OPINION
Before this court is defendants’ motion to dismiss plaintiffs civil rights action filed under 42 U.S.C. §§ 1981, 1983, 1988, 12132 (Americans with Disabilities Act, hereinafter ADA) and supplemental state law claims against members of the Michigan State Board of Medicine (Board), staff members in the Department of Commerce who serve the
On September 22, 1988, Robert Alexander, M.D. (plaintiff), was convicted in federal court on charges of conspiracy and intent to distribute controlled substances. As a consequence thereof, administrative proceedings by the Board against plaintiff to revoke his license to practice medicine were scheduled to commence on July 10, 1989. As plaintiff was incarcerated at the time in a federal prison in South Dakota, he was unable to attend the proceedings. An adjournment was granted on the condition, to which plaintiff complied, that he voluntarily surrender his license to practice medicine.
On November 7, 1989, administrative law judge Edward Rogers (ALJ) issued an order granting an adjournment of a December 20 hearing if plaintiff met certain preconditions by December 15, 1989. The December 20 hearing was conducted without plaintiffs presence despite his allegation that he met all conditions precedent for the adjournment. The parties were given an opportunity to file motions and briefs, and the ALJ issued an opinion on April 20,1990.
On August 3,1990, the Board modified the ALJ’s findings of fact and conclusions of law and issued a final order that revoked plaintiffs medical license and imposed a fine of $50,000.00. On September 30,1990, the Ingham County Circuit Court (state court) vacated and remanded the final order for further proceedings. On May 6, 1990, plaintiff appeared before the Board to present proof of his competency to practice medicine, and of a psychological disability. Plaintiffs petition was denied again and this decision, the superseding final order was, again, appealed to the state court.
In a September 20, 1993 opinion, the state court found that the Board had supplied only a partial supporting rationale for its sanction, a violation of Michigan’s Administrative Procedures Act (APA). The Board’s superseding final order was vacated and the matter remanded again for a final decision wherein the reasons for the Board’s choice of sanction were to be articulated to comport with the APA.
The Board issued its amended superseding final order on March 9, 1994 in which it deleted the requirement that plaintiff pay the $50,000 fine prior to applying for a licence. Plaintiff petitioned for reinstatement on March 21, 1994, and the Board issued a final order on September 13, 1995, denying reinstatement of plaintiffs license. This matter is under advisement again before the state court.
Defendants raise several grounds upon which this case should be dismissed: (1) Whether plaintiffs federal claims are barred by the Younger abstention doctrine?; (2) whether the 11th Amendment bars plaintiffs action?; (3) whether the Board members are entitled to absolute, quasi-judicial immunity?; (4) whether all defendants are entitled to qualified immunity, and state statutory immunity for the state law claims?; and (5) whether plaintiff was deprived of property either by a state actor or under the Due Process Clause? We need not address all grounds to summarily dismiss this complaint.
I. Younger Abstention
In
Younger v. Harris,
[T]he basic doctrine of equity jurisprudence [requires] that courts of equity should not act, and particularly should not act to restrain a criminal prosecution, when the moving party has an adequateremedy at law and will not suffer irreparable injury if denied equitable relief.
Id.
at 43-44,
Plaintiffs present claim, however, is one for damages and equitable principles do not apply. Whether federal courts can provide damage remedies when the claim arises out of a pending state court or administrative proceedings is an unresolved question among the circuits.
3
In
Carras v. Williams,
In
Feaster v. Miksch,
In
Watts v. Burkhart,
In the present case, the state is a party which is an exception under the
Carras
court’s rule of no abstention in damage actions. On the other hand, plaintiff cannot seek relief for damages in the state court,
4
a
II. Eleventh Amendment
Defendants also raise the 11th Amendment as a bar to plaintiffs action. The amendment has been construed to bar suits in federal court against state officers acting in their official capacity.
Will v. Mich. Dep’t of State Police,
20. ... Defendant members acting together as a Board of Medicine modified the Defendant Administrative Law Judge’s findings of the [sic] fact and conclusions of law and issued its final order revoking Plaintiffs medical license and imposing fines of Fifty Thousand Dollars ($50,-000.00).
33. That the selective prosecution of the Plaintiff by the Defendant’s acting as the Michigan Department of Commerce Board of Medicine and the Administrative Law Judge constitutes a violation of rights secured to the Plaintiff pursuant to____
‡ ‡ ‡ ‡ ‡ ‡
44. Plaintiff is informed that the selective prosecution of the Plaintiff by the Defendant’s acting as the Michigan Department of Commerce Board of Medicine and the Administrative Law Judge constitutes a violation of rights secured to the plaintiff under the____ (Emphasis added.)
Plaintiff countered in his response that the individual defendants acted as individuals and that even if his compliant is “technically deficient” justice should allow him to amend. Such, however, would be futile considering the immunity bars to plaintiffs claim in this court, infra.
III. Immunities
A. Absolute
Defendants also assert that the Board members are entitled to quasi-judicial immunity. In all questions pertaining to immunities under section 1983, the Supreme Court has looked to the common law immunities acknowledged when section 1983 was passed in 1871. In
Watts v. Burkhart, M.D.,
B. Qualified
Defendants also contend that all defendants are entitled to qualified immunity. In
Harlow v. Fitzgerald,
The Sixth Circuit applied the rules circumscribing qualified immunity to a motion for summary judgment in
Buckner v. Kilgore,
[W]hen a defendant moves for summary judgment on qualified immunity, a plaintiff must effectively pass two hurdles. First, the allegations must state a claim of the violation of clearly established law. Second, the plaintiff must present evidence sufficient to create a genuine issue as to whether the defendant in fact committed the acts that violated the law____ The burden is on the plaintiff to allege and prove that the defendant official violated a clearly established [statutory or] constitutional right.
Plaintiff has met only the first of these hurdles and even then, only with respect to one of the counts in his complaint. In his response to defendants’ claim of qualified immunity, he has not alleged how the defendants’ actions alleged in his complaint have violated clearly established law. The protections embodied within the due process clause are not, by the nature of clause’s terms, capable of clear interpretation in the absence of reference to sources outside the constitutional text, to which plaintiff has not directed the court. The court takes notice that a license to practice medicine has been recognized in other circuits as a protected property right under the due process clause.
See, e.g., Keney v. Derbyshire,
Plaintiffs allegation that he was selectively prosecuted because of his race and, thus, received disparate treatment as compared with white physicians similarly situated is, on its face, a violation of the equal protection clause as enforced by section 1981. Though plaintiff has not directed us to precedents that would show that selective prosecution by an administrative agency is a violation of section 1981, the nature of the statute’s terms admit no question that selective prosecution on the basis of race is an infringement upon the same “full and equal benefit of all laws and proceedings for the security of persons and properties as is enjoyed by white citizens, ____” 42 U.S.C. § 1981(a).
With respect to the second hurdle, assuming that plaintiff presented violations of clearly established law, he has not presented any evidence to show a genuine issue of
III. Americans with Disabilities Act
Plaintiff also argues that the Board is not immune from plaintiffs claim under the ADA 42 U.S.C. § 12202 provides that a “State shall not be immune under the eleventh amendment to the Constitution of the United States from an action in [a] Federal or State court of competent jurisdiction for a violation of this chapter.” Plaintiff requests leave to amend his complaint if we find that his complaint is deficient in identifying the Board as a defendant. This court finds no need to amend his complaint as the pleadings are sufficiently clear that he was suing the Board which is as an entity of the state, not each member in their individual capacity, and the state is potentially liable for the acts of its entities.
Count three of plaintiffs complaint alleges that defendants violated the ADA in both the revocation and failure to reinstate plaintiffs license. The court notes, however, that the ADA was not effective until January 26, 1992,
Eisfelder v. Mich. Dep’t of Natural Resources,
Concerning the Board’s failure to reinstate plaintiffs license, 42 U.S.C. § 12131(2) defines “qualified individual with a disability” in pertinent part as
an individual with a disability who, with or without reasonable modifications to rules, polices or practices ... meets the essential eligibility requirements for the receipt of services or the participation in programs or activities provided by a public entity. (Emphasis added).
42 U.S.C. § 12132(2) provides that
no qualified individual with a disability shall, by reason of such disability, be excluded from participation in or be denied the benefits of the services, programs, or activities of a public entity, or be subjected to discrimination by any such entity.
Considering the text of section 12132(2), it is questionable whether the Board’s duty to license physicians can be characterized as a “service” being denied to plaintiff or whether the Board’s refusal to reinstate his license denies him participation in “programs or activities provided” by a state entity. The Board of Medicine is, if anything, a service, program or activity provided for the public’s benefit and safety, not for the benefit of any given individual who does not meet the state’s requirements for practicing medicine.
In any event, plaintiff is not a “qualified individual with a disability” under the ADA. The very nature of the police powers exercised by state boards of medicine require the state to discriminate on the basis of, among other considerations, a mental condition harmful to the public’s safety. By the very nature of the practice of medicine, given the physician’s necessary independence to “practice” his art, no reasonable modification can be made to a policy of restricting medical practice to those without evidence of mental disabilities. Under M.C.L. § 333.16247(1), the Board may reinstate a license only if the Board is satisfied by “clear and convincing evidence that the applicant is of good moral character, [and] is able to practice the profession with reasonable skill and safety____” The Board cannot exercise its duty without the discretion to consider the impact of a mental disability upon one’s ability to practice with reasonable skill and safety. The danger of irreparable harm to the public is too great to deny the Board such discretion. To require otherwise is unreasonable.
In this case, the Board denied reinstatement upon consideration of plaintiffs moral character and his ability to practice medicine with safety. As stated in its findings of fact and conclusions of law of September 13,1995:
Throughout the proceeding on remand of 1992 as well as the reinstatement process in 1994, Petitioner’s focus has been on the explanation of the course and treatment of his bipolar illness. Although this is an important aspect of Petitioner’s ability, this Board is mindful of the fact that therevocation of Petitioner’s license was based on a conviction. Petitioner convicted a felony. He was convicted by a jury of that felony. He illegally distributed drugs in the course of his medical practice, knowing well that these prescriptions were not written for legitimate medical purposes. To this day, Petitioner refuses to answer questions concerning his misconduct. Petitioner has failed to submit proof that he has learned from this experience.
As a matter of law, a board of medicine must have this discretion to discriminate for the public’s health and safety. Only an abuse of a board of medicine’s discretion, none of which has been shown in this case, can subject the state to liability under the ADA
The court notes that this case appears to be one of first impression under the ADA However, in a ease with a similar issue,
Doe v. Maryland Medical System Corp.,
Notes
. Presently 28 U.S.C. § 2283, the "Anti-Injunction Act.” This statute prohibits injunctions of state court proceedings "except as authorized by Act of Congress, or where necessary in aid of its jurisdiction, or to protect or effectuate its judgments.” Though section 1983 has been construed by the Supreme Court to be an exception authorized by Congress,
Mitchum v. Foster,
.
Younger
abstention was extended previously to the "administrative” proceedings of a state bar association in
Middlesex County Ethics Comm. v. Garden State Bar Ass’n,
. The Supreme Court declined to answer the question in
Deakins v. Monaghan,
. The powers granted to the state court when reviewing the actions of an administrative agency do not include the power to award damages. The court "may affirm, reverse or modify the decision or order or remand the case for further proceedings.” M.C.L. § 24.306.
