Case Information
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF NEW YORK
FREDERICK KAPLAN,
Plaintiff,
No. 20-CV-1382 (KMK) v.
OPINION & ORDER COUNTY OF ORANGE, et al. ,
Defendants. Appearances:
Eugene M. Bellin, Esq.
New York, NY
Counsel for Plaintiff
Richard A. Ashman, Esq.
Michelstein & Ashman, PLLC
New York, NY
Counsel for Plaintiff
Harold L. Moroknek, Esq.
Marshall, Dennehey, Warner, Coleman and Goggin
Rye Brook, NY
Counsel for Defendants Town of Warwick, Alton S. Morley, Frederick M. Hoffman, Shawn Tetzlaff, and Thomas E. Maslanka
Nadia E. Niazi, Esq.
Finkelstein Blankinship Frei-Pearson & Garber LLP
White Plains, NY
Counsel for Defendants Town of Warwick, Alton S. Morley, Frederick M. Hoffman, Shawn Tetzlaff, and Thomas E. Maslanka
Louis U. Gasparini, Esq.
Schwab & Gasparini, PLLC
White Plains, NY
Counsel for Defendants Access: Supports for Living Inc., Laura Altieri, and Jane Doe
KENNETH M. KARAS, United States District Judge:
Frederick Kaplan (“Plaintiff”) brings this Action under 42 U.S.C. § 1983 and state law against the County of Orange (the “County”), Darcie M. Miller (“Miller”), Access: Supports for Living Inc. (“Access Inc.”), Laura Altieri (“Altieri”), Jane Doe (“Doe”), the Town of Warwick (the “Town”), Alton S. Morley (“Morley”), Frederick M. Hoffman (“Hoffman”), Shawn Tetzlaff (“Tetzlaff”), and Thomas E. Maslanka (“Maslanka” and, collectively, “Defendants”). Before the Court are two Motions To Dismiss Plaintiff’s Complaint, one on behalf of Access Inc., Altieri, and Doe (the “Access Defendants”), ( see Dkt. No. 37), and one on behalf of Morley, Hoffman, Tetzlaff, Maslanka, and the Town (the “Town Defendants”), ( see Dkt. No. 39). For the following reasons, Access Defendants’ Motion is granted, and Town Defendants’ Motion is denied.
I. Background
A. Factual Background
The following facts are drawn from Plaintiff’s Complaint and are taken as true for the purposes of resolving the instant Motions.
This case revolves around an incident that took place on March 13, 2019, when police forcibly removed Plaintiff from his home and took him to a local hospital, where he was detained out of concern for his mental health. ( See Compl. ¶¶ 2, 41–42, 52–59 (Dkt. No. 1).) Plaintiff alleges that his removal and detention were based on false information provided by an employee of Access Inc., a private organization working in conjunction with the County. ( See id. ¶ 41.) The Court will outline the relationship between Access Inc. and the County before summarizing the events of March 13.
1. Access Inc.’s Mobile Mental Health Team
At some point prior to the events in question, the County entered into an agreement with Access Inc., a corporation organized under New York law. ( Id. ¶¶ 10, 13.) The purpose of this agreement was for Access Inc. “to perform certain services on behalf of” the County’s Department of Mental Health. ( Id. ¶ 13.) Pursuant to this agreement, the County authorized Access Inc. to operate a “Mobile Mental Health Team” that would assess “persons possibly in need of immediate hospitalization due to mental disease or defect.” ( Id. ¶ 15.) Plaintiff alleges that the County “delegated responsibility” for making such determinations to Access Inc. and Altieri, who served as the assistant director of the Mobile Mental Health Team operated by Access Inc. ( Id. ¶¶ 17–18.)
2. Plaintiff’s Removal and Detention
Plaintiff alleges that on March 13, 2019, Altieri “falsely informed” Miller, the Commissioner of the County’s Department of Mental Health, that Plaintiff “was exhibiting behavior indicating that he was in immediate need of care and treatment for a mental illness which was likely to result in serious harm to himself or to others.” ( Id. ¶¶ 8, 41.) Pursuant to § 9.45 of the New York Mental Hygiene Law (“MHL”), Miller issued an “Authorization for Custody/Transportation of a Person Alleged to be Mentally Ill” (the “Removal Order”). ( Id. ¶ 42.) The Removal Order identified Altieri as the source of information regarding Plaintiff’s behavior. ( Id. ¶ 43.) Although the Removal Order also identified Altieri “as a licensed psychologist, registered professional nurse[,] or certified [s]ocial [w]orker currently responsible for providing treatment services to [P]laintiff,” ( id. ¶ 44), Plaintiff alleges that Altieri “never provided treatment services” to him, and thus, the representation contained in the Removal Order was false, ( id. ¶¶ 45–46).
On March 13, after Miller issued the Removal Order, Altieri delivered it to the Town of Warwick Police Department (the “Town Police”). ( Id. ¶ 49.) Plaintiff alleges that Miller, along with Altieri and an unidentified employee of Access Inc. (“Jane Doe”), ( id. ¶ 23), asked the Town Police to arrest Plaintiff, ( id. ¶ 50). Plaintiff further alleges that Altieri “importuned” Morley, Hoffman, Tetzlaff, and Maslanka (the “Individual Town Defendants”)—each of whom served as police officers for the Town Police, ( see id. ¶¶ 27, 29, 31, 33)—“to seize and arrest” Plaintiff and transport him to Orange Regional Medical Center (“Orange Regional”), ( id. ¶ 51).
On the same day, Altieri, Doe, and Individual Town Defendants entered Plaintiff’s property and forcibly entered his residence. ( Id. ¶¶ 52–53.) Individual Town Defendants allegedly forced Plaintiff to the ground, sat on his back to prevent him from standing, and then handcuffed and arrested him. ( Id. ¶¶ 54–56, 58.) Plaintiff alleges, without elaboration, that Altieri and Doe also “participated” in his seizure and arrest. ( Id. ¶ 57.) Plaintiff emphasizes that none of these Defendants had a “valid warrant issued by a disinterested judicial officer authorizing [his] arrest.” ( Id. ¶ 60.) After Plaintiff had been arrested, Morley and Tetzlaff transported him to Orange Regional, ( id. ¶ 59), where Altieri “importuned” physicians “to detain [him] . . . indefinitely,” allegedly “despite [a] lack of probable cause to believe that he was a danger to himself or to others,” ( id. ¶ 61). Plaintiff was involuntarily held at Orange Regional for approximately six hours before being released. ( Id. ¶¶ 59, 62.)
B. Procedural History
Plaintiff filed his Complaint on February 18, 2020. ( See Dkt. No. 1.) Miller and the County (“County Defendants”) filed an Answer on March 23, 2020. ( See Dkt. No. 20.) After receiving an extension of time to respond to the Complaint, ( see Dkt. No. 15), Altieri and Access Inc. filed a pre-motion letter regarding their proposed motion to dismiss on April 13, 2020, ( see Dkt. No. 21). Plaintiff responded on April 20, 2020. ( See Dkt. No. 26.) Meanwhile, on April 17, 2020, the Court granted Town Defendants’ request for an extension of time to respond to the Complaint, ( see Dkt. No. 25), and, on May 19, 2020, Town Defendants filed a pre-motion letter regarding their proposed motion to dismiss, ( see Dkt. No. 30). Plaintiff responded on May 26, 2020. ( See Dkt. No. 32.)
The Court held a pre-motion conference on June 3, 2020 and adopted a briefing schedule for Defendants’ respective motions. ( See Dkt. No. 36; Dkt. (minute entry for June 3, 2020).) Access Defendants filed their Motion To Dismiss and supporting papers on July 8, 2020, ( see Dkt. Nos. 37–38), and Town Defendants filed same on July 10, 2020, ( see Dkt. Nos. 39–40). Plaintiff filed his Opposition on August 31, 2020. ( See Dkt. Nos. 41–43.) Town Defendants filed their Reply on September 24, 2020, ( see Dkt. No. 46), and Access Defendants filed their Reply on September 30, 2020, ( see Dkt. No. 47). On December 1, 2020, Access Defendants filed a letter notifying the Court of recent supplemental authority from the Northern District of New York, ( see Dkt. No. 48), and Plaintiff responded on December 2, 2020, ( see Dkt. No. 49).
II. Discussion
A. Standard of Review
The Supreme Court has held that although a complaint “does not need detailed factual
allegations” to survive a motion to dismiss, “a plaintiff’s obligation to provide the ‘grounds’ of
his [or her] ‘entitle[ment] to relief’ requires more than labels and conclusions, and a formulaic
recitation of the elements of a cause of action will not do.”
Bell Atl. Corp. v. Twombly
, 550 U.S.
544, 555 (2007) (alteration omitted). Indeed, Rule 8 of the Federal Rules of Civil Procedure
“demands more than an unadorned, the-defendant-unlawfully-harmed me accusation.”
Ashcroft
v. Iqbal
,
“[W]hen ruling on a defendant’s motion to dismiss, a judge must accept as true all of the
factual allegations contained in the complaint,”
Erickson v. Pardus
,
B. Analysis
Plaintiff has brought § 1983 claims for unreasonable search and seizure (Count Two) and false imprisonment (Count Three) against Altieri, Doe, and Individual Town Defendants. (Compl. ¶¶ 75–92.) Plaintiff has also brought a § 1983 claim for excessive force (Count Four) against Individual Town Defendants, ( id. ¶¶ 93–101), and a claim for failure to intervene (Count Five) against Altieri and Doe, ( id. ¶¶ 102–07). The Court need not consider Plaintiff’s § 1983 claim for false imprisonment against Miller, ( id. ¶¶ 63–74), who has not moved to dismiss this claim. Plaintiff has also asserted state law claims for trespass (Count Six) and False Imprisonment (Count Nine) against Access Defendants and Town Defendants. ( See id. ¶¶ 108– 12, 121–25.) [1] Plaintiff has brought state law claims for assault (Count Seven) and battery (Count Eight) against Town Defendants. ( See id. ¶¶ 113–20.) The Court will first evaluate the claims against Access Defendants, followed by the claims against Town Defendants.
1. Claims Against Access Defendants As noted, Plaintiff has brought § 1983 claims and state law claims against various Access Defendants. The Court will address Plaintiff’s § 1983 claims first.
a. Plaintiff’s § 1983 Claims Access Defendants argue that Altieri and Doe are not “state actors” and, thus, may not be held liable under § 1983. ( See Access Defs.’ Mem. of Law in Supp. of Mot. To Dismiss (“Access Defs.’ Mem.”) 5–21 (Dkt. No. 38).) They seek to dismiss Counts Two, Three, and Five on this basis. ( See id. )
The Supreme Court has explained that “[t]he purpose of § 1983 is to deter state actors
from using the badge of their authority to deprive individuals of their federally guaranteed rights
and to provide relief to victims if such deterrence fails.”
Wyatt v. Cole
,
“Conduct that is formally ‘private’ may become so entwined with governmental policies
or so impregnated with a governmental character” that it can be regarded as governmental action.
Evans v. Newton
,
For the purposes of [§] 1983, the actions of a nominally private entity are attributable to the state . . . (1) [when] the entity acts pursuant to the coercive power of the state or is controlled by the state (“the compulsion test”); (2) when the state provides significant encouragement to the entity, the entity is a willful participant in joint activity with the state, or the entity’s functions are entwined with state policies (“the joint action test” or “close nexus test”); or (3) when the entity has been delegated a public function by the state, (“the public function test”).
Sybalski v. Indep. Grp. Home Living Program, Inc.
,
“In analyzing whether a private entity acts under color of state law for purposes of
§ 1983, [courts] begin by identifying the specific conduct of which the plaintiff complains, rather
than the general characteristics of the entity.”
Fabrikant
,
Under the compulsion test, “a State normally can be held responsible for a private
decision only when it has exercised coercive power or has provided such significant
encouragement, either overt or covert, that the choice must in law be deemed to be that of the
State.”
Doe v. Rosenberg
,
Drawing on
Rosenberg
, another court in this District recently applied the same analysis to
a mobile mental health crisis team like the one in this case.
See Mejía v. Robinson
, No. 16-CV-
9706,
A physician or qualified mental health professional who is a member of an approved mobile crisis outreach team shall have the power to remove, or . . . to direct the removal of any person to a hospital . . . for the purpose of evaluation for admission if such person appears to be mentally ill and is conducting himself or herself in a manner which is likely to result in serious harm to the person or others.
N.Y. Mental Hyg. Law § 9.58(a) (emphasis added). The court found that this provision, like the
provision examined in
Rosenberg
, “is permissive, and not mandatory.”
Mejía
, 2018 WL
3821625, at *5 (citing
Rosenberg
,
The same is true of MHL § 9.45, which uses similar language as § 9.58 and provides that: The director of community services or the director’s designee shall have the power to direct the removal of any person, within his or her jurisdiction, to a hospital . . . or to a comprehensive psychiatric emergency program . . . if . . . a licensed psychologist, registered professional nurse or certified social worker currently responsible for providing treatment services to the person, . . . health officer, peace officer[,] or police officer reports to him or her that such person has a mental illness for which immediate care and treatment in a hospital is appropriate and which is likely to result in serious harm to himself or herself or others.
N.Y. Mental Hyg. Law § 9.45 (emphasis added). A person removed pursuant to this section
“may then be retained” pursuant to separate provisions of the statute.
Id.
Like §§ 9.27 and 9.58
of the MHL, § 9.45 is also “permissive, and not mandatory.”
See Mejía
,
Although Plaintiff does allege that Altieri “never provided treatment services” to Plaintiff, (Compl. ¶ 45), this allegation establishes at most that Altieri may not qualify as a “registered professional nurse or certified social worker currently responsible for providing treatment services to the [removed] person,” N.Y. Mental Hyg. Law § 9.45. But it does not follow that Altieri “was not a proper source of information under § 9.45,” (Compl. ¶ 47), for Altieri may fall under one of the other categories of qualified professionals identified in § 9.45, such as a “licensed psychologist” or “health officer,” see N.Y. Mental Hyg. Law § 9.45. [3] And although Plaintiff alleges that his removal took place pursuant to § 9.45 of the MHL, ( see Compl. ¶ 42), it seems at least plausible that the removal was also effectuated pursuant to § 9.58 of the statute, which, as noted, authorizes removal by a “qualified mental health professional who is a member of an approved mobile crisis outreach team,” see N.Y. Mental Hyg. Law § 9.58(a). In sum, Plaintiff fails to allege that Altieri was not acting pursuant to the MHL.
Because Altieri was acting pursuant to the MHL, her actions “cannot be attributed to the
[s]tate under a theory of state compulsion.”
Rosenberg
,
“The close nexus test requires that a [p]laintiff demonstrate ‘a sufficiently close nexus
between the State and the challenged action of the [private] regulated entity so that the action of
the latter may be fairly treated as that of the State itself.’”
Mejía
,
The Complaint nevertheless alleges that there was an “agreement” between the County
and Access Inc. pursuant to which Access Inc. “agreed to perform certain services” of the
County’s mental health department, including the operation of the Mobile Mental Health Team.
(Compl. ¶ 13.) This does not satisfy the close nexus test. In
Rosenberg
, the court held that
although the private hospital had a contract with New York’s Office of Mental Health enabling it
to operate a psychiatric wing, that contract did not transform the hospital’s private actions—or
those of its employees—into state action.
Rosenberg
,
Finally, “[u]nder the public function test, the required nexus may be present if the private
entity has exercised powers that are traditionally the exclusive prerogative of the State.”
Mejía
,
The court in
Mejía
borrowed this reasoning in concluding that members of the mobile
mental health crisis team in that case were not state actors for purposes of § 1983.
See Mejía
,
Plaintiff argues that Altieri’s “active participation” in Plaintiff’s seizure distinguishes this
case from
Rosenberg
and
Mejía
. (Pl.’s First Opp’n 16–17.) He suggests that this case is more
analogous to
Vivar v. City of New York
, No. 18-CV-5987,
Vivar , then, is readily distinguishable. Whereas the private actors in Vivar were allegedly collaborating with state actors to advance an unlawful vendetta, Plaintiff has failed to allege that Altieri and Doe were not acting pursuant to the MHL. Unlike the nonprofit employees in Vivar , Altieri and Doe were responding to (what they interpreted as) an emergency situation. And although Plaintiff, like the plaintiff in Vivar , has alleged that his seizure was based on false information, there is a critical distinction between the two cases. In Vivar , the private actor allegedly gave false information directly to the police, right as they entered the plaintiff’s home, in a manner seemingly calculated to provoke an aggressive response by the police. Here, by contrast, Altieri first conveyed the allegedly false report to Miller, who then decided to involve the police by issuing the Removal Order. Moreover, Plaintiff does not allege that Altieri provided this false information in a collaborative effort to visit state violence upon Plaintiff, as was seemingly the case in Vivar . The allegedly false information was that Plaintiff may have posed a harm to himself or to others. Even accepting Plaintiff’s allegation as true, therefore, the false information was intended at least in part to protect Plaintiff.
Thus, the nature of Altieri’s conduct in this case is fundamentally different from that of
the private actors in
Vivar
. Nevertheless, Plaintiff argues that Altieri “was an active participant
in the seizure and confinement of [P]laintiff,” (Pl.’s First Opp’n 14), a claim that most naturally
implicates the “close nexus” theory of state action. In the Court’s view, this argument asks more
of the Complaint than it can bear. Plaintiff identifies several discrete actions that would
supposedly suggest “a sufficiently close nexus between the State and the challenged action of
[Altieri]” such that the “action of the latter may be fairly treated as that of the State itself.”
Mejía
,
Because Plaintiff fails to allege facts showing that Altieri and Doe were functioning as state actors, his § 1983 claims against these Defendants for unlawful search and seizure, false imprisonment, and excessive force cannot survive Access Defendants’ Motion. Accordingly, Counts Two, Three, and Five are dismissed with respect to Altieri and Doe.
b. Plaintiff’s State-Law Claims
Plaintiff also brings state law trespass and false imprisonment claims against Altieri, Doe,
and Access Inc. (Compl. ¶¶ 108–12, 121–25.) The Court has “supplemental jurisdiction over all
other claims that are so related to claims in the action within such original jurisdiction that they
form part of the same case or controversy under Article III of the United States Constitution.” 28
U.S.C. § 1367(a). “Claims are part of the same case or controversy if they derive from a
common nucleus of operative fact[s].”
SAT Int’l Corp. v. Great White Fleet (US) Ltd.
, No. 03-
CV-7481,
Nevertheless, because the Court dismisses Plaintiff’s § 1983 claims against Altieri and
Doe, “it is within [the Court’s] discretion whether to exercise supplemental jurisdiction over
[P]laintiff’s state law claims.”
Rosato v. N.Y. Cnty. Dist. Attorney’s Office
, No. 09-CV-3742,
2. Claims Against Town Defendants
a. Plaintiff’s § 1983 Claims
Pursuant to § 1983, Plaintiff has brought claims for unreasonable search and seizure (Count Two), false imprisonment (Count Three), and excessive force (Count Four) against Individual Town Defendants. ( See Compl. ¶¶ 75–101.) The Court will address each in turn.
i. Unreasonable Search and Seizure (Count Two)
Individual Town Defendants raise five arguments with respect to Plaintiff’s unlawful
seizure claim: first, they acted lawfully pursuant to MHL § 9.45, (
see
Town Defs.’ Mem. of Law
in Supp. of Mot. To Dismiss (“Town Defs.’ Mem.”) 4–7 (Dkt. No. 40)); second, they acted
lawfully pursuant to MHL § 9.41, (
see id.
at 7–9); third, they had probable cause for the seizure,
(
see id.
at 9–12); fourth, they are entitled to qualified immunity, (
see id.
at 17–22); and fifth, they
are entitled to immunity pursuant to MHL § 9.59, (
see id.
at 13). The second and third
arguments constitute one overlapping argument that Individual Town Defendants had probable
cause for the seizure, and thus, the Court will address this argument first.
See Kerman v. City of
New York
,
The Fourth Amendment provides that “[t]he right of the people to be secure in their
persons, houses, papers, and effects, against unreasonable searches and seizures, shall not be
violated.” U.S. Const. amend. IV. “A ‘seizure’ triggering the Fourth Amendment’s protections
occurs only when government actors have, by means of physical force or show of authority, in
some way restrained the liberty of a citizen.”
Graham v. Connor
,
Whether this seizure amounted to a constitutional violation, however, depends on
whether the officers had probable cause to enter Plaintiff’s home and forcibly transport him to
the hospital. Although “[w]arrantless searches are presumptively unreasonable,” it is also true
that “police officers may enter a dwelling without a warrant to render assistance to a person
whom they reasonably believe to be in distress.”
Kerman
,
Individual Town Defendants argue that they acted lawfully pursuant to MHL § 9.41, which provides in relevant part:
Any . . . police officer who is a member of the state police or of an authorized police department or force or of a sheriff’s department may take into custody any person who appears to be mentally ill and is conducting himself or herself in a manner which is likely to result in serious harm to the person or others. Such officer may direct the removal of such person or remove him or her to any hospital specified in subdivision (a) of section 9.39 or any comprehensive psychiatric emergency program specified in subdivision (a) of section 9.40 . . . .
N.Y. Mental Hyg. Law § 9.41. The Second Circuit “interpret[s] this provision consistently with
the requirements of the Fourth Amendment,” and thus, “the same objective reasonableness
standard is applied to police discretion under this section.”
Kerman
,
The probable cause determination requires a fact-intensive analysis, “converg[ing] on
whether facts and circumstances known to the officers at the time they seized [P]laintiff were
sufficient to warrant a person of reasonable caution to believe that [Plaintiff] might be mentally
ill and conducting [himself] in a manner likely to result in serious harm to [himself].”
Guan v.
City of New York
, No. 18-CV-2417,
Here, Individual Town Defendants argue that the officers had probable cause to seize Plaintiff based on several factors “ in addition to the [Removal] Order.” (Town Defs.’ Mem. 7 (emphasis added).) Thus, before addressing these other factors, the Court will consider whether the bare existence of the Removal Order, without more, gives rise to probable cause. The only pertinent facts alleged in the Complaint—i.e., the only facts the Court may consider at this stage—are that (1) Altieri “falsely informed” Miller that Plaintiff “was exhibiting behavior indicating that he was in immediate need of care and treatment for a mental illness which was likely to result in serious harm to himself or to others,” ( id. ¶ 41); (2) Miller issued the Removal Order based on this representation, ( id. ¶¶ 42–43); (3) Altieri delivered the Removal Order to the Town Police and encouraged Individual Town Defendants to remove Plaintiff, ( id. ¶¶ 49–51); and (4) Individual Town Defendants subsequently did seize Plaintiff and transport him to Orange Regional, ( id. ¶¶ 56, 59). Based on these facts alone, the Court lacks sufficient information to determine whether the officers had probable cause for the seizure. Notably, the Complaint does not include the basis for Altieri’s allegedly false report. It does not specify, for example, what Altieri allegedly observed Plaintiff do, or what she heard him say, that gave rise to her conclusion that he needed immediate treatment. As noted, a finding of probable cause turns on the particularities of each case and the unique circumstances confronting an officer at the time the seizure occurred. Thus, the Court may not conclude there was probable cause based on the vague characterization that Plaintiff may have been “exhibiting behavior indicating that he was in immediate need of care and treatment for a mental illness which was likely to result in serious harm to himself or to others.” ( Id. ¶ 41.) In any event, Plaintiff says this report was “false[],” ( id. )—an allegation the Court must accept at this stage of the case. Even if the Court knew the facts underpinning Altieri’s conclusion, the Complaint does not specify what information Individual Town Defendants had when they seized Plaintiff. The Complaint merely alleges that Altieri delivered the Removal Order to the Town Police and exhorted the officers to make an arrest. But the Court does not know what details, if any, were included in the Removal Order, or whether Individual Town Defendants were apprised of these details. The Court does not know what information, if any, Altieri directly provided to them about Plaintiff’s condition prior to the seizure. And the Court does not know whether Individual Town Defendants themselves observed any abnormal behavior from Plaintiff prior to when they took him into custody. Thus, relying solely on the facts in the Complaint, the Court has insufficient information to conclude there was probable cause based on the existence of the Removal Order.
The cases relied upon by Individual Town Defendants are distinguishable in this regard.
Although they argue that “[c]ourts routinely dismiss Fourth Amendment unlawful seizure and
false arrest claims against social workers and law enforcement personnel in the context of an
MHL § 9.45 [p]ick [u]p [o]rder or § 9.41 seizure,” (Town Defs.’ Mem. 10–11), the three cases
they cite were each decided on a developed factual record at the summary judgment stage (or on
appeal from summary judgment), and each court’s probable cause determination was based on
the defendants’ knowledge of particular facts, rather than the existence of a removal order itself.
In
Vallen
, the court held that three social workers had probable cause to recommend and issue a
removal order based on their knowledge of the plaintiff’s (1) “history of mental illness and
violence”; (2) his failure to comply with a previously issued order of conditions; (3) an
anonymous phone call—which the plaintiff himself was suspected of placing—in which the
caller stated that the plaintiff had a gun and would not return to the hospital voluntarily; and (4)
“the accumulation of clinical evidence pointing to [the plaintiff’s] psychiatric decompensation.”
See
As noted, Individual Town Defendants argue that the officers had probable cause to seize Plaintiff based on various facts “in addition to” the Removal Order. (Town Defs.’ Mem. 7.) For example, they reference “troubling telephone calls” Plaintiff made to the police regarding “welfare checks” for civilians and “estate planning” for his pet cat in the event he were found dead. ( Id. ; see also id. at 12.) They also argue that there was probable cause based on Altieri’s report “that Plaintiff had explicitly threatened to commit suicide.” ( Id. at 11; see also id. at 7.) Because none of these facts appears in the Complaint, however, the Court will not consider them for purposes of resolving the instant Motion. Contrary to Individual Town Defendants’ assertion, the pleadings do not “clearly demonstrate” that Plaintiff was “mentally ill and posed a very serious threat to himself or others,” ( id. at 7), and these Defendants may not drag in extraneous facts to make it so.
Relying solely on the facts alleged in the Complaint, the Court cannot conclude as a
matter of law that Individual Town Defendants had probable cause for the seizure. Thus,
Plaintiff has adequately alleged a constitutional violation. At this stage of the case, it is not
Plaintiff’s obligation to establish that the officers
lacked
probable cause; rather, he “must merely
allege sufficient facts to put [D]efendants on notice of [his] claims and the grounds upon which
they rest.”
Bullard
,
But the inquiry does not end there. Having found that Plaintiff has adequately alleged a
constitutional violation, the Court must consider whether Individual Town Defendants are
entitled to qualified immunity. “[T]he doctrine of qualified immunity protects government
officials from liability for civil damages insofar as their conduct does not violate clearly
established statutory or constitutional rights of which a reasonable person would have known.”
Heller
,
Individual Town Defendants argue that they are entitled to qualified immunity because “it was not clearly established that the police could not rely on threats of suicide as reported by an identified treating mental health professional to supply probable cause for [the seizure].” (Town Defs.’ Mem. 20; see also id. at 19 (suggesting that Plaintiff cannot show “that no reasonable officer could believe . . . that a suspected mentally ill individual threaten[ing] suicide was sufficient to constitute probable cause”).) There was arguable probable cause for the seizure, they argue, based on Plaintiff’s “bizarre telephone calls” to the police department and “Altieri’s report that Plaintiff had indicated that he was going to kill himself.” ( Id. at 20.) As already noted, neither of these facts is in the Complaint, and the Court may not consider either for purposes of resolving this Motion.
“[T]o determine whether a mental-health seizure is justified by arguable probable cause,
a court must review the
specific observations and information available to the officers at the time
of a seizure
.”
Myers
,
As noted, Individual Town Defendants separately argue that they acted lawfully pursuant
to MHL § 9.45. (
See
Town Defs.’ Mem. 4–7.) This section authorizes a “director of community
services” to issue a removal order such as the one in this case, and further provides that “[i]t shall
be the duty of . . . police officers . . . to assist representatives of [a] director [of community
services] to take into custody and transport” a person who “has a mental illness for which
immediate care and treatment in a hospital is appropriate and which is likely to result in serious
harm to himself or herself or others.” N.Y. Mental Hyg. Law § 9.45. Though Individual Town
Defendants do not explicitly claim that a removal order issued under § 9.45 is the functional
equivalent of a search warrant issued by a “neutral and detached magistrate,”
Johnson v. United
States
,
As an initial matter, the Court is skeptical that a mental-health removal order issued
under MHL § 9.45 is entitled to the same deference as a search warrant issued by a neutral and
detached magistrate. It is true that one court in the Second Circuit has suggested in dicta that a
removal order is “[a]kin to the issuance of an arrest warrant,”
Hoffman
,
But the Court need not resolve this issue, for even if it treats the Removal Order as a
search warrant, dismissal of the unlawful seizure claim is still not justified at this stage.
Although a police officer who relies in good faith on a search warrant is “presumptively shielded
by qualified immunity,”
Green
,
Finally, Individual Town Defendants argue that they are protected from liability under
MHL § 9.59, which provides that a police officer who transports a person to the hospital
pursuant to the MHL “shall not be liable for damages for injuries . . . alleged to have occurred by
reason of an act or omission unless it is established that such injuries . . . [were] caused by gross
negligence.” N.Y. Mental Hyg. Law § 9.59. “Immunity from a [§] 1983 claim, however, is a
matter of federal law and cannot be immunized by state law.”
Anthony v. City of New York
, No.
00-CV-4688,
For the foregoing reasons, Town Defendants’ Motion is denied as to Count Two.
ii. False Imprisonment (Count Three)
When confronted with a false imprisonment claim under § 1983, courts look to New
York state law to determine the elements of this cause of action.
See Tobias v. County of
Putnam
,
Although Individual Town Defendants argue that the § 1983 (and state law) false
imprisonment claim must be dismissed because the confinement was privileged, either because
of the existence of probable cause or qualified immunity, (
see, e.g.
, Town Defs.’ Mem. 8–9), the
Court has determined that at this stage in the case, it cannot conclude as a matter of law that the
confinement was privileged. With this defense knocked out, Individual Town Defendants are
left to contend that the Complaint “does not raise a well-pled allegation” of false imprisonment.
(
Id.
at 24.) The Court does not share that assessment. Although the Complaint does not contain
an abundance of factual detail, it adequately alleges facts showing (1) that Individual Town
Defendants intended to confine Plaintiff, (
see
Compl. ¶¶ 52–59); (2) that Plaintiff did not consent
to this confinement, (
see id.
¶¶ 55, 59, 71); (3) that Plaintiff was aware of his confinement, (
id.
¶¶ 59, 70); and, for reasons already discussed, (4) that this confinement was not otherwise
privileged. At this early stage of the case, Plaintiff has pled all he must to survive a motion to
dismiss.
See, e.g.
,
Mooney v. County of Monroe
,
Thus, Town Defendants’ Motion is denied as to Count Three.
iii. Excessive Force (Count Four)
“Claims that law enforcement officers have used excessive force in the course of an
arrest, investigatory stop, or other seizure of a free citizen [are] analyzed under the Fourth
Amendment and its reasonableness standard.”
Usavage v. Port Auth. of N.Y. & N.J.
, 932 F.
Supp. 2d 575, 591 (S.D.N.Y. 2013) (citation, alteration, and quotation marks omitted). “When
determining whether police officers have employed excessive force in the arrest context, the
Supreme Court has instructed that courts should examine whether the use of force is objectively
unreasonable ‘in light of the facts and circumstances confronting them, without regard to [the
officers’] underlying intent or motivation.’”
Jones v. Parmley
,
Where, as here, a defendant has moved to dismiss an excessive force claim at the
pleadings stage, dismissal is only “appropriate if, accepting all of the allegations as true, it is
clear that the force used by the officers was objectively reasonable under the circumstances.”
Sanabria v. Tezlof
, No. 11-CV-6578,
Accordingly, Town Defendants’ Motion is denied as to Count Four.
b. Plaintiff’s State-Law Claims
Because the federal claims against Individual Town Defendants survive the instant
Motion, the Court may decide to exercise supplemental jurisdiction over the state law claims
against these Defendants, provided they “derive from a common nucleus of operative fact[s].”
Masciotta
,
i. Trespass (Count Six)
“Under New York law, trespass is the intentional invasion of another’s property.”
Scribner v. Summers
,
Town Defendants argue that the Court should dismiss the trespass claim because Plaintiff
has leveled a “bare-bones allegation” against the officers. (Town Defs.’ Mem. 23.) They also
argue that the trespass claim is undermined by “Plaintiff’s own admissions earlier in his
Complaint . . . [that the officers] acted upon a [Removal] Order issued pursuant to MHL § 9.45.”
(
Id.
) The latter argument studiously ignores the nature of Plaintiff’s actual argument. As the
Court has established, the Removal Order may not immunize the officers’ conduct unless their
reliance on the Order was objectively reasonable—a determination the Court cannot yet make
based on the facts before it. Because the Court lacks sufficient information to conclude that the
officers’ entry was privileged, or that their conduct was otherwise immunized, Plaintiff has
adequately alleged facts showing that the officers intentionally entered and wrongfully used his
property without justification or consent. The Complaint therefore states a claim for trespass.
See Green
,
As noted, Plaintiff brings his trespass claim not only against Individual Town
Defendants, but also against the Town itself, (
see
Compl. ¶¶ 108–12), presumably under a theory
of respondeat superior, (
see
Pl.’s Mem. of Law in Opp’n to Town Defs.’ Mot. (“Pl.’s Second
Opp’n”) 19–20 (Dkt. No. 43) (arguing that the officers “were acting within the scope of their
employment by [the Town]”)). “Unlike cases brought under § 1983, municipalities may be
liable for the common law torts . . . committed by their employees under the doctrine of
respondeat superior.”
Melvin v. County of Westchester
, No. 14-CV-2995,
ii. Assault (Count Seven) and Battery (Count Eight)
“Assault and battery claims, when alleged against a police officer, are evaluated like
excessive force claims.”
Pateman v. City of White Plains
, No. 17-CV-6156,
iii. False Imprisonment (Count Nine)
As noted, a false imprisonment claim is “substantially the same” under New York law as
it is under § 1983.
Greenaway
,
Accordingly, Town Defendants’ Motion is denied with respect to Count Nine.
III. Conclusion
For the foregoing reasons, Access Defendants’ Motion is GRANTED, and Town Defendants’ Motion is DENIED.
The Clerk of Court is respectfully directed to terminate the pending Motions, (Dkt. Nos.
37, 39).
SO ORDERED.
Dated: March 23, 2021
White Plains, New York
KENNETH M. KARAS United States District Judge
Notes
[1] Plaintiff has also named the County as a Defendant in Count Six, (Compl. ¶¶ 108–12), and has named both Miller and the County as Defendants in Count Nine, ( id. ¶¶ 121–25). Because County Defendants have not moved to dismiss the Complaint, the Court need not consider these claims with respect to Miller and the County.
[2] Section 9.27 provides in relevant part that “[t]he director of a hospital may receive and retain therein as a patient any person alleged to be mentally ill and in need of involuntary care and treatment upon the certificates of two examining physicians, accompanied by an application for the admission of such person.” N.Y. Mental Hyg. Law § 9.27(a).
[3] Plaintiff alleges that “[t]he representation that [D]efendant . . . Altieri was a licensed psychologist, registered professional nurse [or] certified [s]ocial [w]orker currently responsible for providing treatment services to [P]laintiff . . . was false.” (Compl. ¶ 46.) The basis for this conclusion seems to be the antecedent allegation that Altieri never provided treatment services to Plaintiff. ( Id. ¶ 45.) But the conclusion in ¶ 46 does not entirely follow from the allegation in ¶ 45. MHL § 9.45 uses commas to denote discrete categories of professionals who are authorized to recommend the removal of a mentally ill person. See N.Y. Mental Hyg. Law § 9.45. These commas indicate that a (1) “licensed psychologist” and a (2) “registered professional nurse or certified social worker currently responsible for providing treatment services to the person” are two distinct categories of professionals who may recommend removal. See id. Thus, although Altieri may not qualify under the latter category, based on the fact that she did not treat Plaintiff, Plaintiff does not allege facts indicating that Altieri was not “a licensed psychologist.”
[4] In a letter submitted after the close of briefing, Plaintiff’s counsel attempts to distinguish Coppola on various grounds. ( See Letter from Eugene M. Bellin, Esq., to Court (Dec. 2, 2020) (“Dec. 2 Bellin Letter”) 1–2 (Dkt. No. 49).) His suggestion that Coppola is inapposite because it involved a motion for summary judgment, rather than a motion to dismiss, is not persuasive. ( See id. at 1.) The legal principle illustrated by Coppola —namely, that a contract alone does not suffice to convert private action into state action—applies regardless of the particular stage in a litigation. Insofar as Plaintiff seeks to distinguish Coppola using facts derived from the putative contract between the County and Access Inc. here, ( see id. ), the Court does not consider those arguments for the reasons stated above.
[5] Although
Mej í a
found an absence of state action where the “mobile crisis team [had]
left [the plaintiff’s] apartment before calling the police, . . . [had not] returned or otherwise
worked jointly with the police,” and had not decided “to contact the police . . . jointly with the
NYPD or any other state actor,”
[6] In
Mej í a
, the court said that “[t]he Second Circuit has made clear that a district court
may not decline to exercise jurisdiction over state law claims where federal claims remain
against other defendants and the state law claims ‘form part of the same case or controversy.’”
[7] The defendant who served as a crisis intervention officer for the county—Mark
Hamilton—also served as a part-time deputy sheriff.
See Hoffman
,
[8] To be sure, if the evidence adduced during discovery shows that Altieri communicated
to the officers a message that these officers could have reasonably understood as Altieri’s
“expression of her professional judgment that [Plaintiff] should be seized for psychiatric
evaluation because of danger of serious physical harm,” then the officers will be “protected by
qualified immunity.”
Myers
,
[9] “Under New York law, false arrest and false imprisonment are one and the same, and
the elements for both are the same as for a false arrest claim under § 1983.”
Hershey v.
Goldstein
,
