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      "PARKWAY BANK AND TRUST COMPANY, Trustee, et al., Plaintiffs-Appellants, v. THE CITY OF DARIEN et al., Defendants-Appellees."
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    "opinions": [
      {
        "text": "Mr. JUSTICE SEIDENFELD\ndelivered the opinion of the court:\nParkway Bank and Trust Company, as owner in trust of a 20-acre tract of real estate in the City of Darien, and Ceisel-McGuire Industries, as beneficiary of the trust, sued the defendant City, its mayor, aldermen and members of the Darien Plan Commission. They alleged defendants rezoned the 20-acre tract for a less intensive use without legal justification. Count I of plaintiffs\u2019 complaint seeks to declare the rezoning invalid and is presently pending in the trial court. Counts II, HI, and IV, however, were dismissed. Plaintiffs appeal from the judgment which was made final.\nCount H is entitled \u201cA Common Law Tort Action for Damages\u201d and is based upon the claim that the defendants knowingly and illegally interfered with plaintiffs\u2019 prospective business advantage by their conduct. The complaint includes the following allegations in substance. In 1971, when part of the real estate was located within the City of Darien and part within the unincorporated area of Du Page County, plaintiffs\u2019 predecessors obtained annexation of the unincorporated portion to the City of Darien. Upon annexation all of the subject property was zoned from the R-2 single-family dwelling district to the R-3 multiple-family dwelling district which allowed the development of 343 dwelling units on the property with a special use for a planned unit development. In good faith reliance upon the annexation and rezoning, plaintiffs\u2019 predecessors invested large sums of money for architectural and engineering fees, the purchase of adjoining property and incurred other expenses. They also contributed a large sum to the school district. In December of 1973 plaintiffs purchased the property at a price which reflected the new zoning classification and allege they would not have purchased the property if they were unable to construct the 343-unit development. In addition, plaintiffs expended further sums in reliance upon the zoning classification. Plaintiffs\u2019 actions notwithstanding, defendants individually and in their official capacity on about July 1,1974, authorized the rezoning of the property from its present classification to a planned unit development with a special use for the density of not more than 4 units to an acre and further directed that of the 80 units permitted, 42 were to be single-family residences. Plaintiffs allege these acts were done without legal authority and with knowing and intentional disregard for the law. In the alternative, plaintiffs claim defendants failed to ascertain and apply the law before acting upon the zoning. In this Count plaintiffs seek *350,000 in damages.\nIn Herman v. Prudence Mutual Casualty Co., 41 Ill. 2d 468 (1969), where the tort was defined in terms of section 766 of the Restatement of the Law of Torts, the court states at page 473:\n\u201c \u2018Except as stated in Section 698 [which is not here relevant], one who, without a privilege to do so, induces or otherwise purposely causes a third person not to\n(a) perform a contract with another, or\n(b) enter into or continue a business relation with another is liable to the other for the harm caused thereby.\nPart (b) of the ensuing comments would lend support to plaintiffs\u2019 argument that there is a general duty not to purposely interfere with another\u2019s contractual expectancies from third persons. It also, however, is there indicated that a privilege to interfere, even in contractual relationships, may exist dependent upon the methods used (b), interest of the interferer (c), purpose (d), ill will (m), and other factors more specifically dealt with in section 767 * * *.\"\nThe prospective business relation with another need not be evidenced by an enforceable contract. In City of Rock Falls v. Chicago Title & Trust Co., 13 Ill. App. 3d 359 (1973), the court stated at page 363:\n\u201cThe elements which establish a prima facie tortious interference are the existence of a valid business relationship (not necessarily evidenced by an enforceable-contract) or expectancy; knowledge of the relationship or expectancy on the part of the interferer; an intentional interference inducing or causing a breach or termination of the relationship or expectancy; and resultant damage to the party whose relationship or expectancy has been disrupted. The interest protected is the reasonable expectation of economic advantage.\u201d\nPlaintiffs, however, in Count II do not allege an interference with either a business relation with specific third parties or with an identifiable prospective class of third persons.\nIn each of the cases cited by the plaintiffs (Doremus v. Hennessy, 176 Ill. 608 (1898), City of Rock Falls v. Chicago Title & Trust Co., 13 Ill. App. 3d 359 (1973)) there are allegations that some specific third party was induced by a defendant to refrain from dealing with a plaintiff. Other cases which we have found are limited on their facts to situations in which a contractual arrangement with an identifiable third party is at least contemplated. (See, e.g., Leo Spear Construction Co. v. Fidelity & Casualty Co., 446 F.2d 439, 446 (2d Cir. 1971); American Hot Rod Association, Inc. v. Carrier, 500 F.2d 1269,1275 (4th Cir. 1974); NAACP v. Overstreet, 221 Ga. 16,142 S.E.2d 816 (1965); Fitt v. Schneidewind Realty Corp., 81 N.J. Super. 497, 196 A.2d 26, 29 (1963); Colorado Insurance Group, Inc. v. United States, 216 F. Supp. 787,792 (D. Colo. 1963).) The broadest scope of recovery for interference with the business relationship of a plaintiff with unspecified third parties appears to be found in Willis v. Santa Ana Community Hospital Association, 26 Cal. Rptr. 640, 376 P.2d 568, 570 (1962). In Willis, the court entertained an action for interference with a doctor\u2019s relationship with his prospective patients when the defendant governing association of the hospital refused to permit the plaintiff physician to use hospital facilities and it was alleged that the purpose of the refusal was to restrain competition for the benefit of the association membership. On the facts pleaded in the complaint before us no conspiracy to restrain competition in order to benefit the competing members of the conspiracy is alleged as in Willis. And the allegations contained in Count II fall far short of pleading a cause of action based on interference with a business relationship between the plaintiff and specific third parties or any clearly identifiable group of third parties contemplating prospective contractual arrangements with the plaintiff.\nMoreover, the cause of action which plaintiffs seek to establish is a \u201cpurposely\u201d caused tort. (See Herman v. Prudence Mutual Casualty Co., 41 Ill. 2d 468, 473 (1969) .) Although the plaintiffs state in cursory language that the defendants \u201cintentionally interfered with the plaintiffs\u2019 business affairs concerning the subject property without legal justification and against legal precedent\u201d none of the particular acts stated allege that the defendants purposely caused a third person not to enter into or continue with prospective contractual relationship. There are no facts stated in the complaint to suggest that defendants had as their purpose the interference with plaintiffs real estate business as is required to support an allegation that defendants interfered with prospective contractual relations of the plaintiffs. Thus, because Count II omits the basic elements of the cause of action it was properly dismissed because no set of facts could be proved under the pleadings which would entitle plaintiffs to relief. See Courtney v. Board of Education, 6 Ill. App. 3d 424,425 (1972).\nCount III in substance purports to state a cause of action under the Federal Civil Rights Act of 1871 (42 U.S.C.A. \u00a71983) based on the claim that defendant knowingly violated plaintiffs\u2019 constitutional property rights. Essentially, plaintiffs rely upon the same acts stated in Count II. We agree, however, with defendants\u2019 argument that an alleged deprivation of State-created rights is not a deprivation of constitutional rights within the meaning of section 1983. An alleged right to have State laws strictly obeyed is not a Federal right protected by the United States Civil Rights Act. (See Saunders v. Cahill, 359 F. Supp. 79, 83 (N.D. Ill. 1973).) The owner of property does not acquire immunity against the exercise of the police power of the State merely because he acquires or constructs property in full compliance with existing laws. (Queenside Hills Realty Co. v. Saxl, 328 U.S. 80, 90 L. Ed. 1096, 66 S. Ct. 850, 852 (1946).) A section 1983 cause of action, however, may properly be based upon deprivation of rights guaranteed by the United States Constitution, including the guaranty against taking property without just compensation, provided that the deprivation is not sufficiently related to a public purpose when balanced against the diminished value of the property. Goldblatt v. Town of Hempstead, 369 U.S. 590,8 L. Ed. 2d 130, 82 S. Ct. 987, 990 (1962).\nCount III even by the most liberal construction represents only a claim that plaintiffs\u2019 property has been significantly diminished in value without the balancing of a proper public purpose. (Nectow v. City of Cambridge, 277 U.S. 183, 72 L. Ed. 842, 48 S. Ct. 447 (1928).) This is far short of charging that the governmental action is so onerous as to constitute a taking which constitutionally requires compensation. (See Goldblatt v. Town of Hempstead, at 990.) Further, in construing the complaint we must also keep in mind that we are considering a claim against public officials who have acted in the field of zoning where municipal officials traditionally have power to act and who therefore have certain privileges and immunities attend upon their official action.\nDefendants have argued that they are public officials and thus that their acts are legislative in nature which are granted State immunity under the Illinois Local Governmental and Governmental Employees Tort Immunity Act (Ill. Rev. Stat. 1975, ch. 85, par. 1 \u2014 101 et seq.) or that common law immunity (see Blair v. Walker, 64 Ill. 2d 1 (1976); Pechous v. Slawko, 64 Ill. 2d 576 (1976)), attaches so as to absolutely privilege their acts under section 1983. Plaintiffs argue that immunities granted under Illinois immunity statutes are inapplicable for the reason that section 1983 actions are not common law tort proceedings, citing Luker v. Nelson, 341 F. Supp. 111 (N.D. Ill. 1972); but that in any event the immunity act (Ill. Rev. Stat. 1973, ch. 85, par. 2 \u2014 201) does not extend absolute immunity for malicious abuses of discretion. See Young v. Hansen, 118 Ill. App. 2d 1, 8-9 (1969).\nThe conclusion we.reach does not wholly agree either with the views of the plaintiff or of the defendants on these issues. Section 1983 \u201cis to be read in harmony with general principles of tort immunities and defenses rather than in derogation of them.\u201d (Imbler v. Pachtman,_U.S.__, 47 L. Ed. 2d 128, 96 S. Ct. 984, 989 (1976).) A determination of section 1983 immunity requires \u201ca considered inquiry into the immunity historically accorded the relevant official at common law and the interests behind it.\u201d (Imbler v. Pachtman, at 990.) Upon analysis the alleged acts of the defendants are not wholly legislative in nature as defendants claim. The described acts partake of both legislative and administrative characteristics since the same individuals both enact and administer the zoning law and their action in a sense regulates only the right of the plaintiffs. Under the authorities which we find most persuasive the defendants may thus be said to be possessed of a qualified immunity which may not protect them against defending a properly pleaded section 1983 charge that they acted maliciously. See Wood v. Strickland, 420 U.S. 308, 43 L. Ed. 2d 214, 95 S. Ct. 992 (1975); Hampton v. City of Chicago, 484 F.2d 602, 607 (7th Cir. 1973); Rasmussen v. City of Lake Forest, 404 F. Supp. 148, 158 (N.D. Ill. 1975).\nPlaintiffs, however, have failed to allege that the defendants acted with malice or to state circumstances from which malice could be inferred. The pleadings do not show circumstances which demonstrate that the defendants clearly and arbitrarily misused the police power of the State as exercised by the city for the purpose of depriving plaintiffs of their constitutional rights. Nor do the pleadings allege facts which amount to a violation of the basic unquestioned constitutional rights of the property owners. In substance the allegations amount to a claim that the defendants applied the city zoning laws in an erroneous manner. The bulk of the allegations amount to a claim of estoppel because of various expenditures the plaintiffs claim to have made in reliance upon the former zoning which they allege was known to the defendants. This does not state Federal constitutional right but amounts only to a claim of a protection granted by the State despite the change in zoning classification. This claim that the plaintiffs have thereby acquired vested rights to the prior zoning is beyond the protection provided by the Federal Constitution. Illinois courts are not permitted to impose restrictions on the police power beyond those imposed by the United States Supreme Court if those restrictions are based in Federal constitutional law. (See Oregon v. Hass, 420 U.S. 714, 43 L. Ed. 2d 570,95 S. Ct. 1215, 1219 (1975). See also Goldblatt v. Town of Hempstead, 369 U.S. 590, 8 L. Ed. 2d 130,82 S. Ct. 987.) The claim, however, is cognizable under the pleading of Count I since the State is free as a matter of its own law to impose greater restrictions on the police power than those held to be necessary upon Federal constitutional standards.\nAt the least it must be concluded that a substantial question may be raised whether defendants\u2019 actions deprive plaintiffs of their constitutional rights. On this basis an award of damages against public officials with qualified immunity \u201cwould be inimical to the efficient functioning of government.\u201d (Rasmussen v. City of Lake Forest, 404 F. Supp. 148, 159.) Although plaintiffs\u2019 allegations of deprivation of Federal constitutional rights are to be construed in their favor the allegations are insufficient to support a claim for damages against the public official with qualified immunity. Therefore the trial court properly dismissed Count HI.\nWe also conclude that the trial court properly dismissed Count IV of plaintiffs\u2019 amended complaint. This count sought a permanent injunction against all the defendants to restrain them from taking any action by enactment of ordinances or otherwise the effect of which would be to modify the prior zoning of the property which permitted development for 343 multiple-family units.\nA well-pleaded complaint praying for injunctive relief must contain on its face a clear right to relief and state facts which establish the right to such relief in a positive certain and precise manner. (See McErlean v. Harvey Area Community Organization, 9 Ill. App. 3d 527, 529 (1972).) Conclusion, opinion or belief is insufficient. (Hope v. Hope, 350 Ill. App. 190 (1953).) Specifically, plaintiffs allegation that it \u201cfear[sj that unless permanently restrained\u201d defendant will cause suspension, modification, or repeal of the 1971 ordinances is not adequate statement of the claim. Even if the 1974 zoning is found void that in and of itself does not state a claim for injunctive relief. One instance of illegality does not establish a failure of legal remedies. McErlean v. Harvey Area Community Organization, 9 Ill. App. 3d 527, 529-30.\nThe courts will not attempt to control the discretionary or legislative powers vested by law in municipal corporations and will therefore not prohibit the passing of an ordinance. Stevens v. St. Mary\u2019s Training School, 144 Ill. 336,351 (1893); Roby v. City of Chicago, 215 Ill. 604,608-09 (1905). See also Slack v. City of Salem, 31 Ill. 2d 174, 177 (1964).\nWe therefore affirm the judgment of the trial court.\nAffirmed.\nGUILD, P. J., and RECHENMACHER, J., concur.\nThe tentative draft of the Second Restatement adds an additional paragraph:\n\u201c\u00a7766A. Intentional Interference with Prospective Contracts One who purposely induces or otherwise purposely causes a third person not to enter into or continue a prospective contractual relation with another, other than that of a contract to marry, is subject to liability to the other for loss of benefits of the relation.\u201d Restatement (Second) of Torts \u00a7766A (Tent. Draft No. 14, 1969).\nThe Committee Comments note that this is the \u201csecond half of the old \u00a7766\u201d and further note: \u201cThis Section has been added to the first Restatement, in order to divide the old \u00a7766 into two parts, and so avoid a lengthy and unduly cumbersome section and Comments. No change in substance is intended.\u201d Id., Explanatory Notes \u00a7766A, at 50, 53.\nSee Restatement (Second) of Torts, Explanatory Notes \u00a7766A, comment d at 52 (Tent. Draft No. 14, 1969):\n\u201cIntent and purpose. In order for the rule stated in this Section to apply, the defendant must not only have intended the interference, but must have acted in part at least for the purpose of accomplishing it. In this respect the rule here stated differs from that stated in \u00a7766 as to intentional interference with existing contracts.\u201d\nThe United States Supreme Court has defined malice as consisting of two elements involving both objective and subjective criteria.\n\u201c[I]n the specific context of school discipline, we hold that a school board member is not immune from liability for damages under 1983 if he knew or reasonably should have known that the action he took within his sphere of official responsibility would violate the constitutional rights of the student affected, or if he took the action with the malicious intention to cause a deprivation of constitutional rights or otjier injury to the student.\u201d Wood v. Strickland, 420 U.S. 308, 43 L. Ed. 2d 214, 95 S. Ct. 992, 1001 (1975).\nRasmussen v. City of Lake Forest, 404 F. Supp. 148, 159, states that even where government officials are granted qualified immunity they are still absolutely immune \u201cto damages in the absence of malice \u00b0 * * whenever at the time of the action a substantial question could be raised as to whether or not the action in question creates a deprivation of constitutional rights.\u201d",
        "type": "majority",
        "author": "Mr. JUSTICE SEIDENFELD"
      }
    ],
    "attorneys": [
      "Robert S. Minetz and Robert J. DiLeonardi, both of DiLeonardi & O\u2019Brien, of Des Plaines, for appellants.",
      "James R. Schirott, William Kurnik, and J. S. Judge, all of Judge & Schirott, of Park Ridge, and Ancel, Glink, Diamond & Murphy, of Chicago, for appellees."
    ],
    "corrections": "",
    "head_matter": "PARKWAY BANK AND TRUST COMPANY, Trustee, et al., Plaintiffs-Appellants, v. THE CITY OF DARIEN et al., Defendants-Appellees.\nSecond District (1st Division)\nNo. 75-325\nOpinion filed November 17, 1976.\n\u2014 Rehearing denied December 10, 1976.\nRobert S. Minetz and Robert J. DiLeonardi, both of DiLeonardi & O\u2019Brien, of Des Plaines, for appellants.\nJames R. Schirott, William Kurnik, and J. S. Judge, all of Judge & Schirott, of Park Ridge, and Ancel, Glink, Diamond & Murphy, of Chicago, for appellees."
  },
  "file_name": "0400-01",
  "first_page_order": 430,
  "last_page_order": 437
}
