MEMORANDUM DECISION AND ORDER
This is an action alleging violations under the Aliens Tort Claims Act, 28 U.S.C. § 1350 (“ATCA”), and the Torture Victim Protection Act, 28 U.S.C. § 1350 note 2(a)(1) (“TVPA”). The individual plaintiff and his corporate employer, and its corporate shareholder, allege that the defendants, to gain an advantage in a business dispute between the parties, made a false complaint of criminal conduct by plaintiffs to the Bangladeshi police. As a result of this criminal complaint, the individual plaintiff was arrested and tortured.
*378 The case is before the Court on defendants’ motion to dismiss for failure to state a claim.
SUMMARY OF COMPLAINT
Plaintiff Chowdhury is a Bangladeshi citizen and legal resident of the United States. He is the managing director of plaintiff WorldTel Bangladesh Ltd. (“WorldTel Ltd”), a Bangladeshi corporation, and a stockholder and officer of plaintiff World Communications Investments Incorporated (“WCII”), a B.V.I. corporation, which owns the stock of WorldTel Ltd.
WorldTel Ltd was created to provide landline telephone service to the Dhaka area of Bangladesh. Shortly after it was constituted, WCII and defendant WorldTel Bangladesh Holding (“Holding”), a Mauritius corporation, became shareholders. The individual defendant Khan is a U.S. citizen with a role in Holding that he has variously described as chairman of the board, owner, or representative.
As part of the settlement of a dispute in 2006, WCII bought out Holding’s stock interest in WorldTel Ltd. The dispute had included defendants’ filing of criminal charges against Chowdhury alleging bank fraud and forgery. Two separate governmental investigations concluded that these charges were without merit. The settlement and buy-out occurred after dismissal of the charges.
Notwithstanding the settlement, in 2007, Khan, acting on behalf of defendants, again filed criminal charges against Chowdhury and WCII making the same allegations of bank fraud. This time, Chowdhury was arrested and imprisoned for approximately five months. Khan and Holding participated in at least one bail hearing, and Chowdhury was repeatedly denied bail. The complaint alleges that during his first week in custody,
Mr. Chowdhury was subject to electric shock including electric shock that was applied to Mr. Chowdhury while Mr. Khan was in the [police] facility where Mr. Chowdhury was being held and tortured. In addition to the shocks, Mr. Chowdhury was subjected to being handcuffed to a cell door for hours at a time in a manner that required him to stand.
The complaint further alleges that during Chowdhury’s period of incarceration, Khan offered to withdraw the criminal complaint and “permit Mr. Chowdhury to be released from jail” if Holding was given control of WorldTel.
DISCUSSION
I. Standard of Review on a Motion to Dismiss
For purposes of a motion to dismiss under Rule 12(b)(6), the Court accepts as true plaintiffs’ allegations, and draws all plausible inferences in plaintiffs’ favor.
See City of N.Y. v. Beretta U.S.A. Corp.,
Defendants argue that claims under the ATCA are subject to a higher pleading
*379
standard than normally applicable under Fed.R.Civ.P. 8(a), citing
Kadic v. Karad-zic,
Because the Men Tort Act requires that plaintiffs plead a “violation of the law of nations” at the jurisdictional threshold, this statute requires a more searching review of the merits to establish jurisdiction than is required under the more flexible “arising under” formula of section 1331. Thus, it is not a sufficient basis for jurisdiction to plead merely a colorable violation of the law of nations. There is no federal subject-matter jurisdiction under the Men Tort Act unless the complaint adequately pleads a violation of the law of nations (or treaty of the United States).
Id.
at 238 (citation omitted).
1
However, to say that an ATCA claim must be pled with more than “mere eolorability” does not necessarily mean there is a “heightened” pleading requirement.
Kadic
was decided long before the Supreme Court’s decision in
Bell Atlantic,
in which the Supreme Court rejected the venerable language from
Conley v. Gibson,
Regarding ATCA claims as one of the “contexts” referred to in Iqbal where some additional factual amplification will often be necessary to render the claim “plausible” rather than merely “colorable” or “conceivable” fits comfortably into the pleading standard set forth in Kadic. Additional amplification is often required in this context because the statute is based upon a “violation of the law of nations,” 28 U.S.C. § 1350, an imprecisely-defined concept which lends itself, as this case shows, to some disagreement. This does not mean that the pleading requirement for such claims has been “heightened,” because like all claims, ATCA claims are held to nothing more than the plausibility standard. M it means is that a plaintiff must include enough factual allegations to enable a court to determine whether, if true, *380 those facts plausibly, rather than merely conceivably, constitute a violation of the law of nations. This Court will therefore evaluate the present complaint under that standard.
II. ATCA Claims
Plaintiffs allege two claims for relief under the ATCA arising out of the facts described above: first, defendants violated the law of nations and the ATCA directly by their actions; second, that they aided and abetted the Bangladeshi authorities in violating the law of nations. Defendants’ attack on these claims divides into two grounds: (1) whether the abusive conduct complained of, regardless of who committed it, rises to a level that makes it actionable under the ATCA; and (2) if it does, what parties are liable for that conduct, and to who.
A. The Acts
Defendants initially assert that the acts of which plaintiffs complain — the use of electric shock upon a prisoner, forcing a prisoner to stand for hours at a time while handcuffed to a cell door, and arbitrary detention and denial of pretrial bail — are not actionable under the law of nations and thus under the ATCA.
The Supreme Court’s decision in
Sosa v. Alvarez-Machain,
Plaintiffs have provided scant authority to support their claim that the law of nations encompasses the mistreatment of which they complain. There is no citation to any treaty, compact, foreign law, article, or compendia that would validate their claims. This is surprising, because Sosa was quite clear as to where lower courts should look to determine the existence of a claimed international norm:
[WJhere there is no treaty, and no controlling executive or legislative act or judicial decision, resort must be had to the customs and usages of civilized nations; and, as evidence of these, to the works of jurists and commentators, who by years of labor, research and experi- *381 enee, have made themselves peculiarly well acquainted with the subjects of which they treat. Such works are resorted to by judicial tribunals, not for the speculations of their authors concerning what the law ought to be, but for trustworthy evidence of what the law really is.
Sosa,
The plaintiff in
Sosa
offered various in-dicia as to the state of international law on the point he was asserting — arbitrary detention in excess of local authority — but the Court found them all inadequate. It rejected the Universal Declaration of Human Rights, G.A. Res. 217A (III), U.N. Doc. A/810 (1948), and the International Covenant on Civil and Political Rights (Covenant), Dec. 16, 1966, 999 U.N.T.S. 171, because although those documents prohibited arbitrary detention, the former was merely declarative, not enforceable, and the latter was similarly not self-executing and required enabling domestic legislation. The Supreme Court similarly rejected a law review article surveying prohibitions against arbitrary detention under various national constitutions,
see
Bassiouni,
Human Rights in the Context of Criminal Justice: Identifying International Procedural Protections and Equivalent Protections in National Constitutions,
3 Duke J. Comp. & Int’l L. 235, 260-61 (1993), on the ground that the “consensus” it showed “was at a high level of generality.”
Sosa,
Notwithstanding
Sosa’s
restriction of the ATCA to a “narrow class of international norms,”
id.
at 730,
Despite the absence of Sosa- quality authority offered to support plaintiffs argument, I have no hesitation in holding that the use of gratuitous, punitive, or coercive electric shock against a pretrial detainee constitutes torture. The TVPA defines torture as
any act, directed against an individual in the offender’s custody or physical control, by which severe pain or suffering (other than pain or suffering arising only from or inherent in, or incidental to, lawful sanctions), whether physical or mental, is intentionally inflicted on that individual for such purposes as obtaining from that individual or a third person information or a confession, punishing that individual for an act that individual *382 or a third person has committed or is suspected of having committed, intimidating or coercing that individual or a third person, or for any reason based on discrimination of any kind.
28 U.S.C. § 1350 (statutory note § 3(b)(1)). This seems to squarely include the use of electric shock as plaintiffs have alleged. The U.N. Convention Against Torture and Other Cruel, Inhuman or Degrading Treatment, opened for signature Dec. 10, 1984, 1465 U.N.T.S. 85, 23 I.L.M. 1027 (1984), as modified 24 I.L.M. 535 (1985), entered into force June 26, 1987, ratified by United States Oct. 21, 1994, 34 I.L.M. 590, 591 (1995), which the United States has ratified although it has not passed enabling legislation, defines torture similarly. In presenting that Convention to Congress, the State Department noted that
rough treatment as generally falls into the category of “police brutality,” while deplorable, does not amount to “torture.” The term “torture,” in United States and international usage, is usually reserved for extreme, deliberate and unusually cruel practices, for example, sustained systematic beating, application of electric currents to sensitive parts of the body, and tying up or hanging in positions that cause extreme pain.
President’s Message to Congress Transmitting the Convention Against Torture and Other Cruel, Inhuman, or Degrading Treatment or Punishment, Summary and Analysis of the Convention Against Torture and Other Cruel, Inhuman, or Degrading Treatment or Punishment, May 23, 1988, S. Treaty Doc. No. 100-20, reprinted in 13857 U.S. Cong. Serial Set at 3 (1990) (emphasis added) (citing European Court of Human Rights, Judg. Court, January 18, 1978, Ireland v. United Kingdom Series A, No. 25, 2 E.H.R.R. 25, 80; European Commission of Human Rights, Op. Com., 5 November 1969, Greek Case, § 11, YB XII p. 501). See also Mark R. Am-stutz, International Ethics: Concepts, Theories and Cases in Global Politics 163 (Rowman & Littlefield 2005) (“there is broad consensus among democratic societies that such violence as ... use of electrical shock ... is morally reprehensible and prohibited by international law”); State of the Union Address 2003 (“International human rights groups have catalogued other methods used in the torture chambers of Iraq: electric shock, burning with hot irons, dripping acid on the skin, mutilation with electric drills, cutting out tongues, and rape”), reported at http://www.c-span. org/executive/transcript.asp?cat=current_ event & code=bush_admin&year=2003 (emphasis added). I therefore conclude that the application of electric shock to a docile pretrial detainee for the purpose of gratuitously inflicting pain or inducing surrender of the will, which I think is the only plausible reading of plaintiffs’ allegations, constitutes torture and violates the law of nations.
However, plaintiffs have failed to establish that their remaining allegations— forced standing and arbitrary detention for five months without bail — constitute violations of similarly definite international norms. Plaintiffs recognize that these acts do not fall under the accepted definition of torture, but instead argue that they are within the broader category of “cruel, inhuman and degrading treatment” that also is prohibited by international law.
At the outset, I am not convinced that the framework of cruel, inhuman and degrading treatment remains viable after Sosa. Unlike torture, which has widespread statutory and treaty definition, all of which basically converge, the concept of cruel, inhuman and degrading treatment, although regularly used in international compacts, does not have a consensus defi *383 nition. It thus suffers from the very danger of a “high level of generality” referred to in Sosa. This danger is that individual judges might regard some conduct as something that “should be” considered a violation of a norm of international law rather than conduct that is, which would allow the narrow scope of recognized torts under Sosa to expand an inch at time based on the predilection of the individual judge. The better test is that set forth in Sosa, namely, whether the acts complained of, even if not torture, are sufficiently heinous under well established authority so that they clearly fall within the handful of prohibited types of conduct.
Starting with the allegation of forced standing while handcuffed, it is noteworthy how conclusorily plaintiffs make the allegation — “being handcuffed to a cell door for hours at a time in a manner that required him to stand.” There is no allegation that the position caused “extreme pain,” as that term appears in the TVPA when referring to a physical restraint. In addition, standing while restrained is of course quite different than being subjected to electric shock because, among other reasons, there is a temporal element to the former. An electric shock against a pre-trial detainee for gratuitous purposes violates the law of nations no matter how long it lasts, carrying both physical and psychological aspects of terror. In contrast, many prisoners are handcuffed at various times; many stand at various times; and many no doubt stand while handcuffed. Neither in their allegations nor in their attempt to support those allegations have plaintiffs pointed me to a method whereby I can qualitatively differentiate between what is permissible restraint of a prisoner as opposed to impermissible restraint, nor why the restraint at issue here crosses over the line sufficiently so that it is a violation of an international norm.
Plaintiffs have the same problem with their allegations concerning arbitrary detention. They start by noting the narrow holding of
Sosa:
“It is enough to hold that a single illegal detention of less than a day, followed by the transfer of custody to lawful authorities and a prompt arraignment, violates no norm of customary international law so well defined as to support the creation of a federal remedy.”
First, plaintiffs’ argument suffers from the same deficiency as that of the plaintiff in
Sosa
— there is insufficient authority to support it. Indeed, plaintiff does not even cite to the same treaties that the plaintiff in
Sosa
cited, and which the Supreme Court found inadequate to constitute an international norm against arbitrary detention. Plaintiffs instead rely, in part, on
pre-Sosa
authority which the Supreme Court generally rejected as reflecting “a more assertive view of federal judicial discretion over claims based on customary international law than the position we take today.”
Id.
at 737 n. 27,
I cannot find that five months’ arbitrary detention falls into that narrow category of crimes where the jailer has become “the enemy of all mankind,”
Filartiga,
In addition, the Supreme Court in Sosa cited with approval the Restatement (Third) of Foreign Relations Law of the United States (1986) as assisting, although not ending, the search for an international law norm. The Restatement opines that “a state violates international law if, as a matter of state policy, it practices, encourages, or condones ... prolonged arbitrary detention.” Id. § 702. The Supreme Court noted:
Even the Restatement’s limits are only the beginning of the enquiry, because although it is easy to say that some policies of prolonged arbitrary detentions are so bad that those who enforce them become enemies of the human race, it may be harder to say which policies cross that line with the certainty afforded by Blackstone’s three common law offenses [i.e., violation of safe conducts, infringement of the rights of ambassadors, and piracy],
Sosa,
Indeed, plaintiffs’ theory of the case seems inconsistent with any “policy.” Reading plaintiffs’ complaint in the light most favorable to them, plaintiffs had a business opportunity that defendants wanted to steal, and defendants, by some unspecified means, were able to enlist Bangladeshi police authorities to abuse Chow-dhury towards that end. This is most plausibly read as a one-off opportunity utilizing police corruptibility and a penchant for abuse, not a “policy.” If, instead, the “policy” that plaintiffs are attempting to get at here is that Bangladeshi police are for sale to promote private interests through abuse, which may not even be viable as violating a “norm” of international law, it is not alleged in the complaint.
Finally, I am mindful of the Supreme Court’s admonition in
Sosa
that courts must consider the real-world results of finding that a particular set of facts violates an existing but newly-discovered international law norm, noting that “the implications” of the plaintiffs claim in
Sosa
“would be breathtaking.”
That concern is readily apparent here because plaintiffs’ allegations concerning *385 the legal procedure applied to Chowdhu-rjds arbitrary detention, standing alone, are not that different procedurally from the constitutional considerations that would be applicable in a domestic case. An individual filed a criminal complaint which on its face at least approached probable cause. An arrest was made based on the complaint. Although plaintiffs complain that Chowdhury was denied bail, they acknowledge that he had “repeated” bail hearings before a judge or judges whom plaintiff does not allege were part of the conspiracy. Chowdhury was then released when he was cleared of all charges, albeit five months later. Even if these actions were not in compliance with U.S. law, there is no showing that they violated international law.
Of course, the compliance with arguably proper procedure does not necessarily mean that there was an absence of a firmly recognized international tort. Domestic court dockets contain hundreds of civil rights cases arising from police misconduct where procedural protections, observed on their face, may be proved to be merely a cover for the deprivation of rights secured by the Constitution. But when that is the issue before the Court, as it is here, it is quite difficult to find a violation of a norm of international law. To do so would require the Court to examine what is alleged as an isolated incident and draw conclusions as to the motivation of the actors involved, many of whom are not subject to subpoena power or even international process for compulsory testimony, and the existence of a “policy” for which plaintiffs have suggested no contours. It would effectively internationalize false arrest and malicious prosecution claims. Like the Supreme Court in Sosa, I am concerned that plaintiffs’ arbitrary detention claims
would support a cause of action in federal court for any arrest, anywhere in the world, unauthorized by the law of the jurisdiction in which it took place, and would create a cause of action for any seizure of an alien in violation of the Fourth Amendment, supplanting the actions under Rev. Stat. § 1979, 42 U.S.C. § 1983, and Bivens v. Six Unknown Fed. Narcotics Agents,403 U.S. 388 ,91 S.Ct. 1999 ,29 L.Ed.2d 619 (1971), that now provide damages remedies for such violations.
Sosa,
B. The Actors and their Victims
Defendants argue that the wrong parties are before this Court. First, they contend that as private actors, they cannot be liable under the ATCA. Alternatively, they contend that if a private party can be liable, then there is no aiding and abetting liability (which plaintiffs have pled alternatively) under the ATCA. Finally, they contend that even if both of these arguments are rejected, there can be no recovery for the corporate plaintiffs because they were not the ones subject to the ATCA violations.
Defendants’ first point is easily resolved. Although defendants are correct that
Sosa
expressly reserved on the issue of private party liability under the ATCA as the issue was not before it,
The more complex question is whether there is enough alleged in this particular complaint to satisfy Twombly. Defendants are not accused of administering the torture; the only allegations made against defendants are that Khan: (a) filed a false criminal complaint; (b) “worked with the prosecution to keep Mr. Chowdhury in jail;” and (c) was “at the RAB [police] facility at times when electric shock was applied to Mr. Chowdhury.”
I am required to apply the Second Circuit’s recent pronouncement that “in this Circuit, a plaintiff may plead a theory of aiding and abetting liability under the ATCA.”
Khulumani v. Barclay Nat. Bank Ltd.,
With regard to aiding and abetting, this is not just a failure to set down the proper words in the complaint. The question is really who is aiding and abetting whom? Unlike the cases plaintiffs cite that allow an ATCA claim for aiding and abetting liability, plaintiffs ascribe no motive for the actions taken by the Bangladeshi police against Chowdhury. No policy is alleged of torturing businessmen to accomplish some state-sponsored end — indeed no state-sponsored end is alleged at all — unlike the apartheid claim in
Khulumani,
In contrast, plaintiffs’ theory here is fundamentally inconsistent with a claim that defendants “aided and abetted” the Bangladeshi police. According to plaintiffs, it was defendants who wanted to *387 usurp the business opportunity. If anything, the Bangladeshi police were aiding and abetting defendants in accomplishing that end. However, only where a plaintiff has alleged sufficient facts to support the existence of a state policy can his claims under an aiding and abetting theory of liability survive a motion to dismiss.
For that reason, the only potentially viable ATCA claim here is that defendants enlisted the assistance of the Bangladeshi police to violate international law norms on defendants’ behalf. A private party can corruptly enlist state resources to accomplish his own ends, and if the means that the private party uses to make his agent, the state, accomplish that goal is the knowing violation of an international law norm, he should be liable as a principal for the violation. But that makes defendants principals, not aiders and abettors.
Finally, there is no viable theory under the ATCA upon which the corporate plaintiffs here can recover. Corporations are not tortured; they are not subject to cruel, inhuman or degrading treatment. The corporate plaintiffs’ injuries, if any, are entirely derivative. Just as a corporate shareholder generally cannot recover for injuries sustained by the corporation,
see Rand v. Anaconda-Ericsson, Inc.,
III. TVPA claims
Congress enacted the Torture Victim Protection Act to provide a claim for relief in eases of officially sanctioned torture and extrajudicial killing. It states:
An individual who, under actual or apparent authority, or color of law, of any foreign nation—
(1) subjects an individual to torture shall, in a civil action, be hable for damages to that individual; or
(2) subjects an individual to extrajudicial killing shall, in a civil action, be liable for damages to the individual’s legal representative, or to any person who may be a claimant in an action for wrongful death.
TVPA § 2. In the instant case, the disposition of the ATCA claims set forth above resolves most of the points defendants have raised concerning the TVPA claims.
First, the allegation of electric shock is sufficient to be actionable under TVPA. I see no need for plaintiffs to tack on additional adjectives to dress up the impact of such tactics on a prisoner. Use of electric shock on a pretrial detainee for coercive purposes is sufficiently heinous that greater detail in pleading is unnecessary under Twombly.
Second, the weight of authority holds that foreign citizens may invoke the TVPA. Defendants rely on
Arar v. Ashcroft,
Third, plaintiffs have failed to adequately plead that Khan acted “under col- or of law” of a foreign nation, as the statute requires. Although it is conceivable under the complaint that the torture of Chowdhury was a shared enterprise between Khan and the Bangladeshi police, it is just as conceivable that Khan was acting as a single, albeit illegally-intentioned, private actor, filing a complaint with the police and showing up at bail hearings to press his case just as would a legitimate crime victim. His physical presence at the police station during the administration of the electric shock is similarly not sufficient to establish Khan as a state actor; indeed, the complaint does not allege that Khan witnessed or even knew that the torture was occurring while he was there. There is nothing included about Khan’s ability to control or manipulate the police to accomplish his illegal ends. In this regard, it is insufficient to rest on the conclusory allegation that Khan and the Bangladeshi authorities were “working together” without particulars of what that means.
Fourth, plaintiffs’ claim of aiding and abetting a TVPA violation fails for the same reason as their aiding and abetting claim for an ATCA violation. The allegations are insufficient to show the level of participation required for aiding and abetting. This is undoubtedly because the theory does not fit the facts; the only plausible theory is that Khan was the principal and the Bangladeshi authorities were his agent.
Finally, plaintiffs concede that corporations cannot be liable under the TVPA. Conversely, and for the same reasons as their ATCA claims fail, the claims of the plaintiff corporations cannot stand because corporations cannot be tortured.
CONCLUSION
All claims of the plaintiff corporations, Chowdhury’s aiding and abetting claims and Chowdhury’s TVPA claim against the defendant corporation are dismissed with prejudice. The remaining claims are dismissed with leave to replead within 30 days in accordance with this decision.
SO ORDERED.
Notes
. Although defendants rely on
Kadic,
neither they nor plaintiffs comment on the fact that
Kadic
presented a challenge to subject matter jurisdiction, which defendants have not raised here, rather than an alleged failure to state a claim. The parties have thereby skirted the very substantial issue, one that has recently divided a panel of the Second Circuit, as to whether there are separate tests for analyzing subject matter jurisdiction and failure to state a claim under the ATCA.
See Khulumani v. Barclay National Bank Ltd.,
. One such example would be the Myanmar government's refusal to release Aung San Suu Kyi from house arrest for nearly six years, despite repeated United Nations’ demands and resolutions calling for her release. See U.N. News Center, Myanmar: top UN officials call for release of Daw Aung San Suu Kyi (May 28, 2008), at http://www.un.org/apps/ news/story.asp?NewsID=26819 & Cr=myan-mar & Crl = .
