Lead Opinion
Judge MESKILL joins the opinion and writes a separate concurrence with respect to Part 1(B).
Judge CALABRESI joins the opinion except for Part 1(B) and writes separately to explain his reasons.
The present appeal arises from a 42 U.S.C. § 1983 class action brought by the New York State, New York City, and Westchester County chapters of the National Organization for Women (collectively “NOW”), and four individual plaintiffs-in-tervenors, seeking monetary, injunctive, and declaratory relief. See N.Y. Nat’l
all persons who, since October 15, 1990, had filed or will file complaints of discrimination with the [New York State Division of Human Rights (“the Division” or “the Human Rights Division”) ] and whose complaints have not been, or will not be, finally administratively adjudicated or otherwise substantively resolved within three years of the date of the filing of the complaint [with the Division].
N.Y. Nat’l Org. for Women v. Pataki,
The defendants appeal from two orders of the District Court for the Southern District of New York (Robert L. Carter, District Judge): one that had partially denied them qualified immunity from money damages in their personal capacity, see NOW II,
The propriety of both orders, as well as various issues raised by plaintiffs’ cross-appeal, turns on whether the plaintiffs have asserted cognizable Fourteenth Amendment procedural due process violations as a result of the Division’s handling and processing of the class members’ claims of discrimination. Because we find that no procedural due process violations are presented, we vacate the district court’s partial denial of qualified immunity and its award of injunctive and declaratory relief, and dismiss plaintiffs’ procedural due process claims.
BACKGROUND
A. The Human Rights Law and the Division
Promulgated in 1945, New York’s Human Rights Law, 18 N.Y. Exec. L. §§ 290-301, proscribes discrimination based on age, race, creed, color, national origin, sex, disability, genetic predisposition, carrier status, or marital status. See id. § 296. Such discrimination is prohibited in employment, housing, licensing, public accommodations, and public services, among other areas. See id.
An individual who is aggrieved by instances of discrimination prohibited under the Human Rights Law “may elect to seek
Until the law was changed in 1997, a complainant was precluded from dismissing the administrative action in order to file a complaint in court once he or she elected to proceed with the administrative process. In 1997, however, the New York legislature amended the Human Rights Law to permit a complainant to annul his or her election of the administrative process prior to a hearing and then proceed to court. See id. at § 297(9); see also Whidbee v. Garzarelli Food Spec., Inc.,
Upon a complainant’s election to proceed in the administrative forum, the Division becomes responsible for the following: serving the respondent employer (or landlord), conducting an investigation, and making a “probable cause” determination. Id. at § 297(2); N.Y. Comp.Code R. & Regs. tit. 9, §§ 465.6 (investigations), 465.8 (probable cause review). If warranted, the Division will then issue a notice requiring respondent to answer and appear at a hearing before an administrative law judge, who will conduct a hearing, render a decision, and issue an order. See N.Y. Exec. L. § 297(4); N.Y. Comp.Code R. & Regs. tit. 9, §§ 465.11 (notice of hearing), 465.17 (orders after hearing). Unless a claimant wishes to retain a private attorney, the Division will assign one of its staff attorneys to present the ease at the administrative hearing. See 18 N.Y. Exec. L. § 297(4)(a); see also N.Y. Comp.Code R. & Regs. tit. 9, § 465.13(d)(l)-(2). The Human Rights Law sets out time constraints on the Division’s actions, see N.Y. Exec. L. §§ 297(2)(a) & (4), but these constraints have been deemed “directory, not mandatory.” Hous. Opportunities Made Equal, Inc. v. Pataki,
B. The Due Process Claims
In their complaint, plaintiffs allege, in substance, two categories of purported procedural due process violations. The first category involves processing delays and the second involves defective notice.
1. Processing Delays
In 1990, the Division began to experience substantial delays in its processing time for claims, and a sizeable backlog soon developed. Plaintiffs’ statistician testified before the district court that of 43,-227 cases the Division closed between October 15, 1990 and April 10, 1998, “34% of that total took more than three years from filing to closing,” with the “mean time ... somewhat in excess of 2½ years.” NOW III,
The plaintiffs attribute the Division’s backlog to several causes including: (1) the failure of Governors Cuomo and Pataki to maintain the Division’s funding at parity with the overall state fund disbursement to
The plaintiffs contend that the defendants’ acts and omissions prejudiced class members’ ability to succeed on their discrimination claims. As the plaintiffs’ brief states:
The passage of time increases the likelihood that witnesses and documents will be unavailable, complainants will die, and memories will fade, which undermines the credibility of victims of discrimination, and non-victim witnesses. Thus, lengthy delays prejudiced complainants in their ability to prove their discrimination claims.
2. Defective Notice
The second category of alleged procedural due process violations focuses on purported notice deficiencies related to certain claims the Division dismissed for administrative convenience. According to the plaintiffs, the Division, “to remedy the inordinate case processing delays,” dismissed 5,152 cases between October 15, 1990 and April 10, 1998 “for [the Division’s] administrative convenience (‘ACD’) on the grounds that it was unable to locate (‘failure to locate’) the complainant, or the agency determined that the complainant had failed to cooperate (‘failure to cooperate’).” The plaintiffs contend that these ACD dismissals violated due process because the Division failed (1) to reasonably attempt to locate claimants first, or (2) to unambiguously notify claimants that their claims were at risk of dismissal before issuing ACD’s for failure to cooperate.
C. The Subclasses
To address the plaintiffs’ claims of prejudicial delay and ineffective notice, the class was subdivided as follows:
Subclass A: “[A]ll persons who have been, are, or will be subject to dismissal of their complaints because defendants Rosa and Mercado have taken longer than three years from the date the complaint was filed to render a final determination.”;
Subclass B: “[A]ll persons who have been, are, or may be subject to a reduction in the monetary relief awarded, either by order of Rosa, Mercado, or by a court because defendants Rosa and Mercado have taken longer than three years from the date the complaint was filed to render a final administrative determination”; and,
Subclass C: “[A]ll persons who have been, are, or may be subject to ACD dismissals because the Division was either unable to locate complainants or had determined that the complainants had failed to cooperate and that their complaints had been pending for more than one year.”
NOW III,
Each subclass had different class representatives. Subclass A was represented by individual plaintiffs Jane Doe, adminis-tratrix for the deceased John Doe, Dellie Britt, Bernadette Thomas, and Clarice Seegars, who had experienced processing delays respectively of five, seven, seven, and nine years. Subclass B was represented by plaintiff Seegars alone. No individual plaintiff represented subclass C; rather, as to subclass C, NOW proceeded as the class representative by mounting a facial challenge to the Division’s published
DISCUSSION
We first consider the due process claims of subclasses A and B based on allegations of prejudicial delay, and then those of subclass C based on allegations of defective notice. We observe at the outset that the Fourteenth Amendment guarantee of due process is fully applicable to adjudicative proceedings conducted by state and local government administrative agencies. See Richardson v. Perales,
I. DELAY
The question we must resolve is: were the members of subclasses A and B denied constitutionally adequate process as a result of the delays they experienced while prosecuting their discrimination claims before the Division? Before this question may be answered in the affirmative, we must determine that: (1) the members of subclasses A and B possessed a constitutionally protected property interest, (2) the deprivation of which resulted from government action (3) without constitutionally adequate pre- or post-deprivation process. See Logan v. Zimmerman Brush Co.,
A. Property Interest
There is no dispute that a legal cause of action constitutes a “species of property protected by the Fourteenth Amendment’s Due Process Clause.” Id.; see, e.g., Mullane v. Cent. Hanover Bank & Trust Co.,
The only property interest at issue in this case is the legal cause of action itself, independent of the various procedural options available for pursuing the action. See Polk,
Our conclusion follows from the fact that procedural due process protects only important and substantial expectations in life, liberty, and property. See Ezekwo v. NYC Health & Hosps. Corp.,
Indeed, the only distinct interest claimants appear to have in vindicating their rights before the Division, rather than in state court, is that “ ‘[t]he administrative forum offers a complainant remedies not available from a court.’ ” NOW III,
The Fourteenth Amendment due process guarantee, however, only extends to property claims to which an individual has a “legitimate claim of entitlement.” Bd. of Regents v. Roth,
Accordingly, we hold that the class members’ only constitutionally protected property interest at issue here is the discrimination cause of action itself.
B. Government Deprivation
Having identified the protected property interest, we turn to whether the members
Accepting the plaintiffs’ contention, the district court held that “an administrative delay causing actual prejudice to a [claimant’s] claim is sufficient to show deprivation under the due process clause.” NOW III,
Below, we consider first the district court’s conclusion that it is “clearly established” that bureaucratic delay plus actual prejudice can constitute a deprivation, and, finding that it was not clearly established, we then consider whether this formulation is sufficient to establish a deprivation.
1. Qualified Immunity
The district court’s holding, for purposes of qualified immunity, that it was “clearly established” that administrative delay followed by actual prejudice constitutes a government deprivation was considerably wide of the mark. See NOW II,
A government actor performing a discretionary task is entitled to immunity from § 1983 suits if his or her “action did not violate clearly established law.” Salim v. Proulx,
None of the cases relied on by the district court satisfy this standard. Logan v. Zimmerman Brush Co., which the district court stated “controlled]” the denial of qualified immunity, NOW II,
The remaining cases relied on by the district court, which it characterized collectively as “standing] commandingly for the proposition that administrative delay”
2. The Delay-Plus-Actual-Prejudice Formulation
Substantial — likely insurmountable — difficulties surround the district court’s delay-plus-actual-prejudice formulation. See also post at 176 (Meskill, J., concurring). Without excusing New York’s gross bureaucratic delays, the fact remains that plaintiffs are generally the masters of their legal actions. As such, they bear the responsibility for preventing actual prejudice to their claims by investigating, memorializing testimony from potentially forgetful or absent witnesses, and preserving documents.
While the claimants here did not have resort to the full battery of discovery devices generally afforded litigants in courts of law, our review of the Human Rights Division’s rules,of practice indicates that claimants are afforded sufficient means to prevent — well before any period of delay that might be considered constitutionally suspect — the types of prejudice the district court identified as actionable (i.e., loss of documentary evidence and loss of key witnesses). Claimants may engage an attorney, see N.Y.Code R. & Regs. tit. 9, §§ 465.12(b) & 465.13(a), who in turn, pri- or to the hearing before the ALJ, may apply to have the Division subpoena parties and witnesses for depositions and document production, see N.Y. Comp.Code R. & Regs. tit. 9, § 465.14, and, during the hearing, may directly subpoena parties and witnesses, see id. at § 465.14(2)(c). See also State Div. of Human Rights v. Univ. of Rochester,
Moreover, due to the relaxed nature of the Division’s evidentiary rules, claimants may introduce at the hearing before the ALJ subpoenaed materials in lieu of live testimony, thus ameliorating prejudice a claimant might otherwise experience due to absent witnesses, see, e.g., N.Y. Comp. Code R. & Regs. tit. 9, §§ 465.12(e)(1) (“Hearsay evidence is fully admissible.”); (e)(3) (“Documentary evidence may be admitted without testamentary foundation, where reasonable.”); (e)(5) (“Information from witnesses may be introduced in the form of affidavits, without oral examination and cross examination.”); (e)(9) (“Written stipulations may be introduced in evidence if signed by the person sought to be bound thereby or by that person’s attorney-at-law. ... The entire record may be in the form of a stipulation, submitted to the chief administrative law judge without the convening of a hearing before an administrative law judge.”); (e)(ll) (“Where reasonable and convenient, the administrative judge may permit the testimony of a wit
Compounding our doubts as to the district court’s conclusion that delay coupled with actual prejudice constitutes a due process deprivation is the fact that the only cases we have uncovered that adopted this formulation as part of a due process inquiry arose in a completely inapposite context.
Because, as we discuss below in Part 1(C), we hold that constitutionally adequate process was’ afforded the members of subclasses A and B, we need not finally resolve whether actual prejudice to a cause of action following a period of extreme government delay is sufficient to make out a property deprivation, or whether instead the government action must flatly extinguish the cause of action before a property deprivation can be made out. Accord Hous. Opportunities Made Equal, Inc.,
C. Adequate Process
Regardless of whether a property deprivation occurred, it is plain that the members of subclasses A and B were afforded procedures that satisfied the Fourteenth Amendment’s due process requirement. In reaching this conclusion, we follow the now familiar analysis set forth by the Supreme Court in Mathews v. Eldridge,
After balancing these considerations, the district court concluded that the Division’s processing delays were “clearly unreasonable” and the claimants were denied due process. NOW III,
In carrying out the Mathews analysis, the district court failed to consider the availability of other procedures that could have prevented the claimants from suffering prejudicial delay. More precisely, the district court erred in not considering Article 78 proceedings and how (if utilized by the claimants) these proceedings could have reduced claimants’ risk of experiencing prejudicial delay. See N.Y. C.P.L.R. 7801-06.
In an Article 78 proceeding, New York state courts are empowered to issue “common law writs of certiorari to review, mandamus, and prohibition.” Hellenic Am. Neighborhood Action Comm. v. City of New York,
Given the availability of Article 78 procedures, which can be invoked before actual prejudice arises (unlike a § 1983 damage claim, which presumably would arise only after actual prejudice had occurred), we find that the second Mathews factor weighs dispositively in favor of the government. Thus, we hold that New York has afforded the members of subclasses A and B all of the process they are due under the Fourteenth Amendment of the Federal Constitution.
Two final points warrant mention. First, recognizing the state courts’ responsibility for preventing Division delays through Article 78 proceedings is more consistent with the “spirit” of federalism than is unnecessarily subjecting state agencies to intrusive federal court intervention under the guise of § 1983. See, e.g., Idaho v. Coeur d’Alene Tribe,
Second, by contemplating that claimants seek relief through Article 78 proceedings, we are not contravening the general rule that exhaustion is not required for § 1983 claims. See Patsy v. Bd. of Regents,
II. NOTICE
NOW, as subclass C’s representative, asserts that the Division failed to provide constitutionally adequate notice to the members of subclass C before it dismissed for administrative convenience (“ACD”) their discrimination claims for failure to locate or failure to cooperate. The district court agreed with NOW, concluding that the “Division did not take all reasonable steps” to locate and inform “complainants that their claims were at risk for ACD, and therefore deprived complainants of their claims without adequate predeprivation notice.” NOW III,
A. Is Notice Required?
WTien a government agency terminates or impairs an individual’s constitu
The New York Attorney General, arguing on behalf of the defendants, contends that notice is not required prior to an ACD for failure to locate or for failure to cooperate because the ACD does not extinguish a claimant’s cause of action. Rather, the Attorney General argues, a claimant whose claims are ACD’d becomes free to pursue his discrimination claim in New York state court and further that the three-year statute of limitations for bringing suit is tolled during the entire pendency of the Division’s proceedings. Cf. N.Y. Exec. L. § 297(9); N.Y. C.P.L.R. 204(a); see also Marine Midland Bank,
Were we to find that the Attorney General’s reading of section 297(9) is correct, we would agree that the ACDs for failure to locate and for failure to cooperate did not deprive claimants of their discrimination claims and thus do not trigger due process scrutiny. This is because a complaint must be filed with the Division within one year of the accrual of a cause of action, whereas a state court action must be commenced within three years. See N.Y. Exec. L. § 297(5); Marine Midland Bank,
NOW, however, advances an equally persuasive rebuttal argument. NOW contends that the Attorney General’s reading “would vitiate the election of remedies mandate,” see 18 Exec. L. § 300, because a claimant “could compel an ACD simply by refusing to cooperate with the Division’s process,” and then file in state court with the benefit of the statute of limitations having been tolled. See, e.g., N.Y. Comp.Code R. & Regs. tit. 9, § 465.5(e)(vi) (intimating legislative concern that “administrative convenience dismissals]” not “contravene the election of remedies provisions”); Legg,
Recognizing that resolution of this question has significant import to the administration of state judicial proceedings, we leave it for the New York state courts to decide the proper understanding of section 297(9) in the first instance. Doing so, however, does not affect our ability to
B. Has NOW Established Inadequate Notice?
In mounting a facial challenge, NOW asserts that the Division’s published ACD policy (“the Policy”) is unconstitutional on its face.
As for those members of subclass C whose claims were ACD’d for failure to locate, the district court agreed with NOW that the Division’s published Policy, as promulgated, did not afford them constitutionally adequate notice. See NOW III,
Due process does not require that parties actually receive notice of the pendency of the government deprivation. All that is required is that the method and form of the notice be “reasonably calculated, under all the circumstances, to apprise interested parties of the pendency of the action and afford them an opportunity to present their objections.” Mullane,
In reaching its conclusion that the Division’s reliance on mail forwarding was insufficient, the district court apparently gave no weight to the claimants’ responsibility to provide the Division with updated contact information whenever they change addresses. Upon filing a claim with the Division, claimants (1) are informed that they must notify the Division “of any change in [their] address, telephone number or place of employment” and that “failure to do so may jeopardize [their] rights,” (2) are provided with a change-of-contact-
Simply put, we believe that when parties that are litigating claims before a government agency are obligated to notify the agency of a change of address, a requirement that the agency do more than rely on the latest information provided it by the litigants when sending out notice would demand a level of government paternalism that due process does not require. Cf. Small v. United States,
Accordingly, with respect to those members of subclass C whose claims were ACD’d for failure to locate, we hold that the Division’s use of the mails to send notice to the last address furnished to the Division comports with due process. See Grievance Comm. v. Polur,
Next, we consider whether those members of subclass C whose claims were ACD’d for failure to cooperate were provided with adequate notice that their claims were at risk of being dismissed. In its consideration of this issue, the district court relied exclusively on the Division’s “Post-1991 ACD letters,” which it found violated due process because, it believed, the letters did not unambiguously notify complainants that they should contact the Division in order to avoid dismissal. See NOW III,
Even assuming the PosD-1991 ACD letters were deficient — a question we do not decide' — we find that the district court erred by exclusively focusing its due process inquiry on the sufficiency of the notice provided in these letters.
For the foregoing reasons, we hold that NOW has failed to establish that the Division provided constitutionally deficient notice before it ACD’d the discrimination claims of the members of subclass C.
CONCLUSION
Because no constitutional violation has been shown, the plaintiffs’ procedural due
We have carefully considered plaintiffs’ cross-appeal and find it without merit.
The present panel will retain jurisdiction over any further appeals that may arise in this case.
Each side to bear its own costs of appeal.
Notes
. Of course, we do not mean to say that this is all the parties dispute in this case. We are simply noting their competing views as to the constitutionally protected property right at issue.
. In a recent opinion issued while this appeal was pending, the Appellate Division for the Fourth Department intimated that a claimant may be able to bring a state law claim for money damages against state officials if the claimant can establish "substantial actual prejudice [to his or her discrimination claim] resulting from [the Division’s] delay.” See Hons. Opportunities Made Equal, Inc.,
. Because we hold that Article 78 proceedings provide a meaningful pre-deprivation remedy,
. The district court properly dismissed for lack of standing NOW’s "as applied” challenge, which alleged that the "Division failed to follow its own procedures for contacting complainants and therefore arbitrarily extinguished plaintiffs!'] rights.” NOW III,
. Indeed, by doing so, the district court arguably treated NOW's claim as an "as applied” challenge, for which NOW clearly would lack standing. See Hunt v. Wash. State Apple Adver. Comm'n,
Concurrence Opinion
I concur in the result reached and in Chief Judge Walker’s treatment of all the issues in this case. I write separately to address plaintiffs’ “delay-plus-actual prejudice equals deprivation” theory, which was adopted and found clearly established by the district court and commented upon favorably by Judge Calabresi in his separate opinion.
Chief Judge Walker expresses “deep reservations” about the theory. I agree and would go further. I would hold that the Division’s delay in processing a plaintiff’s claim could not constitute a deprivation of a constitutionally protected property interest under the Due Process Clause. In support of the “delay-plus-actual prejudice equals deprivation” theory, the plaintiffs and the district court unreasonably stretch existing precedent, while advocating an impermissibly narrow reading of our holding in Polk v. Kramarsky,
A. Logan and the Unreasonable Delay Cases
Plaintiffs primarily rely on Logan v. Zimmerman Brush Co.,
1. Logan
In Logan, the Supreme Court framed the issue before it as “whether a State may terminate a complainant’s cause of action because a state official, for reasons beyond the complainant’s control, failed to comply with a statutorily mandated procedure.”
The Supreme Court stated that the Illinois statutory scheme, as interpreted and enforced by the state courts, destroyed Logan’s ability to have his claim heard. See id. at 432,
Further examination of other Due Process cases decided by the Supreme Court leads to a similar conclusion. See, e. g., Tulsa Prof'l Collection Servs. v. Pope,
2. The Unreasonable Delay Cases
The district court also relied heavily on the notion that “delay can be so unreasonable as to deny due process, such as when it is inordinately long.” Isaacs,
By way of illustration, assume in Logan that the Illinois statutory scheme provided that after a 120 day dismissal the claimant was entitled to a hearing. Assume further that the hearing would determine whether the failure to meet the deadline was the
In his separate opinion, Judge Calabresi cites Agins v. City of Tiburon,
In summary, all of the cases relied on by the plaintiffs and the district court and those cited by Judge Calabresi are inappo-site to our determination of whether the state deprived the plaintiffs of a property interest.
B. Polk v. Kramarsky
While the Supreme Court’s Due Process Clause jurisprudence arguably leaves room for the plaintiffs’ theory, our decision in Polk expressly forecloses any attempt to expand the definition of “deprivation” to encompass the instant claim.
In Polk, we answered “the question whether undue delay by a New York state agency in processing a discrimination claim ... gives rise to ... a violation of due process.”
Here, Polk’s right of action has survived, albeit long delayed. Logan is therefore distinguishable. As the Logan Court opined: “To put it as plainly as possible, the State may not finally destroy a property interest without first giving the putative owner an opportunity to present his claim of entitlement.”
Id. at 509 (citation and footnote omitted). We did not hold that prejudice to a claimant’s ability to prove a cause of action, if it could be shown, would constitute a depri
Accordingly, our decision in Polk, in addition to a common sense reading of the Supreme Court’s Due Process Clause cases, should deter us from expanding the definition of deprivation to include “actual prejudice.”
C. Plaintiffs’ Theory Creates an Unworkable Rule of Law
Even assuming we had carte blanche to fashion a rule akin to the plaintiffs’ theory, we should not. Equating prejudice through delay with the final destruction or extinguishment required for a deprivation would create bad law.
In addition to the practical reasons advanced by Chief Judge Walker, see Majority Op. at 166-67, I am particularly concerned that it would be impossible to set firm and clear guidelines for determining when prejudice rises to the level of deprivation. The point at which delay equals deprivation would inevitably vary from case to case, making it impossible for the state to set up a procedure for pre- and post-deprivation hearings. Further, such a rule would allow any plaintiff who testifies to actual prejudice to create an issue of fact for trial.. As far as I can tell, Judge Calabresi, even only in passing, has thus far refined the plaintiffs’ theory into the “un-warned-of-delay-plus-actual-prejudice-inappropriate-circumstances-equals-deprivation” formula. See Concurring Op. at 177. I shudder to think how district courts throughout the country would interpret such an amorphous concept. In all likelihood, those determinations will be highly inconsistent and will come at great expense to state agencies created to help the alleged victims of discrimination.
Today’s decision appears to mark the practical end of plaintiffs’ theory in this Circuit because Article 78 in New York, and its equivalents in Connecticut and Vermont, provide adequate pre-deprivation due process. However, because the “delay-plus-actual prejudice equals deprivation” formulation, with or without refinements, would be bad law fashioned without regard to precedent, policy or practical sense, I would hammer one more nail in its coffin.
CONCLUSION
For the reasons discussed, I would hold that delay in state adjudicative procedures
. Judge Calabresi admonishes Chief Judge Walker and me for engaging in “unnecessarily broad dicta” and asserts that the issue of whether a deprivation has occurred is not properly before this Court. Concurring Op. at 177 n. 4. I fail to see how my advocating an additional (and I believe firmer) ground for the Court’s holding is dicta. Also, Judge Cal-abresi's attempt to sidestep this issue is compromised by the record. The district court expressly held that the state's delay deprived the plaintiffs of a protected property interest and the parties briefed that issue on appeal, extensively discussing each of the cases cited in this opinion. While Judge Calabresi clearly disagrees with the substance of my views on the plaintiffs’ theory, he fails to advance, or even cite, any legal support for his blanket attack on my position.
Concurrence Opinion
I concur in the court’s holding and in the reasoning needed to support that holding. I also join all of the court’s opinion except Part 1(B), which discusses both qualified immunity and whether a claim of delay plus actual prejudice is sufficient to allege a deprivation of property cognizable under the due process clause. I decline to join this portion of the opinion because our holding, in Part 1(C), fully disposes of the issue before us and renders Part 1(B) unnecessarily broad dicta. Given the conclusion that the availability of Article 78 proceedings means that the plaintiffs have received all the process that they are due, it is, I think, undesirable (a) to reach out to say that, because the plaintiffs’ rights were not clearly established when the defendants acted, the defendants enjoy qualified immunity and (b) to reach out yet further to suggest, even tentatively, that the plaintiffs were not in fact deprived of a protected property interest at all. I write separately to underscore the fact, readily conceded in the court’s opinion, that all such comments are dicta,
In Part 1(B), the majority’s opinion expresses “deep reservations” about the notion that delay to a plaintiffs legal claim plus actual prejudice to that claim can constitute a property deprivation that triggers due process protections. In reaching its conclusion, the majority speculates about issues of law and fact which are both much closer and much harder than the opinion suggests. I believe that were the issues properly before a panel of this court, we might well conclude that unwarned-of delay plus actual prejudice could in appropriate circumstances deprive a plaintiff of a property interest that triggers due process rights. Compare Logan v. Zimmerman Brush Co.,
I believe that the majority opinion’s discussion of qualified immunity in Part 1(B)(1) is also unnecessary, and thus as much dicta as its discussion of delay plus actual prejudice in Part 1(B)(2). Unlike the court’s comments on the delay plus actual prejudice theory, however, qualified immunity could have been the basis of a narrower-and hence generally more suitable — resolution of this case. Under this approach, we would have begun by rejecting the plaintiffs’ claims for money damages on the ground of qualified immunity. In doing so, we would have observed that the plaintiffs delay plus actual prejudice theory has not been clearly established, even to date. Moreover, although the Supreme Court has said, in County of Sacramento v. Lewis,
I repeat that none of this discussion of the effects of a finding of qualified immunity is needed to decide this case. I outline it only to point out that, on this basis, too, reaching the merits of the plaintiffs’ delay plus actual prejudice theory is unnecessary. And this fact makes the majority’s dicta with respect to the latter theory yet more troublesome. Comments on constitutional questions, and, in particular, comments on difficult ones, should generally be avoided by courts where alternative grounds for decision are available. Cf. Hutchinson v. Proxmire,
. The opinion twice notes that the bulk of the discussion in Part 1(B) is not necessary to deciding the case before us. Thus, the opinion states that,
[rjegardless of whether a property deprivation occurred, it is plain that the members of subclasses A and B were afforded procedures [in the form of New York State Article 78 suits] that satisfied the Fourteenth Amendment's due process requirement.
[See Majority Op. at 167]. And, presumably in light of this recognition, the opinion makes clear that it
need not finally resolve whether actual prejudice to a cause of action following a period of extreme government delay is sufficient to make out a property deprivation, or whether instead the government action must flatly extinguish the cause of action before a property deprivation can be made out.
[See Majority Op. at 167].
. The Supreme Court noted that the plaintiff might have been able to seek a post-termination remedy through an independent State tort action, but expressly held that this possi
. Cf. Tulsa Prof'l Collection Servs., Inc. v. Pope,
. Judge Meskill's concurring opinion goes beyond the majority in its determination to decide what is not before this court. In doing so, it reads narrowly cases it does not like, ' ignores language damaging to its position that is found in those cases, and instead emphasizes language — that could appropriately be described as dicta — in cases it favors. It then seeks to define as unworkable a "formula” that has hardly been presented, let alone refined into a holding that might guide lower courts. I think it is unwise to engage, in dicta, in a discussion of whether what past opinions have said is dicta or holding. And I also do not wish to argue in the abstract about the feasability of holdings that a court might someday make in appropriate cases. It is enough to say that Judge Meskill's reading of the cases leaves me unconvinced, and hence, all the more determined to leave any analysis of these cases, and of the practicality of rules that might be derived from them, to the time, if ever, when a case or controversy properly presents the issues to us.
.For example, reaching the substance of the plaintiffs' delay plus actual prejudice claim requires addressing difficult questions of constitutional law. Moreover, since persons in the plaintiffs’ position will normally seek, as the plaintiffs themselves have sought, injunc-tive relief, "[tjhere is no reason to believe that the [delay plus actual prejudice theory] will repeatedly, or over substantial time, escape judicial review in federal court by reason of qualified immunity.” Horne,
