Mayor of Detroit v. Arms Technology, Inc.
Mayor of Detroit v. Arms Technology, Inc.
Opinion of the Court
In these consolidated appeals, defendants appeal by leave granted the trial court’s decision denying their motions for summary disposition based on MCR 2.116(C)(8). We reverse.
i. facts and proceedings
The political subdivision plaintiffs in this case are among the numerous political subdivisions nationwide that have filed suit against firearms manufacturers, distributors, and retailers such as defendants, articulating theories under which defendants would be held liable as contributors to the level of gun violence experienced in their communities. While the cases in other jurisdictions lend some perspective to the issues raised, our focus is, and must be, whether plaintiffs’ claims are viable under Michigan law.
In April 1999, plaintiffs Wayne County Executive, Wayne County and others and the mayor of the city of Detroit and the city of Detroit filed separate complaints against manufacturers, distributors, and retailers of legal firearms, alleging that the methods used by defendants to market and distribute firearms con
Plaintiffs allege that defendants rely on the diversion of guns from legitimate purchasers to an illegitimate secondary market through “straw” purchases,
Plaintiffs also allege that defendant dealers have “negligently or intentionally acted to create and maintain the illegitimate secondary market” by openly making sales without requiring purchasers to complete the necessary paperwork, failing to conduct mandated background checks before sales, and permitting purchases when the dealer knows or should
The complaints contain various statistics concerning gun violence throughout Wayne County and the country and the accessibility of guns to youths and felons. Additionally, the complaints cite data from the Bureau of Alcohol, Tobacco, and Firearms (atf) that traces firearms used in crimes to retail sales that occurred less than three years before the crime, which, according to plaintiffs, is strong evidence that the weapons have been illegally trafficked. Plaintiffs allege that thousands of guns have flowed into the illegal secondary market and that defendants have done nothing to decrease these unlawful sales. Defendants, plaintiffs assert, have failed to ensure that retailers selling their products have adequately secured their premises, causing thousands of guns to reach the unlawful market after having been stolen from licensed dealers, and have failed to make the serial numbers on their products more tamperproof, thereby making it more difficult to track unlawful sales.
All defendants, plaintiffs claim, have made or sold firearms used to commit crimes in either Detroit or Wayne County. Plaintiffs assert that defendants had actual or constructive knowledge that citizens and law enforcement officers would be injured or killed because of their actions and that plaintiffs would suffer economic harm in the form of loss of tax revenue as a result.
In December 1999, defendants filed a motion for summary disposition of plaintiffs’ complaints, pursu
The trial court denied defendants’ motion regarding plaintiffs’ public nuisance claims. The trial court first determined that because plaintiffs alleged that defendants acted willfully, not just negligently, and because the creation of a public nuisance can be intentional, dismissal of plaintiffs’ negligence claims was not fatal to plaintiffs’ public nuisance claims. The trial court also rejected defendants’ argument that public nuisance relates to the use of land, not products, concluding that private nuisance is related to the use of land but that public nuisance is not similarly limited. Furthermore, the trial court characterized plaintiffs’ claims as allegations of nuisance per accidens, not nuisance per se, and stated that the proper remedy for nuisance per accidens is regulation. Accordingly, the trial court rejected defendants’ argument that MCL 123.1102 prohibits plaintiffs’ claims. Moreover, the trial court rejected defendants’ assertion that
After the trial court rendered its opinion, several defendants filed applications for leave to appeal the trial court’s decision to this Court. We initially held their applications in abeyance, however, because defendants had filed a second motion for summary disposition, which concerned the applicability of 2000 PA 265, effective June 29, 2000 (now MCL 28.435). Defendants argued in their motion that this newly enacted statute, explicitly retroactive in application, bars plaintiffs’ suits. Plaintiffs responded that the statute is unconstitutional because (1) it cannot be applied retroactively without violating due process guarantees; (2) it violates separation of powers principles by imposing a rule of decision on the trial court; and (3) it violates the Title-Object Clause of the Michigan Constitution, Const 1963, art 4, § 24. Defendants, however, contended that plaintiffs, as political subdivisions, do not have standing to raise due process challenges to acts of the Legislature.
After hearing arguments on defendants’ second motion for summary disposition, the trial court declared MCL 28.435 unconstitutional. The trial court held that plaintiffs could challenge the statute on due process grounds on the basis of certain exceptions to the “no standing” rule that apply in other jurisdictions, and that, when retroactively applied, the statute violates plaintiffs’ due process rights by impairing a vested right. Additionally, the trial court found that the statute violates separation-of-powers principles because the Legislature declared what the status of
Defendants subsequently filed applications for leave to appeal the trial court’s order denying their second motion. We granted leave to appeal the orders denying both motions for summary disposition.
H. STANDARD OF REVIEW
We review de novo the question whether a trial court properly granted summary disposition. Hinkle v Wayne Co Clerk, 467 Mich 337, 340; 654 NW2d 315 (2002). Likewise, we review de novo questions of constitutional law, such as those presented by plaintiffs. People v LeBlanc, 465 Mich 575, 579; 640 NW2d 246 (2002).
m. ANALYSIS
MCL 28.435 provides, in relevant part:
*58 (9) Subject to subsections (10) to (12), a political subdivision shall not bring a civil action against any person who produces a firearm or ammunition. The authority to bring a civil action under this section is reserved exclusively to the state and can be brought only by the attorney general. The court shall award costs and reasonable attorney fees to each defendant named in a civil action filed in violation of this subsection.
* * *
(13) Subsections (9) through (11) are intended only to clarify the current status of the law in this state, are remedial in nature, and, therefore, apply to a civil action pending on the effective date of this act.
Although MCL 28.435 permits political subdivisions to bring an action against producers
“A statute is presumed constitutional, unless its unconstitutionality is readily apparent.” Tolksdorf v Griffith, 464 Mich 1, 5; 626 NW2d 163 (2001).
“Every reasonable presumption or intendment must be indulged in favor of the validity of the act, and it is only when invalidity appears so clearly as to leave no room for reasonable doubt that it violates some provision of the Constitution that a court will refuse to sustain its validity.” [Council of Orgs & Others for Ed About Parochiaid, Inc v Governor, 455 Mich 557, 570; 566 NW2d 208 (1997), quoting Cady v Detroit, 289 Mich 499, 505; 286 NW 805 (1939).]
“The party challenging the facial constitutionality of an act ‘must establish that no set of circumstances exists under which the [a]ct would be valid.’ ” Council of Orgs, supra at 568, quoting United States v Salerno, 481 US 739, 745; 107 S Ct 2095; 95 L Ed 2d 697 (1987). Moreover, the “ ‘power to declare a law unconstitutional should be exercised with extreme caution and never where serious doubt exists with regard to the conflict.’ ” Schulz v Northville Pub Schools, 247 Mich App 178, 187; 635 NW2d 508 (2001), quoting Council of Orgs, supra at 570. In light of these principles, “[a] party challenging the facial constitutionality of a statute faces an extremely rigorous standard.” Wayne Co Bd of Comm’rs v Wayne Co Airport Auth, 253 Mich App 144, 161; 658 NW2d 804 (2002), citing Judicial Attorneys Ass’n v Michigan, 459 Mich 291, 310; 586 NW2d 894 (1998).
For ease of analysis, we will address the last of plaintiffs’ constitutional challenges first. In accordance with Michigan law, we find that plaintiffs lack standing to assert that they, as political subdivisions, have been deprived of due process of law. “ ‘[E]xcept as to certain express constitutional grants and limitations of power, local government units are only creatures of legislation’ and they do not have standing to challenge the constitutionality of a statutory provision enacted by the Legislature [on equal protection or due process grounds].” Kent Co Aeronautics Bd v Dep’t of State Police, 239 Mich App 563, 580; 609 NW2d 593 (2000), quoting DeWitt Twp v Clinton Co, 113 Mich App 709, 716; 319 NW2d 2 (1982). This principle is not affected by a political subdivision’s statutory power to sue and be sued. East Jackson Pub Schools v Michigan, 133 Mich App 132, 139 n 11; 348 NW2d 303 (1984).
Although the holding in DeWitt is prefaced by a recognition that exceptions to the general rule exist, Kent Co, supra at 580, we find that none of the exceptions plaintiffs have proffered apply here. First, plaintiffs claim that when a state is not a party to the case, the justification for imposing the prohibition on a constitutional challenge is weakest, and courts have been hesitant to restrict constitutional challenges when only private parties and political subdivisions are parties to the suit. We note that this claimed exception does not appear to be a constitutional grant or limitation of power, id., and that plaintiffs failed to provide supporting authority for this exception. Because it is not this Court’s responsibility to
Next, plaintiffs claim that it is unfair to allow defendants to raise the statute as a bar to plaintiffs’ suit, yet prohibit plaintiffs from defending against the statute’s application. Even though this “defensive posture” exception also is not an express constitutional grant or limitation of power, the trial court endorsed this exception and permitted plaintiffs to assert their due process challenge, resting its ruling on Fuchs v Robbins, 738 So 2d 338 (Fla App, 1999). We reject this exception for several reasons. First, Florida law is not binding on this Court. Second, Fuchs has since been reversed by the Supreme Court of Florida because a Florida statute specifically prohibited the constitutional challenge at issue in that case. Fuchs v Robbins, 818 So 2d 460, 463, 464 (Fla, 2002). Third, Fuchs does not stand for the proposition that plaintiffs have standing to raise a constitutional challenge when the challenge is made after an opposing party asserts the validity of a statute. Rather, the holding in Fuchs was based on the notion that a state agency or public officer does not have a sufficiently substantial interest or special injury to voice a constitutional challenge, but may do so if the constitutional challenge is raised from a defensive posture. Fuchs, 738 So 2d 340, citing Dep’t of Ed v Lewis, 416 So 2d 455, 458 (Fla, 1982). We also note that the procedural posture of the challenge does not change the fact that a political subdivision is a creature of statute, subject to the will of its creator.
Plaintiffs next argue that a political subdivision has standing to challenge legislation when the issue is one of great public concern. No Michigan appellate court has acknowledged this exception, and, although the trial court was unwilling to rest its decision on this exception alone, it nevertheless found that plaintiffs had standing on this basis. We disagree. Most of the cases applying the great public concern exception do so on the basis that the public official or political subdivision involved joined a private litigant to collectively challenge the statute, and that the public official or political subdivision had a significant stake in the outcome of the proceedings. See, e.g., Minnesota State Bd of Health v Brainerd, 308 Minn 24, 29-31; 241 NW2d 624 (1976); Fulton Foundation v Wisconsin Dep’t of Taxation, 13 Wis 2d 1, 13; 108 NW2d 312 (1961). Assuming that plaintiffs have established the existence of a great public concern in the matters asserted in this litigation, Michigan law nevertheless provides that a political subdivision has only those rights granted to it by the Legislature. Because the Legislature has not conferred standing here, we do not adopt this exception.
Waterford involved an action by the school district to enforce payment of funds mandated by the Headlee Amendment, thus seeking to protect specific rights accorded the district. As such, standing to sue was clear. In the instant case, however, plaintiff districts do not seek to enforce rights conferred upon them ....
. . . Except as provided by the state, they have no existence, no functions, no rights and no powers. They are given no power, nor can any be implied, to defy their creator over the terms of their existence.
This “exception” is also inapplicable, and we therefore conclude that plaintiffs lack standing to contest the validity of MCL 28.435 on due process grounds.
B. SEPARATION OF POWERS
Plaintiffs next claim that by enacting MCL 28.435, the Legislature overstepped the constitutional boundaries of its power and infringed on the role of the
The powers of government are divided into three branches: legislative, executive and judicial. No person exercising powers of one branch shall exercise powers properly belonging to another branch except as expressly provided in this constitution. [Const 1963, art 3, § 2.]
As the Michigan Supreme Court noted in Quinton v Gen Motors Corp, 453 Mich 63; 551 NW2d 677 (1996), “ ‘[t]he source and contours of th[e] separation-of-powers limitation are somewhat murky Id. at 76, quoting Redish, Federal judicial independence: Constitutional and political prospectives, 46 Mercer L R 697, 713 (1995). Furthermore, the “doctrine of separation of powers ... is a structural safeguard, a prophylactic device, rather than an immutable principle . . . .” Quinton, supra at 89, citing Plant v Spendthrift Farm, Inc, 514 US 211; 115 S Ct 1447; 131 L Ed 2d 328 (1995).
Plaintiffs argue that by stating in MCL 28.435(13) that the pertinent portions of MCL 28.435 “are intended only to clarify the current status of the law,” the Legislature has intruded on the exclusive authority of the judicial branch to interpret the law. Plaintiffs also assert that the legislative clarification of the statute improperly overturns the trial court’s ruling
At its core, plaintiffs’ separation-of-powers challenge hinges on the fact that the enactment of MCL 28.435(9)-(13) effectively overrides the trial court’s finding that plaintiffs are not prohibited by MCL 123.1102 from bringing this action. Plaintiffs vigorously assert that this statutory enactment “overturns a judicial decision” or, alternatively, “seeks to compel a judicial decision in favor of defendants.” We find plaintiffs’ arguments to be misplaced.
First, we note that the trial court’s ruling regarding MCL 123.1102 did not constitute a final judgment because it did not dispose of all claims and adjudicate all the rights and liabilities of the parties. MCR 7.202(7)(a)(i); Allied, Electric Supply Co, Inc v Tenaglia, 461 Mich 285, 288; 602 NW2d 572 (1999). Because the trial court’s order was not a final judgment that the statute required to be reopened, the order was subject to revision by the Legislature:
Congress can always revise the judgments of Article III courts in one sense: When a new law makes clear that it is retroactive, an appellate court must apply that law in reviewing judgments still on appeal that were rendered before the law was enacted, and must alter the outcome accordingly. See United States v. Schooner Peggy, 5 U.S. 103, 1 Cranch 103, 2 L. Ed. 49 (1801); Landgraf v. USI Film, Products, 511 U.S. 244, 273-280, 128 L. Ed. 2d 229, 114 S. Ct. 1483 (1994). ... [A] distinction between judgments from which all appeals have been foregone or completed, and judgments that remain on appeal (or subject to being appealed), is implicit in what Article III creates: not a batch of unconnected courts, but a judicial department composed of “inferior Courts” and “one supreme Court.” Within that hierarchy, the decision of an inferior court is not (unless the time for appeal has expired) the final word of the*66 department as a whole. It is the obligation of the last court in the hierarchy that rules on the case to give effect to Congress’s latest enactment, even when that has the effect of overturning the judgment of an inferior court, since each court, at every level, must “decide according to existing laws.” Schooner Peggy, supra, at 109. [Plant, supra at 226-227.]
We therefore conclude, consistent with the principles articulated in Plant, that plaintiffs cannot show that the enactment of MCL 28.435 violates the Michigan Constitution simply because it was enacted after the trial court ruled on the applicability of MCL 123.1102.
Second, we disagree with plaintiffs’ assertion that because the Legislature intended MCL 28.435 to clarify rather than change the law, the statute violates separation-of-powers principles. The statute at issue does not directly interfere with judicial decision making because it does not direct the judiciary either to make specific findings of fact or to apply relevant facts to the law in a particular way. Hyundai Merchant Marine Co, Ltd v United States, 888 F Supp 543, 549 (SD NY, 1995). Rather, MCL 28.435 “specifies the law to be applied to the relevant cases and leaves to the courts the job of applying that law to the particular facts before them.”
Third, we think it worthy of mention that MCL 28.435 was introduced in the Legislature as House Bill 5781 on May 11, 2000, five days before the trial court rendered its decision permitting plaintiffs to proceed
For all of the reasons we have articulated, we conclude that MCL 28.435 does not violate the separation-of-powers principles found in the Michigan Constitution.
C. TITLE-OBJECT CLAUSE
The Title-Object Clause provides that “[n]o law shall embrace more than one object, which shall be expressed in its title.” Const 1963, art 4, § 24. Plaintiffs argue that 2000 PA 265 violates this constitutional provision because it embraces more than one object and its title inadequately expresses the contents of the law. We disagree. Our Supreme Court recently summarized the law generally applicable to a Title-Object Clause analysis. In Pohutski v City of Allen Park, 465 Mich 675, 691-692; 641 NW2d 219 (2002), the Court stated:
This constitutional provision requires that (1) a law must not embrace more than one object, and (2) the object of the law must be expressed in its title. . . . This constitutional limitation ensures that legislators and the public receive proper notice of legislative content and prevents deceit and subterfuge. . . . The goal of the clause is notice, not restriction of legislation.
*68 The “object” of a law is defined as its general purpose or aim. . . . The “one object” provision must be construed reasonably, not in so narrow or technical a manner that the legislative intent is frustrated. . . . We should not invalidate legislation simply because it contains more than one means of attaining its primary object; “[h] owe ver, if the act contains ‘subjects diverse in their nature, and having no necessary connection,’ ” it violates the Title-Object Clause. . . . The act may include all matters germane to its object, as well as all provisions that directly relate to, carry out, and implement the principal object. . . . The statute “may authorize the doing of all things which are in furtherance of the general purpose of the Act without violating the ‘one object’ limitation of art 4, § 24.” . . . Finally, the constitutional requirement is not that the title refer to every detail of the act; rather, “[i]t is sufficient that ‘the act centers to one main general object or purpose which the title comprehensively declares, though in general terms, and if provisions in the body of the act not directly mentioned in the title are germane, auxiliary, or incidental to that general purpose . . . .”
First, plaintiffs assert a violation of the Title-Object Clause on the basis that subsections 1 through 8 of MCL 28.435, requiring trigger locks or similar devices and warnings about safe storage, are in stark contrast to subsections 9 through 13, setting the limits of civil suits that may be maintained by a political subdivision against a producer of firearms or ammunition.
Likewise, in the instant case, the act’s provisions each relate to firearms regulation. Although subsections 9 through 13 provide immunity from civil liability in certain instances, this immunity extends to situations discussed in the act, namely providing trigger locks and firearm safety information. While the specific causes of action are prohibited, so are suits based on a failure to comply with the other provisions of the act, as is .demonstrated by the plain language of subsection 9, which states that “[t]he authority to bring a civil action under this section is reserved exclusively to the state and can be brought only by the attorney general.” MCL 28.435(9) (emphasis added). Additionally, delineating the entity with the authority to enforce this section is clearly a mat
Plaintiffs also argue that the object of MCL 28.435 is not adequately reflected in its title. Again, we disagree. When the Legislature enacted 2000 PA 265, it amended 1927 PA 372, which, as amended by 1990 PA 320, was titled as follows:
An act to regulate and license the selling, purchasing, possessing, and carrying of certain firearms and gas ejecting devices; to prohibit the buying, selling, or carrying of certain firearms and gas ejecting devices without a license; to provide for the forfeiture of firearms possessed in violation of this act; to provide immunity from civil liability under certain circumstances; to prescribe the powers and duties of certain state and local agencies; and to repeal all acts and parts of acts inconsistent with the provisions of this act.
As amended, the title of 2000 PA 265 states:
An act to regulate and license the selling, purchasing, possessing, and carrying of certain firearms and gas ejecting devices; to prohibit the buying, selling, or carrying of certain firearms and gas ejecting devices without a license; to provide for the forfeiture of firearms possessed in violation of this act; to provide for penalties and remedies for violations of this act; to provide immunity from civil liability under certain circumstances; to prescribe the powers and duties of certain state and local agencies; and to repeal all acts and parts of acts inconsistent with the provisions of this act. [Emphasis added.]
Plaintiffs argue that the provisions concerning civil immunity in certain circumstances and the powers and duties of certain state and local agencies were
IV. CONCLUSION
Because we find that plaintiffs’ have not raised a sustainable challenge to the constitutionality of MCL 28.435, plaintiffs’ actions against defendants are barred and we need not address the trial court’s remaining rulings.
Reversed and remanded for entry of judgment in favor of defendants. We do not retain jurisdiction.
A “straw” purchase, according to plaintiffs, is one where a “[qualified] purchaser buys the gun from a licensed dealer for a person who is not qualified to purchase the firearm under federal and state regulations, such
A “multiple sale” occurs when a qualified buyer purchases several guns at once or over a short period from a licensed dealer with the intention of transferring the guns to people who are not qualified to make the purchases.
“Kitchen table” dealers are federally licensed dealers who do not sell from a retail establishment and then proceed to sell weapons without completing the necessary background checks or complying with reporting requirements.
Although defendants stated at the beginning of their motion that each count of plaintiffs’ complaints was legally infirm, the motion focused on the negligence and public nuisance claims. These counts were also the focus of oral argument, and the trial court’s opinion is limited to these issues.
On appeal, many of the defendants have filed joint pleadings and refer to themselves as “certain manufacturer defendants.” Defendant MKS Supply, Inc., has acted individually but has joined the arguments raised on appeal by “certain manufacturer defendants” and has offered some of its own arguments regarding the constitutionality of MCL 28.435. Defendant Alexander’s Sport Shop, Inc., although a dealer, also joins in the arguments of certain manufacturer defendants. Throughout this opinion, the term “defendants” refers to all these defendants, who have raised substantially the same arguments. The remaining defendants have not appealed the trial court’s decisions.
“ ‘Produce’ means to manufacture, construct, design, formulate, develop standards for, prepare, process, assemble, inspect, test, list, certify, give a warning or instructions regarding, market, sell, advertise, package, label, distribute, or transfer.” MCL 28.435(15)(e).
MCL 28.435(10) describes instances in which a political subdivision is permitted to sue a producer of firearms. Permissible actions include actions based on:
(a) A breach of contract, other contract issue, or an action based on a provision of the uniform commercial code ... in which the political subdivision is the purchaser and owner of the firearm or ammunition.
(b) Expressed or implied warranties arising from the purchase of a firearm or ammunition by the political subdivision or the use of a firearm or ammunition by an employee or agent of the political subdivision.
(c) A product liability, personal injury, or wrongful death action when an employee or agent or property of the political subdivision has been injured or damaged as a result of a defect in the design or manufacture of the firearm or ammunition purchased and owned by the political subdivision. [MCL 28.435(10) (a)-(c).]
Defendants do not contest plaintiffs’ standing to assert that the Legislature violated separation-of-powers principles. We also note that although Kent Co stated broadly that political subdivisions lack standing to assert constitutional challenges, it is clear from the discussion in Kent Co and the authority underlying its analysis, i.e., DeWitt, that the discussion in Kent Co was limited to a political subdivision’s standing to assert due process and equal protection challenges.
In this regard, we observe (as did the court in Hyundai, supra at 549 n 6) that because the Legislature is authorized to revise laws, if MCL 28.435 changed the law, plaintiffs’ separation-of-powers argument is not feasible, and if the statute merely clarified the law, plaintiffs never had a viable claim.
See n 6.
Reference
- Full Case Name
- MAYOR OF DETROIT v. ARMS TECHNOLOGY, INC WAYNE COUNTY EXECUTIVE v. ARMS TECHNOLOGY, INC
- Cited By
- 13 cases
- Status
- Published