After being suspended and driven home without parental notification, a special education student at a public school committed suicide. His parents brought a cause of action against the school district and various school officials alleging violation of their deceased son’s civil rights. The district court denied the defendants’ motion for summary judgment on the issue of qualified immunity. Defendants now appeal. Plaintiffs cross-appeal the district court’s grant of summary judgment against them on some of their claims. We affirm in part, reverse in part, and remand.
BACKGROUND
In 1994, Philadelfío C. Armijo (“Armijo”) was a sixteen-year-old special education student at Wagon Mound Public Schools (“WMPS”), in Wagon Mound, New Mexico. 1 Armijo is represented in this action by Juanita D. Chavez and Atanacio Armijo (the “Plaintiffs”), his mother and father and next friends. Armijo was classified as learning disabled, and had other psychological and emotional problems, including impulsivity and depression. Armijo had been a special education student at WMPS for seven years. WMPS charted Armijo’s progress as a special education student through Individual Education Plans (“IEP”) that school officials developed for him.
The October 6,1994, IEP notes for Armijo stated that “Phil will see [a] social worker for assistance with dealing with school and self-esteem.” Earlier in the year, Armijo had told school aide Pam Clouthier (“Clouthier”), “maybe I’d be better off dead.” In a discussion with Clouthier in 1994, Armijo stated “I’m just going to shoot myself.” Both Clou-thier and school counselor Tom Herrera (“Herrera”) knew that Armijo had access to firearms.
On December 1, 1994, Principal Mary Schütz (“Schütz”) verbally reprimanded Ar-mijo for harassing an elementary student. While in the presence of Schütz and Herrera, Armijo threatened physical harm to the teacher that reported the incident, to the *1257 teacher’s son, and to the teacher’s car. Schütz immediately suspended Armijo on an emergency basis. Schütz considered Armijo to be at risk for committing violence. Schütz instructed Herrera to drive Armijo home, which he did. Schütz also contacted the police to inform them of the suspension and instructed the police to detain Armijo if they saw him returning to school. On the way to Armijo’s house, Herrera observed Armijo to be “very angry.”
Schütz did not follow stated school disciplinary policy by sending Armijo home. The WMPS policy allows for “[tjemporary suspensions of students who are eligible for special education services ... in accordance with the normal procedures ... provided that the student is returned to the same educational placement after the temporary suspension.” However, the WMPS Par-enVStudent Handbook provides, “If a student is placed on out-of-sehool suspension, but his/her parents will not be home, that student will be placed instead on in-school suspension without credit for work done.” 2 Schütz did not inform Armijo’s parents about his emergency removal from the school. Schütz also did not instruct Herrera to notify Armijo’s parents. Nor did Schütz tell Herrera to check if Armijo’s parents were home or to bring him back to school if no one was home. Although Herrera knew that he should speak with Armijo’s parents about their son’s suspension, Herrera did not attempt to contact them.
After arriving at Armijo’s house, Armijo got out of Herrera’s car and ran around to the back of the house as Herrera drove away. Armijo’s parents returned home later that day and found their son in their bedroom dead of a self-inflicted gunshot wound to the chest from a rifle. In her hand-written statement to the Wagon Mound Police made immediately after learning of Armijo’s death, Clouthier noted that within the last months before his death “Phil [Armijo] was constantly depressed and nervous and not really knowing who or what he was.” Clouthier added that earlier that day, while discussing Armijo’s misbehavior and his inability to understand why he was in trouble, “Phil then told me that maybe he should just leave the school and go to Colorado. I replied, ‘mi hijo relax your [sic] upset but everything will be okay.[’] He then said I don’t know Pam, maybe I’d be better off dead.”
Plaintiffs filed a complaint against WMPS, the WMPS School Board, WMPS Superintendent Tony Garcia, Schütz, Herrera, and Clouthier (“Defendants”) under the Individual with Disabilities Education Act (“IDEA”), 20 U.S.C. § 1400 et seq., and under 42 U.S.C. § 1983. 3 Plaintiffs claimed that the WMPS Defendants violated IDEA and that the violation caused Armijo’s death. Plaintiffs also alleged that WMPS, the WMPS School Board, and WMPS Superintendent Garcia (“WMPS Defendants”) improperly failed to train school officials to handle situations involving potentially violent and suicidal students such as Armijo, in violation of 42 U.S.C. § 1983. Finally, Plaintiffs brought a cause of action under 42 U.S.C. § 1983 against Schütz, Herrera, and Clouthier (the “Individual Defendants”), alleging that they violated Armijo’s substantive due process rights.
In an April 15,1997, Memorandum Opinion and Order (“Order”), the district court granted the WMPS Defendants’ motion for summary judgment on the IDEA claim and the § 1983 failure to train claim. The district court denied the Individual Defendants’ motion for summary judgment based on qualified immunity from the § 1983 substantive due process claim. The district court found that Plaintiffs presented a triable issue re *1258 garding Defendants’ knowledge of the danger of suicide and the reasonableness of sending Armijo home without parental notification in light of that risk. Holding that “danger creation” jurisprudence was clearly-established well before Armijo committed suicide, the district court found that Plaintiffs’ allegations stated a cause of action under the danger creation theory of- liability. The district court also found that “the precise measure of state restraint that engenders an individual’s right to claim a corresponding affirmative duty” by the state to protect that individual from harm is not defined. However, the district court went on to state that Plaintiffs presented sufficient facts to create a genuine dispute as to whether the Defendants had a “special relationship” with Armijo which gave rise to a corresponding duty to protect him from injury.
In Case No. 97-2150, Defendants filed an interlocutory Notice of Appeal of the district court’s denial of qualified immunity. Plaintiffs contest the appeal for lack of jurisdiction. In the alternative, in Case No. 97-2167, Plaintiffs cross-appeal the district court’s grant of summary judgment on the failure to train and IDEA claims.
DISCUSSION I. Jurisdiction
We determine whether a defendant may bring an interlocutory appeal of the denial of summary judgment on the issue of qualified immunity under the standard set forth in
Johnson v. Jones,
a district court’s order denying a defendant’s motion for summary judgment [is] an immediately appealable “collateral order” (i.e., a “final decision”) ... where (1) the defendant [is] a public official asserting a defense of “qualified immunity” and (2) the issue appealed concern[s] not which facts the parties might be able to prove, but, rather, whether or not certain given facts show[ ]a violation of “clearly established” law.
Johnson,
In
Foote v. Spiegel,
A determination that the law allegedly violated by the defendant was clearly established at the time of the challenged actions is an abstract issue of law that is immediately appealable. A determination that under either party’s version of the facts the defendant violated clearly established law is also immediately appealable. However, government officials cannot appeal pretrial denial of qualified immunity to the extent the district court’s order decides nothing more than whether the evidence could support a finding that particular conduct occurred. An order denying qualified immunity on summary judgment is not appealable if it merely determines the facts asserted by the plaintiff are sufficiently supported by evidence in the record to survive summary judgment.
Id.
at 1422 (internal citations omitted);
see also Wilson v. Meeks,
The district court found “a genuine dispute of fact as to whether defendants knew that Philadelfio was suicidal and thus able to care for himself when he was suspended from school and driven to his home where he was left alone without parental notification.” Plaintiffs argue that we do not have jurisdiction over the appeal because the district court denied summary judgment after finding a dispute of fact regarding whether the Individual Defendants knew that Armijo was suicidal and thus would unreasonably be placed at risk of harm if he were removed from school and left alone at home without parental notification. Defendants argue that there is no material dispute of fact as to whether they knew that Armijo was suicidal because Clouthier did not take Armijo’s suicidal statements seriously, Clou-thier now does not recall Armijo making any of the statements she related in her affidavit to the police, Clouthier was not involved in Armijo’s suspension decision, and Armijo did not make suicidal threats to either Schütz or Herrera. Defendants also claim that then-appeal involves the purely abstract legal question of whether Armijo’s federal rights allegedly infringed were “clearly established.”
We have jurisdiction to consider the appeal, but only over the legal issues raised in the case. We do not have jurisdiction to review the district court’s factual findings, including its finding that a genuine dispute of fact existed as to the school’s knowledge of Armijo’s suicide risk and his ability to care for himself. In considering the legal issues:
[We] review whether, under [plaintiff’s] version of the facts, [defendant] violated clearly established law. In making this determination, we must scrupulously avoid second-guessing the district court’s determinations regarding whether [plaintiff] has presented evidence sufficient to survive summary judgment. Rather, we review only whether [defendant’s] conduct, as alleged by [plaintiff], violated clearly established law.
Clanton,
However, if the district court does not “identify the particular charged conduct that it deemed adequately supported” by the evidence, “‘a court of appeals may have to undertake a cumbersome review of the record to determine what facts the district court ... likely assumed.’ ”
Behrens,
Here, the district court found that Plaintiffs presented a dispute of fact regarding whether Defendants knew that Armijo was suicidal and could not care for himself. As a result, we do not have jurisdiction to consider Defendants’ argument that there is no material dispute of fact as to those issues. Even if the district court erred in reaching that finding, we would not have jurisdiction to review that fact-based determination on an interlocutory appeal.
See Myers v. Oklahoma County Bd. of County Comm’rs,
*1260
However, because the district court did not identify any other specific facts in support of its conclusion that summary judgment was inappropriate, we will review the record in the light most favorable to Plaintiffs on all other factual questions in considering Defendant’s appeal. Thus, we address de novo Defendants’ claim that no violation of any clearly established law occurred even taking Plaintiffs’ allegations regarding those facts as true, where those allegations have some record support.
See Clanton,
II. Qualified Immunity
“State government officials performing discretionary functions enjoy qualified immunity from liability under 42 U.S.C. § 1983.”'
Clanton,
In Clanton, we articulated the Tenth Circuit’s framework for analyzing a question of qualified immunity in a § 1983 claim:
In analyzing qualified immunity claims, we first ask if a plaintiff has asserted the violation of a constitutional right at all, and then assess whether that right was clearly established at the time of a defendant’s actions. Once a public official raises a qualified immunity defense, the plaintiff bears the burden of (1) coming forward with sufficient facts to show that the defendant’s conduct violated the law; and (2) demonstrating that the relevant law was clearly established when the alleged violation occurred.
Id.
(quoting
Gehl Group v. Koby,
In showing that the law was clearly established, the plaintiff does not have to show that the specific action at issue had been held unlawful, but the alleged unlawfulness of the defendant’s conduct must be apparent in light of preexisting law. See id. at 1154. “The contours of the right must be sufficiently clear that a reasonable official would understand that what he is doing violates that right.” Id. (quotations omitted). “[I]t is the plaintiffs burden to establish the asserted right’s contours are sufficiently clear such that a reasonable official would understand that what he is doing violates that right.” Id. at 1156 (quotations omitted). The plaintiff may satisfy his or her burden by showing that there is a Supreme Court or Tenth Circuit opinion on point, or that his or her proposition is supported by the weight of authority from other courts. Id. However, we do not require plaintiffs to produce a factually identical case, but allow some degree of generality in factual correspondence. See id. at 1156-57.
Generally, state actors are liable only for their own acts, and not the violent acts of third parties.
See Liebson v. New Mexico Corrections Dep’t,
The first exception, known as the special relationship doctrine, “exists when the state assumes control over an individual sufficient to trigger an affirmative duty to provide protection to that individual.... ” The second exception, sometimes referred to as the “danger creation” theory, provides that a state may also be liable for an individual’s safety “if it created the danger that harmed the individual.”
Id.
(quoting
Uhlrig v. Harder,
*1261 a. Special Relationship
A state is not required to provide its citizens with “particular protective services” under the Due Process Clause, and “failure to protect an individual against private violence simply does not constitute a violation of the Due Process Clause.”
DeShaney,
In the substantive due process analysis, it is the State’s affirmative act of restraining the individual’s freedom to act on his own behalf — through incarceration, institutionalization, or other similar restraint of personal liberty — which is the “deprivation of liberty” triggering the protections of the Due Process Clause, not its failure to act to protect his liberty interests against harms inflicted by other means.
Id.
at 200,
We have applied this principle in the context of a claim that a school district had a duty to protect a student from his fellow students. In Graham v. Independent Sch. Dist. No. 1-89,22 F.3d 991 , 994-95 (10th Cir.1994), we held that schools have no duty under the Due Process Clause to protect students from assaults by other students, even where the school knew or should have known of the danger presented. If the state takes a person into custody or holds him against his will, the state assumes some measure of a constitutionally mandated duty of protection. Id. at 994. Compulsory attendance laws for public schools, however, do not create an affirmative constitutional duty to protect students from the private actions of third parties while they attend school. Id. (citing Maldonado v. Josey,975 F.2d 727 , 732 (10th Cir.1992), cert. denied,507 U.S. 914 ,113 S.Ct. 1266 ,122 L.Ed.2d 662 (1993)). Inaction by the state, in the face, of a known danger, is not enough to trigger a constitutional duty to protect unless the state has a custodial or other “special relationship” with the victim. See Graham,22 F.3d at 995 . “The affirmative duty to protect arises not from the State’s knowledge of the individual’s predicament ... but from the limitation which it has imposed on his freedom to act on his own behalf.” DeShaney,489 U.S. at 200 ,109 S.Ct. at 1005-06 .
Seamons v. Snow,
The district court made no findings of specific facts that would support a special relationship theory of liability. Thus, we may review the record to determine what facts the district court likely assumed.
See Behrens,
b. Danger Creation
As noted above, the district court found that Plaintiffs presented sufficient evidence to create a dispute over whether the Individual Defendants generally knew that Armijo was suicidal and knew that removing him from school and leaving him home alone could unreasonably create a risk of harm. Thus, we do not have jurisdiction to review the sufficiency of the factual basis supporting these specific findings by the district court.
See Clanton,
First, however, we must determine whether the district court was correct in determining that danger creation jurisprudence was clearly established as a matter of law at the time of the conduct here at issue. On this issue we agree with the district court that the law was clearly established.
“[S]tate officials can be liable for the acts of third parties where those officials ‘created the danger’ that caused the harm.”
Seamons,
we must bear in mind three basic principles highlighted by the Supreme Court ... :(1) the need for restraint in defining [the] scope [of substantive due process claims]; (2) the concern that § 1983 not replace state tort law; and (3) the need for deference to local policymaking bodies in making decisions impacting upon public safety.
Id. at 573 (internal citations omitted). We held that to satisfy the “shock the conscience” standard, “the plaintiff must demonstrate a degree of outrageousness and a magnitude of potential or actual harm that is truly conscience shocking.” Id. at 574. We declined to precisely define this level of conduct, but left it to evolve over time. See id. “We do know, however, that the ‘shock the conscience’ standard requires a high level of outrageousness, because the Supreme Court has specifically admonished that a substantive due process violation requires more than an ordinary tort....” Id.
In Uhlrig, we articulated a five-part test to determine whether a defendant created a special danger for the plaintiff:
Plaintiff must demonstrate that (1) [Plaintiff] was a member of a limited and specifically definable group; (2) Defendants’ conduct put [Plaintiff] ... at substantial risk of serious, immediate and proximate harm; (3) the risk was obvious or known; (4) Defendants acted recklessly in conscious disregard of that risk; and (5) such con *1263 duct, when viewed in total, is conscience shocking.
Id.
Although this five part test is correct, so far as it goes, it is not entirely complete in light of the Supreme Court’s decision in
DeShaney,
While the State may have been aware of the dangers that [plaintiff] faced in the free world, it played no part in their creation, nor did it do anything to render him any more vulnerable to them.... [I]t placed him in no worse position than that in which he would have been had it not acted at all.
Id. Thus, in addition to meeting Uhlrig’s five-part test, a plaintiff must also show that the charged state entity and the charged individual defendant actors created the danger or increased the plaintiffs vulnerability to the danger in some way. 6 In other words, if the danger to the plaintiff existed prior to the state’s intervention, then even if the state put the plaintiff back in that same danger, the state would not be liable because it could not have created a danger that already existed. 7
The key to the state-created danger eases ... lies in the state actors’ culpable knowledge and conduct in affirmatively placing an individual in a position of danger, effectively stripping a person of her ability to defend herself, or cutting off potential sources of private aid. Thus the environment created by the state actors must be dangerous; they must know it is dangerous; and, to be liable, they must have used their authority to create an opportunity that would not otherwise have existed for the third party’s [acts] to occur.
Johnson v. Dallas Ind. Sch. Dist.,
*1264 The particular facts found in dispute by the district court, in conjunction with the evidence culled from our review of the record on issues not specifically addressed by the district court, 8 were sufficient to raise factual inferences that could satisfy the five part test set forth in TJhlrig as to Individual Defendants Schütz and Herrera: (1) Armijo was a member of a limited and specifically definable group — special education students who have expressed threats of suicide, (2) Schütz’ and Herrera’s conduct put Armijo at substantial risk of serious, immediate and proximate harm by suspending him from school, which caused him to become distraught and to threaten violence, and then taking him to his home and leaving him alone with access to firearms, (3) they had some knowledge that might support an inference that Armijo was suicidal and distraught, was unable to care for himself, was home alone, and at least some of the Individual Defendants knew Ar-mijo had access to firearms, (4) by taking this action, knowing of Armijo’s vulnerability and risks of being left alone at home, Schütz .and Herrera acted recklessly in conscious disregard of the risk of suicide, and (5) such conduct, if true, when viewed in total, possibly could be construed as conscience-shocking, depending on context as determined after a full trial. In addition, these facts taken as true also could be construed to show (6) that Schütz and Herrera increased the risk of harm to Armijo. Thus, the district court properly denied summary judgment on this issue as to Schütz and Herrera. 9
However, we reverse the district court’s order denying summary judgment as to Defendant Clouthier. Clouthier was a school aide and there is nothing in this record to support a conclusion that Clouthier caused or created the danger that arguably led to Armijo’s death. There is nothing in this record to suggest that Clouthier was involved in the decision to suspend Armijo or to send him home alone without adult supervision. In the absence of any evidence that Clouthier caused or created the danger, she was entitled to summary judgment.
Beh-rens,
III. Cross-Appeal
In order to consider the cross-appeal, -we must exercise pendent appellate jurisdiction.
See Moore v. City of Wynnewood,
Plaintiffs argue that
Moore
supports the exercise of pendent appellate jurisdiction in this case. This court in
Moore
chose to exercise pendent appellate jurisdiction over a municipality’s appeal of the denial of summary judgment in its favor in conjunction with a city official’s appeal of the denial of summary judgment on the issue of qualified immunity because resolving the issue of qualified immunity in favor of the city official completely resolved the claim against the municipality.
See Moore,
Here, a ruling on the issue of qualified immunity will not resolve Plaintiffs’ claims on which the distinct court granted summary judgment in favor of the WMPS Defendants. For example, the IDEA claim does not involve the application of the “danger creation” or “special relationship” theories. Indeed, because we find that the individual defendants Schütz and Herrera are not entitled to qualified immunity on Plaintiffs’ danger creation theory claims, our holding does not conclusively resolve any claims in this case against the WMPS Defendants. As a result, we refuse to exercise pendent jurisdiction over Plaintiffs’ cross-appeal.
CONCLUSION
For these reasons, in Case No. 97-2150, we REVERSE the district court’s order denying summary judgment to individual defendant Clouthier on the “danger creation” theory, and we AFFIRM the district court’s order denying summary judgment to individual defendants Schütz and Herrera on the “danger creation” theory; we REVERSE the district court’s order denying summary judgment on the “special relationship” theory as to all Individual Defendants; and we REMAND for further proceedings not inconsistent with this opinion. Appeal No. 97-2167 is DISMISSED for lack of jurisdiction, favorable to Plaintiffs.
Notes
. For purposes of this appeal, we consider the facts in a light most favorable to Plaintiffs.
. WMPS policy also allows: "Students whose presence poses a continuing danger to persons or property or an ongoing threat of interfering with the educational process may be immediately removed from school....” Under the policy, " ' immediate removal' means the removal of a student from school for one school day or less under emergency conditions and without a prior hearing.” However, taking the evidence in the light most favorable to Plaintiffs, the nonmoving party, we assume that the suspension violated school policy because Armijo was sent home when neither parent was at home.
. Plaintiffs also filed a claim under the New Mexico Tort Claims Act, N.M. Stat. Ann. § 41-4-6 (1989). The district court dismissed that claim and Armijo does not appeal the district court's ruling on the issue.
. The parties also briefed the question of jurisdiction over the issue of qualified immunity as to the WMPS Defendants. However, Defendants did not move below for summaiy judgment on qualified immunity for the WMPS Defendants nor did the district court rule on this issue. Consequently, we need not address this issue on appeal.
. Defendants' knowledge of the risk of harm to Armijo is not relevant to the determination of whether a special relationship existed. See Graham v. Independent Sch. Dist. No. 1-89, 22 F.3d 991, 994 (10th Cir.1994) ("foreseeability cannot create an affirmative duty to protect” under the special relationship doctrine "when plaintiff remains unable to allege a custodial relationship”).
. Because the court in
Uhlrig
found that the plaintiff in that case did not meet the five requirements set forth in the opinion,
see Uhlrig,
.
Compare Dwares v. City of New York,
. The district court made no findings on whether Plaintiffs presented evidence that the Individual Defendants knew that Armijo would be home alone or whether the school knew that the disciplinary action would worsen Armijo’s situation. Thus, we can review the record for evidence on those issues. Taking the evidence in the light most favorable to Armijo, Plaintiffs did present genuine disputes of fact on those two factual questions.
. As pointed out above, we must draw all inferences in favor of Plaintiffs because this matter comes before us upon a denial of summary judgment for the Individual Defendants. It may be that, at trial, Plaintiffs will be unable to carry their burden of proof as to these Individual Defendants, and we cannot help but observe that the facts presently before us are very thin to establish a number of the six factors required for liability. However, given all inferences to Plaintiffs and accepting the unreviewability of the district court's factual findings pursuant to Johnson v. Jones, we must affirm the denial of summary judgment to Individual Defendants Schütz and Herrera.
