Glen Cove Theatres, Inc. v. City of Glen Cove

36 Misc. 2d 772
CourtNew York Supreme Court
DecidedOctober 3, 1962
StatusPublished
Cited by5 cases

This text of 36 Misc. 2d 772 (Glen Cove Theatres, Inc. v. City of Glen Cove) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Glen Cove Theatres, Inc. v. City of Glen Cove, 36 Misc. 2d 772 (N.Y. Super. Ct. 1962).

Opinion

Frank A. Gulotta, J.

This action for a declaratory judgment seeks a declaration to the effect that Local Law No. 1,1962, of the City of Glen Cove is invalid for the reason that it transcends the delegations of power granted by the State Legislature in chapter 278 of the Laws of 1947, as amended. The additional point is made that section 1 of article XYI of the State Constitution which provides in part that ‘ ‘ Any laws which delegate the taxing power shall specify the types of taxes which may be imposed” prohibits giving the enabling act an interpretation which would sustain the local law.

The facts are not in dispute and they have been stipulated to by the attorneys for the respective parties.

It appears that the plaintiffs are the owners of three theatres in Glen Cove and that the new law subjects them to a 5% tax on admissions, which they are directed to collect from their patrons. A good deal more has been shown, for example, that 90% of plaintiffs’ patronage comes from outside the City of Glen Cove, that there was local pressure to put the major tax burden on nonresidents and that it was the probable motive of the City Council to tailor the law to accomplish this result.

In the field of legislation, motive and intent have different connotations and, in the instant case, each must be separately considered for a proper disposition of some of the arguments propounded. The former may be defined as the impelling force or reason which induces action and precedes it. The latter signifies the intendment and meaning of the enactment, the purpose it seeks to accomplish, its construction, all as gathered from the text of the law itself, legislative studies, etc.

[774]*774Considered in this light the intent or meaning of the local legislation is not in issue hut the motive for its passage is. On the other hand the motive behind the State’s enabling act has not been questioned but its intent and meaning has.

In directing their attack upon the local enactment because of an alleged improper motive, plaintiffs point in the record to a transcript of what was said by members of the City Council and by persons attending the public hearings held prior to the law’s passage.

To fortify their position as to the interpretation to be given the enabling act they direct attention to a subsequent amendment which was proposed by a local legislator but which never reached the floor of the Legislature for discussion.

Neither of these arguments can be given any weight in the consideration of the issues for, as will be pointed out later, the motive behind legislation is not, generally speaking, within the Judicial orbit and, as to the second argument, whatever a particular legislator had in mind when he proposed an amendment some years later is no evidence of the legislative intent when the original bill was passed.

As to the latter point, see Matter of Delmar Box Co. (Ætna Ins. Co.) (309 N. Y. 60, 67) where it is stated: “ Reliance is placed upon the views expressed by the assemblyman who introduced the bill in 1952, but those views cannot serve as a reliable index to the intention of the legislators who passed the bill. It is sufficient to note that they were stated, not in the course of debate on the floor of the legislature, but in a memorandum submitted to the governor after the passage of the bill, and there is no showing that the other legislators were aware of the broad scope apparently intended for the bill by its sponsor. (Cf. Matter of Morse [Bank of America], 247 N. Y. 290, 302-303; Woollcott v. Shubert, 217 N. Y. 212, 221-222; 2 Sutherland on Statutory Construction [3d ed., Horack, 1943], § 5011.) ” As to the first preliminary argument, it is generally acknowledged that the motives of a legislature body, absent corruption, are beyond the pale of judicial inquiry, and therefore of no relevance or consequence. Bacon v. Miller (247 N. Y. 311, 318-319) contains the following apt quotation: “ With the motives which actuated the Board of Aldermen, we have nothing to do at all events in the absence of fraud or corruption.” The court in Kittinger v. Buffalo Traction Co. (160 N. Y. 377, 388) went much further and states: ‘ ‘ After considerable investigation of the subject I feel warranted in saying that there is no case in any court of last resort in this country holding that the motive of legislation may be inquired into by the courts and the legislation set aside, if in [775]*775the judgment of the court it was induced by dishonest and corrupt motives, and we are thus brought to a consideration of the authorities establishing the law upon that subject. Judge Cooley in his work upon Constitutional Limitations, under the head of £ Inquiry into Legislative Motives ’, page *186, said: 1 The courts must assume that legislative discretion has been properly exercised. If evidence was required, it must be supposed that it was before the legislature when the act was passed; and if any special finding was required to warrant the passage of the particular act, it would seem that the passage of the act itself might be held equivalent to such finding. And although it has sometimes been urged at the bar that the courts ought to inquire into the motives of the legislature where fraud and corruption were alleged and annul their action if the allegation were established, the argument has in no case been acceded to by the judiciary, and they have never allowed the inquiry to be entered upon. ’ And the words of Chief Judge Denio in the leading case of People ex rel. Wood v. Draper (15 N. Y. 532-545) may well close the discussion on this particular branch of the subject: If a particular act of legislation does not conflict with any of the limitations or restraints which have been referred to, it is not in the power of the courts to arrest its execution, however unwise its provisions may be, or whatever the motives may have been which led to its enactment.” Later decisions however seem to detract from these sweeping statements. See McCutcheon v. Terminal Station Comm. of City of Buffalo (217 N. Y. 127,147-148): " But whatever the answer to that question may be, it is perfectly clear that no adequate basis is found in a correct conception of the facts and principles of law which are binding upon us on this appeal, for the proposition that the action of the commission is so utterly unjustified by any fair reason and results in such nnmitigated and overwhelming disadvantages to the city of Buffalo that it bears upon its face evidence which is conclusive upon us of fraud, corruption and bad faith.” And see Stahl Soap Corp. v. City of New York (5 N Y 2d 200).

However, none of these cases suggest that££ motive ” as such is a proper field of inquiry in assessing whether a legislative body has stayed within its powers, or that a selfish, ignoble motive can convert an otherwise legal act into one that is illegal. The nearest approach to this is the Stahl Soap case (supra) which sustained a complaint where the officially disclosed purpose showed that an ostensible taking of land for a public purpose was in fact a taking for a private purpose.

Neither is it discrimination in a legal or objectionable sense, that the practical effect of a law is to collect most of the tax [776]*776from nonresidents, whpre the terms of the law impartially treat all alike. One might as well contend that if the patronage survey showed more Caucasians attending the theatres, that the law was racially biased.

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

Related

Schisler v. State
907 A.2d 175 (Court of Appeals of Maryland, 2006)
Sheffield Development Co. v. City of Troy
298 N.W.2d 23 (Michigan Court of Appeals, 1980)
Barr v. City of Syracuse
97 Misc. 2d 453 (New York Supreme Court, 1978)
Society of the Plastics Industry, Inc. v. City of New York
68 Misc. 2d 366 (New York Supreme Court, 1971)

Cite This Page — Counsel Stack

Bluebook (online)
36 Misc. 2d 772, Counsel Stack Legal Research, https://law.counselstack.com/opinion/glen-cove-theatres-inc-v-city-of-glen-cove-nysupct-1962.