IN THE SUPREME COURT OF THE STATE OF IDAHO
Docket No. 41600
THOMAS ARNOLD and REBECCA )
ARNOLD, )
)
Boise, February 2015 Term
Plaintiffs-Appellants, )
)
2015 Opinion No. 23
v. )
)
Filed: February 26, 2015
CITY OF STANLEY, a municipal subdivision )
of the State of Idaho, )
Stephen W. Kenyon, Clerk
)
Defendant-Respondent. )
_______________________________________ )
Appeal from the District Court of the Seventh Judicial District of the State of
Idaho, Custer County. Hon. Joel E. Tingey, District Judge.
The judgment of the district court is affirmed.
Greener Burke Shoemaker Oberrecht P.A., Boise, for appellants. Fredric V.
Shoemaker argued.
Moore Smith Buxton & Turcke, Chtd., Boise, for respondent. Paul J. Fitzer
argued.
_____________________
J. JONES, Justice
Thomas and Rebecca Arnold appeal a grant of summary judgment in favor of the City of
Stanley (City). The Arnolds filed a complaint seeking to have action taken by the City at a city
council meeting declared null and void, arguing that the meeting violated Idaho’s open meeting
law. The district court granted the City’s motion, finding the Arnolds were not adversely affected
by the alleged violation of the open meeting law and, therefore, did not have standing to bring
the challenge. The Arnolds timely appealed.
I.
FACTUAL AND PROCEDURAL BACKGROUND
The Arnolds own property in Stanley, Idaho. On August 7, 2012, the City provided notice
to the Arnolds and other interested parties of the date and time for three public hearings and a
regular city council meeting, all scheduled to take place on August 9, 2012. The first of the three
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public hearings was noticed to begin at 5:00 p.m. and was for the purpose of receiving public
comment on proposed Ordinance 189, the ordinance that the Arnolds allege affects their property
rights. 1 The second and third hearings were noticed to begin at 5:15 p.m. and 5:30 p.m.,
respectively, and were for the purpose of public comment on matters not at issue here. The
regular city council meeting was noticed to begin at 6:00 p.m.
On August 9, the first two meetings were held at their scheduled times. The third meeting
began five minutes early, at 5:25 p.m., and concluded at 5:29 p.m. The regular city council
meeting, scheduled to begin at 6:00 p.m., commenced at 5:31 p.m. and adjourned at 6:55 p.m.
(6:00 p.m. meeting). Prior to the start of the 6:00 p.m. meeting, the City did not amend the
notices it had provided or otherwise notify the public that the meetings would begin earlier than
scheduled. The early start time of the 6:00 p.m. meeting and the City’s failure to provide
amended notice of the earlier start time are the events that led to the current action. It was at the
6:00 p.m. meeting that the mayor and city council deliberated toward a decision on Ordinance
189, eventually voting to adopt the ordinance.
In the days leading up to these meetings, the Arnolds exchanged several emails with
Stanley’s city clerk regarding the subject matter of the meetings in question, including proposed
Ordinance 189. The Arnolds requested that specific statements from these emails be read into the
meeting record as their testimony during the discussion regarding Ordinance 189. According to
the meeting minutes, two emails from Rebecca Arnold were read into the record during the 5:00
p.m. meeting and two were read during the 6:00 p.m. meeting. Although the Arnolds were fully
aware of the agenda items to be discussed at the various meetings, at no time from the outset of
the first meeting at 5:03 p.m. until the final meeting adjourned at 6:55 p.m. did they attend the
meeting, attempt to call the office, or otherwise participate in the meeting other than the written
testimony they provided, which was read into the record. The Arnolds also conceded at oral
argument that they had no intention of attending the meeting.
Following adoption of Ordinance 189, the Arnolds filed an action against the City under
Idaho Code section 67-2347(6), seeking to have the ordinance declared null and void because the
City held the 6:00 p.m. meeting in violation of Idaho’s open meeting law by starting the meeting
early and failing to provide notice of the earlier start time. The district court held the Arnolds
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There is a dispute between the parties as to whether Ordinance 189 does, in fact, adversely affect the Arnolds’
property rights. Because resolution of that question does not bear on the ultimate outcome of this case, we do not
decide the issue but assume the Arnolds are correct for purposes of our analysis.
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lacked standing to bring an enforcement action because the plain language of Section 67-2347(6)
allows standing for such an action only to one who is actually affected by a violation of the open
meeting law, instead of being affected only by a substantive action taken at the meeting. The
court granted the City’s motion for summary judgment on this basis. The Arnolds timely
appealed.
II.
ISSUES ON APPEAL
1. Whether Idaho Code section 67-2347(6) allows a private cause of action to enforce
Idaho’s open meeting law where the challenger was not adversely affected by the alleged
violation of the open meeting law.
2. Whether the City is entitled to attorney fees.
III.
ANALYSIS
A. Standard of review.
The standard of review on appeal from the district court’s grant of summary judgment is
well-settled:
On appeal from the grant of a motion for summary judgment, this Court
utilizes the same standard of review used by the district court originally ruling on
the motion. Summary judgment is proper “if the pleadings, depositions, and
admissions on file, together with the affidavits, if any, show that there is no
genuine issue as to any material fact and that the moving party is entitled to a
judgment as a matter of law.” I.R.C.P. 56(c). . . . If the evidence reveals no
disputed issues of material fact, then only a question of law remains, over which
this Court exercises free review.
Conner v. Hodges, 157 Idaho 19, 23, 333 P.3d 130, 134 (2014) (internal case citations omitted).
“Statutory interpretation is a question of law subject to free review.” J&M Cattle Co. v. Farmers
Nat’l Bank, 156 Idaho 690, 692, 330 P.3d 1048, 1050 (2014).
B. Only one adversely affected by a violation of Idaho’s open meeting law may bring a
private enforcement action under Idaho Code section 67-2347(6).
Idaho Code sections 67-2340 through 67-2347 make up Idaho’s “open meeting law,”
which imposes procedural requirements (e.g., notices of meetings, agendas, etc.) on public
agencies to ensure citizens’ access to the formation of public policy. See Petersen v. Franklin
Cnty., 130 Idaho 176, 180–82, 938 P.2d 1214, 1218–20 (1997). Although the City provided
notices and agendas regarding the meetings in question, the district court found that the City’s
early commencement of the 6:00 p.m. meeting and failure to amend the meeting notice to
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account for that change was a violation of the open meeting law.
Idaho Code section 67-2347 addresses the enforcement mechanisms and remedies
available when there has been a violation of the open meeting law. Section 67-2347(1) provides
that “[i]f an action, or any deliberation or decision making that leads to an action, occurs at any
meeting which fails to comply with the provisions of sections 67-2340 through 67-2346, Idaho
Code, such action shall be null and void.” Section 67-2347(5) empowers the attorney general and
county prosecutors to institute actions to enforce the open meeting law. In addition, Section 67-
2347(6) provides for a private cause of action to enforce compliance with the open meeting law:
“Any person affected by a violation of the provisions of this act may commence a civil action . . .
for the purpose of requiring compliance with provisions of this act.”
Alleging their property interests were adversely affected by action taken at the City’s
meetings, the Arnolds brought action under Section 67-2347(6) to have all actions taken in those
meetings declared void because the meetings began early in violation of the open meeting law. 2
The district court found the Arnolds did not have standing under Section 67-2347(6) to bring an
enforcement action because they were not actually affected by the City’s violation of the open
meeting law. It found that standing exists to challenge an open meeting law violation only for
those who are affected by that violation and the only alleged violation in this case was the early
start to the 6:00 p.m. meeting. Because there was nothing in the record to support a claim that the
Arnolds were affected by the early start time, the court ultimately concluded they were not
adversely affected by the violation and did not have standing to bring an enforcement action. The
Arnolds argue the text and purpose of the open meeting law support a broader interpretation of
who has standing to bring an enforcement action. They argue there are many ways one might be
“affected by” a violation of the open meeting law, including when one’s property rights are
adversely affected by an action taken at a meeting when that meeting was held without
compliance with the open meeting law. The City responds that to reach the Arnolds’ conclusion,
the Arnolds must necessarily take the words “affected by” out of their context in the statute. The
City argues that one who is adversely affected by a substantive action taken at a meeting that is
held without strict compliance with the open meeting law is not necessarily always directly
affected by the violation of the open meeting law, as required by the statute. We agree with the
2
The Arnolds initially challenged another action taken by the City at the meetings, consideration and adoption of the
City’s FY13 Budget in Ordinance 188, but have not pursued that issue on appeal.
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district court and the City.
When this Court is tasked with determining the meaning of a statute:
The interpretation of a statute must begin with the literal words of the statute;
those words must be given their plain, usual, and ordinary meaning; and the
statute must be construed as a whole. If the statute is not ambiguous, this Court
does not construe it, but simply follows the law as written. We have consistently
held that where statutory language is unambiguous, legislative history and other
extrinsic evidence should not be consulted for the purpose of altering the clearly
expressed intent of the legislature.
Verska v. Saint Alphonsus Reg’l Med. Ctr., 151 Idaho 889, 893, 265 P.3d 502, 506 (2011)
(internal citations omitted). To ascertain the ordinary meaning of an undefined term in a statute,
we have often turned to dictionary definitions of the term. See, e.g., Hap Taylor & Sons, Inc. v.
Summerwind Partners, LLC, 157 Idaho 600, 614, 338 P.3d 1204, 1218 (2014).
The Arnolds turn to several provisions of the Idaho open meeting law to argue the
Legislature intended broad protection against violations and vested a wide array of persons with
the authority to seek private enforcement of the law. They first cite to the opening provision of
the open meeting law:
The people of the state of Idaho in creating the instruments of government
that serve them, do not yield their sovereignty to the agencies so created.
Therefore, the legislature finds and declares that it is the policy of this state that
the formation of public policy is public business and shall not be conducted in
secret.
I.C. § 67-2340. Quoting Section 67-2342(1), they argue the open meeting law broadly requires
that “all meetings of a governing body of a public agency shall be open to the public and all
persons shall be permitted to attend any meeting except as otherwise provided by this act.” They
argue the language in Section 67-2347(1), saying that any action taken in a meeting held in
violation of the open meeting law is null and void, is not worded in such a fashion as to limit an
enforcement action only to the effects of a procedural violation. They state, “rather, the law
specifically indicates that the action, itself, may give rise to standing to assert a cause of action
for a violation of the open meeting law.” The Arnolds quote the portion of Section 67-2347(6)
regarding the time within which one may bring an enforcement action:
Any suit brought for the purpose of having an action declared or determined to be
null and void pursuant to subsection (1) of this section shall be commenced within
thirty (30) days of the time of the decision or action that results, in whole or in
part, from a meeting that failed to comply with the provisions of this act.
(Emphasis added by the Arnolds). They suggest that this language somehow shows Section 67-
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2347(6) should be interpreted broadly to include those affected by the action taken at the meeting
rather than just those affected by the violation of the open meeting law. Although the Arnolds
argue the language of these provisions supports a broad interpretation of who has standing to
enforce the law, they do not make specific arguments as to how the language in these provisions
can actually be read to allow standing to one who is substantively affected by an action taken by
a governing body at a meeting. We are not persuaded by their arguments.
First, although the Arnolds are correct that the open meeting law mandates that meetings
not be held in secret, the circumstances under which the meetings were held in this case do not
indicate secrecy. The City provided notice of the meetings to all interested parties. It also posted
notice of the meetings at Stanley City Hall, where the meetings were to be held, and published
notice in the Challis Messenger. The City allowed the public to attend the meetings and
participate in the discussion. It also kept a record of the meetings and read into the record the
testimony of those who were not able to attend. None of the facts of this case suggest there was
an intent to conduct, or an effect of conducting, these meetings in secret.
Second, although the Arnolds are, again, correct that the City failed to amend the notices
to account for earlier start times, the Arnolds fail to allege any facts or make any argument as to
specifically how not having these amended notices affected the Arnolds or equated to the City
preventing anyone in the public from attending the meeting.
Third, the Arnolds’ argument that Section 67-2347(1) indicates a broader scope of
standing than was applied by the district court is without merit. Section 67-2347(1) has no
bearing on who may bring the action. It simply provides the elements of the violation that must
be met to bring the cause of action: (1) there must be an action, or a deliberation or decision-
making that leads to an action; and (2) that action, deliberation, or decision-making, must occur
at a meeting that violates the open meeting law. I.C. § 67-2347(1). This section says nothing
about the method by which the violation may be remedied or who may bring an enforcement
action to remedy it. That is provided for in other subsections. The Arnolds are correct that a
meeting action (as opposed to a “deliberation or decision-making”) may give rise to an
enforcement action if that meeting action is taken at a meeting that does not comply with the
open meeting law, but being affected by the meeting action taken is not what gives one standing.
It is the violation of the open meeting law that gives one affected by that violation standing to
bring an enforcement action. I.C. § 67-2347(6). Section 67-2347(6) clearly states that one can
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have standing for an enforcement action only if he/she is “affected by a violation of the
provisions of [the] act.” (Emphasis added).
Furthermore, the language the Arnolds quote from Section 67-2347(6), regarding the
limitations period for bringing an enforcement action, does nothing to alter the language earlier
in subsection (6) that expressly provides standing only to those affected by the violation of the
open meeting law. The Arnolds provide no convincing argument to overcome this plain reading
of the statute.
The Arnolds argue the district court applied a narrow interpretation of the “affected by”
language that permits standing only for those persons who may have been physically shut out of
a meeting. They argue this application provides a private enforcement action only to otherwise
disinterested citizens and not to those whose rights are substantively “affected by” the actions
taken by the government body at the meeting. However, they mischaracterize the district court’s
conclusion. The district court did not find the only people to be “affected by a violation” are
those shut out of a meeting. While that is one example of a person who may be affected by a
violation, the district court simply found that the Arnolds were not in any way affected by the
violation of the open meeting law, that violation being the early start time. The court did not hold
that one whose substantive property rights were affected by the City’s passage of Ordinance 189
could never have standing to bring an action to enforce the open meeting law. One who is
substantively affected by action taken at a meeting may certainly have standing to challenge the
action if he/she was also affected by a violation of the open meeting law. Had the Arnolds
planned to attend the meetings in person, but were unable to make their comments at the meeting
because it had concluded by the time they arrived, without question they would then have been
affected by the early start time. They would not have had a chance to have their comments heard
or to participate and witness the process of making public policy. The City admits as much.
However, the Arnolds simply do not allege any such harm resulting from the early start time.
The dictionary definition of “affect” is “to produce an effect upon,” listing as synonyms:
“influence” and “impress” (among others). Webster’s Third New International Dictionary,
Unabridged 35 (Philip Babcock Gove et al. eds., 1976). Webster’s further explains that “‘affect’
applies to a stimulus strong enough to bring about a reaction . . . or bring about some
modification.” Id. Black’s Law Dictionary similarly defines “affect” as “to produce an effect on;
to influence in some way.” 65 (9th ed. 2011). Applying these definitions to the plain language in
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Section 67-2347(6), there does not appear to be any way the Arnolds can argue they were
“affected by” the early start of the 6:00 p.m. meeting. They do not argue there was any effect on
them or their rights that was caused by the meeting beginning early. Though they did not have an
amended notice of the earlier start time, they had actual notice that the meetings would happen.
They did not attempt to attend any of the meetings, instead choosing to submit written testimony,
which was read into the record as requested. The Arnolds are in exactly the same position as they
would have been had the meeting started on time and strictly complied with every other element
of the open meeting law. Therefore, they were not “affected by” the starting time of the meeting.
In addition to their arguments that the plain language of the open meeting law supports
their position, the Arnolds argue the legislative history of the open meeting law supports a broad
interpretation of who may bring an enforcement action. However, we need not resort to an
exploration of such history. The plain language of Section 67-2347(6) is not ambiguous, as it
clearly requires one to be affected by a violation of the open meeting law in order to have
standing. Because Arnolds have not provided any facts or argument to show they were in any
way affected by the violation—the early start time—we hold that they do not have standing
under Section 67-2347(6) to challenge the City’s violation of the open meeting law.
Finally, the Arnolds argue that even if they were not directly affected by the violation of
the open meeting law, they had an interest in ensuring that the City conducted its business in
plain view, for all interested citizens. However, the fact that others may have hypothetically been
affected by the meeting’s early start time on this occasion does not give the Arnolds standing to
protect those hypothetical others’ rights. “An interest, as a concerned citizen, in seeing that the
government abides by the law does not confer standing.” Student Loan Fund of Idaho, Inc. v.
Payette Cnty., 125 Idaho 824, 828, 875 P.2d 236, 240 (Ct. App. 1994) (citing Greer v. Lewiston
Golf Country Club, Inc., 81 Idaho 393, 396, 342 P.2d 719, 721 (1959)).
C. Attorney fees.
The City argues it is entitled to attorney fees under Idaho Code section 12-117 because
the Arnolds’ arguments are without a reasonable basis in fact or law. It argues that the Arnolds
took the words “affected by” out of the context of Section 67-2347(6), and a plain reading of
those words in the correct context shows that the Arnolds must have actually been affected by
the alleged violation. It argues that because the Arnolds made no attempt to attend the meeting,
and they had their comments read into the record at the meeting, there is no basis in fact or law
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to argue they were affected by the early start time. The Arnolds respond that the plain language
of the statute supports an interpretation allowing standing for those who are substantively
affected by an agency action taken at a meeting that violated the open meeting law in some way,
meaning they would have a reasonable basis in fact and law for their arguments. They also argue
that the Court has often been reluctant to order attorney fees in cases involving matters of first
impression, as they argue is the case here.
Idaho Code section 12-117 provides in relevant part:
Unless otherwise provided by statute, in any proceeding involving as
adverse parties a state agency or a political subdivision and a person, . . . the court
hearing the proceeding, including on appeal, shall award the prevailing party
reasonable attorney's fees . . . if it finds that the nonprevailing party acted without
a reasonable basis in fact or law.
I.C. § 12-117(1). Although this Court typically does not award attorney fees in matters of first
impression, Saint Alphonsus Reg’l Med. Ctr. v. Ada Cnty., 146 Idaho 862, 863, 204 P.3d 502,
503 (2009), “[t]he purpose of I.C. § 12–117 is to serve as a deterrent to groundless or arbitrary
action and to provide a remedy for persons who have borne unfair and unjustified financial
burdens defending against groundless charges.” Canal/Norcrest/Columbus Action Comm. v. City
of Boise, 136 Idaho 666, 671, 39 P.3d 606, 611 (2001). In Castrigno v. McQuade, this Court
awarded attorney fees to Ada County when an appellant appealed without a reasonable basis in
fact or law. 141 Idaho 93, 98, 106 P.3d 419, 424 (2005). There we reasoned, in part, that attorney
fees were appropriate because the appellants, in arguing to the Court, had added nothing to the
argument that failed in the district court. Id. We noted that appellants had the benefit of the
district court’s well-reasoned, articulate analysis finding against their position, yet they still
chose to expend more time and resources to bring an appeal, using the same arguments that were
unpersuasive below and remained unpersuasive on appeal. Id.
Here, although the Court has not before addressed the scope of who may bring an
enforcement action under Section 67-2347(6), the plain language of that section is clear enough
that we believe the Arnolds’ appeal was made without a reasonable basis in fact or law.
Asserting that an appeal involves a matter of first impression is not a “free pass” to bring an
appeal based on unreasonable arguments. The clear language of the statute in question provides
that one must have been affected by the violation of the open meeting law. The Arnolds have not
shown that they were affected by the violation here. The record is clear that they submitted
written testimony and made no attempt to attend the meeting. Therefore, the alleged violation of
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the open meeting law—the early start time—did not affect them in any way. There is nothing in
the statute to suggest that one may have standing to bring an action to enforce the open meeting
law based solely on the fact that one was affected by a substantive decision made at a meeting
which was not influenced by the alleged violation. Being affected by the open meeting law
violation and being affected by a substantive action at the violative meeting are clearly not the
same. Although the Arnolds had the benefit of the district court’s articulate and well-reasoned
analysis to that effect, they still chose to bring an appeal, further raising the expense to the City
to defend against the same arguments. Because a plain reading of the statute contradicts the
Arnolds’ position, and because they do not even claim to have been actually harmed by the 6:00
p.m. meeting’s early start time, we find that their appeal was brought without a reasonable basis
in fact or law. While they may have been reasonable in testing their theory in the district court, it
is unreasonable to continue arguing the same losing theory before this Court. Therefore, City is
entitled to attorney fees.
IV.
CONCLUSION
We affirm the Judgment of the district court. Costs and attorney fees are awarded to the
City.
Chief Justice BURDICK, and Justices EISMANN, W. JONES and HORTON CONCUR.
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