This case presents an interlocutory appeal from the district court’s order denying summary judgment on a claim of qualified immunity. This court has jurisdiction to hear this claim under
Mitchell v. For-syth,
I
BACKGROUND
A. Facts
The parties rigorously dispute many of the facts in this case. However, the sole issue before this court is whether the defendants are entitled to summary judgment on the issue of qualified immunity. As will be discussed more fully below, our review is limited to this question. Consequently, many of the factual disputes that the parties raise are immaterial to the resolution of this issue and need not be addressed by this court. 2 A brief summary follows of *790 the facts relevant to the defendants’ claim of qualified immunity.
From April 1983 until his discharge in June 1988, Cornelius Marshall was an attorney in the CHA’s Legal Department. In June 1988, defendant Wilbert Allen was the CHA’s Acting General Counsel; Anthony Fusco served as Deputy General Counsel for Contracts and Complex Litigation; and Richard Anderson was Acting First Deputy General Counsel. These are supervisory positions in the department’s organizational scheme.
In 1986, four women attorneys, Countess Cary, Irene Lyons, Ann Breen Greco, and Sue Ann Rosen, began to voice complaints about unequal pay and working conditions in the Legal Department. In February 1987, these women (known collectively as “the Cary plaintiffs”) filed charges with the EEOC. They alleged that the CHA, James Thomas (then the CHA’s General Counsel), and Wilbert Allen had violated Title VII and the Equal Pay Act by engaging in gender discrimination in establishing salaries, promotions, work assignments, training opportunities, and “professional courtesies.” R. 45 at Ex. 19. In August 1987, these charges ripened into a law suit in federal court. Carey v. Chicago Hous. Auth., No. 87 C 6998 (N.D.Ill. filed August 7, 1987).
In February 1987, after the Cary plaintiffs had filed charges with the EEOC, James Thomas, as General Counsel, issued a memo advising the Legal Department’s staff that the Cary plaintiffs could not represent the CHA on any employment-related matters or on any matters in which their attorney, who also represented other clients with interests adverse to the CHA, was involved. The memo also directed the staff not to discuss employment-related cases with the Cary plaintiffs and to consult with supervisors if any question about such disclosures should arise. It concluded by stating that this new policy was not intended to reflect on the integrity of the Cary plaintiffs and was not meant to disrupt non-employment relations. The defendants claim that this memo built a “Chinese Wall” around the Cary plaintiffs in order to comply with the Code of Professional Responsibility. Mr. Marshall asserts that its effect was to signal other members of the Legal Department’s staff that they were to “keep a distance” from the four women. Appellee’s Br. at 11.
Mr. Marshall alleges that, in the wake of the “Chinese Wall” memo, the Cary plaintiffs were ostracized by Legal Department staff members, who feared for their jobs. He also asserts that Messrs. Allen, Fusco, and Anderson turned their attention to firing the Cary plaintiffs. The defendants do not agree with these claims. Nonetheless, it is undisputed that the Cary plaintiffs were suspended from the CHA on January 29, 1988, and that they were discharged on March 4 of that same year. Following the suspensions, several women’s interest organizations held a press conference in support of the four attorneys. The suspensions and the firings also prompted numerous stories in Chicago newspapers.
Mr. Marshall was discharged on June 20, 1988. The stated reason for his dismissal was poor job performance, although he claims that the real cause was his support for the Cary plaintiffs in their dispute with the CHA. As evidence of this support, Mr. Marshall cites a number of instances in which he allegedly spoke in favor of the Cary plaintiffs and their claims, or otherwise assisted them. These include: (1) a December 1986 statement to James Thomas suggesting that the Cary plaintiffs should be given a forum in which to air their grievances; (2) a December 1987 statement in a private meeting with Mr. Fusco disputing Mr. Fusco’s assessment of the legal skills of two of the Cary plaintiffs; (3) statements made to the CHA’s outside counsel on the day of his discharge indicating his belief that the Cary plaintiffs’ claims had merit; and (4) the fact that he shared information with the Cary plain *791 tiffs about a promotion he received, which presumably helped them prepare their case against the CHA. In addition, Mr. Marshall asserts that he continued to associate with the Cary plaintiffs after the “Chinese Wall” memo had been issued and they allegedly had been stigmatized, and that, during this period, he made favorable comments about them to co-workers. He also claims that he was identified as a supporter of the Cary plaintiffs in pleadings and depositions generated during the course of the Cary litigation. On May 27, 1988, shortly after he had learned that Messrs. Fusco and Allen were recommending his termination, Mr. Marshall filed a charge with the EEOC, alleging retaliation. As noted above, he was officially terminated on June 20.
B. District Court Proceedings
On June 20, 1989, Mr. Marshall filed a five-count complaint against the CHA and Messrs. Allen, Anderson, and Fusco in the United States District Court for the Northern District of Illinois. Count I alleged that his discharge had been in retaliation for his support of the Cary plaintiffs, and in violation of Title VII of the Civil Rights Act of 1964, 42 U.S.C. § 2000e-3(a) (1988), and the Fair Labor Standards Act, 29 U.S.C. § 215(a)(3) (1988). Count II brought a claim under 42 U.S.C. § 1983 (1988), alleging that his discharge violated his First Amendment rights of free speech and free association. Count III claimed that Mr. Marshall had been deprived of a property interest in his employment without due process of law. Counts IV and V alleged state law breach of contract and intentional infliction of emotional distress. After the close of discovery, all defendants moved for summary judgment on all counts. In addition, Messrs. Allen, Anderson, and Fus-co sought qualified immunity on the federal law claims. The district court granted summary judgment in favor of all defendants on the due process count and on the state law breach of contract and tort counts. However, it denied summary judgment on Count I, the Title VII and Fair Labor Standards Act claims, on the ground that Mr. Marshall had submitted sufficient facts to support a claim of retaliation. The court likewise denied summary judgment on Count II, the First Amendment claims, concluding, with regard to the free speech claim, that Mr. Marshall “has presented sufficient facts to raise a factual dispute as to whether the matters he spoke out on were of public concern. Factual disputes also exist as to whether [he] was fired for this speech.” Mem.Op. at 5 (footnote omitted).
Messrs. Allen, Anderson, and Fusco’s claims for qualified immunity were likewise denied. The district court held that this court’s decision in
Auriemma v. Rice,
II
ANALYSIS
A. Appellate Jurisdiction
Mr. Marshall asserts that, as a threshold matter, this court has no jurisdiction over this case because the claims brought by the defendants are beyond the limited appellate review allowed from a denial of qualified immunity. The defense of qualified immunity shields government officials performing discretionary functions “from liability for civil damages insofar as their conduct does not violate clearly established statutory or constitutional rights ■of which a reasonable person would have known.”
Harlow v. Fitzgerald,
“objective legal reasonableness” of the actions taken by the defendants. Anderson v. Creighton, [483 U.S. 635 , 639,107 S.Ct. 3034 , 3039,97 L.Ed.2d 523 (1987) ]. Actions taken by local officials are considered objectively unreasonable only if the right allegedly violated is clearly established in a sufficiently particularized sense at the time of the actions at issue.
Hall v. Ryan,
The Supreme Court has held that, in addition to providing a defense to liability, qualified immunity entitles a state official to avoid standing trial or facing the other burdens of litigation.
Mitchell,
With these principles in mind, we now determine whether jurisdiction exists over any portion of the appeal of Messrs. Allen, Anderson, and Fusco. The defendants assert that no causal connection exists between any supposedly protected speech by Mr. Marshall and his discharge from the CHA because, for example, some of the statements at issue were too far removed in time from his discharge, or because there is no proof that the defendants knew of these statements. However, as the district court noted, “[fjactual disputes ... exist as to whether plaintiff was fired for this speech.” Mem.Op. at 5. Having reviewed the record, we agree that substantial questions exist as to why Mr. Marshall lost his job. Defendants’ causation argument does not touch upon whether they “acted in the shadow of legal uncertainty” when they fired Mr. Marshall.
Elliott,
*793
With respect to Count II, the defendants also assert that they are entitled to qualified immunity because it was not clearly established that any of the actions relied upon by Mr. Marshall are protected by the First Amendment. Unlike the defendants’ causation argument, this contention requires us to consider the state of the law at the time that Mr. Marshall. was discharged; that is, we are asked to determine whether in June 1988 it was clearly established that Mr. Marshall’s statements and actions enjoyed First Amendment protection. As directed by
Mitchell v. Forsyth,
B. The First Amendment Issues
Whether a right was sufficiently clearly established to preclude a defense of qualified immunity is a question of law.
Mitchell,
In
Siegert,
the Supreme Court clarified the process for determining when a public official is entitled to qualified immunity, — U.S. at -,
Moving to the second prong of the Harlow qualified immunity analysis, the defendants argue that they are entitled to immunity because, at the time of Mr. Mar-shall’s discharge, the law was not so clearly established that defendants could have known that his actions enjoyed First Amendment protection. In order for a right to be “clearly established” for purposes of a qualified immunity analysis, the Supreme Court has stated that the right must be established in a “particularized” sense; that is,
[t]he contours of the right must be sufficiently clear that a reasonable official would understand that what he is doing violates that right. This is not to say that an official action is protected by qualified immunity unless the very action in question has previously been held unlawful, ... but it is to say that in the light of pre-existing law the unlawfulness must be apparent.
Anderson,
1. Freedom of speech
When discharged because of his speech, a public employee has no First Amendment claim unless he was speaking on a matter of public concern.
Connick,
when a public employee speaks not as a citizen upon matters of public concern, but instead as an employee upon matters only of personal interest, absent the most unusual circumstances, a federal court is not the appropriate forum in which to review the wisdom of a personnel decision taken by a public agency allegedly in reaction to the employee’s behavior.
Connick,
We believe that it was clearly established in June 1988 that Mr. Marshall’s alleged speech and conduct dealt with a matter of public concern. We therefore agree with the district court that the defendants were not entitled to summary judgment on their claim of qualified immunity on the freedom of speech issue.
See Hall,
It cannot be disputed that in June 1988 the law was clearly established that the subject of this speech — sex discrimination in a public agency — was a topic of public interest. Prior to that time, this court had decided
Yatvin v. Madison Metropolitan Sch. Dist.,
Likewise, we believe that the form and context of Mr. Marshall’s alleged speech clearly established its public character. Although the speech appears primarily to have occurred in the office, this fact does not prevent it from relating to a matter of public concern. Prior to June 1988, the Supreme Court had decided Givhan and Connick in which statements made in a work environment were found to relate to matters of public concern. 6 In addition, some of Mr. Marshall’s speech was directed in part at General Counsel Thomas and Mr. Fusco, who were involved in the Cary plaintiffs’ grievances and would have been persons to whom speech regarding the case would have been most forcefully directed.
Unlike the speech at issue in
Yatvin
and
Altman v. Hurst,
2. Freedom of association
Mr. Marshall included within his First Amendment count a claim that the defendants’ conduct violated his constitutional right to freedom of association. In their motion for summary judgment, the defendants sought qualified immunity on Mr. Marshall’s First Amendment count, claiming that “[t]he law was not clearly established at any time prior to June 20, 1988 that any of the acts the individual defendants are alleged to have taken were viola-tive of the constitutional or federal statutory claims raised by plaintiff.” Defendants’ Mem. in Support of Their Motion for Summary Judgment at 32. However, the defendants did not raise a legal argument that the law regarding Mr. Marshall’s freedom of association claim was not clearly established in June 1988. Instead, they confined themselves to arguing the uncertain state of the law relating to his free speech claim. The district court concluded that the failure of the defendants to raise any legal argument regarding freedom of association prevented granting qualified immunity to the defendants on that claim. The defendants argue that this finding of waiver was improper because the district court impermissibly shifted the burden of proof on the qualified immunity issue from Mr. Marshall to themselves.
We hesitate to rest our decision on the ground relied upon by the district court. In this circuit, once a defendant claims qualified immunity, the burden is on the plaintiff to show that the right claimed to have been violated was clearly established.
Pounds v. Griepenstroh,
Because the defendants’ defense was not waived, we must now determine whether Messrs. Allen, Anderson, and Fusco were indeed entitled to qualified immunity on the freedom of association claim. Although the circuits are split on this issue, in this circuit, a public employee is protected from dismissal based upon his exercise of the freedom of association only when his associational conduct relates to a matter of public concern.
Griffin v. Thomas,
Mr. Marshall asserts that the defendants are not entitled to qualified immunity on his freedom of association claim. In his brief, Mr. Marshall contends that, during the time period at issue, he intentionally associated with the Cary plaintiffs for the purpose of collective expression aimed at protesting their treatment and at eradicating systemic discriminatory and retaliatory policies in the CHA Legal Department. He then argues that the defendants were not entitled to qualified immunity on this count because
[collective activity undertaken to obtain meaningful access to the courts has long been recognized as a fundamental right within the protection of the First Amendment. ... Thus, clearly established law protected Marshall from retaliation due to his associations with the [Cary ] plaintiffs because those associations were for the purpose of engaging in activities protected by the First Amendment — speech, assembly, and petition for redress of grievances.
Appellee’s Br. at 32 (citations omitted). In support of this contention, Mr. Marshall cites two Supreme Court cases dealing with the freedom of association,
United Transp. Union v. State Bar of Michigan,
The constitutionally protected right to freedom of association consists of two categories: (1) the freedom to maintain certain intimate human relations, such as marriage, procreation, education of one’s children, and cohabitation with one’s relatives and (2) the right to associate to engage in activities protected by the First Amendment, such as speech, assembly, petition for redress of grievances, and exercise of religion.
Roberts,
This freedom of association is not expressly set out in the Bill of Rights, but was held by the Supreme Court to be an implicit part of the freedoms of speech, assembly, and petition.
NAACP v. Alabama,
We believe that the law regarding freedom of association was sufficiently clear at the time of Mr. Marshall’s termination, so that the defendants should have known or could have known that their action was in violation of Mr. Marshall’s' constitutional rights. While most of the reported cases in this area revolve around an employee’s right to associate in order to express political ideas through a union, an employee’s desire not to associate with a certain organization, or an organization’s attempt to exclude certain members of society from its group based upon an individual’s immutable characteristics, Mr. Marshall’s conduct falls within the range of protected association delineated in these eases.
See, e.g., Eu v. San Francisco County Democratic Cent. Comm.,
Mr. Marshall clearly alleges that his association with the Cary plaintiffs was not merely social in nature. He intended to express certain ideas about gender discrimination and the behavior of a public agency in its relations with its female employees. Mr. Marshall alleges association designed to express his ideas, and this association is protected under the First Amendment. While we cannot and will not determine in this appeal whether Mr. Marshall’s right to freedom of association was violated by the defendants’ conduct, we can determine the status of the defendants’ claim of qualified immunity. In June 1988, the law regarding freedom of association was sufficiently clear so that defendants could have ascertained that firing Mr. Marshall due to his association with the Cary plaintiffs was a violation of his constitutional rights.
CONCLUSION
For the foregoing reasons we affirm the district court’s decision denying qualified immunity for the defendants.
Affirmed.
Notes
. Our opinion will refer throughout to the First Amendment rather than to the First and Fourteenth Amendments. The First Amendment has been made applicable to the states through the Fourteenth Amendment and it is the Fourteenth Amendment that applies to state, not federal, actors. Thus, our denomination in this opinion is technically imprecise, but continues a conventional and convenient practice.
See Griffin v. Thomas,
.
See Anderson v. Liberty Lobby, Inc.,
. The district court also held that there was no basis upon which it could sustain a claim of qualified immunity with respect to Count I (Title VII and Equal Pay Act claims). The plaintiff-appellee now asks that we dismiss these claims insofar as they seek relief from the individual defendants-appellants. The defendants-appellants, while claiming that they “do not and did not object to the dismissal with prejudice of any of the claims in this suit,” prevent dismissal by their insistence that the dismissal be conditioned on the appellee’s payment of costs and attorneys’ fees for "prosecuting, unnecessarily, the Count I claims on this qualified immunity appeal.” Defendants’ Response to Plaintiffs Motion for Voluntary Dismissal at 1-2. Dismissals in the Court of Appeals are governed by Federal Rule of Appellate Procedure 42(b). Under that provision, we cannot dismiss Count I on the motion of the appellee absent agreement among the parties on the matter of costs.
Upon examination of the allegations of Count I and the record before us, it becomes readily apparent that the defendants-appellants have expended little effort, either in the district court or in this court in delineating their position for qualified immunity on the Title VII and Equal Pay Act claims. We caution that it is not our obligation, nor was it the district court's, to provide the necessary reasoned elaboration.
Cf. Beard v. Whitley County REMC,
We must conclude that, while the defendants-appellants couch their arguments in terms of qualified immunity, those arguments go, in large measure, toward the merits of Mr. Marshall’s claim and therefore are beyond our limited jurisdiction on this appeal. To the extent that it can be said that the defendants-appellants do raise a legal contention that the allegations of the complaint do not state any basis for a claim against them,
see Seigert v. Gilley,
— U.S. -, -,
. In
Siegert,
the plaintiff alleged that his former supervisor had written a defamatory letter in regard to plaintiff’s job performance, thereby violating plaintiff's Fourteenth Amendment liberty interest without due process. — U.S. at -,
.
But see Auriemma,
.
See Connick,
. In their brief, the defendants raise an argument that under Illinois law the CHA could have discharged Mr. Marshall from his attorney’s position at any time. However, we are
*797
uncertain of the relevance of this assertion in the circumstances in which we review this case. The only one of the defendant’s claims that is properly before this court is whether they were entitled to qualified immunity because it was not clearly established that Mr. Marshall’s speech enjoyed First Amendment protection. To the extent that the defendants argue that Mr. Marshall’s employment as a lawyer made it uncertain whether his speech enjoyed the protection under the First Amendment, this argument is rendered meritless by the Supreme Court’s 1983 decision in
Connick,
. Before we leave the freedom of speech claim, we must note that, even if a public employee’s speech touches upon a matter of public concern, the employer may constitutionally discharge the employee for that speech if the government’s interest in the "effective and efficient fulfillment of its responsibilities to the public” outweigh the employee’s interest in speaking.
See Connick,
.
Accord Boats v. Gray,
. In our qualified immunity analysis, it is unnecessary for us to decide whether defendants should have known in June 1988 that Mr. Marshall’s associational conduct was protected under the First Amendment only to the extent that it related to matters of public concern. If this limitation was not yet clear in 1988, defendants would have violated Mr. Marshall's First Amendment rights by firing him for any conduct (not merely conduct that dealt with matters of public concern) he engaged in pursuant to his First Amendment free association right. Thus, although we believe that Mr. Marshall’s associational conduct did relate to a matter of public concern — gender discrimination in a public agency — it is unnecessary for us to engage in a lengthy discussion of this issue because the standard was actually stricter without the public concern requirement established in this circuit in 1991 in the face of a circuit split on this issue.
See Griffin,
. In particular, we have in mind the sensitive and relatively contentious areas of dating and casual social chit-chat.
See Swank v. Smart,
