Judy BOGART, Plaintiff-Appellant, v. Robbie CHAPELL, in his individual and official capacities; York County Humane Society, in its individual and official capacities; York County Sheriffs Department; York County Animal Control; Kathy Sowell; Arthur Moore; Donald Barnett; M.B. Mabry; Lester Terry, in their individual and official capacities; Bruce M. Bryant, as Sheriff of York County; County Of York, Defendants-Appellees, and Della Martin; Darlene Steer, Defendants.
No. 03-2092.
United States Court of Appeals, Fourth Circuit.
Feb. 2, 2005.
396 F.3d 548
Argued: June 4, 2004.
The record in Robinson, however, did not include evidence presented in this case in the form of Stevenson‘s letter, which enabled the district court to reach the factual conclusion that the Robinson court was unable to reach: that Stevenson had no intention of returning to the apartment. Indeed, the Sixth Circuit relied expressly on the absence of evidence of intent to conclude that the defendant there had not abandoned his expectation of privacy in the apartment.
For the foregoing reasons, the judgment of the district court is
AFFIRMED.
Before WILLIAMS and KING, Circuit Judges, and Louise W. FLANAGAN, United States District Judge for the Eastern District of North Carolina, sitting by designation.
OPINION
KING, Circuit Judge:
Judy Bogart appeals from the district court‘s award of summary judgment on her procedural due process claim, initiated under
Relying on the Parratt/Hudson doctrine, the district court held that Bogart did not possess a viable
I.
A.
Over several years, Bogart participated in animal rescue activities through various volunteer organizations in and around Rock Hill, South Carolina, including a group called Carolina Castaways. Bogart‘s efforts involved adopting dogs and cats from shelters where they otherwise may have been euthanized. Bogart kept the animals inside and outside her single-wide mobile home, which had a small fenced backyard. In late 1998 and throughout 1999, the York County Humane Society (the “YCHS“) and its board co-chairman, local veterinarian Robbie Chappell,1 received complaints from other local veterinarians and members of Carolina Castaways regarding the number and condition of animals in Bogart‘s care, including personal pets and animals belong-
In early November 1999, after observing twice as many dogs in Bogart‘s yard as had been there in June, Dr. Chappell requested Deputy Brent Mabry of the York County Sheriff‘s Department to investigate the situation. Deputy Mabry drove by Bogart‘s property, at which time he smelled a strong animal odor and heard a large number of barking dogs. Bearing in mind Dr. Chappell‘s admonition that Bogart was unlikely to voluntarily permit examination of the animals, Mabry decided to request a search warrant from a local magistrate judge. On November 16, 1999, the magistrate judge issued a warrant for the search of Bogart‘s residential property and the seizure of any animals there that had been mistreated or housed improperly. Dr. Chappell planned to accompany Mabry in executing the search warrant. Mabry knew that Dr. Chappell intended to immediately euthanize at least some of the animals, but did not share that information with the judge.
Deputy Mabry also conferred about the search, which was scheduled for November 17, 1999, with Lester Terry, the supervisor of York County Animal Control. Officer Terry had been contacted as well by Dr. Chappell, who had advised Terry to “have a lot of trucks ready” based on the assumption that many of the animals would be seized. Dr. Chappell and Terry later disagreed over whether their first conversation about the impending seizure occurred as long as a week or just two days before the event. However, they agreed that Dr. Chappell estimated that Bogart had at least eighty to ninety animals on her premises. They also agreed that Dr. Chappell anticipated that at least somе of the animals would be euthanized immediately, and others might be housed by the YCHS and the York County Animal Shelter (the “Shelter“) if space was available for them. According to Officer Terry, Dr. Chappell called him again on the day of the seizure; when Terry informed Dr. Chappell that the Shelter was nearly at full capacity, Dr. Chappell said that all of the animals to be taken from Bogart‘s property were diseased and needed to be euthanized anyway. There is no dispute that Dr. Chappell, at that time, had not closely examined the animals.
The search and seizure at Bogart‘s mobile home was executed on November 17, 1999, as planned. The participants included Dr. Chappell and at least one of his employees, representatives of the YCHS, Deputy Mabry and other law enforcement officers, and Officer Terry and other animal control officers. At first, Deputy Mabry did not serve the search warrant on Bogart, because she allowed Mabry, Dr. Chappell, and those accompanying them to examine and even remove some of the approximately twenty-five dogs in her backyard. Thereafter, however, Bogart began to move dogs into her home through the back dоor. Mabry then confronted Bogart at the front door, serving her with the search warrant so that there could be an examination of the animals inside the home. According to Mabry, Bogart made an effort to reenter the home in an evasive manner, prompting Mabry and others to handcuff her and escort her to a waiting patrol car. Bogart was then arrested for ill treatment of the animals, in violation of
In total, 82 dogs and 129 cats were seized from Bogart‘s property. All but two of the dogs and some of the cats had been euthanized by the following morning. At that time, Bogart arrived at the Shelter and requested some of her pets. Officer Terry called Dr. Chappell, who gave permission for Bogart to take the two surviving dogs and her choice of five of the remaining cats. Those cats not selected were killed later that morning.
Neither Dr. Chappell, who allegedly ordered the euthanizations, nor Officer Terry, who oversaw the procedures, would accept the ultimate responsibility for deciding the animals’ fates. Dr. Chappell informed the press just after the raid on Bogart‘s property that her animals had been killed because of their poor health, as well as space limitations at the Shelter. However, it does not appear that all, or even many, of the more than two hundred doomed animals were closely examined by Dr. Chappell or any other veterinarian prior to euthanization. Rather, Dr. Chappell quickly inspected some of the animals as they were being removed from Bogart‘s property. Dr. Chappell conceded in this litigation that, if he had examined the dogs once they arrived at the Shelter, as many as fifteen to twenty of them might have been found healthy enough to save. Moreover, an expert for the Defendants opined that, if space at the Shelter was a problem, some of the animals could have remained on Bogart‘s property for at least another day without “much more jeopardy than they were already in” until room could be found for them elsewhere. In any event, it was not disputed that this was the first and only time that York County officials had immediately—and, one could find, indiscriminately—destroyed animals that had just been seized in conjunction with the arrest of their custodian for mistreatment of them.
On January 8, 2001, Bogart filed a complaint in the York County Court of Common Pleas against various participants in the search of her property, her arrest, and the seizure and euthanization of her animals, including Dr. Chappell, the YCHS, Deputy Mabry, and Officer Terry (collectively, the “Defendants“). In Bogart‘s complaint, which was amended on March 7, 2001, she asserted federal constitutional claims under
The Defendants removed the litigation, on February 16, 2001, to the District of South Carolina, which possessed jurisdiction pursuant to
Bogart subsequently filed a second amended complaint, naming a new Defendant and altering sоme of her claims. On September 27, 2002, the Defendants moved again for summary judgment. The court heard argument on these motions on July 2, 2003, and promptly granted summary judgment to all Defendants on Bogart‘s
The district court‘s judgment order was entered on July 16, 2003. Bogart thereafter filed a motion, on July 21, 2003, seeking to alter or amend the judgment pursuant to Rule 59(e) of the Federal Rules of Civil Procedure (the “Rule 59(e) Motion“) with regard to the procedural due process claim against Officer Terry. In her supporting memorandum, Bogart asserted new evidence—a York County Animal Control policy according Officer Terry, as the Animal Control Officer, the discretion to dispose of sick or injured animals (the “York County Policy“)—that was availablе when the court was considering summary judgment issues but that was not then presented to the court. The court denied the Rule 59(e) Motion. Bogart v. County of York, No. 01-CV-467, slip op. at 3 (D.S.C. Aug. 8, 2003) (the “Rule 59(e) Order“).
Bogart filed her notice of appeal on August 28, 2003, and we possess jurisdiction under
II.
As a preliminary matter, we are obliged to identify those particular matters over which we possess jurisdiction. That is, the Defendants contend that our review is limited to the Summary Judgment Order, because Bogart‘s notice of appeal specifies that she is appealing from that order.4 They maintain that we cannot review the Rule 59(e) Order, because the notice of appeal does not mention it, and Bogart did not explicitly state in her opening brief that the court erred in denying her Rule 59(e) Motion. Thus, according to the Defendants, we cannot consider the new evidence (the York County Policy) that Bogart attempted to introduce by way оf her Rule 59(e) Motion.
Under the
Although we do not commend the careless formulation of Bogart‘s notice of appeal, we must conclude that Bogart‘s intent to appeal from the Rule 59(e) Order can be readily inferred from the discussion in her opening brief of the York County Policy‘s effects on the viability of her
III.
We review the district court‘s denial of the Rule 59(e) Motion for abuse of discretion. See United States v. Westinghouse Savannah River Co., 305 F.3d 284, 290 (4th Cir. 2002). As we have observed, a court may grant a Rule 59 motion in three circumstances: “(1) to accommodate an intervening change in controlling law; (2) to account for new evidence not available at trial; or (3) to correct a clear error of law or prevent manifest injustice.” Id. (quoting Pac. Ins. Co. v. Am. Nat‘l Fire Ins. Co., 148 F.3d 396, 403 (4th Cir. 1998)).
By contrast, we review de novo the court‘s award of summary judgment to the Defendants, viewing the facts and inferences drawn therefrom in the light most favorable to Bogart. See Seabulk Offshore, Ltd. v. Am. Home Assurance Co., 377 F.3d 408, 418 (4th Cir. 2004). “An award of summary judgment is appropriate only ‘if the pleadings, depositions, answers to interrogatories, and admissions on file, together with the affidavits, ... show that there is no genuine issue of material fact and that the moving party is entitled to a judgment as a matter of law.‘” Id. (quoting
We begin our review by summarizing the Summary Judgment Order and the Rule 59(e) Order. We then consider whether the district court abused its discretion in denying Bogart‘s Rule 59(e) Motion, by which she sought to introduce the York County Policy as new evidence in opposition to summary judgment. Because the denial of the Rule 59(e) Motion was not error, we subsequently address, without regard to the new evidence, whether the award of summary judgment to the Defendants was appropriate under the Parratt/Hudson doctrine. In so doing, we survey the relevant Supreme Court decisions and explain why the Parratt/Hudson doctrine precludes Bogart‘s pro-
IV.
In its Summary Judgment Order, the district court set forth the core requirement for Bogart‘s claims under
The court noted that, in this matter, it is undisputed that the Defendants failed to provide Bogart with notice or an opportunity to be heard before the euthanization of her dogs and cats, and that, in the light most favorable to Bogart, there were no exigent circumstances justifying the immediate destruction of her animals. Summary Judgment Order at 9.5 Nonetheless, relying on the Parratt/Hudson doctrine, the court concluded that Bogart could not sustain her procedural due process claim. Id. at 9-16. The court explained that, where a deprivation of property is the result of a state employee‘s random and unauthorized act, the Constitution requires only adequаte postdeprivation tort remedies, and not a predeprivation hearing. Id. at 10 (citing Zinermon, 494 U.S. at 128; Parratt, 451 U.S. at 541).
The court observed that the Defendants failed to abide by the procedures that South Carolina had in place for the care and disposition of animals seized from their owners, particularly
In awarding summary judgment to the Defendants, the court rejected Bogart‘s contention that this case is like Zinermon. There, the Supreme Court declined to disallow a procedural due process claim under the Parratt/Hudson doctrine where the plaintiff “sought to hold ‘state officials accountable for their abuse of their broadly delegated, uncircumscribed power to effect the deprivation at issue.‘” Summary Judgment Order аt 12 (quoting Zinermon, 494 U.S. at 136). The court distinguished Zinermon on the ground, inter alia, that these Defendants were not given authority under the South Carolina Code to destroy Bogart‘s animals immediately after seizing the animals and merely arresting Bogart on an animal cruelty charge. Id. at 13.
In support of her subsequent Rule 59(e) Motion, Bogart presented the York County Policy, which, she contended, empowered Officer Terry with broad discretion to destroy sick and injured animals.8 Bogart maintained, in relevant part, that the Parratt/Hudson doctrine‘s exception to
V.
We now assess whether the district court abused its discretion in denying Bogart‘s Rule 59(e) Motion. Because that ruling was not error, we subsequently consider, without regard to the York County Policy, whether the award of summary judgment to the Defendants was proper.
A.
We will not reverse a court‘s refusal to consider new evidence in support of a Rule 59(e) motion where the movant presented no legitimate justification for failing to timely submit the evidence and hаd advance notice of the summary judgment issues. See Hughes v. Bedsole, 48 F.3d 1376, 1382 (4th Cir. 1995) (offering no reason at all); Cray Communications, Inc. v. Novatel Computer Sys., Inc., 33 F.3d 390, 395 (4th Cir. 1994) (believing presentation of affidavit was “unnecessary” at summary judgment stage); RGI, Inc. v. Unified Indus., Inc., 963 F.2d 658, 662 (4th Cir. 1992) (misunderstanding parties’ burdens under summary judgment standard). Bogart‘s excuse for not submitting the York County Policy to the court prior to its consideration of the summary judgment motions is that her attorneys did not foresee that the court would rely on the Parratt/Hudson doctrine to reject her procedural due process claim. That is, counsel believed that the court would focus instead on whether Bogart‘s claim failed on the ground that the euthanization of her animals was justified by the existence of exigent circumstances. This assertion does not constitute a legitimate justification for Bogart‘s neglect to promptly present the Policy to the court, especially in view of the fact that the applicability of the Parratt/Hudson doctrine was an issue raised early and often in this litigation.
Generally, we will not examine evidence, such as the York County Policy, that was inexcusably proffered to the district court only after the court had entered its final judgment. See Kaiser Aluminum & Chem. Corp. v. Westinghouse Elec. Corp., 981 F.2d 136, 140 (4th Cir. 1992) (recognizing rule “that affidavits and exhibits not before the court in making its decision are not to be considered on appeal“). Even so, we may examine such еvidence in order to determine whether “the additional evidence, though filed un-
B.
Without regard to the York County Policy, we turn to the question of whether the court erred in relying on the Parratt/Hudson doctrine to award summary judgment to the Defendants on Bogart‘s
1.
In its 1981 Parratt decision, the Supreme Court considered whether an inmate at a Nebraska prison, who ordered $23.50 worth of hobby materials by mail, could sustain a
The Court extended its Parratt holding, in its 1984 Hudson decision, to intentional deprivations of property. Hudson, 468 U.S. at 533.10 The plaintiff
In its 1990 Zinermon decision, the Court underscored the narrow scope of the Parratt/Hudson doctrine. The Zinermon plaintiff brought suit under
2.
Under the principles enunciated by the Supreme Court, we are constrained to conclude that this dispute fits squarely within the Parratt/Hudson doctrine, and, thus, that the district court properly awarded summary judgment to the Defendants on Bogart‘s
First, the deprivation of Bogart‘s animals, unlike the deprivation of the Zinermon plaintiff‘s liberty, was unforeseeable. In Zinermon, because the State did not specify how to determine whether a patient was competent at the time he was asked to sign admission forms, it was “hardly unforeseeable” that the patient‘s apparent willingness to be admitted would be taken at face value. 494 U.S. at 136. Indeed, the State knew precisely when any resulting erroneous deprivation would occur: “at a specific, predictable point in the admission process—when a patient is given admission forms to sign.” Id. That foreseeability is in contrast to the deprivations of property in Parratt and Hudson, as well as in this dispute. The South Carolina Code prescribed precisely how the Defendants were to act once they seized Bogart‘s dogs and cats: the Defendants had no choice but to care for the animals, and were not under any circumstances permitted to euthanize them, until after a state court adjudicated Bogart‘s custody rights. See supra notes 3 & 6. Because the Defendants lacked authority to destroy the animals immediately upon their seizure (and because such an incident had not previously occurred), the State could not predict this deprivation. Cf. Zinermon, 494 U.S. at 136 (noting State‘s predicament in Parratt and Hudson, that it might have anticipated employee‘s occasional negligent loss or intentional destruction of prisoner‘s property, but it could not have known precisely when such loss would occur).
Second, this dispute diverges from Zinermon in that predeprivation process was impossible here. The State in Zinermon had provided some procedures for the voluntary and involuntary admission of patients to mental hospitals, but failed to sufficiently limit and guide the hospital personnel‘s power. 494 U.S. at 136-37. However, as Justice O‘Connor (joined by three of her colleagues) recognized in her Zinermon dissent, “in the absence of ... broadly delegated power ... Parratt and Hudson still govern.” Id. at 148; see also Albright v. Oliver, 510 U.S. 266, 284-85 (1994) (Kennedy, J., concurring in judgmеnt) (observing that, though courts “have been cautious in invoking the rule of Parratt,” the decision‘s “precedential force must be acknowledged“). Indeed, in Plumer and Fields, we acknowledged the continuing vitality of the Parratt/Hudson doctrine, albeit in limited situations. Plumer, 915 F.2d at 930; Fields, 909 F.2d at 97. Because the doctrine remains sound law, we are bound to apply it in appropriate circumstances. See Carolinas Cotton Growers Ass‘n, Inc. v. United States, 785 F.2d 1195, 1200 (4th Cir. 1986). And, at the very least, those circumstances include cases (such as this one) where state actors have divested plaintiffs of their property or liberty without any state-conferred power. See infra Part V.B.2.
By contrast, South Carolina did not fail tо sufficiently limit the Defendants’ discretion in euthanizing Bogart‘s animals immediately after their seizure. Rather, the State withheld any such discretion at all from the Defendants. For predeprivation process to be deemed feasible under these circumstances, it would have to be concluded that the State was required to afford a “preliminary” hearing—prior to the court proceedings already provided for by statute—to determine whether the Defendants should destroy Bogart‘s animals in violation of their mandate to care for them. Such a conclusion would, of course, be absurd.12
Finally, this dispute is unlike Zinermon because the Defendants’ euthanization of Bogart‘s animals is properly characterized as unauthorized, in the sense that term was used in Parratt and Hudson. The State in Zinermon had delegated to the hospital personnel “the power and authority to effect the very deprivation complained of ... and delegated to them the concomitant duty to initiate the procedural safeguards set up by state law to guard against unlawful confinement.” 494 U.S. at 138. Conversely, the Defendants bore the nondiscretionary duty to care for Bogart‘s animals pending the outcome of due process procedures—procedures that were to be provided not by the Defendants themselves, but rather by the state courts. Cf. Zinermon, 494 U.S. at 138 (recognizing that state employees in Hudson and Parratt did not have authority to deprive prisoners of property or duty to initiate predeprivation safeguards).13
Moreover, the Defendants may have been required upon seizing the animals to petition a magistrate judge for a speedy hearing to determine Bogart‘s custody rights, but only, it seems, if the Defendants had acted рursuant to the statutory provision allowing seizure by court order preceding the owner‘s arrest. See
VI.
Pursuant to the foregoing, the district court properly concluded that Bogart does not possess a viable
AFFIRMED
WILLIAMS, Circuit Judge, dissenting:
Were we deciding this case on a clean slate, I would agree with almost everything my colleagues in the majority have written. As it stands, however, I believe that we are constrained by circuit precedents, namely Plumer v. State of Maryland, 915 F.2d 927 (4th Cir. 1990), and Fields v. Durham, 909 F.2d 94 (4th Cir. 1990), to interpret Zinermon v. Burch, 494 U.S. 113 (1990), as having had a greater impact on this area of law than that ascribed to it by the majority. Accordingly, I respectfully dissent.
Scholars have named these two competing visions of
The only obvious reason for the different approaches used in Monroe and Hudson is the location of the Constitutional right asserted by the plaintiff. In Monroe, the plaintiff asserted a violation of the Fourth Amendment, whereas in Hudson, the plaintiff alleged a violation of the Due Process Clause. Thus, before Zinermon, the mission of lower courts was relatively clear—apply the legalist model to procedural due process claims and apply the governmental model to other constitutional violations committed by state actors.
If the Court had followed Hudson and used the legalist model in Zinermon, it would have been an easy case—according to the complaint, the state actors in that case cоmmitted the plaintiff to a mental institution in willful violation of Florida‘s procedural requirements. Zinermon, 494 U.S. at 121 (“Defendants ... knew or should have known that Plaintiff was incapable of voluntary, knowing, understanding and informed consent to admission and treatment.... Nonetheless, Defendants ... seized Plaintiff and against Plaintiff‘s will confined and imprisoned him and subjected him to involuntary commitment and treatment.... Plaintiff was without the benefit of counsel and no hearing of any sort was held at which he could have challenged his involuntary admission and treatment.“); id. at 122-23 (describing the extensive procedures mandated by Florida law prior to involuntary commitment). Under the reasoning of Hudson, the actions taken by the Zinermon defendants were “random and unauthorized,” and the state could not have foreseen its employees’ failure to comply with the established state procedures. Hudson, 468 U.S. at 533. Thus “the state‘s action” would not have been “complete until and unless it provide[d] or refuse[d] to provide a suitable postdeprivation remedy.” Id.
Rather than choosing between the two competing models, however, the Supreme Court, in a rather vague opinion, used language indicating its adherence to both models. Zinermon, 494 U.S. at 136-38. Although Zinermon relied on Monroe, the paradigmatic example of the governmental model of
Thus, when we decided Fields and Plumer, we were faced with a line of Supreme Court precedents that resembles, as Judge Easterbrook has colorfully described, “the path of a drunken sailor.” Easter House, 910 F.2d at 1409 (Easterbrook, J., concurring); see also Alexander, 87 Nw. U. L.R. at 596 (“It is not an overstatement to describe the Supreme Court‘s constitutional torts jurisprudence as a welter of confusion, leaving litigants and lower courts completely at sea.“). Lower courts were, it seemed, free to chose whichever model they preferred by reading Zinermon narrowly or broadly. In Plumer and Fields, we interpreted Zinermon broadly, concluding that the Court had adopted the governmental model of determining liability for procedural due process claims under
For example, in Fields, school officials were accused of firing a tenured professor without following the pretermination procedures required by state law. Fields, 909 F.2d at 96-97. Even though the officials had not followed the letter of state law, they had provided the professor with some pretermination process. The officials had no discretionary authority not to follow the constitutionally adequate procedures established by state law, but we nonetheless held that Parratt was inapplicable. Id. Although we concluded that the pretermination procedures actually afforded the professor sufficed to satisfy due process under Mathews v. Eldridge, 424 U.S. 319 (1976), had they been inadequate, liability would have attached. Fields, 909 F.2d at 96-97.
We also applied the governmental model of liability in Plumer. To paraphrase Plumer in the factual context of this case:
[T]he risk of an erroneous [animal forfeiture] clearly was foreseeable. Indeed, [South Carolina] surely realizes that for it has developed procedural safeguаrds to protect against erroneous depriva-
Plumer, 915 F.2d at 931; see also Fields, 909 F.2d at 97 (“[W]e first ask whether the risk of an erroneous deprivation was foreseeable.“).1
South Carolina has established a detailed procedural scheme governing the seizure and care of cruelly-treated and neglected animals. See
The procedures actually afforded Bogart in this case were not constitutionally sufficient. As the majority notes, the Constitution generally requires a pre-deprivation hearing before the destruction of one‘s animals. Mathews, 424 U.S. at 333; see Nicchia v. New York, 254 U.S. 228, 230 (1920). Thus, if a state procedural scheme provided for the summary killing of all seized animals, the scheme would be patently unconstitutional. Here, unlike the professor in Fields, Bogart undisputedly received no predeprivation process at all. Her animals were summarily killed after being seized by the very officials responsible for initiating the statutory hearing under South Carolina law,
If this were a case of first impression, I would follow the legalist model typified by Hudson and read Zinermon narrowly, as do several of our sister circuits. Justice Holmes strongly defended the legalist model in his dissent from Raymond v. Chicago Union Traction Co., 207 U.S. 20, 41 (1907) (“I am unable to grasp the principle on which the state is said to deprive the appellee of its property without due process of law because a subordinate ..., subject to the control of the supreme court of the state, is said to have violated the express requirement of the state in its Constitution.“), as did Justice Frankfurter in his dissent from Monroe, 365 U.S. at 237 (“The jurisdiction which Article III of the Constitution conferred on the national judiciary reflected the assumption that the state courts, not the federal courts, would remain the primary guardians of that fundamental security of person and property which the long evolution of the common law had secured to one individual as against other individuals. The Fourteenth Amendment did not alter this basic aspect of our federalism.“). I find the arguments of these notable jurists persuasive.
Unfortunately, we are bound by the broad interpretation of Zinermon contained in Plumer and Fields. Thus, although I agree that the majority‘s interpretation of Zinermon is the preferable one, and perhaps even “the best estimate of the course a majority of the [Supreme] Court will take” to resolve the “[i]nconsistent lines of precedent,” Easter House, 910 F.2d at 1409 (Easterbrook, J., concurring), I believe that we, as a panel, should refrain from muddying the clear law of this circuit by adding to our body of precedents an оpinion that relies upon the legalist model. By doing so today, the majority creates an inconsistent line of precedents in our circuit. If we wish to follow the narrow interpretation of Zinermon used in the Fifth and Seventh Circuits, we must first overrule Plumer and Fields in an en banc session. Because we have not done so, I would reverse the district court and allow Bogart to proceed with her procedural due process claim. Accordingly, I respectfully dissent.
Notes
The officer or agent of any cоunty or of the South Carolina Society for the Prevention of Cruelty to Animals, or of any society incorporated for that purpose, taking charge of an animal as provided for in this section shall provide for the animal until either:
(1) The owner is adjudged by the court to be able to provide adequately for, and have custody of, the animal, in which case the animal shall be returned to the owner upon payment for the care and provision of the animal while in the agent‘s or officer‘s custody; or
(2) The animal is turned over to the officer or agent as provided in Section 47-1-170 [providing for the owner‘s forfeiture of the animal upon conviction on an animal cruelty charge] and a humane disposition of the animal is made.
The parties disagree on appeal over precisely which statutory provisions applied to the seizure of Bogart‘s animals. However, we need not decide that issue. All of the provisions required the Defendants to care for Bogart‘s dogs and cats pending court adjudication of the criminal charge against her and/or of her fitness to regain custody of the animals. And none of the provisions authorized the Defendants to euthanize the аnimals immediately after their seizure.
If a sick or injured animal is brought into the shelter during normal working hours, then the animal will be taken to the closest vet. If one is picked up after normal working hours then the Animal Control Officer will make the decision as to the fate of the animal. If the animal has an I.D. tag with the animals [sic] vet, then you should first make every effort to contact the vet. At no time should the animal go through unnecessary suffering if delay exists on contacting the vet.
Record on Appeal at 78.
