (2d Cir. May 1, 2013) (“Numerous
courts have held that city council meetings which have been opened to the public are limited public
fora . . . . [T]he public comment period during the Council meeting [also] constitute[s] a limited
public forum.”). Here, to the extent that Defendants could impose restrictions on Plaintiffs’ speech
at the Town Board Meeting’s “public comment” period, those restrictions needed to be viewpoint
neutral and reasonable. Plaintiffs, however, have not pleaded sufficient facts to establish that
Defendant Hay ran afoul of this constitutional requirement.
The AC notes that Defendant Hay had “immediately” informed Mr. Santucci at the Town
Board Meeting that the “[public] comment [was] over.” (AC ¶¶ 47-48.) But notably absent from
the AC is an indication of whether there were any content restrictions on the public comment
portion of the meeting. See Smith, 2011 WL 31859738 at *5 (“[I]t is evident that the city council
is entitled to restrict public comment at its meetings to topics on the agenda.”). Nor does the AC
establish that, unlike Mr. Santucci, other individuals were permitted to address the Town Board
about issues related to the Town’s zoning code, such that the Court could reasonably infer that
Defendant Hay was specifically targeting Plaintiffs’ viewpoint. See Weinberg v. Vill. of Clayton,
20
N.Y., No. 5:17-cv-00021 (BKS/ATB), 2018 WL 5777292, at *6-7 (N.D.N.Y. Nov. 2, 2018)
(concluding that plaintiffs sufficiently stated a First Amendment claim by alleging that defendant
specifically changed rules regarding “public comment” period after plaintiffs’ repeated attempts
to address an issue at public meetings). Overall, the threadbare, conclusory allegations about
Defendant Hay’s conduct at Town Board Meeting fail to state a plausible claim under the First
Amendment. The Court, accordingly, dismisses, without prejudice, Plaintiffs claims related to
Defendant Hay’s actions at the Town Board Meeting.
B. Enforcement of Town Codes
To succeed on a First Amendment retaliation claim, a plaintiff must establish that (1) he or
she has a right protected by the First Amendment; (2) the defendant’s actions were “motivated or
substantially caused” by the exercise of that right; and (3) the defendant’s actions caused plaintiff
some type of injury. Dorsett v. Cty. of Nassau, 732 F.3d 157, 160 (2d Cir. 2013)
As an initial matter, the right to complain to public officials about zoning violations is
protected by the First Amendment. See Gagliardi v. Vill. of Pawling, 18 F.3d 188, 194 (2d Cir.
1994) (citing Franco v. Kelly, 854 F.2d 584, 589 (2d Cir. 1988)). Here, Plaintiffs repeatedly
notified Defendants of alleged zoning violations at 7 Shady Lane. This was protected conduct.
The AC also sufficiently establishes a harm related to Defendants’ conduct. In general,
“private citizens claiming retaliation” have often been required to show an “‘actual chill’ in their
speech as a result.” Zherka v. Amicone, 634 F.3d 642, 645 (2d Cir. 2011). To this end, Defendants
argue here that Plaintiffs’ speech was never chilled because of the enforcement or nonenforcement
of the Town’s zoning laws. (Defs. Mot. 18-19.) The Court agrees. Plaintiffs’ allegations, in fact,
support an inference that they continued to voice their concerns despite Defendants’ conduct. (See,
e.g., AC ¶ 17.) Plaintiffs’ continued outspokenness, however, does not end the harm inquiry.
21
“Chilled speech is not the sine qua non of a First Amendment claim.” Dorsett, 732 F.3d
at 160. Instead, a plaintiff can establish a First Amendment harm by showing that the retaliatory
conduct either adversely affected his or her speech or caused plaintiff to suffer some other concrete
harm. Id. Plaintiffs here have sufficiently alleged tangible harms from Defendants’ alleged
disparate enforcement of the Town’s zoning codes. These harms included being forced, because
of Defendants’ conduct, to defend against a “costly and selective enforcement action” regarding
the addition of fill to their property (id. ¶ 36), and to “expend[] [] substantial money to secure
expert assistance” to resolve their property’s grading issues (id. ¶ 23). Plaintiffs have also alleged
that the Motocross Track “generat[ed] obnoxious noise and dust,” which has ‘adversely affect[ed]
and disturb[ed]” them. (Id. ¶ 14.) As pleaded, these harms could support a plausible claim. 19
Notwithstanding the above, Plaintiffs’ claim falters when establishing the requisite nexus
between Plaintiffs’ protected conduct and Defendants’ purported retaliation. In general, “[t]he
ultimate question of retaliation is a defendant’s motive and intent.” Gagliardi, 18 F.3d at 195.
Motive and intent, however, are “difficult to plead with specificity in a complaint.” Id. For this
reason, a plaintiff can establish a retaliatory motive by pointing to circumstantial evidence. Lang
v. Town of Tusten, N.Y., No. 14 CV 4136 (VB), 2015 WL 5460110, at *6 (S.D.N.Y. Aug. 6, 2015)
(citing Hartman v. Moore, 547 U.S. 250, 260 (2006)). This includes showing unequal treatment
19
Defendants argue that Plaintiffs’ claims are not ripe because they failed to exhaust administrative remedies.
(Defs. Mot. 19.) The Court disagrees. “[I]n the First Amendment context, the ripeness doctrine is somewhat
relaxed.” Dougherty v. Town of N. Hempstead Bd. of Zoning Appeals, 282 F.3d 83, 90 (2d Cir. 2002). To
this end, courts have held that claims of First Amendment retaliation need not undergo a ripeness inquiry
where there is an immediate injury and “pursuit of a[n] [] administrative decision would do nothing” to
further define it. Lang, 2015 WL 5460110 at *4. Here, although Plaintiffs’ pursuit of a zoning appeal could
potentially reverse their fortunes, they have plausibly alleged the types of injuries that have already occurred
and are defined enough at this juncture. The court’s holding in Rosendale v. Brusie, No. 07-CV-8149 (CS),
2009 WL 778418, at *7 (S.D.N.Y. Mar. 25, 2009)—upon which Defendants rely—does not suggest
differently. There, plaintiff challenged defendants’ issuance of a special use permit and subsequent failure
to enforce it. Id. at *1. The court, however, concluded that defendants’ enforcement decision had not
produced an immediate injury, noting plaintiff’s failure to adhere to the Second Circuit’s same conclusion in
a related action, Rosendale v. LeJeune, 223 F. App’x 51 (2d Cir. 2007). There was no indication that plaintiff
had pleaded any type of immediate harms that would have obviated the ripeness issue flagged by the court.
22
by a defendant or an ongoing campaign of adverse action. See Hampton Bays Connections, Inc.
v. Duffy, 127 F. Supp. 2d 364, 374 (E.D.N.Y. 2001).
Although, in general, “it is sufficient to allege facts from which a retaliatory intent on the
part of defendants can reasonably be inferred,” Gagliardi¸ 18 F.3d at 195, a plaintiff must
nevertheless establish a “sufficient nexus between the protected conduct and the alleged retaliatory
action.” Heusser v. Hale, No. 3:07-cv-1660 (PCD), 2008 WL 2357701, at *3 (D. Conn. June 5,
2008); accord Gagliardi, 18 F.3d at 915 (concluding that the plaintiff sufficiently pleaded intent
by showing, through a detailed chronology, that defendants “undertook a purposeful aggravated
and persistent course of conspiratorial noncompliance and nonenforcement of [] pertinent
municipal, zoning, noise and safety ordinances, rules, regulations and laws” in “response” to First
Amendment conduct); Duffy, 127 F. Supp. 2d at 374 (finding a “clear causal chain” where plaintiff
alleged, among other things, that defendants threatened to make it difficult to develop plaintiff’s
property, attempted to impose additional requirements for a permit application, issued a
moratorium on such applications, and expressed an explicit intent to block plaintiff’s development
of its property, all upon plaintiff’s exercise of his protected rights). “Bald and uncorroborated
allegations of retaliation” will not suffice. Gagliardi, 18 F.3d at 195.
In this case, the crux of Plaintiffs’ retaliation claim is that Defendants seemingly ignored
Heinecke’s violation of the Town’s zoning laws or erroneously interpreted the law in his favor.
Plaintiffs further aver that Defendants opted to pursue enforcement actions against them while
declining to hold Heinecke accountable. According to Plaintiffs, Defendants retaliated because of
Plaintiffs’ repeated voicing of their concerns to the Town’s officials.
At bottom, the AC is problematically sparse on details establishing a causal chain between,
or clear retaliatory chronology underlying, Plaintiffs’ protected speech and Defendants’ conduct.
23
For their part, Plaintiffs explain that they made “several complaints” (AC ¶ 15) and identify a
laundry list of alleged actions and inactions by Defendants. But Plaintiffs make no effort to tie
these together. For example, in many cases, Plaintiffs failed to provide a specific date or period
when they engaged in First Amendment conduct. 20 (See, e.g., id. ¶¶ 22, 24, 28, 30, 32, 34, 37.)
Similarly, for many of the allegations of purported enforcement impropriety—whether related to
not enforcing the Town Code against Heinecke or enforcing it against Plaintiffs—the AC does not
identify, among other things, how close in time Plaintiffs’ grievances were to Defendants’
subsequent enforcement conduct (or even whether one preceded the other), or how any specific
instances of non-enforcement were related to Plaintiffs’ conduct. 21 (See, e.g., id. ¶¶ 23, 27, 29, 33,
36, 38, 40.) In some case, there is no indication beyond conclusory statements of what was the
retaliation. (See, e.g. id. ¶¶ 21.)
Even when the AC does identify distinct dates of alleged misconduct, it is devoid of
sufficient, non-conclusory facts that tie together the protected speech and the purported
20
The Court briefly addresses Plaintiffs’ contention that they can use discovery to discern when they
“complained about the on-going illegal conduct of the Heinecke’s.” (Pls. Opp. at 14.) Such an assertion is
plainly contrary to the spirit of the federal pleading standard. Plaintiffs (and their counsel) well know it is
imperative that, to set forth a well-pleaded, plausible claim, a complaint must “contain sufficient factual
matter” that does not simply amount to conclusory statements and threadbare recitals of elements. See Iqbal,
556 U.S. at 678. Discovery is not a vehicle to get around that standard. As the Court explained in Twombly:
It is no answer to say that a claim just shy of a plausible entitlement to relief can,
if groundless, be weeded out early in the discovery process. . . . [I]t is only by
taking care to require allegations that reach the level suggesting [a plausible
claim] that we can hope to avoid the potentially enormous expense of discovery
in cases with no ‘reasonably founded hope that the [discovery] process will reveal
relevant evidence’ to support [that] claim.
21
Twombly, 550 U.S. at 560 (quoting Dura Pharm., Inc. v. Broudo, 544 U.S. 336, 347 (2005) (emphasis added).
Here, Plaintiffs bring a complaint premised, in part, on their exercise of First Amendment rights. In doing
so, they should be able to identify when—or at least a timeframe—they engaged in that protected conduct.
Their failure to do so here does not entitle them to discovery as matter of course.
Plaintiffs’ allegation that their ignoring of Defendant Stephens warning about the Town “mak[ing] it
difficult” to develop Plaintiffs’ property led to “the results set forth infra [i.e., AC paragraphs 18-51]”
(AC ¶ 17) does not cure the AC’s infirmities. There are simply not enough facts to establish a coherent
timeline or causal chain, and, in fact, several of the incidents that are detailed in the subsequent paragraphs
occurred before the alleged April 26, 2017 incident. (See, e.g., id. ¶¶ 18-21, 39.)
24
misconduct. For example, in addition to flagging the June 12, 2017 opinion, Plaintiffs identify
two discrete, unconnected statements by two separate individuals, Defendants Levine and
Stephens, to establish intent: (1) Defendant Levine’s claim around December 14, 2015 that “a lot”
of Plaintiffs would go away if Plaintiffs acquiesced to Heinecke’s land-use demands (AC ¶ 20);
and (2) Defendant Stephens’s statement to Plaintiffs’ counsel, following Plaintiffs’ complaint
made on or around April 26, 2017, that “the Town would make it difficult” for Plaintiffs if they
continued to express their opinion that the Motocross Track was illegal (id.¶ 16). 22 Although
concerning, these statements, alone, do not “nudge[] [Plaintiffs’] claim[] . . . across the line from
conceivable to plausible” when it comes to establishing a retaliatory motivation. Iqbal, 556 U.S.
at 680. Indeed, the AC does not sufficiently connect them to any purported retaliatory conduct.
For example, there is no indication of how Defendant Stephens’s position influenced Defendant
Levine’ June 12, 2017 report, if at all. 23 Simply put, the AC falls far short of setting forth a
“connection, temporal or otherwise,” that would “render[] plausible the conclusion that
[Defendants’] actions were undertaken to retaliate against [Plaintiffs] for [their] protected speech.”
See Rankel v. Town of Somers, 999 F. Supp. 2d 527, 541-42 (S.D.N.Y. 2014) (finding no causal
connection where plaintiff (1) provided conclusory allegations that “[did] not specify when ‘he
spoke out against Town corruption’ or establish “how [his] speech resulted in adverse action”; and
(2) if there were specific dates, offered no supporting facts establishing that defendant’s conduct
was a response to his statements).
22
23
Plaintiffs also allege that Defendant Levine “publicly criticized” Mr. Santucci because of their grievances.
(AC ¶ 4.) But Plaintiffs offer no specifics. Rather, they simply contend, in conclusory fashion, Defendant
“admittedly” criticized Mr. Santucci “because [he] ha[d] repeatedly engaged in First Amendment protected
[conduct] challenging [Defendant] Levine with respect to zoning issues pertaining to the Santucci property
and that of Heinecke.” (Id.) This allegation cannot support a plausible claim under the First Amendment.
Of note, Defendant Levine’s report indicates that Defendant Stephens’s opinions were, in fact, excluded from
his assessment. (Defs. Ex. List, Ex. D at 1.)
25
In conclusion, the AC has failed to establish a clear nexus between Defendants' retaliatory
conduct and Plaintiffs' protected speech. Without that requisite nexus, the Court cannot conclude,
even drawing all favorable inferences in their favor, that Plaintiffs have plausibly alleged a First
Amendment claim based on Defendants' purported retaliatory conduct.
Plaintiffs' First
Amendment retaliation claim is therefore dismissed in its entirety, without prejudice.
CONCLUSION
For the foregoing reasons, Defendants' motion to dismiss is GRANTED. Plaintiff shall
have until September 12, 2019 to file a second amended complaint concerning those claims
dismissed without prejudice. Otherwise said claims shall be deemed dismissed with prejudice.
Should Plaintiffs file a second amended complaint, Defendants will have thirty days from the date
of the complaint's filing to answer or respond.
The Clerk of the Court is respectfully directed to terminate the motion at ECF No. 43.
Dated:
August 8, 2019
White Plains, New York
SO ORDERED:
NELSON S. ROMAN
United States District Judge
26
Disclaimer: Justia Dockets & Filings provides public litigation records from the federal appellate and district courts. These filings and docket sheets should not be considered findings of fact or liability, nor do they necessarily reflect the view of Justia.
Why Is My Information Online?