ESTATE OF DE‘ANGELO BROWN v. E.C. WEST, et al.
Case No. 3:20-cv-00099-KGB
THE UNITED STATES DISTRICT COURT EASTERN DISTRICT OF ARKANSAS NORTHERN DIVISION
March 30, 2022
OPINION AND ORDER
Before the Court is Chief E.C. West, Officer Prince Bohanon, Officer Michael Clark, Officer John Buford, Sergeant Matthew McKee, Officer Daniel Magill, and Officer James “Matt” Presley III‘s (collectively “defendants“) motion for summary judgment (Dkt. No. 20). Plaintiff the Estate of De‘Angelo Brown, deceased, through the special administrator of the estate Bryce Brewer (“Mr. Brown‘s Estate” or “the Estate“), brings this action against defendants each in their individual and official capacities as the Chief and as members of the West Memphis Police Department (“WMPD“) (Dkt. No. 1). Mr. Brown‘s Estate alleges that defendants violated Mr. Brown‘s Fourth and Fourteenth Amendment rights on January 16, 2019, when they shot and killed Mr. Brown while trying to end a high-speed car chase (Dkt. Nos. 1, ¶¶ 7-30; 22, ¶¶ 1-72). Mr. Brown‘s Estate seeks relief under
Defendants filed their motion for summary judgment contending that no dispute of material fact exists and that they are entitled to judgment as a matter of law (Dkt. No. 20, ¶ 3).
I. Factual Background
Unless otherwise noted, the following facts are taken from defendants’ statement of undisputed material facts and the Estate‘s response to defendants’ statement of undisputed material facts (Dkt. Nos. 22; 29).1
A. The High-Speed Chase
On January 16, 2019, at approximately 9:23 p.m., Officer Bohanon of the WMPD attempted to perform a traffic stop on a green Toyota Camry near the intersection of Avalon and Broadway Streets in West Memphis, Arkansas, for failing to dim properly the high beams (Dkt. No. 22, ¶ 1). When Officer Bohanon turned around and got behind the vehicle, he also noticed that there was no license plate and notified dispatch (Id., ¶ 2). Officer Bohanon activated his blue lights and siren to initiate the stop (Id.). The driver of the Toyota, Megan Rivera, did not pull over and stop (Id., ¶ 3). Mr. Brown was a passenger in the vehicle (Id., ¶ 4). Officer Bohanon notified dispatch that the suspect vehicle was not stopping (Id.). Because the Toyota continued to flee, the attempted traffic stop turned into a vehicle pursuit, all of which was captured by several of the defendants’ dash cameras (Id., ¶¶ 5, 5 n.1).
At the beginning of the pursuit, the suspect vehicle was travelling at approximately 45 miles per hour (Id., ¶ 6). Approximately one minute and 15 seconds into the pursuit, a second patrol vehicle joined the chase (Id., ¶ 7). When the second patrol vehicle joined, the suspect vehicle
In an attempt to stop the vehicle, Officer Presley called over the radio for stop sticks to be put out east of the suspect vehicle‘s current location (Id., ¶ 11). In another attempt to stop the vehicle, Officer Johnson called over the radio to box-in the vehicle while on Broadway (Id., ¶ 12). After 45 seconds on Broadway, the vehicle ran a red light and turned left onto Martin Luther King (“MLK“) (Id., ¶ 13). While the vehicle was fleeing northbound on MLK, an Arkansas State Trooper took the lead on the pursuit to attempt a precision immobilization technique (“PIT“) to stop the vehicle (Id., ¶ 14). When the Trooper pulled up alongside the fleeing vehicle to attempt a PIT, the vehicle made a left turn, and the PIT was unsuccessful (Id., ¶ 15). The vehicle, now facing southbound, continued fleeing on MLK (Id., ¶ 16).
The pursuit continued onto the interstate service road back toward Broadway (Id., ¶ 17). In another attempt to stop the fleeing vehicle, Officer Presley attempted to box-in the suspect vehicle on the service road (Id., ¶ 18).2 As the vehicle approached Broadway, in another attempt to stop the vehicle, Officer Presley requested an officer to deploy stop sticks on Broadway (Id., ¶ 20). Officer Magill deployed stop sticks, which successfully punctured the back, passenger side tire (Id., ¶ 21). Nonetheless, the vehicle continued fleeing westbound on Broadway with one flat tire (Id., ¶ 22). Officer Presley then accelerated ahead of the suspect vehicle to attempt another box-in maneuver (Id., ¶ 23).
While turning onto 7th Street, Officer Bohanon radioed that the vehicle had just lost a tire (Id., ¶ 30). Three patrol vehicles again attempted to box-in the suspect vehicle on 7th Street (Id., ¶ 31). To avoid being boxed in, the suspect vehicle swerved back and forth across the road (Id., ¶ 32). The suspect vehicle hit Officer Bohanon‘s patrol vehicle, and Officer Clark called over the radio that the suspect vehicle “just struck a unit, just struck a unit” (Id., ¶ 33). The suspect vehicle then turned onto Van Buren Street, which passes through a residential area (Id., ¶ 34). In an attempt to stop the vehicle, Officer Presley again requested stop sticks be placed ahead of the suspect vehicle (Id., ¶ 35). The vehicle sped through six stop signs on Van Buren, and as the vehicle sped through the intersections, it bottomed out several times causing sparks to shoot off the underside of the vehicle (Id., ¶ 36). Near this time, Officer Presley asked over the radio if the State Trooper was still in the pursuit (Id., ¶ 37). It is WMPD policy that, if state police are involved in the pursuit, the state police unit takes position as the primary unit so long as it can be done safely (Id., ¶ 38).
The suspect vehicle then crossed Broadway on 14th street and then turned eastbound onto McAuley (Id., ¶ 39). Officer Presley radioed to the other officers to attempt to box-in the suspect
Officers surrounded the suspect vehicle with weapons drawn and gave multiple commands for Ms. Rivera and Mr. Brown to put their hands up and exit the vehicle (Dkt. No. 22, ¶ 49). At this point, Officers Bohanon, Buford, and Clark and Sergeant McKee had all exited their vehicles while the vehicle was stopped (Id., ¶ 50). The suspect vehicle reversed and began to flee again (Id., ¶ 51). As the suspect vehicle began turning from North McAuley onto 18th Street, Officer Magill was advancing up 18th Street in his patrol unit toward the pursuit (Id., ¶ 52). As the suspect vehicle came around the corner onto 18th Street, Officer Magill slowed his speed to a near stop, and the suspect vehicle continued fleeing and struck Officer Magill‘s vehicle head on (Id., ¶ 53). Officer Presley then struck the passenger side of the suspect vehicle with his patrol car (Id., ¶ 54).
B. Officer Struck By Vehicle
Unable to break the window, Officer Presley began pulling on the passenger-side door handle in an attempt to open it (Id., ¶ 60). As the vehicle again began to flee in reverse, Officer Presley‘s hand became stuck in the passenger side door; he was dragged along with the vehicle and subsequently lost his balance and fell to the ground (Id., ¶ 61). The suspect vehicle struck another patrol unit as it reversed (Id., ¶ 62). The suspect vehicle then quickly accelerated forward and ran over both of Officer Presley‘s legs (Id., ¶ 63). Officer Gill immediately began rendering aid to Officer Presley, and both officers remained on the ground behind the suspect vehicle (Id., ¶ 64). As the vehicle ran over him, Officer Presley began firing his service pistol, aiming at Ms. Rivera (Id., ¶ 65). The vehicle continued accelerating toward other officers, Officers Bohanon, Buford, Clark, and Magill and Sergeant McKee all fired their service weapons, aiming at Ms. Rivera (Id., ¶ 66). Officer Magill had to jump out of the way of the vehicle to avoid being hit (Id., ¶ 67). Because Officer Magill‘s patrol unit was blocking the vehicle from continuing to flee forward, defendant officers recognized that the vehicle could only continue fleeing by once again
At the time the officers fired their weapons, the pursuit had been ongoing for nearly 12 minutes at an average speed of 26 plus miles per hour over the posted speed limit (Id., ¶ 69). Each officer fired his weapon because he believed the vehicle posed an immediate threat of serious physical injury, possibly death, to Officer Presley and/or all other officers near the vehicle, including themselves (Id., ¶ 70). Although all the officers were aiming at the driver of the vehicle, Mr. Brown was struck by three bullets and died as a result (Id., ¶ 71). Ms. Rivera was struck by 14 bullets and died as a result (Id., ¶ 72). After the incident, all of defendant officers were placed on administrative leave with pay pending the outcome of the investigation by the Arkansas State Police regarding the discharge of firearms (Id., ¶ 73). Defendant Chief West was not present nor involved in any of the events that occurred during the January 16, 2019, pursuit (Id., ¶ 74).
C. Arkansas State Police Criminal Investigation
Following the pursuit and shooting on January 16, 2019, the WMPD immediately called in the Arkansas State Police (“ASP“) to handle the criminal investigation into the officer-involved shooting (Id., ¶ 75). The ASP carried out an extensive, 808-page investigation and report (Id., ¶ 76). During the investigation, the ASP examined the scene of the shooting; interviewed 13 officers from the WMPD including those who shot at the driver, six members of the EMS and Fire Department teams who responded to the scene, and one resident who heard the shooting; and carried out forensics reports on the vehicle, decedents, and firearms (Id., ¶ 77).
One bullet collected from Mr. Brown‘s body matched Officer Presley‘s firearm (Id., ¶ 78). The other bullet recovered from Mr. Brown‘s clothing was inconclusive as to from whose firearm it came (Id.). The third bullet was not found (Id.). Two bullets collected from Ms. Rivera matched
On March 13, 2019, Second Judicial District Prosecuting Attorney Scott Ellington presented the evidence in the ASP Report to the Crittenden County Grand Jury. The Grand Jury returned a decision of “No True Bill,” dismissing any potential criminal charges against the officers (Id., ¶ 80).4 Following the decision by the Grand Jury, on April 26, 2019, the ASP closed its investigation into the officer-involved shooting (Id., ¶ 81).
D. WMPD‘s Internal Investigation
In addition to the ASP‘s investigation, an internal investigation into the officers’ use of force was conducted by Major Stacey Allens of the WMPD (Id., ¶ 82). In carrying out his investigation, Major Allens thoroughly reviewed the ASP Case File and compared it with the policy and procedures of the WMPD (Id., ¶ 83). In his March 14, 2019, final report and recommendation, Major Allens concluded that the officers acted within the scope of departmental policy and used deadly force only when all other measures had been exhausted (Id., ¶ 84). Major Allens noted that the officers’ actions were justified by WMPD policies, and he recommended that the officers return to active duty at the discretion of Chief West (Id., ¶ 85).
E. WMPD‘s Department Policies
The WMPD policy regarding police pursuits provides that “those making decisions to initiate or terminate a pursuit should consider the nature of the offense, the time of day, an evaluation of weather, traffic conditions, geography, and familiarity with the area, types of official vehicles involved, and the actions of the fleeing driver” (Id., ¶ 90). Only the primary officer and the supervising officer may terminate a pursuit (Id., ¶ 91). All other officers may only terminate their personal involvement in the pursuit (Id.). The pursuit policy provides: “[a] Pursuit should be terminated where: the officer or supervising officer believes that the danger to the public outweighs the need for immediate apprehension of the suspect; [a] supervising officer orders the pursuit terminated; the officer knows the name and address of the suspect and the offense involved is a traffic violation, a misdemeanor, or a non-violent felony; or the officer loses visual contact with the fleeing vehicle for an extended period of time” (Id., ¶ 92). The WMPD Policy Manual does not limit the number of police vehicles that can participate in the pursuit of a suspect vehicle (Id., ¶ 93).
The WMPD‘s policy on the use of deadly force is in Chapter 7, Section 2 of the WMPD Policy Manual (Id., ¶ 94). The policy provides that: “deadly force may be used . . . after all other
F. WMPD Officer Training
Mr. Brown‘s Estate has no knowledge of the training that the WMPD officers receive, nor does Mr. Brown‘s Estate have any knowledge of the training history of any defendant officers (Id., ¶ 95). The WMPD follows the police officer training requirements set forth under Arkansas’ Commission on Law Enforcement Standards and Training (“CLEST“) program (Id., ¶ 96). CLEST requires that officers complete a minimum of 24 hours of CLEST certified training annually, to include firearms training and racial profiling (Id., ¶ 97).
Officer Bohanon has worked in law enforcement for approximately three years (Id., ¶ 98). He completed his basic law enforcement training at the West Memphis Police Academy (Id.). In 2018, Officer Bohanon completed approximately 149 hours of CLEST certified training (Id., ¶ 99).
Officer Buford worked with the WMPD for approximately three years (Id., ¶ 100). He completed his basic law enforcement training at the Black River Technical College Law Enforcement Training Academy (Id.). In 2018, Officer Buford completed approximately 243 hours of CLEST certified training (Id., ¶ 101).
Officer Magill worked in law enforcement for approximately 11 years, including eight-and-a-half years at the WMPD (Id., ¶ 104). He completed his basic law enforcement training at the Mississippi Law Enforcement Officers’ Training Academy (Id.). In 2018, Officer Magill completed approximately 110 hours of CLEST certified training (Id., ¶ 105).
Sergeant McKee began his career in law enforcement in 1995 (Id., ¶ 106). He has worked for the WMPD for eight years (Id.). He was promoted to Sergeant in 2016 (Id.). He completed his basic law enforcement training with the State of South Carolina Criminal Justice Academy (Id.). In 2018, Sergeant McKee completed approximately 106 hours of CLEST certified training (Id., ¶ 107).
Officer Presley worked with the WMPD for approximately eight-and-a-half years (Id., ¶ 108). He completed his basic law enforcement training at the police academy in Camden, Arkansas (Id.). In 2018, Officer Presley completed approximately 43 hours of CLEST certified training (Id., ¶ 109).
II. Legal Standard
A. Summary Judgment
However, parties opposing a summary judgment motion may not rest merely upon the allegations in their pleadings. Buford v. Tremayne, 747 F.2d 445, 447 (8th Cir. 1984). The initial burden is on the moving party to demonstrate the absence of a genuine issue of material fact. Celotex Corp., 477 U.S. at 323. The burden then shifts to the nonmoving party to establish that there is a genuine issue to be determined at trial. Prudential Ins. Co. v. Hinkel, 121 F.3d 364, 366 (8th Cir. 1997), cert. denied, 522 U.S. 1048 (1998). “The evidence of the non-movant is to be
B. Liability Under 42 U.S.C. § 1983 And The ACRA
Section 1983 provides a cause of action against any “person” who, acting “under color of” state law, deprives the plaintiff of “rights, privileges, or immunities secured by the Constitution.”
To the extent Mr. Brown‘s Estate brings claims pursuant to the ACRA, the ACRA prohibits persons, acting under color of state law, from depriving any person of any rights, privileges, or immunities secured by the Arkansas Constitution.
C. Qualified Immunity
Officers sued under § 1983 in their individual capacities can raise qualified immunity as a defense. This doctrine “shields a government official from liability in a § 1983 action unless the official‘s conduct violates a clearly established constitutional or statutory right of which a reasonable person would have known.” Partlow v. Stadler, 774 F.3d 497, 501 (8th Cir. 2014). Courts use a two-step inquiry to determine whether qualified immunity applies: “(1) whether the facts shown by the plaintiff make out a violation of a constitutional or statutory right, and (2) whether that right was clearly established at the time of the defendant‘s alleged misconduct.” Id. Plaintiffs must meet both steps to defeat qualified immunity, and courts can begin the analysis with either step. Greenman v. Jessen, 787 F.3d 882, 887 (8th Cir. 2015).
To determine whether qualified immunity is appropriate under the ACRA, courts apply the standard used for qualified immunity claims in federal civil rights actions. Sullivan v. Coney, 427 S.W.3d 682, 685-86 (2013 Ark.) (internal citation and quotation omitted). Under this analysis, a motion for summary judgment based on qualified immunity is precluded only when the plaintiff has: (1) asserted a statutory or constitutional violation, (2) demonstrated that the statutory or constitutional right is clearly established, and (3) raised a genuine issue of fact as to whether the official would have known that the conduct violated that clearly established right. Id. Therefore, “[a]n official is immune from suit if his or her actions did not violate clearly established principles
D. Statutory Immunity Under Arkansas Law
Defendants in their answer assert that they are entitled to “any and all state and federal immunities including but not limited to, tort immunity, pursuant to
III. Parties And Claims
Mr. Brown‘s Estate identifies several defendants in its operative complaint (Dkt. No. 1, ¶¶ 2-3). The Estate sues Chief West in his official and individual capacity, alleging that at “all relevant times alleged herein, he was appointed and acting Chief of the West Memphis Police Department” (Id., ¶ 2). Mr. Brown‘s Estate claims that Chief West was the primary policy maker
Mr. Brown‘s Estate seeks to recover under § 1983 and claims that each of the defendants violated Mr. Brown‘s rights secured under the Fourth and Fourteenth Amendments to the United States Constitution (Id., ¶ 5).
IV. Analysis
A. Qualified Immunity From Suit On The Individual Capacity Claims
Mr. Brown‘s Estate characterizes the defendants’ shooting of Mr. Brown as a violation of Mr. Brown‘s right to be free from unreasonable seizures under the Fourth Amendment to the Constitution, made applicable to the states through the Fourteenth Amendment (Dkt. No. 1, ¶ 32). See generally Mapp v. Ohio, 367 U.S. 643, 655, (1961). The Estate claims that the defendant officers acted under color of state law in a manner sufficient to bring the instant action under § 1983 (Id.). Defendants raise several defenses (Dkt. No. 21). However, the Court begins its analysis by determining if defendants are entitled to qualified immunity from the Estate‘s § 1983 and ACRA claims against them in the individual capacity, as qualified immunity entitles government actors sued in their individual capacities to be free “from suit” and should be resolved “at the earliest possible stage in litigation.” Hunter v. Bryant, 502 U.S. 224, (1991) (quoting Mitchell v. Forsyth, 472 U.S. 511, 526 (1985)). Based on the record evidence, the Court concludes
Qualified immunity “shields a government official from liability and the burdens of litigation unless the official‘s conduct violates a clearly established constitutional or statutory right of which a reasonable person would have known.” Truong v. Hassan, 829 F.3d 627, 630 (8th Cir. 2016). An official fails to secure qualified immunity when the court determines: (1) the plaintiff demonstrates facts sufficient to “make out a violation of a constitutional or statutory right,” and (2) the right violated is clearly established when the alleged misconduct occurs. Id. (citing Pearson v. Callahan, 555 U.S. 223, 232 (2009)). Courts may choose which part of the inquiry to decide first. Greenman, 787 F.3d at 887.
1. Fourth Amendment Claim
This Court will first determine whether the Estate has demonstrated facts sufficient to show that defendants seized Mr. Brown within the meaning of the Fourth Amendment. See generally Truong, 829 F.3d at 630; Greenman, 787 F.3d at 887. The Estate claims that defendants violated the Fourth Amendment by subjecting Mr. Brown to excessive force when three stray bullets, fired by police, struck Mr. Brown (Dkt. Nos. 1, ¶ 32; 22, ¶ 71). The Supreme Court made clear “that a seizure occurs only when the pursued citizen is physically touched by the police or when he submits to a show of authority by the police.” Cole v. Bone, 993 F.2d 1328, 1332 (8th Cir. 1993) (citing California v. Hodari D., 499 U.S. 621, 626 (1991)). “In adopting this definition, the [Supreme] Court expressly stated that an assertion of authority by the police without submission by the pursued citizen does not constitute a seizure.” Id. Important to the case at bar, “a seizure does not occur during the course of a police pursuit of a fleeing vehicle if the pursuit, as a show of
However, this does not end the Fourth Amendment seizure analysis in the instant case because it is undisputed that bullets from defendants’ weapons hit Mr. Brown. “Not every police officer act that results in a restraint on liberty . . . constitutes a seizure.” Moore v. Indehar, 514 F.3d 756, 759 (8th Cir. 2008) (citing Brower v. County Inyo, 489 U.S. 593, 597 (1989)). The restraint must result from “means intentionally applied.” 514 F.3d at 760 (quoting Brower, 489 U.S. at 597). This is to say, the person the police intend to shoot must be the person invoking his right to be free from unreasonable seizures to demonstrate a constitutional violation for § 1983 purposes. 514 F.3d at 759-60.
Bystanders, on the other hand, “are not seized for Fourth Amendment purposes when struck by an errant bullet.” Id. at 760; see also Simpson v. City of Fort Smith, 389 F. App‘x 568, 571 (8th Cir. 2010) (noting that the Eighth Circuit held in Moore that “bystanders are not seized for Fourth Amendment purposes when struck by an errant bullet in a shootout.“). In adopting this bystander rule, the Eighth Circuit specifically cited decisions in the First, Second, and Tenth Circuits involving police unintentionally shooting vehicle passengers. See Childress v. City of Arapaho, 210 F.3d 1154, 1156-57 (10th Cir. 2000); Medeiros v. O‘Connell, 150 F.3d 164, 167-69 (2d Cir. 1998); Landol-Rivera v. Cruz Cosme, 906 F.2d 791, 794-96 (1st Cir. 1990). In each of those cases, the appeals courts barred hostage passengers from recovering after being shot by police. Childress, 210 F.3d at 1156-57; Medeiros, 150 F.3d at 167-69; Landol-Rivera, 906 F.2d at 794-96. Each Circuit concluded that police did not violate those passengers’ Fourth Amendment rights because police did not restrict the passengers’ liberty through “means intentionally applied.”
For example, in Landol-Rivera v. Cruz Cosme, the First Circuit declined “to hold that [a] hostage was seized for Fourth Amendment purposes when police officers fired at [the] suspect‘s getaway car and accidentally struck the hostage.” Moore, 514 F.3d at 760 (citing Landol-Rivera, 906 F.2d at 794-96). The Second Circuit similarly held in Medeiros v. O‘Connell that, when a hostage is “struck by an errant bullet, the governing principle is that such consequences cannot form the basis of a Fourth Amendment violation.” 514 F.3d at 760 (citing Medeiros, 150 F.3d at 167-69). The Tenth Circuit took the same approach in Childress v. City of Arapaho when it declined to allow a hostage passenger to recover under § 1983 after being shot by police because “[t]he officers intended to restrain [a] minivan and the fugitives [inside], not [the hostages.]” 514 F.3d at 760 (quoting Childress, 210 F.3d at 1156-57). Even if there is a circuit split as defendants identify in their briefing (Dkt. No. 21, at 5-7), this is not an open question in the Eighth Circuit. This Court is bound to follow controlling Eighth Circuit precedent.
The record is silent as to whether Mr. Brown was a hostage (Dkt. No. 22). Regardless, the Court does not believe his status as a hostage or as a passenger, willing or unwilling, creates any distinction that would lead to a different result under controlling law (Id., ¶ 3).6
If police do not violate the Fourth Amendment rights of a non-targeted hostage by unintentionally shooting him, then the defendants cannot be said to have violated Mr. Brown‘s Fourth Amendment rights given the undisputed facts before the Court (Dkt. No. 22, ¶¶ 59, 71).
Mr. Brown‘s Estate claims that
2. Other Constitutional Claims
In the summary judgment response, the Estate of Mr. Brown argues a Fourteenth Amendment due process claim (Dkt. No. 28, at 6), which defendants address in their reply (Dkt. No. 31). First, the Estate of Mr. Brown asserts a state created danger exception. Based on the undisputed record evidence, defendant officers did not place Mr. Brown in a position of danger that he would not otherwise have faced. The Supreme Court has expressly held that the driver in these circumstances based on the undisputed record evidence before the Court is the person who puts the passenger in danger in situations such as this, not the officers. Plumhoff v. Rickard, 572 U.S. 765, 778 (2014); see also Scott v. Harris, 550 U.S. 372, 384 (2007). The Estate of Mr. Brown cannot prevail on its claims under this theory. Defendants are entitled to judgment as a matter of law in their favor on this theory of recovery.
To the extent the Estate of Mr. Brown seeks to rely on a substantive due process claim under the Fourteenth Amendment, Mr. Brown must show that defendant officers had “a purpose to cause harm unrelated to the legitimate object of arrest, which would satisfy the element of arbitrary conduct shocking to the conscience.” County of Sacramento v. Lewis, 523 U.S. 833, 836, 844 (1998). “[C]onduct intended to injure in some way unjustifiable by any government interest is the sort of official action most likely to rise to the conscience-shocking level.” Id. at 849. Based on the undisputed material facts, defendants are entitled to judgment as a matter of law in their favor on this theory of recovery, too. The parties do not dispute that defendant officers did not intend to cause harm to Mr. Brown; all discharged their firearms aiming at the driver of the vehicle Ms. Rivera, not Mr. Brown. The officers were engaged in actions in an attempt to stop a violent, fleeing felon. County of Sacramento, 523 U.S. at 836, 855.
On the record evidence before the Court, viewed in the light most favorable to the Estate, defendants are entitled to qualified immunity. The Court enters judgment in favor of defendants in their individual capacities and dismisses with prejudice Mr. Brown‘s Estate‘s § 1983 and ACRA claims against defendants in their individual capacities.
B. Remaining Official Capacity Claims
Given that Mr. Brown cannot demonstrate a Fourth Amendment or Fourteenth Amendment violation, Mr. Brown‘s Estate cannot move forward with any of its § 1983 and ACRA claims. Without a showing that defendant officers violated the Constitution, there can be no individual or official capacity claims against Chief West and no official capacity liability for the claims alleged. City of L.A. v. Heller, 475 U.S. 796, 799 (1986) (per curiam); Carpenter v. Gage, 686 F.3d 644, 651 (8th Cir. 2012).
Even if the Estate of Mr. Brown had demonstrated an underlying constitutional violation, which it has not, the Estate of Mr. Brown did not respond to any of defendants’ arguments in support of their motion for summary judgment. Failure to oppose a basis for summary judgment
Moreover, the Estate has failed to show through record evidence that a purported failure to train or supervise on the part of defendants led to the events about which the Estate of Mr. Brown complains. The Estate of Mr. Brown also has failed to show through record evidence that a city policy or custom was the moving force behind any alleged constitutional violation.
For all of these reasons, defendants are entitled to judgment as a matter of law on the Estate‘s § 1983 and ACRA claims against defendants in their individual and official capacities.
C. Mr. Brown‘s Estate‘s State Law Claims
In addition to seeking relief under § 1983 and the ACRA, the Estate of Mr. Brown refers in its complaint to a tort of outrage and battery claim under Arkansas law.
Arkansas courts take a very narrow view of claims for the tort of outrage. See Hamaker v. Ivy, 51 F.3d 108, 110 (8th Cir. 1995) (citing Ross v. Patterson, 817 S.W.2d 418, 420 (1991)). The courts have crafted a four-part test for a prima facie case of outrage: (1) the actor intended to inflict emotional distress or knew or should have known that emotional distress was the likely result of his conduct; (2) the conduct was extreme and outrageous; (3) the actions of the defendant were the cause of the plaintiff‘s distress; and (4) the emotional distress sustained by the plaintiff was so severe that no reasonable person could be expected to endure it. Hamaker, 51 F.3d at 110 (citing Hollingsworth v. First Nat‘l Bank, 846 S.W.2d 176, 178 (Ark. 1993) (internal quotations omitted)).
Considering the undisputed record evidence, even construing all reasonable inferences in favor of the Estate of Mr. Brown, defendants’ conduct as alleged by the Estate of Mr. Brown does
As to the battery claim, the applicable statute of limitations for assault and battery tort claims is one year in Arkansas.
For these reasons, the Court grants judgment as a matter of law in favor of the Estate of Mr. Brown on these state law claims.
V. Conclusion
For the foregoing reasons, the Court grants the defendants’ motion for summary judgment on Mr. Brown‘s Estate‘s claims and dismisses with prejudice those claims. The request for relief is denied.
It is so ordered this 30th day of March, 2022.
Kristine G. Baker
United States District Judge
