King v. Alaska State Housing Authority

512 P.2d 887, 1973 Alas. LEXIS 263
CourtAlaska Supreme Court
DecidedJuly 27, 1973
Docket1613
StatusPublished
Cited by33 cases

This text of 512 P.2d 887 (King v. Alaska State Housing Authority) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
King v. Alaska State Housing Authority, 512 P.2d 887, 1973 Alas. LEXIS 263 (Ala. 1973).

Opinion

OPINION

RABINOWITZ, Chief Justice.

In December of 1970, appellee Alaska State Housing Authority (hereinafter ASHA) issued an Invitation for Proposals *889 for the sale and redevelopment of tracts G-l and G-2 in the Eastchester Urban Renewal Project. Unsuccessful in their competitive proposal to purchase and redevelop tracts G-l and G-2, Earl King and Rod Cherrier appeal from an involuntary dismissal of their suit to enjoin ASHA from conveying their tracts to the “successful” developer, appellee J. L. Johnston,

ASHA is a “public corporate authority” empowered to administer the Alaska Slum Clearance and Redevelopment Act. 1 AS 18.55.700 in conjunction with AS 18.55.540 authorizes ASHA to “sell, lease, exchange or otherwise transfer real property” in urban renewal areas, provided such transfer complies with an urban renewal plan approved by the governing body of the municipality in which the project is located. 2 The Anchorage City Council approved an urban renewal plan in 1964 for the project involved in the case at bar. Pursuant to this plan and governing regulations, 3 ASHA invited proposals for the sale and redevelopment of tracts G-l and G-2 according to the “fixed price competition” method. Under this method, $126,000 was the fixed sale price of the land and ASHA’s selection criteria emphasized economic feasibility, architectural quality, and planning aspects of redevelopment plans. The Redeveloper’s Portfolio, containing materials necessary to submit proposals, advised prospective redevelopers that a good faith deposit equal to 5 percent of the purchase price was to accompany the proposal unless submitted by a non-profit corporation, limited dividend corporation, or cooperative. The Portfolio also advised that ASHA would afford limited preferential consideration to proposals submitted by redevelopers who owned property in the project area at the time the city council approved the urban renewal plan.

Appellants were the only former owners among the five redevelopers who submitted proposals, and they notified ASHA of their intent to exercise their preference on tracts G-l and G-2. ASHA received appellants’ proposal, accompanied by a good faith deposit, before the March 1, 1971, deadline. However, while ASHA received Johnston’s proposal before the deadline, he did not submit the required deposit until March 30. After meeting with each of the proposed redevelopers, the ASHA Board of Directors concurred in the recommendations of the Federal Housing Administration and the ASHA staff, selecting appel-lee Johnston’s proposal as the best plan for redevelopment of tracts G-l and G-2.

After receiving notification of ASHA’s decision, appellants sought to enjoin the housing authority from conveying the property to Johnston and to have themselves declared entitled to purchase and redevelop tracts G-l and G-2. Appellants based their claim on three theories: that they are entitled to the property by virtue of an absolute “preference right” as form *890 er owners; that Johnston’s failure to submit a timely good faith deposit invalidated his proposal and required ASHA to reject it; and that ASHA abused its discretion in evaluation of appellants’ proposal for redevelopment and purchase of the tracts in question. At trial at the close of appellants’ case, the superior court granted ap-pellees’ motion for involuntary dismissal of the action “on the ground that upon the facts and the law the plaintiff has shown no right to relief.” King and Cherrier appeal from this involuntary dismissal and attack the findings of fact on which it is based.

Resolution of the issues in this appeal rests in part upon interpretation of Alaska Civil Rule 41 (b) which parallels Rule 41(b), Federal Rules of Civil Procedure, and which reads where pertinent as follows:

After the plaintiff has completed the presentation of his evidence, the defendant . . . may move for a dismissal on the ground that upon the facts and the law the plaintiff has shown no right to relief. In an action tried by the court without a jury the court as trier of the facts may then determine them and render judgment against the plaintiff or may decline to render any judgment until the close of all the evidence. If the court renders judgment on the merits against the plaintiff, the court shall make findings as provided in Rule 52(a). (Emphasis added.)

Previous opinions of this court prescribe the standards trial judges should apply to resolve Rule 41(b) motions to dismiss. In Rogge v. Weaver, 4 this court said that Rule 41 (b) motions should not “invariably” be resolved by a weighing of the evidence, but rather

where plaintiff has presented a prima facie case based on unimpeached evidence we are of the opinion that the trial judge should not grant the motion even though he is the trier of the facts and may not himself feel at that point in the trial that the plaintiff has sustained his burden of proof. 5

We subsequently held that in deciding Rule 41 (b) motions the plaintiff’s evidence should be viewed in its most favorable light. 6 Further in Trusty v. Jones, 7 this court articulated two policy rationales supporting the Rogge prima facie rule;

We believe the Rogge rule is more likely to achieve justice and reduce the number of appeals resulting from the application of Rule 41 (b) than an interpretation permitting the judge to dismiss in close cases before he has heard both sides of the issues and has obtained a complete picture of the controversy.

Of the states which have adopted rules similar to Federal Rule 41(b), Alaska was the first to adopt the prima facie test. 8 However, the Supreme Courts of Florida and Wyoming have recently adopted the Rogge approach. 9 And commentators have concluded that Rogge is wholly consistent with the language of Rule 41(b). 10 Finally, because we find the policies behind Rogge as valid today as they were in 1962, we decline appellees’ request to depart from the Rogge prima facie test in this case. With these principles in mind, we turn to appellants’ three basic contentions in this appeal.

Employing alternative theories, appellants contend they presented a prima facie *891 case establishing their absolute preference right to purchase and redevelop tracts G-l and G-2 because no other proposed rede-veloper formerly owned property in the project area. We reject each of appellants’ alternative theories going to this point.

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Bluebook (online)
512 P.2d 887, 1973 Alas. LEXIS 263, Counsel Stack Legal Research, https://law.counselstack.com/opinion/king-v-alaska-state-housing-authority-alaska-1973.