Keith FORSYTH
v.
Richard G. KLEINDIENST, individually and as Attorney General
of the United States, L. Patrick Gray, 3rd, individually and
as Acting Director, Federal Bureau of Investigation, John N.
Mitchell, individually and as former Attorney General of the
United States, John Doe and Richard Roe, Albert Cooper and
David Porter.
Appeal of John N. MITCHELL, Albert Cooper, and David Porter.
Keith FORSYTH, Plaintiff-Respondent,
Hon. Raymond J. Broderick, United States District Judge,
Nominal Respondent,
v.
Richard G. KLEINDIENST, et al., Defendants,
John N. Mitchell, Defendant-Petitioner.
Nos. 83-1812, 83-3150.
United States Court of Appeals,
Third Circuit.
Argued Sept. 13, 1983.
Decided March 8, 1984.
Rehearing Denied April 3, 1984.
Peter F. Vaira, Jr., U.S. Atty., Newark, N.J., J. Paul McGrath, Asst. Atty. Gen., John J. Farley, III, Barbara L. Herwig, Gordon W. Daiger, Larry L. Gregg (argued), Civil Division, Dept. of Justice, Washington, D.C., for appellant-petitioner.
David Rudovsky (argued), Kairys, Rudovsky & Maguigan, Philadelphia, Pa., for appellee-respondent.
Before WEIS, HIGGINBOTHAM and SLOVITER, Circuit Judges.
OPINION OF THE COURT
A. LEON HIGGINBOTHAM, Jr., Circuit Judge.
This case involves former Attorney General John N. Mitchell's second interlocutory appeal from a denial of both absolute and qualified immunity for his authorization of unconstitutional FBI electronic surveillances of Keith Forsyth's telephone conversations with William Davidon. Forsyth v. Kleindienst,
Mitchell's appeal does not assert that the district court,
We hold that Forsyth I, as the law of the case, continues to control our disposition of this case. In our view, Nixon and Harlow simply do not demand an approach or result different from that directed by us in Forsyth I and followed by the district court on remand. Accordingly, we affirm the district court's denial of absolute immunity and dismiss, as non-appealable, Mitchell's interlocutory appeal of the district court's denial of qualified immunity. Finally, we deny petitioner Mitchell's request for a Writ of Mandamus.
I.
Keith Forsyth ("Plaintiff/Appellee") initiated this action in September, 1972 claiming that former Attorney General John N. Mitchell ("Defendant/Appellant")1 violated his rights under the Omnibus Crime Control and Safe Streets Act of 1968, 18 U.S.C. Secs. 2510-2520 and the First, Fourth, Sixth and Ninth Amendments to the Constitution. The alleged violation stemmed from Mitchell's authorization of a warrantless electronic surveillance in which Forsyth's telephone conversations with William Davidon, a professor at Haverford College and allegedly a member of an organization under investigation, were overheard. Following discovery, the district court denied cross-motions for summary judgment. Forsyth v. Kleindienst,
Mitchell filed a motion for reconsideration and, alternatively, sought certification of the district court's opinion for interlocutory appeal under 28 U.S.C. Sec. 1292(b); he was unsuccessful in both attempts. A notice of appeal was subsequently filed whereupon plaintiff moved to dismiss the appeal because it was interlocutory. This court held that "the denial of defendants' motions for summary judgment on the issue of absolute immunity is appealable under the Cohen v. Beneficial Industrial Loan Corp.,
On the merits of the appeal in Forsyth I, this court rejected Mitchell's argument that "[a]s the head of an executive agency, the Department of Justice, ... he should not be held liable for what he characterizes as an error in judgment." Id. at 1209, 1209-10. We analyzed his absolute immunity claims primarily in the context of Butz v. Economou,
Our reading of Butz and Imbler leads us to the conclusion that the Attorney General's decision to authorize the warrantless electronic surveillances is protected by the shield of absolute immunity when it is made in the context of a quasi-judicial function; however, when the decision arises in the context of a purely investigative or administrative function, the decision will not be protected by absolute immunity.
Forsyth I,
Accordingly, the case was remanded to the district court to decide the narrow question of whether Mitchell's authorization of the wiretap was closely connected with the judicial process and whether the wiretap was necessary to initiate a criminal prosecution.
On that issue, a hearing was held, but Mitchell failed to present any evidence which would support a quasi-judicial purpose for the surveillance. Indeed, the district court stressed that
[p]rior to the hearing of January 8, 1982, the government filed a memorandum of law, an affidavit, and several accompanying exhibits. At no time, however, did the government present any evidence, documentary, testimonial, or otherwise, suggesting that defendant Mitchell meant anything other than what was said in his deposition.
Forsyth v. Kleindienst,
During his deposition testimony Mitchell revealed the following uncontested facts:
[T]he Davidon wiretap had an investigatory purpose, i.e., to obtain more details about the suspected plot to destroy utility tunnels in Washington, D.C. and to kidnap National Security Council Chairman Henry Kissinger so that the Justice Department, acting through the FBI, might thwart these schemes.
Id. (emphasis added). Moreover, Mitchell admitted that he did not know whether a criminal proceeding had been initiated or whether a criminal investigation was pending regarding Davidon or the other alleged utility tunnel and Kissinger plot members at the time he authorized the wiretaps. The crucial testimony on this issue is quoted below:
Q. When you received this request [from FBI Director J. Edgar Hoover for authorization for the Davidon wiretap], did it occur to you that the information that could be obtained or would be obtained as a result of this tap could be used in a criminal prosecution?
A. It was not the point of my focus in authorizing the electronic surveillance.
Q. What was the point of your focus?
A. The gathering of information necessary to protect the national security and to get information on foreign intelligence.
Volume II Appendix ("II. App.") at 106 (emphasis added); see also II. App. at 92-96, 104-06; 123-26; 154-55. Because Mitchell testified, without repudiation, that the wiretap was authorized for national security purposes, not for any prosecutorial quasi-judicial function, the district court took him at his word.
It concluded that "[t]he purpose of the wiretap was prevention--not prosecution," Forsyth v. Kleindienst,
The district court also ruled against Mitchell on the issue of qualified immunity. Relying on Harlow,
Applying the Forsyth I test and the "special function" approach of Butz and Imbler, the district court denied defendant Mitchell's claim for absolute immunity. It also denied him qualified immunity and granted plaintiff summary judgment on the issue of liability.
Although the case was set for trial on the issues of damages, the district court declined to certify its decision for interlocutory appeal and denied defendants' Motion for a Stay of Trial pending appeal. Id. at 1263-66; Vol. I Appendix ("I. App.") at 37-45. This court granted a stay, allowed the appeal on the absolute immunity issue, and referred the appealability of the qualified immunity issue to the merits panel. Forsyth v. Kleindienst,
II. Absolute Immunity
We will consider first whether the former Attorney General John N. Mitchell should be absolutely immune from civil liability for permitting the domestic electronic surveillance of Keith Forsyth's telephone conversations with William Davidon without prior judicial authorization. The denial of a claim of absolute immunity is an interlocutory order appealable under the collateral order doctrine of Cohen v. Beneficial Industrial Loan Corp.,
Following our directive, the district court correctly applied the test enunciated in Forsyth I in denying Mitchell absolute immunity. Mitchell argues now that two recent intervening decisions of the Supreme Court control and make the Forsyth I test inappropriate. Mitchell concludes that under Nixon v. Fitzgerald,
Nixon expressly concerned the scope of the former President Richard Nixon's immunity. The finding of absolute immunity for Nixon turned on his former office as President. The Supreme Court held that the former President of the United States is protected by the doctrine of absolute immunity from damages arising from his official acts because of his unique and singular position in our constitutional system. Nixon,
We consider this immunity a functionally mandated incident of the President's unique office, rooted in the constitutional tradition of the separation of powers, and supported by our history.
* * *
The President occupies a unique position in the constitutional scheme. Article II of the Constitution provides that "[t]he executive Power shall be vested in a President of the United States ..." This grant of authority establishes the President as the chief constitutional officer of the Executive Branch, entrusted with supervisory and policy responsibilities of utmost discretion and sensitivity.
* * *
In arguing that the President is entitled only to qualified immunity, the respondent relies on cases in which we have recognized immunity of this scope for governors and cabinet officers. E.g., Butz v. Economou,
Because of the singular importance of the President's duties, diversion of his energies by concern with private lawsuits would raise unique risks to the effective functioning of government.
Nixon,
In carving out a shield of absolute immunity for the former President, the Court continued to apply the standards enunciated in Butz,
Having decided that Nixon fails to provide Mitchell with an escape from the law of the case and binding effect of Forsyth I, we turn to his reliance on Harlow for his claim of absolute immunity. Defendant Mitchell uses Harlow for support of a "special functions" analysis. In Harlow, the Court reiterated its prior recognition "that the judicial, prosecutorial, and legislative functions require absolute immunity." Harlow,
In Forsyth I we considered and interpreted the Butz "special functions" approach to provide absolute immunity to an Attorney General engaged in a quasi-judicial function. That approach was reaffirmed by the Supreme Court in Nixon and recognized with approval in Harlow. See Harlow,
For these reasons we believe that the district court did not err in denying Mitchell's absolute immunity claim for the unwarranted electronic surveillance of Forsyth's telephone conversation with William Davidon.III. Appealability of Summary Denial of Qualified Immunity
Defendant Mitchell appeals also the district court's summary denial of his qualified immunity claim. This interlocutory appeal was previously before us in Forsyth I and we found it non-appealable.2 The Supreme Court denied certiorari, Forsyth v. Kleindienst,
Mitchell argues that, at the time of our Forsyth I opinion, the doctrine of qualified immunity did not protect a defendant from the burdens of trial, but only from liability. Forsyth I,
While sharing the concern for protecting government officials from insubstantial claims, we adopt the view of Judge Sloviter "that concern over subjecting government officials to unwarranted claims is best handled through adjustment of the substantive rules of law, as the Supreme Court has recently done, and not by changing the established practice of limiting appellate review of interlocutory decisions." Forsyth v. Kleindienst,
Qualified or "good faith" immunity is an affirmative defense which the particular official who seeks to rely on it must plead. The pre-Harlow qualified or "good faith" immunity contained both subjective and objective elements. "The objective element involves a presumptive knowledge of and respect for 'basic, unquestioned constitutional rights.' " Harlow,
Because of Harlow a summary judgment motion initiated by a defendant government official can now be granted despite a plaintiff's claim that the government official lacked subjective good faith in his challenged actions. Thus, a government official may avoid insubstantial claims that are based on claims alleging the absence of subjective good faith. We interpret Harlow as encouraging the summary disposition of insubstantial claims brought against government officials, not as relaxing the rule limiting interlocutory appeals.
Moreover, we do not find Mitchell's reliance on McSurely v. McClellan,
In the case before us, however, we are without the insubstantial claims which concerned the Harlow and McSurely courts. The district court here did not defeat a defendant's motion for summary judgment simply because a plaintiff alleged a subjective lack of good faith on the part of a defendant. Instead, the district court relied on the new objective standard enunciated in Harlow and found defendant Mitchell liable on summary judgment. Therefore, Harlow and McSurely are distinguishable from this case.
At this juncture it is again appropriate to quote from Judge Sloviter's dissenting opinion from the majority's decision to deny the motion to dismiss the appeal of this issue and instead refer consideration of it to the merits panel:
The pages of current legal publications are replete with justified concern about the crushing burden under which the courts of appeals are operating. [We] fear that the decision of the panel today to allow this appeal under the mantle of the Cohen collateral doctrine order and to deny the motion to dismiss [would] open the sluices to a flood of interlocutory appeals crushing us even further under a weight of our own making.
Forsyth v. Kleindienst,
We decline to subject our colleagues to unnecessary additional burdens by opening the sluice gates; thus, mindful of our binding precedent in Forsyth I and the large number of state, local, and federal officials that often rely on claims of immunity, we will dismiss defendant's challenge to the district court's denial of his claim to qualified immunity. We will also deny, for the same reasons, defendant's Petition for Writ of Mandamus.
IV.
Accordingly, we will affirm the district court's denial of absolute immunity, dismiss the appeal of the denial of qualified immunity, and deny the Petition for Writ of Mandamus.
WEIS, Circuit Judge, dissenting.
I am persuaded that in addition to absolute immunity, the issue of qualified immunity is properly before this court. Determining that the "clearly established" test has not been met, I would find that defendant meets the requirements for qualified immunity and is entitled to judgment. Accordingly, I dissent.
* In Forsyth v. Kleindienst,
The present appeal raises the defendant's contention that the district court erred in denying not only absolute, but qualified immunity as well. In the earlier appeal, we concluded that the refusal of qualified immunity could not be reviewed on a theory of "tag along" or "pendent" appellate jurisdiction. In Cohen-type appeals only claims that fall within the collateral order exception will be entertained. Abney,
At the time Forsyth I was before us, the qualified immunity defense rested on factors not amenable to pre-trial resolution. See Wood v. Strickland,
Three years after we decided Forsyth I, the Supreme Court reappraised and substantially revised the test for qualified immunity in Harlow.
This objective standard now permits summary judgment for the official if the law was not "clearly established" at the time the challenged action occurred. But even if the right's existence had been settled, courts should grant qualified immunity if the defendant "claims extraordinary circumstances and can prove that he neither knew nor should have known of the relevant legal standard." Id. at 819,
In urging that insubstantial claims be determined before trial and even before discovery, the Court itemized costs borne not only by the defendant officials, but by society as well. "[T]he expenses of litigation, the diversion of official energy from pressing public issues, ... the deterrence of able citizens from acceptance of public office," and the inhibition from "unflinching discharge" of duty were cited as consequences to be avoided. Id. at 814, 816-17,
In short, avoiding trial through prompt disposition of insubstantial claims by summary judgment is as compelling an objective in cases properly invoking qualified immunity as in those where absolute immunity is available. The Harlow Court strongly urged early resolution of non-meritorious law suits that "undermine the effectiveness of government."
It follows inexorably that withholding appellate correction of erroneous pre-trial denials of qualified immunity frustrates Harlow's purpose in revising the test. If timely appellate review is not available to redress incorrect preliminary rulings, the right to be relieved of the burdens of trial will, just as in Abney, be irretrievably lost. See also Helstoski v. Meanor,
The Courts of Appeals for the Eighth Circuit and the District of Columbia have similarly concluded that preserving that exemption requires immediate appeal from denial of summary judgment based on qualified immunity. Evans v. Dillahunty,
In an unpublished opinion, the Court of Appeals for the Fourth Circuit in Benford v. American Broadcasting Co.,
The Fourth Circuit's later decision in Bever v. Gilbertson,
I conclude that when no essential facts are in dispute and the question is one of law, the Abney-Cohen line of cases establishes jurisdiction for appeals from denials of qualified immunity. Harlow's objectives require no less. Unlike the majority I find that the denial of qualified immunity in this case presents us with an appealable order.
II
Having determined that this court has jurisdiction for both the qualified and absolute immunity phases, I turn to the merits. Although the majority finds that our earlier decision on absolute immunity is dispositive, I must confess some doubt on that score.
Harlow's discussion of the "special functions" test, as it might apply to the Attorney General in cases implicating national security, lends a force to the defendant's argument here that was lacking in Forsyth I. "For aides entrusted with discretionary authority in such sensitive areas as national security or foreign policy absolute immunity might well be justified to protect the unhesitating performance of functions vital to the national interest." Harlow v. Fitzgerald,
The qualified immunity question is sharply drawn: was the requirement that the Attorney General of the United States secure judicial authorization for wiretaps undertaken for national security purposes "clearly established" before January 6, 1971.
The various sources to be surveyed in determining the state of the law at the pertinent time have not yet been identified but case law is an obvious beginning point. See Procunier v. Naverette,
* The wiretap in the case at bar was removed on January 6, 1971. Not until 1972, one year and five months later, was the right to be free from warrantless governmental surveillance in domestic security cases recognized by the Supreme Court. The resolution of the problem was a sensitive issue requiring careful constitutional analysis and balancing. See United States v. United States District Court,
Keith observed that electronic surveillance in national security cases had been sanctioned since 1946. Id. at 310, & n. 10,
The inquiry, as the Supreme Court posed it, was "the delicate question of the President's power, acting through the Attorney General, to authorize electronic surveillance in internal security matters without prior judicial approval.... Its resolution is a matter of national concern...." Id. The Court's opinion could not more clearly define the matter before it for decision.
Plaintiff argues, nevertheless, that the earlier case of Katz v. United States,
It is significant that Katz was not a national security case, and the Court did not purport to decide the warrant issue in that context. Indeed, a footnote to the majority opinion disclaimed any such intention. "Whether safeguards other than prior authorization by a magistrate would satisfy the Fourth Amendment in a situation involving the national security is a question not presented by this case."
B
In reviewing other federal court decisions it is interesting that before 1971 the cases had not separated the national security justification for warrantless surveillance into the categories of "domestic" and "foreign" intelligence. As Keith observed, both situations were sometimes referred to as "national security" threats.
In two unreported decisions, United States v. O'Neal, No. KC-CR-1204 (D.Kan. September 1, 1970), and United States v. Dellinger, No. 69 CR 180 (N.D.Ill. February 20, 1970), warrantless wiretaps were undertaken by the government on the basis of threats to domestic security. The surveillance was found to be proper in both of those cases. Although these unreported cases do not have the same effect as published opinions, they are relevant.
Thus the Attorney General's decision to authorize the wiretap here was made in an era when the sparse lower federal court case law unanimously supported the theory that no warrant was required in national security cases. These cases provide no support for the plaintiff's theory that the law was "clearly established." If anything, they suggest the opposite--that settled law held no warrant was required.
Only after the taps here were terminated did a district court hold that electronic surveillance in domestic security cases required judicial authorization. United States v. Smith,
The first occasion for appellate review of whether the law in this field was "clearly established" arose when some individuals overheard in the Keith surveillance sought damages from the Attorney General and others as a result of the taps which the Supreme Court had found to be illegal. In reviewing the grant of summary judgment in favor of the former Attorney General, the Court of Appeals for the District of Columbia concluded that the defendant had not violated "clearly established, authoritatively declared law." Sinclair v. Kleindienst,
Post-Harlow, that Court of Appeals again reviewed an Attorney General's entitlement to qualified immunity. Zweibon v. Mitchell,
The same Court of Appeals performed a similar review to determine the state of the law in 1977 with respect to foreign intelligence electronic surveillance. Chagnon v. Bell,
It is also significant that the Court of Appeals for the Ninth Circuit has concluded that the law was not even "clearly foreshadowed" when the Attorney General authorized wiretaps in 1969 and as late as 1972. Weinberg v. Mitchell,
C
Contemporaneous statutes do not alter the conclusion that the law was not "clearly established." Court decisions of the period did not suggest that the Attorney General's procedure conflicted with extant statutory law.
Keith found that Title III of the Omnibus Crime Control & Safe Streets Act, 18 U.S.C. Secs. 2510-2520, authorizing wiretaps under certain conditions, did not resolve the issue in that case. The Court characterized the statute as an "expression of Congressional neutrality" and "not the measure of the executive authority asserted,"
Since all of these courts also upheld the constitutionality of the warrantless surveillance, it is reasonable to conclude that Title III was at best neutral, if not in fact Congressional recognition of the President's power to continue to authorize surveillance.
The other statute pertaining to wiretaps, section 605 of the Federal Communications Act of 1934, 48 Stat. 1103, has no relevance here because its scope was limited to prohibiting the use of wiretapped conversations as evidence in court proceedings, a point not presented in the case at hand. Cf., Nardone v. United States,
A survey of law review writings on the subject in 1968-70 is interesting. Although most of the commentators advocated the view that was later adopted in Keith, their urging of that approach is in itself a testimonial to the fact that their position was not yet the law.4
Thus a review of Supreme Court and other federal court decisions, the statutory provisions, and scholarly commentary all demonstrate that the law of warrantless electronic surveillance in national security cases was only beginning to develop in 1970-71. Unquestionably, a prohibition against warrantless searches in these circumstances was not "clearly established."
III
The majority declines to consider the merits of the qualified immunity defense fearing that allowing a Abney-Cohen appeal will open the gates to a flood of interlocutory appeals. As one of those affected by the heavy case load in this court, I am not completely unsympathetic to that approach. However, I am not persuaded that it is the proper one because we must take a broader view of the federal judicial system. Sound judicial administration argues against declining a meritorious appeal when the result is to require a district court to hold a useless trial. We cannot ignore the fact that docket pressures exist in the trial as well as in the appellate courts.
The majority position is particularly regrettable in a case such as this where the question at issue is purely one of law and no discretionary element is present. The state of law in 1971 is a matter of history. The opinions are printed in bound volumes and will not change. The text of the statutes as they existed at that time cannot be varied either now or after trial. All of the material needed to decide the issue is before us and will be no different years from now.
But primarily, we should grant complete review to the legal question here because otherwise we fail to meet the obligation imposed upon us by Harlow. The Supreme Court candidly acknowledged that its previous decisions on qualified immunity were incompatible with speedy and inexpensive disposition of non-meritorious cases. To correct that shortcoming, the Court did not hesitate to revise the applicable test. However, that acknowledgment of deficiency and the effort to put it aright will be all for naught if the courts of appeals fail to exercise jurisdiction in appropriate cases.
This court should not relegate to a later date the inevitable correction of an erroneous district court appraisal of past law. This litigation has lasted far too long. It should be terminated now.
Thirteen years ago plaintiff was overheard three times when he spoke with Davidon on the telephone. Plaintiff concedes that he suffered no pecuniary loss and his freedom of expression was not chilled. The district court has awarded one dollar as nominal damages, and the only claim remaining is for punitive damages. Remand for resolution of this issue will require a possibly lengthy trial, see Forsyth v. Kleindienst,
I dissent.
Notes
Former Attorney General Richard G. Kleindienst and former Acting Director of the Federal Bureau of Investigation ("FBI"), L. Patrick Gray, 3rd, were also named originally as defendants. Plaintiff subsequently admitted that the complaints against them should be dismissed, and the appropriate court order was later entered. Two FBI employees, E. David Porter and Albert Cooper, also had been named defendants in an amendment to Forsyth's original complaint, but they too were dismissed
The dissent stresses the fact that this is an old case and that the facts are not disputed; and therefore, we ought put this case to rest now. However, we cannot base the appealability of cases based on the length of time that the parties have been involved in litigation
The retroactivity of Keith is not before us at this time. I therefore have assumed retroactivity arguendo
The proviso reads in part:
"Nor shall anything contained in this chapter be deemed to limit the constitutional power of the President to take such measures as he deems necessary to protect the United States against the overthrow of the Government by force or other unlawful means, or against any other clear and present danger to the structure or existence of the Government."
Legal commentators appear to have been uncertain about the import of the proviso. Compare Schwartz, "The Legitimation of Electronic Eavesdropping: The Politics of 'Law and Order,' " 67 MICH.L.REV. 455, 490-94 (1969) (section legitimates president's power); with Note, "Eavesdropping at the Government's Discretion--First Amendment Implications of the National Security Eavesdropping Power," 56 CORNELL L.REV. 161, 162-63 (1970) (does not regulate president's power); and Note, "Wiretapping and Electronic Surveillance--Title III of the Crime Control Act of 1968," 23 RUTGERS L.REV. 319, 334-36 (1969) (Congressional attempt to fill vacuum left by Court in Katz; section frees eavesdropping by authority of the President from requirements elsewhere in statute)
Representative of the many articles written are: Spritzer, "Electronic Surveillance by Leave of the Magistrate: The Case in Opposition," 118 U.PA.L.REV. 169 (1969); Theoharis & Meyer, "The 'National Security' Justification for Electronic Eavesdropping: An Elusive Exception," 14 WAYNE L.REV. 749 (1968); Note, "Wiretapping and Electronic Surveillance--Title III of the Crime Control Act of 1968," 23 RUTGERS L.REV. 319 (1969); Comment, "Privacy and Political Freedom: Application of the Fourth Amendment to 'National Security' Investigations," 17 U.C.L.A.L.REV. 1205 (1970)
