Glenwal Development Corporation v. Schmidt

336 F. Supp. 1079, 1972 U.S. Dist. LEXIS 15707
CourtDistrict Court, D. Puerto Rico
DecidedJanuary 5, 1972
DocketCiv. 941-71
StatusPublished
Cited by4 cases

This text of 336 F. Supp. 1079 (Glenwal Development Corporation v. Schmidt) is published on Counsel Stack Legal Research, covering District Court, D. Puerto Rico primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Glenwal Development Corporation v. Schmidt, 336 F. Supp. 1079, 1972 U.S. Dist. LEXIS 15707 (prd 1972).

Opinion

FINDINGS OF FACT AND CONCLUSIONS OF LAW

TOLEDO, District Judge.

This cause was heard on plaintiff’s motion for a preliminary injunction, pursuant to order to show cause addressed to the defendant. Both parties appeared by counsel. After having considered the verified complaint, plaintiff’s motion for a preliminary injunction, the oral and documentary evidence admitted during the hearing, and the arguments of counsel, the Court makes the following:

FINDINGS OF FACT

1. Plaintiff is a Puerto Rico corporation engaged in the construction business in the Commonwealth of Puerto Rico, including the construction and sale of dwellings.

2. The defendant is the Director of the Consumer Services Administration of the Commonwealth of Puerto Rico, an agency established by Act No. 148 of 1968 of the Commonwealth of Puerto Rico, 23 L.P.R.A. §§ 1001-1015.

3. By Act No. 130 of 1967, 17 L.P. R.A. §§ 501-519, the Commonwealth of Puerto Rico created the Office of the Construction Officer with power to regulate the activities of every urbanizer or constructor in Puerto Rico.

4. By Section 2 of Act No. 148 of 1968 of the Commonwealth of Puerto Rico, 23 L.P.R.A. § 1002, all powers and faculties conferred on the Construction Officer were transferred to the Consumer Services Administration, and the defendant herein at all times pertinent to this action has exercised the powers of the Construction Officer.

5. Pursuant to Section 8 of Act No. 130 of 1967, 17 L.P.R.A. § 508, the defendant “may * * * require the urbanizer or constructor to render a bond for a sum not greater than ten percent (10%) of the sale price of [the] dwelling [at] the time of the granting of the final purchase-sale deed of the dwelling * * * to guaranty the expenses of repair and correction of defects in the construction.”

6. The defendant is empowered to promulgate all rules and regulations necessary to secure compliance with the laws administered by the Agency which he presides. 23 L.P.R.A. § 1005(a).

7. Section 5 of Act No. 148 of 1968 of the Commonwealth of Puerto Rico, 23 L.P.R.A. § 1005(a) requires that “the rules and regulations not of an internal character shall be promulgated in accordance with the provisions of Act No. 112 of June 30, 1957, known as the Rules and Regulations Act of 1958 [3 L.P.R.A. § 1041-1059]” and further requires “the Director [to] hold public hearing after publishing a notice in at least one of the newspapers of greatest circulation in Puerto Rico, indicating the date, place and nature of said hearing.”

8. The defendant has not promulgated any rules and regulations for the administration of Section 8 of Act No. 130 of 1967, supra. No notice of public hearings has been published, no public hearings have been held, and there has been no compliance with Act No. 112 of 1957 of the Commonwealth of Puerto Rico.

9. Rules and regulations for imposing the requirement of a bond upon, or exempting, any urbanizer or constructor from such requirement, in accordance with Section 8 of Act No. 130 of 1967, supra, are “not of an internal character.”

10. On May 25, 1971, the defendant issued an order purportedly pursuant to the powers conferred upon him by the aforesaid Act No. 130 of 1967 and No. *1081 148 of 1968, supra, providing in pertinent part “that every urbanizer and/or constructor as this term is defined in Act No. 130, that may be required to do so by the Director of the Consumer Services Administration, will be obliged, after June 25, 1971, to post a bond equivalent to 2% of the total sales price of each dwelling unit that is sold in Puerto Rico.”

11. The said order of May 25, 1971, did not indicate any bases, norms or standards to be used by the defendant in determining that a particular urbanizer or constructor would be required to post bonds, and the order also cautioned that failure of compliance with same would result in the application of the “penal provisions” contained in the said Acts Nos. 130 and 148, supra. No public hearing was held prior to the issuance of said order.

12. The said laws of the Commonwealth of Puerto Rico do include penal provisions. 17 L.P.R.A. § 518 and 23 L.P.R.A. § 1015.

13. On June 21, 1971, the defendant notified the plaintiff that it would be required to post the bond in the amount of 2'% of the total sales price of each dwelling unit sold after June 25, 1971. Plaintiff was not accorded a hearing prior to the issuance of said notification.

14. The plaintiff filed a petition for reconsideration of the defendant’s order of June 21, 1971, contending that the order violated plaintiff’s constitutional rights.

15. After a hearing held on July 19, 1971, the petition for reconsideration was denied and the defendant issued a ruling on November 26, 1971, continuing the requirement of a bond with respect to plaintiff.

16. The requirements of bonds with respect to any particular urbanizer or constructor was based upon twelve factors listed in an internal memorandum of the Consumer Services Administration of the Commonwealth of Puerto Rico, addressed to the defendant by Mr. Hipólito de Jesús Kereadó Febres and dated June 10, 1971. This memorandum listed twelve (actually numbered 13 by error) factors or criteria, as follows:

“1. Time of answer to complaint.
2. Time in closing cases.
3. Manner of answering the letters.
4. Cases that must be referred to Legal Division.
5. Refusal to answer correspondence.
6. Violation of the provisions of the Regulation.
a. Section 2, Paragraph 3
b. Section 9
7. Violation of article 5 of the Law.
8. Resistance to correcting defects.
9. Incorrect information of having corrected.
10. Signature of deeds without use permit.
11. Signature of blank contracts.
12. Signature of deeds before the house is habitable.”

17. The said memorandum was not promulgated in the prescribed manner set forth in Finding No. 7 above.

18. The said memorandum does not purport to promulgate rules and regulations, but merely lists the factors to be considered without indicating how the factors are to be considered, for example, the weight to be given to each, the time to be used as the base period for determination of compliance with each, or the number or percentage of violations of any one or more factors which would result in the imposition of the requirement of a bond. No reference of any kind is made in said memorandum to the manner of determining that a particular urbanizer or constructor is exempt from the requirement of posting bonds or the manner in which an urbanizer or constructor may achieve exempt status.

19.

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Bluebook (online)
336 F. Supp. 1079, 1972 U.S. Dist. LEXIS 15707, Counsel Stack Legal Research, https://law.counselstack.com/opinion/glenwal-development-corporation-v-schmidt-prd-1972.