Carrillo v. My Way Holdings, LLC ( 2016 )


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  •  1       IN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO
    2 Opinion Number: ________________
    3 Filing Date:        November 28, 2016
    4 NO. 34,429
    5 ARNOLDO CARRILLO and SANTA FE
    6 HORSE RACING BY CARRILLO’S, LLC,
    7 a domestic limited liability company,
    8        Plaintiffs-Appellants,
    9 v.
    10   MY WAY HOLDINGS, LLC, a foreign
    11   limited liability company d/b/a
    12   SUNLAND PARK RACETRACK
    13   AND CASINO; SUNRAY GAMING OF
    14   NEW MEXICO, LLC, a domestic
    15   limited liability company; ZIA PARK,
    16   LLC, a foreign limited liability company;
    17   RUIDOSO DOWNS RACING, INC., a
    18   domestic corporation; RICK BAUGH;
    19   LONNIE S. BARBER, JR.; SHAUN
    20   HUBBARD,
    21        Defendants-Appellees,
    22 and
    1   VINCE MARES in his official capacity as
    2   DIRECTOR OF THE NEW MEXICO
    3   RACING COMMISSION, SUNLAND PARK
    4   BOARD OF STEWARDS, ZIA PARK BOARD
    5   OF STEWARDS, SUNRAY PARK BOARD
    6   OF STEWARDS, RUIDOSO DOWNS
    7   BOARD OF STEWARDS,
    8        Defendants.
    9 APPEAL FROM THE DISTRICT COURT OF SANTA FE COUNTY
    10 T. Glenn Ellington, District Judge
    11 Graeser & McQueen, LLC
    12 Christopher L. Graeser
    13 Santa Fe, NM
    14 for Appellant
    15   Keleher & McLeod, P.A.
    16   Deron B. Knoner
    17   Nathan S. Stimson
    18   Thomas C. Bird
    19   Albuquerque, NM
    20 for Appellees My Way Holdings, LLC and Rick Baugh
    21 Civerolo, Gralow, Hill & Curtis
    22 Megan Day Hill
    23 Albuquerque, NM
    24 for Appellees SunRay Gaming of New Mexico, LLC and Lonnie S. Barber, Jr.
    2
    1   Conklin, Woodcock & Ziegler, P.C.
    2   John K. Ziegler
    3   Traci N. Olivas
    4   Albuquerque, NM
    5 for Appellees Ruidoso Downs Racing, Inc. and Shaun Hubbard
    6 Billy R. Blackburn
    7 Paul Linnenburger
    8 Albuquerque, NM
    9 for Appellees Zia Park, LLC and Rick Baugh
    1                                        OPINION
    2 KENNEDY, Judge.
    3   {1}   Arnoldo Carrillo is a racehorse owner and trainer who, along with his business
    4 Santa Fe Horse Racing by Carrillo’s, LLC (collectively Carrillo), are licensed with
    5 the New Mexico Racing Commission (the Commission). Between September 2012
    6 and April 2013 one of Carrillo’s horses died as a result of racing activities and three
    7 others suffered race-related injuries—one so severe that it had to be euthanized. As
    8 a result, four of the five privately owned, licensed racetracks in New Mexico
    9 excluded Carrillo from entering their tracks and the races held at their tracks. Carrillo
    10 filed suit against the racetracks, the managers of the racetracks, the Board of Stewards
    11 for each racetrack, and the Commission, alleging his rights as a licensee were violated
    12 by his exclusion. The racetracks filed motions for summary judgment, asserting that
    13 they had a common law right to exclude both patrons and licensees alike from their
    14 property. Carrillo did not dispute the facts set forth in the racetracks’ motions.
    15 Instead, he argued that the racetracks possessed an unfettered right to exclude patrons
    16 but not licensees. On appeal, the parties make much the same argument.
    17   {2}   We conclude that racetracks in New Mexico possess a common law right to
    18 exclude any person—patron or licensee—for any reason other than those specified
    19 in the New Mexico Human Rights Act. Though we do not decide here whether these
    20 racetracks hold a monopoly over racing in New Mexico, we do hold that where the
    1 facts of the case suggest that there may be a monopoly control over the racing
    2 business, a racetrack seeking to exercise its common law right must make a showing
    3 that it has a legitimate justification for doing so; exclusion or ejection may not be
    4 done arbitrarily or without explanation. We conclude that the district court properly
    5 applied this common law right in this case and affirm its order granting summary
    6 judgment as to the racetracks.
    7 I.      BACKGROUND
    8   {3}   The facts of this case are not in dispute. Carrillo is licensed with the New
    9 Mexico Racing Commission to train and race horses. On September 9, 2012, two
    10 horses—both of which belonged to Carrillo—were injured while racing at Zia Park1
    11 and had to be removed by ambulance. Carrillo’s horses were the only two horses
    12 injured at Zia Park on that date. On October 29, 2012, another of Carrillo’s horses
    13 suffered an injury at Zia Park and had to be euthanized. That same day, Zia Park
    14 informed Carrillo that he was excluded from the premises and that he was no longer
    15 welcome to race there; Carrillo was escorted from the premises.
    1
    17         Zia Park is owned by Appellee Zia Park, LLC. Rick Baugh was the assistant
    18 general manager at Zia Park when Carrillo was excluded.
    2
    1   {4}   On April 12, 2013, Carrillo’s horse died immediately after winning a race at
    2 Sunland Park.2 The next day, on April 13, 2013, Sunland Park informed Carrillo in
    3 writing that, because of the death of his horse at Sunland Park as well as his “record
    4 at New Mexico tracks,” he was excluded from the property and any races held there.
    5 He was also informed that the horse’s death was under investigation.3 Likewise, on
    6 April 17, 2013, SunRay Park4 informed Carrillo that, due to his horse’s death at
    7 Sunland Park and the accompanying investigation, he was being denied entry to the
    8 property and any race held there. As a result, Carrillo’s horses that were entered for
    9 subsequent races on April 19 and April 21 were scratched.
    10   {5}   Carrillo attempted to enter a horse at the Ruidoso Downs5 on July 6, 2013.
    11 Upon speaking to management, however, Carrillo was told that he was being
    12 excluded from the track. On July 12, 2013, Carrillo received a letter stating that
    2
    13         Sunland Park Racetrack & Casino (Sunland Park) is owned by My Way
    14 Holdings, LLC. Rick Baugh was the general manager at Sunland Park when Carrillo
    15 was excluded.
    3
    16          According to the results of that investigation, the horse died of a pulmonary
    17 hemorrhage. Although Zia alleged that Carrillo’s horses had been treated with drugs
    18 used to mask injury, no evidence of those drugs exists in the record before the district
    19 court.
    4
    20         SunRay Park & Casino (SunRay Park) is owned by SunRay Gaming of New
    21 Mexico, Inc. Lonnie S. Barber, Jr. was the director of racing operations at SunRay
    22 Park when Carrillo was excluded.
    5
    23             Ruidoso Downs Race Track is owned by Ruidoso Downs Racing, Inc.
    3
    1 because of the number of “incidents” and his “record at New Mexico tracks,” Carrillo
    2 was being denied entry to the Ruidoso Downs property as well as entry into any live
    3 racing at that facility.
    4   {6}   On August 5, 2013, Carrillo filed a complaint against Zia, Sunland, SunRay,
    5 and Ruidoso in the district court.6 Carrillo’s complaint brought claims for injunctive
    6 relief, declaratory judgment, interference with prospective contractual relations, prima
    7 facie tort, and negligence. Sunland, SunRay, Ruidoso, and Zia (collectively, the
    8 racetracks) filed motions for summary judgment. Carrillo filed a response to each,
    9 asserting that the reasons given for his exclusion were inadequate, that the common
    10 law right to exclude gives racetracks unfettered discretion only to exclude patrons
    11 who are not in possession of a license from the Commission, and that the regulation
    12 governing exclusion also reflects a difference between the right to exclude patrons
    13 and the right to exclude licensees.
    14   {7}   The district court held a hearing on the motions, during which Carrillo
    15 conceded that the district court would likely grant the summary judgment motions,
    16 “on the grounds that, as a matter of law, the associations retain the common law right
    17 to exclude licensees.” In its order, the district court found that no genuine issues of
    6
    18          Carrillo also brought claims against the Board of Stewards for each of these
    19 racetracks, as well as against the Commission. Those claims were not subject to
    20 summary judgment and are not part of this appeal.
    4
    1 material fact existed in the case. It reasoned that under the common law, a racetrack
    2 owner has a right to exclude any person for any lawful reason, and that right has been
    3 “affirmed by regulation at 15.2.2.8(V) NMAC and codified by statute at NMSA 1978,
    4 Section 60-1A-28.1 (2014).” As a result, the district court granted the summary
    5 judgment motions and dismissed Carrillo’s claims.7 Carrillo timely appealed.
    6 II.     DISCUSSION
    7   {8}   On appeal, Carrillo argues that Section 60-1A-28.1 controls the outcome of this
    8 case. Carrillo suggests that Section 60-1A-28.1 represents a modification to the
    9 common law rule that racetracks can exclude anyone, and instead creates a distinct
    10 set of requirements for a racetrack to satisfy in order to exclude licensees8 from their
    11 premises. Alternatively, Carrillo argues that the common law right to exclude does
    12 not support the district court’s decision to grant summary judgment. Finally, Carrillo
    13 argues that 15.2.2.8(V) NMAC is not relevant to the outcome of this appeal because
    14 it is derivative in nature and merely reflects the common law or Section 60-1A-28.1.
    7
    15          Notably, Carrillo does not make any assertion of error in the district court’s
    16   decision to move forward on the summary judgment motion prior to the completion
    17   of discovery. The rule that a court generally should not grant summary judgment
    18   before discovery is complete is not absolute. See Sun Country Sav. Bank of N.M.,
    19   F.S.B. v. McDowell, 
    1989-NMSC-043
    , ¶ 27, 
    108 N.M. 528
    , 
    775 P.2d 730
    .
    8
    20         The term “licensees” as used throughout this opinion refers to occupational
    21 licensees, namely trainers, owners, jockeys, etc., who hold a license from the
    22 Commission to engage in racing or a regulated activity, but excludes the racetrack
    23 owners themselves.
    5
    1 Underlying Carrillo’s argument is the suggestion that Zia, Sunland, SunRay, and
    2 Ruidoso did not afford him the due process considerations that he was entitled to
    3 before his exclusion from their tracks. Carrillo does not, however, explain why the
    4 privately owned racetracks involved in this case were obligated to comply with due
    5 process, other than suggesting that these racetracks are part of a quasi-monopoly.
    6 A.      Section 60-1A-28.1 Does Not Apply to This Case
    7   {9}   Section 60-1A-28.1 was made effective March 3, 2014. See id.; 
    2014 N.M. 8
     Laws, ch. 6, § 1. Carrillo had filed his complaint in district court on August 5, 2013.
    9 The racetracks point out that Section 60-1A-28.1 cannot be applied in this case
    10 because it was enacted after Carrillo had already been excluded from the racetracks
    11 in question and had filed his complaint. Carrillo argues that because his exclusion
    12 from the racetracks in question is ongoing, Section 60-1A-28.1 is dispositive if the
    13 racetracks “do not have a current right to exclude” under the statute. Carrillo does not,
    14 however, cite any authority to support this assertion. See In re Adoption of Doe, 1984-
    15 NMSC-024, ¶ 2, 
    100 N.M. 764
    , 
    676 P.2d 1329
     (“Issues raised in appellate briefs
    16 which are unsupported by cited authority will not be reviewed by us on appeal.”).
    17 Carrillo also does not explain how or why we might apply Section 60-1A-28.1
    18 retroactively. We agree with the racetracks and conclude that Section 60-1A-28.1 is
    19 not available for the disposition of the case before us.
    6
    1   {10}   With regard to retroactivity, Article IV, Section 34 of the New Mexico
    2 Constitution provides that “[n]o act of the [L]egislature shall affect the right or
    3 remedy of either party, or change the rules of evidence or procedure, in any pending
    4 case.” We review de novo the applicability of this section of the Constitution. See
    5 Hyden v. N.M. Human Servs. Dep’t, 
    2000-NMCA-002
    , ¶ 12, 
    128 N.M. 423
    , 
    993 P.2d 6
     740. A case is considered “pending” under Article IV, Section 34 once it is filed, or
    7 where the district court retains jurisdiction, and the case is no longer pending once
    8 a final decision is entered and the court no longer has jurisdiction. See Starko, Inc. v.
    9 Cimarron Health Plan, Inc., 
    2005-NMCA-040
    , ¶ 9, 
    137 N.M. 310
    , 
    110 P.3d 526
    . It
    10 is therefore clear that, for purposes of Article IV, Section 34, this was a “pending
    11 case” when Section 60-1A-28.1 was enacted.
    12   {11}   Article IV, Section 34 goes hand in hand with the rule that “statutes are
    13 presumed to operate prospectively only and will not be given a retroactive effect
    14 unless such intention on the part of the Legislature is clearly apparent.” Bradbury &
    15 Stamm Constr. Co. v. Bureau of Revenue, 
    1962-NMSC-078
    , ¶ 40, 
    70 N.M. 226
    , 372
    
    16 P.2d 808
    ; See Albuquerque Rape Crisis Ctr. v. Blackmer, 
    2005-NMSC-032
    , ¶ 20, 138
    
    17 N.M. 398
    , 
    120 P.3d 820
     (explaining that a “plain reading” of Article IV, Section 34
    18 prohibits the retroactive application of statutes). Generally, there exists a presumption
    19 against retrospective legislation: “individuals, in planning and conducting their
    7
    1 business, should be able to rely with reasonable certainty on existing laws.” City of
    2 Albuquerque v. State ex rel. Vill. of Los Ranchos de Albuquerque, 
    1991-NMCA-015
    ,
    3 ¶ 37, 
    111 N.M. 608
    , 
    808 P.2d 58
    . Where a statute “affects vested or substantive
    4 rights,” or where retroactive application of a new law “would diminish rights or
    5 increase liabilities that have already accrued,” prospective application may be
    6 required by the Constitution. Gallegos v. Pueblo of Tesuque, 
    2002-NMSC-012
    , ¶ 33,
    7 
    132 N.M. 207
    , 
    46 P.3d 668
     (internal quotation marks and citation omitted).
    8   {12}   Carrillo’s assertions regarding the applicability of Section 60-1A-28.1 hinge
    9 on his argument that the legality of the racetracks’ ongoing exclusion of him depends
    10 on our interpretation of the statute. However, nothing in the language of the Horse
    11 Racing Act indicates a legislative intent that Section 60-1A-28.1 should apply
    12 retroactively. This case is solely concerned with whether the October 29, 2012, April
    13 13, 2013, April 19, 2013, and July 12, 2013, exclusions of Carrillo from Zia, Sunland,
    14 SunRay, and Ruidoso, respectively, were unlawful at that time, and not the validity
    15 of any future exclusions that the racetracks may or may not desire to enforce. As
    16 discussed more thoroughly below, to adopt Carrillo’s interpretation of Section 60-1A-
    17 28.1 and apply it to this case on appeal would be to potentially render unlawful the
    18 racetracks’ actions that were permissible under the common law at the time they were
    19 taken. Nothing in the plain language of the statute suggests the Legislature intended
    8
    1 such a result. Applying the presumption against retroactive application of statutes, we
    2 conclude that Section 60-1A-28.1 does not apply to this case. We also must not
    3 interpret Section 60-1A-28.1 as to future exclusions, as doing so would be improperly
    4 advisory. See Sena Sch. Bus Co. v. Bd. of Educ. of Santa Fe Pub. Sch., 1984-NMCA-
    5 014, ¶ 16, 
    101 N.M. 26
    , 
    677 P.2d 639
     (stating the rule that this Court does not issue
    6 advisory opinions). The district court inexplicably listed Section 60-1A-28.1 as only
    7 one of its reasons for granting the summary judgment motions; we must look to the
    8 other reasons that the district court enumerated in deciding whether the racetracks are
    9 entitled to summary judgment.
    10 B.       Common Law Right to Exclude
    11   {13}   Under Carrillo’s interpretation of the common law, a racetrack has a much
    12 broader discretion in excluding patrons or ticket holders than it does in excluding
    13 trainers, owners, or jockeys—those holding occupational licenses granted by the
    14 Commission. He suggests that this distinction arises from a licensee’s right to due
    15 process of law where he is lawfully denied an opportunity to engage in his chosen
    16 profession. As such, Carrillo insists that because licensees are heavily regulated by
    17 the Commission, they have a right to admission to the racetrack and a racetrack’s
    18 right to exclude licensees is narrower than its right to exclude patrons.
    9
    1   {14}   The United States Supreme Court recognized a private racetrack’s right to
    2 exclude in Marrone v. Washington Jockey Club, 
    227 U.S. 633
    , 636 (1913). Since
    3 then, many courts have continued to recognize a racetrack owner’s common law right
    4 to exclude patrons. See, e.g., Nation v. Apache Greyhound Park, Inc., 
    579 P.2d 580
    ,
    5 582 (Ariz. Ct. App. 1978) (concluding that a racetrack may exclude a patron where
    6 no statute changed the common law right to do so). Some courts have also affirmed
    7 a racetrack owner’s common law exclusion of licensees, such as owners, trainers, and
    8 jockeys. See Calder Race Course, Inc. v. Gaitan, 
    393 So. 2d 15
    , 16 (Fla. Dist. Ct.
    
    9 App. 1980
    ) (affirming a racetrack’s exclusion of a trainer, citing the common law
    10 right to exclude, and stating that private racing establishments “continue to have the
    11 right to choose those persons with whom they wish to do business”); Greenfeld v. Md.
    12 Jockey Club, 
    57 A.2d 335
    , 337-38 (Md. 1948) (affirming existence of common law
    13 right to exclude patrons, despite heavy regulation of racing through statute, so long
    14 as exclusion is not founded on race, creed, color, or national origin); Catrone v. State
    15 Racing Comm’n, 
    459 N.E.2d 474
    , 477 (Mass. App. Ct. 1984) (interpreting common
    16 law so that “a licensee racetrack at least may exclude licensed persons from
    17 participation in racing activity in the exercise of a reasonable business judgment”);
    18 Marzocca v. Ferone, 
    461 A.2d 1133
    , 1137 (N.J. 1983) (holding that a racetrack’s
    19 common law right to exclude licensees exists “where the relationship is between the
    10
    1 track management and persons who wish to perform their vocational activities on the
    2 track premises” (alteration, internal quotation marks, and citation omitted)); Arone
    3 v. Sullivan Cty. Harness Racing Ass’n, 
    457 N.Y.S.2d 958
    , 959 (N.Y. App. Div. 1982)
    4 (stating that ractrack operators’ “long-recognized prerogative” of exclusion allowed
    5 a racetrack to exclude licensed trainers, drivers, and owners); Bresnik v. Beulah Park
    6 Ltd. P’ship, 
    617 N.E.2d 1096
    , 1097-98 (Ohio 1993) (affirming a racetrack’s right to
    7 exclude “jockey agents” and characterizing the right to exclude as a long-standing
    8 “fundamental tenent of real property”). Carrillo conceded that this common law right
    9 exists during the summary judgment hearing in district court.
    10   {15}   Looking to a rule that has been stated, accepted, and followed in other
    11 jurisdictions, we conclude that a privately owned racetrack possesses a common law
    12 right to exclude individuals—both patrons and licensees alike. Of the courts and
    13 jurisdictions that have recognized a racetrack’s common law right to exclude, some
    14 have limited that right based on the monopolistic nature of horse racing or on
    15 regulatory departures from the common law. We address each of these limitations in
    16 turn.
    17 1.       Limitations on Common Law Right—De Facto Monopoly
    18   {16}   Carrillo suggests that because each racetrack is required to hold a race only on
    19 dates pre-approved by the Commission and those dates are staggered throughout the
    11
    1 year to allow for year-round racing in the state, the five racetracks in New Mexico
    2 have a monopoly over the racing industry in New Mexico. According to Carrillo,
    3 allowing racetracks to eject or exclude licensees within this monopolistic setting
    4 significantly impacts his ability to earn a living pursuing his occupation. Carrillo
    5 points to Jacobson v. New York Racing Ass’n, 
    305 N.E.2d 765
     (N.Y. 1973) and Cox
    6 v. National Jockey Club, 
    323 N.E.2d 104
     (Ill. App. Ct. 1974), as support for his
    7 assertion that the racetracks in this case have a monopoly and therefore possess a
    8 limited common law right to exclude licensees.
    9   {17}   In Jacobson, the New York appellate court sought to determine whether the
    10 New York Racing Association (NYRA) could deny a licensee stall space under the
    11 common law rule allowing exclusion, thereby functionally barring the licensee from
    12 racing in the state. 305 N.E.2d at 766. The appellate court concluded that, as NYRA
    13 owned all but one of the racetracks in the state at the time, it had a “virtual
    14 monopoly.” Id. at 768. In light of NYRA’s monopoly position, the Jacobson court
    15 pointed out that exclusion from NYRA’s track was “tantamount to barring the
    16 [licensee] from virtually the only places in the [s]tate where he may ply his trade.” Id.
    17 The court also pointed out that allowing NYRA’s exclusion would result in the
    18 practical effect of infringing on the state’s power to license horsemen. Id. The court
    19 likened Jacobson to cases in which a licensed physician is excluded from receiving
    12
    1 staff privileges or inclusion in medical societies, reasoning that “the arbitrary action
    2 of a private association is not immune from judicial scrutiny . . . where there is a
    3 showing of ‘economic necessity’ for membership and ‘monopoly power’ over the
    4 profession.” Id. As a result, the Jacobson court concluded that in order to show that
    5 his exclusion, as a licensee, was unacceptable, the plaintiff had a heavy burden in
    6 having to “prove that the denial of stall space was not a reasonable discretionary
    7 business judgment, but was actuated by motives other than those relating to the best
    8 interests of racing generally.” Id.
    9   {18}   The Illinois appellate court reached a similar decision in Cox, holding that a
    10 private corporation, licensed by the state to conduct horse racing on private property,
    11 could not “arbitrarily deny a licensed jockey permission to participate in its racing
    12 meet.” 
    323 N.E.2d at 107
    . The Cox court looked to the Illinois Horse Racing Act and
    13 determined that the legislature had intended to limit the competition between horse
    14 racing tracks by granting tracks a “quasi-monopoly” during certain specifically
    15 allotted racing dates. 
    Id. at 108
    . The racetrack in that case was deemed to have a
    16 quasi-monopoly during its pre-allotted racing dates. 
    Id.
     Thus, the Cox court held,
    17 “with the benefit of receiving a quasi-monopoly comes corresponding obligations one
    18 of which is not to arbitrarily exclude a jockey who desires to participate in a racing
    19 meet.” 
    Id.
     It qualified its holding, however, by noting that the racetrack in that case
    13
    1 excluded the licensee without giving any reason or justification for doing so, and
    2 explaining that “[i]f a legitimate and reasonable justification for exclusion is
    3 articulated the licensee conducting the horse racing meet would certainly be within
    4 the boundaries of acceptable behavior.” 
    Id. at 109
    .
    5   {19}   The cases limiting the common law based on the existence of a monopoly do
    6 so by disallowing arbitrary exclusions of licensees. Both Jacobson and Cox require
    7 some showing that a monopoly exists, as well as a showing that the exclusion is
    8 arbitrary rather than a decision based on “a legitimate and reasonable justification.”
    9 Cox, 
    323 N.E.2d at 108-09
    ; Jacobson, 305 N.E.2d at 768. Thus, we recognize that the
    10 common law right to exclude is limited when a racetrack has a monopoly, virtual
    11 monopoly, or quasi-monopoly. In that instance, the racetrack may eject or exclude a
    12 licensee only in the exercise of a reasonable business judgment or with legitimate
    13 justification.
    14   {20}   We note here that, although Carrillo suggests we analyze this case as though
    15 the racetracks hold a monopoly over the racing industry in this State, he does not
    16 provide enough facts for us to decide that issue and provides us with virtually no
    17 analysis of the issue. He does not cite to any statutes or regulations requiring only one
    18 race occur at any given time. In re Adoption of Doe, 
    1984-NMSC-024
    , ¶ 2, 
    100 N.M. 19
     764, 
    676 P.2d 1329
     (1984). He does not provide any evidence that the racetracks are
    14
    1 working together to create a monopoly. He makes no showing of economic necessity
    2 and provides no standards, rules, factors, or guidelines for this Court to implement
    3 in considering whether the racetracks possess a monopoly. Because of the inadequacy
    4 of Carrillo’s argument on this issue, we decline Carrillo’s invitation to characterize
    5 the racetracks in this case as a monopoly over the racing industry. This Court has no
    6 duty to review an argument that is not adequately developed. Corona v. Corona,
    7 
    2014-NMCA-071
    , ¶ 28, 
    329 P.3d 701
    .
    8   {21}   Even if we were to conclude that the racetracks in this case held some sort of
    9 monopoly power over the racing industry in this State, Carrillo’s argument that we
    10 must limit the racetracks’ power to exclude still fails because he has not proven their
    11 actions were arbitrary, as we discuss further below. Having established the bounds
    12 of a racetrack’s common law right to exclude or eject in New Mexico as well as the
    13 limitation on that right when a monopoly exists, we next determine whether the
    14 Commission has altered or amended the common law right to exclude through its
    15 promulgated regulations.
    16 2.       Limitations on Common Law Right—Regulations and Statutes
    17   {22}   Some jurisdictions have limited a private racetrack’s common law right to
    18 exclude licensees because their legislature has explicitly expanded the protections
    19 afforded to licensees through rule or statute. See, e.g., Fox v. La. State Racing
    15
    1 Comm’n, 
    433 So. 2d 1123
    , 1126 (La. Ct. App. 1983) (holding that Louisiana statutory
    2 scheme prevents racetrack from unilaterally excluding a licensee of the state racing
    3 commission); Burrillville Racing Ass’n v. Garabedian, 
    318 A.2d 469
    , 471-72 (R.I.
    4 1974) (holding that statute changed the common law to require a determination as to
    5 whether the person ejected was undesirable); PNGI Charles Town Gaming, LLC v.
    6 Reynolds, 
    727 S.E.2d 799
    , 806-07 (W. Va. 2011) (acknowledging that the legislature
    7 limited the common law right to exclude to licensees). Generally in New Mexico, a
    8 common law rule remains effective until the Legislature explicitly alters it through
    9 a rule or statute:
    10        It is not to be presumed that the [L]egislature intended to abrogate or
    11        modify a rule of the common law by the enactment of a statute upon the
    12        same subject; it is rather to be presumed that no change in the common
    13        law was intended, unless the language employed clearly indicates such
    14        an intention. . . . [S]tatutes are not presumed to make any alterations in
    15        the common law further than is expressly declared, . . . [and t]he rules
    16        of the common law are not to be changed by doubtful implication, nor
    17        overturned except by clear and unambiguous language.
    18 Guiterrez v. Gober, 
    1939-NMSC-008
    , ¶ 14, 
    43 N.M. 146
    , 
    87 P.2d 437
     (internal
    19 quotation marks and citation omitted). Rather than change the common law right to
    20 exclude, the Commission affirmed its existence in New Mexico by creating regulation
    21 15.2.2.8(V) NMAC.9 15.2.2.8(V) NMAC provides:
    9
    22         As stated earlier, we do not render any decision as to whether Section 60-1A-
    23 28.1 codifies this common law right to exclude or limits it.
    16
    1                     (1) An association shall immediately eject from the
    2        association grounds a person who is subject to such an exclusion order
    3        of the commission or stewards and notify the commission of the
    4        ejection.
    5                     (2) An association may eject or exclude a person for any
    6        lawful reason. An association shall immediately notify the stewards and
    7        the commission in writing of any person ejected or excluded by the
    8        association and the reasons for the ejection or exclusion.10
    9 We interpret Administrative Code regulations using the same rules applied in
    10 statutory interpretation. Alliance Health of Santa Teresa, Inc. v. Nat’l Presto Indus.,
    11 
    2007-NMCA-157
    , ¶ 18, 
    143 N.M. 133
    , 
    173 P.3d 55
    . Interpretation of regulations is
    12 a legal issue, which we review de novo. 
    Id.
     When interpreting a statute, courts strive
    13 to give effect to the Legislature’s intent and look to the plain language of the statute
    14 to discern that intent. Marbob Energy Corp. v. N.M. Oil Conservation Comm’n, 2009-
    15 NMSC-013, ¶ 9, 
    146 N.M. 24
    , 
    206 P.3d 135
    . Under a plain language analysis, courts
    16 give words “their ordinary meaning, unless the Legislature indicates a different one
    17 was intended.” 
    Id.
     (internal quotation marks and citation omitted). “When statutory
    18 language is clear and unambiguous, this Court must give effect to that language and
    19 refrain from further statutory interpretation.” 
    Id.
     (alteration, internal quotation marks,
    20 and citation omitted).
    10
    21          “Association” is defined as “an individual or business entity holding a license
    22 from the commission to conduct racing with pari-mutuel wagering.” 15.2.1.7(A)(8)
    23 NMAC.
    17
    1   {23}   The plain language of 15.2.2.8(V)(2) NMAC does not place any limitations on
    2 a racetrack’s right to “eject or exclude.” The definition of a “Person” under the Horse
    3 Racing chapter of the Code is expansive: “one or more individuals, a partnership,
    4 association, organization, corporation, joint venture, legal representative, trustee,
    5 receiver, syndicate, or any other legal entity.” 15.2.1.7(P)(7) NMAC. The single
    6 qualifier in the regulation is that the exclusion be for a “lawful reason.” This, like the
    7 common law rule discussed above, disallows exclusion or ejection that violates a
    8 person’s civil rights. See Greenfeld, 57 A.2d at 338; see also NMSA 1978, § 28-1-
    9 7(F) (2004) (disallowing persons to make distinctions in “services, facilities,
    10 accommodations or goods . . . because of race, religion, color, national origin,
    11 ancestry, sex, sexual orientation, gender identity, spousal affiliation or physical or
    12 mental handicap”). Nothing in the plain language of the regulation suggests that it
    13 was intended to abrogate the common law right of exclusion. It is therefore
    14 unwarranted for this Court to conclude that 15.2.2.8(V) NMAC somehow altered a
    15 common law right when the two are virtually identical in language and scope. We
    16 agree with the district court’s conclusion that the 15.2.2.8(V) NMAC is an
    17 affirmation, rather than a modification, of the common law right to exclude
    18 recognized in Marrone, 
    227 U.S. 633
    . By issuing a regulation that reiterates a
    19 racetrack proprietor’s power to serve and do business with whomever it chooses, the
    18
    1 Commission has emphasized that the common law right of racetracks to bar unwanted
    2 persons from their property remains intact, despite extensive State regulation of
    3 racing. Having established the existence of a racetrack’s common law right to exclude
    4 in New Mexico, we now turn to the question of whether summary judgment was
    5 properly granted.
    6 C.       Summary Judgment Was Properly Granted
    7 1.       Standard of Review
    8   {24}   Summary judgment is proper where no genuine issues of material fact exist and
    9 the movant is entitled to judgment as a matter of law. Roth v. Thompson, 1992-
    10 NMSC-011, ¶ 17, 
    113 N.M. 331
    , 
    825 P.2d 1241
    ; see Rule 1-056 NMRA. The movant
    11 has the initial burden of making a prima facie showing that he is entitled to summary
    12 judgment. Roth, 
    1992-NMSC-011
    , ¶ 17. A prima facie showing is “such evidence as
    13 is sufficient in law to raise a presumption of fact or establish the fact in question
    14 unless rebutted.” Romero v. Philip Morris Inc., 
    2010-NMSC-035
    , ¶ 10, 
    148 N.M. 15
     713, 
    242 P.3d 280
     (internal quotation marks and citation omitted). Once the movant
    16 has made a prima facie showing, the burden then shifts to the non-movant “to
    17 demonstrate the existence of specific evidentiary facts which would require trial on
    18 the merits.” Roth, 
    1992-NMSC-011
    , ¶ 17. We note that a party “may not simply argue
    19 that such evidentiary facts might exist, nor may it rest upon the allegations of the
    19
    1 complaint. Rather, the party opposing the summary judgment motion must adduce
    2 evidence to justify a trial on the issues.” Romero, 
    2010-NMSC-035
    , ¶ 10 (alterations,
    3 internal quotation marks, and citations omitted). Where the facts are not disputed and
    4 only the legal effect of the facts remains to be determined, summary judgment is
    5 appropriate. Gardner-Zemke Co. v. State, 
    1990-NMSC-034
    , ¶ 11, 
    109 N.M. 729
    , 790
    
    6 P.2d 1010
    .
    7 2.       Carrillo Did Not Rebut the Racetracks’ Prima Facie Showing That They
    8          Were Entitled to Summary Judgment
    9   {25}   In their motions for summary judgment, the racetracks asserted that they are
    10 entitled to summary judgment as a matter of law because they had no obligation to
    11 allow Carrillo entry and they had a common law right to exclude him. In support, the
    12 racetracks proffered undisputed evidence regarding the events leading up to and
    13 including Carrillo’s exclusion.
    14   {26}   It is undisputed that in September 2012 two of Carrillo’s horses were injured
    15 and had to be moved by ambulance, and that later in October 2012 one of Carrillo’s
    16 horses was injured so badly that it had to be euthanized. It is undisputed that all three
    17 incidents occurred at Zia Park. Zia Park put forth undisputed evidence that it was the
    18 subject of national scrutiny for incidents at its racetrack including injuries to horses
    19 and jockeys. For example, the New York Times ran stories in the Spring of 2012 that
    20 “disparaged the industry in New Mexico and raised allegations of impropriety . . .
    20
    1 resulting in catastrophic injury and death of horses.” Zia also produced evidence that
    2 it excluded Carrillo “[i]n order to protect the best interest of racing, the safety of the
    3 participants, and Zia Park’s business interests[.]” Carrillo did not rebut this evidence,
    4 and instead acknowledged that “[e]nsuring the safety of race participants (including
    5 both equine athletes and human jockeys) is a legitimate concern” and “wanting to
    6 avoid negative publicity and public critique are understandable sentiments.”
    7   {27}   It is also undisputed that one of Carrillo’s horses died on April 12, 2013,
    8 shortly after winning a race at Sunland Park. Sunland Park presented undisputed
    9 evidence that it excluded Carrillo based on an incident involving the death of one of
    10 Carrillo’s horses and Carrillo’s general “record at New Mexico tracks.” Sunland
    11 further explained that it believed it was “in the best interest of horse racing” to
    12 exclude Carrillo from the track. These reasons were delineated in a letter that Sunland
    13 Park sent to Carrillo, notifying him of his exclusion. Similarly, SunRay Park
    14 presented evidence that it excluded Carrillo shortly after discovering that Carrillo’s
    15 horse had died at Sunland Park in April 2013. SunRay Park based its exclusion of
    16 Carrillo on “concern about the safety of the horses and the reputation of the racing
    17 industry in New Mexico[.]” SunRay Park’s letter to Carrillo notifying him of the
    18 exclusion was virtually identical to Sunland Park’s letter, in that it based the
    19 exclusion on the incident resulting in the death of Carrillo’s horse and Carrillo’s
    21
    1 “record at new Mexico tracks.” It also explained that it believed Carrillo’s exclusion
    2 was “in the best interest of horse racing.”
    3   {28}   It appears from the undisputed facts that in July 2013 Ruidoso Downs informed
    4 Carrillo that he had been excluded based on incidents that had occurred involving the
    5 death and injury of Carrillo’s horses and Carrillo’s record at other tracks. Specifically,
    6 Ruidoso Downs acknowledged the death of one of Carrillo’s horses at Sunland park
    7 and the injury of two of his horses at Zia Park. Ruidoso Downs explained that it
    8 excluded Carrillo out of concern for his horses and in order to “preserve the best
    9 interests and integrity of horse racing at Ruidoso Downs.”
    10   {29}   This evidence from the racetracks is adequate to establish a prima facie case
    11 of entitlement to summary judgment. The evidence creates a presumption that Carrillo
    12 was excluded in order to further a legitimate business interest of the tracks. The
    13 burden therefore shifted to Carrillo to proffer evidence to suggest a trial on the merits
    14 was necessary.
    15   {30}   Carrillo did not dispute any of the racetracks’ evidence. He instead responded
    16 with legal argument and assertions. Carrillo argued that he was excluded without
    17 cause and that the justifications given for his exclusion were “illusory.” He did not,
    18 however, provide evidence that his exclusion was arbitrary. He neither presented any
    19 evidence of other similar incidents where other horses were injured or euthanized, nor
    22
    1 established that other licensees were not excluded under circumstances similar to
    2 his. He provided no evidence that the racetracks intended to specifically harm him
    3 through exclusion. See Fikes v. Furst, 
    2003-NMSC-033
    , ¶ 21, 
    134 N.M. 602
    , 
    81 P.3d 4
     545 (establishing a motive to harm as a requirement for a claim of interference with
    5 a contract); Kitchell v. Pub. Serv. Co. of N.M., 
    1998-NMSC-051
    , ¶ 15, 
    126 N.M. 525
    ,
    6 
    972 P.2d 344
     (listing an intent to injure as an element of prima facie tort).
    7   {31}   Carrillo also asserted that he was improperly denied the process guaranteed by
    8 the Commission’s regulations. Carrillo argues that he was denied the process set forth
    9 in the Administrative Code aimed at determining whether a racetrack had cause to
    10 deny entry. This argument envelopes the argument he makes on appeal that the
    11 racetracks are a de facto monopoly, infringing on the State’s power to regulate horse
    12 racing. In making this argument, Carrillo cites to the rules set forth to govern
    13 procedure in stewards’ hearings and commission proceedings. The conduct
    14 underlying this case, and of which Carrillo complains, is neither a stewards’ hearing
    15 nor a commission proceeding. As such, the regulations do not guarantee Carrillo the
    16 “Due Process safeguards” to which he claims entitlement. See 15.2.1.9(A) NMAC
    17 (“This chapter contains the rules of procedure for stewards’ hearings and commission
    18 proceedings.” (emphasis added)).
    23
    1   {32}   In light of the undisputed nature of the evidence in this case, including national
    2 scrutiny of New Mexico racetracks, concern for the safety of participants, and desire
    3 to protect business interests, we conclude that the racetracks met their burden of
    4 making a prima facie case of entitlement to judgment as a matter of law. Carrillo then
    5 failed to present any contrary evidence or demonstrate the need for a trial on the
    6 merits. The district court therefore properly concluded that Carrillo did not meet his
    7 “heavy burden” of proving that exclusion was not a reasonable discretionary business
    8 judgment and properly granted summary judgment for the racetracks. See Jacobson,
    9 305 N.E.2d at 768.
    10 III.     CONCLUSION
    11   {33}   We conclude that when they decided to exclude Carrillo from their property
    12 and participation in their races, Zia Park, Sunland Park, SunRay Park, and Ruidoso
    13 Downs all possessed a common law right to exclude Carrillo, despite the fact that he
    14 possessed a license from the Commission to participate in racing. We also conclude
    15 that the undisputed evidence supported the district court’s conclusion that these
    16 racetracks had an adequate justification for excluding Carrillo, and their exclusion of
    17 him was not arbitrary. As such, we affirm the district court’s order granting summary
    18 judgment for Zia Park, Sunland Park, SunRay Park, and Ruidoso Downs and
    19 dismissing the claims against them. It appears from the record, however, that
    24
    1 Carrillo’s claims against the Board of Stewards for each of these racetracks and
    2 against the Commission remain. We therefore remand so that these claims may be
    3 resolved in a manner consistent with this opinion.
    4   {34}   IT IS SO ORDERED.
    5                                       ____________________________________
    6                                       RODERICK T. KENNEDY, Judge
    7 WE CONCUR:
    8 ___________________________
    9 LINDA M. VANZI, Judge
    10 ___________________________
    11 M. MONICA ZAMORA, Judge
    25