Weisshaus v. Port Authority

49 Misc. 3d 550, 18 N.Y.S.3d 268
CourtNew York Supreme Court
DecidedJuly 1, 2015
StatusPublished

This text of 49 Misc. 3d 550 (Weisshaus v. Port Authority) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Weisshaus v. Port Authority, 49 Misc. 3d 550, 18 N.Y.S.3d 268 (N.Y. Super. Ct. 2015).

Opinion

OPINION OF THE COURT

Debra Silber, J.

Petitioner Yoel Weisshaus petitions, pursuant to CPLR article 78, for an order: (1) vacating the decision of respondent Port Authority of New York and New Jersey (Port Authority) denying Weisshaus’s freedom of information (FOI) application; (2) directing the Port Authority to produce to Weisshaus the documents he sought in his freedom of information application; (3) directing the Port Authority to produce a privilege log of the documents it seeks to withhold and making the documents available for in camera inspection; and (4) imposing legal fees and costs, if applicable.

For the reasons which follow, the Port Authority is directed, pursuant to CPLR 7804 (e), to provide, in some evidentiary form, a sufficiently detailed description of the responsive documents claimed to fall within the agency exception in order to allow this court to make a meaningful determination as to whether the claimed exception applies. In addition, to the extent that the 2011 toll hikes were discussed at Port Authority meetings that were open to the public, the Port Authority should make the minutes of such meetings available to Weisshaus for copying or review.

[552]*552This CPLR article 78 proceeding arises out of the Port Authority’s denial of Weisshaus’s letter request, dated September 26, 2011, that the Port Authority disclose documents and records relating to the Port Authority’s decision to increase toll prices enacted on September 18, 2011. In the September 26, 2011 letter, Weisshaus stated, as is relevant here, that

“I HEREBY REQUEST full disclosure of all the information and meetings between the Port Authority . . . held on the subject decision to increase toll prices, which was enacted September 18, 2011. I HEREBY REQUEST that such full disclosure includes all the information communicated with New York State Governor Honorable Andrew Como [sic] and New Jersey Governor Honorable Chris Christie, to persuade them that such toll increase is just and reasonable. In addition, I HEREBY REQUEST full disclosure of the process, time, and manner that were used to work between the Port Authority and the governors to conclude that there are no other options but to increase [sic] toll price. “PLEASE TAKE NOTICE full disclosure consists of indentifying [sic] documents, emails and all type of evidence that include minutes and transcripts of topics and discussions that were held in connection with the foregoing request.”

The Port Authority first responded to Weisshaus’s request by way of a February 10, 2012 letter from its “FOI Administrator,” who stated that it was processing Weisshaus’s request for “copies of records communicated to Governor Andrew Cuomo and Chris Christie regarding the toll increase” and that Weisshaus would be advised in writing if responsive documents were located and if any of the records were exempt from disclosure pursuant to the “Port Authority Freedom of Information Policy.” In letters dated in May, June, July and August 2012, the FOI Administrator wrote to petitioner and stated that Weisshaus’s request would be processed under the Port Authority’s “Freedom of Information Code,” but that additional time was needed to process the request. Finally, in a letter dated November 24, 2014, the FOI Administrator stated that “[t]he materials responsive to your request, to the extent they exist, are exempt from disclosure pursuant to exemption (5) of the [Freedom of Information] Code as they would be inter-agency or intra-agency advisory, consultive or deliberative records.”

After receiving the November 24, 2014 denial letter, Weisshaus “appealed” the denial by sending a letter, dated Novem[553]*553ber 28, 2014, to the Port Authority’s General Counsel. After receiving no response to the November 28, 2014 letter, petitioner commenced this CPLR article 78 proceeding in March 2015. The Port Authority has since answered the petition and, in its opposition papers, asserts that it is entitled to dismissal of the petition.

The Port Authority was created in 1921 as a bistate public authority by an interstate compact between the States of New York and New Jersey (L 1921, ch 154; 1921 NJ Laws, ch 151), which was approved by the Congress of the United States by joint resolution of August 23, 1921 (Pub Resolution No. 17, 42 US Stat 174) (Nash v Port Auth. of N.Y. & N.J., 298 AD2d 72, 73 [1st Dept 2002]; Faillace v Port Auth. of N.Y. & N.J., 130 AD2d 34, 35 [1st Dept 1987], lv denied 70 NY2d 613 [1987]). As a bistate agency, the Port Authority is not subject to the unilateral control of either state, and, as such, the concurrence of both New York and New Jersey is required to apply a particular law to the Port Authority (Hess v Port Authority Trans-Hudson Corporation, 513 US 30, 42 [1994]; King v Port Auth. of N.Y. & N.J., 909 F Supp 938, 944 [D NJ 1995], affd 106 F3d 385 [3d Cir 1996]; McKinney’s Uncons Laws of NY § 6408, as added by L 1921, ch 154, § 1; NJ Stat Ann § 32:1-8). Since, as of yet, no such concurrence has been reached with respect to application of New York’s Freedom of Information Law (FOIL) (see Public Officers Law art 6) nor New Jersey’s Open Public Records Act (OPRA) (NJ Stat Ann §§ 47:1A-1-47:1A-13),1 OPRA and FOIL are currently inapplicable to the Port Authority (see Dittrich v Port Auth. of N.Y. & N.J., 2012 WL 4662213, 2012 NJ Super Unpub LEXIS 2254 [App Div, Oct. 4, 2012, No. A-1289-11T1]).

The Port Authority, however, has adopted bylaws creating its own freedom of information rules that, as is relevant here, were embodied in a Freedom of Information Policy and Procedure (FOP) that was in effect from May 2008 through April 2012, and a Freedom of Information Code (FOC) that was in effect from April 2012 through December 2014. The bylaws adopting the FOP indicate that the Port Authority’s freedom of information policy was intended to be consistent with New York’s FOIL and New Jersey’s OPRA. While the bylaws relating to the adoption of the FOC do not expressly state that the [554]*554FOC was intended to be consistent with FOIL or OPRA, the bylaws express that the FOC was adopted with a goal of providing “greater transparency in governance,” and was adopted, inter alia, after review of the requirements of FOIL and OPRA (Access to Port Authority Records — Ensuring Open Public Records — Port Authority Freedom of Information Code, Committee on Operations, Minutes of Special Meeting, Mar. 29, 2012 at 38, available at http://www.panynj.gov/corporate-information/ pdfispecial_ops_minutes_mar_29_2012.pdf [hereinafter Minutes of Special Meeting]). The disclosure requirements of the FOC and its exemptions are similar to those contained in FOIL and OPRA (Public Officers Law § 87 [2]; NJ Stat Ann § 47:1A-1.1). Indeed, both the FOP and the FOC provide that all records of the Port Authority “shall be” made available for public inspection and/or copying and only provide that such access “may be denied” if the records fall within certain enumerated exceptions. The FOP and the FOC’s requirements relating to access to records and exemptions to that access, at least those relevant here, are essentially the same, and since the Port Authority applied the FOC in reviewing Weisshaus’s records request, the court will review the petition under the FOC standards.

Weisshaus’s petition is properly before this court.

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Bluebook (online)
49 Misc. 3d 550, 18 N.Y.S.3d 268, Counsel Stack Legal Research, https://law.counselstack.com/opinion/weisshaus-v-port-authority-nysupct-2015.