OFFICE OF PROF. REGULATION v. McElroy

Decision Date27 March 2003
Docket NumberNo. 02-192.,02-192.
Citation824 A.2d 567
CourtVermont Supreme Court
PartiesOFFICE OF PROFESSIONAL REGULATION v. David M. McELROY.

Present AMESTOY, C.J., DOOLEY, JOHNSON, SKOGLUND and FREDERIC W. ALLEN, C.J., (Ret.) Specially Assigned.

ENTRY ORDER

¶ 1. This is an appeal from an order by the Real Estate Commission (R.E.C.) reprimanding appellant, David McElroy, for engaging in conduct as a real estate broker without a license. After an appellate officer reversed the Commission's decision to reprimand, the State appealed to the Washington Superior Court pursuant to 3 V.S.A. § 130a(c). The Superior Court reinstated the Commission's reprimand, and this appeal followed.

¶ 2. McElroy contends that the stipulated facts do not support a finding that he was engaged as a real estate broker in a continuous course of conduct within this state without a license. We agree. We reverse the superior court's order and remand this issue for further findings of fact because the stipulated facts are insufficient to determine whether McElroy violated the statute as a matter of law. McElroy further contends that he had a First Amendment right to advertise a Vermont property and may not be reprimanded for doing so without a license. On this point, we agree with the trial court and affirm the finding that McElroy's First Amendment rights were not violated.

¶ 3. The stipulated facts state that McElroy "caused to be advertised and/or allowed his name to be used in the advertisement" of the sale of the Howard Johnson Inn in Rutland, Vermont between October 1999 and January 2000. Although McElroy was a licensed broker in other states, he did not obtain a broker's license from Vermont until February 1, 2000. Prior to obtaining his license, McElroy contacted potential purchasers and "was present" at the property in Rutland when the potential purchasers came to view the property. On February 6, 2000, one of the contacts bought the property. McElroy obtained his Vermont license before the closing, as he was "conscious of his obligation to receive a Vermont license prior to acting as a broker in Vermont."

¶ 4. The R.E.C. found that McElroy had violated R.E.C. Rules 2.1(a) and 2.1(b), which implement 26 V.S.A. §§ 2211-2212. These statutes prohibit unlicensed individuals from acting as real estate brokers within Vermont. The R.E.C. found that McElroy "advertised, negotiated, solicited and showed" the Vermont property, and therefore that his actions amounted to a continuous course of conduct within this state. See 26 V.S.A. § 2211(a)(4). McElroy appealed to the appellate officer of the Vermont Secretary of State, Office of Professional Regulation, who reversed the R.E.C. on the ground that the legislative history of 26 V.S.A. § 2211(a)(4) indicated that actions taken in furtherance of a single act or transaction were exempt from regulation. On appeal to the superior court, the court disagreed with the appellate officer's interpretation of the statute, which relied entirely on legislative history, because it was not based on the actual statutory language. No exemption for single acts or transactions was specified in the statute; therefore, the court found that the principal acts committed within the state-advertising within the state and appearing at the property with the potential buyers-were sufficient to represent a continuing course of conduct, as required by § 2211(a)(4).

¶ 5. We agree with the superior court that activities in furtherance of single transactions are not exempt from the statutory definition of real estate broker. Id. The statutory definition of real estate broker sets forth the regulated conduct that the State put in issue:

(4) "Real estate broker" ... shall mean any person who, for another, for a fee, commission, salary, or other consideration, or with the intention or expectation of receiving or collecting such compensation from another, engages in or offers or attempts to engage in, either directly or indirectly, by a continuing course of conduct, any of the following acts:
(A) lists, offers, attempts or agrees to list real estate ...
....
(C) offers to sell, exchange or purchase real estate ...
(D) negotiates, or offers, attempts or agrees to negotiate the sale ...
....
(F) advertises or holds himself ... out as being engaged in the business of buying, selling ... real estate ....

Id. § 2211(a)(4).

¶ 6. Nowhere in this section of the statute, or in § 2212, which prohibits actions taken by a "real estate broker ... within this state," is there an exemption for single transactions. The statutory language is broad in the scope of conduct it reaches, limited only by the requirement that there be a continuing course of conduct. The legislative history, which suggests that the Legislature was concerned about the scope of the statute reaching persons who were not actually in the real estate business and who might make only a single sale, is not necessarily inconsistent with the Legislature's plain language that the course of conduct must be continuing. ¶ 7. The trial court applied a highly deferential standard of review. The court noted that reviewing courts defer to an administrative agency's conclusions of law when these conclusions are "rationally derived from the findings and based on a correct interpretation of the law." Braun v. Bd. of Dental Exam'rs, 167 Vt. 110, 114, 702 A.2d 124, 126 (1997). This is a correct statement of the law. The trial court further found that additional deference is owed when, as here, "the action [arises] out of an administrative proceeding in which a professional's conduct [is] evaluated by a group of his peers." Id. We do not agree that the reasons that justified additional deference to the Board of Dental Examiners in Braun are present in this case. The Board in Braun was determining whether a fellow dentist's treatment of a patient amounted to gross negligence. Id. at 113, 702 A.2d at 126. A group of professional dentists is likely to have the background and expertise to decide what degree of care a dentist should exercise; furthermore, the group of professional dentists making up the Board of Dental Examiners would themselves be subject to the Board's rules and had no incentive to make these rules excessively strict or arbitrary. In contrast, the group of realtors comprising the R.E.C. in this case had no special competence in making the determination of whether McElroy's conduct was a continuing course of conduct under the statute, and because the R.E.C. is composed of realtors already having a Vermont license, the members of this regulatory board would not themselves be subject to the regulation that they were implementing. Cf. Hughes v. Chapman, 272 F.2d 193, 196 (5th Cir.1959) (finding that real estate licensing laws are "highly penal, and therefore to be strictly construed"). Therefore, we will accord no "additional deference" to their interpretation of the statute at issue. The R.E.C., as an administrative body, is entitled to ordinary deference, however, meaning that we will accord deference to the R.E.C.'s interpretation of the real estate statutes where it represents a permissible construction of the statutes....

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