Paramount Builders, Inc. v. Commonwealth

530 S.E.2d 142, 260 Va. 22, 2000 Va. LEXIS 85
CourtSupreme Court of Virginia
DecidedJune 9, 2000
DocketRecord 991696
StatusPublished
Cited by1 cases

This text of 530 S.E.2d 142 (Paramount Builders, Inc. v. Commonwealth) is published on Counsel Stack Legal Research, covering Supreme Court of Virginia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Paramount Builders, Inc. v. Commonwealth, 530 S.E.2d 142, 260 Va. 22, 2000 Va. LEXIS 85 (Va. 2000).

Opinion

JUSTICE LACY

delivered the opinion of the Court.

*25 In this appeal, Paramount Builders, Inc. and its president Edward Augustine assert that the trial court should have set aside a civil investigative order issued against them. We conclude, however, that the application for the order complied with the requirements of Code § 59.1-201, and we will affirm the judgment of the trial court refusing to set aside the order.

The Commonwealth’s Attorney for the City of Virginia Beach (the Commonwealth) filed an application for a civil investigative order pursuant to § 59.1-201. The Commonwealth sought documents and other information from Paramount Builders, Inc., and from Edward Augustine, individually and in his capacity as president of Paramount Builders, Inc., in connection with the solicitation of customers for their home improvement business. The ex parte application was granted by the circuit court on January 8, 1999.

Pursuant to § 59.1-201(C), Paramount and Augustine moved to set aside the order and, in the alternative, moved to modify the order and for a protective order. Both sides filed memoranda and, following argument of counsel, the trial court entered an order granting the motion to set aside the investigative order as to Augustine in his individual capacity. The trial court modified the terms of the civil investigative order but refused to set it aside as to Paramount and Augustine as president of Paramount.

In their appeal, Paramount and Augustine (hereinafter collectively “Paramount”) assign error to the trial court’s order refusing to set aside the investigative order, asserting that the Commonwealth and the application for the civil investigative order failed to meet the good faith or impracticality requirement and the reasonable cause requirement of subsections (A) and (B) of § 59.1-201.

Section 59.1-201 provides in relevant part:

A. Whenever the attorney for the Commonwealth . . . has reasonable cause to believe that any person has engaged in, or is engaging in, or is about to engage in, any violation of § 59.1-200, the attorney for the Commonwealth . . . after making a good faith effort to obtain such information, is unable to obtain the data and information necessary to determine whether such violation has occurred, or that it is impractical for him to do so, he may apply to the circuit court ... for an investigative order ....
*26 B. The circuit courts are empowered to issue investigative orders, .... An application for an investigative order shall identify:
1. The specific act or practice alleged to be in violation of § 59.1-200;
2. The grounds which shall demonstrate reasonable cause to believe that a violation of § 59.1-200 may have occurred, may be occurring or may be about to occur;
3. The category or class of data or information requested in the investigative order; and
4. The reasons why the attorney for the Commonwealth ... is unable to obtain such data and information, or the reason why it is impractical to do so, without a court order.

Paramount argues that before a civil investigative order can be issued, the Commonwealth must demonstrate “factual” compliance with subsection (A) of § 59.1-201 and “formal” compliance with subsection (B) of that section. According to Paramount, subsection (A) requires the Commonwealth to make a factual showing that it had reasonable cause to believe that a violation of § 59.1-200 of the Virginia Consumer Protection Act, Code §§ 59.1-196 through -207 (Consumer Protection Act) had occurred, was occurring, or would occur, and that it had made a good faith effort to acquire the desired information and was unsuccessful, or that it was impractical to seek the information without a court order. Subsection (B), Paramount continues, requires that the application for the order comply with the “formal” requirements listed in the subsection’s subparts. Under Paramount’s analysis, failure to comply with either of these “factual” or “formal” requirements defeats the request for a civil investigative demand.

We disagree with Paramount’s construction of these provisions. Subsection (A) describes the circumstances under which an application for a civil investigative order is appropriate and subsection (B) incorporates those circumstances into conditions which must be identified in the application before a circuit court can issue a civil investigative order. This statutory scheme does not, however, impose a two-step compliance process as suggested by Paramount. Thus, in resolving this appeal, we are concerned only with Paramount’s alie *27 gations that the application did not comply with the requirements of subsection (B)(1), (2), and (4). 1

Compliance with § 59.1-201(B)(1) and (B)(2)

Subparagraphs (1) and (2) of § 59.1-201(B) require identification of the alleged acts or practices which violate the Consumer Protection Act and the grounds which demonstrate reasonable cause to believe the alleged violations have occurred, are occurring, or may occur. Paragraph 6 of the application states that “upon information and belief” Paramount’s agents, through directives from Paramount, (1) induced consumers to execute a waiver of their “three-days right to cancel” by certain misrepresentations such as obtaining a “ ‘special price’ ” or other non-emergency situations in violation of the Virginia Consumer Protection Act, § 59.1-200(9), (14), and (19); (2) failed to leave copies of the contracts and signed “right to cancel” waivers at consumers’ homes or failed to give such copies to consumers upon request in a timely manner in violation of §§ 59.1-21.4(2) and 59.1-200(19); (3) misrepresented that Paramount was the “sole distributor” or only “locally authorized dealer of various building supplies” in violation of § 59.1-200(3); and (4) “made it difficult for consumers to cancel within the three days’ cancellation period” by delaying requests until after the time period had expired and refusing to accept delivery of notice of cancellation in violation of § 59.1-200(19).

To demonstrate that the Commonwealth had reasonable cause to believe Paramount engaged in the conduct listed in Paragraph 6, as required by § 59.1-201(B)(2), the application stated in Paragraph 7 that 19 complaints had been received by or referred to the Consumer Affairs Division of the Commonwealth Attorney’s Office and that affidavits by a former employee and a former officer of Paramount recited that the actions described in Paragraph 6 are “being authorized and conducted in the regular course of business” by Paramount against other consumers who may not have yet filed a complaint. Copies of the affidavits and two of the 19 complaints were attached as exhibits to the application. Paragraph 8 explained the pattern of operation recited in the exhibits which the Commonwealth believed showed a practice of past and continuing violations of the Consumer Protection Act.

*28 Paramount first argues that these allegations are insufficient because they reflect only opinions and conclusions, not facts.

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530 S.E.2d 142, 260 Va. 22, 2000 Va. LEXIS 85, Counsel Stack Legal Research, https://law.counselstack.com/opinion/paramount-builders-inc-v-commonwealth-va-2000.