ORDER ON DEFENDANTS’ MOTION TO DISMISS
I. Statement of Facts.
The Plaintiffs, Stefan Gomes and Paris Minor, formerly students at the University of Maine, have filed a cause of action against the University of Maine System, the Trustees of the University of Maine System, and five individuals, Peter S. Hoff, Elizabeth J. Allan, David Fiacco, Robert Dana, and Robert Whelan, individually and in their respective official capacities at the University of Maine. The University subjected the Plaintiffs to discipline for allegedly committing a sexual assault on June 10, 2003. The Complaint contains ten counts, alleging the Defendants committed a number of constitutional, contractual, and tort violations in disciplining the Plaintiffs. The University has moved to dismiss the Complaint.
11. Legal Standard.
A motion to dismiss pursuant to Rule 12(b)(6) tests the legal sufficiency of the complaint.
Beegan v. Assoc. Press,
accept the well-pleaded factual aver-ments of the ... complaint as true, and construe these facts in the light most flattering to the [plaintiffs] cause ... exempting] of course, those ‘facts’ which have since been conclusively contradicted by [plaintiffs] concessions or otherwise, and likewise eschew[ing] any reliance on bald assertions, unsupportable conclusions, and ‘opprobrious epithets.’
Id.
(quoting
Chongris v. Board of Appeals,
*121 III. Discussion
A. Count I: Due Process.
Count I of the Complaint attempts to state a claim against all Defendants for a general denial of due process rights under the United States and Maine Constitutions. U.S. Const amend. VI; Me. Const. art. I, § 6-A. After Defendants moved to dismiss Count I, Plaintiffs responded that Count I is “an adjunct to Plaintiffs’ claim under 42 U.S.C. § 1983 for federal violations, rather than as a direct constitutional tort claim for an independent remedy.” PI. ’s Reply Mem. at 2. They also withdrew their claims for separate violations of the Maine constitution or the Maine Civil Rights Act. Id. at 2. Finally, they clarified that Count I was intended to give “notice of the factual allegations that underlie the § 1983 claim” found in Count II. Id. at 2.
In light of Plaintiffs’ response, this Court dismisses Count I, except to the extent it states facts not otherwise pled. 1
B. Count II: 42 U.S.C. § 1983.
1. State Constitutional Claim.
Defendants seek to have Count II dismissed to the extent it alleges a violation of state constitutional law under 42 U.S.C. § 1983. Def.’s Mem. at 5. Plaintiffs have responded by noting Count II of the Complaint does not allege a state constitutional claim. Pl.’s Reply Mem. at 2. Defendant argues that “[bjecause no such allegation is made, Plaintiffs’ state constitutional claims in Count II must be dismissed.” Def.’s Mem. at 5. To the contrary, because no allegation is made, no dismissal is necessary.
2. Claims Under The 14th Amendment.
To explain the issues as the parties have framed them, the Court will review the Complaint, the bases of the motion to dismiss, the Plaintiffs’ responses, and the Defendants’ counter-responses. Count II of the Complaint is directed against Defendants Allan, Fiacco, Hoff, Dana, and Whe-lan. It alleges each Defendant deprived the Plaintiffs of their substantive and procedural due process rights acting under color of state law and demands declaratory relief and compensatory and other damages. Defendants first move to dismiss Count II to the extent it attempts to state a claim against them in their “official capacity.”
a. Official Capacity Claims.
To sustain a claim against an official in an official capacity, there must be an allegation “that the entity followed a policy or custom” that was unconstitutional.
Burrell v. Hampshire County,
Plaintiffs respond by noting Count II demands injunctive relief against Defendants Hoff, Dana, and Whelan, and monetary relief against all individual Defendants. Because the § 1983 claim is directed against neither the University of Maine as a state entity nor the individual Defendants in their official capacities, Burrell, they argue, is inapplicable. Pl.’s Reply Mem. at 4. To the extent the Plaintiffs seek monetary damages, it is against the individual Defendants in their individual capacities, not against the State.
In Will v. Michigan Department of State Police, the Supreme Court held:
Of course a state official in his or her official capacity, when sued for injunc-tive relief, would be a person under section 1983 because ‘official-capacity actions for prospective relief are not treated as actions against the State.’
At oral argument, the University cited
Rivera v. P.R. Aqueduct & Sewers Authority,
Here, the Plaintiffs are requesting in-junctive relief, not from the University itself, but from University officials. The First Circuit explored this distinction in
Dirrane v. Brookline Police Department,
If the Plaintiffs are able to sustain their claim that the University’s disciplinary action violated their constitutional rights, they would be entitled to demand, and this Court would have the authority to order, University officials expunge the unconstitutional disciplinary action from the Plaintiffs’ University records. Further, the Plaintiffs’ claim for this limited injunctive relief does not implicate the Eleventh Amendment concerns the Supreme Court discussed in
Edelman v. Jordan,
b. Individual Capacity Claims.
Count II of the Complaint also attempts to state a claim against Defendants (other than the University) in their individual capacities for asserted violations of substantive and procedural due process. The individual Defendants have posited the affirmative defense of qualified immunity. Recognizing that litigation is costly, even though a claim of qualified immunity is an affirmative defense, the issue may be raised in a motion to dismiss before the commencement of discovery.
Mitchell v. Forsyth,
Individual defendants are entitled to qualified immunity for official action unless: (1) their conduct violated the Plaintiffs’ constitutional rights; and (2) the law to this effect was clearly established under then-existing law so that a reasonable official would have known that his behavior was unlawful.
Dwan v. City of Boston,
1. Substantive Due Process.
The Fourteenth Amendment provides that “no state shall ... deprive any person of life, liberty, or property, without due process of law....” U.S. Const, amend. XIV, § 1. Unlike its procedural sibling, substantive due process “imposes limits on what a state may do regardless of what procedural protection is provided.”
Pittsley v. Warish,
The Supreme Court has enunciated alternative tests by which substantive due process claims are to be examined. Under the first test, it is not required that the plaintiffs prove a violation of a specific
*124
liberty or property interest; however, the state’s conduct must be such that it “shocks the conscience.”
Rochin v. California,
To succeed under the second test, a plaintiff must demonstrate a violation of an identified liberty or property interest protected by the due process clause.
Pittsley,
Both of the alternative tests have been applied to the school setting. “Conscience shocking” behavior in the education context has usually involved physical or sexual abuse or excessive punishment.
See, e.g., Neal v. Fulton County Bd. of Educ.,
Taking the factual allegations in Counts I and II together, the Complaint alleges the Plaintiffs’ due process rights were violated because: (1) they were subjected to discipline for alleged conduct “not within the jurisdiction” of the Student Conduct Code (Student Code), Complaint at 2; (2) the Defendants conducted a “fundamentally unfair hearing, which included depriving the Plaintiffs of critical and potentially exculpatory evidence gathered during the investigation, depriving the Plaintiffs of effective assistance of counsel, preventing the Plaintiffs from effectively cross-examining and confronting adverse witnesses, depriving the Plaintiffs of any effective administrative appeal, depriving the Plaintiffs of an impartial tribunal, and imposing severe punishment without substantial evidence,” Complaint at 6; and (3) the investigation, hearing, and appeal were “conducted in bad faith and sanctions were imposed in bad faith,” Id.
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The allegation that most clearly states a substantive due process claim is the Plaintiffs’ allusion to the severity of their punishment, a claim that requires the court to weigh “the severity of the punitive effect ... against the severity of the conduct which occasioned the suspension.”
Board of Educ. of Rogers, Ark. v. McCluskey,
Applying these principles to the instant case, the Plaintiffs’ allegations do not “shock the conscience.” The University determined the Plaintiffs engaged in sexual abuse of a fellow student and suspended them from the University; the Plaintiffs lost scholarship funds and opportunities as student athletes, and suffered other consequential damages. There is no allegation, however, that either the University or its officers were “physically intrusive or violent” or that the actions struck at the basic fabric of any protected relationship (such as a parent-child relationship).
See Cruz-Erazo v. Rivera-Montanez,
At oral argument, the Plaintiffs claimed their substantive due process rights had been violated, since they had been deprived of a recognized constitutionally recognized property interest — that is, the right to a higher education. The Plaintiffs cited
Graffam v. Town of Harpswell,
To the extent property interests have been identified in the realm of higher education, they have ‘.‘generally been assumed rather than found.”
Tobin v. University of Me. Sys.,
For the foregoing reasons, this Court grants the Defendants’ Motion to Dismiss the Plaintiffs’ substantive due process claims.
2. Procedural Due Process.
a. Territorial Jurisdiction.
Turning to the procedural due process claims, the Plaintiffs allege the University deprived them of their constitutional rights “by subjecting them to a disciplinary proceeding for alleged conduct that was not within the jurisdiction set forth in .the Student Conduct Code.” Complaint at 29. The Defendants move to dismiss on the ground that this allegation fails to state a claim upon which relief can be granted.
To the extent the Plaintiffs are' arguing that even if they committed a sexual assault, the University would be without jurisdiction to discipline them because the assault took place off-campus, the Court rejects this argument.
2
The University’s legitimate interest in punishing the student perpetrator of a sexual assault or protecting the student victim does not end at the territorial limits of its campus.
See Slaughter v. Brigham Young Univ.,
Furthermore, the Plaintiffs’ construction of the Student Code is strained at best. 3
*127 The Plaintiffs point to the language in the “Jurisdiction” section that reads:
The University of Maine System Student Conduct Code ... shall apply to the following:
1. Any person ... who is on the University real property or University-related real property.
From this language, the Plaintiffs argue that the Code is intended to be applied to students only when they are physically present on University or University-related real property. However, this snippet is taken badly out of context. The full sentence reads as follows:
The University of Maine System Student Conduct Code... shall apply to the following:
1. Any person(s) registered or enrolled in any course or program offered by the University or any person admitted to the University who is on the University real property or University-related real property for any purpose related to registration or enrollment at the time of the alleged offense.
The full context clarifies that the Student Code applies to registered or enrolled students without limitation and the territorial limitation applies only to admitted students who are at the University to register or enroll.
Moreover, while subpart B of the Student Code explains that jurisdiction applies to events occurring on campus, it also provides that jurisdiction extends to conduct “in which the University can demonstrate a clear and distinct interest as an academic institution regardless of where the conduct occurs and which seriously threatens ... the health or safety of any member of the academic community.” The Plaintiffs’ argument that the wording of the “Jurisdiction” section of the Student Code prevents the University from disciplining a student for a sexual assault against another student when the assault occurred off-campus runs afoul of the express language of the Student Code and is simply frivolous.
In their memorandum, the Plaintiffs seek to explain their claim by stating that the “University’s actual practices regarding disciplinary actions on allegations of off-campus activity between individual students will shed some light on the first, second and fourth parts of the immunity inquiry” and must await “factual development.”
Pl.’s Reply Mem.
at 13. The Plaintiffs appear to be arguing that when events potentially subject to discipline take place off-campus, the University has been selective in its enforcement of the Student Code. But this allegation does not appear in the Complaint.
See Gooley,
B. Conduct of the Hearing.
The next issue is whether the Plaintiffs’ allegations that the University violated their procedural due process rights in its conduct of the hearing are sufficient to survive Defendants’ Motion to Dismiss. The Plaintiffs are entitled to the protections of due process, since they were facing expulsion or suspension from a public educational institution and their interest in pursuing an education is included within the Fourteenth Amendment’s protection of liberty and property.
Gorman,
This statement is “only the beginning of the inquiry,” since due process is “not a fixed or rigid concept, but, rather, is a flexible standard which varies depending upon the nature of the interest affected, and the circumstances of the deprivation.”
Gorman,
(1) the student must be advised of the charges against him; (2) he must be informed of the nature of the evidence against him; (3) he must be given an opportunity to be heard in his own defense; and, (4) he must not be punished except on the basis of substantial evidence.
Keene v. Rodgers,
The Defendants point to the following specific assertions in the Complaint that allegedly fail to state a claim: (1) the Defendants failed to provide the Plaintiffs with discovery of documents and witnesses; (2) the Defendants placed a physical partition between the Plaintiffs and the alleged victim; and (3) Defendant Fiacco asked them if they would waive their due process rights. 5
Regarding discovery, the Plaintiffs claim they were not provided with a summary of a statement the victim gave to the Old Town police; they were not provided with a third-party statement that directly related to the alleged victim’s credibility, though counsel for the alleged victim was provided the statement; and they were not provided with a witness or exhibit list before the day of the hearing.
The Defendants are correct that due process in the context of academic discipline does not necessarily require students be given a list of witnesses and exhibits prior to the hearing, provided that the
*129
students are allowed to attend the hearing itself.
Nash v. Auburn Univ.,
On the other hand, whether the hearing was fair “depends upon the nature of the interest affected and all of the circumstances of the particular case.”
Gorman,
In their Complaint, the Plaintiffs have alleged that “during the hearing, the Defendants placed a physical partition between the Plaintiffs and the alleged victim so that neither the Plaintiffs nor their attorney could observe the conduct, demeanor, or testimony of witnesses and others.”
Complaint
at 5. The Defendants have cited
Cloud v. Trustees of Boston University,
However, in
Cloud,
the First Circuit noted, “Cloud was given the opportunity to cross-examine the witness, and his attorney and the Judicial Committee were permitted to view the witness.”
Regarding Count II’s assertions of procedural due process violations, his Court grants the Motion to Dismiss insofar as the Complaint alleges a territorial limitation to University jurisdiction; it denies the motion to dismiss the procedural due process claims on the conduct of the hearing.
C. Count III: Breach of Contract.
In Count III, the Plaintiffs allege the University has “a contract with each of its students” and that “[b]y engaging in the disciplinary proceeding at issue in this case, and by conducting it in a manner that contravened the Student Conduct Code and deprived the Plaintiffs of their federal and state constitutional rights,” the University breached the contract. Complaint at 35. The Defendants move to dismiss Count III on the ground that it fails to state a claim against the System Trustees and that, other than generally alleging a breach of contract, the Plaintiffs have failed to specify the terms of the contract or how the contract was breached.
The Defendants do not dispute that a contract exists between the University and its students, a point of law well-settled in the First Circuit and Maine.
E.g., Mangla v. Brown Univ.,
Regarding Defendants’ claim that the Trustees should be dismissed since there was no allegation directly against them, the Student Code expressly states that it was “accepted by the Board of Trustees” and that amendments to it require action by the Board of Trustees. Pl.’s Reply Mem. at Ex. A. The imprimatur of the Board of Trustees is sufficiently implicated to withstand a motion to dismiss.
The Student Code states that the University’s administrative procedures will afford “fundamental fairness.”
Id.
(“[T]he University’s administrative process affords fundamental fairness.... ”);
see Goodman,
D. Count IV: Breach of Duty of Good Faith and Fair Dealing.
In Count IV, the Plaintiffs allege that Student Code creates a contractual duty of good faith and fair dealing, which the Defendants breached. The Defendants move to dismiss this Count on the ground that Maine law does not recognize an implied duty of good faith and fair dealing.
Caldwell v. Federal Express Corp.,
Both parties are correct. To the extent Count IV states a claim for a breach of an implied duty of fairness and fair dealing, the Plaintiffs do not state a claim cognizable under Maine law. To the extent Count IV states a claim for a breach of an express duty of fairness and fair dealing, the claim is subsumed under Count III. For these reasons, the Court dismisses Count IV.
E. Counts V, VI, VIII and IX: Maine Tort Claims Act Immunity.
Defendants seek dismissal of Counts V, VI, VIII, and IX on the ground they “sound in tort” and the Defendants are immune under the provisions of the Maine Tort Claims Act. Def.’s Mem. at 13. Count V of the Complaint alleges Defendants University of Maine System, its Trustees, and individual Defendants Hoff and Dana engaged in negligent hiring and supervision; Count VI alleges negligence against all defendants; Count VII alleges defamation against all defendants; Count VIII alleges negligent and/or intentional infliction of emotional distress against all defendants; and, Count IX alleges negligent misrepresentation against the University, its Trustees, and individual Defendants Fiacco and Dana.
1. University of Maine Systems: Liability Insurance Coverage.
Defendant University of Maine System moves to dismiss the Plaintiffs’ tort claims on the ground it is immune from suit under the Maine Tort Claims Act, 14 M.R.S.A. § 8104-B. Plaintiffs note, however, an exemption to this immunity under 14 M.R.S.A. § 8116, which provides that if a governmental entity maintains insurance, it “shall be liable in those substantive areas but only to the limits of the insurance coverage.” As qualified immunity is an affirmative defense and as there is no evidence of an absence of coverage, the Plaintiffs properly argue that the Complaint as against the University is not subject to a Rule 12(b)(6) dismissal.
See Napier v. Town of Windham,
2. Individual Defendants: Liability Insurance Coverage.
Defendant next moves to dismiss the individual defendants on the ground that they are immune from suit. Plaintiffs again point to 14 M.R.S.A. § 8116. Both parties rely upon different decisions of the Maine Supreme Judicial Court as authority for different propositions. The Defen *132 dants cite Moore v. City of Lewiston for its conclusion § 8116 did not waive city employees’ personal immunity even if the city purchased liability insurance for them
Section 8116 provides that a governmental entity ‘may purchase insurance ... on behalf of its employees to insure them against any personal liability for which a government entity is obligated to provide defense or indemnity under § 8112.’ However, unlike the parallel provision in § 8116 regarding government entities, which states that ‘the governmental entity shall be liable ... to the limits of the insurance coverage’ (emphasis added), this provision does not purport to waive the personal immunity of insured employees. Thus, regardless of whether the City’s insurance coverage extended to the defense or indemnity of the police officers, their personal immunity from liability could not have been waived.
The Plaintiffs respond with the Law Court’s analysis in Rippett v. Bemis:
Because McAlevey is exposed to liability for defamation committed during the course of his work for the York County Sheriffs Department, Sheriff Bemis potentially is liable vicariously as McAle-vey’s “master” under the doctrine of re-spondeat superior. The Maine Tort Claims Act in general provides immunity from liability for government officials acting in their discretionary function of properly supervising employees who are performing discretionary functions. A government official, however, waives such Maine Tort Claims Act immunity to the extent he enjoys the protection of liability insurance for his discretionary functions. The York County Sheriffs Department carried comprehensive law enforcement liability insurance during the time the Sheriff supervised Detective McAlevey’s investigation and when McAlevey made the statements concerning Loa Rippett. Sheriff Bemis thus waives his immunity from vicarious liability for his supervisory functions to the extent of the policy’s coverage. To the extent of that insurance the Maine Tort Claims Act does not shield the Sheriff from vicarious liability under the doctrine of respondeat superior for a tortuous act committed by Detective McAle-vey within the scope of his employment under the Sheriffs supervision.
This Court acknowledges, as Judge Hornby did in
Napier,
there is “some ambiguity” between
Moore
and
Rippett. Napier,
3. Specific Tort Claims.
In their Motion to Dismiss, Defendants assert two of the tort counts are subject to dismissal on separate theories. Specifically, they claim that Maine has not adopted the torts of negligent hiring or negligent supervision, which form the bases of Count V, and that the Plaintiffs have not stated a claim for negligent misrepresentation in Count IX upon which relief can be granted.
a. Count V: Negligent Hiring and Negligent Supervision.
The Defendants correctly note that Maine has not recognized the independent tort of negligent supervision of an employee.
E.g., Santoni v. Potter,
In addressing the same question, Magistrate Judge Cohen expressed a view with which this Court agrees: “The Maine Law Court has never recognized the tort of negligent supervision, (citations omitted). The Court is loathe to recognize a new state tort in advance of the state’s highest court....”
Santoni,
The tort of negligent hiring, although similar to negligent supervision, is a separate tort. Unlike negligent supervision, the Maine Supreme Judicial Court has recognized the tort of negligent hiring; however, it has limited its application to a narrow context: negligent selection of a contractor. In
Dexter v. Town of Norway,
An employer is subject to liability for physical harm to third persons caused by his failure to exercise reasonable care to employ a competent and careful contractor (a) to do work which will involve a risk of physical harm unless it is skillfully and carefully done, or (b) to perform any duty which the employer owes to third persons.
In doing so, however, the Law Court circumscribed its holding, stating that “[w]e are far less certain whether and under what circumstances we would recognize the doctrine variously described as involving ‘a peculiar unreasonable risk’ (§ 413),
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‘a peculiar risk’ (§ 416) or ‘a special risk’ (§ 427).”
Restatement (Second) of Torts § 411 does not provide a basis for the tort of negligent hiring of an employee; instead, Restatement (Second) of Torts § 307
9
and Restatement (Second) of Agency § 213(b)
10
provide authority for jurisdictions that have adopted the tort.
See, e.g., Quinonez v. Andersen,
Count V is dismisséd for failure to state a claim under Maine tort law upon which relief can be granted.
b. Count IX: Negligent Misrepresentation.
Count IX, alleging negligent misrepresentation, presents a different issue. The Defendants do not contend that Count IX fails to state a claim under Maine tort law; rather, they contend that the Plaintiffs’ allegations are insufficient to state a claim under the Maine Tort Claims Act. Unlike the other counts, Count IX alleges the Defendants were “acting in the course of their employment” in supplying “false information for the guidance of the Plaintiffs in their transactions as students and student athletes.” Complaint at 47. The question, then, is whether this distinct allegation makes a legal difference.
Since it sounds in negligence, Count IX does not allege intentional harm under
MacKerron v. Madura,
*135 4. Discretionary Immunity: All Tort Claims.
The University next contends all remaining tort allegations in the Complaint against the individual Defendants are subject to dismissal because they run afoul of 14 M.R.S.A. § 8104-B(3), which provides immunity for “performing or failing to perform any discretionary function or duty.” This immunity insulates from personal liability a government employee who has been legislatively authorized to perform a discretionary function and has acted or failed to act pursuant to that authorization.
Darling v. Augusta Mental Health Inst.,
In
Darling,
the Law Court established a four-prong test to determine governmental immunity: (1) whether the act necessarily involves a basic governmental policy, program or objective; (2) whether the act is essential to the realization or accomplishment of that policy, program, or objective as opposed to one which would not change the course or direction of the policy, program, or objective; (3) whether the act requires the exercise of basic policy evaluation, judgment, and expertise on the part of the governmental entity involved; and (4) whether the government possesses the requisite constitutional, statutory, or lawful authority and duty to do or make the challenged act.
The Plaintiffs claim the actions of the individual Defendants exceeded the “scope of any discretion” they could have possessed in their official capacity.
See Lyons v. City of Lewiston,
The factual allegations in the Complaint have the distinct ring of the exercise of discretion. The nature and scope of a University disciplinary hearing, the conduct of the hearing itself, and the final judgment of the University officials would appear to fit well within discretionary function immunity under the Maine Tort Claims Act. Absent an allegation of intentional harm, investigating a student disciplinary complaint, conducting a disciplinary hearing, and issuing a decision would seem by the nature of the activity not to be ministerial duties, to require the exercise of discretion, and to be within the scope of the official’s legal authorization.
Nevertheless, Courts that have ruled against a Plaintiffs’ claim on this basis have almost universally done so in the context of a motion for summary judgment, not a motion to dismiss. •
See, e.g.,
*136
Lightfoot v. School Admin. Dist. No. 35,
In sum, regarding the Maine Tort Claims Act allegations, the Court grants Defendants’ Motion to Dismiss Count V and denies Defendants’ Motion to Dismiss Counts VI, VII, VIII, and Count IX of the Complaint.
F. Count X: Punitive Damages.
In Count X, the Plaintiffs allege that the Defendants’ conduct was “so outrageous that malice toward the Plaintiffs can be implied.” The University moves to dismiss this Count on the assumption that the entire Complaint, except for the punitive damages count, has been dismissed. It has not. The law allows for the imposition of punitive damages with significant limitations.
E.g., Smith v. Wade,
IV. Conclusion
For the reasons set forth above, this Court GRANTS the Defendants’ Motion to Dismiss Counts I, IV and V. Further, this Court GRANTS the Defendants’ Motion to Dismiss Count II in part, but only insofar as it claims any violation of substantive or procedural due process related to a territorial limitation of University jurisdiction. On all other Counts, this Court DENIES Defendants’ Motion to Dismiss.
SO ORDERED.
Notes
. In the Court's view, the Plaintiffs have properly recognized that where there is an adequate statutory remedy for the violation of constitutionally protected rights, a claim for direct relief under the federal Constitution is unavailable.
Carlson v. Green,
. The Plaintiffs assert the sex was consensual; the University found otherwise. Assuming ar-guendo that the Plaintiffs engaged in consensual sex, the territoriality argument is a nonstarter. Absent circumstances not alleged here, if the Plaintiffs had engaged in a private act of consensual sex with a fellow student, the University could not demonstrate a legitimate governmental interest in disciplining them for doing so, regardless of whether the act took place on campus or off-campus. Thus, the territorial limitation argument assumes the Plaintiffs committed a sexual assault, but asserts the University has no jurisdiction because the assault took place off-campus.
. The Plaintiff attached a copy of the “Policy Manual,’’ containing the Student Code, to their Reply Memorandum.
Pl’s Reply Mem.
at Ex. A. Neither party attached a copy of the Code to their initial pleadings.
Fudge
v.
Penthouse Intern., Ltd.,
. At oral argument, noting that the Complaint failed to allege selective enforcement, Plaintiffs' counsel indicated he might move to amend the Complaint. Be that as it may, the Court must address what the Plaintiffs have pleaded, not what they might plead. Even a generous view of the current allegations in the Complaint does not reveal an allegation of selective enforcement.
. The Court notes the Plaintiffs’ claims of procedural deficiency are substantially broader than these specific instances and, on that basis alone, the Plaintiffs’ claim of a violation of procedural due process would not be subject to wholesale dismissal.
. At oral argument, Plaintiffs' counsel reiterated this claim, a contention Defendants’ counsel immediately and vigorously disputed. However, the Court at this stage in the proceedings cannot resolve a factual dispute.
. In their Complaint, the Plaintiffs have alleged that Defendant Fiacco, the Judicial Officer of the Student Conduct Code Committee, "asked the Plaintiffs during the hearing if they would waive their right to due process during the hearing.” Complaint at 5. Defendants have moved to dismiss this allegation on the ground that it fails to state a claim upon which relief can be granted. In their response, the Plaintiffs have clarified that they . are not claiming the question itself constituted a violation of their due process rights; instead, the allegation serves to underpin their argument that the Defendants were aware of the Plaintiffs' rights to due process during the hearing. Pl.’s Reply Mem. at 8. Thus clarified, it is a factual allegation, not subject to a motion to dismiss.
. The First Circuit expressed no opinion on Judge Hornby's reading of Rippett and, therefore, its discussion in Napier is not binding on this Court. Nevertheless, the Napier Court recited the reasons for Judge Hornby’s view:
(1)the statutory language is clear in that the waiver applies to a "governmental entity”;
(2) the Moore Court was explicit in stating that the waiver does not apply to employees;
(3) Rippett does not overrule or even mention Moore; and (4) the Sheriffs Department in Rippett was in fact a governmental entity as to which insurance coverage would waive immunity. Napier,187 F.3d at 191 .
. Restatement (Second) of Torts § 307 provides:
It is negligence to use an instrumentality, whether a human being or a thing, which the actor knows or should know to be so incompetent, inappropriate or defective, that its use involves an unreasonable risk of harm to others.
. Restatement (Second) of Agency § 213(b) provides:
A person conducting an activity through servants.. .is subject to liability for harm resulting from his conduct if he is negligent or reckless: (b) in the employment of improper persons... in work involving risk of harm to others....
Comment (d) to § 213 gives an example of a principal who, without exercising due care in selection, employs a vicious person to do an act which necessarily brings him in contact with others while in the performance of a duty, and is liable for harm caused by the vicious propensity.
. At oral argument, Plaintiffs' counsel made the valid point that the torts of negligent hiring and negligent supervision seem virtually indistinguishable. The Court agrees. It would seem at least inconsistent for Maine to impose civil liability on an employer for negligent hiring of an employee, but no liability for the same employer’s negligent supervision of the same employee.
. The Plaintiffs also claim that the actions of the individual Defendants exceeded the scope of their official discretion because the University exceeded its jurisdiction by subjecting the Plaintiffs to discipline for actions that allegedly took place off campus. The Court rejected this contention earlier and will not readdress it at this time.
