Opinion
3:19-cv-00693-MMD-CLB
01-22-2024
ORDER
MIRANDA M. DU CHIEF UNITED STATES DISTRICT JUDGE
I. SUMMARY
Plaintiffs sued Defendants to challenge the City's regulations affecting adult interactive cabarets (“AICs”) and AIC performers (commonly known as strip clubs and strippers, respectively). Before the Court are Defendants' motion for partial dismissal under Federal Rule of Civil Procedure 12(b)(1) (ECF No. 98) and motion for partial summary judgment (ECF No. 92). As explained below, the Court denies the partial motion to dismiss and grants the motion for partial summary judgment.
Plaintiffs are Catherine Castellanos, Lauren Courtney, Rachael Jasper, Brianna Morales, Victoria Rachet, Lily Stagner, Natalee Wells, and Cecelia Whittle. Defendants are the City of Reno (the “City”) and Michael Chaump. The Court previously dismissed Plaintiff Maryann Rose Brooks, an AIC patron, without prejudice from this action for failure to demonstrate standing. (ECF No. 89 at 9.)
Plaintiffs responded (ECF No. 101), and Defendants replied (ECF No. 102).
Plaintiffs responded (ECF No. 96), and Defendants replied (ECF No. 97).
II. BACKGROUND
Plaintiffs are AIC performers and were between the ages of 18 and 21 years old at the commencement of this action. (ECF No. 1 at 1-2.) Plaintiffs challenge the May 8, 2019 amendments to the Reno Municipal Code (“RMC” or the “Code”), RMC §§ 5.06.050-5.06.110-particularly the minimum age restriction under RMC § 5.06.080(b)-and assert four causes of action: (1) “Equal Protection - Gender Discrimination”; (2) “Equal Protection - Age Discrimination”; (3) “Regulatory Taking Without Just Compensation”; and (4) “Denial of Due Process - NRS 237.080 and 237.090.” (Id. at 27, 32, 35, 37.)
The Court previously dismissed Plaintiffs' equal protection gender discrimination claim without prejudice for lack of standing (ECF No. 73 at 25) and declared RMC § 5.06.080(b) as void (id. at 15). After Defendants moved for reconsideration, the Court vacated its prior order to the extent it granted summary judgment declaring that RMC § 5.06.080(b) is void. (ECF No. 89 at 9.) The Court also dismissed without prejudice Plaintiffs' claims to the extent they challenge RMC §§ 5.06.050-5.06.110, except for RMC § 5.06.080(b) for damages, for failure to demonstrate standing to assert those claims. (Id.)
III. DISCUSSION
The Court first addresses the Rule 12(b)(1) motion, then the motion for partial summary judgment.
A. Rule 12(b)(1) Motion for Partial Dismissal
Defendants move to dismiss Plaintiffs' damages claim for the fourth cause of action-denial of due process-as to RMC § 5.06.080(b). (ECF No. 98 at 2.) Defendants argue that Plaintiffs lack standing to assert that claim, which requires dismissal for lack of subject matter jurisdiction under Rule 12(b)(1). (Id. at 3.) As an initial matter, the Court finds unpersuasive Plaintiffs' counterargument that this motion is untimely (ECF No. 101 at 2, 5) because Article III standing is a jurisdictional question that may be raised at any time, see Chapman v. Pier 1 Imports (U.S.) Inc., 631 F.3d 939, 954 (9th Cir. 2011).
As to standing, Defendants make several interrelated arguments: (1) Plaintiffs have no redressable injury and their damages claim is not ripe for review because existing state law-NRS §§ 202.030 and 202.060-mandates the age requirement in RMC § 5.06.080(b); (2) Nevada state law preempts any contrary law previously or currently adopted by the City; and (3) any damages remedy will not change the application of state law imposing the same restrictions upon Plaintiffs. (ECF No. 98 at 5-7.)
The Court finds Defendants' arguments unpersuasive. First, it is unclear to the Court how conflict preemption leads to the conclusion that Plaintiffs' damages claim is not ripe or that there is no redressable injury. Regardless of whether Nevada state law preempted the City's prior provision allowing adults under 21 years of age to perform at an AIC serving alcohol or whether it preempts RMC § 5.06.080(b), those provisions were and are in effect such that the City had issued AIC performer business licenses to adults under 21 years old-including Plaintiffs-and then effectively prohibited those individuals from continuing to perform at AICs in Reno under RMC § 5.06.080(b). Plaintiffs therefore suffered a plausible injury in fact-loss of income-from the City's actions. The City cannot now use the doctrine of conflict preemption to pretend that its actions under its own provisions it followed could not have caused such injury. Under their remaining claim for damages as to the due process claim, Plaintiffs are seeking compensatory damages for past injuries, not challenging the application of laws imposing age restrictions on them. And indeed, a damages remedy could redress Plaintiffs' alleged injuries.
As Plaintiffs point out (ECF No. 101 at 8), during briefing at the attempted class certification stage of this case, both parties made reference to a confidential list produced by Defendants containing 44 names of female adults under 21 years old to whom the City had issued business licenses to perform in an AIC before the passage of RMC § 5.06.080(b). (ECF No. 52 at 3; ECF No. 55 at 5; ECF No. 49-1 at 3.) The Court may consider such evidence because “[w]hen a district court rules on a Rule 12(b)(1) motion, unlike a 12(b)(6) motion, it may consider affidavits or other extra-pleading evidence.” United States v. LSL Biotechnologies, 379 F.3d 672, 700 n.13 (9th Cir. 2004) (citation omitted).
Accordingly, the Court denies Defendants' Rule 12(b)(1) motion to dismiss Plaintiffs' damages claim for denial of due process as to RMC § 5.06.080(b). To the extent Defendants contend “there is arguably no procedural defect under the business impact statement requirements” (ECF No. 102 at 5), the Court reminds Defendants that it already ruled on this question and found that the City's relevant business impact statement was inadequate as to RMC § 5.06.080(b). (ECF No. 73 at 16.) The question of Plaintiffs' damages caused by that due process violation still remains.
Having so decided, the Court need not-and does not-address Plaintiffs' counterarguments that are not already explicitly addressed here.
But to be clear, Plaintiffs' damages claim under the fourth cause of action is only proceeding as to five Plaintiffs-Castellanos, Courtney, Jasper, Rachet, and Stagner- because the Court now finds that Plaintiffs Morales, Wells, and Whittle lack standing to assert this claim. The Court previously ruled that Morales, Wells, and Whittle have been deemed to have admitted that they did not obtain AIC performer business licenses. (ECF No. 60 at 9 n.6; ECF No. 46 at 4.) Plaintiffs themselves appear to concede that Morales, Wells, and Whittle do not have viable damages claims by excluding them by name when stating in their response to Defendants' motion for partial summary judgment that “Plaintiff Dancers, Catherine Castellanos, Lauren Courtney, Rachael Jasper, Victoria Rachet, and Lily Stagner, continue to have a valid claim for monetary damages.” (ECF No. 96 at 15.) In any event, because Morales, Wells, and Whittle have been deemed to have admitted that they did not obtain AIC performer business licenses, they could not have legally suffered an injury, such as a loss of income, from the passage of RMC § 5.06.080(b).Accordingly, the Court dismisses Morales, Wells, and Whittle's claim under the fourth cause of action for lack of standing.
Article III standing is a jurisdictional question that may be raised at any time, that cannot be waived, and that district courts may consider sua sponte. See Chapman, 631 F.3d at 954.
Defendants correctly point this out in their motion for partial summary judgment albeit as to a different claim. (ECF No. 92 at 20.)
To the extent Plaintiffs have made other standing arguments as to these Plaintiffs, the Court has previously found them unpersuasive.
B. Motion for Partial Summary Judgment
Defendants move for partial summary judgment as to Plaintiffs' second and third causes of action-their equal protection age discrimination claim and regulatory taking without just compensation claim. (ECF No. 92 at 2.) The Court analyzes each in turn further below.
As an initial matter, the Court finds that Plaintiffs' opposition (ECF No. 96) is largely unresponsive to Defendants' motion, attempts to re-hash arguments and claims that the Court already dismissed, and is generally unpersuasive and unhelpful to the Court. First, Plaintiffs confusingly argue that Defendants' motion attempts to limit the Court's review to just the original complaint and that it is too late for Defendants to make this motion based solely on the pleadings. (ECF No. 96 at 5-6.) To be clear, Defendants' motion properly relies on evidence in the record, the Court will look at the entire record where relevant at this summary judgment phase, and Defendants' motion was timely filed in accordance with the Court's deadlines (ECF No. 83 (scheduling order); ECF No. 89 at 10 (leave to file renewed dispositive motions)). Moreover, it is appropriate that Defendants' motion substantially concerns questions of law regarding Plaintiffs' claims and theories as alleged in the complaint, particularly where there does not appear to be any material factual disputes.
As if to challenge the Court's prior rulings on standing, rather than specifically respond to Defendants' motion, Plaintiffs appear to argue that: (1) they have standing to assert all their claims as to all of the RMC Chapter 5.06 amendments (ECF No. 96 at 7, 11); (2) they have standing to request injunctive relief as to RMC § 5.06.080(b) (id. at 10-11); (3) Plaintiff Brooks has a claim for nominal damages (id. at 15); and (4) they have standing to claim all of the amendments void under NRS § 237.140 due to the inadequate business impact statement (id. at 18). The Court already gave Plaintiffs an opportunity to demonstrate standing where the Court had concerns (ECF No. 73 at 26) and has previously ruled that: (1) Plaintiffs did not maintain standing to seek declaratory and injunctive relief as to RMC § 5.06.080(b) under their business impact statement claim (ECF No. 89 at 6); (2) Plaintiffs failed to demonstrate standing to challenge all of the other RMC Chapter 5.06 amendments (id. at 9); and (3) Plaintiffs have failed to demonstrate why Brooks has standing to challenge any of the amendments (id.). The Court therefore has already dismissed Brooks from this action and dismissed Plaintiffs' claims to the extent they challenge RMC §§ 5.06.050-5.06.110, except for RMC § 5.06.080(b) for damages. (Id.) Plaintiffs now present many of the same conclusory arguments that the Court already found unpersuasive, as well as arguments improperly raised for the first time that could have been raised earlier. The Court disregards all of these arguments on these already resolved issues.
To the extent this broad argument was directed at Defendants' arguments as to Plaintiffs' lack of standing to assert their equal protection age discrimination claim, it is also addressed below.
The proper vehicle for Plaintiffs' challenge to the Court's prior rulings would have been a motion for reconsideration. By presenting such arguments in their opposition to summary judgment, Plaintiffs violate LR IC 2-2, which states, “[f]or each type of relief requested or purpose of the document, a separate document must be filed and a separate event must be selected for that document.” But in any event, Plaintiffs' arguments fail to meet the reconsideration standard. See Sch. Dist. No. 1J v. ACandS, Inc., 5 F.3d 1255, 1263 (9th Cir. 1993) (“Reconsideration is appropriate if the district court (1) is presented with newly discovered evidence, (2) committed clear error or the initial decision was manifestly unjust, or (3) if there is an intervening change in controlling law.”); Brown v. Kinross Gold, U.S.A., 378 F.Supp.2d 1280, 1288 (D. Nev. 2005) (“A motion for reconsideration is not an avenue to re-litigate the same issues and arguments upon which the court already has ruled.”).
Plaintiffs also confusingly argue that “vacating the prior declaratory judgment that RMC 5.06.080(b) is void under NRS 234.140 creates a chilling effect on First Amendment rights because it is now uncertain whether Plaintiffs must obey that statute.” (ECF No. 96 at 14.) To be clear, because the Court vacated its prior order to the extent it declared RMC § 5.06.080(b) void (ECF No. 89 at 6, 9), RMC § 5.06.080(b) has not been declared void and is currently in effect. There should further be no such uncertainty because, as far as these Plaintiffs are concerned, the minimum age restriction in RMC § 5.06.080(b) no longer even applies to them as they are all at least 21 years old. (Id. at 4 n.4.)
The Court cautions Plaintiffs' counsel not to waste its time and resources with briefing that is unresponsive and that appears to feign ignorance of the Court's prior rulings.
1. Equal Protection Age Discrimination & First Amendment Claim
Plaintiffs' second cause of action is styled as an “equal protection age discrimination” claim (ECF No. 1 at 32), but it appears to include a hybrid equal protection and First Amendment claim not involving age discrimination. The Court therefore construes, as Defendants do (ECF No. 92 at 4), that Plaintiffs are alleging two separate theories under the second cause of action.
The Court first addresses Defendants' standing arguments as to the second cause of action, then the merits of Plaintiffs' two theories of equal protection violation under this claim.
a. Standing
Defendants first argue that Plaintiffs lack standing to assert their equal protection age discrimination claim because it is based on the minimum age restriction and all Plaintiffs are now over 21 years old. (Id. at 11.) The Court agrees with Defendants but only to the extent that Plaintiffs are requesting declaratory or injunctive relief under this claim. The Court incorporates by reference its analysis in its prior order granting Defendants' motion for reconsideration and determining that Plaintiffs have “aged out” and no longer have standing to seek declaratory relief voiding the minimum age restriction under their due process claim. (ECF No. 89 at 3-5.) For the same reasons, the Court finds that, because Plaintiffs are all over 21 years old, they no longer maintain standing to seek declaratory relief in challenging the minimum age restriction under their equal protection age discrimination claim.
As for Plaintiffs' standing to seek damages under this claim, Defendants argue that Plaintiffs also lack standing to seek compensatory relief because when the City conformed its Code to NRS § 202.030, its action did not exacerbate or impact Plaintiffs' inability to work in an AIC under state law. (ECF No. 92 at 13.) This argument is essentially a reformulation of Defendants' “conflict preemption” argument made in their Rule 12(b)(1) motion to dismiss, which the Court found unpersuasive as discussed above. Again, even assuming NRS § 202.030 mandates the minimum age restriction in RMC § 5.06.080(b), the City's actions before and through the enactment of RMC § 5.06.080(b) did in fact materially impact Plaintiffs' ability to work in an AIC and plausibly caused a loss of income. The Court therefore finds that Plaintiffs have standing to seek damages for their equal protection age discrimination claim and next analyzes the merits of this damages claim.
NRS § 202.030 “punishe[s] by fine” any person under 21 years of age who “loiter(s) or remain(s) on the premises of any saloon where spirituous, malt or fermented liquors or wines are sold ”
b. Equal Protection and Age Discrimination
“The Equal Protection Clause of the Fourteenth Amendment commands that no State shall ‘deny to any person within its jurisdiction the equal protection of the laws,' which is essentially a direction that all persons similarly situated should be treated alike.” City of Cleburne v. Cleburne Living Or., 473 U.S. 432, 439 (1985). Plaintiffs allege that “[o]n its face RMC 5.06.080(b) distinguishes and treats differently adults over 21 from adults under 21” who seek to perform at an AIC serving alcohol. (ECF No. 1 at 19.) Defendants argue that this claim fails because the City has a rational basis to treat these groups differently as a legislative classification based on age and under the secondary effects doctrine. (ECF No. 92 at 13.) Plaintiffs counter that strict scrutiny or intermediate scrutiny applies because RMC Chapter 5.06 regulates First Amendment-protected erotic dancing. (ECF No. 96 at 19.)
The Court again reminds Plaintiffs that it has already dismissed Plaintiffs' claims to the extent they challenge the provisions of RMC Chapter 5.06 other than RMC § 5.06.080(b) for failure to adequately demonstrate standing. The Court therefore disregards Plaintiffs' arguments that RMC § 5.06.090 violates the Fourth Amendment. (ECF No. 96 at 20-21). In any event, that argument is unpersuasive because it is not tethered at all to Plaintiffs' underlying complaint, which does not allege a Fourth Amendment violation nor even specifically mention RMC § 5.06.090.
Defendants correctly point out that the Supreme Court has held that “[s]tates may discriminate on the basis of age without offending the Fourteenth Amendment if the age classification in question is rationally related to a legitimate state interest.” See Kimel v. Fla. Bd. of Regents, 528 U.S. 62, 83 (2000). On the other hand, Plaintiffs vaguely but appear to argue that RMC 5.06.080(b) is a content-based restriction on First Amendment speech-specifically topless female dancing-because it applies only to AICs serving alcohol, and therefore, “the Court should use the highest applicable standard.” (ECF No. 96 at 19.)
Plaintiffs' additional footnote that the Nevada Constitution purportedly requires “heightened or intermediate scrutiny on the allegations of government age and sex/gender discrimination” (ECF No. 96 at 19 n.18) is irrelevant here, as these are plainly federal constitutional law claims.
“A law is content-based rather than content-neutral if ‘the main purpose in enacting it was to suppress or exalt speech of certain content, or it differentiates based on the content of speech on its face.'” Long Beach Area Peace Network v. City of Long Beach, 574 F.3d 1011, 1024 (9th Cir. 2009) (quoting A.C.L.U. of Nevada v. City of Las Vegas, 466 F.3d 784, 793 (9th Cir. 2006)). Plaintiffs make no further argument about how RMC § 5.06.080(b) meets this definition, and the Court finds that on its face it differentiates based on age but not on content of speech. The Court is also not persuaded that RMC § 5.06.080(b)'s “main purpose” was to suppress speech of certain content, given the City's stated purpose of “protect[ing] those under the age of 21 from remaining and loitering in saloons where alcohol is served on premises” (ECF No. 92 at 15) and the fact that RMC § 5.06.080(b) does not prohibit most adults-those 21 years of age and older- from engaging in topless female dancing at an AIC serving alcohol. Accordingly, the Court finds that RMC § 5.06.080(b) is not a content-based restriction and rational basis review applies.
RMC § 5.06.080(b) states: “No person, whether patron, performer, or otherwise, under the age of 18 years shall be admitted to, or permitted to remain on the premises of, an adult interactive cabaret. No person, including employees and performers, under the age of 21 years shall be admitted to, or allowed to remain on the premises of, an adult interactive cabaret wherein alcohol is provided served sold or consumed ”
Defendants assert that RMC § 5.06.080(b) is “rationally supported by the City's and State's inherent police powers to uphold the public's health, safety, and general welfare and to protect those under the age of 21 from remaining and loitering in saloons where alcohol is served on premises.” (Id.) “The rationality commanded by the Equal Protection Clause does not require States to match age distinctions and the legitimate interests they serve with razorlike precision.” Kimel, 528 U.S. at 83. “[W]hen conducting rational basis review, ‘[courts] will not overturn such [government action] unless the varying treatment of different groups or persons is so unrelated to the achievement of any combination of legitimate purposes that we can only conclude that the [government's] actions were irrational.'” Id. at 84. “[B]ecause an age classification is presumptively rational, the individual challenging its constitutionality bears the burden of proving that the ‘facts on which the classification is apparently based could not reasonably be conceived to be true by the governmental decisionmaker.'” Id. (citations omitted).
The Court cannot conclude that the City's actions were “irrational.” The Court finds that the City's stated purposes of upholding the public's health, safety, and general welfare and of protecting those under 21 years old are legitimate and sufficiently related to RMC § 5.06.080(b), which prohibits any person under 21 years of age from being admitted or allowed to remain on the premises of an AIC serving alcohol. Simply because RMC § 5.06.080(b) only regulates AICs-which the City has argued was meant to bring the Code into compliance with Nevada state law-does not render the City's passage of RMC § 5.06.080(b) irrational. Plaintiffs have not met their burden to demonstrate that the City's basis for the age classification “could not reasonably be conceived to be true.” See Kimel, 528 U.S. at 84. Accordingly, the Court finds that Plaintiffs' equal protection age discrimination claim fails as a matter of law.
c. Equal Protection and First Amendment
Plaintiffs also appear to allege that, under RMC 5.06.080(b), adults under 21 years old who seek to perform in an AIC serving alcohol are unconstitutionally treated differently-i.e., denied their First Amendment right of free expression to perform as an AIC dancer-from adults under 21 years old who are permitted to work at non-AIC businesses serving alcohol (e.g., restaurants). (ECF No. 1 at 19, 32-33). Defendants argue that this theory fails because the two groups that Plaintiffs seek to compare are not similarly situated. (ECF No. 92 at 16.) Plaintiffs do not respond directly to this argument. As explained below, the Court agrees with Defendants.
“The first step in equal protection analysis is to identify the state's classification of groups.” Country Classic Dairies, Inc. v. Milk Control Bureau, 847 F.2d 593, 596 (9th Cir. 1988). “The groups must be comprised of similarly situated persons so that the factor motivating the alleged discrimination can be identified.” Thornton v. City of St. Helens, 425 F.3d 1158, 1167 (9th Cir. 2005); see also Freeman v. City of Santa Ana, 68 F.3d 1180, 1187 (9th Cir. 1995), as amended on denial of reh'g and reh'g en banc (Dec. 29, 1995) (“[I]t is necessary to identify a ‘similarly situated' class against which the plaintiff's class can be compared.”).
Under this theory, the alleged differential treatment is that adults under 21 years old who seek to perform in an AIC serving alcohol are denied their right to engage in topless female dancing. However, that theory fails because the alleged comparison group, adults under 21 years old who work at non-AIC businesses serving alcohol, similarly do not have a right to engage in topless female dancing at their places of employment because those establishments are not AICs. See Thornton, 425 F.3d at 1167 (finding groups are not similarly situated where “the City is not imposing a burden on the [first group] that it does not also impose on [the second group]”). Stated differently, Plaintiffs' comparison groups are not similarly situated because they are not seeking to work at similarly situated establishments-the key difference being that AIC establishments are required to obtain a specific AIC operator's license under RMC § 5.06.030 that other establishments are not. See id. (finding groups not similarly situated where “there is nothing in the record to indicate that any of the other businesses . . . are either sufficiently comparable . . . or subject to the same state licensing requirements”).
Accordingly, because Plaintiffs fail to satisfy the first prong of the equal protection analysis, the Court finds that their hybrid equal protection and First Amendment claim fails as a matter of law.
2. Regulatory Taking Without Just Compensation Claim
As to Plaintiffs' third cause of action, Defendants first argue that Plaintiffs Morales, Wells, Whittle, and Courtney lack standing to assert this claim because they did not hold active AIC performer business licenses from which they could derive income at the time RMC § 5.06.080(b) went into effect on May 8, 2019. (ECF No. 92 at 20.) Plaintiffs do not directly address this argument nor do they dispute that these four Plaintiffs did not hold an active AIC performer business license at that time.
Under this claim, Plaintiffs allege that by the enactment of the May 8, 2019 amendments, in particular RMC § 5.06.080(b), Defendants have “deprived” Plaintiffs of “all economically viable use” of their AIC performer licenses and taken Plaintiffs' property without just compensation in violation of the Fifth and Fourteenth Amendments of the Constitution, as well as Article 1, Section 8(6) of the Nevada Constitution. (ECF No. 1 at 36.) As mentioned above and as Defendants correctly point out (ECF No. 92 at 20), the Court previously ruled that three Plaintiffs-Morales, Wells, and Whittle-have been deemed to have admitted that they did not obtain AIC performer business licenses. (ECF No. 60 at 9 n.6; ECF No. 46.) Because of this admission, Morales, Wells, and Whittle do not maintain standing to assert a claim based on the regulatory taking of the economically viable use of an AIC performer business license. The Court therefore dismisses Morales, Wells, and Whittle's regulatory taking claims for lack of standing.
As for Courtney, Defendants point out that discovery disclosed that she did not apply for an AIC performer business license until about three months after RMC § 5.06.080(b) went into effect. (ECF No. 92 at 20; ECF No. 92-2 at 2.) While it is true that Courtney did not apply and pay for her license until August 16, 2019, it appears that the City nevertheless approved her license on the same day. This means that Courtney, under 21 years old at the time, presumably could have performed in an AIC that does not serve alcohol, as the City posits (ECF No. 92 at 15). But because all AICs in Reno serve alcohol, as the City acknowledges (id. at 13), Courtney could not lawfully use her AIC business license as a result of the enactment of RMC § 5.06.080(b). The Court finds this to be sufficient to confer Courtney standing to assert a regulatory taking claim based on the alleged deprivation of the economically viable use of her business license.
On Courtney's AIC performer business license application, there is a stamp indicating the application was received by the City of Reno Business License Division on August 16, 2019. (ECF No. 92-2 at 2.) Under the “Official Use Only” section, it notes Courtney's license number, that Courtney paid $85.00 for the license, and that her license was effective starting August 1 2019 and set to expire on July 31 2020 (Id.)
For the remaining five Plaintiffs with standing to bring this claim-Castellanos, Courtney, Jasper, Rachet, and Stagner-Defendants argue that no regulatory taking occurred because a City-issued AIC performer business license does not constitute a vested property right to earn money. (ECF No. 92 at 21.) Plaintiffs allege that they have a “vested property right in the stream of income to be derived from their ability to perform as a licensed [AIC performer] within the City of Reno” and that “[t]he value of that property right is the present value of [their] future income to be expected.” (ECF No. 1 at 22.)
“The Takings Clause protects property interests created by independent sources such as state law, but does not itself create property interests.” Angelotti Chiropractic, Inc. v. Baker, 791 F.3d 1075, 1081 (9th Cir. 2015) (citation omitted). “The property interest must be ‘vested.'” Id. “To determine whether a property interest has vested for Takings Clause purposes, ‘the relevant inquiry is the certainty of one's expectation in the property interest at issue.'” Bowers v. Whitman, 671 F.3d 905, 913 (9th Cir. 2012) (citation omitted). “[I]f the property interest is ‘contingent and uncertain' or the receipt of the interest is ‘speculative' or ‘discretionary,' then the government's modification or removal of the interest will not constitute a constitutional taking.” Id. (citing Engquist v. Oregon Dep't of Agric., 478 F.3d 985, 1003-04 (9th Cir. 2007), aff'd sub nom. Engquist v. Oregon Dep't of Agr., 553 U.S. 591 (2008)).
Plaintiffs do not respond directly to Defendants' argument except to vaguely cite to Minton v. Bd. of Med. Examiners, 881 P.2d 1339 (Nev. 1994), which noted that “the right to practice medicine” is a constitutionally protected property right and does not pertain to the type of alleged property right here. (ECF No. 96 at 22 n.18.) The Court finds that Plaintiffs' “expected future stream of income” derived from holding an AIC performer business license is necessarily contingent, uncertain, and speculative in many respects. Moreover, AIC performer licenses fall under the category of “privileged licenses” in Title 5 of the Code, and RMC § 5.05.007 plainly states, “Any license or permit issued pursuant to the provisions of this title is a revocable privilege, and no holder acquires any vested right therein or thereunder.” Such characterization as a “revocable privilege” indicates the discretionary and non-mandatory nature of Plaintiffs' alleged entitlement. See AJ Sloan, Inc. v. Holloway, Case No. 2:15-cv-02436-GMN-VCF, 2017 WL 1042462, at *4 (D. Nev. Mar. 16, 2017) (similar analysis); Wedges/Ledges of Cal., Inc. v. City of Phoenix, Ariz., 24 F.3d 56, 62 (9th Cir. 1994) (“A reasonable expectation of entitlement is determined largely by the language of the statute and the extent to which the entitlement is couched in mandatory terms.”). More significantly, if holding an AIC performer business license itself does not confer a vested property right, then there is certainly no vested property right in an expected future stream of income derived from use of that license. Because Plaintiffs have failed to demonstrate a vested property right under the Takings Clause, the Court finds that Plaintiffs' regulatory taking claims fail as a matter of law.
The same analysis applies to Plaintiffs' regulatory taking claims under the Nevada Constitution. See Reinkemeyer v. Safeco Ins. Co. of Am., 16 P.3d 1069, 1072 (2001) (stating the Nevada Constitution's Takings Clause “virtually mirror[s] the language in the United States Constitution,” and Nevada therefore “look[s] to federal caselaw for guidance” to interpret the state's takings clause).
In sum, the Court grants Defendants' motion for partial summary judgment as to Plaintiffs' second and third causes of action. To be clear, the only remaining claim proceeding to trial is Plaintiffs Castellanos, Courtney, Jasper, Rachet, and Stagner's fourth cause of action on the issue of damages.
Because the Court finds that Plaintiffs' second and third causes of action fail as a matter of law, the Court need not-and does not-address Defendants' arguments that Defendant Michael Chaump, in his official capacity as Business Relations Manager of Community Development and Business Licenses for the City, is entitled to qualified immunity (ECF No 92 at 2-3 n 3)
IV. CONCLUSION
The Court notes that the parties made several arguments and cited to several cases not discussed above. The Court has reviewed these arguments and cases and determines that they do not warrant discussion as they do not affect the outcome of the motions before the Court.
It is therefore ordered that Defendants' partial Rule 12(b)(1) motion to dismiss (ECF No. 98) is denied.
It is further ordered that Defendants' motion for partial summary judgment (ECF No. 92) is granted.
It is further ordered that Plaintiffs Brianna Morales, Natalee Wells, and Cecelia Whittle's claims are dismissed from this action without prejudice. The Clerk of Court is directed to update the docket accordingly.
The Clerk of Court is further directed to update the docket to reflect that Plaintiff Maryann Rose Brooks's claims were dismissed in accordance with the Court's prior April 5, 2023 order (ECF No. 89).
It is further ordered that, under LR 16-5, the Court finds that it is appropriate to refer this case to United States Magistrate Judge Carla L. Baldwin to conduct a settlement conference. If the parties do not settle, the Joint Pretrial Order is due within 30 days of the date the settlement conference is held.