Plaintiff, a former president of a public junior college who was discharged by the college board in July, 1970, brought this civil rights action, alleging that he was wrongfully terminated in violation of his federal constitutional rights of free speech and procedural due process and his contract rights. In a bench trial the District Court found the issues in favor of the defendants. We hold that the District Court’s findings of fact on the first amendment issue are not clearly erroneous, but that plaintiff’s procedural due process right was violated by the failure of the defendants to afford him a hearing and he is therefore entitled to recover damages against the board but not the individual defendants, who are protected by official immunity. We remand for a hearing on damages, which need not be before a jury.
In his amended complaint against the board and its members, plaintiff asserted, in Count I, a claim for the alleged infringements of his rights described above and, in Count II, a claim for conspiracy to deprive him of those rights. The District Court dismissed this complaint for failure to state a claim upon which relief could be granted, but this court reversed that judgment and remanded for trial.
Hostrop v. Board of Junior College Dist. 515,
I.
First Amendment Rights
Hostrop I
held that plaintiff had stated a violation of his first amendment rights by his allegations that the primary reason for his dismissal was his writing of the memorandum on the ethnic studies program described in that opinion.
“ . . .1 find that Hostrop’s dismissal was not motivated by his expression of views in the Ethnic Studies memorandum. I conclude that, as a matter of fact, his termination was fully justified and was the culmination of a series of confrontations and incidents which include . . . the timing and concealment of the Ethnic Studies memorandum [and seven other listed incidents].”
Even if the exercise of a right protected by the first amendment were only one of several reasons for dismissal, the dismissal would be unlawful, so we consider that possible reason without reference to others. As we construe the District Court’s findings, however, plaintiff was not dismissed because of his exercise of first amendment rights. The court’s phrase, “the timing and concealment of the Ethnic Studies memorandum,” read in the light of the evidence, must be taken as referring to the circumstances surrounding the disclosure of the memorandum to the board: Plaintiff initially gave copies of the memorandum only to his “cabinet,” and instructed them not to discuss it with anyone else. Only when he learned that a copy of the memorandum had found its way into the hands of the student newspaper and was to be published the next day did he furnish copies to the board members. The evidence indicates, and the District Court could properly have found, that the board members were disturbed because a memorandum proposing the repudiation of their commitment to continue the ethnic studies program for another year was withheld from them until the fortuitous leak to the newspaper compelled its disclosure to them, which occurred less than three weeks before the date proposed in the memorandum for effectuation of this highly controversial action; and this “timing and concealment” rather than “his expression of views” in the memorandum constituted one of the reasons for the board’s action. This we think is the meaning of the District Court’s finding, which we cannot say is clearly erroneous. These facts do not show a violation of plaintiff’s first amendment rights.
II.
Procedural Due Process Right Liberty Right
This court held in
Hostrop I
that plaintiff had stated a deprivation of liberty under
Board of Regents v. Roth,
Property Right
Hostrop I
also held that plaintiff’s complaint alleged facts showing a deprivation of a property right.
We think plaintiff had a claim of entitlement amounting to a property interest within the meaning of
Board of Regents v. Roth, supra,
Defendants’ argument that both contracts were void because their terms exceeded one year is also without merit. Even if there were a one-year limitation under Illinois law, a contract would not, we think, be invalid in its entirety but only for the period in excess of one year. But our examination of Illinois law persuades us that the making of a contract for a term in excess of one year was within the authority of the board.
In arguing that both plaintiff’s original and superseding two-year contracts were void
ah initio,
defendants rely on Illinois cases holding it beyond the power of a school board to employ teachers for a period beyond a school year, a rule originally based on a construction of the statute,
Stevenson v. School Directors,
Moreover, we think that the board was empowered to enter into contracts for a duration of longer than one year. In 1927, the Illinois General Assembly conferred on school boards the power to contract with teachers, principals, and superintendents for a period of three years, after expiration of a two-year probationary period. See
Sloan
v.
School Directors of District No. 22,
*575 “The purpose of the General Assembly in enacting the statute is apparent, for it is in the best interests of the schools that competent and capable teachers be continued in their employment. It adds to the stability of the employment and works to the advantages not only of the public but to the teachers and those employed with the administration of school affairs.” Pack v. Sporleder,394 Ill. 130 , 140,67 N.E.2d 198 , 203 (1946).
The law was later changed to enable school boards, after a probationary period, to contract for “contractual continued service.” See Ill.Rev.Stat. ch. 122, § 24-11 (1969).
The tenure statute does not apply to a president of a college, but it was against the background of this statute that the Illinois General Assembly created the Junior College Boards by the Public Junior College Act, Ill.Rev.Stat. ch. 122, § 101 — 1 et seq. (1969). 1 Rather than determining the tenure policy for the junior colleges, as it had done for the public schools, the General Assembly provided that the board itself, which appoints the chief administrative officer, id. § 103-26, should “establish tenure policies for the employment of teachers and administrative personnel,” id. § 103 — 32. We think that the General Assembly intended, in using this language, not to reinstate for junior colleges the rule of the Stevenson and Davis cases, but to give the board authority to establish its own policies with respect to tenure, which in its broadest sense includes the limited tenure afforded by a contract calling for a term in excess of one year.
The defendant board has in fact established tenure and employment policies in its Policies and Procedures, paragraphs 4.35, 4.25, and 2.20. Teachers are appointed annually until they receive tenure and then on a continuous basis. Administrative personnel other than the president are appointed subject to the annual recommendation of the college president and approval of the board. The president can be appointed for more than one year:
“The President of the College is selected by the Governing Board and under whatever terms are mutually agreed upon at the time of appointment. It will be the duty of the Board to renew the contract of the President of the College or to notify him in writing prior to the first of January in the last year of his incumbency that his services will not be required after the expiration of his present contract.
The compensation of the President of the College will be fixed by the Board at the time he is appointed. By mutual consent the compensation of the President may be adjusted before the start of any academic year.” Policies and Procedures 2.20.
We therefore conclude that under the enabling statute and the board’s own rules adopted pursuant to the statute, the board had authority to contract with the president of the college for a period of more than one year.
Denial of Hearing
Our review of the evidence leaves us with the definite and firm conviction that plaintiff was never offered a fair hearing on termination, and that, in fact, the board prejudged his case before making any hearing available to him. There can be no real dispute that before the special session of the board on July 23, 1970, when plaintiff was to be afforded a hearing, the board had already decided to terminate him, and had in fact made a commitment to another person to hire that person as interim president. The board having prejudged the matter of plaintiff’s termination before the July 23 meeting, and being no longer therefore “a tribunal possessing apparent
*576
impartiality,” as required by
Hostrop I,
The termination of plaintiff’s employment without affording him the notice and hearing required by
Board of Regents v. Roth
and
Perry
v.
Sindermann
is actionable despite the District Court’s findings and conclusion, which we do not disturb, that the conduct of plaintiff was such as to constitute cause under state law for termination of his employment. This is made clear by the last sentence of footnote 15 of
Hostrop I,
where the court recognized that despite the existence of “grounds to break an employment contract,” doing so “by violating an employee’s due process rights to notice and a hearing” is nevertheless actionable.
III.
The Conspiracy Charge
Plaintiff contends that, as alleged in Count II of his amended complaint, the board members, in addition to violating his civil rights, conspired to do so in violation of 42 U.S.C. § 1983. The District Court, having found no violation of plaintiff’s rights, also found against plaintiff on the conspiracy issue.
The doctrine of civil conspiracy extends liability for a tort, here the deprivation of constitutional rights, to persons other than the actual wrongdoer, W. Prosser, The Law of Torts § 46 at 293 (4th ed. 1971), but it is the acts causing damage to the plaintiff that give rise to liability for damages, not the conspiracy itself.
“The damage for which recovery may be had in a civil action is not the conspiracy itself but the injury to the plaintiff produced by specific overt acts. [Citations omitted.] The charge of conspiracy in a civil action is merely the string whereby the plaintiff seeks to tie together those who, acting in concert, may be held responsible for any overt act or acts.” Rutkin v. Reinfeld,229 F.2d 248 , 252 (2d Cir. 1956), cert. denied,352 U.S. 844 ,77 S.Ct. 50 ,1 L.Ed.2d 60 (1956).
As stated in
Jones v. Bales,
“For a claim under 42 U.S.C. § 1983, a conspiracy is not a vital element. Nevertheless, a conspiracy may be used as the legal mechanism through which to impose liability on each and all the defendants without regard to the person doing the particular act. Mizell v. North Broward Hosp. Dist.,427 F.2d 468 , 472-473 (5th Cir. 1970); Nesmith v. Alford,318 F.2d 110 , 126 (5th Cir. 1963) [cert. denied,375 U.S. 975 ,84 S.Ct. 489 ,11 L.Ed.2d 420 (1964)].”
In the case at bar plaintiff has shown that defendants agreed and acted in concert in denying plaintiff a hearing. Indeed a board is incapable of acting in any other manner. Each defendant, however, is still only liable for the overt act of depriving plaintiff of his property interest without a hearing, which is the same liability that exists under the substantive charge of Count I. The conspiracy count thus adds nothing to the substantive count.
IV.
Relief for Due Process Violation
The Defendant Board
The defendant board, as distinguished from its members, “is a body politic and corporate” which “may sue and be sued in all courts and places where judicial proceedings are had,” Ill. Rev.Stat., ch. 122, § 103-11 (1969); that is, it is a municipal corporation,
Norfolk & W. Ry. Co. v. Board of Education,
The Defendant Board Members
Shortly before oral argument was held in the case at bar, the Supreme Court handed down its opinion in
Wood v. Strickland, supra,
There is no evidence in the record at bar suggesting that the defendant school board members acted with malicious intent to violate plaintiff’s constitutional rights and not sincerely with the belief that they were doing right. The question left after reviewing the facts of record is whether they reasonably should have known that the action they were taking would violate plaintiff’s constitutional rights. That question must be answered in the light of the law as it existed in July 1970, when the action was taken. At that time
Pickering v. Board of Educa
*578
tion,
The constitutional right violated was plaintiff’s procedural due process right to a hearing before termination, and it is the status of the law in 1970 with respect to this right upon which the immunity of the board members turns. The first definitive holding that termination of teachers’ property interests in their employment contracts with state institutions required due process hearings was
Board of Regents of State Colleges v. Roth, supra,
We must accept and apply the principle that a school board member is not “charged with predicting the future course of constitutional law,”
Wood v. Strickland, supra,
“Although found unconstitutional by this Court, the practices'of the Board were nevertheless within the ambit of permissible discretion as it appeared at that time. . . . Under these circumstances, personal liability for damages should not attach, regardless of whether such state action technically contravened the Fourteenth Amendment.”
The defendant board members’ defense of immunity from liability for money damages must be sustained.
Relief
Having determined that the board’s denial of a pretermination hear *579 ing was an actionable wrong for which it, but not its individual members, is answerable, we turn to the question of the form and measure of appropriate relief.
Five years have elapsed since plaintiff’s employment was terminated. His employment contract, even if it had continued in force, would long since have expired. Under these circumstances, injunctive relief would be manifestly inappropriate, cf.
Zimmerer v. Spencer,
Although we conclude that plaintiff is entitled to damages, decision as to the appropriate measure presents problems. The District Court has found, in findings we cannot say are clearly erroneous, that plaintiff was terminated for reasons amounting to just cause. Given the nature of these findings,
viz.,
that certain conduct of plaintiff identified by the District Court “substantially impeded the Board’s normal functions, critically impaired the personal working relationship between the parties, and completely destroyed the Board’s confidence in Plaintiff’s loyalty and abilities,” it is inconceivable that even if plaintiff had been accorded his procedural due process rights he would have been allowed to continue in office. We have already pointed out, in holding that the defendant board members are entitled to immunity, that in failing to give plaintiff a notice and hearing they did not act maliciously and, in view of the state of the law in 1970, could not reasonably have been expected to know that they were violating plaintiff’s constitutional rights. In view of all these circumstances, justice would not be served and plaintiff would be given a windfall at the expense of the taxpayers of the school district if we were to hold that he is entitled to the same damages that would be recoverable if the contract had been terminated without just cause, although we recognize that one court has adopted this approach, without, however, much discussion of its reasons, see
Zimmerer v. Spencer, supra,
The wrong done plaintiff was not the termination of his employment, for that has been determined to have been justified,
cf. Garcia v. Daniel,
*580
The question of damages is an issue of fact which should be decided by the trial court. See
Wayne v. Venable, supra,
V.
Contract Rights
Count III, added to the complaint on the eve of trial, asserts a state-law contract claim against the board. Since damages are measured in the same way under that count and Count I, the two counts are alternatives. We therefore need not rule on liability under Count III unless the District Court erred in striking the jury demand filed with that count, in which case plaintiff would be entitled on remand to a jury trial of the issue of damages.
Plaintiff had not made a jury demand in connection with his original or amended complaints, filed in January and April, 1971. On February 4, 1974, the court set the case for trial on April 29 of that year. On February 20, 1974, over three years after the commencement of the action, plaintiff obtained leave to file an amendment, adding Count III, in which he sought damages for breach of contract and demanded a jury trial. Pursuant to defendants’ motion, the court struck the amendment with leave to amend within ten days. Plaintiff did not amend within that time but waited until April 29, 1974, the date set for trial, to seek leave to file a new amendment containing the contract claim and a jury demand. The court granted leave to file the amendment but struck the jury demand as untimely, gave defendants 48 hours to answer, and proceeded to trial on May 2, 1974.
The trial judge may well have had discretion under Rule 15(a), Fed.R.Civ.P., to refuse to allow the amendment on the date set for trial except on condition that the jury demand be withdrawn.
Compare Chicago Pneumatic Co. v. Hughes Tool Co.,
“The rules clearly provide that if a jury demand is not made in writing at the time the complaint is filed, within *581 ten days thereafter, your time to demand a jury — or ten days after you file the answer, why it is too late to file a jury demand.”
We can hardly affirm an exercise of discretion that did not occur, and therefore must consider whether plaintiff was otherwise entitled to a jury trial.
The controlling question is whether Count III introduced a new issue into the case. Rule 38(b), Fed.R.Civ.P.; 5 J. Moore,
supra,
¶ 38.41. We think it did not, although the matter is not free from doubt. The amendment seeking damages for breach of contract under rights created by state law did not, as counsel for plaintiff acknowledged in the trial court, allege new subject matter, “just a different theory of law.” The amended complaint, in connection with which no jury demand was made, alleged the contracts, plaintiff’s performance of his obligations thereunder, and the board’s termination “in violation of the Plaintiff’s contractual rights, and further in violation of his [constitutional] rights.” If the amendment here in issue had not been filed, and we were to conclude from the evidence that plaintiff was entitled to prevail on the contract theory but not on the constitutional theory, we could not say the allegations of the existing pleading were insufficient to allow recovery. Under Rule 8(a), Fed.R.Civ.P., the pleader need not allege the legal theory on which he relies,
Siegelman v. Cunara White Star Ltd.,
The case is remanded for a hearing on damages.
Affirmed in part and reversed and remanded in part.
Notes
. Here and elsewhere in this opinion we refer to the 1969 edition of the Illinois Revised Statutes because that edition contained the version of the School Code in force at the time of the events in issue here. The changes reflected in the present law, Ill.Rev.Stat. ch. 122, § 101-1 et seq. (1973) are not material here. The references to “Junior Colleges” have for the most part been changed to references to “Community Colleges.”
. The board in
Aurora Education Ass’n v. Board of Education,
. The eleventh amendment does not affect this suit. The Illinois legislature, by permitting the board to be sued “in all courts,” appears to waive any immunity a board would otherwise have. Moreover, the eleventh amendment does not extend immunity to political subdivisions of the state.
Lincoln County v. Luning,
. Ill.Rev.Stat. ch. 122, § 103-32 (1969) empowers the board “[t]o establish tenure policies for the employment of teachers and administrative personnel.” The policy established by the defendant board (Policies and Procedures 2.00) is, “The President of the College serves at the pleasure of the Board.”
