Queach Corp. v. Inland Wetlands Commission

779 A.2d 134, 258 Conn. 178, 2001 Conn. LEXIS 370
CourtSupreme Court of Connecticut
DecidedSeptember 25, 2001
DocketSC 16486
StatusPublished
Cited by25 cases

This text of 779 A.2d 134 (Queach Corp. v. Inland Wetlands 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
Queach Corp. v. Inland Wetlands Commission, 779 A.2d 134, 258 Conn. 178, 2001 Conn. LEXIS 370 (Colo. 2001).

Opinion

Opinion

NORCOTT, J.

This appeal requires this court to address whether the regulatory amendments adopted by the named defendant inland wetlands commission of the town of Branford (commission) are valid under General Statutes §§ 22a-361 through [181]*18122a-45* 2 of the Connecticut Inland Wetlands and Watercourses Act (act). The plaintiffs, Queach Corporation and Vivian Vigliotti, appeal3 from the decision of the trial court, Blue, J., which held that the amended regulations implemented by the commission, the inland wetlands agency for the town of Branford (town),4 were valid. The plaintiffs claim that the trial court improperly: (1) limited its decision to a facial review of the Branford inland wetlands and watercourses regulations (regulations); and (2) concluded that the regulatory amendments challenged by the plaintiffs were valid and in conformity with the act. We affirm the judgment of the trial court.

[182]*182The following facts are relevant to the disposition of this appeal. The plaintiffs own abutting property in the town totaling approximately 205 acres of land. The plaintiffs’ property contains fifty-five acres of wetlands, which constitutes 27 percent of the property. The plaintiffs jointly have been attempting to subdivide their land into residential lots. In February, 1999, the plaintiffs filed an application with the town planning and zoning commission for a special exception to construct a 150 unit subdivision on the two parcels of land.

In order to maximize the number of lots that could be imposed on the site, the plaintiffs proposed some major alterations to the property, including leveling some of the ridges by as much as fifty feet, significant grading, soil movement and stripping other lots of all vegetation. Because the proposed subdivision involved regulated activity that could affect the wetlands on the property, the planning and zoning commission referred the plaintiffs’ application to the commission for review. The commission stated that its review would be advisory and would assist the planning and zoning commission in its assessment of the plaintiffs’ subdivision proposal because the commission had no application before it.5 By providing the planning and zoning commission with a written report examining the slope and area dimensions identified on the site plan, the commission was able to determine whether the proposed lots were consistent with its current regulations, which had been revised as of January, 1998. The regulations in effect at the time of this review required the commission to review all activity occurring within fifty feet of a wetland or watercourse, and “any other activity” located “in any other non-wetland or non-watercourse [183]*183area [that] is likely to impact or affect wetlands or watercourses . . . .” Branford Inland Wetlands and Watercourses Regs., § 2. ljj (2). The commission’s advisoiy report determined that seventy-two of the lots on the plaintiffs’ site plan were potentially nonconforming, largely because of heavy grading and other activity proposed on the slopes. None of the seventy-two lots, however, was determined to be potentially nonconforming because the proposed development would occur within the fifty foot buffer zone.6 Ultimately, the planning and zoning commission denied the plaintiffs’ preliminary application, not because of wetlands issues, but for reasons relating to excessive density.7

In addressing this appeal, it is important to understand the process by which the regulations of the town were amended. In 1995 and 1996, the state legislature had amended the act to provide express authority for municipal agencies to regulate areas that extended beyond designated wetland boundaries. See Public Acts 1995, No. 95-383; Public Acts 1996, No. 96-157. In January, 1998, and again in July, 1999, the commission adopted a number of amendments to the regulations of the town. The revisions that the commission adopted were designed to conform to the legislature’s changes to the act. In order to conform with these changes, municipal agencies were advised by the state to revise their regulations using models developed by the department of environmental protection (department).8 After [184]*184reviewing the town’s revisions submitted on January 23, 1998, the chief of the department’s bureau of water management issued a letter to the town that provided specific recommendations for further revisions in order to conform to §§ 22a-36 through 22a-45. Most of the recommendations were incorporated into the town’s regulations and, after a full hearing, were adopted on July 29, 1999.

Thereafter, the plaintiffs, pursuant to General Statutes § 22a-43 (a),9 filed this present appeal in the trial court, contesting the validity of two of the amendments to the regulations. In their complaint, the plaintiffs alleged that the revisions by the commission, in July, 1999, to the town’s regulations exceeded its statutory authority to regulate. The plaintiffs claimed that they [185]*185were aggrieved both statutorily and classically, because the amended regulations in general, and the definition of regulated activity in particular, would result in the regulation of the plaintiffs’ land outside of wetlands and watercourses, and significantly would restrict its development.10 In particular, the plaintiffs challenged the validity of § § 2. ljj* 11 and 2. loo (5)12 of the regulations. From these provisions, the plaintiffs specifically contested: (1) the definition of regulated activity; (2) the increase from 50 to 100 feet for the upland review buffer [186]*186area; (3) the requirement to provide alternatives for nonregulated activities and construction in the buffer area; (4) the discretion that the commission has to regulate activities occurring outside the wetland areas; and (5) the authority that the commission has to regulate groundwater levels.13 At trial, the Connecticut Fund for the Environment, Inc., intervened, pursuant to General Statutes § 22a-19.14

After trial, the court held that, as owners of land within 100 feet of land affected by the amended regulations, the plaintiffs were statutorily aggrieved pursuant to General Statutes § 8-8 (a) (1) and (b),15 and had stand[187]*187ing to bring a facial challenge on that basis. Because the plaintiffs had never submitted an application subject to the amended regulations, however, the trial court declined to determine whether the amendments were valid as applied.16 Thereafter, the trial court examined and rejected each challenge to the amendments and held that the regulations in question were facially valid. In doing so, it held that the commission properly acted within the scope of its authority.17 Accordingly, the trial [188]*188court rendered judgment dismissing the plaintiffs’ appeal. This appeal followed.

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Bluebook (online)
779 A.2d 134, 258 Conn. 178, 2001 Conn. LEXIS 370, Counsel Stack Legal Research, https://law.counselstack.com/opinion/queach-corp-v-inland-wetlands-commission-conn-2001.