United States Court of Appeals
For the First Circuit
No. 10-1209
URI STUDENT SENATE ET AL.,
Plaintiffs, Appellants,
v.
TOWN OF NARRAGANSETT ET AL.,
Defendants, Appellees.
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF RHODE ISLAND
[Hon. William E. Smith, U.S. District Judge]
Before
Lynch, Chief Judge,
Selya and Thompson, Circuit Judges.
H. Jefferson Melish for appellants.
Marc DeSisto, with whom Mark A. McSally, Town Solicitor,
Kelly, Kelleher, Reilly & Simpson, and DeSisto Law were on brief,
for appellees.
January 5, 2011
SELYA, Circuit Judge. The town of Narragansett (the
Town), a sleepy seaside community in southern Rhode Island, boasts
some of the most beautiful beaches on the eastern seaboard. Each
summer, the Town experiences a substantial influx of seasonal
residents. Each fall, the Town empties out, leaving a large number
of dwellings unoccupied. The Town's proximity to the University of
Rhode Island (URI) makes these dwellings attractive for student
housing.
This thriving rental market among college students has
proven to be both a blessing and a curse. On the one hand, the
clamor for student housing is an economic boon to property owners
willing to rent their dwellings. On the other hand, the sheer mass
of exuberant young people and their predilections have proven to be
a threat to the quality of life in a quiet enclave.
In an effort to balance these competing concerns, the
Town adopted a novel ordinance authorizing local police officers to
post a bright orange sticker at the front entrance of any residence
found to have hosted an "unruly gathering." The ordinance has had
its detractors, and this case was brought as a multifaceted
challenge to it. The challengers complain that the ordinance is
both preempted by state law and unconstitutional on its face.
The district court, in a thoughtful and comprehensive
rescript, rejected these plaints. See URI Student Senate v. Town
of Narragansett, 707 F. Supp. 2d 282 (D.R.I. 2010). After careful
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consideration, we find that the Town's unorthodox solution to the
problems caused by unruly gatherings does not, on its face, offend
either state law or the United States Constitution. Accordingly,
we affirm.
I. BACKGROUND
We first recount the circumstances surrounding the
adoption of the ordinance and summarize its terms. We then limn
the travel of the case.
A. The Ordinance.
The Narragansett Town Council initially adopted an
"unruly gatherings" ordinance in 2005. It amended that ordinance
in 2007. The amended version (the Ordinance), codified at chapter
46, article II, of the Town's Code of Ordinances, remains in force.
We refer throughout to that version, which is reprinted in the
appendix.
Section 46-31 of the Ordinance empowers local police
officers to intervene at and disperse gatherings that are sparking
"a substantial disturbance." The police may only do so, however,
when the disturbance involves "a violation of law." Subsection (a)
provides an illustrative list of instances of unlawful conduct that
might constitute such a violation (e.g., excessive noise,
obstruction of public streets, illegal parking, public drunkenness
or urination, service of alcohol to minors).
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Once the police have abated and dispersed an unruly
gathering, subsection 46-32(a) authorizes them to prominently post
a notice on the premises. This notice takes the form of a bright
orange ten-by-fourteen-inch sticker, which is affixed on or near
the front entrance of the building.1 The sticker contains an
explicit message. It admonishes that, should police intervention
be required in response to another violation at the same address
during the same posting period, various parties (e.g., the owners
and residents of the premises, the sponsors of the unruly
gathering, and any guests who cause a nuisance) will be held
jointly and severally liable. Landlords are informed by mail of
both the posting and the violation that led to it.
The Ordinance makes explicit allowance for certain
defenses to prosecution for a subsequent violation. For example,
under subsection 46-34(a)(5), a showing that only uninvited
participants engaged in the proscribed conduct serves as a defense
for innocent landlords, tenants, or event sponsors. To assert this
defense, a landlord, tenant, or sponsor must show that she took
"all steps reasonably necessary to exclude" the responsible
1
The record does not explain why the color orange was
selected. Thus, like Nathaniel Hawthorne reflecting on a similar
conundrum, one wonders if there is "some deep meaning in it, most
worthy of interpretation, and which, as it were, streamed forth
from the mystic symbol, subtly communicating itself to [one's]
sensibilities, but evading the analysis of [one's] mind."
Nathaniel Hawthorne, The Scarlet Letter, intro. (1850). In the
end, however, the choice of hue, though perplexing, is not relevant
to the issues on appeal.
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individuals. As to landlords, such exclusionary actions include
"actively attempting" to evict boisterous tenants.
The posting periods prescribed by subsection 46-32(a)
correspond with the economic realities of the seasonal housing
cycle. If a building is posted between the beginning of September
and the end of May, the sticker must remain in place until May 31.
If a building is posted between the beginning of June and the end
of August, the sticker must remain in place until August 31.
Under subsection 46-32(b), landlords and tenants are
jointly responsible for maintaining the notice in place. If a
landlord or tenant removes the sticker, abets its removal, or
tampers with it during the posting period, she is subject to a
fine.
Section 46-35 delineates the penalties associated with
infractions at previously posted dwellings. Under subsection (a),
the first post-posting intervention during a given posting period
incurs a $300 fine; the second, a $400 fine; and any further
intervention, a $500 fine. Under subsection (b), violators may be
required to perform community service or, for repeat offenders,
community service is mandatory.
The Town routinely compiles statistics relating to its
enforcement of the Ordinance. Its roster of offending dwellings
includes all addresses at which police officers have intervened to
abate and disperse unruly gatherings. It also maintains a list
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that features data relating to Ordinance violations committed by
URI students.
B. Travel of the Case.
In May of 2008, the appellants challenged the Ordinance
in a Rhode Island court. The defendants removed the case to the
district court in pursuance of federal question jurisdiction. See
28 U.S.C. §§ 1331, 1441.
The lead plaintiff-appellant is the URI Student Senate,
which claims to represent the interests of URI students generally.
The remaining plaintiffs, also appellants here, can be sorted into
three categories. The first group comprises individual URI
students who reside in Narragansett and have felt the sting of the
Ordinance. These appellants claim, among other things, that they
have been subjected to university disciplinary procedures as a
result of violating the Ordinance.2 The second group consists of
URI students whose rented abodes have been posted with orange
stickers. These appellants claim that they were evicted from their
homes and referred to the URI Student Life Office as a result. The
last group comprises landlords who have had their rental properties
posted. These appellants claim that they have been unable to re-
rent their properties and, consequently, have lost rental income.
2
Criminal prosecution of those individuals for subsequent
violations was underway in municipal court prior to the
commencement of this suit. These proceedings have been held in
abeyance.
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The defendants, appellees here, are the Town and a galaxy of
municipal officials. For ease in exposition, we refer to the Town
as if it were the sole defendant.
The complaint is cast mostly, but not entirely, as a
series of constitutional challenges. The exception is a preemption
claim positing that the Ordinance is preempted by a state statute.
The constitutional claims allege variously that the Ordinance (i)
violates substantive due process, (ii) is unconstitutionally vague,
(iii) is overbroad, (iv) offends the requirements of procedural due
process, and (v) deprives the appellants of equal protection of the
law.
In due season, the parties cross-moved for summary
judgment on stipulated facts. The district court denied the
appellants' motion and granted the cross-motion. URI Student
Senate, 707 F. Supp. 2d at 304. The court expressed concern about
the absence of any pre-posting opportunity to challenge the orange
stickers, id. at 296, 302, but nonetheless upheld the Ordinance.
This timely appeal ensued.
II. ANALYSIS
We begin our analysis with the preemption claim and then
move to the constitutional claims. Before undertaking this
exegesis, we pause to memorialize the standard of review.
We review an appeal from the entry of summary judgment de
novo. Osediacz v. City of Cranston, 414 F.3d 136, 139 (1st Cir.
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2005). In so doing, we take the facts and all reasonable
inferences therefrom in the light most hospitable to the nonmoving
party. Borges ex rel. S.M.B.W. v. Serrano-Isern, 605 F.3d 1, 4
(1st Cir. 2010). "We will affirm only if the record reveals 'no
genuine issue as to any material fact' and 'the movant is entitled
to judgment as a matter of law.'" Vineberg v. Bissonnette, 548
F.3d 50, 55 (1st Cir. 2008) (quoting Fed. R. Civ. P. 56(c)(2)).
A. Preemption.
The appellants assert that the Ordinance is preempted by
the Rhode Island Residential Landlord and Tenant Act (L&T Act),
R.I. Gen. Laws §§ 34-18-1 to 34-18-57. As its title implies, the
L&T Act speaks to the rights and obligations of landlords and
tenants within Rhode Island. See id. §§ 34-18-2, 34-18-7. In
advocating preemption, the appellants rely on section 34-18-36,
which gives most tenants the right to cure any material breach of
a rental agreement prior to eviction.3
Under Rhode Island law, a municipal ordinance may be
preempted by a state statutory scheme either if the ordinance
conflicts with the statutory scheme or if it can be shown that the
General Assembly intended its statutory scheme to occupy the whole
of the regulatory field in connection with a given subject.
3
The L&T Act makes separate provisions for what it calls
"seasonal" tenants. See R.I. Gen. Laws § 34-18-36(f). The case at
hand does not turn on any such distinction and, thus, we refer to
tenants generally.
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Amico's Inc. v. Mattos, 789 A.2d 899, 907 (R.I. 2002); Town of
Warren v. Thornton-Whitehouse, 740 A.2d 1255, 1261 (R.I. 1999).
The appellants' preemption argument rests on the first of these
lines of attack: the supposed existence of a conflict between the
Ordinance and the L&T Act.4
The appellants contend that the Ordinance conflicts with
section 34-18-36 of the L&T Act because it "requires" a landlord to
evict an offending tenant without providing the tenant with an
opportunity to cure. Eviction is required, the appellants say, so
that the landlord can avoid liability for subsequent Ordinance
violations at posted properties.
This argument represents a triumph of hope over reason.
The Ordinance does not require a landlord to initiate eviction
proceedings against an offending tenant. Rather, section 46-
34(a)(5) explains that the owner of a previously posted property
may avoid liability for a subsequent unruly gathering at that
location as long as the owner is "actively attempting to evict a
tenant from the premises." Affording the landlord an "ongoing
eviction" defense is not tantamount, either legally or practically,
to compelling him to institute eviction proceedings.
4
In their opening brief, the appellants make a passing
reference to section 34-18-7 as a possible source of field
preemption. This reference is not developed in any way and, thus,
no field preemption argument is properly before us. See United
States v. Zannino, 895 F.2d 1, 17 (1st Cir. 1990).
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The appellants try to dodge this bullet. They note that,
under the L&T Act, the first step in evicting a tenant is the
issuance of a noncompliance notice. R.I. Gen. Laws § 34-18-36.
The appellants declare that this provision grounds a preemption
claim because sending a notice of noncompliance is antithetic to an
active attempt at eviction.
This ipse dixit is not accompanied by any explanation as
to why or how the transmittal of a notice of noncompliance
interferes with, let alone negates, the active pursuit of eviction.
Bearing in mind that sending such a notice is the first step in the
eviction pavane, the two acts seem entirely compatible. Certainly,
there is nothing in either the text of the Ordinance or the letter
of the L&T Act that precludes simultaneous compliance with both.
In all events, conflict preemption requires a direct
conflict or something very close to it. See, e.g., Freightliner
Corp. v. Myrick, 514 U.S. 280, 287 (1995) (explaining that implied
conflict preemption may exist where it is "impossible for a . . .
party to comply with both . . . requirements" or where a provision
"stands as an obstacle to the accomplishment and execution of the
full purposes and objectives" of the legislature (quotations
omitted)). An awkward fit, without more, will not support a claim
of conflict preemption.
In the instant case, we are unable to discern either a
direct conflict or an irreconcilable inconsistency between the
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provisions of the Ordinance and the provisions of the L&T Act. We
therefore hold, without serious question, that the L&T Act does not
preempt the Ordinance.
B. Constitutional Claims.
The appellants advance a compendium of constitutional
challenges to the Ordinance. Because they have not pressed either
their generalized substantive due process or equal protection
claims, we eschew any further discussion of those initiatives.
Without exception, what remains are facial challenges.5
1. Procedural Due Process. We start with the contention
that the Ordinance deprives both landlords and tenants of
procedural due process. The appellants pounce on the fact that the
Ordinance allows the police to plaster an orange sticker on a
dwelling without affording either the landlord or the tenants any
opportunity for a hearing.6
5
At oral argument, the appellants stated that they were
making both facial and as-applied challenges. The record belies
that statement. Although their brief characterizes the complaint
as contesting the Ordinance "on its face and as applied," the
appellants argued the case in the district court as a facial
challenge and the district court decided it on that basis. See URI
Student Senate, 707 F. Supp. 2d at 288. That approach was
unavoidable as the appellants failed to introduce any evidence
sufficient to underpin an as-applied challenge.
6
No specific claim is made in this case that persons
exonerated from charges brought under the Ordinance have been
unable either to get the orange stickers removed from their
residences or to have their names and addresses expunged from the
rosters of offenders and offending sites. Cf. Los Angeles Cnty. v.
Humphries, 562 U.S. ___, slip op. at 2 (2010) (addressing 42 U.S.C.
§ 1983 claim brought by plaintiffs who were accused of child abuse,
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It is familiar lore that the essence of procedural due
process is prior notice and an opportunity to be heard. Bd. of
Regents v. Roth, 408 U.S. 564, 573 (1972). But this principle does
not operate in a vacuum. In order to show a deprivation of
procedural due process, a party must first show that the challenged
action implicates a constitutionally protected liberty or property
interest. Id. at 569-70; Redondo-Borges v. U.S. Dep't of HUD, 421
F.3d 1, 7 (1st Cir. 2005); see also U.S. Const. amend. XIV, § 1.
In an effort to cross this threshold, the appellants
focus on reputational harm, that is, the allegedly stigmatizing
effects of the Ordinance. They say that when a residence is posted
with an orange sticker, both the landlord and the tenants are
publicly branded as criminals. They add that this stigma is
heightened by the Town's action in keeping a publicly available
register of all posted premises.
Student tenants are alleged to suffer a further
detriment. When an orange sticker is posted on premises occupied
by a university student, the Town informs URI. In the appellants'
view, this additional step exposes student tenants to disciplinary
proceedings and exacerbates the stigmatizing effect of the
postings.
later exonerated, yet were unable to convince relevant officials to
remove their names from a widely available central index).
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This argument cannot withstand scrutiny. In
constitutional jurisprudence, stigmatization is a term of art. The
Supreme Court has made clear that a procedural due process claim
cannot rest upon reputational harm alone. Paul v. Davis, 424 U.S.
693, 701 (1976). Thus, when a person alleges that she has suffered
stigmatization at the hands of a government actor, she must show an
adverse effect on some interest "more tangible" than reputational
harm. Id. To use the popular catch phrase, the complaining party
must satisfy a "stigma plus" standard. Pendleton v. City of
Haverhill, 156 F.3d 57, 63 (1st Cir. 1998).
The "plus" part of this formulation is not an empty
formality. In determining whether there exists a cognizable harm,
the stigma plus standard requires us to address two distinct
components: (i) the nature of the incremental harm to which the
appellants point and (ii) the source of that harm.
A party who claims a violation of her procedural due
process rights based on reputational harm must show that the
challenged governmental action adversely impacted some right or
status previously enjoyed by her under substantive state or federal
law. See Paul, 424 U.S. at 710-12; Silva v. Worden, 130 F.3d 26,
32 (1st Cir. 1997). For this purpose, harm to a right or status
that does not emanate from substantive state or federal law is
insufficient. Such harm thus does not qualify as harm to a more
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tangible interest within the purview of the stigma plus standard.
See Pendleton, 156 F.3d at 63.
The nature of the affected interest is not the only
hurdle that a complaining party must overcome in order to satisfy
the stigma plus standard. The standard requires that the change in
rights or status be directly attributable to the challenged
governmental action. Id. Where the stigma and the incremental
harm — the "plus" factor — derive from distinct sources, a party
cannot make out a viable procedural due process claim. See, e.g.,
Hawkins v. R.I. Lottery Comm'n, 238 F.3d 112, 116 (1st Cir. 2001).
That is true even if both sources are government entities. See id.
The appellants acknowledge that a showing beyond purely
reputational harm is required by the stigma plus standard. To meet
that requirement, they describe two injuries that they claim result
from the postings.7
First, the appellants aver that the L&T Act provides them
with rights "to housing, to cure breaches, to notice, [and] to
possession." Second, they tout the "right to rent and live in
Narragansett free of public branding." These rights, they insist,
implicate protected liberty and property interests, and the
infringement of them suffices to trigger the stigma plus standard.
7
In their discussion of procedural due process, the
appellants repeatedly mention that a posting under the Ordinance
exposes them to prosecution and fines. But they neither present
this exposure as a "plus" factor nor otherwise tie it to any
specific legal doctrine.
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There is, however, no cognizable harm. The appellants
say that some landlords have been unable to re-rent posted
dwellings. Taking this as true, the resulting loss of rent is not
a viable "plus" factor. Nothing in the L&T Act (or elsewhere in
state law, for that matter) confers on landlords an entitlement to
have rental units fully occupied. Rather, the L&T Act for the most
part leaves the negotiation of leases and rates to the marketplace
— that is, to the landlord and each prospective tenant. See R.I.
Gen. Laws § 34-18-15(a). This framework plainly contemplates that
rental income is contingent on the availability of willing renters.
Viewed against this backdrop, it cannot seriously be suggested that
state law creates an entitlement to a steady stream of rental
income that would qualify as a "more tangible" interest (and, thus,
as a "plus" factor).
Similarly, the vacancies that the appellants lament do
not result from state action but, rather, from the actions of third
parties. After all, it is prospective tenants, acting without
government compulsion, who decide whether or not to rent particular
dwellings. A prospective tenant can base her decision not to rent
on a multitude of factors including cost, location, amenities, and
condition. There is nothing that prevents her, as a private party,
from weighing in this balance the presence of an orange sticker.
These third-party decisions are not attributable to state action in
the requisite sense. See Lugar v. Edmondson Oil Co., 457 U.S. 922,
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937-39 (1982) (describing circumstances in which private party's
actions may be considered "fairly attributable" to the state);
Logiodice v. Trs. of Me. Cent. Inst., 296 F.3d 22, 26 (1st Cir.
2002) (similar). When a specified harm is predicated on voluntary
third-party behavior, it cannot serve as a "plus" factor.
Pendleton, 156 F.3d at 63.
The student tenants' proposed "plus" factor is no more
robust. This claim relies on evictions as a source of harm. It
suggests that a tenant has a right to peaceable enjoyment of a
rented dwelling free from eviction and that, therefore, eviction
represents a cognizable "plus" factor. This is too sanguine a
view.
The student tenants' claim is defeated by the fact that
their residential rights derive primarily from private contracts
(leases) between private parties (landlords and tenants), which
entail private obligations. The L&T Act does not itself create a
right to tenancies of any particular duration. In the last
analysis, it is the lease terms (and the tenant's compliance with
them) that generally determine the tenant's right to remain in a
rented dwelling.8 That is dispositive because a constitutionally
8
Of course, under the L&T Act a tenant "charged with
violating a municipal ordinance" may be subject to an expedited
eviction. R.I. Gen. Laws § 34-18-36(f). Although this provision
may constitute a basis, beyond the explicit terms of the lease, for
terminating a tenancy more quickly, it does not create a property
interest outside of the lease.
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protected property interest must rest on a right or status
conferred by state law, not merely on the complaining party's
unilateral expectations. See Paul, 424 U.S. at 710-11; Roth, 408
U.S. at 577.
Of course, we recognize that there are situations in
which the Ordinance might be enforced in such a way as to implicate
the legitimate, constitutionally protectable property rights of
affected landlords and tenants. The record in this case, however,
does not contain any indication that such events have transpired.
Though we conclude that, on the record before us, the appellants
have failed to show that enforcement of the Ordinance has resulted
in harm to a cognizable liberty or property interest, this
conclusion does not preclude the possibility of a meritorious as-
applied challenge premised on more fully developed facts.
The district court also considered whether the fact that
students had been subjected to URI disciplinary procedures could
serve as a "plus" factor. URI Student Senate, 707 F. Supp. 2d at
301-02. It rejected that hypothesis. Id. at 301. The appellants
do not mount a credible challenge to this conclusion: although they
note in their briefs that students were referred to URI for
possible discipline, they do not point specifically to these
referrals as a source of incremental harm. Nor do they offer any
explanation as to how disciplinary referrals might constitute a
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"plus" factor. Any argument to this effect is, therefore, waived.
See United States v. Zannino, 895 F.2d 1, 17 (1st Cir. 1990).
The appellants have one last arrow in this quiver. They
complain that the Ordinance prevents them from living in
Narragansett. That is codswallop pure and simple: the Ordinance
does not prevent anyone from living anywhere. Although the
Ordinance creates consequences for those who choose to reside in
the Town but fail to abide by the law, these consequences, whether
viewed singly or collectively, do not constitute harm to any
tangible interest enjoyed by the appellants.
Let us be perfectly clear. We, like the district court,
are uneasy about the absence of a hearing. In addition, we
recognize that there are potential applications of the Ordinance
that might impair constitutionally protected liberty or property
interests (say, if the police were to enforce the Ordinance in an
invidiously discriminatory way). But the appellants have brought
a facial challenge, not an as-applied challenge, and the record is
barren of evidence that unconstitutional applications have
occurred. The mere possibility of misuse is insufficient to
invalidate an ordinance on a facial attack. See Ohio v. Akron Ctr.
for Reprod. Health, 497 U.S. 502, 514 (1990).
To conclude, the appellants have failed to demonstrate,
as would be required to sustain a facial challenge, that any of the
incremental harms to which they point in the hope of satisfying the
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requirements of the stigma plus standard inevitably results from
the Ordinance's implementation. We therefore reject the
appellants' procedural due process claim.
2. Overbreadth. The appellants complain that the
Ordinance is overly broad. The focal point of this plaint is their
allegation that the Ordinance penalizes landlords and tenants
merely because of their association with a place or an event and,
thus, trenches upon the First Amendment right of association.9
Landlords and tenants, they say, are free to host social gatherings
and invite such persons as they may wish.
We need not linger long over this asseveration. "[T]he
overbreadth doctrine permits the facial invalidation of laws that
inhibit the exercise of First Amendment rights if the impermissible
applications of the law are substantial when 'judged in relation to
the statute's plainly legitimate sweep.'" Chicago v. Morales, 527
U.S. 41, 52 (1999) (quoting Broadrick v. Oklahoma, 413 U.S. 601,
615 (1973)). Thus, "[i]n a facial challenge to the overbreadth
. . . of a law, a court's first task is to determine whether the
enactment reaches a substantial amount of constitutionally
protected conduct. If it does not, then the overbreadth challenge
must fail." Vill. of Hoffman Estates v. Flipside, Hoffman Estates,
9
The appellants also suggest that the "right of landlord and
tenant to contract . . . is infringed" by the overbreadth of the
Ordinance. The appellants, however, have offered no authority to
suggest that the right to contract is a recognized First Amendment
interest. Manifestly, it is not.
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Inc., 455 U.S. 489, 494 (1982); accord Whiting v. Town of Westerly,
942 F.2d 18, 21 (1st Cir. 1991). The Supreme Court has warned that
"[t]he overbreadth doctrine is 'strong medicine' that is used
'sparingly and only as a last resort.'" N.Y. State Club Ass'n v.
City of New York, 487 U.S. 1, 14 (1988) (quoting Broadrick, 413
U.S. at 613); see also McCullen v. Coakley, 571 F.3d 167, 182 (1st
Cir. 2009); New Engl. Accessories Trade Ass'n v. City of Nashua,
679 F.2d 1, 4 (1st Cir. 1982).
The appellants' overbreadth argument misses the mark.
The constitutionally protected right of association cannot be
reinvented to suit a plaintiff's fancy. It has never been expanded
to include purely social gatherings. Rather, it is contingent on
the presence of underlying individual rights of expression
protected by the First Amendment. See Wine & Spirits Retailers,
Inc. v. Rhode Island, 418 F.3d 36, 50 (1st Cir. 2005). As we
explain below, there is no such underlying right at stake here.
The Court has identified two types of "freedom of
association" that merit constitutional protection: (i) "choices to
enter into and maintain certain intimate human relationships" and
(ii) association "for the purpose of engaging in those activities
protected by the First Amendment." Roberts v. U.S. Jaycees, 468
U.S. 609, 617-18 (1984). These categories cannot be stretched to
form a generic right to mix and mingle. City of Dallas v. Stanglin,
490 U.S. 19, 24 (1989) (concluding that ordinance restricting
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attendance at dance halls did not reach the kind of "expressive
association that the First Amendment has been held to protect").
In the teeth of these authorities, the appellants urge us to
sanctify a generalized "right to congregate and socialize." This
free-wheeling right far outstrips the bounds of recognized First
Amendment protections.
In the case at hand, we have construed the Ordinance as
requiring that the prosecution prove that an offending gathering
created not only a substantial disturbance but also one involving
a violation of law. See infra Part II(B)(3). Mere police
intervention is not enough. See id. In light of this construction,
we conclude that the Ordinance does not reach "a substantial amount
of constitutionally protected conduct." Vill. of Hoffman Estates,
455 U.S. at 494.
The concern that the Ordinance, if applied in certain
instances, could infringe upon constitutionally protected rights
(by, say, being invoked to interfere with a political gathering or
to disband a prayer meeting) may be valid in the abstract. But we
do not deal here in abstractions, and the appellants have neither
pressed nor adduced evidence to support an as-applied challenge.
More is needed to sustain a facial overbreadth challenge. Cf.
Morales, 527 U.S. at 52-53 (declining to invalidate ordinance on
facial overbreadth grounds because it prohibited neither speech nor
any form of expressive conduct).
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3. Vagueness. Finally, the appellants maintain that
section 46-31 of the Ordinance is unconstitutionally vague. They
bemoan the Ordinance's use of undefined terms such as "substantial
disturbance," "public nuisance," and "a significant segment of a
neighborhood." These terms, the appellants theorize, do not
provide landlords, tenants, or other persons fair notice as to what
behavior is proscribed. Furthermore, the phrases fail to provide
objective standards under which those charged with enforcing the
Ordinance can do so even-handedly.
"It is a basic principle of due process that an enactment
is void for vagueness if its prohibitions are not clearly defined."
Grayned v. City of Rockford, 408 U.S. 104, 108 (1972). A law that
survives an overbreadth challenge because it does not reach a
substantial amount of conduct protected by the First Amendment may
still be vulnerable to a facial vagueness challenge under the Due
Process Clause. Whiting, 942 F.2d at 22. "For such a facial
challenge to succeed, however, the complainant must demonstrate
that the law is impermissibly vague in all of its applications."
Id.; see Donovan v. City of Haverhill, 311 F.3d 74, 77 (1st Cir.
2002) ("To prevail in a facial challenge to an ordinance that does
not regulate constitutionally protected conduct, plaintiffs must
surmount a dauntingly high hurdle.") (citing Vill. of Hoffman
Estates, 455 U.S. at 498-99).
-22-
To comport with the strictures of due process, a law must
define an offense "'[1] with sufficient definiteness that ordinary
people can understand what conduct is prohibited and [2] in a
manner that does not encourage arbitrary and discriminatory
enforcement.' The void-for-vagueness doctrine embraces these
requirements." Skilling v. United States, 130 S. Ct. 2896, 2927-28
(2010) (quoting Kolender v. Lawson, 461 U.S. 352, 357 (1983)); see
also United States v. Williams, 553 U.S. 285, 304 (2008); Morales,
527 U.S. at 56; McCullen, 571 F.3d at 182-83. Nevertheless, words
are rough-hewn tools, not surgically precise instruments.
Consequently, some degree of inexactitude is acceptable in
statutory language. See Grayned, 408 U.S. at 110 (acknowledging
that one "can never expect mathematical certainty from our
language"). Consistent with this reality, "the fact that a statute
requires some interpretation does not perforce render it
unconstitutionally vague." IMS Health Inc. v. Ayotte, 550 F.3d 42,
61 (1st Cir. 2008); see also Barr v. Galvin, ___ F.3d ___, ___ (1st
Cir. 2010) [No. 09-2426, slip op. at 16]. It follows that
"reasonable breadth" in the terms employed by an ordinance does not
require that it be invalidated on vagueness grounds. Grayned, 408
U.S. at 110.
We are convinced that the Ordinance is sufficiently clear
to survive the appellants' vagueness challenge. Words such as
"substantial" and "significant," if read in a vacuum, might be
-23-
problematic. Cf. Fantasy Book Shop, Inc. v. City of Boston, 652
F.2d 1115, 1119, 1123-24 (1st Cir. 1981) (finding impermissibly
vague provision allowing denial of license where granting it would
"otherwise significantly harm[] the legitimate protectable
interests of the affected citizens of the city" (alteration in
original)). Here, however, the challenged phrases do not appear in
a vacuum. The Ordinance contains additional terms that supply
concrete guidance as to the behavior that it prohibits and the
circumstances in which it can be enforced.
Perhaps most important, section 46-31 authorizes police
intervention only in the event that "conduct constituting a
violation of law" occurs. The prerequisite "violation of law" must
pertain to some law other than the Ordinance itself. In our view,
the requirement that a violation of law be committed as a condition
precedent to police intervention provides adequate guidance to
ensure that the Ordinance is not arbitrarily enforced. See
Grayned, 408 U.S. at 112 (noting that existence of particularized
enforcement context may undercut claim of vagueness).
Our conclusion that the Ordinance withstands the
appellants' assault is reinforced by other considerations. First,
subsection 46-31(a) furnishes a non-exhaustive list of predicate
offenses that will allow a police officer to enforce the Ordinance.
The existence of clear examples of conduct covered by a law may, in
certain circumstances, help to insulate the law against an
-24-
accusation of vagueness. See, e.g., Parker v. Levy, 417 U.S. 733,
754 (1974).
Second, we are privy to a straightforward articulation of
the Town's purpose in adopting the Ordinance. This clear statement
helps to dispel any uncertainty.
The Supreme Court has looked to an ordinance's preamble
to ascertain what activity it was intended to prohibit. See
Grayned, 408 U.S. at 110-11; see also IMS Health, 550 F.3d at 62
(noting that, in adjudicating a facial vagueness challenge, "the
state's articulated purpose narrows the interpretive lens through
which we must view the problem"). The preamble to the original
version of the Ordinance explains that "due to inadequate
supervision, some large gatherings of people . . . frequently
become loud and unruly to the point that they constitute a threat
to the peace, health, safety, or general welfare of the public."
It goes on to explain that the Town is required to respond over and
over to such gatherings "to restore and maintain the peace and
protect public safety" and that such repetitive responses unduly
burden municipal resources. It is thus apparent that the Ordinance
is aimed at "discourag[ing] the occurrence of repeated loud and
unruly gatherings." We think that this plainly articulated purpose
is a significant contextual clue. In this instance, it helps to
inform the meaning of the contested language.
-25-
In the interest of clarity, we note that we read the
Ordinance to require that, in order to impose liability under
sections 46-34 and 46-35, the prosecution most prove that a
gathering creating a substantial disturbance involving a violation
of law occurred both at the time of the initial posting and when
the subsequent intervention took place. Police intervention at a
residence is not enough, by itself, to establish an Ordinance
violation. Thus, the penalties prescribed by the Ordinance — fines
and community service — cannot flow merely from a police officer's
decision to intervene at a gathering.
The bottom line is that, viewed in context, it is clear
what conduct the Ordinance as a whole forbids. Taken together, the
requirement that someone at a gathering must have committed a
predicate offense, the list of examples of violations of law that
might serve as such a predicate to police intervention included in
the Ordinance, and the Town's articulated concern about quality-of-
life issues provide sufficient enforcement guidance to police and
adequately define the type of behaviors prohibited by the
Ordinance. One can envision many permissible applications of the
Ordinance. No more is exigible to ward off a facial challenge
premised on vagueness grounds. See, e.g., Vill. of Hoffman
Estates, 455 U.S. at 497; Whiting, 942 F.2d at 22.
-26-
III. CONCLUSION
We need go no further. For the reasons articulated
above, we uphold the entry of summary judgment.
Affirmed.
-27-
Appendix10
The current version of the Ordinance provides:
Sec. 46-31. Public nuisance.
(a) It shall be a public nuisance to
conduct a gathering of five or more persons on
any private property in a manner which
constitutes a substantial disturbance of the
quiet enjoyment of private or public property
in a significant segment of a neighborhood, as
a result of conduct constituting a violation
of law. Illustrative of such unlawful conduct
is excessive noise or traffic, obstruction of
public streets by crowds or vehicles, illegal
parking, public drunkenness, public urination,
the service of alcohol to minors, fights,
disturbances of the peace, and litter.
(b) A gathering constituting a public
nuisance may be abated by all reasonable means
including, but not limited to, an order
requiring the gathering to be disbanded and
citation and/or arrest of any law violators
under any applicable ordinances and state
statutes.
Sec. 46-32. Notice of unruly gathering;
posting, mailing.
(a) When the police department
intervenes at a gathering which constitutes a
nuisance under this article, the premises at
which such nuisance occurred shall be posted
with a notice stating that the intervention of
the police has been necessitated as a result
of a public nuisance under this article caused
by an event at the premises, the date of the
police intervention, and that any subsequent
event within the period set forth below on the
same premises, which necessitates police
intervention, shall result in the joint and
10
We reproduce here the version of the Ordinance that is
currently available through the Town's official website. This
version differs in a small number of petty ways from the version of
the Ordinance on record in this case as an attachment to the agreed
statement of facts. Any differences are of absolutely no
significance in the resolution of this appeal.
-28-
several liability of any guests causing the
public nuisance, or any persons who own or are
residents of the property at which the public
nuisance occurred, or who sponsored the event
constituting the public nuisance as more fully
set forth below. Any notice posted between
September 1 and May 31 of any year shall
remain posted until May 31. Any notice posted
between June 1 and August 31 of any year shall
remain posted until August 31.
(b) The residents and owner of such
property shall be jointly responsible for
ensuring that such notice is not removed or
defaced and it shall be a Code violation
carrying a penalty of a minimum, mandatory
$100.00 fine in addition to any other
penalties which may be due under this section
if such notice is removed, obscured or
defaced, provided, however, that the residents
of the premises or sponsor of the event, if
present, shall be consulted as to the location
in which such notice is posted in order to
achieve both the security of the notice and
its prominent display.
Sec. 46-33. Mailing of notice to property
owner.
Notice of the intervention shall also
be mailed to any property owner on the Town of
Narragansett property tax assessment records
and shall advise the property owner that any
subsequent such intervention within posting
periods set forth in section 46-32(a) on the
same premises shall result in liability of the
property owner for all penalties associated
with such intervention as more particularly
set forth below.
Sec. 46-34. Persons liable for subsequent
response to gathering constituting a public
nuisance.
(a) If the police department is
required to respond to a gathering
constituting a public nuisance on the premises
more than once in any posting periods set
forth in section 46-32(a), the following
persons shall be jointly and severally liable
for fines as set forth below:
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(1) The person or persons who own the
property where the gathering constituting the
public nuisance took place, provided that
notice has been mailed to the owner of the
property as set forth herein and the gathering
occurs at least two weeks after the mailing of
such notice.
(2) The person or persons residing on
or otherwise in control of the property where
such gathering took place.
(3) The person or persons who
organized or sponsored such gathering.
(4) All persons attending such
gatherings who engage in any activity
resulting in the public nuisance.
(5) Nothing in this section shall be
construed to impose liability on the resident
or owners of the premises or sponsor of the
gathering, for the conduct of persons who are
present without the express or implied consent
of the resident or sponsor, as long as the
resident and sponsor have taken all steps
reasonably necessary to exclude such uninvited
participants from the premises, including
landlords who are actively attempting to evict
a tenant from the premises.
(b) Where an invited guest engages in
conduct which the sponsor or resident could
not reasonably foresee and the conduct is an
isolated instance of a guest at the event
violating the law which the sponsor is unable
to reasonably control without the intervention
of the police, the unlawful conduct of the
individual guest shall not be attributable to
the sponsor or resident for the purposes of
determining whether the event constitutes a
public nuisance under this section.
Sec. 46-35. Penalties for violation.
(a) It shall be a Code violation
punishable as set forth herein when
intervention at the same location to abate a
gathering constituting a public nuisance
occurs within any posting periods set forth in
section 46-32(a) after the property was posted
in accordance with section 46-11:
-30-
(1) For the first intervention in a
posting period the fine shall be a minimum
mandatory $300.00;
(2) For the second such intervention
in a posting period the fine shall be a
minimum mandatory $400.00;
(3) For any further such responses in
a posting day period the fine shall be a
minimum mandatory $500.00.
(b) In addition to the above, the
municipal court shall be authorized to order
the person or persons in violation to perform
community service. For a first intervention
ordering community service shall be
discretionary. For a second or third
intervention, the municipal court shall, in
addition to the monetary penalty set forth
above, order the person or persons in
violation to perform not less than 25 hours of
community service for a second intervention
and not less than 50 hours of community
service for a third intervention.
-31-