MEMORANDUM AND ORDER
Iris Rivera, individually and as the Ad-ministratrix of the Estate of Jennifer Rivera, brought this action against state prosecutors, the City of Providence (“the City”), and several Providence police officers. The plaintiff seeks money damages for the defendants’ alleged failure to protect her daughter, Jennifer, who was killed in order to prevent her from testifying in a murder case. The complaint contains claims brought pursuant to 42 U.S.C. § 1983 for alleged due process violations and claims brought under state law.
With respect to the § 1983 claims, the City has moved for judgment on the pleadings pursuant to Fed.R.Civ.P. 12(c); former Providence Police Chief, Urbano Prignano, Jr., has moved for summary judgment pursuant to Fed R. Civ. P. Rule 56(c) and all of the other defendants have moved to dismiss pursuant to Fed.R.Civ.P. Rule 12(b)(6). 1 The State of Rhode Island (the “State”) has also moved to dismiss the state law claims.
The threshold issue raised by all of the motions directed at the § 1983 claims is whether the allegations are sufficient to establish that the defendants deprived Jennifer of her constitutional right to due process. Because this Court finds that the defendants’ conduct did not amount to a constitutional violation, those motions are granted. Moreover, because the only remaining claims are state law claims, they are dismissed without prejudice to the plaintiffs right to assert them in a state court action.
BACKGROUND
This is a truly tragic case. The relevant facts alleged in the complaint are as follows. On August 28, 1999, Jennifer Rivera, a 15-year old girl, witnessed a murder committed behind her home. At the request of a Providence police officer, Jennifer signed a statement and, later, identi *CCXIX fied Charles Pona as someone that she saw running from the murder scene.
A few months later, Pona was arrested and Jennifer began receiving threats that she would be killed if she testified against him. Jennifer and her mother communicated those threats to the Providence Police Department (“PPD”) and were assured that Jennifer would be safe. The police informed White and Page, the Assistant Attorneys General assigned to the case, of these threats.
On November 15, 1999, Jennifer testified at Pona’s bail hearing. Over the next several months, Jennifer received more death threats and reported them to various Providence police officers including detectives Matos and Finegan, who were investigating the Pona case.
On March 1, 2000, Pona was indicted for murder and later released on bail. On May 15, 2000, White and Page caused a subpoena to be issued directing Jennifer to appear as a witness in Pona’s trial. Two days later, Jennifer, again, expressed concern to representatives of the Attorney General’s office about the death threats she had received. They, again, promised Jennifer that she would be safe; but, on May 21, 2000, Pona shot Jennifer to death in front of her home.
The gist of the plaintiffs § 1988 claims is that the defendants violated Jennifer’s constitutional right to due process by failing to protect her. The defendants argue that the Due Process Clause does not impose a duty on state officials to protect citizens against harm caused by private parties. Although the plaintiff concedes that to be the general rule, she argues that, in this case, such a duty was imposed because the defendants’ actions created the danger and/or that the defendants had a “special relationship” with Jennifer that gave rise to a duty to protect her.
LEGAL STANDARDS
Motion to Dismiss
When considering a motion to dismiss pursuant to Fed.R.Civ.P. 12(b)(6), a court must take all well-pleaded facts as true and draw all reasonable inferences in favor of the plaintiff.
Coyne v. City of Somerville,
Motion for Judgment on the Pleadings
The standard applicable to a motion for judgment on the pleadings pursuant to Fed.R.Civ.P. 12(c) is similar to the standard governing motions to dismiss pursuant to Fed.R.Civ.P. 12(b)(6).
Viera-Marcano v. Ramirez-Sanchez,
Summary Judgment Motion
Summary judgment is warranted when “the pleadings, depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any, show that there is no genuine issue as to any material fact and that the moving party is enti- *CCXX tied to a judgment as a matter of law.” Fed.R.Civ.P. 56(c).
When a motion for summary judgment is made, a court must view the evidence in the light most favorable to the non-moving party.
Morrissey v. Boston Five Cents Sav. Bank,
ANALYSIS
At the outset, it is important to bear in mind the distinction between the plaintiffs § 1983 claims and her state law tort claims as well as the significant differences regarding what she must prove in order to prevail on each type of claim.
I. Section 198S
Section 1983, itself, does not create any substantive rights. It is simply the vehicle that allows a person to seek redress in federal court when that person’s federally-protected rights are violated by individuals acting under color of state law.
Gilmore v. Buckley,
In order to prevail under § 1983, a plaintiff must demonstrate the violation of some right conferred by the United States Constitution or federal law.
Id.
at 719. Moreover, § 1983 does not impose liability for conduct that is merely negligent. It requires proof that state or municipal officials intentionally violated the plaintiffs federally-protected rights or that they acted with reckless disregard for the likelihood that those rights would be violated.
Daniels v. Williams,
By contrast, proof of negligence generally is sufficient to support a state law tort claim and a defendant may be liable in tort even though he or she did not act under color of state law. In addition, under tort law, an injury need not amount to a constitutional violation in order to be compensa-ble. Any physical injury or pecuniary loss caused by the defendant’s wrongful conduct may be sufficient.
Both the Supreme Court and the First Circuit have recognized the importance of distinguishing between § 1983 claims and state law claims. In DeShaney v. Winnebago County Department of Social Services, the Supreme Court stated that the Constitution:
does not transform every tort committed by a state actor into a constitutional violation, [citations omitted] A State may, through its courts and legislatures, impose such affirmative duties of care and protection upon its agents as it wishes. But not “all common-law duties owed by government actors were ... constitutionalized by the Fourteenth Amendment.”
Similarly, the First Circuit has pointed out that “[section] 1983 was enacted to deal primarily with acts of discrimination by state officials” and it has cautioned that:
There is a danger that by extending this important legislation to contexts far removed from Congress’- original and overarching purposes, a national state tort claims act administered in the federal courts in effect will be created. Steps in that direction should not be lightly taken *CCXXI since the ultimate outcome of such a course might well be incongruent with our role as federal judges.
Gilmore,
II. The Alleged Due Process Violation
In this case, the constitutional right upon which the plaintiffs § 1983 claims are based is Jennifer’s Fourteenth Amendment right to due process and the question common to all of those claims is whether the allegations are sufficient to establish that the defendants violated that right.
A. Duty to Protect — The General Rule
The Due Process Clause of the Fourteenth Amendment prohibits a state from “depriving] any person of life, liberty, or property, without due process of law.” U.S. Const, amend. XIV. The Due Process Clause “was intended to prevent government ‘from abusing [its] power, or employing it as an instrument of oppression.’ ”
DeShaney,
Accordingly, “[a]s a general matter ... a State’s failure to protect an individual against private violence simply does not constitute a violation of the Due Process Clause.”
DeShaney,
[The Due Process Clause] forbids the State itself to deprive individuals of life, liberty, or property without “due process of law,” but its language cannot fairly be extended to impose an affirmative obligation on the State to ensure that those interests do not come to harm through other means.
Id.
at 195,
In
DeShaney,
the Court held that State officials did not deprive Joshua, a minor, of his right to due process by returning him to the custody of his natural father who proceeded to abuse him. The Court cited the general rule that “a State’s failure to protect an individual against private violence simply does not constitute a violation of the Due Process Clause.”
DeShaney,
However,
DeShaney
recognized that an exception to the general rule may exist in cases where “the State takes a person into its custody and holds him there against his will” thereby limiting that person’s “freedom to act on his own behalf’ and “render[ing] him unable to care for himself.”
Id.
at 199-200,
DeShaney
also implies that there is a second exception to the general rule in cases where the injury results from a danger that the State, itself, created or exac
*CCXXII
erbated.
See DeShaney,
B. The Special Relationship Exception
Here, the plaintiff claims that the “special relationship” exception applies because, by subpoenaing Jennifer to testify, the defendants essentially “held her captive” and restricted her ability to protect herself. That argument misapprehends the type of custody required to establish a “special relationship.”
The “special relationship” exception traces its roots to the Supreme Court’s opinion in
Martinez v. California,
The affirmative duty to protect arises not from the State’s knowledge of the individual’s predicament or from its expressions of intent to help him, but from the limitation which it has imposed on his freedom to act on his own behalf.... In the substantive due process analysis, it is the State’s affirmative act of restraining the individual’s freedom to act on his own behalf — through incarceration, institutionalization or other similar restraint of personal liberty — which is the “deprivation of liberty” triggering the protections of the Due Process Clause, not its failure to act to protect his liberty interests against harms inflicted by other means.
Id.
Indeed, even before
DeShaney,
the “vast majority” of cases finding the existence of a “special relationship” were cases in which the plaintiff was injured while in state custody.
Gilmore,
In determining the nature of the custody required in order to create a “special relationship,” the critical inquiry is whether the plaintiffs liberty was involuntarily restrained to an extent “rendering] him unable to care for himself ...”
Monahan v. Dorchester Counseling Ctr.,
In
Monahan,
the First Circuit found that there was no special relationship between state officials and a mental patient who, after voluntarily committing himself to a state-operated facility, jumped from a van that was transporting him back to the facility and was injured by a passing car.
Similarly, in
Middle Bucks,
the Third Circuit found that no “special relationship” existed between public school officials and a student attacked by fellow students because, even though students are legally required to attend school, parents may decide which school they attend or whether to educate them at home and the degree of control exercised over students by school officials is limited.
Middle Bucks,
In this case, the facts alleged fall far short of establishing the type of custody required to satisfy the “special relationship” exception. Jennifer never was in State custody. The only restraint on her liberty was the requirement that she appear to testify in response to the subpoena served upon her. Furthermore, that limited restraint did not prevent her from “acting on [her] own behalf’ or render her “unable to care for herself.”
C. The State-Created Danger Exception
The plaintiff argues that the defendants created the danger to Jennifer by subpoenaing her to testify, promising to protect her and failing to follow procedures established by state law for determining whether she should be placed in the State’s witness protection program.
As already noted, the “state created danger” exception stems from the observation in
DeShaney
that “[wjhile the State may have been aware of the dangers that [the minor plaintiff] faced in the free world, it played no part in their creation, nor did it do anything to render him any more vulnerable to them.”
In Gilmore, a case decided before De-Shaney, a woman was murdered by an inmate who was on a two-day furlough from state prison. The decedent’s executor sued State officials, pursuant to § 1983, claiming that they should have known of the danger; and, therefore, that they violated the decedent’s due process rights by failing to protect her. The First Circuit rejected that argument and affirmed the entry of summary judgment in the defendants’ favor. The Court stated that:
[Irrespective of any knowledge the state defendants had of the special danger that [the inmate] posed to [the decedent] or the temporal proximity between [the inmate’s] release on furlough and [the decedent’s] murder, the state did nothing to render [the decedent] any more or less capable of defending her *CCXXIV self from a violent attacker than any other member of the general public.
Gilmore,
In Soto, the First Circuit again had occasion to address the circumstances under which the “state created danger” exception applies. There, a woman told police that her husband had abused her and threatened to kill her and her family if she reported it. Despite that threat, two police officers visited the husband and, in an apparent effort to deter him, informed the husband that his wife wanted to have him jailed in order to stop the abuse. The husband responded by shooting the couple’s two young children to death and killing himself. The wife then brought a § 1983 action against police officials alleging a due process violation.
The First Circuit acknowledged that, under
DeShaney,
the wife’s claim would be barred because “ ‘a State’s failure to protect an individual against private violence simply does not constitute a violation of the Due Process Clause.’ ”
Soto,
Not every negligent, or even willfully reckless, state action that renders a person more vulnerable to danger “take[s] on the added character of [a] violation [ ] of the federal Constitution.” [citation omitted] In a creation of risk situation, where the ultimate harm is caused by a third party, courts must be careful to distinguish between conventional torts and constitutional violations, as well as between state inaction and action.
Id. at 1064.
The Soto court did not decide whether the “state created danger” exception applied because it found that the defendants were entitled to qualified immunity. However, in a similar case, the Fourth Circuit held that the exception was inapplicable because the danger had not been created or exacerbated by any affirmative act on the part of the State. See Pinder, 54 F.3d 1169 (4th Cir.1995).
In Finder, the plaintiffs former boyfriend broke into her home, assaulted her, and threatened to murder her and her three children. The police were summoned and the officer who responded arrested the boyfriend and assured the plaintiff that the boyfriend would be locked up overnight. Based on that assurance, the plaintiff went to work. Shortly thereafter, the officer brought the boyfriend before a bail commissioner but charged him only with trespassing and malicious destruction of property. As a result, the boyfriend was released on his own recognizance and was warned to stay away from the plaintiffs home. Despite that warning, the boyfriend set fire to the plaintiffs home killing her three children. The plaintiff then brought a § 1983 action against the officer and municipal officials alleging a violation of the Due Process Clause. She claimed that, by their conduct, the defendants had affirmatively created or enhanced the danger to her children.
The Fourth Circuit rejected what it described as the plaintiffs “attempt to escape the import of DeShaney by characterizing her claim as one of affirmative misconduct by the State in ‘creating or enhancing’ the danger, instead of an omission.” Id. at 1175 (emphasis in original). The Court found that the officer’s decision not to charge the boyfriend with a more *CCXXV serious offense was not an “action” that created the danger. In rebuffing the contention that it was, the Court stated:
By this measure, every representation by the police and every failure to incarcerate would constitute “affirmative actions,” giving rise to civil liability ... No amount of semantics can disguise the fact that the real “affirmative act” here was committed by [the boyfriend], not by [the officer]. As was true in DeSha-ney, the State did not “create” the danger, it simply failed to provide adequate protection from it.
Id.
The facts alleged in this case are very similar to those in Buckley, Soto, and Pin-der. Like those cases, this case involves a heartbreaking tragedy and, arguably, a failure by State and/or municipal officials to do all that might have been done to prevent the tragedy from occurring. But, also like those cases, this case does not involve the kinds of affirmative acts necessary to trigger the “state created danger” exception.
The conduct cited by the plaintiff consists, primarily, of the defendants’ alleged failure to act. The only “act” that the plaintiff attributes to the defendants is the issuance of the subpoena. However, that single “act” cannot reasonably be viewed as having created the danger to Jennifer or having made her more vulnerable to that danger. Pona clearly knew, long before the subpoena was issued, that Jennifer was a witness to the crime and likely to testify against him. It was that fact and not the fact that a subpoena was issued that created the danger. Indeed, it is not even alleged that Pona was aware of the subpoena.
Moreover, even if issuance of the subpoena was the type of affirmative act that imposed a constitutional duty on the defendants to protect Jennifer, the facts alleged fail to establish that the defendants’ breach of that duty is actionable under § 1983. As previously stated, § 1983 requires proof that a defendant intentionally violated the plaintiffs federally protected rights or that the defendant acted with reckless disregard of those rights.
Daniels,
Accepting the proposition that, whenever State officials issue subpoenas to prospective witnesses, they have a constitutionally-imposed obligation to protect those witnesses from harm inflicted by third persons and that they may be held liable for failure to provide adequate protection would create a “state created danger” exception that swallows the general rule. Accepting that proposition also would obliterate the distinction between the intentional misuse of State authority to violate an individual’s federal constitutional rights which is actionable under § 1983 and the negligent failure to take steps required by State law in order to avoid injury to another person which may be the basis for a tort action.
In short, while the plaintiff might have a viable negligence claim against one or more of the defendants, the defendants’ alleged failure to have “done more” to protect Jennifer does not rise to the level of a constitutional due process violation.
D. The Effect of State Law
The plaintiff argues that Rhode Island’s “witness protection statute,” R.I.G.L. § 12-30-1
et seq.,
imposed a duty
*CCXXVI
on the defendants to protect Jennifer and that their alleged failure to comply with the statute violated Jennifer’s substantive and procedural due process rights.
2
That argument is not persuasive because, even assuming,
arguendo,
that the defendants did not follow the statutory requirements, it is well settled that a failure to comply with state law does not establish the basis for a federal due process violation.
Middle Bucks,
E. The “Shocks the Conscience” Test
In her reply memoranda, the plaintiff makes a passing reference to what has been referred to as the “shocks the conscience” theory of liability for substantive due process violations. Under that theory, a due process violation may be based on conduct by a state official that “shocks the conscience” even though there has been no deprivation of an identifiable liberty or property interest.
See United States v. Salerno,
Unfortunately, there is no precise definition of what constitutes “conscience shocking” conduct. It has been variously referred to as conduct that is “arbitrary and capricious,” “violative of universal standards of decency,” or “counter to the concept of ordered liberty.”
Cruz-Erazo v. Rivera-Montanez,
However, it is clear that conduct is not “conscience shocking” if it is merely careless or even reckless.
County of Sacramento v. Lewis,
The allegations in this case fall far short of meeting this demanding standard. The plaintiff does not claim that the defendants acted maliciously or with any intent to cause harm to Jennifer. While it may be argued that they were negligent, their conduct hardly can be described as “conscience shocking.”
III. The Other Claims and Defenses
Since this Court has found that the facts alleged, here, are insufficient to establish a due process violation, there is no need to address the defendants’ arguments that their motions with respect to the § 1983 claims also should be granted on other grounds such as qualified immunity and absolute immunity.
*CCXXVII
Nor is there any need to address the State’s motion to dismiss the state law claims. The § 1983 claims provided the sole basis for invoking federal jurisdiction and all of those claims are being dismissed. In such cases, a federal court has discretion to decide whether it should retain supplemental jurisdiction over the remaining state law claims.
See
28 U.S.C. § 1867(c);
United Mine Workers of America v. Gibbs,
In this case, there is no reason to depart from the general rule. The remaining claims deal solely with issues of state law, some of which raise important questions of first impression. Principles of comity demand that those questions should be addressed in state court. Nor would dismissal result in any discernible unfairness to the parties. The dismissal will be without prejudice to the plaintiffs right to bring her state law claims in state court. Therefore, she will not be deprived of her day in court with respect to those claims. Indeed, during oral argument, plaintiffs counsel expressed a preference to have the state law claims dismissed without prejudice if the defendant’s motions regarding the federal claims were granted.
CONCLUSION
For all of the foregoing reasons, the State’s Motion to Dismiss; White and Page’s Motion to Dismiss; Matos and Fi-negan’s Motion to Dismiss; the City’s Motion for Judgment on the Pleadings, and Prignano’s Motion for Summary Judgment are granted with respect to all of the § 1983 claims and the remaining state law claims are dismissed without prejudice to the plaintiffs right to re-file them in state court.
IT IS SO ORDERED.
Notes
. Motions to dismiss have been filed by the State; Assistant Attorneys General Randy White and George Page ("White and Page"); and Detectives Matos and Finegan ("Matos and Finegan”).
. The relevant portion of the statute provides:
Whenever any law enforcement official of the state or any city or town determines that a prospective witness who is not incarcerated, charged, or under investigation for commission of a felony requires custodial protection and/or assistance with relocation due to a threat to the safety of that witness or his or her family, the official shall immediately notify the attorney general.
R.I.G.L. § 12-30-4
If an assistant attorney general and law enforcement officials determine that the witness needs protection, the assistant attorney general must submit a proposal to the Witness Protection Review Board which decides whether protection should be provided. Id.
