Citizens for Ethics in Government, LLC v. Atlanta Development Authority

694 S.E.2d 680, 303 Ga. App. 724, 2010 Fulton County D. Rep. 1451, 2010 Ga. App. LEXIS 332
CourtCourt of Appeals of Georgia
DecidedMarch 30, 2010
DocketA09A2105, A09A2312, A10A1040
StatusPublished
Cited by13 cases

This text of 694 S.E.2d 680 (Citizens for Ethics in Government, LLC v. Atlanta Development Authority) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Citizens for Ethics in Government, LLC v. Atlanta Development Authority, 694 S.E.2d 680, 303 Ga. App. 724, 2010 Fulton County D. Rep. 1451, 2010 Ga. App. LEXIS 332 (Ga. Ct. App. 2010).

Opinion

Adams, Judge.

Citizens for Ethics in Government, LLC (“CEG”) and John F. Woodham (“Woodham”) (collectively referred to herein as “Interve-nors”) 1 filed these appeals in connection with two bond validation proceedings filed under the Revenue Bond Law, OCGA § 36-82-60 et seq., involving the Atlanta Development Authority (the “Authority”), 13th Street Holdings, LLC (“13th Street”) and Mezzo Development, LLC (“Mezzo”) (13th Street and Mezzo collectively referred to herein as the “Developers”).

On October 29, 2008, the district attorney, on behalf of the State of Georgia, filed a Petition and Complaint for Bond Validation pursuant to OCGA § 36-82-75 in each of the two proceedings. The first petition sought to confirm and validate the issuance of taxable lease-purchase bonds by the Authority in an amount of up to $70 million for a project developed by 13th Street, and the second petition sought the same for bonds in an amount up to $60 million for a project developed by Mezzo. Each of these projects involved multi-family apartment developments. The Intervenors sought to intervene in each of these proceedings under OCGA § 36-82-77 (a) by appearing at the bond validation hearings on November 17, 2008, and filing complaints in open court. The trial court continued the validation hearings to allow for discovery and to allow the Authority and the Developers to respond to the Intervenors’ complaints.

December 15, 2008 Hearing

The trial court scheduled a status conference on December 15, 2008, and the Intervenors, who had previously filed notices to produce, filed subpoenas in anticipation of that hearing. The Authority and the Developers filed motions to quash the notices and subpoenas on December 12, 2008, and the trial court heard argument on those motions at the December 15 hearing.

During argument, Cary Ichter, counsel for the Developers, represented that Woodham had phoned Scott Leventhal, president of Tivoli Properties, Inc., the manager of both Developers, on November 19, 2008, two days after the Intervenors filed their complaints. *725 Patricia Roy, outside counsel for the Developers, was also a party to the phone call. Ichter represented that in that conversation, Woodham said he had no issue with the Developers but was prepared to litigate with the Authority all the way to the Supreme Court. According to Ichter, Woodham suggested that the Developers could avoid the costs of this extended litigation if they paid the Intervenors $1.3 million, or one percent of $130 million, the amount of the combined bond issuance. These allegations were also included in the motions to quash filed by the Developers and the Authority. Woodham refused to discuss these allegations at the hearing, citing privilege. But Woodham noted that what Ichter “has described is not the nature of what I intended to do” and had Ichter returned his phone calls, Ichter “would know that any discussions that we may have had would have been dramatically different than he has described.”

The trial court granted the motions to quash and sua sponte ordered a continuance of the hearing until January 30, 2009. The trial judge indicated that at that time, (1) he would determine whether the bond validation issue presented strictly a question of law or whether it involved factual issues; (2) if he determined that the matter presented a legal question, he would rule upon the bond validation; (3) if factual issues were presented, he would determine if discovery was necessary; (4) he would consider whether John Woodham’s actions warranted sanctions, including attorney fees or a referral to the State Bar; and (5) he would “hear any motions I deem appropriate with respect to this case.” The judge cautioned Woodham to prepare for those issues. This hearing was subsequently re-scheduled for February 27, 2009.

First Motion to Recuse

Meanwhile, on December 19, the Intervenors filed a motion to recuse the trial judge. The motion asserted, inter alia, that the trial judge should be recused because he had allowed Ichter “to make a series of grossly inflammatory remarks in open court” over the Intervenors’ objection at the December 15 hearing. At the trial judge’s request, the clerk of court randomly assigned the motion to another judge for consideration. After reviewing the motion with supporting affidavit and briefs, “the entirety of the clerk’s file” and the transcript of the December 15 hearing, the assigned judge issued an order on January 9, 2009, denying the motion and finding that the Intervenors had failed to establish any ground for recusal. The Intervenors apparently did not seek reconsideration or permission to *726 appeal that order. 2

Anti-SLAPP Motions

Additionally, on December 20, 2008, Woodham sent Ichter a letter invoking the Anti-Strategic Lawsuits Against Public Participation (“anti-SLAPP”) statute, OCGA § 9-11-11.1. The letter requested verification of the motions to quash under that statute, as follows:

To the extent the foulmouthed invective set forth in your Motions to Quash filed December 15, 2008 . . . purports to set forth or assert a claim against Intervenor Parties or the undersigned counsel, Intervenor Parties and the undersigned hereby bring to your attention that the verifications required under OCGA § 9-11-11.1 (b) are missing.

On February 25, over two months after sending this letter and two days before the scheduled February 27 hearing, the Intervenors filed Motions to Strike and to Dismiss with Prejudice under OCGA § 9-11-11.1 (d) in each case. Each motion stated in underlined type that “[t]he filing of this Motion automatically stays, by operation of law, all pending discovery and hearings in this proceeding.” The motions asserted that the Developers and their counsel made “certain slanderous allegations and claims against Interve-nors” in their earlier motions to quash. The Intervenors contended that the motions to quash should have been verified under OCGA § 9-11-11.1 (b), and the Developers failed to do so.

The next day, the Developers’ attorneys e-mailed the trial court to announce that they were ready to proceed with the February 27 hearing and to request the court to confirm that the parties were required to appear at that hearing, notwithstanding the Intervenors’ “11th Hour filings.” The trial court replied by e-mail to all parties, that they were “required to appear at the bond validation hearing scheduled for tomorrow, 2/27/2009, at 9 a.m. . .

Free access — add to your briefcase to read the full text and ask questions with AI

Related

JOHN CHANG v. CITY OF MILTON
Court of Appeals of Georgia, 2024
Hayley Erin Viente v. Jeffrey Christen Maiden
Court of Appeals of Georgia, 2022
Cook v. Campbell-Cook.
826 S.E.2d 155 (Court of Appeals of Georgia, 2019)
David M. Cohen v. Joseph Rogers, Jr.
Court of Appeals of Georgia, 2017
Cohen v. Rogers
798 S.E.2d 701 (Court of Appeals of Georgia, 2017)
Butler v. Lee
783 S.E.2d 704 (Court of Appeals of Georgia, 2016)
John F. Woodham v. Atlanta Development Authority
779 S.E.2d 116 (Court of Appeals of Georgia, 2015)
Kellie Marie Van Leuvan v. Connie Carlisle
Court of Appeals of Georgia, 2013
Van Leuvan v. Carlisle
744 S.E.2d 912 (Court of Appeals of Georgia, 2013)
Paulding County, Georgia Boc v. Thad Morrison
Court of Appeals of Georgia, 2012
Paulding County Board of Commissioners v. Morrison
728 S.E.2d 921 (Court of Appeals of Georgia, 2012)
Hindu Temple & Community Center of the High Desert, Inc. v. Raghunathan
714 S.E.2d 628 (Court of Appeals of Georgia, 2011)

Cite This Page — Counsel Stack

Bluebook (online)
694 S.E.2d 680, 303 Ga. App. 724, 2010 Fulton County D. Rep. 1451, 2010 Ga. App. LEXIS 332, Counsel Stack Legal Research, https://law.counselstack.com/opinion/citizens-for-ethics-in-government-llc-v-atlanta-development-authority-gactapp-2010.