After notice and a hearing, the state board of registration revoked plaintiff’s license to practice medicine, and plaintiff petitioned for review of the board’s determination to the state’s highest court. While his state review petition was still pending, plaintiff brought this civil rights action in the federal district court, alleging that the board’s action had violated his constitutional rights and seeking reinstatement of his medical license as well as damages. The district court dismissed plaintiff’s action on numerous grounds, including Younger abstention. We affirm.
I. BACKGROUND
A. The Board of Registration in Medicine
The Board of Registration in Medicine for the Commonwealth of Massachusetts (the “Board”) consists of five physicians and two lay persons who are appointed by the governor for three-year terms. See Mass.Gen.L. ch. 13, § 10. The Board’s primary responsibility is to regulate the practice of medicine in Massachusetts. See Mass.Gen.L. ch. 112, § 5; Mass.Regs.Code tit. 243, §§ 1.00 to 2.09. One way in which it fulfills this responsibility is to resolve complaints concerning its licensed physicians. See Mass.Gen.L. ch. 112, § 5; Mass. Regs.Code tit. 243, § 1.03.
Upon receiving a complaint from a person or organization charging a physician with misconduct, the Board proceeds generally as follows. A “Complaint Committee,” composed of at least one member of the Board, reviews the complaint and decides whether there is reason to believe that the alleged act occurred and whether it amounted to a sanctionable violation. See Mass.Regs.Code- tit. 243, § 103(9). If the Complaint Committee finds in the affirmative on both questions, it recommends that the Board issue an order to show cause, thereby initiating an adjudicatory proceeding. See id.
The Board appoints a “hearing officer” to conduct an adjudicatory proceeding according to the procedures set forth in the Massachusetts Administrative Procedures Act, Mass.Gen.L. ch. 30A, and the Standard Adjudicatory Rules of Practice and Procedure, Mass.Regs.Code tit. 801, §§ 1.00, et seq. See Mass.Regs.Code tit. 243, § 1.04. These proceedings allow the two adverse parties — the Board prosecutor and the charged physician (who is commonly represented by counsel) — to present evidence, cross-examine witnesses, make objections, bring motions, and make oral arguments to the hearing officer. The latter makes all decisions regarding the admission or exclusion of evidence and any other procedural matters. See Mass.Regs.Code tit. 801, § 1.01(10)(f)(l), § 1.01(10)(d). After the hearing, the hearing officer issues a “tenta *774 tive decision” in writing, consisting of a statement of reasons and a determination of the factual and legal issues, together with a recommended sanction if the officer deems one to be necessary. See Mass. Regs.Code tit. 801, § 1.01(10)(n)(l). A copy of the hearing officer’s tentative decision is sent to the physician, and a hearing transcript is made available to the physician. See id,.; Mass.Regs.Code tit. 801, § 1.01(10)(k). The physician may file an objection to the hearing officer’s tentative decision. See Mass.Regs.Code tit. 801, § 1.01(10)(n)(l).
The Board then reviews the hearing officer’s decision and issues its own “final decision,” which also contains a statement of reasons and a determination of the factual and legal issues.
See
Mass.Regs.Code tit. 801, § 1.01(10)(n)(2). In making its factual determinations, the Board must give “substantial deference” to the hearing officer’s credibility determinations,
see Morris v. Board of Registration,
A physician who is unsatisfied with the Board’s decision may petition directly to the Massachusetts Supreme Judicial Court (“SJC”) for review. See Mass.Gen.L. ch. 112, § 64, and ch. 30A, § 14. The SJC is the highest court in the Commonwealth of Massachusetts. The SJC has authority under state law to set aside or modify the Board’s decision if it determines that the substantial rights of any party have been prejudiced because the agency decision is (1) in violation of constitutional provisions; (2) in excess of the statutory authority or jurisdiction of the agency; (3) based upon an error of law; (4) made upon unlawful procedure; (5) unsupported by substantial evidence; (6) unwarranted by the facts as found by the SJC on the record; (7) arbitrary and capricious; (8) an abuse of discretion; or (9) otherwise not in accordance with law. See Mass.Gen.L. ch. 30A, § 14(7). Although judicial review is generally confined to the record, the SJC may take testimony with respect to alleged irregularities in the procedure before the agency. See Mass.Gen.L. ch. 30A, § 14(5). The court also has discretion, before deciding, to order the Board to take and send up additional evidence. See id., § 14(6).
B. Plaintiffs Experience Before the Board
Until his license was revoked on January 4, 1989, Dr. Paul E. Bettencourt, the plaintiff in this action, held privileges at the Faulkner Hospital, Lemuel Shattuek Hospital, and Hunt Memorial Hospital. He specialized in pulmonary disease, internal medicine, and critical care.
On February 17,1988, the Board issued a show cause order, alleging that plaintiff had engaged in improper conduct with a patient in violation of various Massachusetts laws and Board regulations. See, e.g., Mass.Gen.L. ch. 112, § 5(c); Mass. Regs.Code tit. 243, § 1.03(5)(a)(3) (conduct that places into question competence to practice medicine), Mass.Regs.Code tit. 243, § 1.03(5)(a)(18) (misconduct in the practice of medicine), Mass.Gen.L. ch. 112, § 2 (conduct evidencing a lack of good moral character). Specifically, it was charged that Dr. Bettencourt had engaged in homosexual relations with a particular patient over a 10-month period. The matter was referred to a hearing officer.
On March 7, 1988, plaintiff filed an answer to the complaint, in which he denied all the charges.
In the summer of 1988, the hearing officer conducted an adjudicatory hearing on the merits of the complaint. Following the hearing, the hearing officer issued a Recommended Final Decision and Order calling *775 for the complete revocation of plaintiffs license to practice medicine. On November 15, 1988, plaintiff filed objections to the recommended decision.
On January 4, 1989, the Board adopted the hearing officer’s recommended decision in full and ordered the immediate revocation of plaintiffs license to practice medicine.
On February 2, 1989, plaintiff petitioned the SJC for review of the Board’s decision pursuant to Mass.Gen.L. ch. 112, § 64, and ch. 30A, § 14. In his petition, plaintiff alleged that the Board’s action (1) violated his rights to due process of law under both the Massachusetts and the United States Constitutions; (2) constituted an “unlawful procedure” under Mass.Gen.L. ch. 30A, § 14(7)(d); (3) lacked substantial evidentia-ry support under Mass.Gen.L. ch. 30A, § 14(7)(e); (4) constituted an “abuse of discretion” under Mass.Gen.L. ch. 30A, § 14(7)(g); and (5) constituted an “error of law” under Mass.Gen.L. ch. 30A, § 14(7)(c) by virtue of the Board’s “bias, prejudice, and prejudgment.”
Plaintiff also filed numerous motions with the Board, asking it to reconsider its decision and to stay its final order. On April 5, 1989, the Board denied plaintiff’s motions.
C. The Current Federal Action
On April 7, 1989, while his appeal of February 2 was pending before the SJC, plaintiff brought this civil rights action in the district court against the Board, its members, 1 and three members of the Board’s staff, 2 . In his complaint, plaintiff alleged that defendants, while acting under color of state law, (1) had deprived Dr. Bettencourt of his due process and equal protection rights in violation of 42 U.S.C. § 1983; (2) had conspired to deprive him of those rights in violation of 42 U.S.C. § 1985; and (3) knew or should have known that their conduct would serve to deprive him of his rights and neglected to prevent such a deprivation in violation of 42 U.S.C. § 1986. Plaintiff sought an injunction (pursuant to 42 U.S.C. § 1988) ordering the Board to return his license, a declaratory judgment declaring the Board’s decision to be in violation of federal law, compensatory damages, attorney’s fees, and $500,000 in punitive damages.
A principal claim of plaintiff’s is that the Board violated his right to due process by judging him guilty of misconduct prior to issuing the show cause order, “thereby rendering any subsequent hearing meaningless.” Plaintiff asserts that the Board prejudged him in accordance with an established policy (as expressed by the Chief of the Board’s Disciplinary Unit, Peter Clark 3 in remarks that were later criticized as inaccurate by the Board’s chairman, Andrew Bodnar 4 ) of prejudging all physicians whose cases make it past the complaint *776 committee. In addition, plaintiff complains of numerous procedural errors made at the hearing, “including but not limited to the limitation upon plaintiffs cross-examination of the Board’s witnesses and the erroneous admission of irrelevant and prejudicial evidence.”
Apart from his due process challenge, plaintiff contends that the Board discriminated against him, in violation of the equal protection clause and the privileges or immunities clause of the Fourteenth Amendment, on the basis of his sexual preference.
On May 1, 1989, defendants filed a motion to dismiss, stating that (1) the district court lacked jurisdiction to hear plaintiff's appeal from the Board’s decision; (2) the Eleventh Amendment bars the suit against the Board; (3) the principles of claim and issue preclusion extinguish plaintiff’s causes of action; (4) the court must abstain; (5) plaintiff failed to state a claim upon which relief could be granted; and (6) the individual defendants are entitled to absolute (or qualified) immunity from plaintiff’s claims for monetary relief. Defendants also filed a motion to stay plaintiff’s various requests for discovery.
On May 22,1989, the district court granted defendants’ motion to stay discovery. On September 20,1989, the court dismissed plaintiff’s action on the following grounds: lack of subject matter jurisdiction,
Younger
abstention,
Burford
abstention, equitable abstention, the Eleventh Amendment, and absolute immunity.
Bettencourt v. Board of Reg. in Medicine,
Plaintiff appeals.
II. YOUNGER ABSTENTION
Underlying our federal system is a presumption that the state courts are as capable as their federal counterparts of guaranteeing federal rights.
See Middlesex Ethics Comm. v. Garden State Bar Ass’n,
Related to this presumption of equal competency is the concept of comity, which counsels federal courts to be sensitive to the existence of a parallel system of state governance.
See Younger v. Harris,
One of the many ways federal courts demonstrate comity is by refusing to grant relief whenever doing so would interfere substantially with ongoing state judicial proceedings. In
Younger v. Harris,
A. Ongoing State Proceedings
In determining whether federal proceedings would interfere with
ongoing
state proceedings, the proper point of reference is the date plaintiff filed his federal complaint.
See, e.g., Liedel v. Juvenile Court of Madison County, ALA,
the case was filed in federal court);
Marcal Paper Mills, Inc. v. Ewing,
Plaintiff filed his present federal complaint
after
he had petitioned the SJC to review the Board’s decision to revoke his license. Were the district court to grant any of the forms of relief sought by plaintiff — whether that be (1) an injunction ordering the Board to return Dr. Betten-court’s license; (2) a declaratory judgment declaring the Board’s action to be in violation of federal law; or (3) a ruling in support of an award of money damages — the effect would be to disrupt substantially the review proceedings now pending before the SJC. An injunction could “immobilize” the state proceedings.
See United Books, Inc. v. Conte,
*778
We need not consider the result here had plaintiff brought his federal action without petitioning for review to the SJC.
Cf. Kercado-Melendez v. Aponte-Roque,
B. Three-Part Test for Younger Abstention
As stated
supra,
the Supreme Court has formulated a three-part inquiry to determine what kind of ongoing, noncriminal, state-initiated proceedings are entitled to a federal deference.
See Middlesex County Ethics Committee,
Second, the issues at stake — involving the enforcement of proper standards of medical licensure — obviously implicate important state interests.
See Thomas v. Texas State Board of Medical Examiners,
Finally, the review proceedings before the SJC provide an adequate opportunity to raise federal constitutional challenges.
See Dayton Schools,
We find no merit in plaintiffs reliance upon this court’s decision in
Planned Parenthood League of Mass. v. Bellotti,
We reversed the district court’s rulings on both grounds. With regard to
Burford
abstention, which we defined in
Bath Memorial Hospital v. Maine Health Care Fin. Com’n,
Here, unlike in
Bellotti,
the request to interfere with the SJC review of a state-initiated proceeding clearly implicates
Younger
abstention. As for
Burford
abstention, we do not address it, hence we need not decide whether the relief plaintiff seeks constitutes “a prohibition of an unconstitutional process” as opposed to “an ongoing intermeddling.”
See generally Bath Memorial Hosp. v. Maine Health Care Fin. Com’n,
C. Exceptional Circumstances
In unusual circumstances, a plaintiff may secure relief in the federal courts — even though doing so would interfere with ongoing state-initiated proceedings — by demonstrating “bad faith, harassment, or any other unusual circumstance that would call for equitable relief.”
Younger v. Harris,
Nonetheless, even had plaintiff sought to rest upon Gibson v. Berryhill, we would still affirm the district court’s decision to abstain. An injunction was granted in Gibson to enjoin for fundamental bias the ongoing proceedings of a state board of optometry. Relief was allowed while the optometry board’s proceedings were still in progress. State judicial review had not been instituted. Plaintiff here is not simply asking a federal court to enjoin an allegedly flawed administrative process. Rather, he is asking the district court to interfere with proceedings now in progress before a state judicial tribunal as to which claims of irregularity by the Board do not apply. Gibson is thus inapposite. 9
To be sure, the Supreme Court stated in
Gibson
that a court should not defer to an unconstitutionally biased (administrative) tribunal even if “judicial review,
de novo
or otherwise, would be forthcoming at the conclusion of the administrative proceedings.”
Gibson,
For the facts of the instant case to parallel those of
Gibson,
plaintiff would have had to sue
before the Board’s hearings occurred.
The district court then would have evaluated plaintiff’s allegations of bias on the part of the board members, and determined whether
Gibson v. Berryhill
allowed the district court to entertain plaintiff’s action.
Cf. Standard Alaska Production Co. v. Schaible,
We, therefore, affirm the district court’s decision to abstain under
Younger
from interfering with the SJC proceedings.
See Simopoulous v. Virginia State Bd. of Medicine,
III. IMMUNITY
Ordinarily, a decision to abstain under
Younger
results in a dismissal of the federal action.
See Gibson v. Berryhill,
In the present case, however, we do not order a stay of plaintiff’s damages claims, because other grounds exist for upholding the district court’s dismissal of them, namely, (1) the doctrine of sovereign immunity bars the recovery of damages from the Board, and the Board members and their staff in their official capacities; and (2) the doctrine of quasi-judicial immunity bars the recovery of damages from the Board members and their staff in their individual capacities. 11
A. Sovereign Immunity
The district court held that the Eleventh Amendment bars plaintiff’s claims for damages against the Board and the Board members and their staff in their official capacities. On appeal, plaintiff has not challenged this aspect of the district court’s ruling, and we decline, therefore, to disturb it.
12
See Fleury v. Clayton,
*782 B. Quasi-Judicial Immunity
Although the Supreme Court has been “quite sparing” in its grants of absolute immunity,
Forrester v. White,
Plaintiff does
not
challenge the district court’s finding that, while engaging in the activities criticized herein, the Board members and their staff were acting in their “quasi-judicial”,
i.e.,
adjudicatory, capacity.
Cf. Forrester v. White,
Rather, plaintiff’s criticism of the district court’s immunity ruling is based on the argument that, as a matter of public policy, members of a state medical board (and their staff) when fulfilling a quasi-judicial role should not be granted absolute immunity from damages suits.
1. Board Members
Because plaintiff is suing the Board members for actions taken in their adjudicative (as opposed to legislative) capacities, we restrict our analysis to the Board’s role as adjudicators.
13
See, e.g., Scott v. Central Maine Power Co.,
Proper analysis involves answering three questions, each designed to determine how closely analogous the adjudicatory experience of a Board member is to that of a judge. First, does a Board member, like a judge, perform a traditional “adjudicatory” function, in that he decides facts, applies law, and otherwise resolves disputes on the merits (free from direct political influence)? Second, does a Board member, like a judge, decide cases sufficiently controversial that, in the absence of absolute immunity, he would be subject to numerous damages actions? Third, does a Board member, like a judge, adjudicate disputes against a backdrop of multiple safeguards designed to protect a physician’s constitutional rights?
See Butz v. Economou,
First, the role of a Board member is indeed “functionally comparable” to that of a judge: he weighs evidence, makes factual and legal determinations, chooses sanctions, writes opinions explaining his decisions, serves a set term (three years), and can be removed only for cause.
See Horwitz v. Bd. of Med. Examiners of State of Colo.,
Second, the act of revoking a physician’s license — which bars the physician from practicing medicine in the Commonwealth of Massachusetts — is likely to stimulate a litigious reaction from the disappointed physician, making the need for absolute immunity apparent.
See Horwitz,
Finally, enough safeguards exist to “enhance the reliability of information and the impartiality of the decisionmaking pro-cess_”
Butz,
Accordingly, following
Butz v. Economou,
we hold that absolute immunity bars plaintiffs claims for damages against the Board members acting in their “quasi-judicial” capacities.
14
See Horwitz v. Bd. of Med. Examiners of State of Colo,
2. Staff Members
For reasons similar to those given in support of a grant of absolute immunity to Board members for their actions in an adjudicatory capacity (the disciplinary process is functionally comparable to the judicial process, the danger of vexatious lawsuits from dissatisfied physicians is great, and sufficient safeguards exist to protect physicians’ rights), we hold that the three *785 staff members are also entitled to absolute immunity from damages liability for their actions in the present case.
Plaintiff’s complaint alleges that defendant Hyams “participated with the Hearing Officer or the Board members in writing the Final Decision and Order in this case in violation of the plaintiffs due process and equal protection rights.” We find that, just as a law clerk is entitled to absolute immunity from damages actions based on his participation in the decision of a particular case,
see, e.g., Slotnick v. Staviskey,
The remaining allegation against the staff members is that they met with members of the Board to determine “how the Board could affect [sic] the discipline, sanctioning and punishment of more individuals licensed by it or otherwise subject to [its] control irrespective of whether they had committed acts which justified such punishment.” This allegation relates to the heart of the adjudicatory
process
— the
decision to sanction
— and we find that, whether acting as legal advisers,
see supra,
or “public” prosecutors,
see Werle v. Rhode Island Bar Ass’n,
IV. CONCLUSION
In summary, we hold that (1) Younger v. Harris requires the dismissal of plaintiff’s claims for injunctive and declaratory relief; (2) the Eleventh Amendment bars plaintiff’s claim for damages against the Board, and the Board members and their staff in their official capacities; and (3) quasi-judicial immunity bars plaintiff’s claims for damages against defendants in their individual capacities. 17
AFFIRMED.
Notes
. The Board members are Andrew G. Bodnar, M.D., J.D. (Chairman); Ralph A. Deterling, Jr., M.D.; Marian J. Ego, J.D., Ed.D; Marianne N. Prout, M.D.; Dinesh Patel, M.D.; Paul G. Gitlin, J.D.; and Louise L. Liang, M.D.
. The staff members are Peter Clark, Chief of the Board's Disciplinary Unit; Andrew Hyams, General Counsel for the Board; and Barbara Neuman, the Board’s Executive Director.
. Plaintiffs complaint refers to comments made by Clark on two different occasions. First, on December 5, 1986, while testifying before the Massachusetts Division of Insurance, Clark presented an estimate of the annual number of disciplinary actions, revocations, and suspensions, and allegedly testified that "if we don’t meet these numbers, then that would represent a professional and personal failure on my part.” Second, on January 23, 1988, while addressing the Massachusetts Bar Association, Clark allegedly stated, among other things, that (1) the Board acts as the police, prosecution, grand jury, petit jury, "and to a certain extent, even the appellate judge;” (2) the Board is not constrained by "the constitutional notions of protecting people from self-incrimination;” (3) the Board does not “give Miranda warnings and as a result we do get much information from un-counseled or poorly counseled physicians;” (4) the Board's elaborate screening process makes it highly unlikely that, once a complaint reaches the hearing stage, “the Board will find either that the facts alleged will not be proven ... or that the facts, if proven, do not warrant some kind of disciplinary action....”; and (5) the Board will exercise its discretion in a physician’s favor only if he “is relatively supine when confronted with the Board’s majesty....”
.Plaintiffs complaint refers to a June 1, 1988 letter written by Chairman Bodnar to Clark, stating that the chairman was writing, “after lengthy and often difficult deliberation, and *776 with the concurrence of a majority of the Board’s membership: a) to disavow, on behalf of the Board; b) to reject as a statement of accurate reflection of Board principles or policies; and c) to rebut, the overall thrust and implications of your comments before the midyear meeting of the Massachusetts Bar Association (MBA) on January 23, 1988_” (emphasis in original).
. The court did not address defendants’ arguments regarding claim or issue preclusion, failure to state a claim upon which relief could be granted, and qualified immunity.
. In one case, the Supreme Court invoked
Younger
abstention even though the ongoing civil proceedings were not initiated by the state.
See Pennzoil Co. v. Texaco Inc.,
. The Supreme Court has left open the question whether
Younger
abstention applies to damages actions.
See Deakins,
. Plaintiff apparently argues that the district court erred in abstaining under
Younger
because his federal claims are "entirely separate and distinct” from the issues raised in his petition for relief to the SJC. The facts, however, belie this argument: plaintiffs federal claims are
not
"entirely separate and distinct” from the issues raised in the SJC petition. In both instances plaintiff asserts
federal
due process violations. Moreover, it would not matter for pur
*779
poses of
Younger
abstention whether plaintiff
did in fact
raise his federal challenges before the SJC. The question is whether plaintiff
could have
raised such challenges.
See Duty Free Shop v. Administracion De Terrenos,
. In light of plaintiff's failure to cite Gibson below or on appeal, we must assume plaintiff agrees with this assessment.
. Without deciding the issue, we note that it is questionable whether plaintiffs allegations of bias rise to the level of a federal constitutional violation. In
Gibson,
the Court rested its holding of unconstitutional bias on the fact that the administrative board members all possessed a "substantial pecuniary interest” in the outcome of proceedings in which they served as adjudicators.
Gibson,
. The individual defendants are immune from plaintiffs action for
damages;
they are
not
immune from plaintiff's action for declaratory or injunctive relief, nor are they immune from an award of attorney’s fees under 42 U.S.C. § 1988.
See Pulliam v. Allen,
. Plaintiff’s arguments regarding the Eleventh Amendment relate solely to whether his claims for equitable and declaratory relief are barred by the Eleventh Amendment. As we state in note 15, infra, our decision to abstain makes it unnecessary for us to reach this issue.
. We view plaintiffs claims against the Board members as centering on their roles as adjudicators. To the extent the claims relate to the Board members’ roles as "public” prosecutors,
Werle v. Rhode Island Bar Ass'n,
.
The few first circuit precedents cited by plaintiff in support of his argument are unavailing. For example, plaintiff contends that "as this Court itself recognized in
Knight v. Mills,
. We agree with the Sixth Circuit that “[ojffi-cials who seek absolute immunity must squarely shoulder the burden of showing that public policy demands an exemption of that scope.”
Manion,
A similar position has been adopted by a majority of courts,
see, e.g., Horwitz,
In light of these safeguards, we think that the risk of an unconstitutional act by one presiding at an agency hearing is clearly outweighed by the importance of preserving the independent judgment of these men and women. We therefore hold that persons subject to these restraints and performing adjudicatory functions within a federal agency are entitled to absolute immunity from damages liability for their judicial acts. Those who complain of error in such proceedings must seek agency or judicial review.
Butz,
. We find that the Board members and their staff are entitled to absolute immunity in spite of plaintiffs charge of an ongoing "conspiracy” to deprive physicians of their rights.
Cf. Dennis v. Sparks,
. Our dismissal on the basis of
Younger
abstention of plaintiffs claims for equitable and declaratory relief makes it unnecessary for us to review the district court's other grounds for dismissing these claims, such as the Eleventh Amendment, the
Rooker-Feldman
doctrine,
Bur-ford
abstention, and equitable abstention. Moreover, by dismissing plaintiffs claims for damages on the grounds of sovereign immunity and absolute immunity, we need not address the various alternative arguments offered by defendants in support of an affirmance, namely issue preclusion, claim preclusion, failure to state a claim upon which relief can be granted, and qualified immunity.
See Duty Free Shop v. Administration De Terrenos,
