James W. Olinger and Larry C. Meyer v. Robert Smith, Walter Utman and Gaylord Pitt, Harrison County, Iowa and Utman Drainage District , 889 N.W.2d 476 ( 2015 )


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  •                      IN THE COURT OF APPEALS OF IOWA
    No. 14-0751
    Filed March 25, 2015
    JAMES W. OLINGER and LARRY
    C. MEYER,
    Plaintiffs-Appellants,
    vs.
    ROBERT SMITH, WALTER UTMAN
    and GAYLORD PITT, HARRISON
    COUNTY, IOWA and UTMAN
    DRAINAGE DISTRICT,
    Defendants-Appellees.
    ________________________________________________________________
    Appeal from the Iowa District Court for Harrison County, James M.
    Richardson, Judge.
    Appellants appeal the district court’s orders concerning claims that
    appellees violated Iowa’s Open Meetings Act.        VACATED IN PART AND
    REMANDED.
    Jessica A. Zupp of Zupp & Zupp Law Firm, P.C. and Allen K. Nepper of
    Nepper Law Firm, Denison, for appellants.
    Sasha L. Monthei of Sheldrup Blades, Cedar Rapids, for appellees.
    Heard by Vaitheswaran, P.J., and Tabor and Mullins, JJ.
    2
    MULLINS, J.
    James Olinger and Larry Meyer claim the Utman Drainage District
    Trustees violated Iowa’s Open Meetings Act (IOMA). Olinger and Meyer have
    appealed from a ruling by the district court claiming the court erred in ordering
    damages before ascertaining whether the Utman Drainage District’s Trustees’
    violation on November 7, 2013, was made knowingly, erred in suspending those
    damages, and erred in failing to award Olinger and Meyer attorney fees or costs.
    Olinger and Meyer further contend the district court erred in failing to find an
    IOMA violation on November 14, 2013, arguing Iowa Code section 21.5(1)(c)
    (2013) cannot be invoked unless counsel is present. We vacate in part and
    remand.
    I.     Background Facts and Proceedings
    Robert Smith, Walter Utman, and Gaylord Pitt comprised the Harrison
    County Board of Supervisors in November 2013. Acting in their capacity as
    trustees for the Utman Drainage District (trustees), they went into closed
    sessions on November 7 and November 14, 2013, allegedly to discuss matters
    relating to pending litigation. In pleadings, the trustees admitted counsel for the
    district was not present at either meeting.
    On November 25, 2013, James Olinger and Larry Meyer filed a petition
    alleging that both closed sessions were held in violation of IOMA. Olinger and
    Meyer filed a motion seeking an in camera inspection of the recording of the
    closed sessions.    The trustees answered by asserting litigation was in fact
    pending or imminent.     The court approved an order presented jointly by the
    3
    parties that stipulated to the district court’s in camera inspection of the recordings
    of the meetings for the purposes of “determin[ing] whether prejudice to the public
    will result from disclosure of any portion of the recordings or, in the alternative,
    whether the probative value of the recordings outweighs any prejudice to the
    public which might result from such disclosure.” See 
    Iowa Code § 21.5
    (4).
    After the inspection, the district court filed an order on March 4, 2014,
    which held Olinger and Meyer were entitled to access the November 7, 2013
    recording as it merely evidenced a discussion of whether to pay the costs of
    subpoenas from a previous lawsuit, the release of which would not prejudice the
    trustees in future proceedings.       The court found the November 14, 2013
    recording should not be released, however, as the trustees discussed litigation
    strategy involving imminent litigation, the release of which would prejudice the
    trustees. Upon finding the recording from the November 7, 2013 meeting must
    be disclosed, the court invoked Iowa Code section 21.6(3)(a) and ordered each
    participating trustee to pay a $100 fine.      The court, apparently sua sponte,
    supplemented its order on March 11, 2014, by suspending this fine and providing
    that “[i]n lieu of the fine” the trustees purchase an “Open Meetings, Open
    Records” handbook from the Iowa Freedom of Information Council for two
    dollars.
    On March 13, 2014, the trustees filed an Iowa Rule Civil Procedure
    1.904(2) motion to amend both orders as they were not afforded an opportunity
    to establish their compliance with IOMA or present defenses pursuant to section
    21.6(3)(a). On March 21, 2014, Olinger and Meyer also filed a rule 1.904(2)
    4
    motion asserting their in camera motion was limited to the question of prejudice
    and disclosure, not the assessment of penalties pursuant to IOMA, that the
    district court erred in not allowing the trustees to present section 21.6(3)(a)
    defenses, erred in finding only one IOMA violation, and erred in suspending the
    trustees’ fines. The trustees withdrew their motion on March 24, 2014.
    The court held a telephone hearing on Olinger and Meyer’s rule 1.904(2)
    motion to reconsider on April 11, 2014, at which time the motion was summarily
    overruled and denied. Olinger and Meyer appeal the court’s orders.
    II.    Damages, Fees and Costs and the November 7 Meeting
    Our review is for correction of errors at law. Iowa R. App. P. 6.907.
    Iowa Code section 21.3 requires meetings of governmental bodies to be
    held in open session unless closed sessions are expressly permitted by law.
    Section 21.5(1) provides, in part,
    A governmental body may hold a closed session only to the extent a
    closed session is necessary for any of the following reasons:
    ....
    c. To discuss strategy with counsel in matters that are
    presently in litigation or where litigation is imminent where its
    disclosure would be likely to prejudice or disadvantage the position
    of the governmental body in that litigation.
    Pursuant to section 21.6(2), the burden is on plaintiff to prove a
    governmental body went into closed session. Once the plaintiff so demonstrates,
    the burden shifts to the defendants to demonstrate compliance with chapter 21.
    See 
    Iowa Code § 21.6
    (2). If a court finds the defendants violated chapter 21, it
    [s]hall assess each member of the governmental body who
    participated in its violation damages in the amount of not more than
    five hundred dollars and not less than one hundred dollars.
    However, if a member of a governmental body knowingly
    5
    participated in such a violation, damages shall be in the amount of
    not more than two thousand five hundred dollars and not less than
    one thousand dollars.
    See 
    id.
     § 21.6(3)(a) (emphasis added).
    Pursuant to section 21.6(3)(a), a defendant member can avoid the
    imposition of these damages and defend against the IOMA violation claim by
    establishing the member:
    (1) Voted against the closed session.
    (2) Had good reason to believe and in good faith believed
    facts which, if true, would have indicated compliance with all the
    requirements of this chapter.
    (3) Reasonably relied upon a decision of a court, a formal
    opinion of the Iowa public information board, the attorney general,
    or the attorney for the governmental body, given in writing, or as
    memorialized in the minutes of the meeting at which a formal oral
    opinion was given, or an advisory opinion of the Iowa public
    information board, the attorney general, or the attorney for the
    governmental body, given in writing.
    If successful, a defendant member not only avoids personal sanctions, but
    also avoids personal responsibility for the costs and attorney fees pursuant to
    section 21.6(3)(b), which states the court:
    shall order the payment of all costs and reasonable attorney fees in
    the trial and appellate courts to any party successfully establishing
    a violation of this chapter. The costs and fees shall be paid by
    those members of the governmental body who are assessed
    damages under paragraph “a”. If no such members exist because
    they have a lawful defense under that paragraph to the imposition
    of such damages, the costs and fees shall be paid to the successful
    party from the budget of the offending governmental body or its
    parent.
    In its order approving the in camera inspection, the court stated its
    purpose for listening to such recordings was to determine “whether the Plaintiffs
    be given access to all or portions of the recordings for the purpose of reviewing,
    6
    copying and using them for trial preparation and trial.” The court order did not
    indicate—nor had the parties requested—that this determination would resolve
    the issue of whether an IOMA violation occurred, or the potential damages or
    relevant defenses. On March 4, 2014, the district court ordered each member of
    the Harrison County Board of Supervisors that participated in the November 7,
    2013 meeting to pay $100 “fine” for holding a closed session on that date.
    Both parties find errors in the district court’s order. With respect to the
    ruling on the November 7 meeting, Olinger and Meyer contend the court erred in
    imposing final damages before ascertaining whether the trustees knowingly
    participated in the violations as outlined in section 21.6(3)(a), erred in suspending
    those damages, and erred in failing to award them attorney fees and costs for the
    trustees’ IOMA violation according to section 21.6(3)(b).
    The trustees concede the district court erred in imposing damages before
    making a finding they violated IOMA1 and erred in failing to grant them an
    opportunity to be heard and present defenses pursuant to section 21.6(3)(a)(1)–
    (3).
    A.     Knowingly or unknowingly
    The district court’s March 4, 2014 order made no express finding that the
    trustees violated IOMA, but implicitly did so when it assessed damages pursuant
    to section 21.6(3)(a). The order also made no finding regarding whether the
    trustees knowingly violated IOMA at the November 7 meeting. The court’s order
    1
    A court determination under section 21.5(4) that minutes or recording of a closed
    meeting must be disclosed to a party seeking enforcement of IOMA is not a
    determination that a violation of IOMA has occurred. Compare 
    Iowa Code § 21.5
    (4) with
    § 21.6.
    7
    assessing damages was premature and constitutes error as it assessed
    damages without giving the plaintiffs an opportunity to present evidence
    necessary for the court to determine whether each member “knowingly
    participated in such a violation” pursuant to section 21.6(3)(a).
    B.     Damages
    Section 21.6(3)(a) states the district court “shall” assess damages upon a
    determination a violation has occurred, and provides damage amounts to be
    assessed.     Chapter 21 makes no provision for suspending or waiving an
    assessment. If the court finds a violation of IOMA has occurred, and the court
    finds that a member has not proved any of the defenses under section
    21.6(3)(a)(1), (2) or (3), an assessment of damages is mandatory and the district
    court is not permitted to suspend such assessment or reduce it below the
    statutory mandate. The district court erred when it suspended the “fine.”
    C.     Defenses
    The    court committed error when its March 4, 2014 order assessed
    damages without allowing the trustees the opportunity to present any defense
    per section 21.6(3)(a)(1), (2) or (3).2
    D.     Attorney Fees
    Section 21.6(3)(b) mandates the award of attorney fees to a party
    successfully establishing a violation of IOMA. The March 4, 2014 order fails to
    address attorney fees. On remand, if the court finds the trustees have proved a
    2
    Although the trustees did not cross-appeal, the plaintiffs specifically requested a
    remand “for a ‘knowingly’ hearing so both sides can present evidence on that issue” and
    requested a hearing to determine whether the trustees acted in good faith. The trustees
    also assert personal immunity pursuant to chapter 28H.
    8
    valid defense, the obligation to pay the plaintiffs’ attorney fees shifts to the
    governmental body or its parent pursuant to section 21.6(3)(b).
    With regard to the November 7, 2013 meeting, the district court order that
    requires the trustees to disclose the recording stands as entered; no party
    appealed from that portion of the ruling. The damages provision and any other
    ordered provisions concerning that meeting are vacated. We remand for further
    proceedings consistent with this ruling.
    III.   Presence of Counsel and the November 14 Meeting
    On appeal, Olinger and Meyer argue the court erred in finding only one
    violation of IOMA, and that it should have found a violation regarding the
    November 14, 2013. They argue that counsel must have been present to legally
    invoke the closed meeting exception found in section 21.5(1)(c), and that the
    trustees violated IOMA when they proceeded into closed session on November
    14, 2013, without an attorney present. They have framed the issue as seeking
    reversal of the district court’s finding that no violation occurred on November 14,
    and arguing they were not allowed to address the issues of damages and
    attorney fees. In their pleadings, the trustees admitted that an attorney was not
    present, but they argue on appeal that a closed meeting is permissible under
    section 21.5(1)(c) regardless of an attorney’s presence.
    In our discussion of the November 7 meeting, we noted the district court
    did not explicitly find the trustees violated IOMA, but that it implicitly made such a
    determination when it proceeded to award damages pursuant to section
    21.6(3)(a).   Similarly, the district court did not make any explicit finding the
    9
    trustees did not violate IOMA concerning the November 14 meeting. The only
    explicit finding the court made concerning the November 14 meeting was that the
    plaintiffs were not entitled to the recording of the meeting. But in examining the
    entire order and considering the court’s intended finality of the proceedings, it is
    clear the court implicitly determined no violation of IOMA occurred. The only
    reasonable interpretation of the court’s order of March 4, 2014, and its nunc pro
    tunc order of March 11, 2014, is that it had concluded the trustees had not
    violated IOMA as to the November 14, 2013 meeting.               Upon denial of the
    plaintiffs’ rule 1.904(2) motion, the court obviously considered the case
    concluded. Both parties have proceeded in this appeal on the assumption the
    court found no violation of IOMA concerning that meeting.            All parties have
    agreed the issue is preserved. Based on our view of the court’s final ruling on
    the issue and the manner in which the parties have briefed the case, we will
    address the issue as though the court explicitly found the trustees did not violate
    IOMA on November 14.
    Although Olinger and Meyer appealed all adverse rulings and orders, they
    did not brief or argue that the court erred when it denied their request to access
    the recording of the November 14 meeting.          Thus, that portion of the ruling
    stands. See State v. Short, 
    851 N.W.2d 474
    , 479 (Iowa 2014) (noting that an
    issue will be waived if the parties fail to advance it on appeal).
    The court’s determination that the recording need not be disclosed was a
    preliminary issue—limited by the plaintiffs’ motion for in camera inspection, by
    the stipulated order approved by the court, and by Iowa Code section 21.5(4)—
    10
    and should not have been considered dispositive of the entire case. The extent
    to which the court’s March 4 order was a determination that the trustees had not
    violated IOMA with regard to the November 14 meeting, such a ruling was
    premature and must be vacated, as that ultimate issue was not before the court
    at that time. The parties are entitled to develop the record necessary for the
    court to determine whether a violation of IOMA occurred; and, if so, to determine
    damages, consider defenses, and award attorney fees and costs as directed
    above in our discussion of the November 7 meeting.
    On remand we expect one of the fighting issues to be whether counsel
    must be present in order to satisfy section 21.5(1)(c). As the matter has been
    fully briefed on this appeal, “we will address that question now to provide
    guidance upon remand.” Downs v. Bd. of Trs. of Police Ret. Sys. of City of Sioux
    City, 
    312 N.W.2d 563
    , 567 (Iowa 1981).             Section 21.5(1)(c) allows a
    governmental body to hold a closed session “[t]o discuss strategy with counsel in
    matters that are presently in litigation or where litigation is imminent where its
    disclosure would be likely to prejudice or disadvantage the position of the
    governmental body in that litigation.” 
    Iowa Code § 21.5
    (1)(c).
    “In determining what the legislature intended . . . we are constrained to
    follow the express terms of the statute.” State v. Byers, 
    456 N.W.2d 917
    , 919
    (Iowa 1990). “When a statute is plain and its meaning clear, courts are not
    permitted to search for meaning beyond its express terms.” State v. Chang, 
    587 N.W.2d 459
    , 461 (Iowa 1998). If we find the statute is unambiguous, we may not
    utilize additional canons of statutory construction to further develop its meaning.
    11
    See State v. Messer, 
    822 N.W.2d 116
    , 119 (Iowa 2012). We do not find section
    21.5(1)(c)’s language to be ambiguous. Our supreme court has explained:
    We have consistently stated that the purpose of statutory
    interpretation is to determine legislative intent. See, e.g., In re
    Estate of Bockwoldt, 
    814 N.W.2d 215
    , 223 (Iowa 2012).
    “We give words their ordinary and common meaning
    by considering the context within which they are used,
    absent a statutory definition or an established
    meaning in the law. We also consider the legislative
    history of a statute, including prior enactments, when
    ascertaining legislative intent. When we interpret a
    statute, we assess the statute in its entirety, not just
    isolated words or phrases.”
    
    Id.
     (quoting Doe v. Iowa Dep’t of Human Servs., 
    786 N.W.2d 853
    ,
    858 (Iowa 2010)) (citations omitted).
    In ascertaining legislative intent, we consider “the statute’s
    subject matter, the object to be accomplished, the purpose to be
    served, underlying policies, remedies provided, and the
    consequences of the various interpretations.” State v. Dohlman,
    
    725 N.W.2d 428
    , 431 (Iowa 2006) (citation and internal quotation
    marks omitted). We also consider the legislative history of a statute
    when determining legislative intent. 
    Id.
     at 431–32.
    State v. Lindell, 
    828 N.W.2d 1
    , 5 (Iowa 2013) cert. denied, 
    134 S. Ct. 249
     (2013).
    The trustees contend that the placement of “or” in section 21.5(1)(c)—
    “presently in litigation or where litigation is imminent”—makes the presence of
    counsel optional. They assert for the session to be closed counsel needs to be
    present to discuss matters presently in litigation, but not to discuss imminent
    litigation.
    As the phrase “discuss strategy with counsel” is placed at the beginning of
    the sentence, we find it modifies both the “presently in litigation” and “where
    litigation is imminent” clauses. Both clauses are dependent, and thus, both made
    whole and constrained by the “to discuss strategy with counsel” clause
    introducing the exception. As explained below, legislative intent—derived from
    12
    related statutes and legislative history—supports our grammatical interpretation
    that “discuss strategy with counsel” applies to both clauses.
    The source of Iowa’s litigation exception can be traced to House File
    2074. See 1978 Iowa Acts, ch. 1037, § 6. The exception, along with other
    provisions of the Act, was introduced on January 19, 1978. See H. Journal, 67th
    G.A., 2nd Sess., at 143 (Iowa 1978). As introduced, the litigation exception was
    the same as the exception before the court today. Throughout its time in both
    the House and Senate, H.F. 2074 was drafted narrowly. See, e.g., H. Journal,
    67th G.A., 2nd Sess., at 197–98 (H-5114, amendment attempting to change
    “imminent” to “possible” lost).
    The bill passed the House and when it was received back from the Senate
    on April 5, 1978, it included an amendment to strike the words “with counsel”
    from the exception. See H. Journal, 67th G.A., 2nd Sess., at 1372 (H-5914,
    Senate amendment to House amended H.F. 2074, striking p. 4 line 1 words “with
    counsel”). Certainly, such an amendment would have permitted closed sessions
    to discuss litigation regardless of attorney presence.
    For our purposes, however, it is most significant that H-5914 was
    introduced and considered, but failed to pass. On April 27, 1978, the House
    heard a conference committee report from a joint House-Senate committee
    appointed to reconcile the differences between House and Senate versions of
    the H.F. 2074. See H. Journal, 67th G.A., 2nd Sess., at 1967. The committee
    recommended the Senate recede from its H-5914 amendment entirely; it further
    recommended a series of mutual amendments for which “with counsel” would
    13
    remain in the bill.   See H. Journal, 67th G.A., 2nd Sess., at 1968.         The
    conference committee report was adopted by the House. See H. Journal, 67th
    G.A., 2nd Sess., at 1970.     The bill passed the House with the committee’s
    recommended changes on April 27, 1998. See H. Journal, 67th G.A., 2nd Sess.,
    at 1970–971. On May 2, 1978, the Senate informed the House that it likewise
    adopted the committee report and passed H.F. 2074 with the committee’s
    amendments. See H. Journal 67th G.A., 2nd Sess., at 2106. Certainly, Iowa’s
    legislature intended closed sessions to be held “with counsel”.
    This is consistent with the way in which our sister states have interpreted
    similar provisions. See Page v. MiraCosta Cmty. Coll. Dist., 
    102 Cal. Rptr. 3d 902
    , 924, 927–28 (Cal. Ct. App. 2009) (stating the statute which allowed for
    closed sessions to “confer with, or receive advice from, its legal counsel” only
    applied to meetings between board and their own legal counsel, not to a meeting
    with opposing parties and their counsel); Tobacco Use Prevention & Control
    Found. Bd. of Trs. v. Boyce, 
    925 N.E.2d 641
    , 658–59 (Ohio Ct. App. 2009), aff’d,
    
    941 N.E.2d 745
     (Ohio 2010) (noting litigation exception which allowed for closed
    sessions to conduct “conferences with an attorney” did not apply when board’s
    attorney was not present at meeting and attorneys that were present were not
    acting in their capacity as attorneys for the board); see also Manning v. City of
    East Tawas, 
    593 N.W.2d 649
    , 653 (Mich. Ct. App. 1999) (holding litigation
    exception—providing for closed sessions so that a board may “consult with its
    attorney”—is invoked whenever the public body meets with an attorney,
    regardless of whether it is its own attorney), overruled on other grounds by
    14
    Speicher v. Columbia Twp. Bd. of Trs., ___ N.W.2d ___, ___, 
    2014 WL 7270359
    (Mich. 2014).
    Some states have interpreted the litigation exception so narrowly as to not
    apply in some situations even if counsel is present. See Brainerd Daily Dispatch
    v. Dehen, 
    693 N.W.2d 435
    , 437, 442 (Minn. Ct. App. 2005) (stating the attorney-
    client privilege exception is narrowly construed to require openness in situations
    in which an attorney is present giving legal advice but discussing other city
    business); Edinger v. Governing Auth. of Stutsman Cnty. Corr. Ctr. & Law
    Enforcement Ctr., 
    695 N.W.2d 447
    , 450, 451 (N.D. 2005) (stating “mere
    presence or participation of an attorney” at a meeting is not enough to invoke a
    litigation   exception   which    provides       for   closed   sessions   for   “attorney
    consultation”).3
    Further evidence of our legislature’s intent that we should interpret IOMA
    “in favor of openness” is found in Iowa Code section 21.1: “Ambiguity in the
    construction or application of this chapter should be resolved in favor of
    openness.” See also Hall v. Broadlawns Med. Ctr., 
    811 N.W.2d 478
    , 485, 487
    (noting the “presumption in favor of disclosure under [Iowa’s] freedom of
    information statutes” and declining to “create through interpretation” of section
    3
    Some states have litigation exceptions that do not include “with counsel.” See State v.
    Yzaguirre, 
    163 P.3d 1183
    , 1189 (Idaho 2007) (discussing the attorney presence
    requirement of Idaho’s then-litigation exception—providing for closed sessions to
    “consider and advise its legal representatives in pending litigation”—but declining to rule
    on it; notably, Idaho has amended its litigation exception to state that “the mere
    presence of legal counsel at an executive session does not satisfy this requirement”);
    Mayer & Aldermen of Vicksburg v. Vicksburg Printing & Pub. Co., 
    434 So. 2d 1333
    ,
    1338–339 (Miss. 1983) (holding that the plain meaning of Mississippi’s litigation
    exception—permitting closed sessions for “[s]trategy sessions or negotiations with
    respect to prospective litigation”—does not require attorney presence).
    15
    21.5(1) a “virtually limitless exception to our public records law” as “the specific
    exemptions contained in freedom of information statutes are to be construed
    narrowly”).
    Giving the words of section 21.5(1)(c) their ordinary and common meaning
    in the context of the statute, and upon consideration of the legislative intent
    derived from our review of legislative history and the express terms of section
    21.1, together with our consideration of case law from other jurisdictions, we
    conclude that a closed session under Iowa Code section 21.5(1)(c) requires the
    presence4 of counsel at the meeting in order to satisfy the requirement “to
    discuss strategy with counsel.”
    That portion of the March 4 order denying the plaintiffs’ request to access
    the recording of the November 14 meeting stands as entered. To the extent the
    order is interpreted as a determination IOMA was not violated when the trustees
    went into closed session on November 14, such determination is vacated. We
    remand to permit the parties to develop the record and obtain a determination as
    to whether there was an IOMA violation on November 14, 2013, and if so, for
    other proceedings consistent with this opinion.
    4
    On the record before us we offer no opinion as to the breadth and scope of the term
    “presence.”
    16
    IV.    Conclusion
    The decision of the district court requiring disclosure of the recording from
    the November 7, 2013 meeting stands as entered. All other ordered provisions
    relating to that meeting are vacated and the parties shall have an opportunity to
    develop a record as set forth above.      The order of the court with regard to
    disclosure of the recording from the November 14, 2013 meeting stands as
    entered. To the extent the order is interpreted as a determination IOMA was not
    violated when the trustees went into closed session on November 14, such
    determination is vacated.       This case is remanded for further proceedings
    consistent with this opinion.
    VACATED IN PART AND REMANDED.