OPINION OF THE COURT
In this appeal, we consider whether two prison administrators are entitled to qualified immunity from an Eighth Amendment claim that serious deficiencies in the provision of medical care by a private, third-party provider resulted in an inmate’s suicide. We agree with the District Court that they are not. For reasons to be discussed, we will affirm.
I. 1
A.
Plaintiff-Appellees Karen Barkes, Alexandra Barkes, and Brittany Barkes (collectively, “Appellees”) are the widow and children, respectively, of decedent Christopher Barkes (“Barkes”). 2 Barkes committed suicide on November 14, 2004, while being held at the Howard R. Young Correctional Institution (“HRYCI”) in Wilmington, Delaware, awaiting transportation to the Violation of Probation Center in Sussex County, Delaware. He had been arrested the previous day on an administrative warrant. Barkes was on probation for a March 2004 domestic abuse conviction, and had been arrested for loitering while waiting to purchase drugs. Appellees filed suit against then-Delaware Commissioner of Correction Stanley Taylor, then-Warden of HRY-CI Raphael Williams, the Delaware Department of Corrections (“DOC”), and the third-party vendor providing medical services in HRYCI, First Correctional Medical, Inc. (“FCM”). Appellants here are Taylor and Williams.
Barkes was a troubled man with a long history of mental health and substance abuse problems. On March 15, 1997, Barkes killed two people in a car accident while driving drunk. He pleaded guilty to two counts of second-degree vehicular homicide. Seven months after the accident, on October 31,1997, Barkes attempted suicide while incarcerated by ingesting an overdose of pills that he had apparently stockpiled. He was incarcerated at HRY-CI (also known as Gander Hill Prison), the same facility at which he would eventually commit suicide in 2004.
Barkes served two and a half years in prison, during which time he completed a substance abuse program. He stayed sober for approximately four years before relapsing in December 2003. He entered the Recovery Center for Delaware on December 15, 2003, but could stay for only one week because of limited funding from his insurance provider. On December 21, 2003, police responded to a reported domestic altercation at Barkes’s home. After police placed him in handcuffs, he became unconscious and unresponsive. Paramedics were called, who opened Barkes’s airways, provided oxygen, and administered drugs to counteract a suspected heroin overdose. Barkes admitted — and the toxicology report in his medical records confirms — that he consumed one and a half pints of vodka and a “bag” of heroin, quantity unspecified. He later characterized this overdose as a suicide attempt.
*311 Shortly before the December 2008 relapse, Barkes checked himself into the Rockford Center in Wilmington, Delaware, where he was diagnosed with post-traumatic stress disorder. David Becker, Barkes’s probation officer at the time, opined that Barkes was “[n]ot only ... a threat to the community, he is also a threat to himself,” in a “violation report” dated February 8, 2004. JA at 296.
On September 10, 2004, sixty-five days before his death, Barkes attempted to kill himself twice in one day. During an afternoon house visit by a probation officer, Barkes was found asleep on top of a bottle of gin. He appeared to be extremely intoxicated — he apparently could not recall who he was — and the officer arrested Barkes. Two hours after his arrest, Barkes had a blood alcohol content (“BAC”) of .222. Because of his high BAC the officers took Barkes to a hospital, where he admitted to a nurse that he had also consumed forty Tylenol tablets. While being treated, Barkes attempted to kill himself by wrapping an IV cord around his neck. Both incidents were recorded in his probation file.
Barkes received a new probation officer shortly before his death. In notes dated November 9, 2004 — five days before he died — the officer indicated her awareness that Barkes suffered from bipolar disorder, attended one therapy session and six Alcoholics Anonymous meetings each week, and took four medications for his bipolar condition and other mental health problems. The notes also acknowledged three individuals — the record suggests that they were therapists, counselors, and/or social workers — whom Barkes was currently seeing.
Barkes was arrested on November 13, 2004 for violating his probation. At approximately 3:00 p.m. that day, he underwent a medical intake/screening procedure at HRYCI conducted by a licensed practical nurse (“LPN”) who was employed by FCM, a private contractor hired to provide medical services in the prison. The intake procedure included a form containing questions about Barkes’s mental health, including questions about suicidal ideation. Barkes indicated on the form that he had attempted suicide in 2003 but did not include the 1997 attempt or the two attempts in September 2004. He stated that he had no current suicidal ideation.
The intake procedure also screened for seventeen suicide risk factors. If the inmate checked eight or more factors on a form, or if certain other serious risk factors were present (for example, the arresting officer expressed concern that the inmate was a suicide, risk), the on-call physician was to be notified and suicide prevention measures initiated. Barkes answered yes to two of the questions: (1) that he had a psychiatric history; and (2) that he had previously attempted suicide. The LPN completed a standard medical intake form, which included questions as to whether Barkes showed signs of “altered mental status ... or abnormal conduct.” JA at 71. The LPN indicated “no” to both. Barkes also denied having a history of drug abuse. The LPN referred Barkes to mental health services on a “routine” urgency level, based on his psychiatric history and the 2003 suicide attempt.
Barkes was placed alone in a cell in the booking and receiving area. At some point during the evening of November 13, Barkes called his wife Karen. According to Karen, Barkes told her that he “can’t live this way anymore,” and said that he was going to kill himself. JA at 2, 72. It is undisputed that Karen did not inform the DOC of Barkes’s stated intent.
Shortly before 4:00 a.m. on November 14th, in an unrelated incident, another in
*312
mate at HRYCI was transferred to the infirmary from his cell and placed on Psychiatric Close Observation, Level II (“PCO II”). Patients placed on PCO II are given a “suicide gown” and are checked every 15 minutes by staff. Appellants’ Br. at 10 (citing
Lamb v. Taylor,
No. 08-324,
At 8:00 a.m. on the 14th, Barkes ate breakfast alone in his cell. Correctional officers observed him lying awake on his bed at 10:45, 10:50, and 11:00 a.m., and none recalled anything unusual about him or any indication that he was suicidal. At 11:35 a.m., when an officer arrived at his cell to deliver his lunch, Barkes was hanging by a sheet from a steel partition. Medical staff responded and Barkes was taken to a hospital, but attempts to resuscitate him were unsuccessful.
B.
FCM entered into a Health Care Services Contract with DOC on June 17, 2002, and was the contracted medical provider at HRYCI at the time of Barkes’s suicide. In that role it was responsible for inmate intake and medical screening. The DOC reviewed FCM’s performance in monthly Medical Review Committee (“MRC”) meetings, overseen by DOC Bureau Chief of Management Services Joyce Talley. Talley was the DOC’s appointed representative for administering the contract with FCM. See DeLCode Ann. tit. 11, § 6517(13) (currently codified at Del-Code Ann. tit. 11, § 6517(12)) (requiring that the Commissioner of Correction “[a]dminis-ter[] the medical/treatment services contract, or appoint! ] a designee to administer the medical/treatment contract”).
As Chief of the DOC Bureau of Management Services, Talley had many responsibilities. She testified that her areas of oversight responsibility included “fiscal, payroll, budgeting, food services for the inmates, health care for the inmates, substance abuse for the inmates, management information systems, purchasing and warehousing, facilities maintenance and construction.” JA at 364-65. She further testified that, in each of these areas except for health care, she relied on a “key manager [to do] the day-to-day” oversight. JA at 366. The “key manager” was an official within the DOC, but with respect to health care services Talley relied on FCM and the MRC, testifying that she did not make any assessments regarding FCM’s job performance and that no individual working within the DOC “had the knowledge or the background ... [to] go out to see if the medical care was provided.” JA at 367.
The contract outlined standards of care to which FCM must adhere. To the extent that the health care standards of the American Correctional Association and the National Commission on Correctional Health Care (“NCCHC”) differed, FCM was to adhere to the higher standard. Taylor testified that he believed that ensuring FCM “delivered] health care in accordance with NCCHC standards” was sufficient to meet his responsibility to deliver health care to the inmate population. JA at 51. Williams testified that he had a responsibility to ensure that HRYCI was in compliance with NCCHC standards, but that he believed he had no personal responsibility to ensure FCM’s compliance. JA at 55. Talley also testified that she did not believe it to be her responsibility to ensure FCM’s compliance with NCCHC standards. JA at 368 (“Q: Did you believe that it was your responsibility when you served in that role as bureau chief that you reviewed the compliance with the standards set forth by NCCHC? A: No.”).
*313 In 1997, NCCHC published standards for use by correctional facilities to screen inmates for physical and mental health problems during the intake process. These standards included a variety of forms to be completed by medical intake staff. The NCCHC altered its standards in 2003, doing away with the forms and instead instituting a narrative recommendation of various mental health warning signs of which all prison staff should be aware and vigilant. Though FCM appears to have been relying on the outdated 1997 forms in 2004 when Barkes was incarcerated, NCCHC accredited HRYCI approximately one year before Barkes’s suicide. However, part of Appellees’ theory of liability is that not only did FCM fail to implement the newer guidelines as required by its contract, it failed to properly implement the 1997 NCCHC standards. Therefore, it is necessary to discuss the 1997 NCCHC standards for suicide assessment in some detail.
The 1997 NCCHC guidelines provided a number of sample intake forms covering general physical and mental health questions. 3 These included a suicide-specific assessment form that asked questions regarding past and current suicidal ideation, mental health treatment, and recent emotional trauma. JA at 310. There was also a mental health screening form that was to be filled out by the intake staff member. The mental health form instructed the screener to ask the inmate, in pertinent part: “Have you ever felt so bad, so depressed, that you tried to take your own life?”; and “Have you ever taken medication for emotional problems, for mental illness, or for ‘nerves?’ ” JA at 313. The following page of the standards provided criteria for referring an inmate to a mental health professional based on answers given in the mental health screening form, which stated:
Refer an inmate to mental health staff for assessment if the inmate gives a ‘Yes” response to ANY question. There are no exceptions to this procedure. If the inmate gives an affirmative response to question 9,[ 4 ] make an immediate referral to mental health staff and make sure continuous “eyes on” supervision is provided until seen by the mental health staff.
Remember, this screening inventory IS NOT your only guide for referral to mental health services. Even if there are all “no” answers, you may still refer the inmate:
• if you suspect that, in spite of the answers, this inmate is experiencing some emotional difficulties;
• if you need additional mental health information on an inmate prior to classification;
• or for reasons not listed here
JA at 314 (emphasis in original).
The 1997 guidelines provided sample protocols to be administered by a qualified mental health professional if the inmate’s intake screening triggered referral. JA at 322. The guidelines explicitly required the protocols to be administered by a mental health professional.
*314 Appellees claim, however, that FCM failed to comply with the 1997 NCCHC standards. They argue that the suicide screening form that FCM administered corresponded to the screening form to be used by a mental health professional, but that FCM allowed the form to be administered by an unqualified LPN rather than a qualified mental health professional, as required under NCCHC guidelines. To put it simply, Appellees claim that, if FCM had been in compliance with NCCHC standards, Barkes’s “yes” answer to the question “Have you ever attempted suicide?” and his identification of his psychiatric medication would have triggered a referral to a mental health professional. The professional in turn would have instituted increased suicide prevention procedures, thus preventing Barkes’s death.
In deposition testimony, Appellants acknowledged that they were aware of the deteriorating quality of FCM’s provision of medical services. Williams admitted that FCM’s performance had degraded significantly and that he was aware FCM may not have been fulfilling its contractual obligations. JA at 792. He was aware of significant backlogs, that FCM may have been intentionally short-staffing to save money, and that inmate complaints had increased. JA at 792-93. Taylor testified that his responsibility as Commissioner of Correction was to “provide health care delivery to the offender population comparable to that available in the community.” JA at 799. He acknowledged that in the period of 2003-2007 audits conducted by the NCCHC had identified deficiencies in healthcare provision in the Delaware prison system. He also suspected that FCM was intentionally leaving positions vacant in order to save money rather than simply having difficulty recruiting and retaining staff. Minutes from a meeting of the MRC on June 17, 2004, at which Williams was present, indicate ongoing problems with the DOC’s document management computer system, called “DACS,” including that the medical unit at HRYCI was “not putting information into DACS consistently for medical grievances.” JA at 809. Talley indicated that FCM was “beyond the borderline of not being in compliance with the contract” and that the MRC would issue a letter of non-compliance at the next meeting if problems with the computer system were not resolved by then. Id. Minutes from the MRC’s August 26, 2004 meeting indicate that FCM remained non-compliant with respect to implementing the DACS system, and that this issue was to be brought to Taylor’s attention. In May 2005, Taylor wrote a letter to FCM indicating that the DOC would be terminating the contract, citing among his reasons “the serious deficiencies in the delivery of health care outlined in the National Commission on Correctional Health Care (NCCHC) audit report dated February 28, 2005.” JA at 788.
C.
On February 16, 2006, Appellees filed a complaint pursuant to 42 U.S.C. § 1983 in the United States District Court for the District of Delaware.
Appellees asserted against Taylor and Williams an Eighth Amendment claim based on deliberate indifference to Barkes’s serious medical needs, an Eighth Amendment claim based on a failure to train/wrongful customs, practices, and policies, and a state law wrongful death claim. On February 27, 2008, the District Court granted summary judgment to Appellants. Appellees filed an appeal, see Barkes v. First Correctional Medical, Inc., No. 08-2280 (docketed May 7, 2008), which we dismissed per stipulation of the parties on July 9, 2008.
*315 On May 21, 2008, while the first appeal was pending, the District Court held a show cause hearing on Appellees’ motion for default judgment against FCM. At that hearing, the Court granted the motion and granted Appellees leave to amend. They filed a first amended complaint on June 13, 2008, which Appellants moved to strike on the basis that it reasserted claims upon which they had already prevailed on summary judgment. The Court granted the motion to strike on March 30, 2009, but permitted Appellees to file a second amended complaint against Appellants provided that it did not assert any claims from the previous complaint. Appellees filed a second amended complaint on April 9, 2009, which was eventually dismissed. 5 Appellees were permitted to file a third amended complaint only to add an Eighth Amendment failure-to-supervise claim, which was filed on April 22, 2010. Appellants moved to dismiss the third amended complaint on May 6, 2010, and the District Court denied the motion.
On February 27, 2012, the parties filed cross-motions for summary judgment. It was then that Appellants asserted qualified immunity in a motion for the first time. 6 The District Court denied both motions for summary judgment, and Appellants filed this appeal pursuant to the collateral order doctrine.
II.
The district court had jurisdiction pursuant to 28 U.S.C. §§ 1331 and 1343. We have jurisdiction pursuant to 28 U.S.C. § 1291 and the collateral order doctrine. The collateral order doctrine allows us to review an interlocutory order “as a ‘final decision’ if it: ‘(1) conclusively determine[s] the disputed question, (2) re-solvéis] an important issue completely separate from the merits of the action, and (3) [is] effectively unreviewable on appeal from a final judgment.’ ”
Blaylock v. City of Phila.,
“On an appeal from a grant or denial of summary judgment, our review is plenary and we apply the same test the district court should have utilized initially.”
Giles v. Kearney,
III.
A.
1.
Before discussing the District Court’s qualified immunity analysis, it is necessary first to consider whether and to what extent our precedent on supervisory liability in the Eighth Amendment context was altered by the Supreme Court’s decision in
Ashcroft v. Iqbal,
Section 1983 provides a cause of action against “every person who,” under color of state law, “subjects, or causes to be subjected,” another person to a deprivation of a federally protected right. 42 U.S.C. § 1983. It is well-recognized that “[g]ov-ernment officials may not be held hable for the unconstitutional conduct of their subordinates under a theory of
respondeat superior.” Bistrian,
In
Sample v. Diecks,
we recognized that “ ‘supervision’ entails, among other things, training, defining expected performance by promulgating rules or otherwise, monitoring adherence to performance standards, and responding to unacceptable performance whether through individualized discipline or further rulemaking.”
Which brings us to
Iqbal.
Javaid Iqbal sued United States Attorney General John Ashcroft and FBI Director Robert Mueller, high-level Executive Branch officials, under
Bivens v. Six Unknown Federal Narcotics Agents,
In rejecting Iqbal’s claim, the Supreme Court first recognized that “[t]he factors necessary to establish a
Bivens
violation will vary with the constitutional provision at issue.”
Id.
at 676,
This aspect of
Iqbal
has bedeviled the Courts of Appeals to have considered it, producing varied interpretations of its effect on supervisory liability. The dissenters in
Iqbal
believed the majority to be abolishing supervisory liability in its entirety,
Most courts have gravitated to the center, recognizing that because the state of mind necessary to establish a § 1983 or
Bivens
claim varies with the constitutional provision at issue, so too does the state of mind necessary to trigger liability in a supervisory capacity. The Tenth Circuit, for example, held that, after
Iqbal,
§ 1983 liability may attach to “a defendant-supervisor who creates, promulgates, implements, or in some other way possesses responsibility for the continued operation of a policy the enforcement (by the defendant-supervisor
or her
subordinates) of
*319
which ‘subjects, or causes to be subjected,’ ” the plaintiff to a constitutional deprivation, if the supervisor “acted with the state of mind required to establish the alleged constitutional deprivation.”
Dodds v. Richardson,
The Seventh Circuit has also indicated that the mental state required to impose supervisory liability will vary with the underlying constitutional tort. In
T.E. v. Grindle,
the Seventh Circuit held that a school principal could be liable under § 1983 for allowing a subordinate teacher to continue working despite numerous allegations that the teacher was sexually abusing his female students.
We do not read
Iqbal
to have abolished supervisory liability in its entirety. Rather, we agree with those courts that have held that, under
Iqbal,
the level of intent necessary to establish supervisory liability will vary with the underlying constitutional tort alleged. In this case, the underlying tort is the denial of adequate medical care in violation of the Eighth Amendment’s prohibition on cruel and unusual punishment, and the accompanying mental state is subjective deliberate indifference.
See Farmer v. Brennan,
2.
Our dissenting colleague disagrees with our conclusion that
Sample
has survived
Iqbal.
In his view, a supervisor can be held liable under the Eighth Amendment only if he committed an affirmative “action! ],” was “personally] involve[d] in his subordinates’ misfeasance,” and acted with “intentional ... deliberate indifference.” Dis. Op. at 336, 340 (internal quotation marks omitted). Our colleague claims that his position recognizes that “there’s no special rule of liability for supervisors” and that “the test for them is the same as the test for everyone else.”
Id.
at 342 (internal quotation marks omitted) (quoting
Porro v. Barnes,
Treating supervisors and subordinates equally under the Eighth Amendment does not mean ignoring the different ways in which each type of officer can, with deliberate indifference, expose inmates to constitutional injury. We think our dissenting colleague fails to recognize this fact, and in doing so makes three significant analytical errors. We address each below.
i.
First, the Dissent claims that for a supervisor to be liable under § 1983, he must have taken a “deliberate, intentional act ... to violate the plaintiffs legal rights.” Dis. Op. at 338 (quoting
Porro,
The Dissent’s position neglects the black-letter principle that the type of Eighth Amendment claim alleged here can be shown by an act
or an omission. See Farmer,
[Our cases] stand only for the proposition that when the State takes a person into its custody and holds him there against his will, the Constitution imposes upon it a corresponding duty to assume some responsibility for his safety and general well-being.... The affirmative duty to protect arises not from the State’s knowledge of the individual’s predicament or from its expressions of intent to help him, but from the limitation which it has imposed on his freedom to act on his own behalf.
Id.
at 280-81 (alteration in original) (quoting
DeShaney,
a
The Dissent would require both that the supervisor “personally displayed] deliberate indifference,” Dis. Op. at 340 (internal citation and quotation marks omitted), and that the supervisor was “personally] involved in his subordinates’ misfeasance,” id. at 336. With respect to the former observation, we agree, which is why our decision requires subjective deliberate indifference on the part of the offending officer. See Part III.A.1, supra. With respect to the latter, the Dissent misinterprets the rules for Eighth Amendment liability under Farmer.
The Dissent asserts that, by affirming
Sample’s
vitality
post-Iqbal,
our decision wrongly applies an
objective,
rather than a
subjective,
test for evaluating deliberate indifference, in contravention of
Farmer.
This criticism is unpersuasive for two reasons. First, the premise upon which the Dissent’s argument rests — that “Sample’s objective quality is patent,”
see
Dis. Op. at 341 — is far from clear.
Sample
expressly constructed its test for deliberate indifference around
what
the officer knew and
how
the officer reacted to that knowledge.
Sample,
The origin of the Dissent’s discontent may be Sample’s reference to
City of Canton v. Harris,
The Dissent cites a passage of
Sample
in which we said that “there are situations in which the risk of constitutionally cognizable harm is so great and so obvious that the risk and the failure of supervisory officials to respond will alone support findings of the existence of an unreasonable risk, of knowledge of that unreasonable risk, and of indifference to it.”
At any rate, this brings us to the second reason that the Dissent’s objection fails: the test that we derive from Sample and apply in this case cannot be described as anything but subjective, and is thus entirely consistent with Farmer. Moreover, the Dissent’s statement that the District Court has already determined that “ ‘a reasonable factfinder could not determine that Defendants were deliberately indifferent to the risk of suicide,’” Dis. Op. at 341 (quoting JA at 15), is a red herring because that determination was made in reference to Count I of the third amended complaint, which alleged that Appellants were deliberately indifferent to Barkes’s serious medical needs as an individual. That is a very different claim than the supervisory liability claim contained in Count V and that we are allowing to proceed. To the extent that Sample approved, in some circumstances, an objective test for determining a prison official’s Eighth Amendment deliberate indifference, that portion of Sample has been abrogated by Farmer and it is not the test we apply today.
Recognizing that our test does, in fact, require an official’s subjective deliberate indifference, the Dissent pivots and claims that the plaintiff must nonetheless plead that the supervisor was “personally] involve[d] in his subordinates’ misfeasance.” Dis. Op. at 336. The Dissent’s rule would have the practical effect of requiring that a supervisor have personal knowledge of an individual inmate, that inmate’s particular serious medical need, and of the prison staffs failure to treat that need, before the supervisor could ever be held liable for deliberate indifference. But
Farmer
itself recognized that a prison official cannot avoid liability under the Eighth Amendment simply “by showing that, while he was aware of an obvious, substantial risk to inmate safety, he did not know that the complainant was especially likely to” suffer a constitutional injury.
The question under the Eighth Amendment is whether prison officials, acting with deliberate indifference, exposed a prisoner to a sufficiently substantial *324 “risk of serious damage to his future health,” and it does not matter whether the risk comes from a single source or multiple sources, any more than it matters whether a prisoner faces an excessive risk of attack for reasons personal to him or because all prisoners in his situation face such a risk. If, for example, prison officials were aware that inmate “rape was so common and uncontrolled that some potential victims dared not sleep [but] instead ... would leave their beds and spend the night clinging to the bars nearest the guards’ station,” it would obviously be irrelevant to liability that the officials could not guess beforehand precisely who would attack whom.
Id.
at 843-44,
The Dissent suggests that
Nelson v. Correctional Medical Services,
What the Dissent fundamentally fails to recognize is that there are different ways that prison officials can be responsible for causing an inmate harm. Dissenting in Vance, Judge Hamilton adroitly provided the following hypothetical:
“[S]uppose ... that a local police chief or even the FBI director issued a policy *325 that authorized the use of deadly force against any fleeing subject. The policy itself would be unconstitutional under Tennessee v. Garner[,471 U.S. 1 ,105 S.Ct. 1694 ,85 L.Ed.2d 1 (1985)]. The chief or director who authorized that unconstitutional use of force could certainly be held personally responsible under section 1988 or Bivens to a person shot by an officer following the policy.
Vance,
Hi.
Our final point of disagreement with the Dissent is in his articulation of the deliberate indifference standard itself. The Dissent claims that we err in failing to apply an “intentional version of deliberate indifference.” Dis. Op. at 340. But his formulation of deliberate indifference is entirely inconsistent with Supreme Court precedent.
We derive the test for establishing Eighth Amendment deliberate indifference from
Sample
and from the Supreme Court’s decision in
Farmer.
While the Dissent is correct that Appellees do not allege that Appellants took an intentional act to cause inadequate medical care for inmates, this is a straw-man argument because under
Farmer
they are not
required
to make that allegation.
Farmer
stated that although “deliberate indifference entails something more than mere negligence, the cases are also clear that it is satisfied by something less than acts or omissions for the very purpose of causing harm or with knowledge that harm will result.”
B.
“Qualified immunity shields government officials from civil damages liability unless the official violated a statutory or constitutional right that was clearly established at the time of the challenged conduct.”
Reichle v. Howards,
— U.S. —,
*326
1.
A right is “clearly established” if, at the time of the alleged deprivation, “ ‘[t]he contours of [the] right [are] sufficiently clear’ that every ‘reasonable official would have understood that what he is doing violates that right.’ ”
al-Kidd,
The “clearly established” game is won or lost on how broadly or narrowly one defines the right at issue. Appellants attempt to atomize the asserted right into oblivion by defining it narrowly as an inmate’s right to “supervision of the medical vendor by the prison administrators,” for which they assert that “[t]here is no case law establishing that a government entity is responsible for monitoring a medical provider under Section 1983.” Appellants’ Br. at 19. There are two problems with this characterization. First, its myopia runs directly contrary to the Supreme Court’s oft-repeated admonition that “a case directly on point” is not required for a right to be clearly established.
See al-Kidd,
Even if we were to accept the manner in which Appellants would particularize the asserted right, they have nonetheless failed to show a lack of clarity in the law. They rely on our decision in
Spruill v. Gillis,
in which an inmate in a Pennsylvania prison brought a § 1983 claim against, among other individuals, the Unit Manager of the Restricted Housing Unit, alleging that as a result of his deliberate indifference the plaintiff was injured by an untreated or inadequately treated back problem.
If a prisoner is under the care of medical experts ..., a non-medical prison official will generally be justified in believing that the prisoner is in capable hands. This follows naturally from the division of labor within a prison. Inmate health and safety is promoted by dividing responsibility for various aspects of inmate life among guards, administrators, physicians, and so on. Holding a non-medical prison official liable in a case where a prisoner was under a physician’s care would strain this division of labor. Moreover, under such a regime, nonmedical officials could even have a perverse incentive not to delegate treatment responsibility to the very physicians most likely to be able to help prisoners, for fear of vicarious liability.
Id. at 236.
Appellants rely on this language to argue that, at the time of Barkes’s suicide, it was not clearly established that they, as non-medical prison administrators, had a constitutional supervisory duty over the medical staff. But in the very next line of Spruill we stated that “absent a reason to believe (or actual knowledge) that prison doctors or their assistants are mistreating (or not treating) a prisoner, a non-medical prison official ... will not be chargeable with the Eighth Amendment scienter requirement of deliberate indifference.” Id. Dismissal was proper in Spruill because the plaintiff had failed to plead facts suggesting that the official was aware of the alleged inadequacies in medical care, not because prison administrators are categorically exempt from a supervisory role over medical personnel. Id. at 236-37 & n. 12. And moreover, there is nothing in Spruill supporting Appellants’ contention that there is a difference of constitutional import between state-employed and privately contracted medical staff. Appellants’ argument that the law was hazy with respect to their supervisory duty over prison medical staff is thus belied by the very case upon which they rely. See Appellants’ Br. at 20 (conceding that Spruill was “[t]he clearly established” law at the pertinent time). 11
With that said, we think that the right Appellees assert, properly defined, is this: an incarcerated person’s right to the proper implementation of adequate suicide prevention protocols.
12
This right is clear
*328
ly established in our case law, and was so at the time of Barkes’s suicide. It is beyond dispute that the cruel and unusual punishments clause of the Eighth Amendment, incorporated by virtue of the Fourteenth, obliges the States to provide adequate medical care for the incarcerated.
See Estelle,
At the time of Barkes’s suicide, we had long recognized that an inmate’s “particular vulnerability to suicide” is a serious medical need that prison officials may not recklessly disregard.
Colburn v. Upper Darby Twp.,
We drew additional guidance from the Supreme Court’s decision in
Hudson v. Palmer,
*329
We further elucidated this issue in
Colburn v. Upper Darby Township,
This body of precedent places it “beyond debate,”
al-Kidd,
2.
The first prong of the qualified immunity analysis (though we address it second here) asks whether the plaintiff suffered a deprivation of a constitutional or statutory right. A finding of qualified immunity grants immunity not only from liability, but from the burdens of litigation itself.
*330
We have recognized that “ ‘the determination of qualified immunity must be made at an early stage in the litigation’ ”—often in a pre-answer motion to dismiss.
See Ball v. Famiglio,
As we noted previously, Sample’s four-part test provides the rubric for evaluating whether supervisors are liable under § 1983 for deliberate indifference.
See Whetzel,
Appellees claim that Taylor and Williams should have enforced FCM’s compliance with their contractual obligations, specifically by requiring FCM to adhere to up-to-date NCCHC standards, by properly administering the standards to which they adhered, and by requiring mental health screenings to have been conducted by a qualified mental health professional rather than an unqualified LPN, thus satisfying Sample’s threshold requirement. 16 Record evidence indicates a material factual dispute as to whether FCM’s suicide prevention procedures, coupled with DOC’s supervision of FCM (or lack thereof), created an unreasonable risk of a constitutional violation. First, there is *331 evidence that FCM’s suicide prevention screening practices were not in compliance with NCCHC standards, as required by their contract with the DOC, insofar as FCM was relying on out-of-date NCCHC guidelines and failed even to properly implement the standards upon which it was relying. Specifically, the intake form administered to Barkes was designed to be used by a qualified mental health professional, but instead was administered by an unqualified LPN. Appellees claim that, had the proper procedures been followed, Barkes’s answer regarding a previous suicide attempt and his use of certain medications would have triggered a referral to a mental health professional. While the NCCHC apparently accredited HRYCI about one year before Barkes’s death, that is simply one fact among many that the factfinder will have to consider. Second, the evidence also suggests that FCM lacked access to Barkes’s probation records, and that if they had such access they would have been aware of his lengthy history of mental health problems and suicide attempts, and may have placed Barkes under heightened suicide prevention measures. Third, there is evidence that FCM was intentionally short-staffing to drive up profits. Fourth, evidence suggests that DOC’s dilatory manner of supervision allowed FCM’s provision of services to degrade. Joyce Talley, the DOC official tasked with ensuring FCM’s compliance with the contract, did not assess FCM’s provision of medical care to the inmates, 17 claimed that it was not her responsibility to ensure FCM’s compliance with NCCHC standards, and stated that she largely relied on FCM to police itself. 18 Based on the record before us, a reasonable jury could find that FCM’s policies and procedures in place at the time of Barkes’s suicide created an unreasonable risk of a constitutional deprivation and that Appellants’ manner of supervising FCM further exacerbated the risk.
Appellants stated in deposition testimony that they knew that the quality of FCM’s provision of medical services was degrading, with both Appellants acknowledging awareness of intentional short-staffing and Williams acknowledging awareness of FCM’s contractual noncompliance with respect to implementing the document management computer system. Taylor’s termination letter to FCM indicates his awareness of FCM’s gross contractual non-compliance. A reasonable juror could draw from that evidence the conclusion that Appellants were aware of an unreasonable risk that FCM’s declining performance would result in a failure to treat or a mistreatment of an inmate’s serious medical condition. A reasonable juror could also conclude that, by failing to enforce FCM’s compliance with NCCHC standards as required by their contract, Appellants were deliberately indifferent to the risk that FCM’s flagging quality would result in a violation of an inmate’s constitutional rights.
*332 Finally, a reasonable juror could find that Barkes’s suicide was caused by Appellants’ failures to supervise. Despite Barkes’s extensive history of mental health problems and multiple suicide attempts (including one at the very prison where he was being held, and two a mere 65 days before his death), the LPN who performed his intake did not place him on even the lowest level of suicide watch. In Appel-lees’ view, had Appellants properly supervised FCM and ensured compliance with the contract, Barkes’s answers during his screening would have resulted in additional preventive measures being taken. Of course, it is also true that Barkes did not self-report feelings of suicidal ideation, nor did he exhibit any outward signs of suicid-ality. But this serves only to highlight the factual nature of this dispute, which neither we nor the District Court on summary judgment are in the position to resolve.
Based on our review of the summary judgment record, we conclude that there remain sufficient factual disputes to preclude a finding that Appellants are entitled to qualified immunity.
IV.
For the reasons that we have discussed, Appellants are not entitled to qualified immunity. Accordingly, we will affirm the District Court’s order and remand for trial.
Today the Court holds that two of the most senior executives in the Delaware prison system must stand trial for the suicide of Christopher Barkes. In my view, this decision is a classic case of holding supervisors vicariously liable, a practice the Supreme Court proscribed in
Ashcroft v. Iqbal,
I
Christopher Barkes arrived at the HRY-CI around 2:45 p.m. on Saturday, November 13, 2004, following his arrest by Wilmington Police for a probation violation. Normally, Barkes would have been taken promptly to the Violation of Probation Center in Sussex County. Because it was the weekend, however, the HRYCI held him as a courtesy because the DOC’s transportation department ran only on weekdays. The HRYCI booked and processed Barkes as it would any other inmate, but did not admit him; rather, it held him in the booking and receiving area.
As part of Barkes’s intake, the DOC’s medical services contractor, First Correctional Medical, Inc. (FCM), conducted a standard medical screening. In doing so, FCM gathered Barkes’s medical history and checked his vitals and physical health. FCM also administered a mental health screening intended to, inter alia, prevent suicides. FCM’s suicide prevention screening test listed seventeen risk factors. Some of those factors automatically triggered suicide protection measures. For example, if an inmate appeared to be under the influence of alcohol or drugs and showed signs of withdrawal or mental illness, FCM would immediately initiate its *333 suicide-prevention protocols and notify a physician. Otherwise, FCM initiated its protocols if the inmate’s screening noted eight or more of the seventeen risk factors. 1
A licensed practical nurse employed by FCM conducted Barkes’s medical screening about fifteen minutes after his arrival. At that time, he did not appear depressed, anxious, afraid, or angry, and the arresting officers did not believe Barkes was a suicide risk. Barkes told the nurse that he was not thinking about killing himself. Barkes did admit to a prior suicide attempt in 2003, but he failed to disclose three other suicide attempts, one of which was just two months prior to his booking at HRYCI. Based on Barkes’s responses during the screening, only two of the seventeen suicide risk factors were indicated: a psychiatric history and a suicide attempt.
The HRYCI correctional staff monitored Barkes throughout Saturday night and Sunday morning. Officers delivered Barkes his breakfast at 8:00 a.m. He was lying awake on his bed when officers observed him at 10:45 a.m., 10:50 a.m., and 11:00 a.m. Sometime between 11:00 a.m. and 11:35 a.m. when they next checked on him, Barkes hanged himself. Officers immediately called FCM staff, who attempted to resuscitate Barkes.
None of the officers watching Barkes noticed anything unusual about him. 2 The only sign that he had been contemplating suicide came in a phone call Barkes made to his wife the night before his death, in which he told her: “I can’t live this way anymore.” Although Barkes’s wife testified that she interpreted this comment as a suicidal threat, she did not advise anyone at the HRYCI of this comment or otherwise alert them that her husband was in distress.
II
The claim at issue — that Barkes was subjected to cruel and unusual punishment in violation of the Eighth Amendment — is premised on the provision of constitutionally inadequate medical care by FCM. Specifically, Barkes challenges the adequacy of the supervision of FCM’s medical staff at the HRYCI. Dr. Tammy Kastre, the President and CEO of FCM, supervised FCM’s medical staff at all of Delaware’s correctional facilities. The DOC’s Bureau of Management Services supervised FCM and Dr. Kastre. The head of that bureau, Joyce Talley, was the DOC’s liaison to FCM. 3 Talley tasked her deputy chief, Kathy English, with some of the FCM oversight responsibilities. The formal responsibility for oversight over FCM’s compliance with its contract lay *334 with the DOC’s Medical Review Committee, which Talley chaired and English co-chaired. Every month, the nine-member committee met with around four FCM representatives. The committee reviewed certain performance measures based on NCCHC standards, such as how long it took FCM to administer its health screening after new inmates were admitted. The committee also reviewed random chart audits. If the DOC had any concerns with FCM’s services, it raised them in those meetings.
It is important to note that the liability of none of the persons or entities just mentioned is at issue in this appeal. Instead, Barkes seeks to hold two DOC executives liable: Commissioner Stanley Taylor (Talley’s supervisor) and HRYCI Warden Raphael Williams (who was outside the chain of supervision over FCM). 4 The parties agree that neither executive had any personal knowledge of Barkes before his death. In fact, Warden Williams was on vacation while Barkes was at the HRYCI. Commissioner Taylor was scarcely more involved in supervising FCM than Warden Williams; in fact, Delaware law empowered him to designate someone to administer the state’s medical services contract, and he appointed Talley to discharge that duty. See DeLCode tit. 11, § 6517(12). The essence of Barkes’s claims against Taylor and Williams is that despite the fact that others were responsible for supervising FCM, “the buck stops” at the top. 5
When Barkes’s widow filed this lawsuit
6
in 2006, her complaint included two section 1983 claims against Taylor and Williams: (1) deliberate indifference to the conditions at the HRYCI; and (2) failure to supervise the DOC personnel and failure to institute appropriate procedures.
7
United States District Court Judge Joseph Farnan granted Taylor and Williams summary judgment on both claims. Barkes’s deliberate indifference claim failed because she had not presented sufficient evidence of knowledge by Taylor and Williams of constitutionally inadequate medical conditions at the HRYCI. Her supervisory liability claim failed as a matter of law because she did not satisfy the threshold requirement for supervisory liability we established in
Sample v. Diecks,
Several months after granting Taylor and Williams summary judgment, the District Court granted Barkes leave to file an amended complaint. The Court dismissed that first amended complaint for reprising the claims dismissed on summary judgment. Barkes filed a second amended complaint, which was dismissed for failure to state a claim.
In 2010, following the retirement of Judge Farnan, Barkes’s case was reassigned to the Honorable Leonard Stark. Barkes filed a third amended complaint that again sought to hold Taylor and Williams liable under a theory of supervisory liability. Having already suffered a summary judgment on the claim that Taylor and Williams failed to supervise employees of the DOC, Barkes shifted gears to argue that they failed to supervise FCM. Once again, Taylor and Williams sought summary judgment, asserting qualified immunity for the first time. Barkes also filed a motion for summary judgment.
Before deciding the parties’ summary judgment motions, Judge Stark addressed Barkes’s separate motion to vacate the 2006 summary judgment and revive the Eighth Amendment and supervisory liability claims upon which Taylor and Williams had prevailed in 2006 before Judge Far-nan. With respect to Barkes’s Eighth Amendment claim, the District Court held:
Assuming, as Plaintiffs appear to argue, that deliberate indifference ... can be shown by Defendants’ deliberate indifference to the medical needs of prisoners such as Barkes himself ... the Court nonetheless concludes that nothing alters the prior conclusions: a reasonable factfinder could not determine that Defendants were deliberately indifferent to the risk of suicide.
App. at 15. The District Court also upheld the 2006 summary judgment on Barkes’s supervisory liability claim for failure to supervise DOC personnel and failure to institute appropriate suicide prevention policies, concluding: “even assuming that the existing policy created an unreasonable risk of Eighth Amendment injury, there is still not sufficient evidence in the record from which a reasonable factfinder would conclude that Defendants were aware such an unreasonable risk was created and were indifferent to that risk.” App. at 16.
After upholding the 2006 summary judgment for want of evidence that Taylor and Williams were aware of and indifferent to an unreasonable risk of suicide, the District Court denied their motion for summary judgment on Barkes’s claim that they failed to supervise FCM. In doing so, as the majority implicitly acknowledges,
see
Maj. Typescript at 317, the District Court erred in its application of
Sample
by failing to require Barkes to “identify] ... a specific supervisory practice or procedure that [the supervisor] failed to employ.”
Sample,
Ill
A
I begin with the Supreme Court’s decision in
Ashcroft v. Iqbal,
Since
Iqbal,
supervisory liability claims must spring from “actions” or “misconduct,”
Iqbal,
Decisions of both the Seventh and Tenth Circuits illustrate the fundamental dichotomy between cases involving the supervisors’ personal involvement on the one hand and those relying on the supervisor’s position of authority. For example, the Seventh Circuit upheld a supervisory liability claim in
T.E. v. Grindle,
Two years after
Grindle
was decided, the Seventh Circuit, sitting en banc, confronted a failure-to-supervise claim in
Vance v. Rumsfeld,
Like the Seventh Circuit’s decision in
Grindle,
the Tenth Circuit’s decision in
Dodds v. Richardson,
Unlike the direct involvement alleged in
Dodds,
the Tenth Circuit was presented with a failure-to-supervise claim in
Porro v. Barnes,
Like the Seventh and Tenth Circuits, the Fifth and Eighth Circuits have rejected similar “failure-to” claims after
Iqbal.
In
Nelson v. Correctional Medical Services,
The Ninth Circuit’s decision in
al-Kidd v. Ashcroft,
*340
When the Ninth Circuit faced a “failure-to” claim in
Starr v. Baca,
B
Barkes’s allegations are inadequate under any of our sister circuits’ interpretations of
Iqbal.
Barkes argues that FCM acted unlawfully in providing medical care at the HRYCI, and she would hold Taylor and Williams liable because they allegedly knew that FCM provided constitutionally inadequate medical care and failed to cure FCM’s deficiencies. But nothing in the pleadings alleges that Taylor and Williams “personally displayed deliberate indifference,”
Nelson,
Barkes’s claim fails even under the Ninth Circuit’s approach in
Starr.
That opinion applied a pure deliberate indifference standard without a personal involvement requirement. Unlike in
Starr,
here no statute holds either Commissioner Taylor or Warden Williams “answerable” for medical care in Delaware prisons. In fact, a Delaware statute does the opposite insofar as it empowered Taylor to appoint a designee to administer the medical services contract.
See
DeLCode tit. 11, § 6517(12). He did just that, charging the DOC’s bureau of management services with this duty. And as for Warden Williams, Barkes’s claim is completely unsupported because he had no supervisory authority over FCM. FCM “answer[ed]” to Talley, but not to Taylor or Williams.
See Starr,
C
In light of
Iqbal,
we must also overrule the framework we adopted for supervisory liability claims in
Sample v. Diecks,
Sample’s objective quality is patent, insofar as it fashioned a test based on the objective deliberate-indifference standard that the Supreme Court established for municipal liability in
City of Canton v.
*342
Harris,
this absence of prior incidents and knowledge thereof is not necessarily fatal to Sample’s case. As we have noted, [Canton ] observed that there are situations in which the risk of constitutionally cognizable harm is so great and so obvious that the risk and the failure of supervisory officials to respond will alone support findings of the existence of an unreasonable risk, of knowledge of that unreasonable risk, and of indifference to it.
Id.
The majority admits that this part of the test we expressed in
Sample
is untenable today. Maj. Typescript at 323-24. Nevertheless, after denuding
Sample
of its objective quality, the majority upholds a test that does not require the plaintiff to plead personal involvement by the supervisor. Under
Sample,
the plaintiff need only establish a “supervisory practice or procedure that [the supervisor] failed to employ.”
Sample,
“Simply put, there’s no special rule of liability for supervisors. The test for them is the same as the test for everyone else.”
Porro,
With due respect to my colleagues’ concern that
Iqbal
has “bedeviled” the courts of appeals, Maj. Typescript at 318, I perceive near unanimous agreement among our sister circuits. Barkes’s claim plainly seeks to hold Taylor and Williams vicariously liable for, in Barkes’s words, “presiding] over a system,” App. at 745, that she deems unlawful. Today’s decision invites plaintiffs to sue senior government officials whenever prison guards use force against an inmate or police officers mistreat a suspect. Regrettably, it exposes Commissioner Taylor and Delaware’s prison wardens to lawsuits from any Delaware inmate with a complaint about FCM’s services. “In an ideal world, [supervisors] would have achieved full compliance with the [law], but a public official’s inability to ensure that all subordinate ... employees follow the law has never justified personal liability.... [Supervisors are not vicari
*343
ously liable for their subordinates’ transgressions.”
Vance,
For these reasons, I would reverse the District Court’s denial of Taylor and Williams’s motion for summary judgment on qualified immunity.
See Dodds v. Richardson,
IV
Even had Iqbal not substantially changed the law of supervisory liability and had Sample remained good law, I would still hold that Taylor and Williams are entitled to summary judgment. According to Sample, the test for supervisory liability is as follows:
Based on City of Canton, we conclude that a judgment could not properly be entered against [the supervisor] in this ease based on supervisory liability absent an identification by [the plaintiff] of a specific supervisory practice or procedure that [the supervisor] failed to employ and specific findings by the district court that (1) the existing custom and practice without that specific practice or procedure created an unreasonable risk of prison overstays, (2) [the supervisor] was aware that this unreasonable risk existed, (3) [the supervisor] was indifferent to that risk, and (4) [the subordinate’s constitutional tort] resulted from [the supervisor’s] failure to employ that supervisory practice or procedure.
Barkes’s complaint does not even attempt to make the identification required by Sample. Nevertheless, according to the majority:
Appellees claim that Taylor and Williams should have enforced FCM’s compliance with their contractual obligations, specifically by requiring FCM to adhere to up-to-date NCCHC standards, by properly administering the standards to which they adhered, and by requiring mental health screenings to have been conducted by a qualified mental health professional rather than an unqualified LPN, thus satisfying Sample’s threshold requirement.
Maj. Typescript at 330. The majority does not say where Barkes makes this contract enforcement allegation and my review of the pleadings failed to locate it either.
*344 But even if Barkes had made this allegation, her Sample claim would fail because “enforcing” a contract is not “a supervisory practice or procedure.” Sample’s threshold element forces the plaintiff to explain not just that the supervisor failed to act, but also what he should have done differently. As we cautioned in Sample:
[I]t is not enough for a plaintiff to argue that the constitutionally cognizable injury would not have occurred if the superi- or had done more than he or she did. The district court must insist that [the plaintiff] identify specifically what it is that [the supervisor] failed to do that evidences his deliberate indifference. Only in the context of a specific defalcation on the part of the supervisory official can the court assess whether the official’s conduct evidenced deliberate indifference and whether there is a close causal relationship between the “identified deficiency” and the “ultimate injury.”
Even had Sample survived Iqbal, Taylor and Williams would be entitled to summary judgment. Judge Farnan granted them summary judgment on the first supervisory liability claim because Barkes failed to meet Sample’s threshold requirement. Barkes did not allege in her third amended complaint a specific supervisory practice that Taylor and Williams should have performed, and any allegations that Taylor and Williams should have “enforced” the contract would do nothing to cure that omission. The District Court should have granted Taylor’s and Williams’s motion for summary judgment on the supervisory liability claim for the same reasons Judge Farnan did on the earlier supervisory liability claim.
V
Finally, I disagree with the majority’s formulation of the constitutional right at issue. In addition to challenging the viability of supervisory liability after
Iqbal,
Taylor and Williams argued that Barkes’s asserted right was not “clearly established.” If true, that would also entitle them to qualified immunity.
See Reichle v. Howards,
— U.S. —,
*345
The more concerning error is that the majority’s articulation of the constitutional right departs from the Eighth Amendment case law. The majority claims this right “to the proper implementation of adequate suicide prevention protocols,” Maj. Typescript at 327, is established in our precedents, but it cites no case for this proposition, and I have found none. Indeed, the majority’s description of a right to “adequate suicide prevention protocols” (and for that matter, Barkes’s contention that FCM’s administration of the NCCHC’s 1997 standards by an LPN amounts to cruel and unusual punishment) would appear to be inconsistent with the weight of authority on this question.
See, e.g., Jenkins v. Cnty. of Hennepin,
Even if it were true that clearly established law mandated “adequate suicide prevention protocols,” the majority’s requirement of the “proper implementation” of those protocols plainly violates the basic proposition that the Eighth Amendment does not impose liability for negligence.
See Colburn v. Upper Darby Twp.,
Barkes has targeted Taylor and Williams for “presid[ing] over a system.” App. at 745. This runs afoul of Iqbal and the substantial weight of authority among our sister courts, which holds that supervisors like Taylor and Williams cannot be liable under section 1983 absent their personal involvement. Even under the Ninth Circuit’s approach, Barkes would need to sue the person actually supervising FCM and cannot recover against the DOC’s top executives. None of the courts of appeals since Iqbal have upheld a supervisory liability test like Sample’s, which treats supervisors differently from everyone else.
Even assuming arguendo that Sample remains good law, Barkes’s allegation that Taylor and Williams failed to enforce a contract with FCM does not satisfy Sample ’s threshold element. Finally, the “right to the proper implementation of adequate suicide prevention protocols” is a departure from Eighth Amendment case law that had never been established before today. Because Taylor and Williams are *346 entitled to summary judgment on the grounds of qualified immunity, I respectfully dissent.
Notes
. Because we are reviewing the District Court's denial of summary judgment on the grounds of qualified immunity, we view all disputed facts in the light most favorable to the party claiming injury.
Wright v. City of Phila.,
. Karen Barkes appears both in her individual capacity and as administrator of Barkes’s estate.
. For example, the first two questions on the general intake screening form are: “Was inmate a medical, mental health or suicide risk during any prior contact or confinement with department?”; and "Do you believe the inmate is a medical, mental health or suicide risk now?” JA at 309. That form also allows the screener to record behavioral observations about the inmate and whether they suffer from health problems such as heart disease or epilepsy.
. Question 9 inquired whether the inmate was currently considering killing himself.
. It appears that the first amended complaint was filed in the District Court before we had dismissed Appellees’ appeal, which we dismissed while the motion to strike was pending. In the briefing on the motion to strike, the parties discussed the then-pending appeal only to acknowledge that it was premature because claims remained against FCM in the District Court. No party has raised before us now, and we therefore do not consider, whether the District Court was without jurisdiction to grant Appellees leave to file the first amended complaint.
See Bensalem Twp. v. Int'l Surplus Lines Ins. Co.,
. Though it is undisputed that Appellants raised qualified immunity in their answer to the third amended complaint,
see
JA at 210, Appellees devote a substantial portion of their brief to a discussion of Appellants’ failure to assert the defense until so late in this litigation. In their briefs, they do not suggest that this is of any legal significance — that Appellants waived the defense, for instance — but only that it is supposedly "revelatory of [Appellants’] mindset” regarding the merits of their qualified immunity argument. Appel-lees’ Br. at 22. At oral argument, counsel for Appellees went a step further and asked that we find waiver of qualified immunity. Because Appellants asserted qualified immunity in their answer, waiver is inappropriate, and whether or not they exhibit confidence in their assertion of qualified immunity is of no relevance to this appeal.
See Cetel v. Kirwan Fin. Grp.,
. In
Carnaby,
the Fifth Circuit affirmed a grant
of
summary judgment in favor of a police officer whose alleged supervisory failure led other officers to commit an excessive use of force.
. The elements of a properly pleaded state-created-danger claim are: "(1) the harm ultimately caused to the plaintiff was foreseeable and fairly direct; (2) the state-actor acted in willful disregard for the plaintiff’s safety; (3) there was some relationship between the state and the plaintiff; and (4) the state-actor used his authority to create an opportunity for danger that otherwise would not have existed.”
Phillips,
. Contrary to the Dissent's implication,
see
Dis. Op. at 337, the prison director’s lack of personal knowledge of the plaintiff and his absence at her delivery were merely undisputed facts in the case.
Nelson,
. The Dissent draws its "intentional” deliberate indifference test from
Vance. Vance
stated, in discussing supervisory liability post-
Iqbal,
that "[d]eliberate indifference to a known risk is a form of intent,” but that in order "to show
scienter
by the deliberate-indifference route, a plaintiff must demonstrate that the public official knew of risks with sufficient specificity to allow an inference that inaction is designed to produce or allow harm.”
. The Dissent asserts that we have not "ad-dressfed] Taylor and Williams’s argument that there is no clearly established right to supervision over those charged with implementing suicide prevention protocols.” Dis. Op. at 342-43. This is a puzzling disagreement because, as previously demonstrated, we have discussed and rejected their attempt to characterize the right in such a manner, and noted that, even were we to accept it, Spruill forecloses their argument.
. The District Court defined the pertinent right as Barkes’s "constitutional right to adequate medical care.” JA at 21. While we agree with the District Court’s ultimate ruling *328 on qualified immunity, we think that this characterization fails to sufficiently particularize the asserted right.
. We also relied on the Fifth Circuit’s decision in
Partridge v. Two Unknown Police Officers,
IThe due process clause imposed on the custodial officials] a duty, at a minimum, not to be deliberately indifferent to Partridge's serious medical needs. A serious medical need may exist for psychological or psychiatric treatment, just as it may exist for physical ills. A psychological or psychi *329 atric condition can be as serious as any physical pathology or injury, especially when it results in suicidal tendencies. And just as a failure to act to save a detainee from suffering from gangrene might violate the duty to provide reasonable medical care absent an intervening legitimate government objective, failure to take any steps to save a suicidal detainee from injuring himself may also constitute a due process violation ....
Id.
at 1187 (quoted in
Colburn. I,
. We note that the District Court cited
Woloszyn v. County of Lawrence,
. The Dissent makes one final objection to this analysis, claiming that by defining the right to include the "proper implementation” of suicide prevention protocols we have "plainly violate[d] the basic proposition that the Eighth Amendment does not impose liability for negligence.” Dis. Op. at 345. We have not. Nothing in our definition of the right at issue — or in our opinion more broadly — remotely suggests that a mere negligent failure to properly implement suicide prevention protocols would be sufficient to trigger liability. A recklessly indifferent failure to properly implement such protocols, however, may very well trigger Eighth Amendment liability.
. In Count V of the third amended complaint, Appellees alleged that Taylor and Williams "failed to supervise and/or monitor the activities of FCM ... including, but not limited to, the failure to insure the proper evaluation of [Barkes's] psychological condition in light of his responses to intake inquiries advising of his prior suicide attempt, and the failure to insure that appropriate suicide-prevention observation of and/or restrictions upon Mr. Barkes occurred in the period prior to an evaluation by a fully qualified medical provider.” JA at 170. They further alleged that "the intake form filled out by Mr. Barkes indicated a previous suicide attempt in December of 2003, and the presence of psychological problems and indications of his usage of psychotropic medication, yet he was not placed under heightened surveillance,” and that "the intake form, after having been filled out by Mr. Barkes, was reviewed only by an FCM licensed practical nurse prior to the assignment of Mr. Barkes to a virtually unsupervised booking and receiving area," and that “the intake form on which so much reliance was placed by the DOC and FCM had been removed by the NCCHC from its 2003 'Standards for Health Services in Prisons’ because the NCCHC had found that prison administrators were relying too heavily on such forms instead of implementing the procedures described and recommended in the text of the 'Standards for Health Services in Prisons.' ” JA at 171.
. See, e.g., JA at 367 ("Q: Did you make any assessments of the job they [FCM] were doing providing medical care for the inmates? A: I personally did not, no.”); id. ("Going back to my question regarding the assessment of the services provided by the independent vendor FCM, was there anyone from the Department of Correction who made any such assessment? A: There was no one that had the knowledge or the background within the department that could actually go out to see if the medical care was provided.”).
. See JA at 366-67 ("Q: As in the other responsibilities, did you have any type of key managers? A: Within the medical? Q: Yes. A: No. It was — no. Q: How is it that you managed the health care issues for inmates? A: That would be working with the contracted vendor and through the MRC, the Medical Review Committee.”).
. FCM modeled its suicide prevention screening form on a sample appended to the National Commission on Correctional Health Care's (NCCHC) 1997 standards for prison health services. In 2003, the NCCHC published a new edition of its manual, but FCM continued using its form modeled on the 1997 manual. One year before Barkes's suicide, the NCCHC accredited the HRYCI after reviewing FCM’s suicide prevention screening form.
. Those same officers were not blind to inmates who turned suicidal. In fact, earlier on the same morning that Barkes died, they transferred a different inmate to the infirmary for suicide prevention.
.The majority contends that Talley "testified that she did not believe it to be her responsibility to ensure FCM's compliance with NCCHC standards.” Maj. Transcript at 312-13. As Talley explained, she "managed the health care issues for inmates” by "working with the contracted vendor and through the [Medical Review Committee].” App. at 806. Any complaints about medical issues “would be presented to the MRC. It was as a group. We were a committee that would oversee the contract.” App. at 806.
. FCM’s medical staff were not employees of the HRYCI and they did not report to Warden Williams. Williams’s "participation in health care” at the HRYCI was limited to “providing] access, space, and security for [FCM's] medical staff.” App. at 517. When Barkes’s lawyer asked Williams whether he "had any responsibilities for the adequate provision of health care to inmates,” he answered, "No. That was through management services. That’s where the responsibility lied.” App. at 517. Another time, Williams testified: "all those policies were by management services. They were tasked with ensuring that FCM followed through with their contractual obligations. That’s strictly through them.” App. at 792.
. The majority states that "Taylor’s termination letter to FCM indicates his awareness of FCM’s gross contractual non-compliance,” and that "[a] reasonable juror could draw from that evidence the conclusion that Appellants were aware of an unreasonable risk.” Maj. Transcript at 331. However, the District Court has already recognized that events occurring after Barkes’s death, such as Taylor’s 2005 letter terminating the DOC’s contract with FCM “cannot be probative of Commissioner Taylor’s or Warden William[s]'s awareness in 2004 of a substantial risk.” App. at 83.
. Plaintiffs are Barkes’s widow, Karen, both in her personal and representative capacity, as well as his two daughters. For ease of reference, I refer to Plaintiffs collectively as "Barkes.”
. Not relevant to this appeal, the complaint also included a wrongful death claim against Taylor and Williams, upon which they were granted summary judgment.
. Contrary to the majority’s view of the case, the Grindle plaintiffs alleged much more than that the supervisor-principal ”allow[ed] a subordinate teacher to continue working.” Maj. Typescript at 319.
. The majority distinguishes
Vance
on the basis that Secretary Rumsfeld's subordinates violated a federal statute instead of the Eighth Amendment. Although it is true that
Vance
did not involve an Eighth Amendment claim, its analysis on this point relied exclusively on Eighth Amendment case law. It goes without saying that if both a federal statute and the Eighth Amendment embrace the same state of mind, the analysis is identical. The majority and
Vance
both apply
Farmer v. Brennan,
The supervisor must want the forbidden outcome to occur. Deliberate indifference to a known risk is a form of intent. But Farmer v. Brennan,511 U.S. 825 ,114 S.Ct. 1970 ,128 L.Ed.2d 811 (1994), holds that, to show scienter by the deliberate-indifference route, a plaintiff must demonstrate that the public official knew of risks with sufficient specificity to allow an inference that inaction is designed to produce or allow harm.
Prisons are dangerous places, and misconduct by both prisoners and guards is common. Liability for wardens would be purely vicarious. Farmer rejected a contention that wardens (or guards) can be liable just because they know that violence occurs in prisons and don’t do more to prevent it on an institution-wide basis. To get anywhere, [plaintiffs] would need to allege that Rumsfeld knew of a substantial risk to security contractors' employees, and ignored that risk because he wanted plaintiffs (or similarly situated persons) to be harmed.
. The majority warns that this "rule would have the practical effect of requiring that a supervisor have personal knowledge of an individual inmate, that inmate’s particular serious medical need, and of the prison staff's failure to treat that need,” Maj. Transcript at 32. In fact,
Dodds
demonstrates the incorrectness of the majority’s supposition because there the "Plaintiff [did] not allege [the Supervisor-]Defendant was one of the jail employees who told him and the individuals who inquired about posting bail on his behalf that he could not post the bail.... Nor [did the] Plaintiff contend [the Supervisor-JDefendant personally instructed those employees to refuse to accept bail from [the] Plaintiff.”
Dodds,
Separately, the majority attacks this rule with a hypothetical from Judge Hamilton’s dissent from
Vance
in which "a local police chief or even the FBI director issued a policy that authorized the use of deadly force,” which policy "would be clearly unconstitutional.” Maj. Transcript at 325 (quoting
Vance,
. The Eighth Circuit reiterated this point in
Whitson v. Stone County Jail,
. Just as Nelson approved of the Arkansas Department of Correction’s policies expressed in its regulations, we would not hesitate to approve of the Delaware Department of Correction’s policy expressed in its contract that requires FCM "to implement 'Best Practices’ from State Correctional Services” for mental health care if Barkes challenged the DOC’s policies. App. at 138. That analysis is unnecessary, however, because Barkes does not challenge the DOC's policies.
. The First Circuit's
pre-Iqbal
case law already required "an affirmative link between the behavior of a subordinate and the action or inaction of his supervisor ... such that the supervisor’s conduct led inexorably to the constitutional violation.”
Soto-Torres v. Fraticelli,
.The majority reads
al-Kidd
as "sug-gestfing] that under
Iqbal
the United States Attorney General could be liable for knowingly ’fail[ing] to act in the light of even unauthorized abuses.'” Maj. Typescript at 318. In fact, the Ninth Circuit took pains to ensure that its decision was not read for that proposition; "We need not address whether [the 'knowing failure to act’ standard survived
Iq
bal] because al-Kidd plausibly pleads ‘purpose’ rather than just 'knowledge' to impose liability on Ashcroft.”
al-Kidd v. Ashcroft,
. Although the
al-Kidd
majority explained that its decision relied on the plaintiff’s pleadings of purpose and not a failure to act, Judge Bea perceived otherwise and dissented from the decision on this point, saying "it is doubtful that the majority's knowing failure to act standard survived
Iqbal."
. It is worth noting that Barkes's allegations of knowledge by Taylor and Williams come nowhere near the facts averred by the Starr plaintiff:
Starr specifically alleges numerous incidents in which inmates in Los Angeles County jails have been killed or injured because of the culpable actions of the subordinates of Sheriff Baca. The complaint specifically alleges that Sheriff Baca was given notice of all of these incidents. It specifically alleges, in addition, that Sheriff Baca was given notice, in several reports, of systematic problems in the county jails under his supervision that have resulted in these deaths and injuries.
.Although no statute holds Taylor and Williams responsible for medical conditions at the HRYCI, Judge Trott’s observations apply equally well to this appeal:
Sadly, bad things routinely happen in the best of jails. The same is true of hospitals, armies, churches, nursing homes, synagogues, boy scout troops, and legislatures. To attach personal legal liability to the leaders of these organizations, however, requires much more than, “Well, she must have known and must have been deliberately indifferent, because after all, it happened on her watch.”
Starr,
. The majority argues Barkes’s earlier claims are distinct, Maj. Transcript at 323, but it is a distinction without a difference. Whether Barkes argues Taylor and Williams failed to supervise DOC staff (as in the earlier claim) or FCM (as in the claim at issue now), knowledge and indifference is the common thread, and the fact that "there is still not sufficient evidence in the record from which a reasonable factfinder would conclude that Defendants were aware such an unreasonable risk was created and were indifferent to that risk” is fatal. App. at 16.
. I disagree with the majority’s belief that
Spruill v. Gillis,
