Dick Cranston Ford Sales v. R.I. Motor Vehicle Dealers', 90-3971 (1994)

CourtSuperior Court of Rhode Island
DecidedApril 20, 1994
DocketC.A. No. 90-3971
StatusUnpublished

This text of Dick Cranston Ford Sales v. R.I. Motor Vehicle Dealers', 90-3971 (1994) (Dick Cranston Ford Sales v. R.I. Motor Vehicle Dealers', 90-3971 (1994)) is published on Counsel Stack Legal Research, covering Superior Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Dick Cranston Ford Sales v. R.I. Motor Vehicle Dealers', 90-3971 (1994), (R.I. Ct. App. 1994).

Opinion

[EDITOR'S NOTE: This case is unpublished as indicated by the issuing court.]

DECISION
This matter is before the court on the appeal of Dick Cranston Ford Sales, Inc. ("Plaintiff") pursuant to the Administrative Procedures Act, Rhode Island General Laws 1956 (1988 Reenactment) § 42-35-15.

Plaintiff appeals a final decision of defendant Rhode Island Motor Vehicle Dealers' License Commission ("the Commission") defeating Plaintiff's protest to the issuance of a new car dealer's license to defendant Paul Bailey's Wakefield Ford, Ltd. ("Bailey's").

FACTS/TRAVEL
The following facts are not disputed.

Prior to 1965 the Wakefield area comprised a "single point" market for new Ford automobiles, that is, there was only one Ford dealer in that geographic area.

From 1965 until 1980, the Wakefield market area for Ford sales was assigned to Plaintiff, whose dealership was in East Greenwich, thereby creating a single point market comprising the East Greenwich, North Kingstown and Wakefield area.

That enlarged single point market was merged, in 1967, into the Providence urban "multiple point" market, which included several single point market areas.

In 1980 a Ford market analysis determined that Ford should once again have a new car dealership in the Wakefield area. Subsequent to that finding, Ford recreated the Wakefield single point market, separating it from the Providence market and from Plaintiff's market area.

In July, 1986, pursuant to Rhode Island General Laws 1956 (1982 Reenactment) § 31-5.1-4.2 (as amended by P.L. 1982, ch. 448, § 1), which regulates the establishment of new car dealerships, Ford notified the Commission and the nine Ford dealers in the Providence market area, including Plaintiff, that it intended to build a dealership on Tower Hill Road, Wakefield. Upon receipt of the notice, Plaintiff filed a timely protest with the Commission, thereby necessitating a public hearing pursuant to § 31-5.1-4.2, to determine if good cause existed "for not permitting such new motor vehicle dealership."

In November, 1987, Plaintiff asked the Commission to subpoena documents from Bailey's and Ford Motor Company (Ford) which Plaintiff alleged were needed to prepare for the hearing.

In May, 1988, plaintiff obtained a Superior Court temporary restraining order, directing the Commission to comply with Plaintiff's request and enjoining further proceedings.

The following month, the Commission issued a subpoena to Bailey's and Ford. Thereafter certain documents were delivered to Plaintiff. Certain other documents, those which Ford alleged were privileged, were not delivered, triggering Plaintiff's request that the Commission enforce the subpoena for the omitted documents. The Commission refused.

In May, 1989, Plaintiff filed a motion to compel in Superior Court, urging the court to find the Commission in contempt if it did not enforce the subpoena for the allegedly privileged documents.

On June 9, 1989, the court issued an order denying the motion and lifting the restraining order.

Plaintiff filed an appeal of that decision to the Supreme Court on June 21, 1989.

The hearings before the Commission were held on July 11 and July 21, 1989, and plaintiff did not raise the issue of lack of opportunity for full discovery in that forum.

On October 24, 1990, the Supreme Court dismissed Plaintiff's appeal, noting that the issue was moot since the hearings had been held, and further noting that plaintiff's attorney had told the court he would be voluntarily dismissing the appeal, but had never done so.

At the Commission hearing of July 11, 1989, a motion was made and seconded to "give to Paul Bailey an automobile license to conduct a business in Wakefield." (Tr. at 270). The vote was a 4-4 tie, and the Commission chairman announced, "Mr. Bailey is denied." (Tr. at 274).

After discussing the wording of the motion in light of the statutory language regarding the establishment of good cause "for not permitting" the dealership, the Commission decided to seek an opinion from the Department of Attorney General, which also acted as Commission counsel, as to which party bears the burden of proof.

On July 21, 1989, the hearing was reconvened and a letter from the Department of Attorney General was read into the record, expressing the opinion that the party who files the protest bears the burden of proving the existence of good cause to deny the dealership license. A motion was then made and seconded to defeat Plaintiff's protest. That motion passed on a 5-3 vote. The chairman, who previously voted against granting the license, this time voted to defeat the protest.

On May 23, 1990, the Commission issued its final decision defeating Plaintiff's protest.

On June 18, 1990, Plaintiff filed a timely appeal to this court.

Plaintiff does not challenge any findings of fact; rather, it alleges that errors in law and procedure prejudiced its rights because: a) it was not given an opportunity for full discovery; b) the interpretation of law regarding burden of proof was wrong; c) the reconsideration of a vote was improper; d) the chairman's vote change was not based on admissible evidence; and e) a second meeting was held in violation of the Open Meetings Law.

DISCUSSION
The Administrative Procedures Act, § 42-35-15, provides for review of the Commission's decisions by this court:

(f) The review shall be conducted by the court without a jury and shall be confined to the record. In cases of alleged irregularities in procedure before the agency, not shown in the record, proof thereon may be taken in the court. The court, upon request, shall hear oral argument and receive written briefs.

(g) The court shall not substitute its judgment for that of the agency as to the weight of the evidence on questions of fact. The court may affirm the decision of the agency or remand the case for further proceedings, or it may reverse or modify the decision if substantial rights of the appellant have been prejudiced because the administrative findings, inferences, conclusions, or decisions are:

(1) In violation of constitutional or statutory provisions;

(2) In excess of the statutory authority of the agency;

(3) Made upon unlawful procedure;

(4) Affected by other error of law;

(5) Clearly erroneous in view of the reliable, probative, and substantial evidence on the whole record; or

(6) Arbitrary or capricious or characterized by abuse of discretion or clearly unwarranted exercise of discretion.

Essentially, when reviewing an agency decision, the court must not substitute its judgment for that of the agency in regard to the credibility of the witnesses or weight of the evidence concerning questions of fact. Costa v. Registry of MotorVehicles, 543 A.2d 1307 (R.I. 1988). The court must uphold the decision if it finds any competent evidence upon which the decision rests. E. Grossman and Sons, Inc. v. Rocha,118 R.I. 276, 373 A.2d 496 (1977). The court may vacate the decision if it is clearly erroneous in view of the reliable, probative, and substantial evidence in the whole record.

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Dick Cranston Ford Sales v. R.I. Motor Vehicle Dealers', 90-3971 (1994), Counsel Stack Legal Research, https://law.counselstack.com/opinion/dick-cranston-ford-sales-v-ri-motor-vehicle-dealers-90-3971-1994-risuperct-1994.