SAIFULLAH KHAN, Plaintiff-Appellant, v. YALE UNIVERSITY, PETER SALOVEY, JONATHON HALLOWAY, MARVIN CHUN, JOE GORDON, DAVID POST, MARK SOLOMON, ANN KUHLMAN, LYNN COOLEY, PAUL GENECIN, STEPHANIE SPANGLER, SARAH DEMERS, CAROLE GOLDBERG, UNKNOWN PERSONS, Defendants, & JANE DOE, Defendant-Appellee.
No. 21-95-cv
United States Court of Appeals for the Second Circuit
MARCH 4, 2022
AUGUST TERM 2021. ARGUED: OCTOBER 29, 2021. On Appeal from the United States District Court for the District of Connecticut.
Before: LIVINGSTON, Chief Judge, KEARSE, and RAGGI, Circuit Judges.
Plaintiff Saifullah Khan appeals from a February 9, 2021 partial final judgment of the United States District Court for the District of Connecticut (Dooley, J.), dismissing his claims for defamation and tortious interference with contract against defendant “Jane Doe” insofar as Doe‘s assertions that Khan sexually assaulted her in 2015 while the two were students at Yale University resulted in Khan‘s expulsion from the school. The district court concluded that Khan failed to state claims for which relief could be granted because Doe‘s initial 2015 assertions of sexual assault fell outside the applicable statute of limitations and her 2018 reassertions of the sexual assault at a Yale disciplinary hearing were shielded by quasi-judicial immunity, precluding both defamation and tortious interference claims. See
QUESTIONS CERTIFIED AND DECISION RESERVED.
CAMERON LEE ATKINSON (Norman A. Pattis, on the brief), The Pattis Law Firm, LLC, New Haven, CT, for Plaintiff-Appellant.
JAMES M. SCONZO (Brendan N. Gooley, on the brief), Carlton Fields, P.A., Hartford, CT, for Defendant-Appellee.
In 2015, while both were students at Yale University, defendant “Jane Doe” accused plaintiff Saifullah Khan of sexual assault.1 As a consequence, Yale initiated university disciplinary proceedings against Khan, and the State of Connecticut criminally charged him with sexual assault.
Khan seeks to litigate Doe‘s sexual assault accusations for a third time, suing Doe in the United States District Court for the District of Connecticut (Kari A. Dooley, Judge) for defamation and tortious interference with contract, claims on which he would bear a preponderance burden at any trial.2 Khan now appeals from a February 9, 2021 partial final judgment of the district court dismissing his complaint against Doe in its entirety on absolute quasi-judicial immunity and statute of limitations grounds. See Khan v. Yale Univ., 511 F. Supp. 3d 213 (D. Conn. 2021);
BACKGROUND
The following facts are drawn from Khan‘s complaint, documents incorporated therein, and facts of which we may take judicial notice. For present purposes, “we evince no views concerning whether the ‘facts’ we detail below are actually true. Our task is limited to determining whether, if [Khan‘s] allegations were true, they would state a . . . claim.” Menaker v. Hofstra Univ., 935 F.3d 20, 26 n.1 (2d Cir. 2019) (emphasis in original). In applying this standard, we are obliged to view the facts in the light most favorable to Khan. See Littlejohn v. City of New York, 795 F.3d 297, 306-07 (2d Cir. 2015).
I. Doe‘s 2015 Claim of Sexual Assault
Saifullah Khan, a citizen of Afghanistan, was born in a refugee camp in Pakistan, to which country his family had fled after having their lives threatened by the Taliban. When Khan was sixteen, his family settled in the United Arab Emirates, and it was from there that Khan applied for and received acceptance to Yale‘s undergraduate class of 2016. In addition to providing Khan with the financial assistance necessary for him to attend Yale, the university helped Khan receive admission to (and financial support for attendance at) the Hotchkiss School, where he spent a preparatory year before entering Yale in the fall of 2012.
On Halloween night in 2015, Khan and fellow Yale student Jane Doe separately attended an off-campus party hosted by one of the university‘s “secret societies.” At some point, Khan and Doe left the
The next morning, Doe told friends that Khan had raped her. That same day, however, when Doe sought contraceptive assistance at the university‘s health center, she reported having engaged in consensual, unprotected sex. A few days later, when Doe publicly repeated her rape claim, she was directed to the Yale Women‘s Center. There, a counselor (defendant David Post), assisted Doe in preparing a formal university complaint against Khan. Upon receipt of that complaint, a Yale deputy dean (defendant Joe Gordon) suspended Khan, ordering him to vacate his dormitory room and to leave campus. Soon thereafter, Yale began a disciplinary proceeding against Khan under the university‘s Sexual Misconduct Policy.
At and about the same time, the Yale Police Department opened an investigation into Doe‘s sexual assault claim. This ultimately resulted in the State of Connecticut criminally charging Khan with sexual assault in the first, second, third, and fourth degrees. See
II. State Criminal Trial
The state‘s criminal case against Khan would not be resolved for approximately two and a half years. On March 7, 2018, after a two-week trial, a Connecticut jury acquitted Khan of all charges after less than a full day‘s deliberations. Khan attributes this outcome to his attorney‘s ability to cross-examine Doe, highlighting various memory lapses and inconsistences in her accounts of the alleged sexual assault, and eliciting flirtatious communications that she had sent Khan in the days before Halloween 2015.4
Khan‘s trial and its outcome were unfavorably reported on in the Yale Daily News. Thereafter, over 77,000 persons signed a petition urging Yale not to readmit Khan, notwithstanding his acquittal. Yale nevertheless permitted Khan to resume full-time student status at the start of the Fall 2018 term.
III. New Sexual Assault Allegations
On October 5, 2018, the Yale Daily News reported new sexual assault accusations
Thereafter, Khan was not permitted to return to Yale‘s campus until November 2018, when Yale resumed its sexual misconduct disciplinary proceeding against Khan based on Doe‘s 2015 complaint.
IV. Yale Disciplinary Proceeding on Doe‘s Sexual Assault Claim
A. Yale‘s Sexual Misconduct Policy
Yale‘s disciplinary proceeding against Khan was conducted pursuant to the university‘s formal Sexual Misconduct Policy, adopted in or about 2011. Because Khan asserts that this policy was prompted by communications that Yale received from the United States Department of Education Office for Civil Rights (“DOE“), we briefly summarize those communications at the outset.
1. DOE Communications
In a communication dated April 4, 2011, DOE advised colleges and universities generally that their continued receipt of federal funding under
In another 2011 communication, this one prompted by a student complaint, DOE advised Yale that it had been deficient in responding to student reports of sexual misconduct. The Complaint does not indicate whether DOE pursued the matter further after Yale adopted its Sexual Misconduct Policy.
2. Connecticut Law
Although Khan does not plead Connecticut law‘s effect on Yale‘s Sexual Misconduct Policy, we take judicial notice that in 2012—i.e., within months of Yale adopting its policy, and almost six years before the university‘s 2018 hearing on Doe‘s claims against Khan—Connecticut enacted
In addition to reporting requirements, Connecticut law mandates, among other things, that covered institutions employ an “affirmative consent” standard in reviewing sexual assault claims.
3. Yale‘s Sexual Misconduct Policy
Yale‘s Sexual Misconduct Policy proscribes its faculty, employees, and students from engaging in sexual misconduct. The policy defines sexual misconduct
[to] incorporate[] a range of behaviors including sexual assault (which includes rape, groping and any other non-consensual sexual contact), sexual harassment, intimate partner violence, stalking, and any other conduct of a sexual nature that is non-consensual, or has the purpose or effect of threatening or intimidating a person or persons.
App‘x at 75. Otherwise, the policy focuses mainly on procedures for reporting and investigating such misconduct.
The policy provides, among other things, for a University-Wide Committee on Sexual Misconduct (“UWC“), consisting of approximately thirty members appointed by Yale‘s provost from across the university‘s
Yale‘s policy empowers the appointed fact-finder to “gather documents and conduct interviews as necessary to reach a thorough understanding of the facts and circumstances surrounding the allegations of the complaint,” which are then described in a “report” that may also address the credibility of witnesses, but not reach conclusions as to any violation of University policy. Id. at 80. While there is no requirement that statements made or evidence submitted to the fact-finder (or, later, to the UWC hearing panel) be sworn or otherwise satisfy any rules of reliability, Yale policy does state that a “[f]ailure to provide truthful information or any attempt to impede the UWC process may result in a recommendation for a more severe penalty or a referral for discipline.” Id. at 77.
The fact-finder‘s report is transmitted to the UWC hearing panel and to the complainant and respondent (“the parties“), whereupon the panel conducts a hearing “intended primarily” to allow its members “to interview the complainant and the respondent with respect to the fact-finder‘s report.” Id. at 80. The parties do “not appear jointly before the panel” unless they expressly agree to do so. Id. Rather, when one is being interviewed by the panel, the other must remain in a separate room with only “audio access to the proceedings.” Id. Preliminary to any panel interview, each party may make a 10-minute preliminary statement, a written copy of which is provided to the other party. The panel alone then poses questions to the party. And while parties may propose questions to the panel, the panel, “at its sole discretion,” decides what questions to ask. Id. The policy appears to afford no opportunity for parties to offer closing statements. Further, while the policy permits parties to be accompanied by an advisor (who may be an attorney) at any step in the disciplinary process, it specifically prohibits an advisor from speaking for a party or offering evidence on his or her behalf.
Within 10 days of the final hearing session, the UWC hearing panel must set out its findings of fact and its violation conclusion in a written report to the relevant final Yale decisionmaker who, in the case of an accused student, is “the dean of the respondent‘s school.” Id. at 81. Copies of this report are furnished to the parties, who have three days to submit a written response. The decisionmaker then determines whether any further hearings are necessary and, if not, renders a written decision setting forth the decisionmaker‘s conclusions as to any violation of Yale‘s Sexual Misconduct Policy and any penalties to be imposed. Student parties can appeal a decisionmaker‘s determination to Yale‘s provost, but only on two grounds: (1) procedural error preventing a fair adjudication,
B. Yale‘s UWC Proceeding Against Khan
In November 2018, a UWC hearing panel convened to consider Doe‘s complaint that Khan had sexually assaulted her on campus three years earlier.13 Both Doe and Khan appeared at the hearing: Khan in person; Doe (who had by this time graduated from Yale) by teleconference from a remote location. Despite the fact that Doe was not physically present, neither Khan nor his attorney-advisor was permitted to be in the hearing room when Doe made her preliminary statement and answered panel questions. Rather, Khan and his attorney were required to remain in another room, provided with only an audio feed of Doe‘s appearance.14 Nor was Khan‘s attorney permitted to speak on his client‘s behalf or to voice objections to panel questions that Khan now asserts were compound or assumed facts not in evidence.
The final UWC hearing panel report is not before this court. Khan, however, asserts that the panel found him to have violated Yale‘s Sexual Misconduct Policy in his 2015 encounter with Jane Doe, as a result of which Yale expelled him.
V. The Instant Action
On December 13, 2019, Khan brought this federal action against Yale, various of its employees, and Doe. On January 7, 2021, the district court granted Doe‘s motion to dismiss all claims against her. Insofar as Khan sued Doe for defamation based on her assertions of sexual assault before the UWC panel, the district court concluded that Doe enjoyed absolute immunity for her statements in this quasi-judicial proceeding. See Khan v. Yale Univ., 511 F. Supp. 3d at 226. While acknowledging that no binding Connecticut authority had extended absolute immunity to statements made during the proceedings of a non-government entity, the district court concluded that extending such immunity to a complaining party in a Yale UWC proceeding was warranted by the functional six-factor test employed by Connecticut to identify quasi-judicial proceedings, see id. at 220-21, and by public policy, see id. at 225-26. Insofar as Khan sued Doe for tortious interference with contract based on her initial rape accusations in 2015, the district court concluded that his claim was barred by Connecticut‘s three-year statute of limitations for tort actions. See id. at 226-27. Moreover, because absolute immunity shielded Doe‘s 2018 statements to the UWC panel, the district court ruled that Khan could not rely on these later statements to demonstrate a continuing course of tortious interference falling within the limitations period. See id. at 227-28.
The district court subsequently granted Khan‘s motion to reduce the ruling in favor of Doe to a partial final judgment, see
DISCUSSION
I. Standard of Review
“To survive a motion to dismiss, a complaint must contain sufficient factual matter, accepted as true, to ‘state a claim to relief that is plausible on its face.‘” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009);
To state a claim for defamation under Connecticut law, a party must plead facts plausibly demonstrating that,
- the defendant published a defamatory statement;
- the defamatory statement identified the plaintiff to a third person;
- the defamatory statement was published to a third person; and
- the plaintiff‘s reputation suffered injury as a result of the statement.
Cweklinsky v. Mobil Chem. Co., 267 Conn. 210, 217, 837 A.2d 759 (2004).
To state a claim for tortious interference with contract under Connecticut law, a party must plead facts plausibly demonstrating,
- the existence of a contractual or beneficial relationship;
- the defendant‘s knowledge of that relationship;
- the defendant‘s intent to interfere with the relationship;
- that the interference was tortious; and
- a loss suffered by the plaintiff that was caused by the defendant‘s tortious conduct.
Rioux v. Barry, 283 Conn. 338, 351, 927 A.2d 304 (2007).
Essential to both Khan‘s defamation and tortious interference claims is his allegation that Doe falsely accused him of sexual assault at the 2018 UWC hearing. While Khan also pleads that Doe falsely accused him of the same sexual assault in 2015, her 2018 repetition of the accusation is necessary for Khan‘s claim of a continuous, timely tortious interference with his contract with Yale. Thus, on this appeal, we need only consider whether the district court correctly dismissed all of Khan‘s claims against Doe because her 2018 statements were shielded by the absolute immunity that Connecticut extends to statements made by witnesses or complainants during the course of quasi-judicial proceedings.
In urging error, Khan does not dispute that Connecticut affords absolute quasi-judicial immunity from damages actions sounding both in defamation and tortious interference. See Rioux v. Barry, 283 Conn. at 311 (distinguishing such torts from action for vexatious litigation for purposes of quasi-judicial immunity). Instead, he argues that quasi-judicial immunity does not apply to proceedings by non-government entities such as Yale.
In deciding de novo whether Connecticut extends quasi-judicial immunity to Yale‘s UWC proceeding, we give the “fullest weight to pronouncements of the state‘s highest court.” Schwab Short-Term Bond Mkt. Fund v. Lloyds Banking Grp. PLC, 22 F.4th 103, 120 (2d Cir. 2021) (internal quotation marks omitted). Because the Connecticut Supreme Court has not addressed the application of quasi-judicial
II. Quasi-Judicial Immunity
A. Common Law Origin
The doctrine of absolute judicial immunity is not unique to Connecticut. Rather, this immunity, which shields judges, parties, and witnesses from damages actions for statements made by them in judicial and quasi-judicial proceedings, has its origins in English common law. See Briscoe v. LaHue, 460 U.S. 325, 330-31 (1983) (tracing judicial immunity to sixteenth century). With respect to witnesses,
the immunity is grounded in a public policy concern that the risk of damages actions could discourage persons from providing evidence or cause them to shade their testimony, thereby impeding the judicial search for truth. Id. at 333. Absolute immunity removes this risk, with the law relying instead on the adversarial process to identify truth and expose falsehood. Id. at 333-34 (observing that, underlying absolute immunity afforded witnesses is view that “truth-finding process is better served if the witness‘s testimony is submitted to ‘the crucible of the judicial process so that the factfinder may consider it, after cross-examination, together with the other evidence in the case to determine where the truth lies‘“).16
B. Connecticut Supreme Court Precedents
Consistent with common law, “Connecticut courts have long held that ‘[p]articipants in a judicial process must be able to testify . . . without being hampered by fear of actions seeking damages for statements made . . . in the course of the judicial proceeding.‘” Vidro v. United States, 720 F.3d 148, 151 (2d Cir. 2013) (quoting Gallo v. Barile, 284 Conn. 459, 466, 935 A.2d 103 (2007)); see Blakeslee & Sons v. Carroll, 64 Conn. 223, 232, 29 A. 473 (1894) (recognizing privilege). But, as Connecticut courts themselves acknowledge, they have not always been clear as to “the extent of the privilege, or . . . the occasions” to which it applies, particularly with respect to quasi-judicial proceedings. Blakeslee & Sons v. Carroll, 64 Conn. at 233, 29 A. 473. The ambiguity persists to this day. See, e.g., Kenneson v. Eggert, 196 Conn. App. 773, 782, 230 A.3d 795 (App. Ct. 2020) (“The judicial proceeding to which absolute immunity attaches has not been defined
At the end of the nineteenth century, the Connecticut Supreme Court was cautious in recognizing quasi-judicial immunity, explaining that because “[t]he doctrine of absolute privilege is so inconsistent with the rule that a remedy should exist for every wrong,” the class of proceedings to which it applied “is comparatively a narrow one, . . . generally strictly confined to legislative proceedings, judicial proceedings in the established courts of justice, acts of State, and acts done in the exercise of military and naval authority.” Blakeslee & Sons v. Carroll, 64 Conn. at 232, 235, 29 A. 473. Thus, in Blakeslee & Sons, the Connecticut Supreme Court declined to recognize an investigative hearing by a committee of the New Haven board of aldermen as a “judicial or quasi judicial” proceeding, even though the committee had the power to issue subpoenas and administer oaths according to the same rules as Connecticut‘s judicial courts. Id. at 234-35, 29 A. 473 (emphasis in original). The court reasoned that the committee could in “no proper sense . . . be called a judicial body or its proceedings judicial” because its singular purpose and duty was to “investigate the truth of certain statements made to the board of aldermen” in order to “report to the board . . . which might altogether disregard what the committee had done.” Id. at 234, 29 A. 473. It ruled that “[a] judicial proceeding within the meaning of the rule as to absolute privilege must . . . be one carried on in a court of justice established or recognized by law, wherein the rights of the parties which are recognized and protected by law are involved and may be determined.” Id.
For almost a century, the Connecticut Supreme Court cited Blakeslee & Sons as support for recognizing “an absolute privilege for statements made in judicial proceedings.” Petyan v. Ellis, 200 Conn. 243, 245, 510 A.2d 1337 (1986). But in Petyan, a sharply divided Supreme Court was more receptive than it had been in Blakeslee & Sons to extending the privilege to quasi-judicial administrative proceedings. The proceeding at issue in Petyan was a State Labor Department unemployment eligibility hearing. In affording absolute immunity to an employer who did not testify at the hearing but whose statements on a department form were considered by the hearing panel, the Connecticut Supreme Court observed that “the proceedings of many administrative . . . boards and commissions” are properly recognized as quasi-judicial and, thus, warrant absolute immunity “so far as they have powers of discretion in applying the law to the facts which are regarded as judicial or quasi-judicial, in character.” Id. at 246, 510 A.2d 1337 (internal quotation marks omitted).17 The Court concluded that this power was evident in the Labor Department proceeding because, “[i]n the processing of unemployment compensation claims, the administrator, the referee and the employment security board of review decide the facts and
then apply the appropriate law.” Id. at 248, 510 A.2d 1337 (citing applicable statutes). In short, unlike the committee in Blakeslee & Sons, whose power was only investigative, the hearing panel in Petyan had adjudicative power in the application of particular laws to facts.
At the same time that the Connecticut Supreme Court‘s decision in Petyan appears liberally to apply quasi-judicial immunity
This, however, does not permit us to predict that the Connecticut Supreme Court would never recognize a non-government proceeding as quasi-judicial. What about circumstances where a non-government entity conducts a hearing mandated by certain laws? Or a hearing in conformity with certain laws? To date, the Connecticut Supreme Court has not considered, much less answered, any of these questions.
To be sure, that court has stated that it defines “‘judicial proceeding’ . . . liberally to encompass much more than civil litigation or criminal trials.” Hopkins v. O‘Connor, 282 Conn. 821, 839, 925 A.2d 1030 (2007).19 But its extensions of quasi-judicial immunity after Petyan have all been in the context of administrative proceedings by government entities. See, e.g., Kelley v. Bonney, 221 Conn. 549, 606, 606 A.2d 693 (1992) (extending quasi-judicial immunity to State Board of Education teaching certificate revocation proceeding); Craig v. Stafford Const., Inc., 271 Conn. 78, 856 A.2d 372 (2004) (same re: Hartford Police Department internal affairs investigation).20 Indeed, in both Kelley and Craig, the court reiterated Petyan‘s pronouncement that the proceedings of administrative entities can be quasi-judicial “so far as they have powers of discretion in applying the law to the facts.” See
Kelley v. Bonney, 221 Conn. at 566, 606 A.2d 693; accord Craig v. Stafford Const., Inc., 271 Conn. at 85, 856 A.2d 372.
In each case, the court then went on to identify factors that could “assist in determining whether a proceeding is quasi-judicial,” specifically,
whether the body has the power to: (1) exercise judgment and discretion; (2) hear and determine or . . . ascertain facts and decide; (3) make binding orders and judgments; (4) affect the personal property rights of private persons; (5) examine witnesses and hear the litigation of the issues on a hearing; and (6) enforce decisions or impose penalties.
Craig v. Stafford Const., Inc., 271 Conn. at 85, 856 A.2d 372 (quoting Kelley v. Bonney, 221 Conn. at 567, 606 A.2d 693).21 But these were “in addition” to, not in lieu of, the foundational law-to-fact requirement. Id. And, in each case, the court instructed “[f]urther” that it was “important to consider whether there is a sound public policy reason for permitting the complete freedom of expression that a grant of absolute immunity provides.” Id. (quoting Kelley v. Bonney, 221 Conn. at 567, 606 A.2d 693).
We understand these three principles to instruct as follows: First, a quasi-judicial proceeding is one that applies law to facts. Second, even some proceedings applying law to facts might not be quasi-judicial where consideration of the additional six factors
indicates that the entity at issue does not exercise powers akin to a judicial entity. And third, a separate inquiry into public policy may show that, even where proceedings satisfy the initial law-to-fact and adjudicative powers requirements, the public interest sometimes may support absolute immunity, but sometimes may not. For example, in some circumstances, public policy may be adequately served by qualified immunity, which shields all but malicious or knowing falsehoods. See infra at 39-41 (discussing Cleavinger v. Saxner, 474 U.S. 193, 204-206 (1985) (affording federal officials presiding at prison disciplinary proceeding only qualified immunity), and Rom v. Fairfield Univ., No. CV020391512S, 2006 WL 390448 (Conn. Super. Ct. Jan. 30, 2006) (affording qualified rather than absolute immunity to witnesses in private university disciplinary proceeding)); see also Doe v. Roe, 295 F. Supp. 3d 664, 676-77 (E.D. Va. 2018) (holding, under Virginia law, that weak procedural safeguards and absence of government involvement in private university misconduct hearing made qualified rather than absolute immunity “appropriate privilege to apply“).
III. Inability to Predict Connecticut‘s Application of Quasi-Judicial Immunity to this Case
A. Connecticut Supreme Court Precedents Admit No Prediction
Applying these precedents to this case, we cannot predict whether Connecticut would recognize a Yale UWC hearing as quasi-judicial so as to afford Doe absolute immunity.
1. The Law-to-Fact Requirement
In Kelley, the Connecticut Supreme Court found the initial law-to-fact requirement satisfied because the Board of Education there was required to apply particular laws and regulations to its findings of fact in order to revoke a teaching certification. See Kelley v. Bonney, 221 Conn. at 567-68, 606 A.2d 693 (identifying relevant law and regulation). In Craig, the court found the requirement satisfied by the police department‘s obligation to apply its “official code of conduct” and “collective bargaining agreement” to facts found during
But if this makes it difficult to predict that Connecticut would recognize a UWC hearing as quasi-judicial, it does not necessarily resolve the immunity question in Khan‘s favor. As Khan asserts, Yale‘s Sexual Misconduct Policy was formulated to conform to the requirements of Title IX—or, at least, DOE guidance as to the requirements of that law. And, as we have judicially noticed, by the time Khan‘s UWC hearing was held in 2018, Yale was also subject to
2. Judicial-Like Procedures
Indeed, our ability to predict an answer to that question is complicated by the fact that, in identifying certain government administrative proceedings as quasi-judicial in Kelley and Craig, the Connecticut Supreme Court not only reiterated Petyan‘s law-to-fact requirement, but also highlighted the employment of certain procedures akin to those used in traditional judicial proceedings to “ensure . . . reliability.” Kelley v. Bonney, 221 Conn. at 571, 606 A.2d 693. Specifically, in both the Board of Education and Police Department proceedings at issue in those cases, (1) either witnesses (in Craig) or the complainant (in Kelley) were required to be under oath; and (2) parties were permitted (a) to “be present throughout the hearing,” (b) to “be represented by counsel,” (c) “to call and cross-examine witnesses,” and (d) “to present oral argument.” Id. at 569-70, 606 A.2d 693; see Craig v. Stafford Const., Inc., 271 Conn. at 87-88, 856 A.2d 372. To be sure, in Petyan, the Connecticut Supreme Court had held that the absence of an oath requirement was not fatal to identifying a proceeding as quasi-judicial. See Petyan v. Ellis, 200 Conn. at 251-52, 510 A.2d 1337.24 And in Kelley and Craig, the court observed that non-public, even ex parte, proceedings can be “judicial.”
See Kelley v. Bonney, 221 Conn. at 566, 606 A.2d 693; accord Craig v. Stafford Const., Inc., 271 Conn. at 84-85, 856 A.2d 372.25 Nevertheless, the emphasis that Kelley and Craig place on traditional reliability-ensuring judicial procedures suggests that the more such procedures are employed in
By that standard, it is difficult to identify Khan‘s UWC hearing as quasi-judicial. Nothing in the present record indicates that UWC hearing witnesses testify under oath—only that there can be adverse disciplinary consequences for failing to testify truthfully (though what those might be for persons such as Doe, who have graduated and left Yale, is not clear). See App‘x at 77. What the record does show is that a person under investigation is specifically not permitted to be physically present throughout UWC hearings. Rather, when a complainant is interviewed by the committee—even remotely by teleconference, as in Doe‘s case—the person under investigation is excluded from the hearing room and provided with only an audio feed of the proceeding. See id. at 80. Moreover, cross-examination is expressly denied, and there appears to be no opportunity for closing argument. As for an attorney, a person may enlist counsel as his hearing advisor, but the attorney may not speak on the party‘s behalf, question witnesses, raise objections, or actively participate in ways generally associated with the idea of “representation” in judicial proceedings. See id. at 78. Moreover, to the extent these departures from traditional judicial proceedings were informed or sanctioned by DOE‘s 2011 “Dear Colleague Letter,” the result appears to have been intentional. See id. at 90 (stating that “school‘s Title IX investigation” into sexual misconduct “is different from any law enforcement investigation“).
Thus, even assuming the possibility of the Connecticut Supreme Court recognizing a non-government proceeding as quasi-judicial, at least when law is being applied to facts, it is difficult to predict whether that court would recognize Yale‘s UWC hearing as quasi-judicial in the absence of so many of the judicial reliability procedures emphasized in Kelley and Craig.
3. Additional Six Factors
The uncertainty identified at the law-to-fact step of analysis is not removed by the additional six factors that Kelley and Craig list as relevant to identifying quasi-judicial proceedings. The Connecticut Supreme Court has plainly stated that “a quasi-judicial body need not possess all six powers” referenced in these factors to be identified as quasi-judicial. Craig v. Stafford Const., Inc., 271 Conn. at 94-95, 856 A.2d 372 (internal alteration and quotation marks omitted). Nevertheless, because “the more [such] powers it possesses, the more likely the body is acting in a quasi-judicial manner,” id. (internal quotation marks omitted), it is important for us to understand just how the Connecticut Supreme Court would apply those factors in the circumstances of this case.
As earlier noted, we understand the six factors enumerated in Kelley and Craig to apply in addition to an initial law-to-fact requirement. Thus, we assume the factors are properly considered in light of that requirement. In short, we understand the first two factors to ask whether a hearing
Similarly, as to the third, fourth, and sixth factors (whether the body has the power to “make binding orders and judgments,” “affect the personal or property rights of private persons,” and “enforce decisions or impose penalties“), it may be important to know how, if at all, the Connecticut Supreme Court understands Yale to be applying law in a UWC proceeding. Compare Craig v. Stafford Const., Inc., 271 Conn. at 89, 856 A.2d 372 (identifying internal affairs inquiry as quasi-judicial proceeding because, inter alia, police chief could himself act on inquiry‘s recommendations), with Preston v. O‘Rourke, 74 Conn. App. 301, 314, 811 A.2d 753 (App. Ct. 2002) (equating arbitration award to binding order and judgment because it could be converted to a court judgment). Further, we cannot predict how the Connecticut Supreme Court would weigh the fifth factor (whether the body may “examine witnesses and hear the litigation of the issues on a hearing“) without knowing whether, in light of Kelley and Craig, the court contemplates that “witnesses” in judicial and quasi-judicial proceedings will be under oath and/or subject to cross-examination, and that the “litigation of the issues on a hearing” will occur with persons under investigation being present throughout the hearing, represented by counsel who can speak on their behalf, and afforded some opportunity for a closing statement. See Kelley v. Bonney, 221 Conn. at 567, 606 A.2d 693.
4. Public Policy
Finally, as for public policy considerations, the Connecticut Supreme Court in Kelley appears to have assumed that—and, therefore, did not discuss why—the public interest in full and frank Board of Education inquiries into a teacher‘s misconduct toward students warranted absolute immunity. See id. at 571, 606 A.2d 693. In extending absolute immunity to police internal affairs investigations in Craig, however, the Connecticut Supreme Court offered a public policy rationale that seems to apply to both cases. The court there first identified the public concern: because of “the costs and inconvenience associated with defending a defamation suit,” without absolute immunity, “good faith criticism of governmental misconduct might be deterred by concerns about unwarranted litigation.” Craig v. Stafford Const., Inc., 271 Conn. at 95, 856 A.2d 372 (internal quotation marks omitted). It then reached its public policy conclusion: “the policy of encouraging citizen complaints against those people who wield extraordinary power within the community outweighs the need to protect the reputation of the [person] against whom the complaint is made.” Id. at 96, 856 A.2d 372.
This reasoning is not clearly analogous to this case. Craig‘s policy rationale for applying absolute quasi-judicial immunity focuses on the public interest in the reporting of “governmental misconduct” because of the “extraordinary power” government
At the same time, and for reasons already discussed, we recognize that Yale‘s UWC proceedings, at least in some respect, may be required by federal and state law. Just as this raises questions about whether the proceedings themselves might be deemed to apply law to fact, it also presents a possible distinct public policy rationale for affording immunity to participants in such proceedings. But that hardly means the immunity would have to be absolute. Connecticut‘s public interest might be adequately served by affording qualified immunity. In short, these questions “require[ ] value judgments and important public policy choices” that the Connecticut Supreme Court is better situated to make than this court. Penguin Grp. (USA) v. Am. Buddha, 609 F.3d 30, 42 (2d Cir. 2010).
* * *
For all these reasons, our review of the Connecticut Supreme Court‘s quasi-judicial immunity precedents does not permit us to predict whether that court would extend such absolute immunity to non-government proceedings generally or to Yale‘s UWC disciplinary proceeding specifically.
B. Connecticut Lower Court Decisions Admit No Prediction
Just as we are not able to resolve that question by reference to Connecticut Supreme Court decisions, so also are we unable to do so by looking to decisions of Connecticut‘s lower courts. While the decisions of such courts are “not controlling,” where, as here, “the highest court of the State has not spoken on the point,” we may nevertheless give them “some weight” in identifying state law. Commissioner v. Bosch‘s Est., 387 U.S. 456, 465 (1967).
1. Connecticut Appellate Court
Like the state Supreme Court, the Connecticut Appellate Court has extended quasi-judicial immunity to a variety of administrative proceedings. See, e.g., Priore v. Haig, 196 Conn. App. 675, 705, 230 A.3d 714 (App. Ct.) (identifying planning and zoning commission hearing as quasi-judicial), cert. granted 335 Conn. 955, 239 A.3d 317 (2020); Cohen v. King, 189 Conn. App. 85, 91, 206 A.3d 188 (App. Ct. 2019) (extending absolute quasi-judicial immunity to chief counsel in disciplinary proceeding conducted pursuant to Connecticut Judicial Branch Administrative Policy), cert. denied 336 Conn. 925, 246 A.3d 986 (2021); Mercer v. Blanchette, 133 Conn. App. 84, 93, 33 A.3d 889 (App. Ct. 2012) (extending absolute immunity to statements made by member of panel monitoring compliance with federal consent judgment); Morgan v. Bubar, 115 Conn. App. 603, 617-21, 975 A.2d 59 (App. Ct. 2009) (extending absolute immunity to witness in Department of Correction internal investigation); Preston v. O‘Rourke, 74 Conn. App. at 312, 811 A.2d 753 (identifying as quasi-judicial arbitration proceeding conducted pursuant to state statute, which upheld dismissal of state prosecutor). But the Appellate Court has never extended
In urging this court to do so here, Doe argues that Preston should be viewed as a run-of-the-mill employment arbitration, which the Appellate Court itself described as a “hybrid” public-private proceeding. Preston v. O‘Rourke, 74 Conn. App. at 314, 811 A.2d 753. The reason this does not persuade is that the Appellate Court so described the case in rejecting a contention that the arbitration at issue was a purely private proceeding. Indeed, the court emphasized both the public roles of the opposing parties as well as the specific state laws that governed their employment contract and that approved arbitration for disputes arising thereunder. Id. at 313-15, 811 A.2d 753.
To be sure, in explaining its conclusion, the Connecticut Appellate Court made a general observation: “If witnesses in arbitration proceedings were not afforded the protection of absolute immunity, as in more formal judicial proceedings, arbitration no longer would be seen as a desirable alternative form of dispute resolution.” Id. at 314, 811 A.2d 753. But even if this might lend some support to an argument that a private proceeding can be deemed “public” by virtue of playing a role in a larger statutory scheme, it is not enough to let us predict that the Connecticut Supreme Court would reach that conclusion with respect to a Yale UWC hearing insofar as that proceeding and the policy underlying it is informed by Title IX and
Indeed, that hesitancy is reinforced by the Connecticut Appellate Court‘s repeated use of language in Priore implying a background assumption that quasi-judicial proceedings are conducted by government entities. See Priore v. Haig, 196 Conn. App. at 703, 230 A.3d 714 (identifying “public policy” as final consideration identified in Kelley v. Bonney for determining “whether a government body‘s proceeding is quasi-judicial in nature” (emphasis added)); id. at n.12 (observing that quasi-judicial nature of proceeding determined “by assessing whether the government body conducting the proceeding has powers that are characteristic of a body acting in a quasi-judicial capacity” (emphasis added)); id. at 704, 230 A.3d 714 (stating that rationale for absolute quasi-judicial immunity “rests in the public policy that every citizen should have the unqualified right to appeal to governmental agencies for redress without the fear of being called to answer in damages” (emphasis added) (quoting 50 Am. Jur. 2d, Libel and Slander § 283 (2017))).26
We recognize that such language is dicta in Priore and not found in other Connecticut court decisions. Thus, we cannot predict whether the Connecticut Supreme Court will adopt it, or assign it any weight, in its pending review of Priore. See 335 Conn. 955, 239 A.3d 317 (granting writ of certiorari). Nor can we predict whether, and how, the Connecticut Supreme Court might view Priore‘s observation—this one seemingly favorable to Doe—that the absence of an oath requirement not only does
In sum, because the quasi-judicial immunity decisions of the Connecticut Appellate Court do not speak clearly and consistently on
issues pertinent to the question of whether absolute immunity might extend to statements made at non-government proceedings generally or to Yale‘s UWC proceedings specifically, they do not allow us to predict how the Connecticut Supreme Court would rule on that matter.
2. Connecticut Superior Court
One Connecticut Superior Court decision bears mention, if only because of its factual similarity to this case. In Rom v. Fairfield University, 2006 WL 390448, a student suspended from the defendant private university after a disciplinary hearing sued two hearing witnesses for defamation. The Superior Court appears to have identified the disciplinary proceeding as quasi-judicial. See id. at *5. But there is reason to question whether that was, indeed, the court‘s ultimate conclusion because witnesses at a quasi-judicial proceeding are entitled to absolute immunity but, in Rom, the court afforded them only qualified immunity. See id. at *7.
The Superior Court quoted Kelley in observing that absolute quasi-judicial immunity could extend to administrative proceedings, “so far as [officers] have powers of discretion in applying the law to the facts.” Id. at *2 (quoting Kelley v. Bonney, 221 Conn. at 566, 606 A.2d 693). But nowhere did the court in Rom identify what “law” defendant‘s disciplinary committee was applying in finding plaintiff impermissibly to have been in a women‘s restroom and to have torn down posters in a campus residence hall. Nor did the court anywhere discuss whether, and under what circumstances, a non-government proceeding could properly be identified as quasi-judicial. Instead, the Superior Court relied almost exclusively on Cleavinger v. Saxner, 474 U.S. 193, in extending only qualified immunity to the university disciplinary proceeding.
But that reliance itself raises doubt. In Cleavinger, the United States Supreme Court ruled that members of a federal prison disciplinary committee were entitled only to qualified immunity, rather than to absolute immunity, because, although the committee performed “an adjudicatory function” of “some societal importance,” its members and procedures “had no identification with the judicial process of the kind and depth that has occasioned absolute [judicial] immunity.” Id. at 203, 206.28 In short, Cleavinger specifically did not find the prison discipline proceeding there at issue to be quasi-judicial, much less did it rule that quasi-judicial proceedings sometimes warranted only qualified, rather than absolute, immunity to witnesses or judges. Rather, Cleavinger signals that the absence of processes such as representation, confrontation, cross-examination, etc., cautions against recognizing even some adjudicatory functions as quasi-judicial. See id. at 206. While the Supreme Court was not applying Connecticut law in Cleavinger, its focus on process in
identifying quasi-judicial proceedings is somewhat analogous to the concern with process expressed in the Connecticut Supreme Court’s decisions in Kelley and Craig.
For all these reasons, we cannot predict from the single Superior Court decision in Rom that the Connecticut Supreme Court would extend absolute, or even qualified, immunity to non-government proceedings generally or to Yale’s UWC disciplinary proceedings specifically.
C. Precedent from Other Jurisdictions Admit No Prediction
Insofar as the parties point us to cases from other jurisdictions, these precedents are not binding. Nevertheless, we may consider them too in endeavoring to predict how the Connecticut Supreme Court would decide the immunity question presented by this appeal. See Caronia v. Philip Morris USA, Inc., 715 F.3d at 449 (acknowledging this court’s ability “to consider all of the resources to which the highest court of the state could look, including decisions in other jurisdictions on the same or analogous issues” (internal quotation marks omitted)); see also Kelley v. Bonney, 221 Conn. at 567, 606 A.2d 693 (drawing six-factor test from Illinois law). In fact, precedents from out of Connecticut do not speak with sufficient clarity or consistency to permit us to make such a prediction.
1. Federal Cases
Beginning with our sister circuits, we note that more than a half-century ago, the Fourth Circuit adopted a district court opinion ruling that, under South Carolina law, a private arbitration qualified as a quasi-judicial proceeding. Corbin v. Wash. Fire & Marine Ins. Co., 398 F.2d 543, 544 (4th Cir. 1968).29 The district court there reasoned that “unqualified privilege does not depend on the rigid requirement of a strictly legislative or judicial proceeding; its limits are fixed rather by considerations of public policy,” which, in South Carolina, accorded arbitration proceedings a “favored” status. Corbin v. Wash. Fire & Marine Ins. Co., 278 F. Supp. 393, 396 (D.S.C. 1968).
We cannot predict whether Connecticut would adopt this reasoning. As already discussed supra at 36-37, the Connecticut Appellate Court has recognized an arbitration proceeding involving a state prosecutor and his government employer as a quasi-judicial proceeding but, in doing so,
Certainly, these last two factors have informed other, more recent decisions by Courts of Appeals declining to identify non-government proceedings as quasi-judicial. In Overall v. University of Pennsylvania, 412 F.3d 492 (3d Cir. 2005), the Third Circuit—in an opinion authored by then-Judge Alito—ruled that a private university’s faculty grievance proceeding was not quasi-judicial. The court observed that those grievance proceedings that Pennsylvania had identified as quasi-judicial had all involved either “a government entity or an ostensibly private entity operating pursuant to a state or federal statute.” Id. at 497. Further, the court noted that “sound reasons” supported a “public-private distinction,” in that public proceedings “typically involve basic procedural safeguards that may be lacking in private proceedings.” Id. at 498 (noting that University of Pennsylvania grievance procedure at issue “did not require sworn testimony”).
The Sixth Circuit recently echoed the first point in Bose v. Bea, 947 F.3d 983 (6th Cir. 2020). In declining to accord absolute immunity to allegedly defamatory statements made during a private college disciplinary proceeding, the court observed that, under Tennessee law, the rationale for absolute quasi-judicial immunity was “a strong benefit to the public, often tied to a statute or to powers which the Tennessee legislature had specifically granted to the tribunal at issue.” Id. at 995.30
In Cuba v. Pylant, the Fifth Circuit, applying Texas law, was still more emphatic in declining to extend absolute immunity to private university disciplinary proceedings, observing that the school did “not have any law enforcement or law interpreting authority.” 814 F.3d 701, 717 (5th Cir. 2016) (emphasis deleted).
Here, we do not know, and cannot predict, whether the Connecticut Supreme Court would view Yale to have been “operating pursuant to” Title IX or
2. State Cases
A few cases from other states have extended absolute immunity to witnesses in private college disciplinary proceedings. While the extension of immunity in such circumstances might well influence the Connecticut Supreme Court, because the underlying facts and reasons for decision do not yield easy analogies to this case, we cannot predict that the ultimate conclusion would be to afford absolute immunity here.
For example, in Constantine v. Teachers College, a New York trial court ruled that a private college’s faculty advisory committee proceedings were shielded by absolute immunity from an action for defamation because, under New York law, that committee’s disciplinary actions were ultimately judicially reviewable in an Article 78 proceeding. 29 Misc. 3d 1214(A), at *8-9, 918 N.Y.S.2d 397 (N.Y. Sup. Ct. 2010) aff‘d 93 A.D.3d 493, 940 N.Y.S.2d 75 (1st Dep‘t 2012). Because it is not evident—and the parties do not urge—that Connecticut courts might play any similar review role with respect to action taken at a Yale UWC proceeding, this New York case does not permit us to predict that the Connecticut Supreme Court would identify a comparable hybrid private/public process here.
No more helpful is Razavi v. School of the Art Institute of Chicago, 122 N.E.3d 361, 2018 (1st) 171409 (Ill. App. Ct. 2018), dismissed, 124 N.E.3d 475 (Ill. 2019). While the Illinois Appellate Court there ruled that absolute immunity shielded student sexual assault complaints against a faculty member in the course of the defendant private school’s investigatory proceeding, its rationale was not that the proceeding was quasi-judicial. Indeed, the court concluded that it was not. See 122 N.E.3d at 373.32 Rather, the court reasoned that the investigation was part of a “continuum” that started with a report of alleged criminal conduct to campus security officers, and plaintiff conceded that absolute immunity shielded reports of crime. See id. By contrast, here, the only question before the court is whether the UWC disciplinary proceeding itself is quasi-judicial. Doe does not assert, and the district court did not find, that, even if that proceeding was not quasi-judicial, there was some other basis for extending absolute immunity to Doe’s statements at the proceeding.
Finally, in Hartman v. Keri, 883 N.E.2d 774 (Ind. 2008), the Indiana Supreme Court extended absolute immunity to a public university’s proceeding for investigating sexual harassment complaints. In reaching that conclusion, the court noted that three states—Maryland, California, and New York—had extended absolute quasi-judicial immunity to participants in school disciplinary proceedings. See id. at 777. But the cases cited all also involved public entities. See id. Thus, Hartman
Making that task still more difficult is the Hartman majority’s dismissal of the lack of judicial-like procedures in the university process—there, the absence not only of an oath requirement, confrontation, or cross-examination, but also of any hearing. The court concluded that these circumstances might support a respondent’s complaint against the university, but not the denial of absolute immunity to persons who made statements to the investigating officer. See id. at 777-78 (observing that “ultimate issue focuses less on the particular process and more on the recognition of the institution’s interest in assuring a proper educational environment”).33 We cannot predict that the Connecticut Supreme Court would adopt this reasoning given its own emphasis on—if not requirement of—some judicial-like processes in various cases identifying quasi-judicial proceedings. We also note that to the extent the Indiana Supreme Court identified a particular need for protection from suit in the educational setting because “the subject of the complaint—the educator—is in a position of authority over the student,” id. at 778, that reasoning does not translate to this case where the complainant and respondent were both students.
* * *
In sum, after reviewing relevant decisions of Connecticut’s Supreme Court and its lower courts, as well as decisions from other jurisdictions, we cannot predict whether the Connecticut Supreme Court would extend absolute quasi-judicial immunity either to non-government proceedings generally or to Yale’s UWC proceedings as applied specifically in this case.
IV. Certification
Connecticut law, as well as this court’s local rules, permit us to certify questions of Connecticut law to the state’s Supreme Court. See
As earlier noted, we do not certify questions lightly. “Because it is our job to predict how the forum state’s highest court would decide the issues before us, we will not certify questions of law where sufficient precedents exist for us to make this determination.” DiBella v. Hopkins, 403 F.3d at 111 (quoting Elliott Assocs., L.P. v. Banco de la Nacion, 194 F.3d 363, 370 (2d Cir. 1999)). For the reasons detailed, we cannot make that determination in this case. The Connecticut Supreme Court has “not squarely addressed” the questions of (1) whether a non-government proceeding can ever be quasi-judicial; and (2) if so, whether a Yale UWC proceeding is quasi-judicial. Moreover, decisions by that state’s lower courts, as well as decisions of courts of other jurisdictions, also do not permit us to predict how the Connecticut Supreme Court would answer them. See Penguin Grp. (USA) Inc. v. Am. Buddha, 609 F.3d at 42 (identifying factors relevant to decision to certify). Insofar as answers to these questions “require[ ] value
Doe’s arguments to the contrary do not persuade. First, Doe argues that there is no need for certification because when this court certified a judicial immunity question to the Connecticut Supreme Court in Gross v. Rell, 585 F.3d 72 (2d Cir. 2009), certified question answered, 304 Conn. 234, 40 A.3d 240 (2012), the Connecticut Supreme Court “could have easily held that quasi-judicial immunity does not apply to private entities but it did not,” instead, analyzing whether the private nursing home in that case “was performing a judicial function.” Appellee Br. at 17. Doe urges us to infer from this action the Connecticut Supreme Court’s implicit rejection of a public/private distinction in the application of absolute quasi-judicial immunity. We do not think such an inference is warranted. The question in Gross was not whether some proceeding conducted by the nursing home was properly recognized as quasi-judicial so as to afford witnesses at the proceeding absolute immunity. Rather, it was whether the absolute immunity of an undeniably judicial entity, the Probate Court, extended to the private nursing home’s care of a resident subject to a court-ordered conservancy. In concluding that it did not, the Connecticut Supreme Court stated that the nursing home “was neither executing the orders of the Probate Court nor performing a function comparable to that of the Probate Court when it admitted and cared for [the resident], but was merely following the instructions of the conservator and performing its ordinary function as a nursing home.” Gross v. Rell, 304 Conn. at 274, 40 A.3d 240. Nothing in this response indicates the Connecticut Supreme Court’s views about the questions raised on this appeal.
Second, Doe cites various cases emphasizing that “certification is an exceptional procedure.” Ruzhinskaya v. HealthPort Techs., 942 F.3d 69, 73 (2d Cir. 2019) (internal quotation marks omitted). We have explained at some length why this case is exceptional: “[In]sufficient precedents exist for us to make” a prediction as to whether Connecticut law would extend quasi-judicial immunity to non-government proceedings generally, or to the Yale’s UWC proceedings specifically; and answers to those questions require value judgments and important public policy choices that the Connecticut Supreme Court is better situated to make than this court. DiBella v. Hopkins, 403 F.3d at 111 (internal quotation marks omitted); see also Penguin Grp. (USA) Inc. v. Am. Buddha, 609 F.3d at 42. As Doe acknowledges, the decision to certify is “discretionary,” Alphonse Hotel Corp. v. Tran, 828 F.3d 146, 156 (2d Cir. 2016), and, in the circumstances of this case, we think it appropriate to exercise that discretion in favor of certification.
Third, Doe argues that she has “a constitutionally-recognized interest in not being put back in state court through the process of certification, an interest which is entitled to significant weight in a federal court’s decision whether to certify.” Appellee Br. at 29 (quoting Valls v. Allstate Ins. Co., 919 F.3d 739, 743 (2d Cir. 2019)). We do accord proper weight to Doe’s interest, but find it outweighed by another interest, also grounded in the constitutional principle of federalism: a state’s interest in pronouncing its own law, particularly in matters requiring value judgments and important public policy choices.
CONCLUSION
A review of absolute quasi-judicial immunity cases from the Supreme Court of Connecticut, the lower courts of that state, and other jurisdictions does not permit this court to predict whether Connecticut’s highest court would conclude, as the district court here did, that such immunity shields defendant Doe from plaintiff Khan’s claims for defamation and tortious interference with contract. Accordingly, we CERTIFY the following questions to the Connecticut Supreme Court:
- Under Connecticut law, can a proceeding before a non-government entity ever be deemed quasi-judicial for purposes of affording absolute immunity to proceeding participants?
- If the answer to the first question is “yes,” what requirements must be satisfied for a non-government proceeding to be recognized as quasi-judicial? Specifically,
- Must an entity apply controlling law, and not simply its own rules, to facts at issue in the proceeding? See Petyan v. Ellis, 200 Conn. at 246, 510 A.2d 1337; see also W. Keeton, D. Dobbs, R. Keeton & D. Owen, Prosser & Keeton on Law of Torts § 114, at 818-19 (5th ed. 1984).
- How, if at all, do the “power” factors enumerated in Kelley v. Bonney, 221 Conn. at 567, 606 A.2d 693, and Craig v. Stafford Construction, Inc., 271 Conn. at 85, 856 A.2d 372, apply to the identification of a non-government entity as quasi-judicial; and, if they do apply, are these factors “in addition” to, id., or independent of, a preliminary law-to-fact requirement?
- How, if at all, does public policy inform the identification of a non-government entity as quasi-judicial and, if it does, is this consideration in addition to, or independent of, a law-to-fact requirement and the enumerated Kelley/Craig factors?
- How, if at all, do procedures usually associated with traditional judicial proceedings—such as notice and the opportunity to be heard; the ability to be physically present throughout a proceeding; an oath requirement; the ability to call, examine, confront, and cross-examine witnesses; the ability to be represented by counsel—inform the identification of a proceeding as quasi-judicial? See Craig v. Stafford Const., Inc., 271 Conn. at 87-88, 856 A.2d 372; Kelley v. Bonney, 221 Conn. at 568-70, 606 A.2d 693.
- If it is possible under Connecticut law to identify a non-government proceeding as quasi-judicial, then, in light of responses to the above questions, was the 2018 Yale University UWC proceeding at issue on this appeal properly recognized as quasi-judicial?
- If the answer to Question 3 is “yes,” would Connecticut extend absolute
quasi-judicial immunity to defendant Jane Doe for her statements in that UWC proceeding? - If the answer to Question 3 is “no,” would Connecticut afford defendant Jane Doe qualified immunity or no immunity at all?
The Connecticut Supreme Court may answer these questions in whatever order it deems best to assist this court in understanding how Connecticut law applies to this case. Similarly, and to the same purpose, the Connecticut Supreme Court may modify or expand these certified questions or address any other issues of Connecticut law pertinent to this appeal.
This panel retains jurisdiction for the purpose of resolving this appeal once the Connecticut Supreme Court has responded to our certification.
It is, therefore, ORDERED that the Clerk of this Court transmit to the Clerk of the Connecticut Supreme Court a certificate, as set forth below, together with this opinion and a complete set of briefs, appendices, and the record filed in this case by the parties.
CERTIFICATE
The foregoing is hereby certified to the Supreme Court of the State of Connecticut pursuant to Second Circuit Rule 27 and
