David Eldridge v. The Rolling Green at Whip-Poor-Will Condominium Owners' Association , 168 N.H. 87 ( 2015 )


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    THE SUPREME COURT OF NEW HAMPSHIRE
    ___________________________
    Hillsborough-southern judicial district
    No. 2014-540
    DAVID ELDRIDGE
    v.
    THE ROLLING GREEN AT WHIP-POOR-WILL CONDOMINIUM OWNERS’
    ASSOCIATION
    Argued: April 22, 2015
    Opinion Issued: August 7, 2015
    Douglas, Leonard & Garvey, P.C., of Concord (Benjamin T. King on the
    brief and orally), for the plaintiff.
    Cronin, Bisson & Zalinsky, P.C., of Manchester (Mark E. Connelly and
    Daniel D. Muller, Jr. on the brief, and Mr. Muller orally), for the defendant.
    LYNN, J. The plaintiff, David Eldridge, appeals an order of the Superior
    Court (Temple, J.) granting summary judgment for the defendant, the Rolling
    Green at Whip-Poor-Will Condominium Owners’ Association (COA), on his
    complaint alleging housing discrimination based upon his disability. The
    defendant cross-appeals an order of the Superior Court (Nicolosi, J.) denying
    its motion to dismiss. We affirm.
    The following facts are supported by the record. The plaintiff is a
    resident and condominium owner at the Whip-Poor-Will Condominium
    Complex (condominium complex) in Hudson. The condominium complex is
    governed by two different entities: the COA and the Rolling Green at Whip-
    Poor-Will Townhouse Owners’ Association (TOA). Each association has
    separate and distinct legal obligations as set forth in the Condominium
    Declaration (Declaration).
    The plaintiff has several disabling impairments that impact his mobility.
    In 2006, he complained to Tracy Madden, a supervisor at the condominium’s
    property management company, regarding a twenty-two foot walkway in front
    of his unit. He claimed that the walkway was uneven and “sinking” and, due to
    his disability, was difficult to traverse. On July 15, 2009, Madden told the
    plaintiff that the walkway would be repaired. However, by letter dated
    September 23, 2009, Madden notified the plaintiff that “the Board of Directors
    [of the COA] will include your walkway on a list for scheduling repairs when the
    funds become available.” In response, on September 28, 2009, the plaintiff
    reiterated his complaint in a letter, writing, “I am permanently handicapped
    and need the walkway repaired so I do not break my neck or back again.”
    When the walkway had not been repaired as he requested, the plaintiff,
    on June 3, 2010, filed a charge of discrimination against the COA with the New
    Hampshire Human Rights Commission (HRC). Shortly thereafter, the COA
    repaired the plaintiff’s walkway. The HRC, which continued to investigate the
    matter despite the repair, determined that there was probable cause to support
    a finding of discrimination and notified the COA that it had scheduled a public
    hearing on the complaint for June 6, 2013. The COA subsequently removed
    the case to superior court and filed a motion to dismiss on numerous grounds.
    As relevant to this appeal, the COA argued that the plaintiff’s discrimination
    complaint should be dismissed because the HRC had not commenced
    proceedings within twenty-four months after the filing of the charge of
    discrimination, as required by RSA 354-A:21, IV (2009). The Superior Court
    (Nicolosi, J.) denied the COA’s motion to dismiss, concluding that the twenty-
    four month limit specified in the statute is not jurisdictional.
    On February 7, 2014, the COA filed a motion for summary judgment,
    asserting that: (1) the case was moot because the walkway had been repaired;
    (2) the COA was not an entity covered by the Human Rights Act; (3) the
    plaintiff’s claim was time-barred; (4) there was no dispute that the COA had
    accommodated the plaintiff; and (5) the COA had no legal obligation or
    authority to replace the walkway because it was located in a Townhouse
    Limited Common Area. On April 23, 2014, prior to the court’s ruling on the
    summary judgment motion, the plaintiff deposed Madden. The plaintiff did
    not, however, move to supplement his objection to the COA’s summary
    judgment motion based upon that deposition prior to the court’s ruling on the
    motion.
    2
    The Superior Court (Temple, J.) granted the COA’s motion for summary
    judgment on the ground that, under the plain language of the Declaration, the
    COA lacked authority over the plaintiff’s walkway and, as such, the plaintiff
    had pursued the wrong party in seeking an accommodation. The plaintiff filed
    a motion for reconsideration in which he asserted, for the first time, that
    because the COA had arranged for the walkway to be repaired, it thus had
    authority to repair the walkway. The plaintiff also sought to introduce
    Madden’s deposition transcript and related exhibits to demonstrate that the
    COA had arranged for the repair of the walkway. The court denied the
    plaintiff’s motion, reaffirming its determination that the plain language of the
    Declaration provided that the TOA, not the COA, had sole control over the
    walkway. It refused to consider both the plaintiff’s theory regarding the COA’s
    “assumed” authority over the walkway — because it was raised for the first
    time in the motion for reconsideration — and the “new evidence” in support
    thereof. This appeal and cross-appeal followed.
    On appeal, the plaintiff argues that the Superior Court (Temple, J.) erred
    by: (1) failing to consider the new evidence included in his motion for
    reconsideration because, in this case, such a decision was untenable or
    unreasonable to the prejudice of his case; (2) failing to consider his new
    evidence where such evidence mandated the denial of summary judgment; and
    (3) unreasonably limiting discovery by refusing to consider evidence obtained
    during the pretrial discovery period. The COA contests each of the plaintiff’s
    arguments and also argues, in the alternative, that we should affirm the court’s
    grant of summary judgment on the ground that the plaintiff’s complaint was
    not timely filed with the HRC under RSA 354-A:21, III (2009). In addition, in
    its cross-appeal, the COA contends that the Superior Court (Nicolosi, J.) erred
    in denying its motion to dismiss the complaint under RSA 354-A:21, IV. In his
    reply brief, the plaintiff asserts, among other things, that his complaint was
    timely under RSA 354-A:21, III because the continuing violation doctrine,
    which would extend the 180-day limitations period, applies to this case.
    Because we agree with the COA that the complaint was untimely under RSA
    354-A:21, III, we need not address the parties’ other arguments.
    “We review de novo the trial court’s application of the law to the facts in
    its summary judgment ruling.” EnergyNorth Natural Gas v. City of Concord,
    
    164 N.H. 14
    , 15 (2012) (quotation omitted). “We consider all of the evidence
    presented in the record, and all inferences properly drawn therefrom, in the
    light most favorable to the non-moving party.” 
    Id. at 15-16.
    “If our review of
    that evidence discloses no genuine issue of material fact and if the moving
    party is entitled to judgment as a matter of law, then we will affirm the grant of
    summary judgment.” 
    Id. at 16
    (quotation omitted).
    The COA argues that, although the court granted summary judgment on
    the ground that the plaintiff had sued the wrong party, we may affirm the
    court’s judgment upon the alternative ground that the plaintiff’s claim was
    3
    time-barred because he did not file his complaint within 180 days of the
    discriminatory act, as required by RSA 354-A:21, III. Consideration of this
    issue requires statutory interpretation. “We are the final arbiter of the intent of
    the legislature as expressed in the words of the statute considered as a whole.”
    Lamprey v. Britton Constr., 
    163 N.H. 252
    , 256 (2012). “We first examine the
    language of the statute, and, when possible, we ascribe the plain and ordinary
    meanings to the words used.” 
    Id. RSA chapter
    354-A, known as the “Law Against Discrimination,”
    establishes and governs the proceedings of the HRC. RSA ch. 354-A (2009 &
    Supp. 2014). This law, “deemed an exercise of the police power of the state for
    the protection of the public welfare, health and peace of the people of this
    state,” empowers the HRC “to eliminate and prevent discrimination” in the
    state. RSA 354-A:1. As relevant here, the HRC is charged with addressing
    discrimination “in housing accommodations because of . . . physical or mental
    disability.” 
    Id. RSA 354-A:21
    (2009) states, in pertinent part:
    I. (a) Any person claiming to be aggrieved by an unlawful
    discriminatory practice may make, sign and file with the
    commission a verified complaint in writing which shall state the
    name and address of the person, employer, labor organization,
    employment agency or public accommodation alleged to have
    committed the unlawful discriminatory practice complained of and
    which shall set forth the particulars thereof and contain such
    other information as may be required by the commission . . . .
    ....
    III. Any complaint filed pursuant to this section by an aggrieved
    person must be filed within 180 days after the alleged act of
    discrimination.
    The plain language of RSA 354-A:21, III requires that an aggrieved person file a
    discrimination complaint with the HRC within 180 days of the alleged
    discriminatory act, and neither party contends otherwise. The COA argues
    that the plaintiff failed to comply with this statutory requirement because more
    than 180 days passed between the “alleged act of discrimination” — the
    September 23, 2009 COA Board letter denying the plaintiff’s request to fix his
    walkway — and the plaintiff’s filing of the complaint with the HRC on June 3,
    2010. We agree.
    4
    The plaintiff’s complaint alleges that, about four years prior to April
    
    2010 , he requested that his walkway be repaired. He states that, “[i]n spite of
    [the COA’s] promises, two other walkways were repaired in the fall of 2009. I
    received a letter from Madden on September 23, 2009, that my walkway would
    not be included on the list of walkways to be repaired until funds became
    available.” When “it was apparent that the Association was not going to take
    action to repair the walkway,” he notified the HRC about the situation. The
    plaintiff’s walkway was repaired on June 22, 2010, a few weeks after he filed
    his complaint with the HRC.
    Viewing the record in the light most favorable to the plaintiff, we agree
    with the COA that the most liberal reading of his complaint asserts that the
    alleged act of discrimination occurred no later than September 23, 2009, the
    date of the letter denying his request to repair his walkway. Thus, 254 days
    passed between the alleged discriminatory act and the filing of the
    discrimination complaint on June 3, 2010, a time period that exceeds the 180-
    day limitations period established by RSA 354-A:21, III.
    The plaintiff seeks to avoid application of the limitations period by
    arguing that the COA’s conduct constitutes a continuing violation of RSA
    chapter 354-A. He argues that the COA’s “discriminatory failure to repair the
    walkway leading into [his] home impacted [him] throughout the 180-day period
    leading up to the filing of the Charge of Discrimination — during which time
    his walkway remained in disrepair.” Assuming without deciding that the
    continuing violation doctrine can apply to a complaint filed under RSA chapter
    354-A, we conclude that the doctrine does not apply to the plaintiff’s
    complaint.
    Generally, a plaintiff “cannot litigate claims based on conduct falling
    outside of th[e] limitations period.” Seery v. Biogen, Inc., 
    195 F. Supp. 2d 347
    ,
    351 (D. Mass. 2002) (quotation and brackets omitted). However, the
    continuing violation doctrine is a “narrow exception” to the 180-day statute of
    limitations. See Ayala v. Shinseki, 
    780 F.3d 52
    , 57 (1st Cir. 2015). “Under the
    ‘continuing violation’ doctrine a plaintiff may obtain recovery for discriminatory
    acts that otherwise would be time-barred so long as a related act fell within the
    limitations period.” 
    Id. (quotation omitted).
    “However, this doctrine does not
    apply to ‘discrete acts’ of alleged discrimination that occur on a ‘particular
    day.’” 
    Id. Instead, the
    doctrine “applies only to claims that cannot be said to
    occur on a particular day and that by their very nature require repeated
    conduct to establish an actionable claim.” 
    Id. In essence,
    then, the doctrine
    
    Although the HRC discrimination complaint indicates that the plaintiff signed the complaint on
    April 14, 2010, the trial court, in its order, stated that the complaint was filed with the HRC on
    June 3, 2010. Therefore, we use the June 2010 filing date when discussing the plaintiff’s statute
    of limitations argument. We note that, even were we to use the earlier April date, the plaintiff’s
    complaint would still be untimely pursuant to RSA 354-A:21, III.
    5
    “simply allows suit to be delayed until a series of wrongful acts blossoms into
    an injury on which suit can be brought.” 
    Id. (quotation and
    brackets omitted).
    “To state such a continuing violation, however, a complaint must indicate that
    not only the injury, but the discrimination, is in fact ongoing.” Brown v. Town
    of Allenstown, 
    648 F. Supp. 831
    , 835 (D.N.H. 1986) (quotation omitted); see
    also Singer Asset Finance Co. v. Wyner, 
    156 N.H. 468
    , 478 (2007) (stating that,
    under the “continuing wrong doctrine” exception to the statute of limitations in
    tort cases, “a claim based on a single tort ordinarily accrues when the tort is
    completed, and the continuing accrual of injury or damages does not extend
    the accrual date” (quotation and brackets omitted)).
    The plaintiff argues that every day during which the walkway remained
    in disrepair after the September 23, 2009 letter “had an impact on him” and,
    thus, the continuing violation doctrine applies. We disagree. The COA’s letter
    stating that it would not repair the walkway was a discrete act that occurred on
    a particular day. See 
    Ayala, 780 F.3d at 57
    (noting that “the denial of a
    reasonable accommodation” constitutes a discrete act for purposes of the
    continuing violation analysis). Here, the fact that the plaintiff continued to feel
    the ill effects of the unrepaired walkway did not convert this discrete alleged act
    of discrimination into a continuing violation. See National Advertising Co. v.
    City of Raleigh, 
    947 F.2d 1158
    , 1166 (4th Cir. 1991) (“A continuing violation is
    occasioned by continual unlawful acts, not continual ill effects from an original
    violation.” (quotation omitted)). Thus, we conclude that the COA’s failure to
    repair the walkway for each day after it sent the letter did not constitute
    further, and related, discriminatory acts for purposes of extending the
    limitations period.
    Accordingly, because the plaintiff’s complaint was untimely under RSA
    354-A:21, III, we affirm the trial court’s grant of summary judgment for the
    COA on this alternative ground. Cf. State v. Dion, 
    164 N.H. 544
    , 552 (2013).
    Affirmed.
    DALIANIS, C.J., and HICKS, CONBOY, and BASSETT, JJ., concurred.
    6
    

Document Info

Docket Number: 2014-0540

Citation Numbers: 168 N.H. 87

Filed Date: 8/7/2015

Precedential Status: Precedential

Modified Date: 1/12/2023