Laurel C. Thomas v. Walter Shipka, in His Capacity as Clerk of the Parma Municipal CourtLaurel C. Thomas v. Walter Shipka, in His Capacity as Clerk of the Parma Municipal Court
On Petition for Rehearing.
Subsequent to the issuance of our original decision in this case (reported at
In the petition for rehearing, plaintiff contended that the
Mulligan
precedent was no longer valid in light of
St. Francis College v. Al-Khazraji,
— U.S.-,
*572
On June 26, 1987, the Supreme Court issued a summary order vacating the judgment of this court in
Vodila v. Clelland,
I.
In order to apply the
Chevron
analysis, we must first set forth a brief chronology of the major procedural events in this case and the relevant legal developments which occurred during that period. Plaintiff was discharged from her job with the Parma Municipal Courts on April 7, 1983. Nearly two years later, on April 5, 1985, plaintiff filed suit in federal district court alleging that her termination was politically motivated and was effected without due process thereby giving rise to a cause of action under 42 U.S.C. § 1983 predicated on alleged violations of the first and fourteenth amendments to the United States Constitution. Less than two weeks after the plaintiff filed her suit, the Supreme Court issued its opinion in
Wilson v. Garcia,
instructing federal courts “to select, in each State, the
one
most appropriate statute of limitations.”
Shortly after the Supreme Court’s decision in Wilson, the defendant filed a motion to dismiss alleging a statute of limitations defense based on the one-year limitation period contained in Ohio Rev.Code Ann. § 2305.11 (Anderson 1981), which applied to actions for libel, slander, assault, battery, malicious prosecution, false imprisonment, or malpractice. 4 The district court denied the motion finding that Wilson called for the application of Ohio’s two-year statute of limitations for general personal injury actions contained in Ohio Rev.Code Ann. § 2305.10 (Anderson 1981). 5 Approximately four months later, this court issued its decision in Mulligan v. Hazard, wherein we compared the two statutes of limita-
*573
tions and concluded that the one-year limitation period contained in section 2305.11 should be applied to all claims brought under 42 U.S.C. § 1983 in federal courts located within the state of Ohio.
II.
The general rule is that federal cases should be decided in accordance with the law existing at the time of the decision; 6 hence, there is a presumption in favor of applying the one-year limitation period selected in Mulligan retroactively to the plaintiffs claims. But in Chevron, the Supreme Court cautioned against the retroactive application of decisions adopting a new statute of limitations, setting forth a three-part test to be used when making such a determination:
First, the decision to be applied nonretroactively must establish a new principle of law, either by overruling clear past precedent on which litigants may have relied, or by deciding an issue of first impression whose resolution was not clearly foreshadowed. Second, it has been stressed that “we must ... weigh the merits and demerits in each case by looking to the prior history of the rule in question, its purpose and effect, and whether retrospective operation will further or retard its operation.” Finally, we have weighed the inequity imposed by retroactive application, for “[w]here a decision of this court could produce substantial inequitable results if applied retroactively, there is ample basis in our cases for avoiding the ‘injustice or hardship’ by a holding of nonretroactivity.”
Of the three factors described above, the first one is the most important for purposes of our analysis in this case. Plaintiff contends that we should not give retroactive effect to our decision in
Mulligan
because that case represented a departure from clear precedent which had established a longer period of limitations for § 1983 claims filed in Ohio. The Supreme Court .agreed with a similar argument in
St. Francis College
where it upheld the Third Circuit’s refusal to apply a two-year limitations period retroactively because, at the time plaintiff had filed his complaint in 1978, a six-year period had been clearly established by Third Circuit precedent.
See Al-Khazraji v. St. Francis College,
*574
Not only did the first factor provide the decisive difference between the outcomes in
Goodman
and
St. Francis College,
it is also inextricably interrelated with the third factor in the
Chevron
analysis which focuses on the equitable considerations involved. If it were shown that the plaintiff had filed a claim within the then established limitations period, it would be inequitable to retroactively impose a shorter limitations period barring the plaintiffs claim.
See, e.g., Fitzgerald v. Larsen,
With respect to the second factor, i.e., whether retroactive application would “further or retard” the operation of the new rule, it has been held that the goals of uniformity and simplicity, which provided the impetus for the Supreme Court’s ruling in
Wilson,
were neither enhanced nor diminished by the retroactive application of a decision adopting a single statute of limitations in response to the
Wilson
mandate.
See Smith v. City of Pittsburg,
In sum, the crucial inquiry in this case focuses on whether at the time plaintiff filed her case there was a clear precedent upon which she could have justifiably relied establishing a definite limitations period for the type of claim brought by plaintiff under § 1983.
III.
In the petition for rehearing, plaintiff contends that prior to our decision in
Mulligan
it was well-settled that claims filed pursuant to 42 U.S.C. § 1983 in federal district courts in Ohio were subject to the four-year limitations period contained in Ohio Rev.Code Ann. § 2305.09, which applies to certain torts including trespass, theft, fraud, and any other torts not otherwise provided for by other sections.
8
Plaintiff asserts that this precedent was firmly established as early as 1980 by the district court’s decision in
Schorle v. The City of Greenhills,
In support of the contention that
Schorle
established a “clear precedent,” plaintiff cites to the subsequent district court decision in
Nash v. City of Oakwood,
Our review of the cases decided within the Sixth Circuit subsequent to the district court’s opinion in
Schorle
demonstrates that
Schorle
was not the final word on the subject. Less than a year after
Schorle
was issued, the Sixth Circuit expressly rejected the suggestion of District Judge Bertelsman that the court adopt a uniform statute of limitations in § 1983 cases. See
Hines v. Bd. of Educ.,
*576 bifurcated analysis of the plaintiffs § 1983 claims dividing them according to the supporting factual allegations and holding that those claims analogous to “assault” were barred under Ohio Rev.Code Ann. § 2305.-11, whereas the claims akin to “trespass” were properly brought within the four-year period contained in section 2305.09.
The precedential effect of
Schorle
was further eroded by subsequent federal court decisions which continued to apply different statutes of limitations to § 1983 claims arising within Ohio. For example, in
Kilgore v. City of Mansfield,
All three of these cases,
Hines, Woods
and
Kilgore,
were decided in the interim between the issuance of the supposedly definitive decision in
Schorle
and the point at which plaintiff's cause of action accrued. Under these circumstances, we find that the plaintiff was not justified in relying on the
Schorle
decision adopting Ohio’s four-year statute of limitations for all § 1983 claims. This court has previously held that a “clean break” does not automatically occur every time an appellate court renders a definitive ruling which clarifies the law by resolving an issue that had previously been a subject of confusion and conflict amongst the lower courts.
See Lawson v. Truck Drivers,
Upon reconsideration, the motion for rehearing is GRANTED and the judgment of the district court is AFFIRMED.
Notes
. Although the
Mulligan
court did not elaborate, it is clear that it felt compelled to apply
Wilson v. Garcia,
. Our conclusion that
Goodman
and
St. Francis College
are applicable to § 1983 cases is consistent with our recent decision in
Demery v. City of Youngstown,
. We emphasize that the grant of rehearing is limited to the retroactivity issue discussed in Part II of our previous opinion. Our rulings in Parts I and III of that opinion remain unaffected by the conclusions reached in the discussion of the issue presented on rehearing.
. We note that the Ohio Revised Code has recently been amended to create a separate statute governing claims for assault and battery.
See
Ohio Rev.Code Ann. § 2305.111 (Supp.1986). The same one-year limitation period has been retained for both statutes; therefore, the amendment does not affect our analysis in the instant case.
See Mulligan,
. Ohio Rev.Code Ann. § 2305.10 (Anderson 1981) provided in part: "An action for bodily injury or injuring personal property shall be brought within two years after the cause thereof arose." The current version of the statute, which appears at Ohio Rev.Code Ann. § 2305.10 (Supp.1986), retains this identical language.
.
See Gulf Offshore Co. v. Mobil Oil Corp.,
. The Supreme Court’s analysis of this issue in Goodman is highly instructive to our inquiry in the instant case:
It is true, as the petitioners in No. 85-1626 point out, that the Court of Appeals decision in this case overruled prior Third Circuit cases,
Meyers v. Pennypack Home Ownership Assn.,
— U.S. at-,
. Ohio Rev.Code Ann. § 2305.09 provides in part:
An action for any of the following causes shall be brought within four years after the cause thereof accrued:
(A) For trespassing upon real property;
(B) For the recovery of personal property, or for taking or detaining it;
(C) For relief on the ground of fraud;
(D) For an injury to the rights of the plaintiff not arising on contract nor enumerated in §§ 2305.10-2305.12, inclusive, 2305.14 and 1304.29 of the Revised Code.
.
See Austin v. Brammer,
. The court stated:
From this analysis, it is not difficult to understand possible confusion among members of the bar, to say nothing of plaintiffs unschooled in the vagaries of the law, as to when an action for violation of one’s civil rights may be brought.
. In what appears to be dicta, the district court also seems to suggest that the Sixth Circuit should adopt the six-year limitation period contained in section 2305.07.
See
. Apparently, the
Nash
court interpreted
Schorle
as adopting the six-year period rather than the four-year statute of limitations.
See
. We emphasize that the outcome of a Chevron analysis is always dependent upon the facts present in each individual case. Our opinion in the instant case is not meant to suggest that Mulligan must always be applied retroactively to all § 1983 claims arising in Ohio. On the contrary, it is precisely this type of perse rule of retroactivity which we have rejected in our opinion on rehearing. Depending upon the particular facts alleged in support of a § 1983 claim, it is entirely possible that a factually analogous pre-Wilson case decided within the Sixth Circuit established a clear precedent upon which the plaintiff could have relied, thereby precluding the retroactive application of Mulligan. We merely hold that, given the facts and the type of constitutional violation alleged in this case, i.e., a politically motivated discharge from public employment, there was no well-established case law determining which Ohio statute of limitations would be most appropriate for that type of claim. Therefore, under these circumstances, Chevron does not require that Mulligan be restricted to prospective application.
Finally, we note that our conclusion in the instant case is consistent with the recent decision of this court in
McSurely v. Hutchison,