OPINION
This action, brought pursuant to 42 U.S.C. § 1983, arises from an altercation between plaintiffs Marcos Skevofilax and Michael Michaels and various Edison Township police officers. The court is confronted, in this pretrial setting, with the question of whether the defendant policemen’s claims of qualified immunity should be decided by the court or by the jury. This issue has become pertinent because of the change in the standard for qualified immunity in § 1983 actions that was wrought by
Harlow v. Fitzgerald,
I
The concept of qualified or “good faith” immunity under 42 U.S.C. § 1983 is of rather recent origin. Section 1983 was largely dormant
2
from its inception in the Civil Rights Act of 1866 and the Ku Klux Klan Act of 1871 until the Supreme Court’s decision in
Monroe v. Pape,
The contours of a qualified immunity standard were first set out in
Scheuer v. Rhodes,
In
Wood v. Strickland,
... the appropriate standard necessarily contains elements of both. The official himself must be acting sincerely and with a belief that he is doing right, but an act violating a student’s constitutional rights can be no more justified by ignorance or disregard of settled, indisputable law on the part of one entrusted with supervision of students’ daily lives than by the presence of actual malice.420 U.S. at 321 ,95 S.Ct. at 1000 .
To lose the shield of immunity it was, therefore, necessary that only one of the two elements be present:
*536 (An official) is not immune from liability ... if he knew or reasonably should have known that the action he took within his sphere of official responsibility would violate the constitutional rights of the (persons) affected, or if he took the action with the malicious intention to cause a deprivation of constitutional rights or other injury ...
Id.
at 322,
Wood
shifted the focus from the functions of the office to the person committing the complained of acts.
See
Comment,
Immunity: Eliminating the Subjective Element from the Qualified Immunity Standard in Actions Brought Against Government Officials,
22 Washburn L.Rev. 577, 583 n. 46 (Spring 1983). The use of the phrase “knew or should have known” rather than the “reasonably knew” standard previously applied,
see Scheuer, supra
As I see it, this means that if a plaintiff can establish a genuine material issue of fact as to any element of the immunity defense the case will have to proceed to trial. In my view this approach substantially undermines, if not destroys, the immunity doctrine.
We should not close our eyes to the fact that with increasing frequency in this jurisdiction and throughout the country plaintiffs are filing suits seeking damage awards against high government officials in their personal capacities based on alleged constitutional torts. Each such suit almost invariably results in these officials and their colleagues being subjected to extensive discovery into traditionally protected areas, such as deliberations preparatory to the formulation of government policy and their intimate thought processes and communications at the presidential and cabinet levels. Such discover (sic) is wide-ranging, time-consuming, and not without considerable costs to the officials involved. It is not difficult for ingenious plaintiff’s counsel to create a material issue of fact on some element of the immunity defense where subtle questions of constitutional law and a decisionmaker’s mental processes are involved. A sentence from a casual document or a difference in recollection with regard to a particular policy conversation held long ago would usually, under the normal summary judgment standards, be sufficient. In short, if these standards are those to be followed in these cases, trial judges will almost automatically have to send such cases to full trial on the merits.
In
Butz v. Economou,
recognized in Scheuer that damage suits concerning constitutional violations need not proceed to trial, but can be terminated on a properly supported motion for summary judgment based on the defense of immunity ... In responding to such a motion, plaintiffs may not play dog in the manger; and firm application of the Fed *537 eral Rules of Civil Procedure will ensure that federal officials are not harassed by frivolous lawsuits, (footnote and citation omitted).
The harassment, however, continued, and Harlow v. Fitzgerald, supra, provided not merely one more articulation by the court of its dissatisfaction and impatience with this harassment, but the teeth which the district courts required to respond to it. Harlow was a § 1983 suit by a former Air Force executive who the government claimed had been dismissed because of a departmental reorganization and reduction in force, but who asserted that he was fired in retaliation for his Congressional testimony concerning cost overruns on the C-5A transport plane. With respect to defendants Harlow and Butterfield, two aides to former President Nixon who purportedly were part of a conspiracy to discharge Fitzgerald, the Court held that qualified and not absolute immunity applied. While absolute immunity is improper for most public officers because often only a damage action will vindicate one whose constitutional rights have been violated, Justice Powell, writing for the majority, averred that
(I)t cannot be disputed seriously that claims frequently run against the innocent as well as the guilty — at a cost not only to defendant officials, but to the society as a whole. These social costs include the expenses of litigation, the diversion of official energy from pressing public issues, and the deterrence of able citizens from acceptance of public office. Finally, there is the danger that fear of being sued will ‘dampen the ardor of all but the most resolute, or the most irresponsible [public officials], in the unflinching discharge of their duties.’
The Court characterized the objective element of qualified immunity as “a presumptive knowledge of and respect for ‘basic, unquestioned constitutional rights,’ ” while the subjective element referred to “ ‘permissible intentions.’ ”
Id.,
quoting
Wood v. Strickland,
[t]he subjective element of the good-faith defense frequently has proved incompatible with our admonition in Butz that insubstantial claims should not proceed to trial. Rule 56 of the Federal Rules of Civil Procedure provides that disputed questions of fact ordinarily may not be decided on motions for summary judgment. And an official’s subjective good faith has been considered to be a question of fact that some courts have regarded as inherently requiring resolution by a jury.
Id.
(T)he judgments surrounding discretionary action almost inevitably are influenced by the decision maker’s experiences, values, and emotions. These variables explain in part why questions of subjective intent so rarely can be decided by summary judgment. Yet they also frame a background in which there often is no clear end to the relevant evidence. Judicial inquiry into subjective motivation therefore may entail broad ranging discovery and the deposing of numerous persons, including an official’s professional colleagues. Inquiries of this kind can be peculiarly disruptive of effective government.
Id.
at 816-817,
The Court, therefore, concluded that government officials should not be subjected to discovery or trial on the basis of bare allegations of malice. Rather, “... government officials performing discretionary
*538
functions generally are shielded from liability for civil damages insofar as their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known.”
Id.
at 817, 818,
The objective test was expressly intended to “permit the resolution of many insubstantial claims on summary judgment”, with the court determining whether the law pertaining to the claimed violation was clearly established at the time of the alleged misconduct.
Id.
at 818,
If the law was clearly established, the immunity defense ordinarily should fail, since a reasonably competent public official should know the law governing his conduct. Nevertheless, if the official pleading the defense claims extraordinary circumstances and can prove that he neither knew nor should have known of the relevant legal standard, the defense should be sustained. But again, the defense would turn primarily on objective factors.
Id.
at 818-819,
II
Based upon Harlow and its progeny, I must conclude that the effect of Harlow is not merely to “greatly reduc[e] the exposure of most government officials to civil suit,” The Supreme Court, 1981 Term: Immunity of the President and Other Government Officials, 96 Harvard L.Rev. 226, 233 (1982), but also that that decision requires, except in the most unusual circumstances, that the question of whether defendants will be entitled to qualified immunity be decided by the court pri- or to the commencement of a jury trial, either as the result of a motion for summary judgment or sua sponte in a pretrial hearing. The jury will thus not be required to trouble itself with resolution of a legal issue that is beyond its responsibilities and its competence as triers-of-fact, i.e. whether those of plaintiff’s rights claimed to have been violated by defendants were clearly established at the time of the alleged violations. 5
In determining whether a defendant should receive the benefit of qualified immunity, the issue is almost invariably one of determining whether, as an objective matter, the defendant reasonably should have known the law under which his conduct is being assessed. Because ignorance of the law is never a defense in these matters, a defendant is presumed to know what the law is — if that law is clearly established. Thus, the inquiry reduces to a determination as to whether the law with respect to the conduct in question is settled *539 or unsettled, a determination clearly beyond the jury’s competence.
In the instant case, plaintiffs contend that the defendants participated in inflicting on them an illegal, unprovoked, and merciless beating. If plaintiffs are correct as a matter of fact, there cannot be any arguable claim that the officers’ conduct was privileged — a policeman cannot defend by contending, for example, that he never heard of the Fourth or the Eighth Amendments. It is for the jury to determine the factual issue as to the conduct, not the legal issue as to the law. Unlike, the typical negligence case, in which a jury can bring its collective human wisdom to bear in determining what is reasonable under a given set of circumstances, to suggest that Harlow did not mean what it said and what it implied is to suggest that a trial within a trial is required, with the jury hearing “evidence” of the state of the law, trends in the law, and clarity of the law.
The process of determining the clarity of the law at the time a cause of action purportedly arose is, moreover, most appropriately resolved by the court at a “pre-trial screening,”
6
a proposition inferred from the conclusions of
Scheuer, Butz,
and
Harlow
that insubstantial claims may be terminated on motions for summary judgment. In ruling on such motions, of course, the court’s function is not to resolve factual issues but, rather, to determine whether any genuine material factual issue exists.
Adickes v. Kress,
Courts that have applied
Harlow
in the context of summary judgment motions have concluded that the • determination of whether a government official is entitled to immunity is solely a question of law.
See Czurlanis v. Albanese,
Thus far, courts have resolved questions as to whether the law at the time of actions challenged under § 1983 was clearly established with an almost equal number of decisions granting summary judgment when the law was not clearly established and denying summary judgment when it was.
7
*540
In deciding whether to grant or deny summary judgment, courts are plainly concluding that they have before them pure questions of law which should never reach a jury. Not only is this true in the context of summary judgment motions, but also in the context of motions to dismiss under Federal Rule of Civil Procedure 12(b)(6).
See Hauptmann v. Wilentz, supra
at 371;
Jensen v. Conrad, supra
at 101. In the latter context, courts have concluded that defendants either have or have not met their burden of establishing by a preponderance of the evidence that the relevant law was clearly established at the time of the actions to which a plaintiff objects.
Alexander v. Alexander,
Prior to Harlow, the Wood test for qualified immunity presented a jury question not only in the ease in which a plaintiff claimed that the official had been stripped of immunity because he undertook the action with the malicious intention to cause a constitutional deprivation or other injury, but also in the case in which a plaintiff claimed that a defendant knew or should have known that his action would violate plaintiff’s rights. It seems abundantly clear, then, that because the Supreme Court’s intention in Harlow was to promote the use of summary judgment whenever an appropriate immunity defense is raised in a § 1983 action, the Court has, with Harlow, not only eliminated the prong of the Wood test that considered the presence or absence of malice, but also has relegated the question of defendant’s knowledge of the law to the “extraordinary circumstances” *541 exception to the general Harlow rule with a jury question presented only when that knowledge is in dispute.
Even where there are such “extraordinary circumstances” claimed, the Court has instructed that the defense would still turn primarily on objective factors.
For example, in
Muzychka v. Tyler, supra,
summary judgment on the ground of qualified immunity was denied where policemen, searching for chemicals which they had probable cause to believe were in plaintiffs car, seized documents as to which a privilege was claimed. The court explicitly found that there was “clearly established” law at the time of the alleged action because, three weeks before the search, Justice Stevens had explained in
United States v. Ross,
If even the exception to the objective standard is itself largely objective, then the instance in which a determination concerning qualified immunity involves a jury issue would be rare indeed. The jury’s role is still critical, however. It determines whether the official did, in fact, violate the law that the court has previously declared to have been clearly established. Only when the “extraordinary circumstances” exception has been properly invoked and there is an issue of what the official knew that has not been resolved by discovery,
see Harlow, supra
In that connection, it should be noted that those courts which, after
Harlow,
have treated the allocation to judge or jury of questions concerning immunity, have done so largely on the basis of
pre-Harlow
decisions. For example, in
Tuttle v. City of Oklahoma City,
Under certain circumstances, the facts may negate the good faith defense as a matter of law. If the facts construed in the light most favorable to the defendant officer utterly belie his belief or the reasonableness of it, his defense should not be considered by the jury.
The court relied for this proposition on a 1978 Seventh Circuit case and, while acknowledging that Harlow “overruled earlier Supreme Court pronouncements that a subjective component existed (to the qualified immunity test),” Id., it nevertheless focused on the subjective test that had been employed under earlier Supreme Court decisions, that is, on the policeman’s *542 “belief” (essentially the test in Pierson v. Ray and Scheuer v. Rhodes).
Similarly, in
B.C.R. Transport Co., Inc. v. Fontaine,
the question of qualified immunity is one of reasonableness — would a reasonable person in the shoes of Fontaine have known that he was violating another’s constitutional rights? ____ This determination, being one turning on the reasonableness of Fontaine’s conduct, was properly left for the jury to resolve.
Id. at 10 (citations omitted). The B.C.R. Transport court cited to Harlow, Pierson and a 1979 Fifth Circuit case. Again, the focus was on the pr e-Harlow standard of the reasonableness of the defendant’s belief in the legality of his actions. 9
What is evidenced by these decisions is a reluctance to recognize in the trial context what has been readily recognized in the summary judgment context, i.e. that the Supreme Court, which has zealously safeguarded and, indeed, enlarged the function of the jury as a factfinding body, has converted what were largely factual determinations into a determination of law. Implicit in this reluctance is a conscious or subconscious unwillingness to take an issue from the jury, and a belief, albeit unexpressed, that to do so would in some manner derogate the right of trial by jury declared by the Seventh Amendment.
Moreover, and put more simply, old habits die hard, and it is easy enough to submit a “reasonableness” question to the jury with or without having provided the jury with any basis for knowing the law as to which it must decide the defendant reasonably should or should not have known. However, to the extent that courts — for whatever reason — continue to treat the issue of qualified immunity in much the same manner as it was treated pr e-Harlow, the very purpose of Harlow, which was to “make an adjustment” so that a court would ordinarily determine whether the claimed violation involved clearly established law, is defeated.
Ill
Plaintiffs allege that three of the police defendants, who were off-duty in a bar at the time, administered an unprovoked beating to plaintiff Marcos Skevofilax and punched plaintiff Michael Michaels, and that one of them struck Michaels in the face when Michaels tried to aid Skevofilax. Plaintiffs also contend that uniformed officers, who were called to the scene by Skevofilax, not only did not aid plaintiffs, but contributed to a merciless second beating of Skevofilax, one of them by striking Skevofilax on the head with a nightstick and the others by watching the beating and failing to intervene. Furthermore, plaintiffs assert that they were then falsely arrested and imprisoned and maliciously prosecuted, but not before there were additional attempted assaults by one of the defendants and a failure to administer needed medical treatment to Skevofilax within a reasonable time.
It is beyond cavil that if such a course of conduct were proven, those found to be liable for such actions would be devoid of any qualified immunity for the laws of which defendants’ actions are alleged to be violative are clearly established. If what the ancients said of the law remains true, that
lex nemini operatur iniquum
—the law will not work an iniquity on anyone — then the law will not shield an official who flagrantly violates the Constitutional rights of another in the manner asserted here. Indeed, the case law is uniform that no vestige of official immunity will serve to fend off liability in damages when the gravamen of a complaint is official use of unwarranted force in violation of the Fourth, Eighth and Fourteenth Amendments, and the claims are proven.
See Haygood v. Younger,
While use of excessive force by police may create § 1983 liability,
see Black v. Stephens,
The same result obtains for both the supervisory and non-supervisory policemen present during the alleged beatings and the alleged denial of medical care. Supervisory officials may not be held liable under § 1983 under the doctrine of
respondeat superior. Monell v. Department of Social Services,
Furthermore, if a police officer, whether supervisory or not, fails or refuses to intervene when a constitutional violation such as an unprovoked beating takes place in his presence, the officer is directly liable under § 1983.
See Bruner v. Dunaway,
We believe it is clear that one who is given the badge of authority of a police officer may not ignore the duty imposed by his office and fail to stop other officers who summarily punish a third person in his presence or otherwise within his knowledge. That responsibility obviously obtains when the nonfeasor is a supervisory officer to whose direction misfeasor officers are committed. So, too, the same responsibility must exist as to nonsupervisory officers who are present at the scene of such summary punishment, for to hold otherwise would be to insulate nonsupervisory officers from liability for reasonably foreseeable consequences of the neglect of their duty to enforce the laws and preserve the peace.
Defendants Township of Edison and the Chief of Police, stand on a somewhat different footing and may be liable only if a causal link between an official policy or custom and plaintiffs’ injuries is established.
Monell v. Department of Social Services, supra
Moreover, where it is shown that a municipality’s failure to train, supervise, or discipline police officers is reckless or grossly negligent, this will be taken to mean that an official policy or custom which results in constitutional violations exists or that there is conduct by officials in authority evincing implicit authorization, approval or acquiesence in unconstitutional conduct.
Popow v. City of Margate,
A plaintiff is obligated in a suit against a municipality under § 1983 to specifically identify the official policy which he claims was responsible for the deprivation of some right.
Ross v. Meagan,
In a similar case,
Pitrone v. Mercadante,
The same principles that apply to those portions of the complaint that charge the use of excessive force apply with equal force to claims that defendants were indifferent to plaintiff Skevofilax’s medical needs. Eighth Amendment standards are applied to pre-trial detainees in this Circuit,
Hampton v. Holmesburg Prison Officials,
*545 A wrongful arrest may, of course, be violative of the arrestee’s Fourth Amendment rights if the arrest is carried out without cause. In the instance of a warrantless arrest, there is no difficulty attributing causation for any constitutional violation that accompanies the arrest directly to the arresting officer or officers. See, generally, Comment, When Police Lie: Federal Civil Rights Liability for Wrongful Arrest, 10 Ohio Northern University L.Rev. 493 (1983). Although all arrests based upon probable cause, even if erroneous, are legal and immunity is, therefore, unnecessary, 1 Cook & Sobieski, Civil Rights Actions § 2.09(B) at 2-120 (1983), an arrest without any cause would certainly implicate the Fourth Amendment and would not be immunized, since nothing in the law of search and seizure is more clearly established than, absent consent, the necessity of probable cause for an arrest.
Even if the question of the immunity of a police officer against whom a false arrest action under § 1983 has been instituted must be resolved against the background of common-law tort principles, including those principles relating both to liability and to available defenses,
Imbler v. Pachtman,
IV
I conclude, then, that as a result of the changes in the law of immunity that flow from Harlow v. Fitzgerald, this court is fully responsible for deciding the question of whether the defendants may invoke official immunity. In the circumstances of this case, where it is alleged that defendants carried out or condoned excessive, unprovoked assaults, arrests, imprisonments and prosecutions, it would contravene both precedent and persuasive authority to permit an immunity defense were the claims alleged proved to the satisfaction of a jury. The court, therefore, will submit the facts to the jury and instruct it in the relevant law without reference to question of qualified immunity.
Notes
. Certain police defendants did not assert the affirmative defense of qualified immunity in answer to the complaint. Those defendants, however, have since moved to amend their answers to include the defense. See Fed.R.Civ.P. 15(a). Those motions will be granted.
. In 1960, only 247 civil rights cases were filed against state and federal officials. Friedman, The Good Faith Defense in Constitutional Litigation, 5 Hofstra L.Rev. 501, 501 n. 1 (1977). During a twelve month period in 1982-1983, more than 30,000 § 1983 suits were filed by prisoners alone. Administrative Office, United States Courts, The United States Courts: A Pictorial Summary for the Twelve-Month Period Ended June 30, 1983 (1983). A study of § 1983 complaints filed by non-prisoners in the Central District of California in 1975 and 1976 found that 44.5% of the filings alleged police misconduct as the basis of the constitutional deprivation. Eisenberg, Section 1983: Doctrinal Foundations and an Empirical Study, 67 Cornell L.Rev. 482, 550-551 (1982).
. Monroe held that § 1983 provides a federal right in federal courts; that it applies to officials, including policemen, whose acts are not only not sanctioned by, but are violative of state law; that state remedies need not be exhausted for a § 1983 action to go forward; and that a specific intent to deprive a person of a federal right need not be shown.
. Butz distinguished constitutional violations, to which qualified immunity applies, from tort liability, for which federal executive officers retain absolute immunity. The focus there was on the type of violation and not merely the functions of the office, as in Scheuer, or on the reasonableness of the person, as in Wood. See Freed, Executive Official Immunity for Constitutional Violations: an Analysis and Critique, 72 Northwestern University L.Rev. 526 (1977).
. By necessary implication, of course, in those unusual cases in which a defendant claims "extraordinary circumstances”, the court must determine as a pre-trial matter whether the issue of that defendant’s knowledge of the relevant legal standard has been resolved by discovery. If unresolved, the court must submit the question of the defendant’s entitlement to qualified immunity to the jury.
. The
Harvard Law Review
Note cited
supra
discusses, at 234-236, what it. terms the “pretrial screening proposal” advanced by Judge Gessel in
Halperin, supra.
This proposal was not expressly adopted by the Court in
Harlow,
but the Court quoted Judge Gessel
in extenso. See
.
See Ross v. Reed,
See also Alexander v. Alexander,
. Use of the objective standard does not mean that whenever one is arrested and it is later determined that he had not committed the offense charged or it turns out that a search was improper, it must be held that the arresting or searching officers violated clearly established law. See
Saldana v. Garza,
. In other cases involving submission to a jury of the question of qualified immunity, it appears that trial was held before the
Harlow
decision was handed down.
See, for example, Seguin v. Eide,
. The liability of the Chief of Police and Township on this ground would follow only if they knew or had reason to know of the propensities of the defendant officers not to provide adequate medical care to pre-trial detainees or if the Township had otherwise adopted an official *545 policy that had that effect. See Ross v. Meagan, supra.
