Conlin v. RU Cliff et al
Filing
129
ORDER AND MEMORANDUM DECISION granting in part and denying in part 93 Motion for Summary Judgment - Claims Four and Six are dismissed with prejudice, but Defendants are not entitled to summary judgment on Claim Five; granting 119 Motion for Leave to File Amended Complaint; denying as moot 101 Motion re Rule 56(d); granting 125 Motion for Extension of Time for filing dispositive motions - Motions due by 12/6/2019. Signed by Judge Tena Campbell on 11/6/19 (alt)
IN THE UNITED STATES DISTRICT COURT FOR THE DISTRICT OF UTAH
CENTRAL DIVISION
KAYLEE CONLIN,
Plaintiff,
ORDER
AND
MEMORANDUM DECISION
vs.
Case No. 2:17-cv-1213-TC-DBP
RU CLIFF, LLC; RIZE HOMESOURCE,
LLC; JON NEVIASER; LAW OFFICES OF
KIRK A. CULLIMORE, LLC; and KIRK A.
CULLIMORE,
Defendants.
Plaintiff Kaylee Conlin rented an apartment from Defendants RU Cliff, Rize
Homesource, and Jon Neviaser (the Landlord Defendants). When she brought her dog Buckley
to live in her apartment (Buckley is a companion dog who helps reduce her anxiety), she was
threatened with eviction for violating the lease agreement’s no-pet provision and was given
instructions on how to obtain approval to keep Buckley. That approval required completing
forms provided by Defendants Law Offices of Kirk Cullimore and attorney Kirk Cullimore
(Defendants or Cullimore Defendants) to the Landlord Defendants. She ultimately received
approval to keep Buckley, but her lawsuit asserts that the process, and the Cullimore Defendants’
forms that dictated that process, violated her rights under the Fair Housing Act (FHA).
Ms. Conlin asserts seven claims in her complaint, but only three remain because the
Landlord Defendants have been dismissed. The remaining claims—the fourth, fifth, and sixth—
1
allege disparate impact, disparate treatment, and failure to provide a reasonable accommodation,
all in violation of the FHA.
The Cullimore Defendants have moved for summary judgment on those three claims,
arguing that they owe no duty to Ms. Conlin under the FHA and that she suffered no harm. Ms.
Conlin opposed the motion and filed a motion under Rule 56(d) of the Federal Rules of Civil
Procedure asking the court to stay a decision until she could depose the Cullimore Defendants.
She also filed a motion for leave to amend her complaint and for an extension of time to file
dispositive motions. The court held a hearing on October 30, 2019.
Now, for the reasons set forth below, the Motion for Summary Judgment is GRANTED
IN PART AND DENIED IN PART, the Motion for Leave to File Amended Complaint is
GRANTED, the Rule 56(d) Motion is DENIED AS MOOT, and the Motion for Extension of
Time to File Dispositive Motions is GRANTED.
RULE 56(D) MOTION
After the Cullimore Defendants filed their summary judgment motion, Ms. Conlin filed
her Rule 56(d) Motion to Deny or Defer Consideration of the Cullimore Defendants’ Motion for
Summary Judgment. She said she could not fully respond to the motion for summary judgment
until she had deposed the Cullimore Defendants.
The court was scheduled to hear the motions in July 2019. But the parties agreed to
continue the hearing so Ms. Conlin could conduct discovery before opposing the motion for
summary judgment. Ms. Conlin took the depositions in June 2019 and the parties filed
supplemental briefs on the summary judgment issues. Accordingly, as Ms. Conlin confirmed at
the court’s October hearing, the Rule 56(d) Motion is moot.
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MOTION FOR SUMMARY JUDGMENT
The Motion for Summary Judgment targets Ms. Conlin’s claims under the FHA for
disparate impact, disparate treatment, and failure to provide reasonable accommodation.
Summary Judgment Standard
“The court shall grant summary judgment if the movant shows that there is no genuine
dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed. R.
Civ. P. 56(a). “A fact is ‘material’ if, under the governing law, it could have an effect on the
outcome of the lawsuit. A dispute over a material fact is ‘genuine’ if a rational jury could find in
favor of the nonmoving party on the evidence presented.” Tabor v. Hilti, Inc., 703 F.3d 1206,
1215 (10th Cir. 2013) (internal quotation omitted)).
“If the movant meets this initial burden, the burden then shifts to the nonmovant to set
forth specific facts from which a rational trier of fact could find for the nonmovant.” Talley v.
Time, Inc., 923 F.3d 878, 893–94 (10th Cir. 2019) (internal quotation omitted). Should the
nonmovant bear the burden of persuasion at trial, “[t]hese facts must establish, at a minimum, an
inference of the presence of each element essential to the case.” Id. (quoting Savant Homes, Inc.
v. Collins, 809 F.3d 1133, 1137 (10th Cir. 2016)).
When evaluating a motion for summary judgment, the court must view the facts and draw
all reasonable inferences in favor of the non-moving party. Tabor, 703 F.3d at 1215. But this is
only true insofar as “there is a ‘genuine’ dispute as to those facts.” Scott v. Harris, 550 U.S. 372,
380 (2007). “Where the record taken as a whole could not lead a rational trier of fact to find for
the nonmoving party, there is no ‘genuine issue for trial.’” Id. (quoting Matsushita Elec. Indus.
Co. v. Zenith Radio Corp., 475 U.S. 574, 586–587 (1986)).
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Ms. Conlin’s Claims
Ms. Conlin’s claims concern the lease agreement’s written policy about pets and the
forms Ms. Conlin’s landlord provided to her. The Defendants, who were legal counsel to the
landlord, drafted the lease agreement and the three forms, which consist of the “Affidavit and
Request for Companion Animal Form,” the “Animal Identification Form,” and the “Medical
Request for Companion Animal.” The lease provision titled “Animals” is also at issue. That
section sets rules about animals kept by every resident, but also contains specific language
addressing companion animals:
Resident may not keep, allow, or maintain animals of any kind on or near the
premises for any length of time without the prior written consent of Owner. For
any violation of this provision, in addition to Owner’s other remedies, Owner may
charge and collect the sum of $50 per day, per violation. All costs of cleaning,
de-fleaing or other damage or loss suffered on account of a violation of this
section shall be promptly paid to Owner by Resident. Violation of this provision
will allow Owner to commence eviction on the basis of nuisance without any
further notice or opportunity to cure. Resident is required to get approval for any
companion or service animal PRIOR to the animal coming onto the premises.
Failure to obtain approval is a significant violation of this agreement which shall
allow for immediate eviction. Owner may create and maintain such rules and
regulations relating to animals as Owner, in its sole discretion, determines
appropriate.
(Residential Rental Agreement at 6–7, ECF No. 93-5 (underline emphasis added).)
On the afternoon of Tuesday, November 24, 2015, Ms. Conlin’s landlord, who had just
discovered that Buckley was living in the apartment, sent Ms. Conlin an email with the
Cullimore Defendants’ forms attached and told her to fill out and return the forms to him no later
than November 30, 2015. Before he sent her the email, he told her she had three days to vacate
the apartment and pay “the full amount of the next seven month’s [sic] rent.” (Nov. 23, 2015 email from Ms. Conlin to Jon Neviaser, Ex. 8 to Mot. Summ. J., ECF No. 93-8.) He later said
that although she still had three days to move out, she only had to pay rent for two months.
4
The Affidavit and Request for Companion Animal Form required her to swear that she
qualified as “handicapped” under the definition provided and that she was or had been “under the
care of a medical professional for [her] disability; or have been so diagnosed with a permanent
disability to no longer require medical supervision.” (Ex. 2 to Mot. Summ. J., ECF No. 93-2.) It
also required her to confirm that the “requested companion animal is necessary to provide
assistance” with her disability, indicate the “anticipated length” of her disability, and provide the
name and number of her primary physician. (Id.)
The Medical Request for Companion Animal Form required her doctor to certify that she
is handicapped and agree to testify about that diagnosis in court. It also analogized the assistance
animal to a prescription.
The Animal Identification Form told her to describe “any special training or certification”
of Buckley and to state whether he had “ever been reported to authorities for any incident or for
any reason.” (Ex. 3 to Mot. Summ. J., ECF No. 93-3.) She was also told to submit a photograph
of Buckley and proof of his vaccinations.
Although Ms. Conlin’s landlord gave her six days to complete the forms, that six-day
period spanned the Thanksgiving holiday weekend. Thanksgiving fell on November 26th, just
two days after Ms. Conlin was given instructions on how to obtain approval to keep Buckley.
And she was required to submit the completed forms by 5:00 p.m. on November 30, 2015, the
Monday after the Thanksgiving weekend.
On Monday the 30th, Ms. Conlin responded to the landlord, but she did not provide the
forms. Instead, she provided a note from her physician. Later that day, the landlord granted Ms.
Conlin’s request to keep Buckley as a companion animal. Ultimately she was not required to fill
out the forms.
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Ms. Conlin asserts that she was harmed when her landlord told her to comply with the
requirements set forth in the forms the Cullimore Defendants crafted, copyrighted, promoted,
and distributed to landlords (including non-client landlords) throughout the country. According
to Ms. Conlin, those documents purposely contained incorrect and misleading information about
what the law requires, imposed obligations that went above and beyond what is required by
someone seeking approval to have a companion animal, and were designed to intimidate, harass
and deter a disabled person requesting a companion animal.
Each of Ms. Conlin’s claims against the Cullimore Defendants asserts violations of two
FHA provisions: 42 U.S.C. §§ 3604(f)(2) and 3604(f)(3)(B).1 Claim Four asserts a violation of
the FHA for “creating and utilizing forms which are impermissibly burdensome and
discriminatory[.]” (Compl. ¶ 64, ECF No. 2.) Claim Five alleges an FHA violation for “creating
and requiring forms that require intrusive amounts of information that is unnecessary to evaluate
a request for reasonable accommodation.” (Id. ¶ 70.) And Claim Six, also alleging a violation of
the FHA, says the Defendants are liable for “creating and utilizing forms that contain misleading
and inaccurate information regarding reasonable accommodations.” (Id. ¶ 76.)
FHA Provisions at Issue
1. Disparate Treatment and Disparate Impact Under § 3604(f)(2)
The first provision, 42 U.S.C. § 3604(f)(2), says it is unlawful “[t]o discriminate against
any person in the terms, conditions, or privileges of sale or rental of a dwelling, or in the
provision of services or facilities in connection with such dwelling, because of a handicap[.]”
1
Ms. Conlin, in her supplemental opposition, cites to § 3604(c) for the first time. That provision
creates an entirely different basis for liability. In her original complaint, she did not allege a
claim under that statute. But in her proposed amended complaint, she expressly alleges a claim
under § 3604(c). The Defendants, in their supplemental reply supporting their summary
judgment motion, do not address her citation to § 3604(c).
6
This section imposes liability for intentional discrimination, also called, “disparate treatment,”
and, alternatively, discriminatory effect, also referred to as “disparate impact.” Cinnamon Hills
Youth Crisis Ctr. v. Saint George City, 685 F.3d 917, 919 (10th Cir. 2012); Bangerter v. Orem
City Corp., 46 F.3d 1491, 1501 (10th Cir. 1995) (“It is widely accepted that an FHAA violation
can be demonstrated by either disparate treatment or disparate impact.”). “A disparate impact
analysis examines a facially-neutral policy or practice, such as a hiring test or zoning law, for its
differential impact or effect on a particular group. Disparate treatment analysis, on the other
hand, involves differential treatment of similarly situated persons or groups.” Bangerter, 46 F.3d
at 1501 (quoting Huntington Branch, NAACP v. Town of Huntington, 844 F.2d 926, 933 (2d
Cir. 1988)) (emphasis added).
A disparate impact claim “doesn’t require proof of intentional discrimination.”
Cinnamon Hills, 685 F.3d at 922. “To prove a case of disparate impact discrimination, the
plaintiff must show that a ‘specific policy caused a significant disparate effect on a protected
group.’” Id. (quoting Reinhart v. Lincoln Cty., 482 F.3d 1225, 1229 (10th Cir. 2007)). “This ‘is
generally shown by statistical evidence … involv[ing] the appropriate comparables’ necessary to
create a reasonable inference that any disparate effect identified was caused by the challenged
policy and not other causal factors.” Id.
On the other hand, a disparate treatment claim concerns intentional discrimination.
“There are two ways to prove intentional discrimination (or ‘disparate treatment’).” Id. at 919.
The plaintiff may provide direct proof of discriminatory intent, or the plaintiff may point to
circumstantial evidence and then apply the burden-shifting framework set out in McDonnellDouglas Corp. v. Green, 411 U.S. 792 (1973). Id.
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2. Reasonable Accommodation Under § 3604(f)(3)(B)
In addition to prohibiting disparate impact and disparate treatment, the FHA includes a
provision—§ 3604(f)(3)(B)— requiring reasonable accommodation of a person’s disability.
Discrimination on the basis of a “handicap” includes “a refusal to make reasonable
accommodations in rules, policies, practices, or services, when such accommodations may be
necessary to afford such person equal opportunity to use and enjoy a dwelling[.]” 42 U.S.C.
§ 3604(f)(3)(B).
Defendants’ Opposition
The Defendants emphasize that Ms. Conlin did not have direct communication with
them. They also point out that they did not decide whether to accommodate Ms. Conlin’s
request to keep Buckley in her apartment. And in a large portion of their briefs, they state that
they provided the forms solely in their capacity as legal counsel for the Landlord Defendants.
In their motion, they make the following arguments: (1) the FHA does not impose
liability on an attorney for giving legal advice to a client; (2) Ms. Conlin’s request for
accommodation was granted; (3) she cannot show disparate impact;2 and (4) she cannot show
disparate treatment.3
1. Attorney-Client Relationship
Defendants repeatedly emphasize that they cannot be liable under the FHA for advice
they gave to their client. But Ms. Conlin expressly states that her claim does not focus on the
attorney-client relationship between the Cullimore Defendants and the Landlord Defendants. In
2
Defendants note that Ms. Conlin, in her supplemental opposition, “appears to concede that she
suffered no disparate impact.” (Suppl. Reply at 2, ECF No. 118.)
3
Defendants briefly argue that Ms. Conlin “lacks standing to assert liability against the
Cullimore Defendants on behalf of anyone but herself.” (Suppl. Reply at 9.) It does not appear
that she is asserting anything other than her own rights under the FHA.
8
her supplemental opposition, she explains:
The Cullimore Defendants dramatically understate what this lawsuit is about.
They suggest this case is about whether “attorneys and law firms can be held
liable under the FHA [Fair Housing Act] merely for giving legal advice to a
landlord.” That could not be further from the truth. The Cullimore Defendants
have crafted and promoted a national campaign to undermine and interfere with
the efforts of disabled individuals to obtain accommodations under the Fair
Housing Act. They provide extensive educational “training” to both clients and
non-clients through their own marketing efforts, through their alliance with the
Utah Apartment Association and through the National Apartment Association.
(Suppl. Opp’n to Mot. Summ. J. at 2, ECF No. 115 (emphasis in original).) Accordingly, the
Cullimore Defendants’ focus on the attorney-client relationship is not a basis to grant summary
judgment.
2. Reasonable Accommodation Claim
Based on the record and the pleadings, the court concludes that Ms. Conlin has not
established a reasonable accommodation claim under § 3604(f)(3)(B) against the Cullimore
Defendants.
A successful failure-to-accommodate claim has four elements. To prevail, one
must prove that (1) he is disabled within the meaning of the FHA, (2) he
requested a reasonable accommodation, (3) the requested accommodation was
necessary to afford him an opportunity use and enjoy his dwelling, and (4) the
defendants refused to make the accommodation.
Bhogaita v. Altamonte Heights Condo. Ass’n, Inc., 765 F.3d 1277, 1285 (11th Cir. 2014). The
Cullimore Defendants note that the Landlord Defendants granted Ms. Conlin’s accommodation
request just days after she made it. Accordingly, it was not actually denied.
Nevertheless, Ms. Conlin argues that the Cullimore Defendants were responsible for a
constructive denial of her request. She says that although she “was not ultimately denied an
accommodation, … [she] was not granted a temporary accommodation. … [T]he threat of
eviction continued, and Ms. Conlin was told she had only a few days over a holiday weekend to
produce the extraneous information demanded in the Forms.” (Suppl. Opp’n at 31.)
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Constructive denial can be a basis for liability under the FHA. “The failure to make a
timely determination after meaningful review amounts to constructive denial of a requested
accommodation, ‘as an indeterminate delay has the same effect as an outright denial.’” Bhogaita,
756 F.3d at 1286 (quoting Groome Res. Ltd. v. Parish of Jefferson, 234 F.3d 192, 199 (5th Cir.
2000)). See also Scoggins v. Lee’s Crossing Homeowners Ass’n, 718 F.3d 262, 271–72 (4th
Cir. 2013) (citing Groome, 234 F.3d at 199); Sabal Palm Condos. of Pine Island Ridge Ass’n,
Inc. v. Fischer, 6 F. Supp. 3d 1272, 1293 (S.D. Fla. 2014). Ms. Conlin cites to Bhogaita to
support her position. But Bhogaita is distinguishable. There the request lay dormant for more
than six months, and the Eleventh Circuit found the landlord was not giving the request a
meaningful review. Here, the time between the request and the approval was less than a week.
The six-day looming threat of eviction and financial hardship was not an “indeterminate delay.”
Moreover, regardless of whether there was a constructive denial, her claim makes no
sense when asserted against the Cullimore Defendants. The Cullimore Defendants were not in a
position to make any decision about Ms. Conlin’s request. Accordingly, summary judgment on
this claim is granted.
3. Disparate Impact
“To prove a case of disparate impact discrimination, the plaintiff must show that a
‘specific policy caused a significant disparate effect on a protected group.’” Cinnamon Hills,
685 F.3d at 922 (quoting Reinhart v. Lincoln Cty., 482 F.3d 1225, 1229 (10th Cir. 2007)). “This
‘is generally shown by statistical evidence … involv[ing] the appropriate comparables’ necessary
to create a reasonable inference that any disparate effect identified was caused by the challenged
policy and not other causal factors.” Id.
10
Ms. Conlin has not presented any evidence, statistical or otherwise, that the Cullimore
Defendants’ actions had a disparate impact on disabled persons. In addition, Ms. Conlin does
not address, much less defend, her disparate impact claim in her opposition. Accordingly, the
Cullimore Defendants are entitled to summary judgment on this claim.
4. Disparate Treatment
To succeed on a disparate treatment claim, a plaintiff must show that the defendant
intentionally discriminated against her “in the terms, conditions, or privileges of sale or rental of
a dwelling, or in the provision of services or facilities in connection with such dwelling, because
of a handicap[.]” 42 U.S.C. § 3604(f)(2). Defendants argue they are not liable under that section
for two reasons. First, they assert that because Ms. Conlin was allowed to keep Buckley, she
was not harmed. Second, they contend they did not owe a duty to her under the FHA because
they were acting solely in their role as attorneys to Ms. Conlin’s landlord, and, in any event, their
actions did not cause the alleged harm.
a. Harm
Defendants maintain that because Ms. Conlin’s landlord promptly granted her request to
keep Buckley as a companion animal, she was not harmed. But they define harm too narrowly in
the FHA context. The type of harm addressed by Defendants—that is, the denial of the
accommodation request—is not the only type of harm recognized under the statute.
Ms. Conlin, citing to United States v. Space Hunters, Inc., 429 F.3d 416 (2d Cir. 2005),
notes that the FHA allows recovery for intangible harms. In Space Hunters, the Second Circuit
held that the FHA “protect[s] against [the] psychic injury caused by discriminatory statements
made in connection with the housing market.” Id. at 424–25 (internal quotation marks and
citation omitted). Such harms, which are not limited to the type of discriminatory practice in
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Space Hunters, include humiliation and emotional distress. See, e.g., Morgan v. Sec’y of
Housing & Urban Dev., 985 F.2d 1451, 1459 (10th Cir. 1993) (recognizing that emotional
distress damages may be awarded under the FHA); Steele v. Title Realty Co., 478 F.2d 380, 384
(10th Cir. 1973) (damages suffered as a result of racial discrimination under FHA may include
an award for emotional distress and humiliation); Ragin v. Harry Macklowe Real Estate Co., 6
F.3d 898, 907 (2d Cir. 1993) (awarding damages for emotional distress plaintiffs suffered after
reviewing discriminatory housing newspaper advertisements); Montano v. Bonnie Brae
Convalescent Hosp., Inc., 79 F. Supp. 3d 1120, 1133 (C.D. Cal. 2015) (awarding disabled
plaintiff damages for emotional distress and pain and suffering); Parris v. Pappas, 844 F. Supp.
2d 271, 278 (D. Conn. 2012) (awarding damages for emotional distress caused by violation of
disabled plaintiff’s rights under FHA); Matarese v. Archstone Pentagon City, 795 F. Supp. 2d
402, 445 (E.D. Va. 2011) (“Emotional Distress caused by housing discrimination is a
compensatory injury under the FHA.”), aff’d in part, vacated in part on other grounds, 468 Fed.
App’x 283 (4th Cir. 2012).
Here, Ms. Conlin alleges she suffered emotional distress when she was threatened with
eviction, faced potential financial hardship, and was given a short turnaround time to complete
the burdensome forms drafted and provided by the Cullimore Defendants. Given her allegation
of an intangible harm, the fact that she was allowed to keep Buckley is not a basis to grant
summary judgment to Defendants on her disparate treatment claim.
b. Duty and Causation
The Cullimore Defendants also assert that because they provided the forms to the
Landlord Defendants in their capacity as legal counsel, they did not owe Ms. Conlin a duty and
so are not liable. They further maintain that any action on their part did not cause Ms. Conlin’s
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alleged harm.
To begin, the court notes that Ms. Conlin does not focus on Defendants’ attorney-client
relationship with her landlord or the legal advice they gave to their client. She says the issue of
duty raised by the Defendants is not relevant.
The court agrees that the issue is not whether the Cullimore Defendants owed Ms. Conlin
a duty under the FHA in their capacity as legal advisors. The issue is whether Ms. Conlin is an
“aggrieved person” who has the right to bring a private cause of action against the Cullimore
Defendants for violating the statute.
The FHA defines “aggrieved person” as anyone who “claims to have been injured by a
discriminatory housing practice.” 42 U.S.C. § 3602(i). A “discriminatory housing practice” is
“an act that is unlawful under section 3604, 3605, 3606, or 3617” of the FHA. Id. § 3602(f).
Courts have treated the question of whether a plaintiff is an “aggrieved person” as a
standing issue. The FHA’s definition of “aggrieved person” shows “‘a congressional intention to
define standing as broadly as is permitted by Article III of the Constitution.’” Bank of America
Corporation v. City of Miami, 137 S. Ct. 1296, 1303 (2017) (quoting Trafficante v. Metro. Life
Ins. Co., 409 U.S. 205, 209 (1972)) (internal quotation marks and citations omitted).
Ms. Conlin claims the Cullimore Defendants injured her by violating § 3604(f)(2). That
section prohibits discrimination through “the terms, conditions, or privileges of sale or rental of a
dwelling, or in the provision of services or facilities in connection with such dwelling, because of
a handicap[.]” 42 U.S.C. § 3604(f)(2) (emphasis added). The court finds that the “provision of
services” is the most likely avenue for a case of liability against the Cullimore Defendants under
the statute.
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The FHA does not define “services.” NAACP v. Am. Family Mut. Ins. Co., 978 F.2d
287, 298 (7th Cir. 1992). But an October 20, 2019 decision by the Eleventh Circuit Court of
Appeals contains a limited discussion of case law on the issue and holds that “a service within
the meaning of § 3604(b) must be a housing-related service that is directly connected to the sale
or rental of a dwelling.” Georgia State Conference of the NAACP v. City of LaGrange, — F.3d
—, No. 18-10053, 2019 WL 5076225 at *4 (11th Cir. Oct. 10, 2019) (emphasis added) (holding
that provision of water, gas, and electricity utility services was subject to FHA’s regulation of the
“provision of services” in connection with the sale or rental of a dwelling).
The court, construing the FHA broadly, as it must,4 concludes that the Cullimore
Defendants provided a service directly connected to Ms. Conlin’s rental of the apartment. They
drafted, advocated, and provided formulaic, copyrighted, non-proprietary documents to both
clients and non-clients. Those forms filled the landlord’s need for rules governing renter
requests, such as Ms. Conlin’s, for permission to keep an emotional support animal in the
apartment. As such, Ms. Conlin is an aggrieved person who need not independently establish a
tort duty on the part of the Defendants.
Still, apart from the question of duty, Defendants contend that Ms. Conlin cannot
establish that their actions caused any harm she may have suffered. To support their position,
they cite to Bank of America Corporation v. City of Miami, in which the United States Supreme
Court addressed proximate cause in the FHA context. The chain of causation in Bank of
America had many links:
The City of Miami claims that two banks, Bank of America and Wells Fargo,
intentionally issued riskier mortgages on less favorable terms to African–
4
See Trafficante v. Metro. Life Ins. Co., 409 U.S. 205, 209, 212 (1972) (“The language of the
FHA is broad and inclusive,” and to give effect to the FHA, its language must be given “a
generous construction”).
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American and Latino customers than they issued to similarly situated white, nonLatino customers, in violation of §§ 3604(b) and 3605(a). The City, in amended
complaints, alleges that these discriminatory practices have (1) “adversely
impacted the racial composition of the City”; (2) “impaired the City's goals to
assure racial integration and desegregation”; (3) “frustrate[d] the City's
longstanding and active interest in promoting fair housing and securing the
benefits of an integrated community”; and (4) disproportionately “cause[d]
foreclosures and vacancies in minority communities in Miami.” Those
foreclosures and vacancies have harmed the City by decreasing “the property
value of the foreclosed home as well as the values of other homes in the
neighborhood,” thereby (a) “reduc[ing] property tax revenues to the City,” and (b)
forcing the City to spend more on “municipal services that it provided and still
must provide to remedy blight and unsafe and dangerous conditions which exist at
properties that were foreclosed as a result of [the Banks’] illegal lending
practices.” The City claims that those practices violate the FHA and that it is
entitled to damages for the listed injuries.
137 S. Ct. at 1300–01 (internal citations omitted).
There, the Court held that, “to establish proximate cause under the FHA, a plaintiff must
do more than show that its injuries foreseeably flowed from the alleged statutory violation.” Id.
at 1296. A plaintiff must show “‘some direct relation between the injury asserted and the
injurious conduct alleged.’” Id. at 1306 (emphasis added) (quoting Holmes v. Sec. Inv’r Prot.
Corp., 503 U.S. 258, 268 (1992)). Although the Court found the City was an “aggrieved
person,” it declined “to draw the precise boundaries of proximate cause under the FHA.” Id.
In Ms. Conlin’s disparate treatment claim, the level of foreseeability is certainly greater
than it was in Bank of America. Although the Cullimore Defendants did not know or interact
with Ms. Conlin personally, they understood that the forms and direction they gave to landlords,
including the Landlord Defendants, were designed for, and would be presented to, prospective or
existing tenants such as Ms. Conlin. Indeed, the Cullimore Defendants could reasonably foresee
that Ms. Conlin (or someone else in her position) would be subjected to, and harmed by, the
burdensome and misleading forms they drafted and provided to landlords in general.
Because Ms. Conlin was a foreseeable plaintiff, the Cullimore Defendants are responsible
15
to her under § 3604(f)(2) if she can establish that they violated the FHA by providing services in
connection with her lease of the apartment. Accordingly, they are not entitled to summary
judgment on the issues of duty and causation.
c. Conclusion
Because Ms. Conlin has presented enough evidence on the issues of duty, harm, and
causation to avoid summary judgment on her disparate treatment claim, that portion of the
Defendants’ Motion for Summary Judgment is denied.
MOTION FOR LEAVE TO FILE AMENDED COMPLAINT
On September 19, 2019, Ms. Conlin moved to amend her November 2017 complaint. In
her proposed amended complaint, she drops her “reasonable accommodation” claim under
§ 3604(f)(3), although she keeps her disparate treatment claim under § 3604(f)(2), and adds five
new claims.
The first new claim alleges a violation of 42 U.S.C. § 3604(c). Under that provision, it is
a violation of the FHA
[t]o make, print, or publish, or cause to be made, printed, or published any notice,
statement, or advertisement, with respect to the sale or rental of a dwelling that
indicates any preference, limitation, or discrimination based on race, color,
religion, sex, handicap, familial status, or national origin, or an intention to make
any such preference, limitation, or discrimination.
Id.
The remaining four new claims are brought under 42 U.S.C. § 3617, which provides as
follows:
It shall be unlawful to coerce, intimidate, threaten, or interfere with any person in
the exercise or enjoyment of, or on account of his having exercised or enjoyed, or
on account of his having aided or encouraged any other person in the exercise or
enjoyment of, any right granted or protected by section 3603, 3604, 3605, or 3606
of this title.
Id.
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Relevant Procedural Facts
This case was filed in November 2017. The Cullimore Defendants answered the
complaint in March 2018, and the initial scheduling order was entered in May 2018. In that
order, the deadline to amend the complaint was June 28, 2018.
In August 2018, the Landlord Defendants filed a motion for summary judgment. That
motion was never resolved because Ms. Conlin, through a settlement agreement, dismissed those
defendants in November 2018.
But discovery was ongoing. On February 14, 2019, Ms. Conlin filed two motions for an
order compelling the Cullimore Defendants to respond to discovery requests. She also had an
outstanding February 7, 2019 motion to compel Utah Apartment Association’s response to a
subpoena duces tecum.
The day after Ms. Conlin filed her motions to compel against the Cullimore Defendants,
the parties jointly requested an extension of time to complete discovery. They explained that
“[f]act discovery is scheduled to conclude on February 28, 2019, and the parties have
outstanding discovery disputes to resolve before Plaintiff may depose the Cullimore
Defendants.” (Feb. 15, 2019 Stipulation to Amend Scheduling Order & Extend Deadlines at 2,
ECF No. 91 (emphasis added).)
The court granted the request and issued the most recent scheduling order (the Third
Amended Scheduling Order). That order extended the fact discovery deadline to May 29, 2019.
But the expired June 28, 2018 deadline to amend pleadings was not renewed. The dispositive
motion deadline date was changed to October 26, 2019. Pretrial preparation deadlines fall in
January 2020, and a trial is set for April 6, 2020.
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Despite the Cullimore Defendants’ agreement to amend the schedule, only four days after
that agreement, they filed their now-pending motion for summary judgment. Ms. Conlin filed
her Rule 56(d) motion. Then, at the parties’ request, the court vacated the July 2019 hearing date
for the summary judgment motion so Ms. Conlin could take the Cullimore Defendants’
depositions. Those depositions were taken in June 2019, approximately three months before Ms.
Conlin filed her motion for leave to amend.
Defendants point out that the parties discussed amendment of the complaint twice, once
in July 2018 and once in March 2019. In July 2018, Ms. Conlin proposed an amendment to the
complaint that was limited to “a new claim on a single issue”—i.e., “contacting the doctor as
another violation of the Fair Housing Act.” (Opp’n to Mot. for Leave to Amend at 1–2, ECF No.
121.) The Cullimore Defendants agreed to the limited amendment, but Ms. Conlin never
requested leave to file that proposed amendment.
In March 2019, Ms. Conlin told them she was drafting an amended complaint, but she did
not disclose the contents of that amendment to Defendants. And she did not file any motion for
leave to amend until six months later, in September 2019, when she submitted the current motion
to amend. Nothing indicates that the amendment she was drafting in March 2019 matched the
amendment she now proposes or that she had the information she needed to file a request to add
the anticipated amendments.
Standard for Granting Leave to Amend
Typically, the standard for granting permission to amend a complaint is relatively lenient.
“The court should freely give leave [to amend] when justice so requires.” Fed. R. Civ. P.
15(a)(2). “The purpose of [Rule 15] is to provide litigants ‘the maximum opportunity for each
claim to be decided on its merits rather than on procedural niceties.’” Minter v. Prime Equip.
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Co., 451 F.3d 1196, 1204 (10th Cir. 2006) (quoting Hardin v. Manitowoc-Forsythe Corp., 691
F.2d 449, 456 (10th Cir. 1982)).
But Ms. Conlin filed her motion after expiration of the June 28, 2018 deadline to amend
the complaint. According to the Tenth Circuit, that means the standard under Rule 16(b) also
applies: “After a scheduling order deadline, a party seeking leave to amend must demonstrate
(1) good cause for seeking modification under Fed. R. Civ. P. 16(b)(4) and (2) satisfaction of the
Rule 15(a) standard.” Gorsuch, Ltd., B.C. v. Wells Fargo Nat’l Bank Ass’n, 771 F.3d 1230, 1240
(2014) (internal quotation marks and citation omitted) (emphasis added).
Rule 16 provides that a scheduling order “may be modified only for good cause and with
the judge’s consent.” Fed. R. Civ. P. 16(b)(4). “In practice, this standard requires the movant to
show the scheduling deadlines cannot be met despite [the movant’s] diligent efforts. Rule 16’s
good cause requirement may be satisfied, for example, if a plaintiff learns new information
through discovery or if the underlying law has changed.” Gorsuch, 771 F.3d at 1240 (emphasis
added).
The Cullimore Defendants, in their opposition to the request for leave to amend, do not
raise a futility-of-amendment argument. Instead, they argue that the request to amend comes too
late and that amendment would be prejudicial.
Based on a review of the briefs and the record, and for the reasons set forth below, the
court finds that Ms. Conlin has satisfied the standards of both Rule 15(a) and Rule 16(b).
Accordingly, she is given leave to add the new claims set forth in her proposed amended
complaint.
Undue Delay Under Rule 15(a)
Defendants maintain that Ms. Conlin’s request to amend is untimely. The court may
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deny the request for permission to amend if there was “undue delay.” Minter, 451 F.3d at 1205.
But “Rule 15(a) does not restrict a party’s ability to amend its pleadings to a particular stage in
the action.” Id. “Lateness does not of itself justify the denial of the amendment.” R.E.B., Inc. v.
Ralston Purina Co., 525 F.2d 749, 751 (10th Cir. 1975), quoted in Minter, 451 F.3d at 1205.
Instead, the delay must be “undue,” which may be found if the plaintiff was aware of the facts
long before filing the motion to amend. Minter, 451 F.3d at 1206.
Ms. Conlin responds that her delay in amending was due to the Defendants’ delay in
responding to discovery requests. The record bears that out. According to Ms. Conlin, she was
waiting for discovery responses from the Cullimore Defendants, both to the written discovery
that was the subject of the February 2019 motions to compel, and through the depositions of the
Cullimore Defendants, which could not be taken until after resolution of the motions to compel.
(Even the Cullimore Defendants, in the Parties’ stipulated request for a revision of the schedule,
represented that depositions could not be taken until the motions to compel were resolved.)
Once the depositions were taken—in June 2019—Ms. Conlin filed her motion for leave to
amend, just three months later.
The Defendants maintain that the outstanding discovery disputes concerned information
not relevant to the claims she raises now and that she had the information she needed to amend
her complaint long ago. In support of their position, they contend that the second motion to
compel concerned Defendants’ financial condition, which was relevant only to punitive
damages. But they do not discuss the focus of the first motion to compel. And Ms. Conlin
simply states that relevant information was not available until June 2019: “Based on her
depositions of the Cullimore Defendants, Plaintiff discovered additional claims she seeks to
assert in her Amended Complaint.” (Reply Supp. Mot. Leave to File Am. Compl. at 3, ECF No.
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124.) Defendants have not explained why the first set of discovery requests were not relevant to
the claims being asserted now. And they do not controvert Ms. Conlin’s assertion (which is set
forth in her attorney’s declaration). Accordingly, the court finds that Ms. Conlin has provided a
good reason for the delay.
Undue Prejudice Under Rule 15(a)
Defendants insist that amendment would prejudice them. “Courts typically find prejudice
when the amendment unfairly affects the defendants ‘in terms of preparing their defense to the
amendment.’” Minter, 451 F.3d at 1208 (quoting Patton v. Guyer, 443 F.2d 79, 86 (10th Cir.
1971)).
They assert that if the amendment is permitted, additional briefing will be needed for the
motion for summary judgment, which will interfere with pre-trial preparation and the January 24,
2020 deadline for pretrial disclosures. “Because of the delay in filing the Motion [for Leave to
Amend], the Motion for Summary Judgment cannot be heard and decided in a timely fashion,
which will result in the parties engaging in pretrial exercises on a case that should be dismissed.
This is undue prejudice justifying the denial of the Motion [for Leave to Amend].” (Opp’n Mot.
Leave to Amend at 7, ECF No. 121.) They do not contend they would have to conduct more
discovery to address the factual allegations in the proposed amended complaint or to analyze the
legal issues raised by those allegations.
The Tenth Circuit, in Patton v. Guyer, discussed the type of prejudice a party must show
to prevent an amendment of a complaint.
There is invariably some practical prejudice resulting from an amendment, but
this is not the test for refusal of an amendment. In this instance the amendment
was authorized several months prior to trial. The defendants were not prejudiced
in terms of preparing their defense to the amendment. There was practical
prejudice also arising from the fact that damages were awarded on the amended
count. Had there been no amendment the defendants might have prevailed. This is
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not the test. The inquiry again is whether the allowing of the amendment
produced a grave injustice to the defendants.
443 F.2d at 86 (emphasis added).
Defendants plead practical prejudice only. Trial does not begin until April 6, 2020. As
noted below, the court has extended the dispositive motion deadline to allow time to file a
motion challenging the requested amendment. And the issues presented are apparently questions
of law, not facts, which can easily be resolved without more discovery. Moreover, the
Defendants’ desire to address those issues in a pre-trial motion will not affect their substantive
ability to defend themselves at trial. There is no “grave injustice” and so no reason to deny leave
to amend based on the prejudice prong of Rule 15(a).
Good Cause and Diligence Under Rule 16(b)
The Rule 16(b) standard “requires the movant to show the scheduling deadlines cannot be
met despite [the movant’s] diligent efforts.” Gorsuch, 771 F.3d at 1240 (internal citation and
quotation marks omitted). This “good cause requirement may be satisfied … if a plaintiff learns
new information through discovery ….” Id. If Ms. Conlin “knew of the underlying conduct but
simply failed to raise [her] claims,” she has not met the diligence requirement imposed by Rule
16. Husky Venture, Inc. v. B55 Inv., Ltd., 911 F.3d 1000, 1020 (10th Cir. 2018). In addition,
“good cause obligates the moving party to provide an adequate explanation for any delay[.]”
Husky, 911 F.3d at 1020 (internal quotation marks and citation omitted) (emphasis added).
Here, Ms. Conlin asserts that the June 2019 depositions of the Cullimore Defendants
gave her information that was not previously available. This falls within the situation described
by Gorsuch, namely that she obtained new information through discovery.
As for diligence, the delay in taking the depositions was caused by the Defendants. And
Ms. Conlin tried to move the discovery along, as evidenced by her motions to compel.
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Moreover, the deadline to amend the complaint expired only one month after the court entered
the original scheduling order. That deadline, which occurred two months before the fact
discovery deadline was set to expire, was simply not realistic. To suggest that Ms. Conlin was
not diligent in meeting that deadline would be absurd when the parties and the court jointly
expected that fact discovery would end two months after the amendment cut-off. And, later, the
parties agreed to extend the fact discovery deadline to May 29, 2019, nine months after the
original fact discovery cut-off date and eleven months after the pleading deadline. Under the
circumstances, Ms. Conlin was diligent in her efforts to obtain the information through discovery
and should not be held to the artificial June 2018 deadline which fell long before discovery was
complete.
Ms. Conlin has provided an adequate explanation for the delay and has established that
she was diligent in pursuing the information needed. Accordingly, she has satisfied the Rule
16(b) standard.
Conclusion
The Defendants have not shown undue delay or undue prejudice. And Ms. Conlin has
established good cause for the allowing the proposed amendment at this stage in the litigation.
Accordingly, her request for leave to amend is granted.
MOTION FOR EXTENSION OF TIME TO FILE DISPOSITIVE MOTIONS
Ms. Conlin asks the court to extend the dispositive motion cut-off by thirty days.
Because the court has granted her motion for leave to file an amended complaint, the court grants
her request for an extension. It is hereby ordered that the deadline for filing dispositive motions
is now Friday, December 6, 2019.
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ORDER
For the foregoing reasons, the court ORDERS as follows:
1.
The Cullimore Defendants’ Motion for Summary Judgment (ECF No. 93) is
GRANTED IN PART AND DENIED IN PART. Specifically, Claim Four and Claim Six are
dismissed with prejudice. But the Defendants are not entitled to summary judgment on Claim
Five.
2.
Ms. Conlin’s Motion for Leave to File Amended Complaint (ECF No. 119) is
GRANTED. The court directs her to promptly file the amended complaint.
3.
Ms. Conlin’s Rule 56(d) Motion (ECF No. 101) is DENIED AS MOOT.
4.
Ms. Conlin’s Motion for Extension of Time to File Dispositive Motions (ECF No.
125) is GRANTED. The parties may file dispositive motions no later than Friday, December 6,
2019.
DATED this 6th day of November, 2019.
BY THE COURT:
TENA CAMPBELL
U.S. District Court Judge
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