Nahmod Law

An Updated Section 1983 Primer (5): Statutes of Limitation, Accrual and Tolling

In honor of the 40th Annual Conference on Section 1983, to be held in-person at Chicago-Kent College of Law on April 18-19, 2024, I have been updating my popular “Primer” series on section 1983.

Below is the fifth–and one of the most widely viewed–of these posts. I hope you find it to be informative.

Introduction

This is the fifth of my section 1983 primers. This post addresses the important, and threshold, question of statutes of limitations, accrual and tolling in section 1983 cases.

The Basics

Because section 1983 does not have its own statute of limitations, it is “deficient” within the meaning of 42 U.S.C. section 1988. Under the provisions of that statute, where federal law is deficient, federal courts are to apply the relevant law of the forum state, unless the relevant law of the forum state is inconsistent with federal law or policy or discriminates against federal claims.

As a consequence of section 1988, statutes of limitations issues arising in section 1983 cases constitute an unusual amalgam of federal and state law regarding the choice of the proper limitations period, accrual and tolling.

Choosing the proper limitations period

The leading case is Wilson v. Garcia, 471 U.S. 261 (1985), which held that the forum state’s personal injury statute of limitations governs. This means that there is no national uniformity.

If the forum state has more than one possibly applicable personal injury statute of limitations, then the state’s residual or general statute of limitations governs. Owens v. Okure, 488 U.S. 235 (1989).

Accrual

When a section 1983 claim accrues–when all of the elements of the claim are present–is a matter of federal law. The governing accrual rule for section 1983 is the medical malpractice discovery accrual rule, meaning that the statute of limitations for a section 1983 claim begins to run when the plaintiff knew or had reason to know of the injury. See United States v. Kubrick, 444 U.S. 111 (1979).

In the employment setting, it is the date of the challenged conduct, such as the alleged racial or sex discrimination, that begins the running of the applicable limitations period, not necessarily when the employee is no longer employed.   Delaware State College v. Ricks, 449 U.S. 250 (1980).

There is a special, and quite complicated, accrual rule, set out in Heck v. Humphrey, 512 U.S. 477 (1994), that applies where the plaintiff has a prior conviction whose validity might be implicated by a successful section 1983 damages action. In such cases, the section 1983 claim does not accrue until the underlying conviction is overturned or vacated. See also the important 2007 decision in Wallace v. Kato, 549 U.S. 384 (2007), dealing with Heck, accrual and section 1983 false arrest/imprisonment claims.

More recently, in McDonough v. Smith, 139 S. Ct. 2149 (2019), the Supreme Court ruled that a section 1983 due process claim of fabrication of evidence claim resulting in criminal prosecution and trial accrues when the plaintiff is acquitted on all charges. And in 2022, the Supreme Court held that a plaintiff’s section 1983 Fourth Amendment malicious prosecution claim accrues when there is a favorable termination of the criminal charges against the plaintiff, even if that termination does not affirmatively demonstrate the plaintiff’s innocence. Thompson v. Clark, 142 S. Ct. 1332 (2022).

Tolling

In contrast to accrual, whether a section 1983 claim is tolled is a matter of state law. The Court so held in Board of Regents v. Tomanio, 446 U.S. 478 (1980), with respect to individual actions, and in Chardon v. Fumero Soto, 462 U.S. 650 (1983), with respect to class actions, a case that I argued in the Supreme Court on behalf of the victorious plaintiffs.

A state savings statute is a particular kind of tolling statute that stops the running of the applicable limitations period for claims timely filed but subsequently dismissed for improper venue, for want of jurisdiction or for other reasons not related to the merits.

Comment

There is so much about statutes of limitations that cannot even be hinted at here. For a comprehensive discussion of this technical subject, see NAHMOD, CIVIL RIGHTS AND CIVIL LIBERTIES LITIGATION: THE LAW OF SECTION 1983 ch. 9 (2023-24 edition)(CIVLIBLIT on Westlaw).

Written by snahmod

April 10, 2024 at 10:07 am

Posted in Uncategorized

Tagged with ,

Know Your Constitution (4)(Updated): Equal Protection

(Author’s note. Over ten years ago I published a series of posts on different constitutional topics entitled “Know Your Constitution.” I believe that this series, intended for the general public, law students and attorneys, merits re-publishing in these perilous and divisive times when constitutional norms are being challenged at every level. So that’s what I’m doing, one post at a time, with revisions and updates where appropriate.)

This is the fourth in a series of posts about the Constitution that is intended for a general audience.  Previous posts introduced the Constitution and then rebutted some commonly held myths about the Constitution.

Background

The equal protection clause of the Fourteenth Amendment prohibits states and local governments from denying persons the equal protection of the laws: similarly situated persons must be treated in the same way, which is a kind of justice principle. The equal protection clause also applies to the federal government through the Fifth Amendment‘s due process clause.

The equal protection clause was originally intended to protect newly freed blacks from being treated disadvantageously because of the their race. However, it is written in broader terms and covers discrimination against persons in general. But this does not mean that whenever government discriminates or classifies, it violates equal protection. Governments could not function if they could not draw lines or classify when they legislate.

The Four Equal Protection Tests

Over the years, the Supreme Court has developed four different tests that it uses, depending on the kind of government discrimination or classification involved.

Strict Scrutiny. When government discriminates or classifies on grounds of race or ethnic origin, the Court uses “strict scrutiny.” This means that in order for the challenged discrimination to be upheld, the government must overcome a heavy burden. It must show that the discrimination promotes a compelling government interest and is narrowly tailored to achieve that interest. Under this test, racial classifications that disadvantage racial minorities never pass strict scrutiny, while those that advantaged racial minorities and disadvantaged a racial majority (as in affirmative action) previously survived strict scrutiny, but after the Supreme Court’s 2023 decision in Students for Fair Admissions, Inc. v. President and Fellows of Harvard College, 143 S. Ct. 2141 (2023), this is no longer the case for college admissions.

Intermediate Level Scrutiny. When government discriminates or classifies on the basis of sex or gender, the Court uses “intermediate level scrutiny.” This is not as burdensome on government as strict scrutiny but it does have “bite”: Here, the government must show that the discrimination promotes an important government interest and is substantially related to achieving that interest. In these cases, the Court is sensitive to the improper use of sexual stereotypes.

Rational Basis Review. When government discriminates or classifies in connection with economic regulation and business, then the Court uses “rational basis review.” This kind of equal protection review is very deferential to government. When applied, rational basis review almost invariably results in a determination that the government classification is constitutional.

Actual Purpose Review. This kind of review is a relatively recent arrival on the scene. The Supreme Court announced several decades ago that the equal protection clause prohibits government from discriminating against persons just because of who they are. The Court used this principle some years ago, in Romer v. Evans, to strike down a Colorado constitutional amendment that disadvantaged homosexuals: it found that the amendment was actually motivated by animus toward them.

Thus far, actual purpose review has been used sparingly by the Supreme Court. However, it played a role in Obergefell v. Hodges, 576 U.S. 644 (2015), the blockbuster same-sex marriage decision.

Written by snahmod

April 4, 2024 at 9:42 am

An Updated Section 1983 Primer (4): Cause in Fact and the Mt. Healthy Burden-Shift Rule

In honor of the 40th Annual Conference on Section 1983, to be held in-person at Chicago-Kent College of Law on April 18-19, 2024, I have been updating my popular “Primer” series on section 1983.

Below is the fourth of these posts. I hope you find it to be informative.

Introduction

As in ordinary tort law, a person who is sued under section 1983 for damages must be shown to be responsible in order to held liable. In other words, that person must have caused the plaintiff’s constitutional deprivation. But in certain section 1983 cases involving impermissible motivation, such as public employee equal protection and First Amendment cases, there are complications arising out of the burden-shift rule of Mt. Healthy Bd. of Education v. Doyle, 429 U.S. 274 (1977).

Typical Fact Pattern

Suppose a public employee is discharged and believes the discharge was impermissibly motivated either because of race (equal protection) or because what he or she said (First Amendment). It turns out that even if the plaintiff can prove this, he or she will not necessarily win on the merits and recover damages because of the Mt. Healthy burden-shift rule.

How the Mt. Healthy Burden-Shift Rule Works

Under Mt. Healthy, (1) the plaintiff has the burden of proving by a preponderance of the evidence that the impermissible motive was a substantial factor (not the but-for cause or the sole cause) for the discharge. Once the plaintiff does this, the plaintiff has made out a prima facie case and will prevail on the merits (2) unless the defendant can prove by a preponderance of the evidence that there was a permissible factor–such as insubordination, incompetence or the like–that also played a role in the discharge and–here’s the key– (3) the plaintiff would have been discharged anyway even in the absence of the impermissible motive.

This is the Mt. Healthy burden-shift that, if carried, means that the defendant is not liable on the merits: no constitutional violation, no damages and no attorney’s fees. It is a powerful affirmative defense.

The Scope of the Mt. Healthy Burden-Shift Rule

The Mt. Healthy burden-shift applies in mixed-motive cases. It is inapplicable where the plaintiff proves by a preponderance of the evidence that the impermissible motive was the sole cause for the discharge.

Significantly, it is also inapplicable in after-acquired evidence cases. Suppose, for example, that in the course of section 1983 litigation involving allegations of unconstitutional discharge, the defendant discovers that the plaintiff lied on his or her employment application and can demonstrate that the plaintiff would therefore not have been hired in the first place. This is not a Mt. Healthy burden-shift case because it is not a mixed-motive case. The defendant’s liability for the constitutional deprivation is unaffected.

This is not to say, though, that the defendant’s after-acquired evidence is irrelevant: it goes to the extent of recoverable damages. The defendant is liable for the damages–lost pay, for example–resulting from the unconstitutional discharge up to the date of discovery of this evidence but not for any such damages thereafter. The Supreme Court made this clear in McKennon v. Nashville Banner Publishing Co., 513 U.S. 352 (1995).

Comment

Note that the generally applicable cause in fact rule in section 1983 cases and most other civil rights cases remains the but-for rule. The Supreme Court made this clear in Comcast Corp. v. National Ass’n of African American-Ownded Media, 139 S. Ct. 2693 (2020), a section 1981 case.

See generally on cause in fact, sections 3:110-3:114 of my Treatise, Civil Rights and Civil Liberties Litigation: The Law of Section 1983 (2023-24 ed.)(West/Westlaw).

Written by snahmod

April 3, 2024 at 11:37 am

Posted in Uncategorized

Tagged with ,

When Public Officials Post or Block on Social Media: The Supreme Court Weighs In on State Action

A variation of what I call the converse of the typical state action question arises when public officials post or block on social media. The Supreme Court recently addressed this issue in two cases in which it granted certiorari and vacated and remanded.

In one, Lindke v. Freed, 143 S. Ct. 1780 (2023), granting certiorari in Lindke v. Freed, 37 F.4th 1199 (6th Cir. 2022), vacating and remanding, 144 S. Ct. – (2024), the Question Presented was: “Whether a public official’s social media activity can constitute state action only if the official used the account to perform a governmental duty or under the authority of his or her office.”

In the other, O’Connor-Ratcliff v. Garnier, 143 S. Ct. 1779 (2023), granting certiorari in Garnier v. O’Connor-Ratcliff, 41 F.4th 1158, 405 Ed. Law Rep. 715 (9th Cir. 2022), vacating and remanding, 144 S. Ct. – (2024)(per curiam, the Question Presented was: “Whether a public official engages in state action subject to the First Amendment by blocking an individual from the official’s personal social-media account, when the official uses the account to feature their job and communicate about job-related matters with the public, but does not do so pursuant to any governmental authority or duty.”

            In Lindke, the Sixth Circuit ruled that a city manager who used his Facebook page for administrative directives and for explaining his Covid-19 policies, but who also posted as a father and husband, was not a state actor when he deleted the plaintiff’s critical comments from his page and “blocked” him as well, thereby keeping the plaintiff from commenting on the page and its posts. The Sixth Circuit found that the city manager maintained the Facebook page in his personal capacity: under its “state-official” test, which it said was a version of the Supreme Court’s nexus test, the Facebook page did not derive from defendant’s duties as city manager—it did not belong to the office of city manager. Further, it did not depend on his state authority. The Sixth Circuit observed that its approach was different from that of some other circuits which focused on a page’s appearance or purpose: “we focus on the actor’s official duties and use of government resources or state employees.”

The Supreme Court, in a unanimous opinion by Justice Barrett, vacated in Lindke and remanded. Observing that in cases like this it is often difficult to tell whether speech is official or private, it emphasized that the plaintiff must show that the city manager (1) had actual authority to speak for the city and (2) purported to exercise that authority in the relevant posts. It is the source of the power that controls, and this must be ascertained on a case-by-case basis. In addition, the Court cautioned that a public official might post job-related information for personal reasons. “[I]t is crucial for the plaintiff to show that the official is purporting to exercise state authority in specific posts.” After noting the difference between deleting and blocking, and warning about the dangers of “mixed use” social media accounts, the Court concluded: “A public official who fails to keep personal posts in a clearly designated personal account therefore exposes himself to greater potential liability.”

In O’Connor-Ratcliff, members of a school district’s board of trustees, who used social media to communicate with constituents and parents about public issues and board matters, blocked the plaintiff parents entirely from defendants’ social media pages because of the plaintiffs’ repeated criticisms of the trustees and the board. The Ninth Circuit ruled that they acted under color of law. It declared: “[A] state official violates the First Amendment by creating a publicly accessible social media page related to his or her official duties and then blocking certain members of the public from that page because of the nature of their comments.” There was a clear nexus between the trustees’ use of social media and their official positions. The Ninth Circuit observed that it was following the analysis of the Second, Fourth and Eighth Circuits in emphasizing the defendants’ use of social media as “an organ of official business.”

Again, the Supreme Court vacated and remanded. In a per curiam opinion, it explained that on remand the Ninth Circuit should apply the Court’s approach in Lindke: (1) did the trustees have actual authority to speak for the school district and (2) did they purport to exercise that authority in their posts.

Note that the Court in Lindke and O-Connor-Ratcliff did not itself apply its two-part approach to the cases before it, as it could (and perhaps should) have done to provide guidance to the circuits, but instead remanded. Note also that the Court indicated that the inquiry into actual authority should be based not only on formal statutory law but also on “custom” and “usage” per the color of law language of § 1983.

On state action, the converse of the typical state action question and color of law generally, see Ch. 2 in Nahmod, Civil Rights and Civil Liberties Litigation: The Law of Section 1983 (2023-24 ed.)(West/Westlaw).

Written by snahmod

March 26, 2024 at 8:19 am

Schedule for 40th Annual Section 1983 Conference: April 18-19, 2024

Here is the schedule for the upcoming in-person Section 1983 Conference. We hope to see you there.

Any questions? Contact either CLE@kentlaw.iit.edu or snahmod@kentlaw.iit.edu.

Day One – April 18, 2024

  8:45 – 9:00 AM          Welcome and Introduction
  9:00 – 10:15 AMThe Section 1983 Claim: Basics 
 Section 1983 and Fourteenth Amendment violations State action and color of law First Amendment retaliatory arrest claims The Second Amendment The Fifth Amendment and Miranda claims The Eighth Amendment Cause in fact and proximate cause “Laws” actions Heck v. Humphrey and existing convictions Due Process Section 1983 malicious prosecution claims A quick look at accrual
 Sheldon H. Nahmod, University Distinguished Professor of Law Emeritus, Chicago-Kent College of Law (Program Chair)
  10:15 – 10:30 AMBREAK
10:30 – 11:45 AMMunicipal Liability
 Methods of Establishing Monell Liability What’s an Official Policy and Whose Policy is it? Municipal Liability Claims Post-Connick Municipal Liability Absent Individual Liability Impact of Qualified Immunity on Municipal Liability
 Karen M. Blum, Professor Emerita and Research Professor of Law,Suffolk University Law School
11:45 – 1:00 PMLUNCH (on your own)
 1:00 – 2:00 PMThe Fourth Amendment
 Raff Donelson, Associate Professor of Law, Chicago-Kent College of Law
  2:00 – 3:15 PMSubstantive Due Process
 Selective Incorporation of the Bill of Rights Protection of Non-Textual Rights from Laws That Interfere with Procreation and Parental Rights Section 1983 Substantive Due Process Claims Brought by Pretrial Detainees, Students, Landowners, and Government Employees
 Rosalie B. Levinson, Professor of Law Emerita, Valparaiso University School of Law
  3:15  – 3:30 PMBREAK
  3:30 – 4:45 PMAttorney’s Fees and Related Ethical Issues
 Issues in recently decided Supreme Court attorney’s fees cases (changes in law regarding nominal damages and impact on availability of fees; standards controlling awards to prevailing defendants; fees for modest injunctive relief without money damages; how reasonable fee is determined (lodestar) Ethics issues in §1983 cases (including Rule 68 issues, conflicts of interest, frivolous claims) Ethics Learning Objectives: 1) Duty of lawyer to represent unpopular clients and causes, even for little or no fee 2) Duty of lawyer to put client’s interest in seeking largest recovery above risk to attorney of reduction of court-awarded fees if merits result obtained is substantially less than outcome sought 3) The importance of a detailed written fee agreement in order to minimize ethics dilemmas in representing clients in civil rights cases
 Gerald M. Birnberg, Founding Partner, Williams, Birnberg & Andersen LLP
4:45 – 5:45 PMRECEPTION

Day Two – April 19, 2024

  9:00 – 10:15 AM        Section 1983 Remedies: Damages and Prospective Relief
 Section 1983 litigation has given rise to a number of interesting questions associated with remedies.  In this session, we will discuss compensatory and punitive damages, as well as issues related to injunctive relief.  
 Noah Smith-Drelich, Assistant Professor of Law, Chicago-Kent College of Law
  10:15 – 10:30 AMBREAK
  10:30 – 11:45 AMIndividual Immunities
 A review of the current law and cutting-edge issues with regard to absolute and qualified immunity, including who possesses absolute immunity and for what tasks, what is the standard for qualified immunity, and what are the issues most frequently litigated with regard to immunities.
 Erwin Chemerinsky, Dean and Jesse H. Choper Distinguished Professor of Law University of California Berkeley School of Law
  11:45 – 1:00 PMLUNCH (on your own)
  1:00 – 2:15 PMThe Religion Clauses and Section 1983
 History and purposes of the Religion Clauses The Establishment Clause:prayer, religious displays and financial support for private religious education The move to a “history and tradition” test in Establishment Clause cases: Kennedy v. Bremerton  School Dist. The Free Exercise Clause: the all-important Smith (peyote) decision, the return to strict scrutiny, the Covid-19 cases and beyond, including Carson v. Makin
Congressional response to Smith: RLUIPA
 Sheldon H. Nahmod, University Distinguished Professor of Law Emeritus, Chicago-Kent College of Law (Program Chair)
  2:15 – 3:30 PMThe Supreme Court’s Current and Forthcoming Terms
 A review of the major decisions from October 2022 (including on affirmative action, religious accommodations in employment, and freedom of speech), and October Term 2023 (including on retaliation claims under the Fourth Amendment, freedom of speech, and gun regulation).
 Erwin Chemerinsky, Dean and Jesse H. Choper Distinguished Professor of Law University of California Berkeley School of Law

Written by snahmod

March 25, 2024 at 11:56 am

An Updated Section 1983 Primer (3): Constitutional States of Mind

In honor of the 40th Annual Conference on Section 1983, to be held in-person at Chicago-Kent College of Law on April 18-19, 2024, I have been updating my popular “Primer” series on section 1983.

Below is the third of these posts. I hope you find it to be informative. The next post in this series will deal with cause-in-fact and the Mt. Healthy burden-shift

Introduction

Are there state of mind requirements for the section 1983 cause of action? The answer is NO as a statutory matter and YES as a constitutional matter.

The Background

Recall from my previous post that the Supreme Court stated in Monroe v. Pape, 365 U.S. 167 (1961), that section 1983 is to be interpreted against “the background of tort liability.” What does that mean? One possibility is that there is some sort of state of mind requirement, stemming from section 1983 itself, for the 1983 cause of action. If so, is it negligence, deliberate indifference, intent or something else?

After some confusion in the circuits, the Supreme Court finally put the matter to rest in Parratt v. Taylor, 451 U.S. 527 (1981), when it declared as a statutory matter that there is no state of mind requirement for the section 1983 cause of action.

However, it turns out that there are state of mind requirements for the section 1983 cause of action that are based on the underlying constitutional claim.

Constitutional States of Mind, Variable and Otherwise

Simply put, different constitutional provisions have their own state of mind requirements. Thus, it has been the rule since Washington v. Davis, 426 U.S. 229 (1976), that equal protection violations require purposeful discrimination. There is therefore no such thing as a negligent or deliberately indifferent equal protection violation. Similarly, the Supreme Court declared in Daniels v. Williams, 474 U.S. 327 (1986), that due process violations require an abuse of government power, so that negligence is not sufficient. And Eighth Amendment violations require at least deliberate indifference, according to the Court in Farmer v. Brennan, 511 U.S. 825 (1994).

However, it is a bit more complicated than that: different states of mind may be required under the same constitutional provision where the circumstances are different. I call these variable state of mind requirements. For example, while the general rule in substantive due process cases is that deliberate indifference is required, in high speed police pursuit cases where police have little or no time to deliberate, the state of mind required, as ratcheted up by the Supreme Court in County of Sacramento v. Lewis, 523 U.S. 833 (1998), is “purpose to cause harm.”

Similarly, while the general rule in prison condition of confinement cases is that the Eighth Amendment requires deliberate indifference in the sense of subjective criminal recklessness, in prison security cases the state of mind required, as ratcheted up by the Supreme Court in Whitley v. Albers, 475 U.S. 312 (1986), is conduct engaged in “maliciously and sadistically for the very purpose of causing harm.”

Why Different Constitutional States of Mind?

At the most superficial level, the Court was engaged in constitutional interpretation when it ruled that equal protection requires purposeful discrimination, that due process requires at least deliberate indifference and that the Eighth Amendment requires at least deliberate indifference in the sense of subjective criminal recklessness. In reality, there is considerably more going on.

First, these state of mind requirements are fault or culpability requirements. The particular constitutional provision implicated in a section 1983 case, which includes its state of mind requirement, constitutes the constitutional norm applicable to the defendant’s conduct. Without this kind of fault, there can be no section 1983 cause of action.

Second, these state of mind requirements can serve functions other than setting out the applicable fault or constitutional norm. Notice how the scope of  section 1983 liability decreases the higher or more culpable the applicable state of mind requirement. Proving  purpose to do harm in a high speed police pursuit case, for example, is much more difficult for plaintiffs than proving deliberate indifference. In this way, the need to compensate for harm caused is reduced .

Perhaps more important, higher state of mind requirements reduce what the Supreme Court increasingly views as the improper chilling effect of potential damages liability on independent decision-making by government officials. Put differently, the Supreme Court is increasingly concerned with over-deterrence.

While this concern with over-deterrence is most obvious in the individual immunities context (about which I have posted a great deal on this blog), it plays a major role in determining applicable constitutional states of mind and is therefore frequently determinative of the scope of the section 1983 cause of action as well.

Written by snahmod

March 13, 2024 at 8:50 am

Posted in Uncategorized

Tagged with ,

An Updated Section 1983 Primer(2): The Seminal Decision in Monroe v. Pape

In honor of the 40th Annual Conference on Section 1983, to be held in-person at Chicago-Kent College of Law on April 18-19, 2024, I have been updating my popular “Primer” series on section 1983.

Below is the second of these posts. I hope you find it to be informative. The next post in this series will deal with the important but somewhat confusing topic of constitutional states of mind.

The Seminal Decision: Monroe v. Pape, 365 U.S. 167 (1961)

This sixty-three year old decision is where section 1983, enacted long ago in 1871, first had life breathed into it. The themes it announced continue to be important to this day.

Monroe involved a plaintiff’s allegations that police officers entered his home without warning and forced the occupants to stand naked while the entire house was ransacked. The plaintiff was thereafter arrested but released without being charged. According to the plaintiff, the police officers violated his Fourth (and Fourteenth) Amendment rights and were personally liable to him for damages under section 1983.

In response, the officers made three arguments, all of which the Court rejected.

The First Defense Argument: “Chutzpa” and Color of Law

The officers’ first argument was one that I have elsewhere characterized as “chutzpa” (meaning “lots of nerve”). Focusing on section 1983’s color of law requirement, they maintained that they did not act under color of law because they allegedly violated the Illinois constitution and much statutory and common law. In their view, section 1983 defendants could only be liable for federal constitutional violations where they acted in a manner consistent with state law. For this reason, the officers did not act under color of law and were not liable for damages under section 1983.

The Court, in an opinion by Justice Douglas, responded by saying that section 1983’s statutory color of law requirement was essentially the same as the Fourteenth Amendment’s state action requirement: once there was state action, there was color of law. (Justice Frankfurter dissented on this issue). And since in this case it was clear that the plaintiff alleged an abuse of state law and power that violated the plaintiff’s Fourth Amendment rights, state action was present. It followed from this that the plaintiff properly alleged acts under color of law. To put it another way, the Court said that the scope of section 1983 was as broad as the scope of the Fourteenth Amendment.

This turned out to be very significant as the scope of the Fourteenth Amendment expanded, by the process of incorporation, to include most of the provisions of the Bill of Rights.

The Second Defense Argument: State of Mind and Specific Intent

The officers next argued that they were not liable under section 1983 because the plaintiff did not allege that they specifically and knowingly intended to violate his Fourth Amendment rights. Disagreeing, the Court interpreted section 1983 against what it called the “background of tort liability” under which a person is responsible for the natural consequences of his or her conduct. Specific intent was not required as a matter of section 1983 statutory interpretation.

Note, though, that different constitutional violations have their own required states of mind (the subject of the next post in this series). For example, equal protection violations require purposeful discrimination, Washington v. Davis, 426 U.S. 229 (1976), and Eighth Amendment violations require at least deliberate indifference, Farmer v. Brennan, 511 U.S. 825 (1994). But these examples are matters of constitutional interpretation, not section 1983 interpretation.

The Third Defense: Exhaustion of State Remedies

Finally, the officers made an express federalism argument, namely, that every section 1983 plaintiff first had to go to state court and seek whatever judicial remedies were available under state law. Only then was he or she permitted to sue under section 1983 in federal court. Again disagreeing, the Court emphasized that the federal section 1983 remedy was supplementary to any available state remedies and, consequently, a section 1983 plaintiff need not first exhaust his or her judicial remedies.

This no-exhaustion rule, a matter of section 1983 statutory interpretation, was thereafter extended to include administrative remedies in Patsy v. Florida Bd. of Regents, 457 U.S. 496 (1982). However, in many prisoner litigation cases, there is now an exhaustion of administrative remedies requirement. See 42 U.S.C. § 1997e, as amended by the Prison Litigation Reform Act of 1995, Pub. L. No. 104-134, Title VIII, 110 Stat. 1321-66 (1996).

Observations

Federalism was implicated not only in the exhaustion argument of the officers but in their color of law argument as well. Had the scope of section 1983 been limited in conformity with these arguments, plaintiffs would have to resort to state court, not federal court, and seek redress under available state remedies. Not surprisingly, federalism concerns continue to drive much of section 1983 jurisprudence. After all, section 1983 is a federal statute enforced by federal courts against state and local governments and their officials and employees.

Additionally, the “background of tort liability” approach to section 1983 was to become quite significant in connection with the immunities of state and local government employees and officials sued personally for damages under section 1983. In general, tort law concepts play an important, even if not necesarily dispositive, role in interpreting the statute. This approach, based on the common law of torts in 1871, is broadly consistent with the current’s Court’s originalist approach to statutory interpretation.

Written by snahmod

March 8, 2024 at 10:04 am

Posted in Uncategorized

Tagged with ,

An Updated Section 1983 Primer (1): History, Purposes and Scope

In honor of the 40th Annual Conference on Section 1983, to be held in-person at Chicago-Kent College of Law on April 18-19, 2024, I am updating my popular “Primer” series on section 1983.

Below is the first of these posts. I hope you find it to be informative. The next post in this series will deal with the Supreme Court’s seminal section 1983 decision, Monroe v. Pape.

This post is intended primarily for those lawyers, law students and members of the public who are not very familiar with 42 U.S.C. section 1983.

History and Purposes

At the outset, observe the very close connection between section 1983 and the Fourteenth Amendment.

Section 1 of the Fourteenth Amendment to the Constitution of the United States, ratified in 1868, declares that states may not abridge the privileges or immunities of citizens of the United States and sets out the protections of due process and equal protection for “any person,” none of which states (and local governments) may deprive or deny.  Section 5 of the Fourteenth Amendment gives Congress the power to enforce section 1 by appropriate legislation.

Section 1983 was enacted in 1871 by the 42nd Congress pursuant to its section 5 power in order to enforce the Fourteenth Amendment. It effectively creates a Fourteenth Amendment action for damages (and for injunctive relief) against “Every person,” acting under color of state or local law, who deprives a person of his or her Fourteenth Amendment rights and thereby causes damage. As it turns out in Supreme Court case law, “Every person” includes state and local government officials as well as local governments themselves (but not states).

The Broad Scope of Section 1983

The scope of section 1983 is as broad as the scope of the Fourteenth Amendment itself, which includes not only the Due Process and Equal Protection Clauses but also, through a process that judges and lawyers call “incorporation,” many of the provisions of the Bill of Rights which on their face apply only to the federal government. Currently incorporated are the First Amendment, the Fourth Amendment, most of the Fifth, the Sixth and the Eighth.  In 2010, the Second Amendment, dealing with the right to bear arms, was also incorporated and applied to states and local governments.

In real world terms, this means that whenever a state or local law enforcement officer makes an arrest, conducts a search or uses force in alleged violation of the Fourth Amendment, section 1983 is potentially implicated. Whenever a public school official punishes a student or teacher for what is said or written on school premises in alleged violation of the First Amendment, section 1983 is potentially implicated. Whenever a prison official imposes conditions of confinement on inmates in alleged violation of the Eighth Amendment, section 1983 is potentially implicated. And whenever a public employer discharges an employee for racial or sex-based reasons in alleged violation of the Equal Protection clause, section 1983 is potentially implicated. Note the obvious: these examples are far from exhaustive.

Complications

On the face of it, section 1983 litigation appears very straightforward. One would think that the major issues in such cases are whether the Fourteenth Amendment was violated by a state or local government official or a local government (the defendant) and whether the person suing (the plaintiff) was injured. If so, liability for damages ought to follow.

However, much section 1983 doctrine has become increasingly technical. For example, the Supreme Court has created a plethora of defenses called “immunities” (absolute and qualified) that may protect individual state and local government officials against liability for damages in certain circumstances. In addition, the Court has progressively made it quite difficult for section 1983 plaintiffs to successfully sue local governments for damages. And not only that: states as states cannot be sued for damages under section 1983.

More about all of this in subsequent posts.

Archives

Written by snahmod

March 6, 2024 at 1:21 pm

Cert Alert in Chiaverini v. City of Napoleon: Section 1983 Fourth Amendment Malicious Prosecution Claims and the “Any-Crime” Rule

Suppose a § 1983 plaintiff asserts a Fourth Amendment malicious prosecution claim for damages against law enforcement officers. We know from Manuel v. City of Joliet, 580 U.S. 357 (2017), and Thompson v. Clark, 142 S. Ct. 1332 (2022), that such a claim may be viable where the plaintiff alleges a seizure, the absence of probable cause, malice (presumed by the absence of probable cause) and favorable termination. See generally on § 1983 Fourth Amendment malicious prosecution, §§ 3:63-3:67 in Nahmod, Civil Rights and Civil Liberties Litigation: The Law of Section 1983 (2023-24 Ed.)(West/Westlaw))

The Issue in Chiaverini

Suppose now that our §1983 plaintiff was arrested and prosecuted on three criminal charges and that there was a favorable termination of those three charges by way of dismissal. However, it turns out that there was probable cause to arrest and prosecute on two of those charges but not the third. Can the § 1983 Fourth Amendment claim go forward on the third charge? Or is that claim barred because of the presence of probable cause for the other two charges?

In Chiaverini v. City of Napoleon, No. 21-3996 (6th Cir. Jan. 11, 2023), cert granted, S. Ct. Docket No. 23-50 (Dec. 13, 2023), the Supreme Court will address this issue in connection with the following Question Presented:

   ”To make out a Fourth Amendment malicious prosecution claim under 42 U.S.C. § 1983, a plaintiff must show that legal process was instituted without probable cause. Thompson v. Clark, 142 S. Ct. 1332, 1338 (2022). Under the charge-specific rule, a malicious prosecution claim can proceed as to a baseless criminal charge, even if other charges brought alongside the baseless charge are supported by probable cause. Under the “any-crime” rule, probable cause for even one charge defeats a plaintiff’s malicious prosecution claims as to every other charge, including those lacking probable cause.

   The question presented is: Whether Fourth Amendment malicious prosecution claims are governed by the charge-specific rule, as the Second, Third, and Eleventh circuits hold, or by the “any- crime” rule, as the Sixth Circuit holds.”

In Chiaverini, the Sixth Circuit had ruled, based on its circuit precedent supporting the “any-crime” rule, that because probable cause existed to support the plaintiff’s detention and prosecution on two of the criminal charges, receiving stolen property and a license violation (both misdemeanors), the allegedly meritless charge for which probable cause did not exist, money laundering (a felony), did not change the nature of the seizure. For this reason, the Sixth Circuit concluded, the plaintiff’s Fourth Amendment malicious prosecution claim based on the money laundering charge could not go forward.

The Circuit Split

As noted, this issue has divided the circuits, which is likely the reason the Court granted certiorari. The Second Circuit previously held that the “charge-specific” rule should apply, Posr v. Doherty, 944 F.2d 91 (2nd Cir. 1991), as did the Third Circuit in Johnson v. Knorr, 477 F.3d 75 (3rd Cir. 2007) and the Eleventh Circuit in Williams v. Aguirre, 965 F.3d 1147 (11th Cir. 2020). Under this charge-specific approach, a § 1983 Fourth Amendment malicious prosecution can go forward on a baseless criminal charge even though there was probable cause to support other criminal charges brought alongside the baseless criminal charge.

Comments

One question–the background of tort liability question–is what the common law of malicious prosecution was in 1871, when § 1983 was enacted. According to the Eleventh Circuit in Williams, 965 F.3d at 1162, and as set out in the Petition for Certiorari, “Centuries of common-law doctrine urge a charge-specific approach, and bedrock Fourth Amendment principles support applying that approach.” In reaching this conclusion, the Eleventh Circuit relied on nineteen-century treatises, American cases and British cases. This consideration will play a role, perhaps major, in the Court’s ultimate resolution of the case.

A second question is one of policy. The Petitioners maintain that under the “any-crime” rule a police officer can protect himself or herself from a § 1983 Fourth Amendment malicious prosecution claim simply by adding a relatively minor criminal charge for which there was probable cause to a serious criminal charge for there was no probable cause. They therefore argue that the “any crime” rule would undermine police officer accountability.

Third, one might point out that every such § 1983 Fourth Amendment malicious prosecution claim, even brought in the same case with others, raises a separate constitutional violation issue which must be analyzed independently of the others. Along similar lines, every such claim is subject to a separate qualified immunity inquiry into clearly settled law.

Finally, observe that if the Court adopts the “charge-specific” rule and rejects the “any-crime” rule, the plaintiff in a § 1983 Fourth Amendment malicious prosecution case involving more than one criminal charge has the burden of pleading and proving that the baseless charge was the cause in fact and proximate cause of particular damages, and those damages must be separate and distinct from the damages resulting from the criminal charge or charges based on probable cause. In some situations this may prove to be complicated. On the other hand, there is much § 1983 litigation brought involving different constitutional violations alleged in the same cases: sorting out the damages connected to each of the claims has not proved to be insurmountable for judges and juries.

My prediction is that the Court will adopt the “charge-specific” rule, which is the better one.

Written by snahmod

February 1, 2024 at 9:59 am

Posted in Uncategorized

Tagged with , ,

Know Your Constitution (3): Myths About the Supreme Court

(Author’s note. Over ten years ago I published a series of posts on different constitutional topics entitled “Know Your Constitution.” I believe that this series, intended for the general public, law students and attorneys, merits re-publishing in these perilous and divisive times when constitutional norms are being challenged at every level. So that’s what I’m doing, one post at a time, with revisions and updates where appropriate.)

I recently blogged regarding two myths about the Constitution. That post was the second in my series, “Know Your Constitution,” which is intended for a general audience.

This is the third in the series and it addresses three myths about the Supreme Court with a minimum of legal jargon.

The First Myth. The Supreme Court’s primary function is to do justice.

Reality. The Supreme Court’s primary function is to interpret the Constitution and federal statutes. These interpretations become the supreme law of the land. The Court’s function is not necessarily to do justice in individual cases.

Of course, there are times when interpretations of particular constitutional provisions are considered by many to be just. For example, the equal protection clause of the Fourteenth Amendment, which prohibits racial and other kinds of discrimination by government, is considered to be a just constitutional provision because it is based on the concept of equality.

Another example is the due process clause and its application in criminal cases. Due process has been interpreted to include concepts of justice and fairness so as to protect the rights of criminal defendants to an unbiased court, to confrontation and cross-examination, to be free from self-incrimination, to an attorney, and so on.

What is most important to remember, though, is that Supreme Court decisions are not necessarily just or moral. A Supreme Court decision can uphold an unjust federal or state law as constitutional. For example, the Court in Plessy v. Ferguson unfortunately upheld separate but equal in the racial setting at the end of the 19th century. It thereby perpetuated Jim Crow laws until Brown v. Board of Education was handed down in 1954.

On the other hand, a Supreme Court decision can rule that a wise and just federal or state law is unconstitutional. For example, the Supreme Court struck down the Violence Against Women Act in United States v. Morrison at the beginning of this century.

The Second Myth. The Supreme Court is a political body like Congress and the President.

Reality.  The Supreme Court is the only branch of the national government that is not directly politically accountable to the electorate. The justices have lifetime tenure once appointed in order to insulate them from political pressure. To demonstrate how important judicial independence is, consider that the Court’s rulings are typically complied with on a voluntary basis by those affected. Al Gore’s concession to George Bush after the Court’s ruling in Bush v. Gore is an excellent example of such voluntary compliance.

On the other hand, the justices are human beings who cannot help but be influenced by their upbringing and by contemporary political and social values. Consider, for example, the infamous Dred Scott and Plessy v. Ferguson decisions, where the justices could not distance themselves from their support for white supremacy.

Still, because the justices are not directly answerable to the electorate, it is an important part of their judicial function to avoid applying their personal values, to the extent possible, when they interpret the constitution.

The Third Myth. The Supreme Court simply makes up most of its constitutional decisions.

Reality. It’s much more complicated than that. Some constitutional provisions are very easy to apply because they are very specific. For example, the President must be a natural born citizen, over thirty-five years old and a resident of the United States for fourteen years.

Similarly, it is clear from the text of the Constitution that it is Congress that has legislative powers, it is the President who has executive powers and it is the Supreme Court that has judicial powers. There are many such examples.

In contrast, other provisions of the Constitution, because they are less clear inherently, necessarily require a fair amount of interpretation. What do freedom of speech, freedom of the press, freedom of religion, mean anyway? Does the Fourth Amendment prohibiting unreasonable searches and seizures apply to electronic surveillance, to the internet? The text of the Constitution and the history of these provisions often provide no clear answers; obviously the Framers never thought of media such as radio and television, or about electronic surveillance and the internet.

So what does the Court do? Until recently, the short answer was that the Court typically proceeded cautiously and developed the meaning of these and similar textual provisions on a case by case basis.  Typically the justices would focus on the values implicit in the constitutional provision they were interpreting. They then asked whether and how to apply those values in the new situation confronting them.

However, a majority of the current Supreme Court has now adopted an approach called “originalism” that focuses on the history and tradition of the particular constitutional provision of concern. The Court has applied this approach (which really has varying meanings) to the Establishment Clause, the Second Amendment and the Due Process Clause (in overruling Roe v. Wade).

Both the earlier approach and the current “originalism” approach constitute what some call judicial restraint, and what others call judicial activism.

It must be acknowledged that both approaches give the justices as individuals, and the Supreme Court as an institution, a good deal of interpretive latitude on difficult constitutional interpretation questions. And it must also be admitted that this often generates a great deal of controversy, often of a politically partisan nature.

However, controversy is one of the inevitable costs of being a citizen in a democracy with a Supreme Court that interprets the Constitution. And it is a cost I’m willing to acknowledge and bear, even when I believe firmly that the Court has gotten it wrong.

Written by snahmod

January 31, 2024 at 9:59 am