This сase involves a suit brought under 42 U.S.C. § 1983 by plaintiff Thaddeus J. Malak, M.D. (“plaintiff”) against numerous defendants. Plaintiff appeals from the district court’s grant of summary judgment in favor of all the defendants. For the reasons set out below, we reverse.
I
The ensuing analysis will be clearer by classifying the defendants into two groups. One group is the “public group,” consisting of the Porter Memorial Hospital (“PMH”), its Board of Trustees, Arthur S. Malasto (“Malasto”), and Sharon Simon (“Simon”). The second group is the “private group,” consisting of Associated Physicians, Inc. (“API”), Martin J. O’Neill, M.D. (“O’Neill”), and Clark McClure, M.D. (“McClure”). PMH is a public hospital. Malasto is the head administrator of PMH, and functions as its chief executive officer. 1 Simon is the head nurse in PMH’s emergency room. API is an Indiana corporation which contracted with PMH to operate PMH’s emergency room and staff it with physicians. O’Neill is the president of API and McClure is its secretary. O’Neill and McClure are chairmen of the emergency department at PMH and medical directors of emergency services at PMH.
Plaintiff was associated with PMH and was employed by API for five years as an emergency-room staff physician. Plaintiff was given notice of his termination by API in April 1983, and PMH subsequently revoked his staff privileges at the hospital. Plaintiff claims that the private group of defendants conspired with the public group of defendants to terminate him because he publicly criticized the emergency-room conditions at PMH, the conspirators thereby violating both the First and Fourteenth Amendments of the United States Constitution. Plaintiff also alleged a second count of liability against only the public group of defendants. Defendants countered that plaintiff’s employment contract with API provided for termination without cause, *279 and that API alone simply exercised its right to terminate him.
The defendants filed various motions under Rule 12(b) of the Federal Rules of Civil Procedure. On August 16, 1983, O’Neill filed a motion under both Rule 12(b)(1) and Rule 12(b)(6) which argued that there was no subject matter jurisdiction under either 28 U.S.C. § 1331 or 28 U.S.C. § 1343(3) because there was no state action, and that there was no constitutional сlaim against O’Neill. On August 18, 1983, PMH and its Board of Trustees also filed a motion to dismiss under both Rule 12(b)(1) and Rule 12(b)(6). On that same date the district court held a hearing on plaintiff’s request for a preliminary injunction and denied it. At that time, the court heard argument as well on the issues presented in the motions to dismiss.. On February 10, 1984, O’Neill, now joined by API and McClure, filed a Rule 12(b)(1) motion which argued that state action is a prerequisite to jurisdiction, and that there was no state action in the instant ease.
On March 5, 1985, the district court granted summary judgment in favor of all defendants. Because the court had heard arguments from various parties and would look to facts outside the pleadings, the court treated the February 10,1984, motion to dismiss as a motion for summary judgment. In a terse sentence devoid of any elaboration, the district court stated that plaintiff failed “to show thаt any acts undertaken by the defendants constituted ‘state action’ ” (Plaintiff’s App. A-2).
II
Before reaching the issue of whether the conduct of any of the defendants constituted state action, some procedural knots created by the pleadings must be untangled. The district court treated the motion to dismiss as a motion for summary judgment, since the court considered matters outside the pleadings, and cited Fed.R. Civ.P. 12(c) as authority for doing so. This citation is in error; Fed.R.Cir.P. 12(c) allows the conversion of a motion for judgment on the pleadings into a motion for summary judgment, and no defendant ever moved for judgment on the pleadings. Instead, the relevant authority is Fed.R. Civ.P. 12(b), which allows the conversion of a Rule 12(b)(6) motion into a motion for summary judgment when the court considers matters outside the pleadings. The difficulty is that only O’Neill and PMH and its Board of Trustees made 12(b)(6) motions: API and McClure made only a 12(b)(1) motion, while Malasto and Simon did not make any type of 12(b) motion.
There are two responses to this dilemma, the first being a partial solution and the second a complete solution. The partial solution is that the type of 12(b)(1) motion made by API and McClure should be treated as a 12(b)(6) motion where the federal claim is not insubstantial and frivolous, which аpparently is what the district court did implicitly in the instant case. API and McClure, in their 12(b)(1) motion, contend that state action is a jurisdictional prerequisite for a Section 1983 suit, and that since the conduct of the private defendants is state action only if they acted jointly with the public defendants, which they did not, plaintiff’s suit must fail for lack of jurisdiction. However, plaintiff’s basis for jurisdiction with respect to these private defendants under 28 U.S.C. § 1331 —state action via joint action with the public defendants — is also an element of plaintiff’s federal cause of action under Section 1983. In such a situation, where a challenge to the court’s jurisdiction is also a challenge to the existence of a federal cause of action, the Supreme Court has stated that jurisdiction cannot be defeated by the possibility thаt plaintiff may not have stated a cause of action.
Bell v. Hood,
The above analysis still does not help Malasto or Simon, neither of whom made a 12(b) motion of any type. However, where one defendant files a motion for summary judgment which the court grants, the district court may
sua sponte
enter summary judgment in favor of additional non-mоving defendants if the motion raised by the first defendant is equally effective in barring the claim against the other defendants and the plaintiff had an adequate opportunity to argue in opposition to the motion.
Macon v. Youngstown Sheet & Tube Co.,
Even though the foregoing discussion demonstrates that the district court in effect had before it the requisite motions to grant summary judgment with respect to all the defendants, a second procedural difficulty remains: the district court never gave notice to the parties that it intended to convert the 12(b)(6) motions before it into motions for summary judgment, as required by Fed.R.Civ.P. 12(b). See 5 Wright & Miller, § 1366 at p. 683. We have previously held that although a district court certainly should give notice to
*281
the parties when the court converts a 12(b)(6) motion into a motion for summary judgment, the failure to do so does not necessarily mandate reversal where nothing else could have been raised to alter the entry of summary judgment.
Milwaukee Typo, Etc. v. Newspapers, Inc.,
Ill
The Federal Rules of Civil Procedure dictate that a grant of summary judgment is appropriate when “there is no genuine issue as to any material fact and ... the moving party is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56(c);
Black v. Henry Pratt Company, 778
F.2d 1278, 1281 (7th Cir.1985). “[I]n determining whether factual issues exist, a reviewing court must view all the evidence in the light most favorable to the non-moving pаrty.”
Black
at 1281, quoting
Collins v. American Optometric Association,
The main thrust of plaintiff’s case is that the private defendants acted jointly with the public defendants in terminating plaintiff. The district court did not give any specific reasons for its conclusion that none of the acts undertaken by the defendants constituted state action, but the likeliest reason was that the district court believed that the public defendants played no role whatsoever in terminating plaintiff. However, plaintiff has certainly made a sufficient showing with respect to this claim to survive a motion for summary judgment. A private defendant acts “under color of” state law for purposes of Section 1983 when he is “a willful participant in joint action with the State or its agents.”
Dennis v. Sparks,
Relying on the order issued by the district court that denied plaintiff's motion for a preliminary injunction for want of state action or action under color of law (R. Item 47 p. 9), defendants contend that plaintiff’s proffered evidence was insufficient to show the kind of conspiratorial conduct shown in
Dennis,
and moreover that the case of
Rendell-Baker v. Kohn,
Both groups of defendants contend that the conduct of PMH’s Malasto and Simon is not state action and cite the case of
Place v. Shepherd,
PMH contends that the district court implicitly decided that the hospital and its Board of Trustees were not liable because plaintiff’s theory of liability against the hospital rested on the doctrine of
respondeat superior,
and this doctrine does not apply to Section 1983 liability. It is true that the doctrine of
respondeat superior
liability is not recognized in Section 1983 cases.
Monell v. Department of Social Services of the City of New York,
*283
Second, plaintiff does not allege that PMH is liable because of the doctrine of
respondeat superior.
As noted, Dr. Ronneau’s affidavit states that PMH itself, аnd not its employees, helped to terminate plaintiff. Additionally, defendant Malasto, who allegedly played an integral role in the termination of plaintiff, functions as the chief executive officer of the hospital (see
supra,
note 1), and the acts of a high-ranking official of a governmental entity may render the entity liable under Section 1983 where the official is a policymaker whose conduct is in effect that of the govermental entity.
City of Oklahoma City v. Tuttle,
- U.S. -,
The doctrine that the acts of a policymaker can render a governmental entity liable is well supported by the reasoning of
Monell. Monell
teaches that there should be no liability under Section 1983 unless a . defendant caused plaintiff’s alleged injury, and a governmental entity does not cause an injury solely because an employee’s conduct caused the injury.
Tuttle,
Although one district court in this Circuit has stated that the single act of a high-level policymaker cannot render a governmental entity liable under Section 1983
(Perry v. Larson,
For the above reasons, the summary judgment for defendants is reversed and the cause is remanded for further proceedings. Plaintiff should be granted further discovery in connection with his First Amendment claim if he deems it necessary.
Notes
. In its application tо the State of Indiana Board of Health for a license to operate a hospital, in response to a question which asked for the identity of the chief executive officer of the hospital, PMH answered Arthur S. Malasto (Plaintiff's Exhibit 4).
. Although
Bell
teaches that the existence of a meritorious claim is not required to invoke jurisdiction under 28 U.S.C. § 1331, 28 U.S.C. § 1343(3) is an exception to the
Bell
analysis, and under the latter jurisdictional stаtute a court must first determine if a Section 1983 claim exists before determining if the court has jurisdiction.
Mt. Healthy City Board of Education v. Doyle,
. In its application to the State of Indiana Board of Health for a license to operate a hospital, PMH checked "governmental" in response to the question "type of ownership” (Plaintiffs Exhibit 4).
