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THE SUPREME COURT OF NEW HAMPSHIRE
___________________________
Carroll
No. 2017-0536
DAVID F. DIETZ & a.
v.
TOWN OF TUFTONBORO
Argued: May 9, 2018
Opinion Issued: January 8, 2019
Wadleigh, Starr & Peters, PLLC, of Manchester (Michael J. Tierney on the
brief and orally), for the plaintiffs.
Sager & Smith, PLLC, of Ossipee, for the defendant, filed no brief.
Hinckley, Allen & Snyder, LLP, of Manchester (John L. Arnold and Daniel
M. Deschenes on the brief, and Mr. Arnold orally), for the intervenor.
BASSETT, J. The plaintiffs, David F. and Katherine W. Dietz, appeal an
order of the Superior Court (Fauver, J.) upholding a decision by the zoning
board of adjustment (ZBA) for the defendant, the Town of Tuftonboro, to grant
to the intervenor, Sawyer Point Realty, LLC (collectively with Sawyer Point
Realty Trust, its predecessor in interest, Sawyer Point), two equitable waivers
related to two additions Sawyer Point constructed on its house in violation of
the Town’s zoning ordinance requiring a fifty-foot setback from Lake
Winnipesaukee. We affirm.
The trial court recited in its narrative order, or the record supports, the
following relevant facts. Sawyer Point’s house is located along the shore of
Lake Winnipesaukee and within the Town’s Lakefront Residential Zoning
District (District). The Dietzes own the abutting property, which is also within
the District. Section 4.2 of the Town’s zoning ordinance requires a minimum
fifty-foot setback from the lake for buildings located within the District.
In 1999, Sawyer Point added a second floor addition over the eastern
portion of the first floor of its house (1999 Addition). At the time of the 1999
Addition, Sawyer Point was aware that the existing structure was located
within the setback, and that the second floor addition would, therefore, also be
within the setback. Prior to construction, Sawyer Point’s principal, Laurel
Luby, provided Sawyer Point’s builder, David Braun, with an interior floor plan
of the house, which showed that the house was situated less than fifty feet
from the lake. Braun then submitted a building permit application to the Town
containing a rough sketch of the existing house, which also showed that the
house was situated less than fifty feet from the lake. On February 8, 1999, the
Town’s building inspector granted the building permit, noting the addition
would cause “no change in footprint.” Sawyer Point then constructed the
addition.
In 2008-2009, Sawyer Point constructed a second addition to its house,
adding a second floor over the existing enclosed porch as well as an addition off
the side of the structure facing away from the lake (2008 Addition). Prior to
obtaining a building permit for the 2008 Addition, Braun determined that
portions of the addition would be within the setback, and, accordingly,
submitted a variance application to the ZBA on behalf of Sawyer Point. After a
hearing, the ZBA unanimously approved the variance and issued a building
permit.
In February 2014, Sawyer Point commissioned a survey of its property.
The survey revealed that, in regard to the 2008 Addition, more of the new
structure was within the setback than had been represented to the ZBA. In
December 2014, the Dietzes, after learning of this discrepancy, sought
injunctive relief against Sawyer Point, claiming that Sawyer Point had built
within the setback without obtaining the required approvals, and requesting
that the court order the removal of the unlawful construction. See RSA 676:15
(2016). Thereafter, Sawyer Point applied to the ZBA for equitable waivers
pursuant to RSA 674:33-a (2016) for the portion of the 1999 Addition within
the setback, and the approximately fifty square-foot portion of the 2008
Addition that is within the setback but is not within the scope of the 2008
variance. The ZBA granted the equitable waivers and subsequently denied the
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Dietzes’ request for a rehearing. The Dietzes appealed to the superior court,
which upheld the ZBA’s decision. This appeal followed.
Because resolution of this appeal requires us to interpret the equitable
waiver statute, we set forth the pertinent provisions of RSA 674:33-a:
I. When a lot or other division of land, or structure thereupon, is
discovered to be in violation of a physical layout or dimensional
requirement imposed by a zoning ordinance enacted pursuant to
RSA 674:16, the zoning board of adjustment shall, upon
application by and with the burden of proof on the property owner,
grant an equitable waiver from the requirement, if and only if the
board makes all of the following findings:
(a) That the violation was not noticed or discovered by any
owner, former owner, owner’s agent or representative, or
municipal official, until after a structure in violation had
been substantially completed, or until after a lot or other
division of land in violation had been subdivided by
conveyance to a bona fide purchaser for value;
(b) That the violation was not an outcome of ignorance of the
law or ordinance, failure to inquire, obfuscation,
misrepresentation, or bad faith on the part of any owner,
owner’s agent or representative, but was instead caused by
either a good faith error in measurement or calculation made
by an owner or owner’s agent, or by an error in ordinance
interpretation or applicability made by a municipal official in
the process of issuing a permit over which that official had
authority;
(c) That the physical or dimensional violation does not
constitute a public or private nuisance, nor diminish the
value of other property in the area, nor interfere with or
adversely affect any present or permissible future uses of
any such property; and
(d) That due to the degree of past construction or investment
made in ignorance of the facts constituting the violation, the
cost of correction so far outweighs any public benefit to be
gained, that it would be inequitable to require the violation
to be corrected.
II. In lieu of the findings required by the board under
subparagraphs I(a) and (b), the owner may demonstrate to the
satisfaction of the board that the violation has existed for 10 years
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or more, and that no enforcement action, including written notice
of violation, has been commenced against the violation during that
time by the municipality or any person directly affected.
RSA 674:33-a, I-II.
“Our review in zoning cases is limited.” Harrington v. Town of Warner,
152 N.H. 74, 77 (2005). “The party seeking to set aside the ZBA’s decision
bears the burden of proof on appeal to the trial court.” Id. “The factual
findings of the ZBA are deemed prima facie lawful and reasonable, and will not
be set aside by the trial court absent errors of law, unless the court is
persuaded, based upon a balance of probabilities, on the evidence before it,
that the ZBA’s decision is unreasonable.” Id.; see RSA 677:6 (2016). The trial
court’s review “is not to determine whether it agrees with the zoning board of
adjustment’s findings, but to determine whether there is evidence upon which
they could have been reasonably based.” Lone Pine Hunters’ Club v. Town of
Hollis, 149 N.H. 668, 670 (2003) (quotation omitted). The trial court reviews
the ZBA’s statutory interpretation de novo. See RSA 677:6; Golf Course
Investors of NH v. Town of Jaffrey, 161 N.H. 675, 682 (2011) (reviewing issues
of law decided by the ZBA de novo).
“We will uphold the trial court’s decision on appeal unless it is not
supported by the evidence or is legally erroneous.” Harrington, 152 N.H. at 77.
“[W]e are mindful that we do not act as a super zoning board.” Id. at 82. “We
review the trial court’s statutory interpretation de novo.” Olson v. Town of
Grafton, 168 N.H. 563, 566 (2016).
The Dietzes first argue that the trial court erred because RSA 674:33-a
requires that the ZBA make written factual findings as to each element of the
statute, and that here the ZBA failed to do so. The Dietzes focus on the
language of Paragraph I of the statute, which provides that “the zoning board of
adjustment shall, upon application by and with the burden of proof on the
property owner, grant an equitable waiver from the requirement, if and only if
the board makes all of the following findings.” RSA 674:33-a, I (emphasis
added). They contend that the trial court erred when it determined that the
ZBA’s grant of the equitable waivers “amounted to an implicit finding by the
ZBA that all of the statutory requirements for an equitable waiver had been
met.” (Quotation omitted). Sawyer Point counters that, although the statute
requires the ZBA to make certain findings, it does not require the ZBA to set
forth the findings in writing.
Resolving the issue of whether the ZBA was required to make written
factual findings requires that we engage in statutory interpretation. “In
matters of statutory interpretation, we are the final arbiter of the intent of the
legislature as expressed in the words of a statute considered as a
whole.” Petition of Carrier, 165 N.H. 719, 721 (2013). “We first look to the
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language of the statute itself, and, if possible, construe that language according
to its plain and ordinary meaning.” Id. “We interpret legislative intent from the
statute as written and will not consider what the legislature might have said or
add language that the legislature did not see fit to include.” Id. “The
legislature is not presumed to waste words or enact redundant provisions and
whenever possible, every word of a statute should be given effect.” Garand v.
Town of Exeter, 159 N.H. 136, 141 (2009) (quotation omitted). “We construe all
parts of a statute together to effectuate its overall purpose and avoid an absurd
or unjust result.” Carrier, 165 N.H. at 721. “Moreover, we do not consider
words and phrases in isolation, but rather within the context of the statute as
a whole.” Id. “This enables us to better discern the legislature’s intent and to
interpret statutory language in light of the policy or purpose sought to be
advanced by the statutory scheme.” Id. “We will not construe a statute in a
way that would render it a virtual nullity.” Wolfgram v. N.H. Dep’t of Safety,
169 N.H. 32, 36 (2016) (quotation omitted).
We have not yet had occasion to interpret RSA 674:33-a, the equitable
waiver statute. At the outset, we observe that we generally assume that a fact-
finder makes all of the necessary factual findings to support its conclusion.
See, e.g., Smith v. Lillian V. Donahue Trust, 157 N.H. 502, 508 (2008)
(“Although the trial court did not expressly make this finding, we assume it
made all subsidiary findings necessary to support its decision.”). Moreover, we
have held that a ZBA is not required to make written factual findings when
granting a variance under RSA 674:33 (2016) (amended 2018). See Pappas v.
City of Manchester Zoning Bd., 117 N.H. 622, 625 (1977) (stating that “[t]he
board’s decision amounted to an implicit finding that the several requisites for
a variance had been met,” and holding that “[a]lthough disclosure of specific
findings of fact by a board of adjustment may often facilitate judicial review,
the absence of findings, at least where there is no request therefor, is not in
and of itself error”); Kalil v. Town of Dummer Zoning Bd. of Adjustment, 155
N.H. 307, 310 (2007) (“To the extent this ruling means the superior court
reversed the ZBA’s decision because it found the decision lacked findings, the
ruling constitutes error.”); Thomas v. Town of Hooksett, 153 N.H. 717, 724
(2006). The Dietzes assert that these variance cases are inapposite because
the language “if and only if the board makes all of the following findings” is
present in RSA 674:33-a, the equitable waiver statute, but is not present in
RSA 674:33, the variance statute. The Dietzes argue that the legislature
intended to require the ZBA to make written findings before granting equitable
waivers, but not before granting variances. We disagree.
Both statutes employ a similar construction: if certain enumerated
conditions are met, then the ZBA is empowered to grant the requested relief.
The variance statute provides that a zoning board of adjustment has the power
to grant “a variance from the terms of the zoning ordinance if” the five elements
for a variance are satisfied. RSA 674:33, I(b). Similarly, the equitable waiver
statute provides that the ZBA shall grant a waiver if the four enumerated
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conditions are met. RSA 674:33-a, I. The equitable waiver statute, unlike the
variance statute, contains the additional requirement that a waiver can be
issued “if and only if the board makes all of the following findings.” Id.
Notably, however, this language requires only that the ZBA make findings, not
that it must set forth those findings in writing.
We find Property Portfolio Group, LLC v. Town of Derry, 163 N.H. 754
(2012), instructive. The petitioners in Property Portfolio Group argued that the
planning board erroneously granted a waiver of the town’s site plan regulations
because the board failed to make findings on the record as required by RSA
674:44, III(e) (2016). Property Portfolio Group, 163 N.H. at 757. The statutory
provision at issue provided that “[t]he basis for any waiver granted by the
planning board shall be recorded in the minutes of the board,” and that the
board “may only grant a waiver if the board finds, by majority vote, that” one of
two enumerated elements had been met. RSA 674:44, III(e). In interpreting
that language, we observed that nothing in RSA 674:44, III(e) obligated the
board to make express findings of fact; rather, the board simply needed to set
forth “the basis” for its decision in the minutes. Property Portfolio Group, 163
N.H. at 758-59. We explained that, “[w]here the legislature intends that
specific findings be made, it has, in other contexts, said so expressly.” Id. at
758 (citing statutes). Accordingly, we declined to “read into RSA 674:44, III(e) a
requirement, which the legislature itself did not see fit to include, that the
planning board make express findings of fact.” Id. at 758-59.
The same reasoning supports our conclusion here in regard to the ZBA
and equitable waivers. If the legislature intended to require the ZBA to make
written findings as a prerequisite to the granting of an equitable waiver it would
have said so expressly. It has often required written findings in other contexts.
See, e.g., RSA 458-C:4, IV (2016) (requiring a judicial officer to “enter a written
finding or a specific finding on the record” when deviating from child support
guidelines); RSA 674:23, IV (2016) (requiring that any ordinance establishing a
temporary moratorium or limitation on issuing building permits or approving
subdivision or site plans must be based on the planning board’s written
findings). We will not add language that the legislature did not see fit to
include. Carrier, 165 N.H. at 721. Moreover, we note that RSA 674:33-a, I,
unlike the statute at issue in Property Portfolio Group, does not require that the
board set forth “the basis” for its decision in the minutes; it simply requires that
the board make findings. Compare RSA 674:44, III(e) with RSA 674:33-a, I.
Accordingly, we agree with the trial court that the ZBA was not required
to make a written finding as to each requirement set forth in RSA 674:33-a, I.
Moreover, we observe, as did the trial court, that the minutes of the meeting
reflect that the board discussed and analyzed the four equitable waiver
requirements. The trial court found that the board’s decision to grant the
waivers amounted to an implicit finding that all of the statutory requirements
had been met.
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The Dietzes next argue that the trial court erred when it ignored the
language in Paragraph I(d) requiring that the “past construction or investment
[was] made in ignorance of the facts constituting the violation.” RSA 674:33-a,
I(d). The Dietzes assert that, for purposes of Paragraph I(d), Sawyer Point was
not “ignoran[t] of the facts” because: (1) Sawyer Point admitted in its answer
that it was aware that the 1999 Addition was within the setback; and (2) both
the interior floor plan and the building permit application showed the 1999
Addition to be within the setback.
Sawyer Point counters that, as the trial court concluded, the “ignorance
of the facts” language in Paragraph I(d) should be disregarded because to give it
effect would render Paragraph II’s waiver of the ignorance requirements in
Paragraphs I(a) and (b) a virtual nullity, and, further, that the legislative intent
behind Paragraph I(d) was to create a balancing test. Sawyer Point also argues
that, although it knew the 1999 Addition would be built within the setback, it
did not know that building on the existing footprint would constitute a
violation, as the building inspector had granted the building permit. As Sawyer
Point correctly notes, “an error in ordinance interpretation or applicability
made by a municipal official” is an excuse under Paragraph I(b). RSA 674:33-
a, I(b).
We agree with the trial court that Sawyer Point satisfied the
requirements of Paragraph I(d); nonetheless we employ a different analysis to
reach our conclusion. See Quinlan v. City of Dover, 136 N.H. 226, 230 (1992)
(sustaining the decision of the trial court on valid alternative grounds). The
language of Paragraph I(d) must be read in the context of the overall statutory
scheme and not in isolation. Dembiec v. Town of Holderness, 167 N.H. 130,
135 (2014). Paragraph I(b) requires an applicant to show either a good faith
error in measurement or calculation, or “an error in ordinance interpretation or
applicability made by a municipal official” when issuing a permit. RSA 674:33-
a, I(b). If we were to adopt the interpretation of Paragraph I(d) advanced by the
Dietzes — that an applicant must always be ignorant of the underlying facts —
then there would never be a situation in which an applicant would be eligible
for a waiver based on an error made by a municipal official without the
applicant also having erred in measurement or calculation.
We will not construe Paragraph I(d) in such a way as to render the
municipal error element of Paragraph I(b) a virtual nullity. See Wolfgram, 169
N.H. at 36 (observing further that we seek to effectuate a statute’s evident
purpose and avoid an absurd result). Therefore, our interpretation of
Paragraph I(d) must be broad enough to encompass the situation in which an
applicant relied on the misinterpretation of an ordinance by a municipal official
in issuing a permit within that official’s scope of authority. Moreover, we must
give effect to every word of a statute whenever possible. See Garand, 159 N.H.
at 141. Paragraph I(d) does not require simply that the applicant be “ignoran[t]
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of the facts,” it requires that the applicant be “ignoran[t] of the facts
constituting the violation.” RSA 674:33-a, I(d) (emphasis added).
Here, Sawyer Point applied for a building permit for the 1999 Addition,
which was granted by the Town. The building inspector reviewed and approved
Sawyer Point’s application, noting that there would be no change in the
existing footprint. Neither Sawyer Point nor the Town interpreted the zoning
ordinance such that building a second floor on the existing footprint would run
afoul of the setback requirement. It was not until fifteen years later, when the
Dietzes brought their 2014 zoning enforcement action, that the Town’s
interpretation of the ordinance was challenged. We have not been asked to
decide whether the 1999 Addition constituted a violation of the ordinance.
Nonetheless, by applying for an equitable waiver, Sawyer Point has proceeded
as though the 1999 Addition violated the ordinance. Therefore, we assume,
without deciding, that it is a violation. Although it is undisputed that Sawyer
Point was aware that the 1999 Addition would be built within the setback, we
conclude that, due to its reliance on “an error in ordinance interpretation or
applicability made by a municipal official in the process of issuing a permit
over which that official had authority,” RSA 674:33-a, I(b), Sawyer Point was
“ignoran[t] of the facts constituting the violation.” RSA 674:33-a, I(d)
(emphasis added). Therefore, we hold that Paragraph I(d) is satisfied. Indeed,
given these facts, to hold otherwise would produce an unjust result. See
Carrier, 165 N.H. at 721 (observing that, when construing statutes, we avoid
producing an absurd or unjust result).
Although, due to the operation of Paragraph II, Paragraph I(b) does not
apply to the 1999 Addition because the violation is more than ten years old,
our interpretation of Paragraph I(d) must be broad enough to encompass
situations involving municipal error as described in Paragraph I(b). It would be
illogical and unjust if it were harder to secure an equitable waiver for violations
more than ten years old than for more recent violations.
To the extent that the Dietzes also argue that the requirements of RSA
674:33-a, I(d) were not satisfied in regard to the 2008 Addition, we decline to
address that argument because it is not fully developed. See State v.
Blackmer, 149 N.H. 47, 49 (2003) (confining our review to only those issues
that have been fully briefed).
The Dietzes next argue that the trial court erred and impermissibly
shifted the burden of proof onto them when, in analyzing whether Sawyer Point
was aware of the location of the setback line, it stated that “the ZBA heard no
evidence that Sawyer Point or Braun believed the interior floor plan and 1999
sketch . . . accurately depicted the front setback.” The Dietzes contend that
the trial court’s analysis runs counter to the equitable waiver statute, which
places the burden on the property owner to establish at the ZBA that each of
the elements for a waiver has been satisfied. See RSA 674:33-a, I. We are not
8
persuaded, primarily because we disagree with the Dietzes’ interpretation of the
trial court order. See Edwards v. RAL Auto. Group, 156 N.H. 700, 705 (2008)
(observing that the interpretation of a trial court order presents a question of
law for us to decide).
We read the trial court’s order as positing that, had certain evidence been
presented to the ZBA, the ZBA might have changed its analysis and
conclusions. Pursuant to RSA 674:33-a, I, Sawyer Point had the burden of
proof at the ZBA to show that its application met the statutory requirements for
an equitable waiver. However, once the ZBA granted the waivers and the
Dietzes appealed to the trial court, the burden of proof shifted to the Dietzes to
show that the ZBA made an error of law, or that its decision was unreasonable.
Harrington, 152 N.H. at 77. Here, based on the record before it, and absent
such additional evidence, the trial court found that the ZBA’s decision was not
unreasonable. We find no error.
The Dietzes next argue that the trial court erred in its application of the
balancing test set forth in RSA 674:33-a, I(d). Paragraph I(d) provides that the
ZBA may grant an equitable waiver if it finds that “the cost of correction so far
outweighs any public benefit to be gained, that it would be inequitable to
require the violation to be corrected.” RSA 674:33-a, I(d). Specifically, the
Dietzes argue that the equitable waivers should not have been granted because
Sawyer Point presented no evidence to show the cost of correcting the zoning
violations at issue. Sawyer Point counters that the members of the ZBA were
entitled to use their own knowledge to conclude that the cost of correcting the
zoning violations would, in this case, be substantial. We agree with Sawyer
Point.
The ZBA’s factual findings are deemed prima facie lawful and reasonable,
and “will not be set aside by the trial court absent errors of law, unless the
court is persuaded, based upon a balance of probabilities, on the evidence
before it, that the ZBA’s decision is unreasonable.” Harrington, 152 N.H. at 77.
Here, we conclude that the Dietzes have not established that the trial court
erred when it sustained the ZBA’s findings.
We have previously held that ZBA members may base their conclusions
upon “their own knowledge, experience and observations.” Biggs v. Town of
Sandwich, 124 N.H. 421, 427 (1984). Here, the ZBA members could properly
use their own knowledge and experience — as well as their common sense — to
conclude, as they did, that the cost of tearing down portions of the 1999 and
2008 Additions would “far outweigh[] any public benefit.” Moreover, it was not
unreasonable for both the ZBA and the trial court to credit the representations
made by Sawyer Point’s attorney that “the cost would be prohibitive to remove
the back of the house.”
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In the alternative, the Dietzes argue that, for purposes of Paragraph I(d),
the “cost of correction” should not be the cost of tearing down the additions,
but rather the de minimis cost of applying to the Town for a variance. We
disagree. There is nothing in the language of the statute to lend support to the
position that obtaining a variance would somehow “correct” the violation.
Indeed, a variance, rather than “correcting” a zoning violation, simply allows
that violation to continue. See 3 Arden H. Rathkopf et al., Rathkopf’s The Law
of Zoning and Planning § 58:1, at 58-2 (2012) (“A variance is the right to use or
to build on land in a way prohibited by strict application of a zoning ordinance.
It is permission given to a property owner to depart from the applicable zoning
requirements . . . .”). Accordingly, because a variance would not “correct” the
zoning violation, it cannot be the case that the cost of applying for a variance
would be the appropriate “cost of correction” for purposes of Paragraph I(d).
Finally, the Dietzes’ proferred interpretation of RSA 674:33-a, I(d) would, in
effect, make it impossible for an applicant to obtain an equitable waiver if the
applicant had not already applied for a variance — and been turned down.
Had the legislature intended to make applying for a variance — and having the
request denied — a prerequisite for securing an equitable waiver, it could easily
have said so. It did not, and we decline to do so in its stead. See Carrier, 165
N.H. at 721 (observing that we will not add language to a statute that the
legislature did not see fit to include).
The Dietzes also argue that the trial court erred in sustaining the ZBA’s
decision with respect to the “public benefit to be gained” by correction of the
violation. The Dietzes contend that the ZBA failed to consider the cumulative
effect of the failure to enforce the lakefront setback throughout the Town,
rather than just the impact of the specific violations at issue in this case. The
Dietzes rely on Bacon v. Town of Enfield, 150 N.H. 468 (2004), as support for
this proposition. Their reliance is misplaced. In Bacon, we addressed the
concept of cumulative effect in the context of the statutory requirement that an
applicant establish that granting a variance is “consistent with the spirit of the
[zoning] ordinance.” Bacon, 150 N.H. at 471-73. The same statutory
requirement is not present in the equitable waiver statute. Compare RSA
674:33, I(b)(2) with RSA 674:33-a.
Nor are we persuaded that the “cumulative impact” rationale endorsed by
the lead opinion in Bacon should be extended to the equitable waiver context.
The Dietzes argue that the mandate in Paragraph I(d) to weigh “any public
benefit to be gained,” RSA 674:33-a, I(d) (emphasis added), compels us to
consider the cumulative impact of zoning violations in the equitable waiver
context. We disagree. Paragraph I(d) provides: “That due to the degree of past
construction or investment made in ignorance of the facts constituting the
violation, the cost of correction so far outweighs any public benefit to be
gained, that it would be inequitable to require the violation to be corrected.”
RSA 674:33-a, I(d) (emphasis added). When read in its entirety, and within the
10
context of RSA 674:33-a as a whole, Paragraph I(d) is clear that the scope of
the cost-benefit analysis is properly limited to the specific zoning violation at
issue.
Accordingly, the trial court did not err when it sustained the ZBA and
declined to weigh the cumulative effect of building within the lakefront setback
throughout the Town. Moreover, relying on the evidence before it, the trial
court agreed with the ZBA that there was little or no public benefit to be gained
by correcting the violations. Because the Dietzes have failed to show that this
finding was unreasonable or unsupported by the evidence, we uphold the trial
court’s decision. See Harrington, 152 N.H. at 77.
Finally, the Dietzes argue that, because the improvements on Sawyer
Point’s property, including the house and additions, allegedly exceed the
maximum lot coverage standards in the zoning district, the ZBA erred when it
granted the equitable waivers. However, purported lot coverage violations were
not germane to the equitable waiver applications that are under appeal;
therefore, the Dietzes’ allegations regarding lot coverage are not properly before
this court. Moreover, even if we were to assume that Sawyer Point’s
improvements exceeded the maximum lot coverage standards, there is nothing
in RSA 674:33-a that prohibits a property owner from seeking partial relief
from the Town’s zoning ordinance, nor have we been presented with any
authority supporting the proposition that partial relief would be void.
Because the additional issues raised in the Dietzes’ notice of appeal were
not briefed, they are deemed waived. See In re Estate of King, 149 N.H. 226,
230 (2003).
Affirmed.
LYNN, C.J., and HICKS, HANTZ MARCONI, and DONOVAN, JJ.,
concurred.
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