MEMORANDUM OPINION AND ORDER
THIS MATTER comes before the Court on the Defendant’s Motion and Brief to Dismiss Plaintiffs Complaint for Failure to Timely Serve or, In the Alternative, Motion for Judgment on the Pleadings, filed July 7, 2008 (Doc. 9) (“Motion”). The Court held a hearing on October 23, 2008. The primary issues are: (i) whether the Court should dismiss the suit for failure to timely serve when the Complaint was not served within 120 days potentially had run during the 40 days after the 120 days passed; (ii) whether the Plaintiff Juan Mata has stated the essential element of lack of probable cause for a claim for First-Amendment retaliation where a magistrate court jury found him guilty and a district court judge submitted two of three counts to a jury that acquitted him; (iii) whether Defendant Ron Anderson, a police officer who signed the criminal complaint and the underlying statement of probable cause, enjoys absolute immunity; and (iv) whether Anderson enjoys qualified immunity. The Court will excuse Mata’s failure to timely serve and will grant him an extension to complete service. The Court finds that, on the face of his Complaint, Mata has established a claim for First Amendment retaliation. The Court also finds that Anderson is not entitled to absolute or qualified immunity.
FACTUAL BACKGROUND
On a motion to dismiss, the Court must assume that the Complaint’s allegations
Mata was one of several Mata family members who filed a civil-rights lawsuit on November 28, 2004. See Mata v. Briseno, No. CIV 04-1334 ACT/RLP, Complaint, filed November 28, 2004 (Doc. 1) (“First Mata case”). Mata, his brother Renee Barraza, and his mother, Gregoria, sued certain agents of the Farmington Police Department. See First Amendment Complaint for Violation of Civil Rights Under Color of State Law ¶ 7, at 2, filed June 18, 2008 (Doc. 6) (“First Amended Complaint”). The First Mata case settled a year later, on November 14, 2005. See Mata v. Briseno, the Honorable Richard L. Puglisi, United States Magistrate Judge’s Notice to Docket Clerk at 1, filed November 16, 2005 (Doc. 70) (“Settlement Notice”). 1 The lawsuit that led to the November 2005 settlement has some relationship to this lawsuit. According to Mata, Anderson, a law enforcement officer and employee of the Farmington Police Department, became “enraged” because of the news coverage that the settlement received. First Amended Complaint ¶¶ 2 & 8, at 1-2. Motivated by a desire to retaliate against Mata for his outspoken criticism of Farmington police officers, for his protest activities outside the police station, and for the settlement he and his family members obtained in the first lawsuit, Anderson filed a criminal complaint against Juan Mata listing, among other things, criminal libel. See First Amended Complaint ¶¶ 10-13.
Although the First Amended Complaint provides little detail of the criminal proceedings that resulted from the criminal complaint, it is apparent from the briefing, exhibits, and arguments presented at the hearing, that the criminal complaint contained three counts-—-harassment, stalking, and criminal libel. Mata was tried in a Magistrate Court in San Juan County, and the magistrate jury convicted Mata on all three counts. See Exhibit E to Answer, Magistrate Verdict Forms, filed July 7, 2008 (Doc. 8-6).
Judges who are not usually trained in the law preside over municipal and magistrate courts in New Mexico.
2
One of the safeguards against miscarriages of justice built into this structure is a defendant’s entitlement to a trial de novo in the state district court. Mata availed himself of this proceeding and sought a trial de novo in the state district court. At the district court, the district judge dismissed the criminal libel charge, finding it unconstitutional, and allowed the other two charges to proceed to the jury.
See
Transcript of Hearing at 15:19-25 (taken October 23, 2008) (Walker) (“Tr.”).
3
It is to this second trial that Mata refers in his First Amended Complaint, stating: “A jury, af
PROCEDURAL BACKGROUND
Mata filed this case on January 11, 2008, asserting a 42 U.S.C. § 1983 claim for alleged retaliation in violation of the First Amendment. Anderson asserts that Mata’s Complaint is premised on the impossible allegation that a desire to retaliate against Mata for the settlement of the First Mata case motivated Anderson’s alleged act of filing the criminal charges. See First Amended Complaint ¶ 10, at 3. According to Mata, this retaliation violated his First-Amendment right of free speech. See id., Count I, at 3. Mata filed his suit in this case for civil-rights violations three years to the day after the criminal charges against him were filed. See State v. Mata, M-47-MR-200500028, Farmington Magistrate Court, Copy of Docket Sheet at 1 (dated January 31, 2005). According to Anderson, the statute of limitations would have run on Mata’s claims the day that Mata filed his original complaint. Mata was required to serve Anderson by May 10, 2008. See Fed. R. Civ. 4(m) (“If a defendant is not served within 120 days after the complaint is filed, the court—on motion or on its own after notice to the plaintiff—must dismiss the action without prejudice against that defendant....”).
1. Service of the First Amended Complaint.
Mata filed his First Amended Complaint on June 18, 2008, which made no substantive change to his allegations and was identical to the original Complaint except that the Amended Complaint omitted an unnumbered prefatory paragraph that related to some other case. Mata filed the Amended Complaint outside of the 120-day period. Although Mata did not attach the criminal complaint to the Complaint or to the First Amended Complaint, the First Amended Complaint makes numerous references to that criminal complaint.
It is undisputed that Mata failed to serve Anderson within 120-days of filing the original Complaint. Mata did not served his Amended Complaint on Anderson until June 19, 2008, 160 days after he filed his Complaint and roughly 40 days after expiration of the 120-day deadline.
Anderson filed an Answer to Mata’s First Amended Complaint. See Answer to Amended Complaint, filed July 7, 2009 (Doc. 8) (“Answer”). In his Answer, Anderson raises several equitable defenses, including the defense of unclean hands, see Answer, Affirmative Defense 4, at 4; waiver and estoppel, see Answer, Affirmative Defense 5, at 4, and laches, see Answer, Affirmative Defense 7, at 5. Anderson attached the criminal complaint, along with other exhibits, to his Answer.
Anderson moves the Court for dismissal of Mata’s Complaint for failure to effect timely service under rule 12(b)(5) of the Federal Rules of Civil Procedure. See Motion at 1. Anderson alternatively requests that the Court enter judgment on the pleadings. Anderson requests that the Court dismiss Mata’s First Amended Complaint with prejudice. In support of his Motion, Anderson raises several arguments: (i) the Court should dismiss due to the lack of timely service; (ii) the Court should dismiss on the merits because Mata fails to state a claim upon which relief can be granted; (iii) the Court should dismiss because Anderson is absolutely immune from suit in this case; or (iv) the Court should dismiss the case because Anderson enjoys qualified immunity under the circumstances of this case.
Anderson points out that rule 12(b)(5) permits a party to move for the dismissal of a complaint for “insufficiency of service of process.” Motion at 2 (internal quotation marks omitted). He notes that the time limit that rule 4(m) lays out required Mata to complete service of process by May 10, 2008. Anderson quotes part of rule 4(m), and emphasizes the rule’s command that, if the 120-day deadline is missed, the Court “must dismiss the action without prejudice against the defendant____” Motion at 3 (quoting Fed. R.Civ.P. 4(m)) (internal quotation marks omitted) (emphasis added).
Anderson admits that the original filing came within the applicable statute of limitations and that Mata’s filing the lawsuit tolled the statute of limitations for the 120-day period that rule 4(m) provides for effectuating service of process. See Motion at 3. Anderson argues, however, that, although the statute of limitations is tolled during the 120-period, once the 120 days have passed, the clock on the statute of limitations resumes and the statute of limitations again becomes applicable. See id. Anderson insists that the clock began running on Mata’s claims on the day that the 120-day period expired and that, shortly thereafter, the limitations period ran out. According to Anderson, ' the result of Mata’s missing the deadline for service of process, and the application of the statute of limitations, is to bar Mata’s lawsuit. See id.
Although this result appears harsh, Anderson asks the Court to dismiss Mata’s claim and allow the statute of limitations to operate to its full effect. Anderson reminds the Court that “[procedural requirements established by Congress for gaining access to the federal courts are not to be disregarded by courts out of a vague sympathy for particular litigants.”
Id.
(quoting
Baldwin County Welcome Center v. Brown,
Mata counters that Anderson was served with the summons and Complaint in the case, albeit outside the prescribed time frame. See Plaintiffs Response to Sergeant Anderson’s Motion to Dismiss for Failure to Timely Serve or in the Alternative for Judgment on the Pleadings at 2, filed July 21, 2008 (Doc. 11) (“Response”). Mata also maintains that the Court routinely issues notices to plaintiffs in civil actions advising them when a complaint has not been served and setting deadlines for service. See id. at 2. Mata states that he did not receive such a notice, but nevertheless sought to rectify the failure of service as soon as possible. See id. at 3.
Mata challenges the contention that, if the Court dismisses his claims, the statute of limitations will bar refiling by arguing that the cause of action did not accrue until his criminal conviction was invalidated.
See id.
at 5. Mata argues that, given that his acquittal came nearly a year after
Mata also argues that by raising several equitable defenses, including the defense of unclean hands, Anderson has evoked the Court’s jurisdiction. See id. According to Mata, by Anderson’s “extensive participation in the litigation process,” Anderson has waived the right to object to lack of timely service of process. Id. Mata contends that a waiver is not unjust in this case, because Anderson is not being asked to defend himself in a distant forum, and he cannot demonstrate true prejudice from the moderate delay in the service of process. See id. at 4.
Anderson replies that Mata did not attempt to demonstrate good cause for his failure to delay. See Reply in Support of Defendant’s Motion and Brief to Dismiss Plaintiffs Complaint for Failure to Timely Serve or, In the Alternative, Motion for Judgment on the Pleadings at 2, filed July 28, 2008 (Doc. 12) (“Reply”). Anderson also disputes the suggestion that he has waived the ability to object to Mata’s failure to timely serve and maintains that he has consistently asserted the defense that Mata failed to timely serve process. See id. Anderson notes that he filed his Answer, asserting lack of personal jurisdiction for failure to serve process, less than twenty days after he was served. See Reply at 3. Anderson therefore contends that his prompt and orderly conduct in responding to Mata’s lawsuit cannot fairly constitute a waiver of the right to challenge the adequacy of service of process.
3. Arguments Regarding Dismissal on the Pleadings.
As an alternative to his argument that the Court should dismiss Mata’s claim for untimely service of process, Anderson contends that Mata fails to state a cause of action for First Amendment retaliation. See id. at 4. Anderson asks the Court to take judicial notice of the fact that criminal charges were filed in January 2005. See id. Those charges, Anderson argues, came eleven months before the November 2005 settlement which, according to Mata, caused Anderson to retaliate. See id. It is this temporal discontinuity which compelled Anderson to note in his Answer that “the realities associated with the Earth’s time-space continuum preclude any reasonable conclusion that the execution of the Statement of Probable Cause on January 11, 2005 was done ‘to retaliate against’ Plaintiff for settling [the first lawsuit] in November 2005.” Answer ¶ 10, at 2-3.
Mata attributes Anderson’s interpretation of his claim as being based on retaliation solely for the settlement of the first lawsuit as a product of inartful drafting in the First Amended Complaint. See Response at 6. Mata argues that his claim arises out of a broader allegation that Anderson retaliated against him for bringing a civil rights action and for his protest activities. See id. To the extent that the First Amended Complaint does not reflect such an allegation, Mata requests leave to amend. See id.
Anderson also argues that Mata has failed to allege lack of probable cause for the criminal complaint.
See
Motion at 6. Anderson contends that the Supreme Court of the United States has held lack of probable cause to be an essential element to a First Amendment retaliation claim.
See id.
(citing
Hartman v. Moore,
Mata states in his Response that he “does not dispute that his First Amendment Retaliation claim requires that he allege, and later prove, that the charges brought against him lacked probable cause.” Response at 7. Mata insists, however, that the municipal court did not conduct a preliminary hearing and enter a finding of probable cause. See id. Mata criticizes the municipal and magistrate courts because the judges who preside over them are not typically trained in the law. See id. He asserts that trial de novo in the district court is designed to protect the miscarriages of justice that can occur in the municipal courts under such circumstances. Thus, the conviction by the magistrate jury is not sufficient at this stage to preclude his claim. See id.
In his Reply and at the hearing, Anderson brought to the Court’s attention one federal case in which the United States Court for the Northern District of Texas held that “a conviction was prima facie evidence of probable cause in a malicious prosecution suit, notwithstanding the fact that a new trial had been granted, and was conclusive on the issue of probable cause in the absence of evidence that the conviction was obtained by improper means or upon false arrest.” Reply at 11 (citing
Adcox v. Safeway Stores, Inc.,
4. Arguments Regarding Absolute Immunity.
Referring to the process by which the criminal complaint was sworn, Anderson argues that, to the extent the First Amended Complaint is predicated on him “filing” the criminal case, his role was analogous to that of a prosecutor making or participating in the decision to prosecute. Motion at 5. Accordingly, he insists that he is entitled to absolute immunity in this case.
See id.
Mata counters that normally, police officers are not afforded absolute immunity.
See
Response at 10. Moreover, he notes that in
Roberts v. Kling,
5. Arguments Regarding Qualified Immunity.
As a final defense, Anderson asserts qualified immunity because Mata did not sufficiently allege violation of a constitutional right, given that the supposed retaliation upon which the claim rests occurred
6. The Hearing.
At the hearing, Anderson conceded that the First Amended Complaint contains some allegations that are not rooted in the settlement. See Tr. at 12:10-13 (Walker). Specifically, he admitted that the First Amended Complaint alleges retaliation for protesting or picketing. See id. at 12:8-9 (Walker). Anderson reserved the argument, however, that, to the extent Mata’s claim relies on allegations of retaliation for the settlement, the claim must fail.
While there has been some question whether Mata was alleging a Fourth-Amendment malicious-prosecution claim, Mata clarified at the hearing that, while he wished to amend his First Amended Complaint to include a malicious-prosecution claim, the current operative Complaint does not allege such a claim. See Tr. at 26:19-21 (Mata) (“I think the First Amended Complaint as it now stands brings only the First Amendment charges. We would seek to add a Fourth Amendment.”).
Mata contended at the hearing that the conviction by the magistrate jury constituted, at most, evidence of the existence of probable cause and that the evidence created ambiguity regarding the existence of probable cause. See Tr. at 22:23 (Montoya). Anderson countered that, if there was indeed ambiguity regarding whether probable cause existed, then he would entitled to qualified immunity. See id. at 30:12-18 (Walker). At the end of the hearing, the Court also clarified that, while the parties have referenced various exhibits and evidence outside the First Amended Complaint, the Court considers this a motion to dismiss. See Tr. at 46:23-47:3 (Court, Walker).
STANDARDS FOR DISMISSAL UNDER RULE 12(c)
“After the pleadings are closed— but early enough not to delay trial—a party may move for judgment on the pleadings.” Fed.R.Civ.P. 12(c). A rule 12(c) motion is designed to provide a means of disposing of cases when the material facts are not in dispute between the parties.
See Kruzits v. Okuma Mach. Tool, Inc.,
A court considering a motion for judgment on the pleadings should “accept all facts pleaded by the non-moving party as true and grant all reasonable inferences from the pleadings in favor of the same.”
Park Univ. Enterprises, Inc. v. Am. Cas. Co. of Reading, PA,
The same standards that govern a motion to dismiss under rule 12(b)(6) also govern a motion for judgment on the pleadings under rule 12(c).
See Atl. Richfield Co. v. Farm Credit Bank,
A complaint challenged by a rule 12(b)(6) motion to dismiss does not require detailed factual allegations, but a plaintiffs obligation to set forth the grounds of his or her entitlement to relief “requires more than labels and conclusions, and a formulaic recitation of the elements of a cause of action will not do.”
Bell Atl. Corp. v. Twombly,
“[Plausibility” in this context must refer to the scope of the allegations in a complaint: if they are so general that they encompass a wide swath of conduct, much of it innocent, then the plaintiffs “have not nudged their claims across the line from conceivable to plausible.” The allegations must be enough that, if assumed to be true, the plaintiff plausibly (not just speculatively) has a claim for relief.
Robbins v. Oklahoma,
This requirement of plausibility serves not only to weed out claims that do not (in the absence of additional allegations) have a reasonable prospect of success, but also to inform the defendants of the actual grounds of the claim against them. “Without some factual allegation in the complaint, it is hard to see how a claimant could satisfy the requirement of providing not only ‘fair notice’ of the nature of the claim, but also ‘grounds’ on which the claim rests.” [Bell Atl. Corp. v. Twombly, 127 S.Ct.] at 1965 n. 3. See Airborne Beepers & Video, Inc. v. AT & T Mobility L.L.C.,499 F.3d 663 , 667 (7th Cir.2007) (“[A]t some point the factual detail in a complaint may be so sketchy that the complaint does not provide the type of notice of the claim to which the defendant is entitled under Rule 8.”). The Twombly Court was particularly critical of complaints that “mentioned no specific time, place, or person involved in the alleged conspiracies.”127 S.Ct. at 1971 n. 10. Given such a complaint, “a defendant seeking to respond to plaintiffs’ conclusory allegations ... would have little idea where to begin.” Id.
Robbins v. Oklahoma,
In determining the sufficiency of a complaint, all well-pleaded factual allegations are to be taken as true.
See Timpanogos Tribe v. Conway,
A court must convert a motion to dismiss into a motion for summary judgment if “matters outside the pleading are presented to and not excluded by the court” and “all parties ... [are] given reasonable opportunity to present all material made pertinent to such a motion by Rule 56.” Fed.R.Civ.P. 12(d). Facts subject to judicial notice may be considered without converting a motion to dismiss into a motion for summary judgment.
See Grynberg v. Koch Gateway Pipeline Co.,
390
RULES 4(m) AND 12(b)(5)
While rule 4 establishes the proper procedures and timing for service of process, rule 12(b)(5) presents litigants with a mechanism for raising a defense of insufficient service of process. “Procedural requirements established by Congress for gaining access to the federal courts are not to be disregarded by courts out of a vague sympathy for particular litigants.”
Baldwin County Welcome Center v. Brown,
1. Rule 4(m).
Anderson’s motion is styled as a motion made pursuant to rule 12(b)(5) as informed by rule 4(m). Rule 4(m) provides the time limitation—120 days—within which service of process must be executed. Rule 4(m) provides that a district court must extend the time for service if a plaintiff shows good cause.
See Espinoza v. United States,
While a dismissal for failure to timely serve is without prejudice, rule 4(m) can interact with a statute of limitations, such that the dismissal without prejudice might, upon refiling, result in a defense that the statute of limitations on the claim has run. Some federal courts have held that, although the statute of limitations is tolled during the 120-days after filing, “if a plaintiff fails to effect service during the 120 days allotted by Rule 4(m), then the statute of limitations for the underlying claim again becomes applicable, and may
2. Rule 12(b)(5).
Rule 12(b)(5) permits the dismissal of a complaint for “insufficiency of service of process.” “Because the requirement of personal jurisdiction represents first of all an individual right, it can, like other such rights, be waived.”
Insurance Corp. of Ireland, Ltd. v. Compagnie des Bauxites de Guinee,
The United States Court of Appeals for the Fifth Circuit has recognized the “well-established rule that parties who choose to litigate actively on the merits thereby surrender any jurisdictional objections.”
PaineWebber, Inc. v. Chase Manhattan Private Bank (Switzerland),
3. Rule 12(h)(1).
Rule 12 sets forth the requirements for a timely challenge to the Court’s personal jurisdiction based on insufficiency of process. Pursuant to rule 12(h)(1), a party must include a defense of insufficiency of process in its first rule 12 motion or the defense is waived. Rule 12(h)(1) mandates that “[a] defense of lack of jurisdiction over the person, ... insufficiency of process, or insufficiency of service of process is waived (A) if omitted from a motion in the circumstances described in subdivision (g)....” Fed.R.Civ.P. 12(h)(1).
STATUTE OF LIMITATIONS FOR § 1983 CLAIMS
“While state law governs limitations and tolling issues, federal law determines the accrual of section 1983 claims.”
Fratus v. DeLand,
A three-year statute of limitations applies to Mata’s claim under 42 U.S.C. § 1983 to enforce his First-Amendment rights. Federal law borrows the three-year statute of limitations from the statute of limitations for personal injury set forth in NMSA 1978 § 37-1-8.
See Wilson v. Garcia,
LAW REGARDING FIRST-AMENDMENT RETALIATION CLAIMS
“Official reprisal for protected speech ‘offends the Constitution [because] it threatens to inhibit exercise of the protected right.’ ”
Hartman v. Moore,
The Supreme Court of the United States has described at least two variations of First-Amendment retaliation claims. First are those claims that arise when a public employee alleges that he has been fired or otherwise punished for speech criticizing the government.
See id.
at 260,
In contrast, when a plaintiff asserts that the retaliation for protected conduct is a criminal charge, the “constitutional tort action will differ from this standard case in two ways.”
Id.
First, in retaliatory prosecution cases, there is always a “distinct body of highly valuable circumstantial evidence available and apt to prove or disprove retaliatory causation, namely evidence showing whether there was or was not probable cause to bring the criminal charge.”
Id.
at 261,
will not be brought against the prosecutor, who is absolutely immune from liability for the decision to prosecute.... [I]nstead, the defendant will be a non-prosecutor ... who may have influenced the prosecutorial decision but did not himself make it, and the cause of action will not be strictly for retaliatory prosecution, but for successful retaliatory inducement to prosecute.
Hartman v. Moore,
As a consequence, plaintiffs in retaliatory-prosecution cases must demonstrate a causal connection between one person’s retaliatory animus and that person’s injurious conduct, and a causal connection between the retaliatory animus of one person and that of another.
See id.
In light of Hartman v. Moore, the Tenth Circuit has held that,
[t]o establish a § 1983 retaliation claim against non-immune officials, [a plaintiff] must plead and prove (1) that she was engaged in a constitutionally protected activity; (2) that a defendant’s action caused her to suffer an injury that would chill a person of ordinary firmness from continuing to engage in that activity; and (3) that a defendant’s action was substantially motivated as a response to her exercise of her First Amendment speech rights. Worrell v. Henry,219 F.3d 1197 , 1212 (10th Cir.2000). She also must plead and prove the absence of probable cause for the prosecution. Hartman [v. Moore ],126 S.Ct. at 1707 .
Becker v. Kroll,
The probative weight that a conviction by a magistrate jury has on the existence or lack of probable cause is an open question in First-Amendment retaliatory-prosecution claims. The
Restatement (Second) of Torts
states: “(1) The conviction of the accused by a magistrate or trial court, although reversed by an appellate tribunal, conclusively establishes the existence of probable cause, unless the conviction was obtained by fraud, perjury or other corrupt means.”
Restatement (Second) of Torts
§ 667. In support of the rule that a conviction can be conclusive evidence of probable cause, the
Restatement
cites numerous state-court decisions.
See, e.g., Alexander v. Laman,
after a conviction by verdict, followed by sentence, it ceases to be a matter of conjecture, of argument, and of reasoning whether guilt could rationally be inferred from the facts admitted or proved; for such a state of things cannot occur but after full defense by the accused, with deliberation by the jury, aided by the court, upon all the evidence, as well explanatory as negative, offered by the accused, and, after all that, guilt was in fact inferred by a numerous body of men of competent understanding and integrity, and the court was also satisfied with it.
Hartshorne v. Smith,
The Reporter’s Notes to the
Restatement
show that other courts have adopted
Yet other courts have held that, when a conviction that is subject to a de novo review is reversed on review, the conviction is not conclusive or prima-facie evidence of probable cause.
See Sestrich v. R.H. Macy & Co.,
LAW REGARDING ABSOLUTE IMMUNITY
Traditionally, the doctrine of prosecutorial immunity did not apply to other public officials. Police officers, governors, and other executive officials were entitled only to qualified immunity for actions performed in their official capacity.
See Imbler v. Pachtman,
Absolute immunity does not extend to “those aspects of the prosecutor’s responsibility that cast him in the role of an administrator or investigative officer rather than that of advocate.”
Id.
at 430-31,
We recognize that the duties of the prosecutor in his role as an advocate for the State involve actions preliminary to the initiation of a prosecution and actions apart from the courtroom.... Preparation, both for the initiation of the criminal process and for a trial, may require the obtaining, reviewing, and evaluating of evidence. At some point, and with respect to some decisions, the prosecutor no doubt functions as an administrator rather than as an officer of the court....
Id.
at 431 n. 33,
The Supreme Court later extended the doctrine of absolute immunity to some prosecutorial conduct occurring before the trial. In
Burns v. Reed,
Burns v. Reed
did not, however, extend absolute immunity to every aspect of the prosecutor’s legal advice to the police. The Supreme Court concluded that advising police in the investigative phase of a criminal case could be too far removed from the judicial process to warrant extending immunity on that basis. It thus rejected the argument that legal advice is categorically “of a judicial nature because the prosecutor is, like a judge, called upon to render opinions concerning the legality of conduct.”
Id.
at 493,
“Immunity extends to those activities ‘intimately associated with the judicial phase of the criminal process,’ which undoubtedly includes initiating criminal proceedings.”
Becker v. Kroll,
A prosecutor’s charging decisions are absolutely immune from civil suit for monetary damages. Hartman v. Moore,547 U.S. 250 ,126 S.Ct. 1695 ,164 L.Ed.2d 441 (2006) (citing Imbler v. Pachtman,424 U.S. 409 , 431,96 S.Ct. 984 ,47 L.Ed.2d 128 (1976)); see also Mink v. Suthers,482 F.3d 1244 , 1258-59 (10th Cir.2007). Immunity extends to those activities “intimately associated with the judicial phase of the criminalprocess,” which undoubtedly includes initiating criminal proceedings. Imbler v. Pachtman, 424 U.S. 409 , 430,96 S.Ct. 984 ,47 L.Ed.2d 128 (1976). This immunity applies even if the prosecutor files charges knowing he lacks probable cause. See id. at 431 n. 34,96 S.Ct. 984 (applying immunity even when prosecutor deliberately withholds exculpatory information from the court).
Becker v. Kroll,
Given the functional analysis that the courts employ in determining whether absolute immunity attaches, the identity of the party asserting the immunity is not important. Thus, courts have found it necessary to confront when and whether police officers might, like a prosecutor, enjoy absolute immunity. The United States Court of Appeals for the Second Circuit has held that, “[w]here ... the constitutional tort is the action of a police officer in initiating a baseless prosecution, his role as a ‘complaining witness’ renders him liable to the victim under section 1983.”
White v. Frank,
LAW REGARDING QUALIFIED IMMUNITY
As the Court has previously recognized in
Holguin v. City of Albuquerque,
No. CIV 05-0302 JB/RHS,
Qualified immunity recognizes the legitimate “need to protect officials who are required to exercise their discretion and the related public interest in encouraging the vigorous exercise of official authority.” Harlow v. Fitzgerald,457 U.S. 800 , 807 [102 S.Ct. 2727 ,73 L.Ed.2d 396 ] (1982) (quoting Butz v. Economou,438 U.S. 478 , 506 [98 S.Ct. 2894 ,57 L.Ed.2d 895 ] (1978)). “Qualified immunity therefore ‘provides ample protection to all butthe plainly incompetent or those who knowingly violate the law.’ ” Malley v. Briggs, 475 U.S. 335 , 341 [106 S.Ct. 1092 ,89 L.Ed.2d 271 ] (1986).
1. Rationale for Qualified-Immunity Doctrine.
Qualified immunity is judicially created and rooted in public policy. The fear of suit may have a chilling effect on official decision-making, seriously deterring officials from exercising judgment with the decisiveness important to their office.
See Richardson v. McKnight,
It cannot be disputed seriously that claims frequently run against the innocent as well as the guilty—at a cost not only to the defendant officials, but to society as a whole.... [T]here is the danger that fear of being sued will dampen the ardor of all but the most resolute, or the most irresponsible [public officials], in the unflinching discharge of their duties.
Id.
at 814,
2. Two-Part Test for Qualified Immunity.
Until recently, courts were required to apply a two-step analysis in deciding whether a party is entitled to qualified immunity. The broad protection afforded by qualified immunity gives officials “a right, not merely to avoid ‘standing trial,’ but also to avoid the burdens of ‘such pretrial matters as discovery.’ ”
Holland ex rel. Overdorff v. Harrington,
Once a defendant asserts the affirmative defense of qualified immunity, the burden then shifts to the plaintiff to establish a violation of a constitutional or statutory right by the defendant.
See Gross v. Pirtle,
A court required to rule upon the qualified immunity issue must consider, then, this threshold question: Taken in the light most favorable to the party asserting the injury, do the facts alleged show the officer’s conduct violated a constitutional right? This must be the initial inquiry.... In the course of determining whether a constitutional right was violated on the premise alleged, a court might find it necessary to set forth principles which will become the basis for a holding that a right is clearly established. This is the process for the law’s elaboration from case to case, and it is one reason for our insisting upon turning to the existence or nonexistence of a constitutional right as the first inquiry. The law might be deprived of this explanation were a court simply to skip ahead to the question whether the law clearly established that the officer’s conduct was unlawful in the circumstances of the case.
Saucier v. Katz,
If a plaintiff meets his or her burden of establishing a violation of a constitutional right, he or she must demonstrate that the right alleged to have been violated was clearly established at the time of the defendant’s allegedly unlawful conduct.
See Holland ex rel. Overdorff v. Harrington,
3. Clearly Established Law.
Qualified immunity shields federal officials from liability “insofar as their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known.”
Harlow v. Fitzgerald,
As the Supreme Court has observed, it is generally not necessary to find a controlling decision declaring the “very action in question ... unlawful.”
Anderson v. Creighton,
In the Tenth Circuit, to carry the burden of identifying a clearly established right, the plaintiff “must demonstrate a substantial correspondence between the conduct in question and prior law allegedly establishing that the defendant’s actions were clearly prohibited.”
Trotter v. Regents of the University of New Mexico,
The plaintiffs burden to establish that the law is clearly established “must be undertaken in light of the case’s specific context, not as a broad proposition.”
Saucier v. Katz,
4. Pearson v. Callahan.
The Supreme Court recently revisited the proper procedure for lower courts to evaluate a qualified-immunity defense. In
Pearson v. Callahan,
the Supreme Court held that, “while the sequence set forth [in
Saucier v. Katz
] is often appropriate, it should no longer be regarded as mandatory.”
While leaving the determination whether to adhere to the
Saucier v. Katz
sequence in the lower courts’ sound discretion, the Supreme Court mentioned various circumstances where such sequencing might be undesirable. For example, there are cases in which it is plain that a right is not clearly established, but less obvious whether such a right in fact exists.
See Pearson v. Callahan,
Another concern arises out of the fact that qualified immunity is usually raised at the pleading stage. The Supreme Court in
Pearson v. Callahan
observed that the “two-step” inquiry can be an uncomfortable exercise where “the answer [to] whether there was a violation may depend on a kaleidoscope of facts not yet fully developed.”
Adherence to
Saucier v. Katz
also poses the potential to lead to bad decision-making. For example, in some cases that the district courts encounter, “the briefing of constitutional questions is woefully inadequate,” and “constitutional questions may be prematurely and incorrectly decided in cases where they are not well presented.”
Pearson v. Callahan,
“Rigid adherence to the
Saucier
rule may make it hard for affected parties to obtain appellate review of constitutional decisions that may have a serious prospective effect on their operations.”
Pearson v. Callahan,
Finally, an obligation to strictly follow
Saucier v. Katz
runs up against the “general rule of constitutional avoidance and runs counter to the older, wiser counsel not to pass on questions of constitutionality ... unless such adjudication is unavoidable.”
Pearson v. Callahan,
LAW REGARDING AMENDMENTS TO PLEADINGS
Parties may request leave to amend their pleadings pursuant to rule 15(a) of the Federal Rules of Civil Procedure. While a party may amend its pleadings once, as a matter of course, in accordance with the procedure laid out in rule 15, a party may also request leave to amend at the court’s discretion. Under such circumstances, rule 15(a) instructs courts to “freely give leave when justice requires.” Fed.R.Civ.P. 15(a)(2).
See Foman v. Davis,
ANALYSIS
After careful review of the facts surrounding Mata’s failure to timely serve process and of the allegations in Mata’s Complaint, the Court finds it appropriate to excuse Mata of the consequences of the delay in service. While Mata has not demonstrated good cause for the delay in service, the Court sees prudential reasons for excusing the delay. The Court also finds that Mata states a claim upon which relief can be granted. Namely, he has pled allegations that, if true, would establish the essential elements of a retaliatory-prosecution claim. His First Amended Complaint, fairly read, contains allegations that Anderson initiated a prosecution against him without probable cause. While the Court takes judicial notice of the underlying criminal case’s record, which indicates that a magistrate jury convicted Mata, the Court does not consider that conviction to be conclusive proof of the existence of probable cause. Mata therefore has the opportunity to present evidence that probable cause was, in fact, lacking. Anderson, as the officer who initiated the criminal charges in the underlying criminal case, does not enjoy absolute immunity under the circumstances of this case. Moreover, he does not enjoy qualified immunity, because retaliatory prosecution has been clearly established as a constitutional violation, and the allegations in the First Amended Complaint, if taken as true, establish such a violation. The Court will therefore deny the motion to dismiss. Furthermore, the Court will grant Mata’s request to amend his First Amendment Complaint.
I. ANDERSON HAS NOT WAIVED HIS RULE 12(b)(5) DEFENSE.
In addition to arguing for a finding of “good cause,” Mata argues that Anderson waived his 12(b)(5) defense.
See
Response at 3-4. In support of this argument, Mata cites to
Datskow v. Teledyne,
Anderson has not engaged in such gamesmanship. As Mata admits, Anderson has, at all times, asserted Mata’s failure to accomplish timely service. Unlike the situation in Datskow v. Teledyne, Anderson filed an Answer and a rule 12 motion less than twenty days after he was served. Anderson’s motion was the first rule 12 motion and included the challenge to personal jurisdiction based on insufficiency of process. There is no allegation that Anderson quietly allowed the statute of limitations to slip by while still participating in the litigation. Rather, Anderson acted as promptly as practicable and raised the defense of failure to timely serve in the first motion.
If the Court were to consider Anderson’s conduct to constitute waiver, improperly served defendants would find it difficult to find a situation in which the rule 12(b)(5) defense could be raised. The Court believes it would be unfair to hold that Anderson’s litigation conduct, which can be characterized as prompt, thorough, and forthright, as somehow constituting a waiver of the 12(b)(5) defense.
II. THE COURT WILL EXCUSE MATA’S FAILURE TO TIMELY SERVE PROCESS.
Mata failed, without justification, to properly serve Anderson within the 120 days that rule 4(m) requires. Mata’s Complaint and Amended Complaint were not timely served, and Mata has no good-cause explanation for the delay. Contrary to Anderson’s assertions, however, there is justifiable reason for the Court to exercise its discretion to lengthen the time for effecting service.
A. SERVICE OF PROCESS WAS UNTIMELY.
Mata does not dispute that service was not timely. Mata filed his suit on January 11, 2008. Mata was required to serve Anderson by May 10, 2008. See Fed. R.Civ.P. 4(m) (“If a defendant is not served within 120 days after the complaint is filed, the court—on motion or on its own after notice to the plaintiff—must dismiss the action without prejudice against that defendant....”). Mata waited until June 19, 2008 to serve Anderson, approximately forty days after the expiration of the 120-day deadline. Anderson contends that the Court should dismiss Mata’s Complaint for untimely service. Anderson further asserts that the statute of limitations bars Mata’s lawsuit because of his failure to effect timely service.
B. MATA HAS NOT ESTABLISHED GOOD CAUSE REQUIRING AN EXTENSION OF TIME TO SERVE ANDERSON.
Mata suggests that the time for service can be extended: (i) if a litigant shows good cause; and (ii) in the Court’s discretion.
See
Response at 1-2. Although he recognizes that a litigant’s showing of “good cause” can excuse untimely service, Mata makes little effort to demonstrate that there was “good cause” for his month-and-a-half delay in serving Anderson.
See
Response at 2-6. At the hearing, Mata explained that he had asked his client for various pieces of evidence so that he could expand the First Amended Complaint to include more allegations and possibly more causes of action.
See
Tr. at 20:10-19 (Montoya). The Court does not view the excuse that Mata’s counsel prof
Anderson insists that the “good-cause exception” to rule 4 in the Tenth Circuit is narrow and protects “only those plaintiffs who have been meticulous in their efforts to comply with the Rule.”
Despain v. Salt Lake Area Metro Gang Unit,
C. THE COURT WILL EXERCISE ITS DISCRETION TO EXTEND THE PERIOD OF TIME TO SERVE ANDERSON BY FORTY DAYS.
Anderson argues that Mata has not demonstrated any of the prudential reasons for extending the time for service that has caused the Court to grant limited extensions for service in prior cases.
See, e.g., Martinez-Jones v. Dulce Indep. Schs.,
Nevertheless, the Court concludes that dismissal of this action is not appropriate. The delay was not inordinate, prejudicial, or intentional, and the First Amended Complaint has been served. Anderson has been, albeit untimely, properly served, and he has filed an Answer. The argument that he raises is not one of invalidity of the service for any reason other than timeliness. The service was not effected within the 120 days that the rule requires, but was more timely effected than in many other cases in which the Court has issued warnings to plaintiffs and given a deadline within which to serve the complaint.
Anderson has now been served with the summons and the Complaint in this case. The Court routinely issues notices to plaintiffs in civil actions advising them when a complaint has not been served and setting a deadline in which to do so. Mata did not, however, wait for such an order to issue from the Court, but instead proceeded to attempt to rectify any delay in service by serving Anderson before any court-issued warning. In that sense, Mata has been more diligent that the plaintiffs in other cases who have effected service only after the Court issues them a notice that dismissal is imminent.
Anderson contends that the Court’s exercise of its discretion to lengthen the time for effecting service will prejudice him, because it will deprive him of a statute of limitations defense that should otherwise be available to him if, in accordance with rule 4(m), the case is dismissed without prejudice. The parties have a legitimate dispute whether the statute of limitations
Anderson maintains that the cause of action accrued when the criminal charges upon which Mata sues were filed. If that indeed represents when the statute of limitations began to run, then the cause of action accrued on January 11, 2005, and Anderson would be correct in pointing out that Mata filed the original Complaint in this case the day before the statute of limitations period would have run. As Anderson has urged in his briefing, the limitations period may have been tolled for the 120-day period that Mata had to serve process. Anderson contends, however, that, once the 120-days past, the clock began running again. In this case, according to Anderson, the clock ran out.
Mata insists, however, that when a litigant seeks damages in a § 1983 suit and a favorable judgment would necessarily imply the invalidity of a criminal conviction or sentence, the cause of action does not accrue until the sentence or conviction is invalidated. Mata’s draws support for his position from
Heck v. Humphrey,
Admittedly, the date on which Mata’s cause of action accrued is a complex question. The Court need not decide the statute-of-limitations issue at this time, because the Court will excuse Mata of the consequences of missing the deadline to serve process. If anything, the specter of Mata’s claim being barred by the statute of limitations weighs against dismissal for failure to timely serve in this case. The Advisory Committee contemplated the circumstances presented in this case, in which the statute of limitations would potentially bar refiling of the lawsuit after dismissal without prejudice under rule 4(m). The Advisory Committee States: “Relief may be justified, for example, if the applicable statute of limitations would bar the refiled action, or if the defendant is evading service or conceals a defect in attempted service.” Advisory Committee Notes to the 1993 Amendment at 56.
The Tenth Circuit has stated:
We need not decide whether the provisions of new Rule 4(m) apply to this case. Under the new rule, the grant of additional time remains discretionary with the district court. That a plaintiffs claims will be time-barred if an action is dismissed for failure to effect service within 120 days does not mandate an extension of time under new Rule 4(m). See Fed.R.Civ.P. 4(m) advisory committee’s note (“Relief may be justified, for example, if the applicable statute of limitations would bar the refilled action. ...”) (Emphasis added.).
Courts in the other circuits appear to be in agreement that the potential running of the statute of limitations is a factor that weighs against dismissal. Citing the Advisory Committee Notes, the United States Court of Appeals for the Eleventh Circuit has held that district courts should consider the possible running of the statute of limitations when deciding whether to allow an extension for service of process.
See Lepone-Dempsey v. Carroll County Com’rs,
The Court agrees with the Advisory Committee and notes that, in this case, dismissing Mata’s case for failure to serve process would be overly harsh. The Tenth Circuit has at least noted that a district court may grant an extension if the statute of limitations might bar refiling. Moreover, the plaintiff in
Cloyd v. Arthur Andersen & Co., Inc.
waited until the last minute to file his cause of action and then waited until the last minute to serve process.
See Cloyd v. Arthur Andersen & Co., Inc., 25
F.3d 1056 (Table) *3. Given that the plaintiff waited until the last minute, the Tenth Circuit agreed with the district court that the plaintiff should have taken care to make sure that the summons was not defective.
See id.
In this case, it is not clear that Mata waited until the last minute. Rather, Mata appears to have a good-faith basis for believing that his cause of action did not accrue until much later than when Anderson contends. The Court believes that Mata has not shown the same lack of diligence as the plaintiff in
Cloyd v. Arthur Andersen & Co., Inc.
If the statute of limitations would indeed bar Mata’s claim—and the Court need not decide that question for purposes of making a determination on this motion—the rule 4(m) dismissal might result in total elimination of Mata’s claims. That is a result that rule 4(m) typically does not contem
III. THE COURT WILL CONSIDER CERTAIN EXHIBITS OUTSIDE THE COMPLAINT IN DECIDING ON THE MOTION TO DISMISS ON THE PLEADING.
Normally, a court must convert a motion to dismiss into a motion for summary judgment if matters outside the pleadings are presented and not excluded.
See
Fed. R.Civ.P. 12(b). The Court may, however, take judicial notice of materials in the public record.
See Van Woudenberg v. Gibson,
While the Court will rely on certain materials outside the First Amended Complaint to decide this motion, the Court will not treat the motion as a motion for summary judgment. The documents on which the Court relies are documents that a court can appropriately view as either part of the public record, or as documents upon which the Complaint relies, and the authenticity of which is not in dispute. Accordingly, the Court relies on the following documents in deciding this motion for dismissal on the pleadings: (i) Exhibit A to the Answer, The Settlement Notice (ii) Exhibit B to the Motion, the criminal complaint and attached statement of probable cause, filed July 7, 2008 (Doc. 8-3); (iii) Exhibit C to Answer, Criminal Docket Sheet, filed July 7, 2008 (Doc. 8-4); and (iv) Exhibit E to Answer, Magistrate Verdict Forms. While the Court mentioned in the factual background of this opinion other documents that fall outside the pleadings and outside this list of documents that the Court has chosen to admit for purposes of this motion, the Court will not consider those other documents in deciding this motion. Such documents not admitted shall be considered as providing only background information for purposes of fully and clearly explaining the context of this lawsuit.
Each of the extra-pleading documents upon which the Court relies are court documents from the underlying criminal case and from the first lawsuit. They are therefore part of the public record. The Court can properly take judicial notice of such documents without converting the motion to dismiss into a motion for summary judgment.
See Van Woudenberg v. Gibson,
In refusing to convert this motion into one for summary judgment, the Court also notes that Anderson agreed with the Court at the hearing that the Court should view this motion as a motion to dismiss.
See
IV. MATA’S COMPLAINT SUFFICIENTLY ALLEGES A CAUSE OF ACTION FOR VIOLATION OF HIS FIRST-AMENDMENT RIGHTS.
Anderson contends that Mata’s Amended Complaint fails to state a cause of action for First-Amendment retaliation. The primary arguments Anderson marshals in support of this contention are: (i) that Mata’s claim that Anderson retaliated for Mata’s successful settlement of a prior lawsuit falls outside the realm of possibility because the settlement happened after the charges forming the basis of this lawsuit were brought; (ii) that Mata failed to allege lack of probable cause, which is an essential element to a retaliatory-prosecution claim under 42 U.S.C. § 1983; and (iii) that, even if Mata had alleged lack of probable cause, the magistrate-jury conviction, although overturned at the de-novo trial, constitutes conclusive proof that probable cause existed. The Court does not find these arguments to be persuasive. Mata does not state in his First Amended Complaint merely that Anderson retaliated against him for obtaining a settlement. Rather, Mata also makes broader allegations that can encompass more than just retaliation for the settlement. Furthermore, Mata’s First Amended Complaint, fairly interpreted, sufficiently states a claim for retaliatory prosecution. The Court also finds good reason to reject the notion that the magistrate-jury conviction constituted conclusive proof of the existence of probable cause. Rather, although the conviction constitutes strong evidence that probable cause existed, Mata should be able to gather evidence and further testimony that probable cause was lacking at the time Anderson brought the charges.
A. MATA’S ALLEGATIONS ENCOMPASS MORE CONDUCT THAN RETALIATION FOR SUCCESSFULLY OBTAINING A SETTLEMENT.
Mata has admitted that his First Amended Complaint is “inartfully drafted.” Response at 6. Nevertheless, Mata’s poor drafting does not prove fatal in this case. A Court considering a motion for judgment on the pleadings must “accept all facts pleaded by the non-moving party as true and grant all reasonable inferences from the pleadings in favor of the same.”
Park Univ. Enterprises, Inc. v. Am. Cas. Co. of Reading, PA
Anderson contends that Mata’s suit is premised on a faulty factual predi
Aside from rendering Mata’s claim somewhat ridiculous, Anderson’s argument regarding the faulty time line to suggest that Mata cannot establish a required element of his First-Amendment retaliation claim—that Anderson had any intent to retaliate against him as a result of his First-Amendment protected activity. Anderson could not have intended to retaliate because of the settlement of the first Mata civil-rights case, because that first Mata case did not settle for some eleven months after Anderson initiated criminal charges against Mata.
If Anderson’s supposed retaliation for the settlement were the extent of the allegations that the Court could fairly infer from the First Amended Complaint, Mata would not succeed in nudging his claim across the line from implausible to plausible. Such an interpretation of the First Amended Complaint, however, does not comport with the liberal construction of pleadings that rule 12(b)(6) requires. The First Amended Complaint, read as a whole, makes a broader set of allegations against Anderson. In paragraph ten, for example, Mata asserts that Anderson was motivated by a desire to retaliate against Juan Mata for his “outspoke criticism of Farmington Police officers, particularly Officer Mike Briseno.” First Amended Complaint ¶ 10, at 3. In paragraph eleven, Mata further alleges that “Defendant knew that Juan Mata had protested against Mike Briseno outside the police department, which also angered Defendant.” First Amended Complaint ¶ 11, at 3. Finally, in paragraph 13, Mata states that Anderson retaliated against him “for Mata’s exercise of his First Amendment rights, including but not limited to protesting and petitioning the Court for redress.” First Amended Complaint ¶ 13, at 3.
Viewed together, then, paragraphs ten through thirteen contain allegations of retaliation for protesting and First-Amendment activity unrelated to the settlement of the first lawsuit. There is no suggestion that the other Firsb-Amendment activity occurred after the filing of charges, or that Anderson’s retaliation for that activity is otherwise implausible. Moreover, paragraphs ten through thirteen contain “more than labels and conclusions, and a formulaic recitation of the elements of a cause of action.... ”
Bell Atl. Corp. v. Twombly,
Anderson maintains that, even if the “protected activity” is expanded beyond Mata’s allegations to include the act of filing the first Mata case and/or Mata’s October 2004 protests against Briseno, Mata can offer no more than his conjecture that Anderson, who was not named as a defendant in the first Mata case, and whose conduct was not the subject of any protests by Mata, nevertheless intended to retaliate against Mata for that protected activity. Anderson insists that the evidence is insufficient to establish Mata’s claim. In light of the standard for deciding a motion to dismiss on the pleadings, however, the Court must take Mata’s allegations as true. Those allegations, rather than amounting to mere conjecture, constitute a set of specific factual assertions that, if true, and if understood as a whole, state a claim for retaliatory prosecution. Sufficiency of the evidence is not the inquiry on a motion to dismiss.
The Court therefore believes that Mata has pled sufficient facts to survive Anderson’s attack on the plausibility of the factual time line upon which this lawsuit is based. There is therefore no reason to find references to the January 2005 newspaper coverage or to the settlement as being the source of retaliation, to be fatal. The overall gist of the First Amended Complaint sufficiently establishes a plausible factual predicate, if the allegations are taken as true—as they must be for purposes of this motion to dismiss. Thus, while the realities of the space-time continuum might preclude a realistic possibility of the retaliation being for a settlement that occurred before the retaliatory acts, the space-time continuum appears to allow for the broader claim that the retaliation was a result of “outspoken criticism,” “protesting] against Mike Briseno outside the police department,” and “exercise of ... First Amendment rights.” First Amended Complaint ¶¶ 10-11 & 13, at 3.
B. MATA HAS ALLEGED ALL OF THE ESSENTIAL ELEMENTS OF HIS CLAIM, INCLUDING A LACK OF PROBABLE CAUSE.
To sustain a claim for First Amendment retaliatory prosecution, a plaintiff must allege and prove
(1) that she was engaged in a constitutionally protected activity; (2) that a defendant’s action caused her to suffer an injury that would chill a person of ordinary firmness from continuing to engage in that activity; and (3) that a defendant’s action was substantially motivated as a response to her exercise of her First Amendment speech rights. Worrell v. Henry,219 F.3d 1197 , 1212 (10th Cir.2000). She also must pleadand prove the absence of probable cause for the prosecution. Hartman [v. Moore ], 126 S.Ct. at 1707 .
Becker v. Kroll,
While the Supreme Court has stated that the probable-cause standard is “incapable of precise definition,”
Maryland v. Pringle,
While Mata never invokes the “magic words” of probable cause, he makes several factual assertions that are tantamount to a lack of probable cause. In paragraphs fifteen of the First Amended Complaint, Mata contends that he “engaged in no activity that would legitimately give rise to a criminal complaint.” First Amended Complaint ¶ 15, at 4. In paragraph sixteen, Mata further asserts that “Defendant Anderson was well aware that Plaintiff had engaged in no criminal activity.” Id. ¶ 16, at 4.
Paragraphs fifteen and sixteen of the First Amended Complaint are worded such that one of their necessary implications is that Anderson did not have probable cause. If an action cannot legitimately give rise to a criminal complaint, it follows that an officer, such as Anderson, could not articulate facts describing criminal conduct upon which to swear out a criminal complaint. Paragraph sixteen speaks more directly to probable cause. If Defendant Anderson was well aware that Mata engaged in no criminal activity, he was, or should have been aware, that he did not have grounds for believe that Mata was guilty of criminal activity. Without such grounds for belief, Anderson would have had no probable cause to initiate criminal charges against Mata. Simply stated, if paragraph sixteen of the First Amended Complaint is true, Anderson’s awareness that Mata engaged in no criminal activity equates to an assertion that Anderson had no probable cause.
Finally, in paragraph twenty-one, Mata alleges that Anderson solicited the continued prosecution of Mata, “even though Anderson knew or had reason to know that the charges against Juan Mata were invalid.” First Amended Complaint ¶ 21, at 4. Again, albeit without invoking any talismanic verbal formulas, Mata makes an allegation that, if taken as true, necessarily implicates a lack of probable cause. Mata has therefore sufficiently pled lack of probable cause. And Anderson has not contended, nor could he reasonably, that allegations establishing the other elements of retaliatory prosecution are missing from within the four corners of the First Amended Complaint.
C. THE MAGISTRATE-JURY CONVICTION IS NOT CONCLUSIVE EVIDENCE THAT ANDERSON HAD PROBABLE CAUSE TO INITIATE CRIMINAL PROCEEDINGS AGAINST MATA.
Anderson argues that, even if Mata has sufficiently pled lack of probable cause, the Court should dismiss the FirsF-Amendment retaliation claim because the magistrate-court jury conviction conclusively establishes that Anderson had probable
While the district court in Adcox v. Safeway Stores, Inc. approved of the Restatement (Second) of Torts rule, it did so in the context of projecting what the Texas courts would do in a malicious-prosecution case in that state. See 512 F.Supp. at 454. No federal courts appear to have decided whether, as a matter of federal constitutional law, in a First-Amendment retaliatory-prosecution claim brought under 42 U.S.C. § 1983, a conviction obtained in a state’s magistrate court, which is later overturned in a de novo trial, constitutes conclusive evidence of probable cause, establishes a presumption, or is merely evidence of probable cause. At least under the circumstances of this case, the Court finds that the magistrate jury’s conviction, which was overturned in a de novo trial, is not conclusive evidence of probable cause.
The New Mexico Court of Appeals suggested some persuasive reasons to reject the formulation of the
Restatement (Second) of Torts
in
Miera v. Waltemeyer,
The Restatement Rule is apparently bottomed on the assumption that the magistrate has upon a full and fair trial proceeded to conviction predicated upon evidence that would convince a prudent and reasonable man of the guilt of the accused. Therefore there must have been probable cause for the criminal proceeding. But the difficulty with the rationale is that the assumption may not be true. If the magistrate erred as a matter of law, should the plaintiff be deprived of his cause of action? If that trial court had acted correctly there would have been an acquittal. Then the plaintiff would have been able to maintain the malicious prosecution suit. The inequity of a rule which in that situation bars the cause of action is obvious.
Miera v. Waltemeyer,
Treating the results of a lower-court proceeding as conclusive can be alternatively characterized as a form of nearly absolute deference to that lower court. In this case, which involves a determination whether Anderson had probable cause, ab initio, to bring criminal charges against Mata, to assume the correctness of the magistrate court’s determination that the criminal charges were sufficiently supported by evidence to go to a jury, and to assume that the jury verdict was supported by evidence, reflects a high level of deference to the magistrate court. At the same time, the Court recognizes that a state court’s determination of probable cause—even if the determination is, as in this case, non-formal and implicit—cannot be completely discounted, given that it is evidence that at least one legal decision-maker apart from the prosecutor believed that there was probable cause. That a jury panel also returns a verdict of guilty constitutes additional evidence of the existence of probable cause. And, if the state court in which such a proceeding occurred were a district court, with a legally trained judge and full indicia of procedural regularity and neutrality, such a proceeding might deserve greater deference. The Court need not decide whether a jury conviction obtained in such a proceeding, even if overturned at the appellate level, is conclusive proof of the existence of probable cause. Rather, the Court sees good reason to draw a distinction between New Mexico’s district courts and its magistrate courts in certain areas, such as San Juan County, where lay people are allowed to serve as magistrates. In other words, without denigrating the system which New Mexico chooses to employ in allowing lay people to sit as magistrates, the Court believes that there is justification for treating the guilty verdict against Mata, which was obtained in such a magistrate court, differently than one obtained in a district court of general jurisdiction presided over by a legally trained judge.
The Supreme Court has recognized that a distinction exists between courts of record and so-called inferior courts. For example, in
Ex Parte Watkins,
As Chief Justice Marshall understood the distinction between courts of record and inferior courts, “a ‘superior’ court was a court of general jurisdiction, proceeding according to the common law, empowered to decide upon its own jurisdiction and to enter judgments that are entitled to a presumption of validity in subsequent litigation.” Gerald L. Neuman, Habeas Corpus, Executive Detention, and the Removal of Aliens, 98 Colum. L. Rev. 961, 982 (1998).
In contrast, inferior courts (or, more generally, tribunals) proceeded “by force of particular statutes, out of the course of the common law.” The judgments or orders of these tribunals of special and limited jurisdiction did not carry the same presumption of validity as the judgments of a superior court. An inferior court’s determination of its own jurisdiction could be reexamined on habeas, and its proceedings must expressly demonstrate that it had acted within its jurisdiction. Examples of “inferior” tribunals have included justices of the peace in certain states, police courts, courts-martial, and executive tribunals.
Id. at 982-83 (footnotes omitted). While the discussion in Ex PaRe Watkins arose out of the Supreme Court’s habeas corpus jurisprudence, a sound principle emerges that federal courts, since their earliest days, have justifiedly seen fit at times to afford less weight to the dispositions of inferior courts, which are not of record and which do not exercise general jurisdiction in the state.
The fact that New Mexico provides a de novo trial in the event of a conviction in the magistrate court further supports the wisdom in finding that a conviction in a magistrate court is less than conclusive of the existence of probable cause.
See
N.M. Const. Art. 6, § 27 (“Appeals shall be allowed in all cases from the final judgments and decisions of the probate courts and other inferior courts to 'the district courts, and in all such appeals, trial shall be had de novo unless otherwise provided by law.”). New Mexico courts interpret the de novo trial as “[a] new trial or retrial had in an appellate court in which the whole case is gone into as if no trial whatever had been had in the court below.”
Miera v. Waltemeyer,
Given the procedural safeguards that New Mexico puts up to guard against miscarriages of justice in its magistrate courts, it would seem proper for a federal court examining a conviction or a determination of probable cause made in such a magistrate court to be able to second-guess the magistrate court. Thus, the Court believes that a federal district court hearing a First Amendment retaliatory-prosecution claim should be able to give less weight to a state magistrate-court conviction that is overturned at a de novo trial in the state’s district court. Specifically, when a state district court de novo trial results in a reversal of a conviction obtained in the magistrate court, the magistrate conviction is not sufficient evidence to warrant dismissal of a retaliatory prosecution claim for failure to establish want of probable cause. A federal court hearing a motion to dismiss on such grounds should instead review the complaint, and should deny the motion to dismiss if, on the face of the complaint, the plaintiff alleges facts that would otherwise survive a 12(b)(6) motion. The magistrate-court conviction may constitute evidence of probable cause, and it will ultimately be a plaintiffs burden to prove lack of probable cause, perhaps in the face of such potential evidence. At the stage of a motion for dismissal on the pleadings, however, it is too early to say
D. THE STATE DISTRICT COURT’S SENDING OF TWO OUT OF THREE COUNTS AGAINST MATA TO THE JURY DOES NOT CONSTITUTE CONCLUSIVE EVIDENCE OF PROBABLE CAUSE.
At the hearing, Anderson argued that the fact that the state district court allowed two of the charges to go to a jury is sufficient proof of probable cause to warrant dismissal. See Tr. at 16:17-23 (Court, Walker). The Court agrees that it is at least evidence of probable cause that the district court allowed a jury to hear the case. Mata countered at the hearing that the district court never made a formal finding of probable cause. See id. at 23:8-9. Anderson’s point is well taken, however, that a court sending a charge to the jury reflects that court’s implicit belief that there is probable cause. Nevertheless, while the Court sees merit to Anderson’s argument that the district court’s act of sending two charges to the jury represents a finding of probable cause, the Court views the district court’s actions as mere evidence of probable cause and not as conclusive. Mata may still be able to carry his burden of showing a lack of probable cause. Dismissal on the pleadings at this point for failure to establish lack of probable cause is therefore improper.
To maintain a cause of action for malicious prosecution, a plaintiff must show not only that there was a lack of probable cause, but that the underlying criminal proceeding terminated in his favor.
See Heck v. Humphrey,
The
Restatement (Second) of Torts
lists the dispositions which are generally considered to qualify as favorable terminations.
See Restatement (Second) of Torts
§ 659. Among the list is “acquittal.” While the Court need not adopt the entire list in § 659, and while the common law is not the definitive guide in deciding the contours of constitutional torts, the Court is not aware of authority finding that an acquittal by a jury would not satisfy the favorable-determination element of a mali
An acquittal by a jury comes only if a court has either denied a directed verdict or has otherwise permitted the case to proceed to the jury. In sending the case to the jury, the Court, either explicitly or, as is argued in this case, implicitly determined there to be sufficient evidence of guilt that the jury could reasonably find guilt beyond a reasonable doubt. That belief includes an implicit belief that there was probable cause. If a court sending a case to the jury were conclusive evidence of probable cause, malicious-prosecution law would be at odds with itself, because, on the one hand, it would require a showing of lack of probable cause, and on the other hand, it would allow acquittal to satisfy another essential element—namely, favorable determination—even though acquittal also implicitly proved the existence of probable cause, given that a necessary condition of acquittal by jury is that the judge see probable cause sufficient to send the case to the jury in the first place. The Court believes that this tension is not a large concern in malicious-prosecution cases because it is understood that sending the case to the jury does not constitute conclusive evidence of probable cause. Rather, a litigant in a malicious prosecution claim may prove lack of probable cause even though the judge in the criminal proceeding sent the case to the jury.
Even though First-Amendment retaliatory prosecution and malicious prosecution do not have the same elements, they both require lack of probable cause. Proofs of lack of probable cause should usually be similar in either cause of action. At least there is no good reason to hold that probable cause is not conclusively proved when a judge has sent criminal counts to the jury in a malicious-prosecution claim, but that the court sending the criminal counts to the jury is conclusive proof of probable cause in retaliatory-prosecution claims. The Court therefore finds that a court-even a state district court—sending a case to the jury is not conclusive of the existence of probable cause.
V. ANDERSON DOES NOT ENJOY ABSOLUTE IMMUNITY IN THIS CASE.
Anderson argues that, even if Mata has otherwise stated a claim, the Court should dismiss the suit because Anderson enjoys absolute immunity. The Court finds that, under the circumstances of this case, Anderson does not have absolute immunity. His actions fall into the range of activities that are outside the sphere of absolute immunity.
“In evaluating an assertion of absolute immunity, the Supreme Court of the United States applies a functional approach, ‘focus[ing] on the conduct for which immunity is claimed, not on the harm that the conduct may have caused or the question whether it was lawful.’ ”
Caputo v. Rio Ranche Police Dept.,
Slip Copy,
In
Malley v. Briggs,
the Supreme Court discussed whether a police officer seeking an arrest warrant, and who presented a judge with a complaint and supporting affidavit, was entitled to absolute immunity. Noting that an officer seeking an arrest warrant is functionally similar to a complaining witness, the Supreme Court held that such an officer does not enjoy absolute immunity.
See id.
In this case, like the officer in
Malley v. Briggs,
Anderson also was functionally equivalent to a complaining witness, because he swore out the factual allegations in the criminal complaint and in the statement of probable cause. His oath regarding the veracity of the criminal complaint and statement of probable cause formed the basis for initiation of prosecution. The magistrate approved the criminal complaint, but such approval by the magistrate does not convert Anderson into someone who would enjoy absolute immunity. The process is similar to swearing out a warrant, which also requires the ultimate approval of a magistrate.
See Kalina v. Fletcher,
Anderson’s contention that he is absolutely immune because his activities were analogous to those of a prosecutor must also fail because, even if he were a prosecutor, he performed a function to which absolute immunity is not afforded. In
Kalina v. Fletcher,
a prosecutor commenced a criminal proceeding by filing three documents, including two unsworn pleadings constituting the charging information and a motion for a warrant.
Anderson’s conduct is analogous to that of the prosecutor in Kalina v. Fletcher. Namely, he submitted a criminal complaint to which he attached a sworn statement laying out the essentials facts of the criminal charges and the reasons for probable cause. Given that the Supreme Court has held such activity, in which the individual commencing prosecution submits an affidavit swearing to the factual allegations in the criminal complaint, to be beyond the blanket of absolute immunity, even when taken by a prosecutor, Anderson cannot expect to receive immunity in this case. In light of the case law, the Court therefore concludes that Anderson did not enjoy absolute immunity under these circumstances.
VI. ANDERSON IS NOT ENTITLED TO QUALIFIED IMMUNITY.
The Court is sensitive to the concerns raised in Pearson v. Callahan about slavish adherence to the two-step sequence of Saucier v. Katz in deciding the issue of qualified immunity. Nevertheless, the Court will exercise its discretion and apply the traditional approach. This case does not appear to one in which it would be appropriate to bypass examining the merits whether a constitutional violation occurred. The Court believes that it has adequate information before it to decide whether the First Amended Complaint alleges facts that, if true, would amount to a constitutional violation. The Court is also confident that it can give careful consideration to the merits of the constitutional claim without short-cutting the analytic process. It therefore makes sense in this case to first decide whether Mata has alleged a violation of a constitutional right. The Court will then proceed to determine whether such a right was clearly established at the time of the alleged violation.
Anderson argues that, even if Mata’s Amended Complaint states a claim for a First Amendment violation, he would be entitled to qualified immunity from suit. Mata does not dispute that qualified immunity is proper if he failed to allege facts sufficient to demonstrate a constitutional violation.
See
Response at 12. Because Anderson has raised the defense of qualified immunity, Mata bears the burden of establishing that he suffered a constitutional violation.
See Gross v. Pirtle,
Mata sufficiently alleges that Anderson violated a constitutional right. As discussed above, Mata properly pled all of the elements of a First Amendment retaliatory-prosecution claim. Within certain limits not applicable in this case, citizens have a clearly established right to engage in protests and other free-speech activities without fear of government reprisals. It is “settled that as a general matter, the First Amendment prohibits government officials from subjecting an in
Because the Court has determined that Mata has sufficiently alleged and can prove a violation of a constitutional right, Mata must also establish that the right allegedly violated was clearly established at the time so that a reasonable person in Anderson’s position would have known that his conduct violated that right.
See Tonkovich v. Kansas Bd. of Regents,
The Court is in agreement with Anderson that the existence of probable cause would eliminate Mata’s claims because, in the first place, absence of probable cause is an essential element to a Firsb-Amendment retaliatory-prosecution claim. If probable cause were lacking, the Court would therefore not see the need to reach the qualified-immunity question. The Court, however, has found that, on this motion to dismiss, taking the allegations in the First Amended Complaint as true, it is not possible to say that Anderson has conclusively shown that there was probable cause. Mata alleges a lack of probable cause, and he will be permitted to attempt to prove that element of his cause of action. In the meantime, because the Court has not found that probable cause existed, Anderson’s argument on that point becomes moot.
Moreover, the cases that Anderson cites for the proposition that a finding of probable cause eliminates qualified immunity do not control the decision on this motion. In
Barnes v. Wright,
the United States Court of Appeals for the Sixth Circuit found that a plaintiff alleging both malicious prosecution and First-Amendment retaliatory prosecution could not state a claim because a properly constituted grand jury delivered an indictment against him, and he was convicted on one of the charges which he claimed was wrongfully brought.
Gordy v. Burns
involved an appeal from a trial for malicious prosecution. On appeal, the United States Court of Appeals for the Fifth Circuit found that there was sufficient evidence of probable cause and that the officers in the case were therefore entitled to judgment as a matter of law.
See
The Court also sees merit in Mata’s argument that the Tenth Circuit has held it to be “clearly established that the Fourth Amendment’s warrant requirement is violated when ‘a false statement knowingly and intentionally, or with reckless disregard for the truth, was included by the affiant in the warrant affidavit’ if the false statement is necessary to a finding of probable cause.”
Clanton v. Cooper,
In this case, Mata has alleged facts similar to those alleged in Clanton v. Cooper— albeit under a different theory of recovery. Namely, Mata asserts in his First Amended Complaint that Anderson “was well aware that Plaintiff had engaged in no criminal activity” and yet chose, with retaliatory motive, to bring charges against Mata. First Amended Complaint ¶¶ 16, 19 & 21, at 4-5. The implication of the allegations in the First Amended Complaint is that Anderson knew that Mata engaged in no criminal activity and thus knew that there was no probable cause to bring criminal charges against him. If Anderson knew there was no probable cause, his sworn statement of probable cause, which was attached to the criminal complaint, represents a violation of a clearly established constitutional right.
Anderson argues that he did not file any criminal charges, and that a Magistrate Court judge had to approve the criminal complaint before it could be filed. The implication of the need for magistrate approval, Anderson argues, is that independent judicial approval “breaks the chain” of causation and demonstrates that Anderson could not reasonably have known that he was violating any constitu
In conclusion, Anderson is not entitled to qualified immunity. Mata has met his burden of showing that his First Amended Complaint contains sufficient facts that, if true, give rise to the inference that Anderson engaged in activity that violated Mata’s clearly established rights.
VII. MATA MAY AMEND HIS COMPLAINT TO MORE FULLY SET FORTH HIS ALLEGATIONS AND ADD A FOURTH-AMENDMENT CLAIM FOR MALICIOUS PROSECUTION.
Mata has requested leave to amend his First Amended Complaint to set forth his allegations in a more complete manner. He also wishes to include a claim for Fourth-Amendment malicious prosecution. Rule 15(a) instructs courts to “freely give leave when justice requires.” Fed. R.Civ.P. 15(a)(2).
See Foman v. Davis,
The Court realizes that Anderson might wish to pursue a defense based on the statute of limitations. The Court need not decide that issue at this time, but notes that rule 15(c) of the Federal Rules of Civil Procedure allows for amendments to relate back to the date of the original pleading when “the amendment asserts a claim or defense that arose out of the conduct, transaction, or occurrence set out—or attempted to be set out—in the original pleading.” Fed.R.Civ.P. 15(c)(1)(B).
IT IS ORDERED that the Defendant’s Motion and Brief to Dismiss Plaintiffs Complaint for Failure to Timely Serve or, In the Alternative, Motion for Judgment on the Pleadings is denied. Mata may file an amended complaint within ten days of
Notes
. This document comes to the Court's attention as Exhibit A to Anderson's Answer.
. Mata characterizes New Mexico's municipal and magistrate court system as anachronistic. The Court need not comment on or criticize New Mexico's use of lay people as judges in its traffic courts for purposes of this opinion.
. The Court's citations to the transcript of the hearing refer to the court reporter's original, unedited version. Any final transcript may contain slightly different page and/or line numbers.
. The relative probative weight that the magistrate-trial conviction should have on the existence of probable cause also has bearing whether Anderson should enjoy qualified immunity for his actions. The Court's perception of the briefing and argument at the hearing is that this issue weighs both on whether Mata states a claim and on whether any constitutional violation that Anderson might have committed was clearly established. The Court will discuss the two questions separately for the sake of clarity.
. While the Court refuses to follow Restatement (Second) of Torts § 667 on the lack-of-probable-cause element of First Amendment retaliatory-prosecution claims, the Court believes that dismissal might not be proper in this case even under § 667. Section 667 has an exception for convictions "obtained by fraud, perjury or other corrupt means.” Id. To the extent that the First Amended Complaint can be read to be alleging one of those exceptions, dismissal at this state would be improper. At the hearing, Mata argued that the First Amended Complaint can be read as alleging that Anderson brought charges against him by corrupt means. This conduct would likely fall under the exception to § 667.
