Lead Opinion
Thеse three consolidated appeals principally concern the extent to which Congress, by enacting the Civil Service Reform Act of 1978 (CSRA), Pub.L. No. 95-454, 92 Stat. 111 (codified as amended in scattered sections of 5 U.S.C.), may permissibly have limited federal employees’ avenues of relief
I. Background
A. Facts
Because we review a claim for dismissal pursuant to Fed.R.Civ.P. 12(b)(6) and a motion for summary judgment by appellants, we accept appellee Spagnola’s allegations as true for purposes of review. See Shear v. National Rifle Ass’n,
At all times relevant to this action, Spagnola was employed as a procurement specialist by the Federal Acquisition Institute (FAI), which is part of the Office of Federal Procurement Policy (OFPP) of the Office of Management and Budget (OMB). The events giving rise to this suit began in 1977 when the FAI entered a sole-source, noncompetitive contract with American University to develop an undergraduate program in procurement and federal assistance. Spagnola believed that the contract should have been subject to competitive bidding by other local institutions, several of which had already developed procurement programs. He also believed that the FAI was guilty of mismanagement and conflicts of interest in its issuance of the contract.
In 1979 appellant Hunter became Acting Director of the FAI and instructed Spagnola to review all contract actions taken by the agency. Spagnola prepared a report detailing the mismanagement of the contract and the conflicts of interest involved. In June 1979 Hunter called a staff meeting at which Spagnola was present and complained about the report, warning Spagnola:
I have a long memory and if I get to be Director some of you may not get promoted into Assistant Director positions ... [Mjaybe you think you are safe as a GS-14, but there are ways to get to people; maybe when a RIF (reduction in force) situation comes up ...
Verified Complaint For Relief From Violations of First Amendment Rights, August 19, 1983, at 5, Joint Appendix (JA) 10. Spagnola subsequently completed the report and gave it to Hunter. Although Spagnola had been serving at a GS-15 level for several years, Hunter refused there
In the fall of 1980 appellant Mathis became Principal Associate OMB Administrator for the OFPP. Mathis approached Spagnola to discuss the management of the FAI. Spagnola told Mathis about the 1979 report on the American University project and also reported Hunter’s use of federal funds, personnel, and equipment to complete his doctoral dissertation. Following this conversation, Mathis and Hunter began to conspire to prevent Spagnola from “performpng] his duties relating to government contracts.” Id. at 6, JA 11.
In September 1981 they arranged to have Spagnola assigned for ninety days to a Federal Acquisition Research (FAR) project in Virginia. This three-month assignment was repeatedly extended until March 1983. During this assignment, in June 1982, appellants summoned Spagnola’s supervisor, Commander Jack Summers, to a meeting, where they asked him to give Spagnola a poor performance appraisal in order “to get something on [him].” Id. at 7, JA 12. When Commander Summers protested that Spagnola’s performance did not warrant a poor appraisal, Mathis warned Summers that Mathis might get someone in the office of the Secretary of Defense to order him to write a poor evaluation.
Mathis subsequently telephoned Harvey Gordon, Summers’ supervisor, to prevent Spagnola from receiving a GS-15 position in Gordon’s office for which he had applied. In September 1982 and March 1983 OFPP advertised a vacancy for a GS-15 position. Spagnola was the only applicant for the position, but he was not selected because OFPP “recruited an individual with [inferi- or] credentials * * *, wrote his resume, re-wrote the position in an attempt to tailor it to his qualifications, and then selected him even though the Office of Personnel Management had declined to find him eligible.” Id. at 8, JA 13. At a meeting of employees the selecting official observed that “the only person being injured [by the method of filling the position] is Spagnola.” Id. Finally, in July 1983 appellant Hunter approached an employee whose position required that he work with Spagnola and warned him that he “should know better than to hang around with unsavory characters like Spagnola.” Id.
B. Procedure
In the summer of 1982 Spagnola filed a complaint with the Office of Special Counsel (OSC) of the Merit Systems Protection Board (MSPB) alleging that the American University contract involved gross waste and mismanagement. The OSC refused to investigate, suggesting instead that Spagnola file charges with the OSC that appellants’ conduct toward him constituted “prohibited personnel practices” in violation of 5 U.S.C. § 2302(b)(8)(A)(ii) (1982). Spagnola filed such charges in October 1982 and updated and augmented his allegations in November 1982 and March 1983. In February 1985 the OSC notified Spagnola that it had completed its investigation and, because it had found insufficient evidence of prohibited personnel practices or other violations, would take no further action.
In August 1983, after engaging the OSC process but before the OSC’s decision not to prosecute, Spagnola filed suit in the District Court, alleging violations of his rights under the First Amendment and 42 U.S.C. § 1985(1). The District Court dismissed the First Amendment claim, citing Busk v. Lucas,
II. The First Amendment Bivens Claim
It is well settled that the federal courts have power to grant relief not explicitly authorized by Congress. In a series of cases beginning with Bivens v. Six Unknown Named Narcotics Agents,
The Supreme Court has held that Bivens actions are available in all but two situations. First, a Bivens action is precluded if Congress explicitly declares an equally effective remedy to be a substitute for recovery directly under the Constitution. See Bivens,
In Bush v. Lucas,
Appellants urge and the District Court ruled that, despite the different factual setting in this case, Spagnola’s situation is sufficiently like that of Bush that the outcome should be the same. We cannot agree. The Supreme Court’s opinion in Bush left unanswered both what we may assume Congress intended when its remedial scheme is less comprehensive than the CSRA’s provisions for review by the MSPB and the federal courts, and what remedies are “adequate” or “meaningful” short of those afforded Bush. The provisions of the CSRA that cover Spagnola’s case vary significantly from those applicable to employees like Bush, and the adequacy of Spagnola’s remedies is necessarily affected.
Because Bush was subject to the “adverse action” of demotion, he was afforded a forum in which to bring his claim and review of that forum’s decision by both the MSPB and the federal courts. 5 U.S.C. §§ 7511-7513, 7703 (1982). In contrast, because Spagnola suffered only retaliatory harassment and lack of promotion, his only remedy, other than the agency’s internal grievance process, see Federal Personnel Manual, ch. 771 (Oct. 1981); OMB Manual § 355 (April 1982)
Appellants’ argument and the District’s Court’s opinion rely on the assumption that Congress, in passing the CSRA, intended to eclipse Bivens actions for federal employees in Spagnola’s situation. See Reply Brief for Appellants/Brief for Cross-Appellees at 9; Spagnola v. Mathis, Memorandum Opinion, D.D.C. Civil Action No. 83-2448, March 30, 1984, at 10, JA 27 (hereinafter Mem.Op.). Inspection of the legislative histоry of the CSRA makes clear, however, that Congress intended to increase protection of federal employees who suffer reprisals for disclosing improper government conduct. Protection of “whistleblowers,” as the District Court acknowledges, was central to Congress’ plan. See Mem.Op. at 10, JA 27; S.Rep. No. 969, 95th Cong., 2d Sess. 8 (1978), reprinted in II Legislative History of the Civil Service Reform Act of 1978 (hereinafter Legislative History) at 1472 (whistleblowers are “conscientious civil servants [who] deserve statutory protection”). Congress meant to provide additional protection to such federal employees because it recognized that the existing administrative and judicial remedies had often proved inadequate. See S.Rep. No. 969, 95th Cong., 2d Sess. 2 (197$), reprinted in II Legislative History at 1466 (the Act “[provides new protections for employees who disclose illegal or improper Government conduct”) (emphasis added); 124 Cong.Rec. S14267 (daily ed. Aug. 24, 1978) (statement of Sen. Ribicoff), reprinted in II Legislative History at 1725 (same); 124 Cong.Rec. H8460 (daily ed. Aug. 11, 1978) (statement of Rep. Schroeder), reprinted in II Legislative History at 825 (“There is no effective means other than drawn out administrative and court proceedings for a whistle-blower to set things right.”). Congress clearly meant to encourage responsible whistle-blowing by the creation of a new watchdog in the OSC and the MSPB. Moreover, Congress also feared that retaliation against whistleblowers would take forms more insidious than termination or demotion, envisioning precisely the sort of reprisal that Spagnola describes. See 124 Cong.Rec. S14280 (daily ed. Aug. 24, 1978) (statement of Sen. Sasser), reprinted in II Legislative History at 1632 (whistleblowers in the past have found themselves “transferred, or deprived of meaningful work”). It thus seems anomalous to attribute to Congress an intent to foreclose the pre-existing, judicially-created remedy of a Bivens action in those instances in which a tort action is a whistleblower’s only effective avenue of relief from exactly those evils sought to be averted by the Act. We cannot attribute to Congress an intent to put whistleblowers in a worse position than they were in prior to the enactment of the CSRA.
We also conclude that mere resort to the OSC is not a “constitutionally adequate” remedy for the First Amendment violations alleged by Spagnola. This finding of constitutional infirmity sheds light on what we may assume Congress intended in enacting the CSRA and supports our conclusion that Congress did not mean to eliminate Spagnola’s Bivens action. The Supreme Court in Bush performed a similar analysis, finding both that Congress intended to preclude Bush’s Bivens claim and that Congress’ alternative remedies were “adequate” as a constitutional matter. See
The Bush Court gave little guidance, however, as to what remedies are “adequate” other than those afforded Bush himself. This circuit has expressly considered the constitutional adequacy оf the OSC remedy available to Spagnola and has clearly concluded that such a remedy is an inadequate vehicle for vindication of constitutional claims. Several other courts have reached the same conclusion, and those
The first case in which this circuit considered the adequacy of resort to the OSC was Borrell v. United States Int’l Communications Agency,
Moreover, we have had ample opportunity since Bush to reconsider our opinions in Borrell and Cutts, and we have unequivocally sustained their validity. Our first post-Bush case, Carducci v. Regan,
The District Court recognized that “Borrell might control the instant case,” Mem. Op. at 8, JA 25, but erroneously concluded that Bush required preclusion of Spagnola’s Bivens claim, in essence determining that Bush overruled Borrell and its progeny.
The dissent, apparently unwilling to hold that Bush overruled our circuit’s precedent, concludes instead that none of our precedent controls and thus that “Bush is the only case that matters.” Dissent at 38. In order to reach this remarkable conclusion, the dissent makes a valiant but extremely strained and wholly unsupported effort to distinguish all of our prior cases. The dissent first distinguishes Borrell and Cutts by claiming that these cases employed an “alternative remedy” analysis rather than the “special factors” analysis adopted by the Bush Court. See dissent at 38. Yet nowhere in either of these cases
Both the District Court and appellants note that some other courts have heard claims like Spagnola’s and rejected his contention that the OSC is an inadequate remedy for constitutional violations. See Mem.Op. at 10, JA 27; Reply Brief for Appellants/Brief for Cross-Appellees at 9. First, we respond that we are not alone in finding that the OSC is inadequate to foreclose resort to a Bivens suit. The Ninth Circuit recently considered precisely this issue and concluded that a probationary employee, who had exactly Spagnola’s remedy of resort to the OSC, could maintain a Bivens suit because the OSC was not a constitutionally adequate statutory remedy. See Kotarski,
Second, we note that three of the four circuits that have concluded that the OSC remedy does preclude a Bivens action have done so without the analysis of the adequacy of alternative remedies that Bush seems to require. In Hallock v. Moses,
Only one circuit that, subsequent to Bush, has found the OSC remedy to preclude a Bivens action has considered the adequacy of the OSC procedures. The Fourth Circuit in Pinar v. Dole,
In light of the clear precedent in this circuit establishing that the OSC is an inadequate remedy for vindication of constitutional rights and the unpersuasive reasoning of contrary decisions in other circuits, we must conclude that Spagnola’s ability to petition the OSC does not preclude his commencing a Bivens suit under the First Amendment. The OSC’s inadequacy is alone enough to require this conclusion, but it also sheds light on what Congress intended in establishing its statutory plan under the CSRA. Because we assume that Congress intended to stay within constitutional limits in constructing its remedial scheme, our finding that the OSC is an inadequate vehicle for vindication of constitutional rights supports our earlier conclusion
In addition to our Borrell line of cases, which clearly hold that the OSC is not an adequate remedy for constitutional violations, a distinct line of Supreme Court cases casts doubt on the adequacy of any administrative forum as the final arbiter of constitutional issues. In the seminal case of Crowell v. Benson,
The supremacy of law demands that there shall be opportunity to have some court decide whether an erroneous rule of law was applied; and whether the proceeding in which facts were adjudicated was conducted regularly. To that extent, the person asserting a right, whatever its source, should be entitled to the independent judgment of a court on the ultimate question of constitutionality.
St. Joseph Stock Yards Co. v. United States,
The Court applied these general principles in Oestereich v. Selective Serv. Bd.,
None of the Supreme Court’s cases have squarely determined whether Congress can deprive an individual of a judicial forum in which to raise constitutional claims and substitute an unreviewable administrative decision. The cases cited above suggest that constitutional litigants do have a right to an independent judicial hearing.
III. The Section 1985(1) Claim
Whether Congress in enacting the CSRA may permissibly have foreclosed Spagnola’s resort to a pre-existing statutory action is a question entirely distinct from the foreclosure of his constitutional claim. There is no requirement that Congress’ alternative remedy be “adequate” or that Congress afford a certain kind of tribunal for claims that do not arise under the Constitution. Congress can create and modify nonconstitutional claims as it sees fit; the role of the courts is simply to divine congressional intent. Although we cannot find that Spagnola never had a cause of action under § 1985(1), we are satisfied that Congress meant the CSRA to be the exclusive statutory remedy for aggrieved federal employees and thereby foreclosed his resort to § 1985(1). We therefore reverse the District Court’s holding that Spagnola’s complaint stated a cause of action under § 1985(1).
We agree with the District Court that appellants’ arguments regarding the scope of § 1985(1) are unpersuasive. Section 1985(1) provides:
If two or more persons in any State or Territory conspire to prevent, by force, intimidation, or threat, any person from accepting or holding any office, trust, or place of confidence under the United States, or from discharging any duties thereof; or to induce by like means any officer of the United States to leave any State, district, or place, where his duties as an officer are required to be performed, or to injure him in his person or property on account of his lawful discharge of the duties of his office, or while engaged in the lawful discharge thereof, or to injure his property so as to molest, interrupt, hinder, or impede him in the discharge of his official duties; * * the party so injured or deprived may have an action for the recovery of damages occasioned by such injury or deprivation, against any one or more of the conspirators.
42 U.S.C. § 1985(1), (3) (1982). Appellants argue that neither the language nor the legislative history of the section permit Spagnola to maintain a cause of action against his superiors. See Brief for Appellants at 8. We are satisfied, however, that appellants’ transfer of Spagnola, their interference in his applications for promotion, their attempt to “get something on him” so that, presumably, he could be discharged, and their warnings to his co-workers — all measures taken in response to a report that Spagnola was asked to file as part of his job — can be construed as “injur[y] * * * on account of the lawful discharge of the duties of his office” or as attempts “to prevent, by force, intimidation, or threat, any person from accepting or holding any office, trust, or place of confidence under the United States.” As
Appellants further contend that even if Spagnola’s claims might arguably fall within the language of § 1985, the section’s legislative history restricts its applicability to the sorts of private violence that existed in the Reconstruction South in 1871 and thus excludes federal officials as defendants. See Brief for Appellants at 9. The dissent makes a similar argument based on language and legislative history to limit the scope of § 1985(1) to external disruption. See dissent at 32-36. In light of the Supreme Court’s mandate in Griffin and significant case law in the lower federal courts, we cannot so limit the section. Citing Griffin, the District Court in Stith v. Barnwell,
There is also indirect support for a generous interpretation of § 1985(1) in the treatment of similar sections of the same Act. In interpreting a closely related section this circuit held that federal officials may be defendants under § 1985(3). See Hobson v. Wilson,
Although the District Court correctly ruled that Spagnola’s cause of action was not precluded by the language or legislative history of § 1985(1), it did not discuss the impact of the CSRA on Spagnola’s § 1985(1) claim. Appellants rely in part on
In Carducci v. Regan,
IV. Appellants’ Official Immunity Defense
Appellants argue alternatively that even if this court affirms the District Court’s holding that Spagnola may assert a claim under § 1985(1), we should dismiss his claim as barred because appellants are immune from suit. Although we reverse the District Court’s holding as to § 1985(1), we nonetheless address appellants’ immunity argument because we find the District Court’s disposal of it equally applicable to the Bivens claim.
Appellants’ claim of immunity is based on the doctrine developed in Harlow v. Fitzgerald,
The District Court applied the immunity doctrine to the facts of this case and rejected appellants’ motion for summary judgment based on their claim of official immunity. Clearly, Spagnola’s affidavits create a genuine issue as to whether appellants in fact committed the acts alleged. The District Court found, in addition, that the rights alleged to be violated were “clearly established” such that a reasonable person would have known of their existence. Because the District Court dismissed Spagnola’s Bivens claim and upheld his § 1985(1) cause of action, the “rights” it discussed were Spagnola’s rights under § 1985(1). We have reversed the District Court’s holding as to both the Bivens and the § 1985(1) issues, but we find the court’s discussion of appellants’ immunity argument equally if not more persuasive for Spagnola’s Bivens claim as it was for his § 1985(1) claim. Thus we affirm the District Court’s immunity holding and its denial of summary judgment to appellants.
On appeal appellants attack the District Court’s opinion on two grounds. First, they argue, the court confused the standards for evaluating their motion to dismiss the complaint with the standards for evaluating their claim for immunity, collapsing the two standards into a single step. We do not read the court’s opinion to support this characterization. The opinion noted that “the Court must consider ‘only whether the right that [plaintiff] alleged to have been violated was well-established at the time the alleged acts occurred.’ ” Spagnola v. Mathis, Memorandum Order, D.D.C. Civil Action No. 83-2448, July 3, 1985, at 2, JA 33 (quoting Hobson v. Wilson,
Second, appellants contend that the rights alleged by Spagnola to be violated were not clearly established. In their briefs appellants focused only on the § 1985(1) claim. These arguments are inapplicable now in that we have held that the claim may not be maintained. But analogous arguments in the First Amendment Bivens context are equally invalid. Appellants contend that because it is at least arguable that the CSRA precluded Spagnola’s § 1985(1) claim, his rights under that statute are not “clearly established.” See Supplemental Brief for Appellants/Cross-Appellees at 6. Presumably, they would advance a similar argument in the constitutional context: because it is a controversial matter whether a federal employee’s Bivens action is precluded by the OSC procedures under the CSRA, that employee’s right is also not “clearly established.” The District Court properly rejected this argument in the § 1985(1) context, and we extend its reasoning to the Bivens context. The mere fact that the procedures by which a right is to be vindicated are not “clearly established” does not mean that the right itself is not clear. Confusion over a claimant’s proper remedy implies nothing about the nature of the claimant’s right. Spagnola’s right not to be harassed in retaliation for whistleblowing is unambiguously clear from the CSRA, 5 U.S.C. § 2302(b)(8) (1982) (“Any employee who has authority to * * * direct others * * * shall not * * * take or fail to take a personnel action with respect to any employee or applicant for emplоyment as a reprisal for a disclosure of information by an employee or applicant which the employee or applicant reasonably believes evidences a violation of any law, rule, or regulation, or mismanagement, a gross waste of funds, an abuse of authority, or a substantial and specific danger to public health or safety[.]”), and from the First Amendment itself. Appellants cannot plausibly suggest that a reasonable person would not find these rights to be “clearly established.” As the District Court held: “A reasonable person in defendants’ circumstances would or should have known of the patent illegality of such conduct. Defendants should not be allowed to defuse serious allegations such as this merely by asserting the doctrine of official immunity.” Memorandum Order at 4, JA 35.
For the reasons stated above, we reverse the District Court’s dismissal of appellee’s First Amendment Bivens claim. We also reverse the court’s holding that appellee may maintain a cause of action under § 1985(1). We affirm the court’s denial of appellants’ motion for summary judgment based on their groundless claim of official immunity.
Affirmed in part and reversed in part.
Notes
. The panel is aware that a separate opinion issued today, Hubbard v. EPA,
Vacated by order granting rehearing en banc, infra at 40.
. The dissent misreads our opinion when it asserts that "the majority proceeds to * * * base its holding on the same 'alternative remedy’ analysis that it already conceded was irrelevant to the case." Dissent at 37. Nowhere in our opinion do we inquire whether the CSRA provides remedies that arе "equally effective” to a Bivens action or "explicitly endorsed" by Congress. Instead, we quite clearly embrace the "special factors” analysis adopted by the Supreme Court in Bush v. Lucas,
. These protections are substantially similar to those now afforded to employees subject to "adverse actions” under the CSRA. See 5 U.S.C. §§ 7511-7513, 7703 (1982).
. The CSRA gave the Commission's adjudicative functions to the Merit Systems Protection Board. 5 U.S.C. §§ 1205, 7701 (1982).
. The dissent attempts to parse the Bush opinion so minutely as to read out the Supreme Court’s emphasis on the adequacy of Bush’s CSRA remedies in precluding his Bivens claim. See dissent at 37 & n. 12. The dissent insists that Bush's use of the phrase “meaningful remedies,"
[W]e regard as essential to the Bush holding the availability of a meaningful remedy for the alleged violation. * * * Bush cannot be read apart from its pervasive emphasis on the remedies provided by Congress for the complaining employee in that case * * *.
Kotarski v. Cooper,
. The internal grievance procedure is clearly not constitutionally adequate so as to bar a Bivens action. See OMB Manual § 355: Griev
. Indeed, there seems reason to fear that the OSC is more susceptible to political currents than is appropriate for a body that is to constitute the sole forum for constitutional claims against the federal agencies. Representative Patricia Schroeder, the head of the Civil Service Subcommittee, introduced a bill, later withdrawn, to abolish the OSC, stating that it "now protects management and the administration from whistleblowers. It’s the reverse [of Congress’ intent].” Federal Times, Aug. 23, 1982, quoted in Legislating Bureaucratic Change: The Civil Service Reform Act of 1978 at 48 (P. Ingraham & C. Ban eds. 1984).
. We also relied in Williams on the fact that Williams was suing solely for equitable relief: “Nor does he use for damages аs a substitute for or supplement to civil service remedies. He seeks only declaratory and injunctive relief."
Moreover, any attempt to distinguish Spagnola’s case from Williams or Borrell on grounds that Spagnola seeks damages is impeded by this court’s assumption in Krodel v. Young,
. The District Court also distinguished Borrell on grounds that “it is impossible to foresee the adequacy of the relief that plaintiff will ultimately receive from the OSC. * * * In contrast, Borrell was decided after the OSC had terminated its investigation with the finding that there was no evidence to substantiate the allegation of retaliation for whistleblowing.” Mem.Op. at 8 & n. 3, JA 25. Since the District Court’s decision, the OSC has informed Spagnola that it terminated its investigation and will not prosecute his complaint, putting him in exactly Borrell’s situation.
. The dissent notes that if we found Spagnola's Bivens claim to be precluded, the consequent denial of any forum for his constitutional claim would be the work of a court responding to the perceived will of Congress rather than the enforcement of a direct congressional command. From this the dissent concludes that the constitutional concerns we raise here would not be implicated. See dissent at 39. Not so. The constitutional command at issue here is the requirement of due process. Spagnola’s right to fundamental fairness in hаving some place to litigate his constitutional claim is no less abridged by a court than it would be by Congress; to hold otherwise would place the courts beyond the call of the Constitution. Thus the dissent cannot dismiss so lightly the constitutional concerns that we raise here.
. Appellants and the dissent rely on Santistevan v. Loveridge,
Concurrence Opinion
concurring in part and dissenting in part:
Although I concur in the majority’s view that Spagnola is precluded from maintaining a section 1985(1) suit, I disagree with the majority’s analysis of that issue. I also disagree with the majority’s decision to grant Spagnola a Bivens remedy against his supervisors, and therefore dissent from Part II of the majority opinion. As these conclusions would dispose of Spagnola’s lawsuit, I do not reach the official immunity issue discussed in Part IV.
The disputes before us today, both in this case and in Hubbard v. EPA, et al.,
This case concerns the availability and scope of claims under a provision of .the Ku Klux Klan Act of 1871, 42 U.S.C. § 1985(1) (1982), and under the Bivens
I.
The district court certified to us the question of “the availability of 42 U.S.C. § 1985(1) to [Spagnola], a Federal civil service employee, to state a claim for money damages and a jury trial against defendants, his former supervisors, in the context of [his] federal employment.” J.A. at 44. This is a case of first impression in this Circuit. Although I agree with the majority that, in the end, section 1985(1) provides no cause of action to Spagnola against his supervisors, I take a different path to reach that conclusion.
Interpreting the provision we must, of course, begin with its language. Sections 1985(1) and (3) provide:
(1) If two or more persons in any State or Territory conspire to prevent, by force, intimidation or threat, any person from accepting or holding any office, trust, or place of confidence under the United States, or from discharging any duties thereof; or to induce by like means any officer of the United States to leave any State, district, or place, where his duties as an officer are required to be performed, or to injure him in his person or property on account of his lawful discharge of the duties of his office or while engaged in the lawful discharge thereof, or to injure his property so as to molest, interrupt, hinder, or impede him in the discharge of his official duties;
(3) ... in any case of conspiracy set forth in this section [1985], if one or more persons engaged therein do, or cause to be done, any act in furtherance of the object of the conspiracy, whereby another is injured in his person or propеr*33 ty, or deprived of having and exercising any right or privilege of a citizen of the United States, the party so injured or deprived may have an action for the recovery of damages occasioned by such injury or deprivation, against any one or more of the conspirators.
42 U.S.C. §§ 1985(1), (3) (1982) (emphasis added).
Quite evidently, then, even where the alleged injury for purposes of section 1985(3) is unambiguous,
If a federal officer sues persons outside the federal service under this statute, normally the scope of his duties would not be in issue; and even if it were — if, for example, a defense could be based on a claim of ultra vires or unlawful action on the officer’s part — one would look to the Government (i.e., his supervisors) for an authoritative description of the plaintiff’s duties. To recognize a suit by a federal officer under section 1985(1) against his supervisors for interference with his official duties would create an anomaly under the statutory language: supervisors by their very direction of subordinates, both general and specific, define the scope of their subordinates’ duties.
Surely the Reconstruction Congress could not have wished the federal courts, in the context of a damage action, to referee disputes between federal supervisors and their subordinates as to the appropriate scope of the latter’s duties. Even today (let alone in 1871) that would be seen as striking deep into the capacity of the Executive Branch to perform its functions.
The appellee would have us conclude that the Forty-Second Congress desired the federal judiciary to play a role in defining Executive Branch officers’ duties far more intrusive than that which Congress directed over a hundred years later. See supra note 6. I find the argument far-fetched but nonetheless turn to the origins of the statute to determine whether it provides support for plaintiff’s interpretation.
The language of section 1985(1) was taken from a Civil War enactment, the Act of July 31, 1861, ch. 33, 12 Stat. 284 (1861), now codified as amended at 42 U.S.C. § 1985(1) (1982).
Although the 1871 Act was a comprehensive remedial measure serving a variety of purposes, the greater part of the Act “relate^] to the preservation of the institutions and processes of the Federal Government,” Kush v. Rutledge,
The structure and origins of section 1985(1) reveal a grave congressional concern to protect the authority and institutions of the Federal Government from outside interference. The provision’s origin as a war measure, its re-enactment under conditions deemed by Congress to be virtually insurrectional, and the harsh penal and military character of the remainder of the statute persuade me that this singularly powerful instrument was intended by Congress as a shield to protect federal officials from external coercion in a hostile environment, not a tool for resolving personnel disputes between members of the federal service.
Congressional enactments in the civil service field from the Pendleton Act of 1883 to the Civil Service Reform Act of 1978 (“CSRA”) support this reading of the earlier statute. If section 1985(1) applies to disputes between federal officers, it must perforce apply without regard to the extent of remedies made available by Congress in later civil service enactments. Therefore, it would be impossible to hold that section 1985(1) applied only to those complaints by subordinates against their superiors not “adequately” remedied by CSRA.
Here, too, I find no specific manifestations of congressional intent in enacting the civil service statutes to pre-empt the earlier provision. Here, too, however, elaborate legislative schemes like the CSRA could, under the appellee’s interpretation, be displaced “by perverse application of Gresham’s law ... were immediate access to the courts under other, less demanding statutes permissible.” Brown,
The other courts of appeals that have considered the statute have reached similar conclusions as to its scope. See, e.g., Santistevan v. Loveridge,
The majority’s reliance upon Stern v. United States Gypsum, Inc.,
II.
In his cross-appeal, Spagnola seeks a reversal of the district court’s dismissal of his claim for monetary and injunctive relief against the appellants, grounded on their alleged violations of his rights under the first amendment. The majority holds, and I agree, that because appellants no longer supervise him, Spagnola’s claim for injunctive relief against them in their individual capacities is moot. But as to the majority’s decision to allow his Bivens claim, I must part company.
The majority’s analysis of the controlling case, Bush v. Lucas,
That said, however, the majority рroceeds to ignore the important special factors that virtually dictate judicial restraint here, and to instead base its holding on the same “alternative remedy” analysis that it already conceded was irrelevant to the case. The majority begins this analysis by, in my view, misinterpreting Bush v. Lucas. Properly read, Bush holds that because the CSRA remedial system in its entirety is a “comprehensive procedural and substantive provision[] giving meaningful remedies ... it would be inappropriate for [courts] to supplement that regulatory scheme with a new judicial remedy.” Bush,
The Bush Court’s refusal to recognize a Bivens remedy did not rest on a finding that the specific CSRA remedies offered the plaintiff in that case were “meaningful” or even “constitutional.” Indeed, the Court began its analysis by observing, and dismissing as irrelevant, the fact that “civil service remedies were not as effective as an individual damages remedy and did not fully compensate [the plaintiff] for the harm he suffered.” Bush,
The question is not what remedy the court should provide for a wrong that would otherwise go unredressed. It is whether an elaborate remedial system that has been constructed [by Congress] step by step, with careful attention to conflicting policy considerations, should be augmented by the creation of a new judicial remedy for the constitutional violations at issue. That question obviously cannot be answered simply by noting that existing remedies do not provide complete relief for the plaintiff.
... In all events, Congress is in a far better position than a court to evaluate the impact of a new species of litigation between federal employees on the efficiency of the civil service____
Id. at 388-89,
An analysis of Circuit precedent shows that this court has remained faithful to the holding of Bush v. Lucas. Before Bush applied the “special factor” test to civil service disputes, our analysis of such cases was controlled by the “alternative remedies” test of Carlson v. Green,
As the majority recognizes, Bush changed the analysis of this issue when it turned away from the alternative remedies test and instead gave substance to the special factors test. Yet until today, this court has not squarely considered whether the special factors test counsels us to deny a constitutional damages claim to remedy an alleged prohibited personnel practice.. Although the majority attempts to analogize from other civil service cases considering different issues, in the end, Bush is the only case that matters.
In the immediate aftermath of Bush, we held in Carducci v. Regan,
The conclusion I draw from this review of Circuit precedent is that while scrutiny of specific CSRA remedies was certainly proper before Bush was decided, and may still be proper when we consider extending equitable remedies for constitutional violations, such scrutiny is no longer proper when considering whether to extend a Bivens remedy to the subjects of adverse federal employment decisions.
Having disagreed with the majority’s view that a constitutional analysis of Spagnola’s remedy is necessary, I must also disagree with the assumption that guides that analysis. The majority analyzes the case as if Congress had specifically sought to bar the judiciary from employing a constitutionally required remedy — an Ex Parte McCardle-type situation.
The majority is also wrong in implicitly equаting the denial of a particular remedy with the denial of federal jurisdiction itself. I do not suggest that the presence of CSRA precludes federal jurisdiction over civil servants’ constitutional claims. Indeed, in Hubbard we declined to extend the plaintiff a Bivens remedy, but at the same time held he is entitled to pursue his constitutional claim seeking equitable relief.
Under my view of the law, federal employees alleging constitutional violations are entitled to pursue whatever administrative remedies CSRA offers. If they fail to obtain satisfactory resolution of their claim, they may seek equitable relief in federal court. Of course, some people (Spagnola, for example) will be unable to seek equitable relief because their claims are not justiciable (for example, the case is moot). But as Judge Wald notes in her concurrence in Hubbard, the number of cases in which a civil servant will be completely barred from federal court “should not be substantial.” Hubbard, (Wald, J., concurring) at 15 n. 3.
Finally, I think the majority overlooks what was for the Bush Court a crucial special factor that compels judicial restraint. The Court analyzed the effect that damage actions would have on the incentive structure of civil service management
The costs associated with the review of disciplinary decisions are already significant — not only in monetary terms, but also in the time and energy of managerial personnel who must defend their decisions____ [I]t is quite probable that if management personnel face the added risk of personal liability for decisions that they believe to be a correct response to improper criticism of the agency, they would be deterred from imposing discipline in future cases.
The Court’s recognition of the undesirable side effects of creating a new Bivens action as a “special factor counseling restraint” applies with equal force to the case at bar. If inflicting minor discipline (or harassment) redressable only by petition to the OSC could give rise to a damage action whereas inflicting stronger penalties could not, supervisors would have an obvious incentive to choose the more draconian punishment when it might not be appropriate.
Clearly then, a Bivens remedy is not an appropriate supplement to the CSRA remedial system. Such a remedy is inconsistent with the congressional plan because it would induce federal supervisors to behave in a fashion inconsistent with what CSRA contemplates. Moreover, it subjects federal employees to the likelihood of unjustifiably severe punishment. Under these circumstances, invoking judicial power to impose Bivens litigation on the civil service seems disdainful of the legislative branch. I would therefore decline the invitation tо second-guess Congress.
ORDER
The sua sponte suggestions for en banc consideration have been circulated to the full Court. A majority of the judges of the Court in regular, active service have voted in favor of the suggestions. Accordingly, it is
ORDERED, by the Court en banc, that the issue at Part II of the opinion of December 5,1986 in Spagnola and at Part III of the December 5, 1986 opinion in Hubbard v. EPA,
A future order will govern further proceedings herein.
. Bivens v. Six Unknown Fed. Narcotics Agents,
. I would not reach the question whether Spagnola could, on the facts he alleges, have been "injured in his person or property" or "deprived of having and exercising any right or privilege of a citizen of the United States." See Collins v. Hardyman,
. The district court, while ultimately holding that Spagnola could state a section 1985(1) claim, was evidently troubled by this aspect of applying section 1985(1) between federal officers:
Mr. Chuzi [Appellee’s counsel]: He v/as taken out of a position of authority, and reassigned to a position of lesser authority. He was removed—
The Court: Any diminution in pay?
Mr. Chuzi: No, Your Honor ... but, essentially, that reassignment ended. His authority to act in that position, [sic] He was sent out to this ... Federal Acquisition Research Project, where he was writing these regulations and kept there for 18 months____
The Court: I understood you to say that writing regulations is one of [Spagnola’s] responsibilities.
Mr. Chuzi: It was one of his responsibilities. The Court: And he was transferred to a place where that was his prime duty?
Mr. Chuzi: That was his prime duty but the problem is that he was taken out of his own office not at his request and assigned some place else----
The Court: What was the office charged with doing to which he was transferred? You said writing regulations. That is his prime function, isn’t it?
Mr. Chuzi: That was one of his functions, Your Honor. Was responsible [sic] for writing regulations, implementing those regulations and overseeing the manner in which contracts were let by the FAI. That was his job, yes. They transferred him out of FAI where he could no longer perform the latter parts of his duties and they transferred him to a job where he would be required to draft regulations.
J.A. at 64, 74-75.
. See the colloquy between appellee’s counsel and the district court, J.A. at 74.
. Cf. Myers v. United States,
. Although a change in an officer’s duties could be relevant to certain claims ultimately reviewable in the federal courts, 5 U.S.C. § 2302(a)(2)(A)(x) (1982), the change would be relevant only to determine whether an employee suffered an improperly motivated action, Carducci v. Regan,
. Section 1985(1) as originally enacted subjected conspirators to both civil and penal liability. The 1861 Act imposes only penal liability.
. To accept the appellee’s view that both the CSRA and section 1985(1) govern the civil service would make a mockery of the Supreme Court’s holding in Bush v. Lucas,
. Congress was careful to enumerate those preexisting statutory remedies which it intended to survive the enactment of the CSRA. 5 U.S.C. § 2302(d) (1982).
. But see Stith v. Barnwell,
. The appellee also argues that Congress could not have intended to immunize from section 1985(1) liability federal officials who, in league with those outside the service who were conspiring against federal authority, threatened or injured subordinates. It is not necessary to decide today whether section 1985(1) could support such a claim where there is no question concerning the scope of duties of the subordinates and where the conspiracy was related to the core concerns of Congress when it passed section 1985(1).
. The term "meaningful remedies” appears in the Supreme Court opinion twice. Bush,
The term "constitutionally adequate [remedies]” appears in a footnote to the opinion. Id. at 378 n. 14,
The majority in effect adopts Justice Marshall's concurring opinion which, if it were governing law, would require courts to determine, before deferring to CSRA, that the plaintiff has a remedy under that statute which is "substantially as effective as a damages action.” Bush,
. Four other Circuits that have addressed the issue presented in this case have reached this same conclusion. See, e.g., Pinar v. Dole,
. To be surе, the majority ultimately concludes that Congress could not have intended to foreclose Bivens remedies for civil servants. But the majority’s logic is (A) Congress could not constitutionally preclude civil servants’ Bivens claims by simply giving them a right to petition OSC; (B) Congress does not want to do unconstitutional things; therefore (C) Congress must have intended to allow Bivens claims to remedy prohibited personnel practices. The key step in the majority’s analysis is clearly the first one.
. The Supreme Court considers policy implications when deciding whether to extend the availability of the Bivens remedy. See Hubbard at 7 (quoting Bivens,
. The Merit System Protection Board ("MSPB”) may impose as sanctions "removal, reduction in grade, debarment from federal employment for a period not to exceed five years, suspension, reprimand or an assessment of a civil penalty not to exceed $1,000" on an employee against whom the OSC has brought a complaint of prohibited personnel practices. 5 U.S.C. §§ 1206(g) and 1207(b) (1982) (emphasis added). But undoubtedly almost any supervisor would prefer to take his chances with the OSC and the MSPB rather than face the hazards of a damage action, with or without a jury trial.
. An employee suspended for 15 days or more has suffered an "adverse action,” entitling him to appeal the action to the MSPB, and seek judicial review if necessary. See 5 U.S.C. §§ 7512, 7513(d), 7703 (1982). An employee suspended for 14 days or less has still suffered an “adverse action," but has no right of appeal to the MSPB or judicial review. See 5 U.S.C. §§ 7501-7504 (1982).
. Of course, it is possible that, under the majority's approach, the damage action will not lie if an injunctive remedy turns out to be available. Indeed, Judge Wald takes this position in her Hubbard concurrence. But I doubt the possibility of injunctive relief precluding a Bivens action will give a supervisor much comfort. The mere prospect of a damage action will condition the supervisor’s behavior to avoid the risk. See Hubbard at 8-10.
