This case presents the question whether a state prosecutor may be liable for damages under 42 U.S.C. § 1983 for maliciously presenting evidence to a grand jury in a manner calculated to clear a suspect of wrongdoing. We conclude that in such circumstances a prosecutor is absolutely immune from liability for damages.
I.
On March 11, 1978, a resident of Baton Rouge, Louisiana, reported to the police department that his home had been burglarized. When officers arrived at the residence to investigate, they discovered Clarence Morrison, Jr., the fourteen-year-old son of the plaintiffs, hiding in a closet. Moments later, there occurred a tragic incident, the details of which are not relevant *243 to this appeal: a Baton Rouge police officer shot and killed the boy.
On November 29, 1978, the plaintiffs commenced this action to recover damages for their son’s death from the City of Baton Rouge, the mayor, the police chief, the police officer who fired the fatal shot, and Ossie B. Brown, the District Attorney of East Baton Rouge Parish. The plaintiffs allege a cause of action for the deprivation of civil rights under 42 U.S.C. §§ 1983, 1985, and 1988 and a pendent-jurisdiction claim for wrongful death under Louisiana law. The complaint alleges that Morrison, a black, was summarily executed “pursuant to the City of Baton Rouge’s long, historic and often protested policy of summary punishment of blacks by white policemen when the former [are] found in incriminating situations.” According to the complaint, the individual defendants, each of whom is white, maliciously participated either in the formulation or the execution of this policy through which, in this case, they deprived Morrison of life without due process. With respect to Brown, the district attorney, the complaint makes only two conclusory allegations: (1) “the defendants have had the active cooperation of the East Baton Rouge District Attorney’s office ... to execute its policies of summary infliction of punishment or death on young blacks” and (2) the policy pursuant to which Morrison was shot is implemented “with the legal back-up of the District Attorneys of East Baton Rouge which ..., in effect, immunize[s] policemen from punishment or reprimand.” The complaint does not specifically allege any act or omission undertaken by Brown or any other district attorney in connection with Morrison’s death.
Brown moved to dismiss the action against him for failure to state a claim upon which relief can be granted. He argued that the allegations of the complaint are too vague and conclusory to state a claim and that, at any rate, he is absolutely immune from liability under
Imbler v. Pachtman,
The plaintiffs attempted to perfect an appeal to this court from the order dismissing their claims against Brown. Because that order was not' a final judgment, we dismissed the appeal for want of jurisdiction.
See Morrison v. City of Baton Rouge,
On June 7, 1982, Brown again moved to dismiss the complaint for failure to state a claim. Construing the allegations of the amended complaint as “nothing more than claims of prosecutorial misconduct in the presentation of the state’s case and initiation of prosecution,” the district court, on August 2, 1982, again granted the motion to dismiss. The district court found that, assuming the truth of the specific allegations of the amended complaint, Brown’s conduct falls within Imbler’s umbrella of immunity. On May 31, 1984, Brown moved, under Rule 54(b), for entry of final judgment in his favor. Before the motion was considered, the plaintiffs, on June 8, 1984, moved to enroll their current attorney as new trial counsel. The latter motion was granted on July 9, 1984. Two days later, on July 11, the district court granted the motion for the entry of final judgment in favor of Brown on the ground that, by failing to respond to the motion, the plaintiffs effectively consented to the entry of final judgment. A motion to reconsider was denied. The plaintiffs appeal from the final judgment dismissing their allegations against Brown for failure to state a claim.
II.
On appeal, the plaintiffs urge three reasons for reversing the judgment in favor of Brown: (1) the complaint is not vague or conclusory; rather, it is sufficiently specific to satisfy the notice-pleading requirements of Rule 8(a), Fed.R. Civ.P.
1
; (2) the complaint alleges activity by Brown outside of the scope of the quasi-judicial immunity recognized in
Imbler;
and (3) the district court erred by granting the motion for a Rule 54(b) final judgment only two days after the court allowed the plaintiffs to enroll new trial counsel. The latter ground is stated but is not briefed; we shall not consider it.
See, e.g., Bray v. Director, Office of Workers’ Compensation Prgrams,
In reviewing the propriety of a dismissal on the pleadings, we of course accept the truth of the plaintiff’s well-pleaded allegations.
See, e.g., Dickens v. Lewis,
In Elliot, the plaintiff sued two district attorneys, a state judge, and a witness who appeared before a grand jury convened by one of the defendant-district attorneys in the defendant-judge’s court. The complaint alleged generally that the defendants conspired to injure the plaintiff, who was the grand jury foreman, by discharging the grand jury and commencing a criminal prosecution against the plaintiff for jury tampering. The district court granted the motions to dismiss of the judge and one of the prosecutors. On appeal, we were unwilling “on the loose allegations of the complaint, [to] undertake the ‘iffy’ task of determining whether each (or both) appellants are entitled to immunity.” We said:
Any such attempt would be not only arduous, but the result would be suspect. We would be running the risk of declarations of law on something which might never be. Vitally important to the public good as is the doctrine of official immunity, we ought not to imperil its application or undermine its strength by opinions expressed on situations or circumstances which may never have occurred. And yet, that is likely to happen when neither us, nor the trial court, has any but the vaguest of notions about what the real probable facts are.
Id. at 1482. Accordingly, in the interest of “good administration,” we vacated the judgment and remanded the case to the district court with directions to require plaintiff to state with particularity the basis upon which he will seek to avoid the bar of absolute immunity. Id.
In this case, the district court, in effect, followed the course we outlined in
Elliot.
The court dismissed the original complaint, not because Brown’s conduct with respect to Morrison’s death is necessarily immunized by
Imbler,
but because, in the light of
Imbler,
the complaint’s broad conclusions, which are unsupported by specific factual allegations, are insufficient to state a claim. At this point, under
Elliot,
the district court should have required the plaintiffs to amend their complaint to state with particularity the factual basis of their claim against Brown. Although the district court did not expressly instruct the plaintiffs to amend their complaint, they eventually did so on their own. In fact, the plaintiffs in this case received far more accommodation from the district court than
Elliot
contemplates. The district court refused to convert the initial dismissal of Brown into a final judgment and, over three years after granting Brown’s motion to dismiss, allowed the plaintiffs to amend their complaint to reassert claims against Brown. During this three-year period, the plaintiffs took advantage of discovery procedures
2
and presumably had an opportunity to investigate their claims in detail. The amended complaint filed on May 25,
*246
1982, unlike the initial complaint, does allege specific facts upon which Brown’s alleged liability is premised. Thus, we need not remand this case for a further statement by the plaintiffs of the factual basis of their claim against Brown. Unlike in
Elliot,
the plaintiffs in this case have been apprised of the insufficiency of their conclusory allegations against Brown and have been afforded an opportunity to plead facts that would overcome the bar of
Imbler
immunity. We can assume, therefore, that the specific allegations of the amended complaint constitute the plaintiffs’ best case for demonstrating that Brown acted outside the scope of
Imbler
immunity.
Cf. Arsenaux v. Roberts,
III.
We agree with the district court that the plaintiffs’ general allegations of conspiracy and “active cooperation,” particularly because the complaint on its face raises the possibility of official immunity, are insufficient to withstand a motion to dismiss.
See Elliot,
*247
In arguing that Brown’s conduct is not protected by absolute immunity, the plaintiffs rely principally on
Briggs v. Goodwin,
From
Briggs,
the plaintiffs argue that the fact that Brown’s alleged misconduct occurred before a grand jury does not automatically supply the intimate connection with the judicial process upon which
Imbler
immunity depends. We agree. In fact, to determine whether
Imbler
immunity applies, we have always conducted a functional analysis of a prosecutor’s activities.
See, e.g., Marrero v. City of Hialeah,
Our decisions are in accord with the District of Columbia Circuit’s recent decision in
Gray
on the presentation of evidence of probable cause to a grand jury. In
Slavin v. Curry,
As summarized above, the only specific allegations against Brown concern the manner of his presentation of evidence to the grand jury. As noted, the cases establish that presentation of evidence to a grand jury in a manner calculated to obtain an indictment, even when maliciously, wantonly or negligently accomplished, is immunized by
Imbler.
These precedents control this case, therefore, unless presentation of evidence in a manner calculated to obtain a no bill, rather than an indictment, should for some reason be treated differently. It is clear,‘however, that a district attorney’s decision
not
to prosecute a specific individual for a specific crime is within the scope of his immunity.
See McGruder v. Necaise,
We are mindful that the plaintiffs’ generalized allegations of participation in a conspiracy to execute black youths summarily and to cover-up the true facts surrounding their deaths, if they had been supported by allegations of specific conduct outside of a prosecutor’s quasi-judicial role, might well have stated a claim upon which relief could be granted.
See Ryland v. Shapiro,
IV.
CONCLUSION
For the reasons set forth above, the judgment of the district court is AFFIRMED.
Notes
. Rule 8(a) provides that a "pleading which sets forth a claim for relief" shall contain, inter alia, "a short and plain statement of the claim showing that the pleader is entitled to relief."
. The plaintiffs engaged in the following discovery:
(1) Interrogatories served on the police officer who fired the fatal shot and on the mayor;
(2) Request for production of documents served on the mayor, the chief of police, and the police officer;
(3) Depositions of Dr. Hypolite T. Landry; Alvin Jerome Taylor; Harry Coleman; Geneva Molden; and Ossie Brown.
Brown’s deposition was taken after his motion to dismiss was filed but prior to the court’s ruling on the motion. Presumably, had it revealed facts to support the claim against Brown, the plaintiffs could have brought those facts to the district court’s attention. It is true that Brown's deposition was not very productive because he refused to answer any questions about grand jury proceedings. It is also true, however, that the plaintiffs did not inquire about any other connection he may have had with Morrison’s death or with the city’s alleged policy of summary execution of black youths.
. In
Imbler,
the plaintiff had been convicted of murder in a state court. Years later, after a federal district court issued a writ of habeas corpus, the plaintiff was released from custody. He commenced a section 1983 suit against the state attorney who prosecuted the case against him in which he alleged that the prosecutor knowingly used perjured testimony and suppressed evidence favorable to the defense. After determining that the common law afforded prosecutors absolute immunity in such circumstances, the Supreme Court determined that policy considerations dictated the same rule in a section 1983 suit. The Court held that the prosecutor’s activities "were intimately associated with the judicial phase of the criminal process, and thus were functions to which the reasons for absolute immunity apply with full force.”
Id.
at 430,
The reasons to which the Court referred include: (1) the fear that the threat of potential liability for damages might constrain the independent exercise of the prosecutor's judgment "in deciding which suits to bring and in conducting them in court”; (2) the frequency with which one could expect suits by defendants upset with either the decision to prosecute them or the manner in which the trial was handled; (3) the "substantial danger of liability even to the honest prosecutor” flowing from the difficult decisions with which a prosecutor is faced; (4) the possibility of "an adverse effect upon the functioning of the criminal justice system if a prosecutor’s decision on whether to prosecute or on what evidence to present is governed by concerns of personal liability”; (5) the existence of means other than the imposition of personal liability on the prosecutor to insure that criminal defendants receive fair treatment in the judicial process; and (6) the existence of means other than the imposition of personal liability on the prosecutor, such as professional discipline and criminal sanctions, to deter dishonest prosecutors.
The Court expressly did not decide whether similar reasons justify absolute immunity when the prosecutor acts outside of the judicial phase of the criminal process: "We have no occasion to consider whether like or similar reasons require immunity for those aspects of the prosecutor’s responsibility that cast him in the role of an administrator or investigative officer rather than that of an advocate.”
Id.
at 430-31,
. A portion of the
Briggs
decision dealing with witness-immunity, as opposed to prosecutor-immunity, has been vacated.
See Briggs v. Goodwin,
. The following cases are among our decisions defining the scope of the quasi-judicial function to which
Imbler
immunity applies:
McGruder v. Necaise,
.
Slavin
was overruled on other grounds in
Sparks v. Duval County Ranch Co.,
