M & L HOMES, INC. v. Zoning & Planning Commission

445 A.2d 591, 187 Conn. 232, 1982 Conn. LEXIS 518
CourtSupreme Court of Connecticut
DecidedMay 25, 1982
StatusPublished
Cited by20 cases

This text of 445 A.2d 591 (M & L HOMES, INC. v. Zoning & Planning Commission) is published on Counsel Stack Legal Research, covering Supreme Court of Connecticut primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
M & L HOMES, INC. v. Zoning & Planning Commission, 445 A.2d 591, 187 Conn. 232, 1982 Conn. LEXIS 518 (Colo. 1982).

Opinion

Arthur H. Healey, J.

The plaintiff, M & L Homes, Inc., sought a writ of mandamus ordering the defendant zoning and planning commission of the town of Montville to issue a certificate of approval for its subdivision plan and to cause such approval to be endorsed by the chairman or secretary of the defendant upon the town clerk’s filing a copy of that plan. The plaintiff claimed that its subdivision plan of “Scarborough Estates, Section II” submitted to the defendant on October 28, 1975, was approved pursuant to General Statutes § 8-26 by virtue of the defendant’s failure to “approve, modify and approve, or disapprove [it] . . . within the period of time permitted under Section 8-26d.” Under General Statutes § 8-26d (b): “A decision on an application for subdivision approval, on which no hearing is held, shall be rendered within sixty-five days after receipt of such application.” 1 The trial court denied the request for the writ of mandamus and this appeal followed.

*234 The facts relevant to our disposition of this appeal are as follows: On October 28, 1975, the plaintiff filed an application for a subdivision with a map or maps called “Scarborough Estates, Section II” (hereinafter, the original application) with the defendant commission concerning land, which it owned in Montville. It was formally received by the defendant on November 11, 1975. See General Statutes § 8-26d (c). On January 27,1976, seventy-seven days after the application’s receipt, the plaintiff’s engineer and agent, Frederick Hayes, 2 requested and received from the defendant a sixty day extension for this application. On April 5,1976, the plaintiff revised its subdivision maps and on July 7,1976, the Montville inland wetlands commission approved the subdivision based on the revised maps, subject to certain special conditions and limitations. 3 On September 14, 1976, the defendant held a meeting to consider final approval of the plaintiff’s application, but withheld final approval because no representative of the plaintiff was present.

On November 22, 1976, the plaintiff’s agent, Hayes, sent a letter to the defendant requesting its review of preliminary plans for resubdivision of Section II and also requesting withdrawal of the plaintiff’s Section II application. 4 By letter *235 to Hayes, dated December 15, 1976, the defendant replied and suggested that the revised proposal be submitted to the inland wetlands commission and, “as soon thereafter as possible,” arrange to have the new proposal placed on the defendant’s agenda. On February 28, 1977, the plaintiff’s agent, Hayes, wrote to the defendant requesting that the revised layout approved by the inland wetlands commission be placed on the defendant’s agenda as the “final subdivision known as ‘Scarborough Estates, Section II.’ ” At a meeting of the defendant held on April 12, 1977, 5 the defendant commission informed the plaintiff’s representative that its preliminary original application for Scarborough Estates, Section II had been withdrawn in November, 1976, as requested by Mr. Hayes and that the plaintiff now had to submit a new application as well as a copy of the decision of the inland wetlands commission. 6

On April 14, 1977, the plaintiff submitted to the defendant another subdivision application (the new application) for approval of Scarborough Estates, Section II. Unlike the original application, this was marked “final” by the plaintiff. In addition, the *236 new application, on its face, differed from the original application in that the number of lots was reduced and the presence of a sanitary sewer line was noted. 7 The defendant commission considered the new application at a workshop meeting on April 26, 1977, with the plaintiff’s agent and found that certain matters still needed clarification or further consideration. Shortly thereafter, by letter dated May 2, 1977, the defendant commission wrote to Frederick M. Hayes Associates, the plaintiff’s representative, explaining the difficulties that remained with the application. In that letter the defendant commission also indicated that as soon as the plaintiff made the recommended changes, it would “promptly take action on the application for the proposed subdivision.” Apparently the plaintiff failed to provide the defendant commission with the information it requested in its May 2,1977 letter because at its meeting of June 14, 1977, the defendant commission unanimously denied the plaintiff’s new application “in view of incomplete documentation, availability of which had been previously requested by letter.”

By letter dated June 2,1977, counsel for the plaintiff wrote to the defendant making a demand, pursuant to General Statutes § 8-26, for a certificate of approval for the subdivision, based on its original application for approval which had been filed with the defendant on October 28, 1975. 8 The defendant *237 commission, by a letter dated June 15, 1977, wrote back to the plaintiff’s counsel acknowledging receipt of his letter of June 2, 1977, requesting a certificate of approval and pointed out, inter alia, that a cheek of the commission’s files revealed “a letter dated November 22, 1976 signed by Mr. Hayes requesting the withdrawal of the Section II application, and [that] a new application was submitted to us April 26, 1977.”

Thereafter, the plaintiff’s counsel, by letter dated June 22, 1977, wrote to the defendant commission stating that he understood from communications with the Hayes office “that some progress is being made” and that, as counsel, he was “taking no further action for the time being without, however, waiving any rights asserted in my letter of June 2, 1977.” On January 10, 1978, the plaintiff’s counsel wrote the defendant commission again making a demand for a certificate of approval as he had in his letter of June 2, 1977, adding, however, that if “I do not hear from you or your attorney within ten days from the date of this, I will institute a mandamus action.” The plaintiff instituted its mandamus action in May, 1978.

The trial court denied the issuance of a mandamus and found that “the fact that the plaintiff withdrew its [original] application, submitted a *238 new application and engaged the defendant and the Inland Wetlands Commission in protracted and involved negotiations, indicates that the plaintiff had decided to forego its right to de jure approval.” (Emphasis in original.) It also concluded that the evidence submitted was “sufficient to establish that the plaintiff is estopped from claiming approval by operation of law.” 9

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Bluebook (online)
445 A.2d 591, 187 Conn. 232, 1982 Conn. LEXIS 518, Counsel Stack Legal Research, https://law.counselstack.com/opinion/m-l-homes-inc-v-zoning-planning-commission-conn-1982.