JAMES R. SNYDER, Plaintiff-Appellant, v. JACK T. NOLEN, Defendant-Appellee.
No. 01-1688
United States Court of Appeals For the Seventh Circuit
ARGUED SEPTEMBER 20, 2002—DECIDED AUGUST 13, 2004
Appeal from the United States District Court for the Southern District of Illinois. No. 98 C 671—William L. Beatty, Judge.
PER CURIAM. James Snyder filed this action pursuant to
It is the unanimous opinion of the court that Mr. Nolen is not protected by absolute quasi-judicial immunity. Nevertheless, it is the opinion of the majority of the panel that Mr. Snyder has not stated a claim for a constitutional violation of right to access to the courts; the individual judges, however, differ with respect to how they arrive at that determination. A third member of the panel is of the opinion that Mr. Snyder‘s complaint states a constitutional violation and that Mr. Nolen is not entitled to qualified immunity on that claim.
This per curiam opinion sets forth the procedural background of the case and articulates the court‘s holding with respect to the issue of absolute quasi-judicial immunity. The separate opinions of the panel majority follow, as does that of the panel‘s dissenting member.
I
BACKGROUND
A.
In November of 1996, Mr. Snyder attempted to file a petition for a dissolution of marriage and a temporary restraining order against his wife, Denise Snyder, in the Circuit Court of Saline County, Illinois. In his petition, Mr. Snyder requested that the state court “enter an order restraining [his wife] from selling or concealing or encumbering in any manner” the property claimed to be his pursuant to a prenuptial agreement. R.22, Ex.1. Mr. Snyder alleged that he was estranged from his wife, that his wife was in sole possession of his non-marital property, that he was incarcerated in the custody of the Illinois Department of Corrections, and that his assets were at substantial risk because his wife had indicated to Mr. Snyder‘s friends that
According to Mr. Snyder‘s complaint in this action, the pleadings that he proposed to file in the state domestic relations proceedings complied with that court‘s technical filing requirements and alleged a factual basis for a dissolution of marriage and for a temporary restraining order. Nevertheless, Mr. Nolen, as the Circuit Court Clerk, allegedly removed Mr. Snyder‘s pleadings from the court‘s docket and placed a large “X” over the court‘s “Filed” stamp with the word “error.” R.22.1 Mr. Nolen then returned the
B.
On September 17, 1998, Mr. Snyder filed this action against Mr. Nolen pursuant to
On November 2, 1998, Mr. Snyder filed a first amended complaint. This complaint and a motion to dismiss filed by Mr. Nolen were referred to a magistrate judge. The magistrate judge recommended that Mr. Snyder‘s complaint be dismissed on the ground that Mr. Nolen‘s action was a quasi-judicial act entitled to absolute immunity. See R.19. Mr. Snyder timely objected to this recommendation. The district court, without considering the magistrate judge‘s recommendation, dismissed Mr. Snyder‘s complaint, with leave to re-file, on the ground that it was unclear from the complaint whether Mr. Snyder was suing Mr. Nolen in his official or individual capacity. See R.21.
On April 6, 2000, Mr. Snyder timely filed a second amended complaint, the pleading at issue here. In this complaint, Mr. Snyder claimed that Mr. Nolen was liable in his individual capacity for blocking Mr. Snyder‘s access to the Saline County Court in violation of the federal right of access to the courts. He further alleged a supplemental claim based on the Constitution of the State of Illinois. Specifically alleging the loss of his personal property, Mr. Snyder sought compensatory damages in the amount of $60,000 (the value of his dissipated assets) and punitive damages in the amount of $100.
Mr. Nolen again filed a motion to dismiss. On February 2, 2001, the magistrate judge recommended that the complaint be dismissed on three separate grounds: (1) that the complaint did not state a constitutional claim; (2) that Mr. Nolen was entitled to absolute quasi-judicial immunity; and
Mr. Snyder filed no objections to the magistrate judge‘s report. On February 23, 2001, the district court adopted the magistrate judge‘s report and recommendation and granted Mr. Nolen‘s motion to dismiss. See R.34. On March 7, 2001, the district court entered judgment in favor of Mr. Nolen. See R.35. On March 16, 2001, Mr. Snyder filed with the district court a motion to vacate the judgment and, in the alternative, a notice of appeal. In a sworn affidavit, Mr. Snyder explained that he had just returned from a different prison facility to which he had been transferred on temporary writ status for a fitness hearing in his underlying criminal case.3 He did not receive the magistrate judge‘s order until his return. By that time, the district court had entered a judgment. Mr. Snyder further stated that, prior to his transfer, he had requested that the prison warden forward his mail to his temporary address but that the prison had failed to do so. The district court denied Mr. Snyder‘s motion to vacate the judgment on April 2, 2001. See R.40. This appeal followed.
II
DISCUSSION
A.
We first must determine whether Mr. Snyder has waived his right to appeal. Mr. Nolen submits that, because Mr. Snyder failed to timely object to the magistrate judge‘s report, he has waived his right to appeal all factual and legal issues to this court. Mr. Snyder concedes that he did not object to the magistrate judge‘s report; however, he maintains that the interests of justice require a finding that his right to appeal has not been waived.
In Thomas v. Arn, 474 U.S. 140, 155 (1985), the Supreme Court held that, consistent with the requirements of due process, “a court of appeals may adopt a rule conditioning appeal, when taken from a district court judgment that adopts a magistrate‘s recommendation, upon the filing of objections with the district court identifying those issues on which further review is desired” so long as the rule provides “clear notice to the litigants and an opportunity to seek an extension of time for filing objections.” In so holding, the Court further provided that “because [this] rule is a nonjurisdictional waiver provision, the Court of Appeals may excuse the default in the interests of justice.” Id. In Video Views, Inc. v. Studio 21, Ltd., 797 F.2d 538, 539 (7th Cir. 1986), this circuit adopted such a rule, concluding that “failure to file objections with the district judge waives the right to appeal all issues, both factual and legal.” However, we also recognized that “under certain circumstances the failure to file objections may be excused because the rule is not jurisdictional and should not be employed to defeat the ends of justice.” Id. at 540 (internal quotation marks and citations omitted).
Mr. Snyder was a pro se litigant throughout the proceedings in the district court. As a general proposition, pro se litigants are subject to the same waiver rules as litigants
We cannot accept Mr. Nolen‘s contention that waiver should be applied in this case because Mr. Snyder‘s failure to receive the magistrate‘s report was due to his own fault in failing to notify the court clerk of his change of address. The record simply will not support such a finding of fault on the part of Mr. Snyder. As a general principle, because “[t]he parties are far better situated to know of any errors in their address information,” litigants, including prisoners, “bear the burden of filing notice of a change of address in such a way that will bring the attention of the court to the address change.” Theede v. United States Dep‘t of Labor, 172 F.3d 1262, 1267 (10th Cir. 1999). Here, we deal with a temporary absence from a continuing address. Mr. Snyder has set forth the steps that he took to ensure that he received his mail during his absence on a temporary writ from the institution to which he was regularly assigned. Notably, the record contains no indication that Mr. Snyder in any way departed from the prison‘s normal course of procedure.4 Accordingly, we decline to hold that Mr. Snyder
B.
We next must determine whether, given the specific allegations of the complaint, Mr. Nolen may claim absolute quasi-judicial immunity.
Following the holdings of the Supreme Court of the United States,5 we have recognized “the fundamental
The Supreme Court has instructed that a functional approach should be taken in determining whether an individual is entitled to absolute immunity. See Forrester, 484 U.S. at 219, 224; Cleavinger v. Saxner, 474 U.S. 193, 201 (1985). Whether absolute immunity ought to be afforded is dependent upon the nature of the functions performed by the officer in question and “the effect that exposure to particular forms of liability would likely have on the appropriate exercise of those functions.” Forrester, 484 U.S. at 224. “[T]he cloak of immunity is designed to prevent a situation in which decision-makers act with an excess of caution or otherwise . . . skew their decisions in ways that result in less than full fidelity to the objective and independent criteria that ought to guide their conduct out of a fear of litigation or personal monetary liability.” Tobin for Governor v. Illinois State Bd. of Elections, 268 F.3d 517, 522 (7th Cir. 2001) (internal quotation marks and citations omitted).
These policy concerns have required that, in some instances, “[t]he absolute immunity afforded to judges [be] extended to apply to quasi-judicial conduct of [n]on-judicial officials whose official duties have an integral relationship with the judicial process.” Richman, 270 F.3d at 435 (internal quotation marks and citations omitted); see also In re Castillo, 297 F.3d 940, 947 (9th Cir. 2002) (“Absolute judicial immunity is not reserved solely for judges, but extends to nonjudicial officers for ‘all claims relating to the exercise of judicial functions.’ ” (quoting Burns, 500 U.S. at 499 (Scalia, J., concurring in judgment in part and dissenting in part))).
This immunity has been extended to non-judges in two circumstances. First, it has been applied to “quasi-judicial conduct,” Richman, 270 F.3d at 435, that is, actions of non-judicial officers acting in a judicial capacity. As the Supreme Court has explained, “[w]hen judicial immunity is extended to officials other than judges, it is because their judgments are ‘functional[ly] comparab[le]’ to those of judges—that is, because they, too, ‘exercise a discretionary judgment’ as a part of their function.” Antoine, 508 U.S. at 436 (quoting Imbler v. Pachtman, 424 U.S. 409, 423 n.20 (1976)).6
Absolute judicial immunity also has been extended to the conduct of a second group of individuals. “[W]hen functions that are more administrative in character have been undertaken pursuant to the explicit direction of a judicial officer, we have held that that officer‘s immunity is also available to the subordinate.” Kincaid v. Vail, 969 F.2d 594, 601 (7th Cir. 1992). “The policy justifying an extension of absolute immunity in these circumstances is to prevent court personnel and other officials from becoming a lightning rod for harassing litigation aimed at the court.” Richman, 270 F.3d at 435 (internal quotation marks and citations omitted). In applying this type of quasi-judicial immunity, this court further has distinguished between the court‘s order and the manner in which the order is enforced. See id. at 436. Thus, deputies who allegedly used excessive force in carrying out a judge‘s order to clear the courtroom were not entitled to absolute immunity; the suit challenged the way the officers enforced the order, not the order itself. See id. at 437-39.
Before the recent guidance of the Supreme Court in Antoine, we had occasion to apply these principles to clerks of court on a few occasions. In Lowe v. Letsinger, 772 F.2d 308, 313 (7th Cir. 1985), we noted that “a court clerk enjoys absolute immunity in rare instances where he is performing nonroutine, discretionary acts akin to those performed by judges.” We then determined that absolute immunity did not apply to a clerk‘s involvement in the concealment of the entry of a post-conviction order “because the clerk‘s duty to
We have not had the opportunity to address squarely the issue presently before us—whether a clerk‘s refusal to file a pleading qualifies for absolute immunity in the absence of explicit judicial direction.7 We must therefore decide
With respect to the first category, Mr. Nolen was not acting in a “functionally comparable” way to a judge. At the outset, no one suggests that, under the law of Illinois, the action of Mr. Nolen of extracting from the files of the court a previously filed case and returning it to the litigant without any judicial action having been taken can be characterized as being colorably within his authority as the clerk of a court. Indeed, it appears established that such action is beyond the authority of the clerk.8 More importantly, on this record, we cannot say that a traditional judicial function that involves the exercise of discretion has been delegated to a subordinate court officer. As noted by the Supreme Court, the “touchstone” for applying absolute immunity has been “the function of resolving disputes between parties, or of authoritatively adjudicating private rights.” Antoine, 508 U.S. at 435. Here, Mr. Nolen‘s duty under the law of Illinois to maintain the official record was purely ministerial; he had no authority to resolve disputes between parties or to make substantive determinations on the worth or merits of a filing. In short, Mr. Nolen is charged with having breached his duty to perform the ministerial act of accepting techni-
At least on the record before us, the second category for quasi-judicial immunity is equally inapplicable to the clerk in this case. This second category includes individuals who are acting at the direction of a judicial officer. At this point in the litigation, there is no claim that Mr. Nolen was acting at the direction of any judicial officer in returning Mr. Snyder‘s papers.
Accordingly, we must conclude that, on this record, there is no basis for dismissal of the action on the ground of absolute quasi-judicial immunity.10
C.
We turn next to Mr. Nolen‘s claim that he is entitled on this record to qualified immunity.
Qualified immunity shields government officials from civil liability “for the performance of their discretionary functions when ‘their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known.’ ” Buckley v. Fitzsimmons, 509 U.S. 259, 268 (1993) (quoting Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982)). The central purpose of qualified immunity is to protect public officials ” ‘from undue interference with their duties and from potentially disabling threats of
We first must determine whether the complaint before us states a claim for a deprivation of the federal right of access to the courts. Mr. Snyder alleges that he was deprived of his federal constitutional right of access to the courts under the First Amendment and substantive due process when Mr. Nolen refused to file Mr. Snyder‘s petition for a dissolution of marriage and for a temporary restraining order against his wife.
Mr. Nolen first maintains that Mr. Snyder was not deprived of a constitutional right because a prisoner‘s right of access to the courts is limited to actions challenging his conviction, sentence or conditions of confinement. The members of the panel agree that Mr. Nolen‘s argument misconstrues the relevant Supreme Court precedent. In one line of cases, the Supreme Court has held that the fundamental right of access to the courts requires prison authorities to provide prisoners with the tools necessary “to attack their
The right of access to the courts is the right of an individual, whether free or incarcerated, to obtain access to the courts without undue interference. The right of individuals to pursue legal redress for claims that have a reasonable
EASTERBROOK, Circuit Judge
EASTERBROOK, Circuit Judge, concurring in part and concurring in the judgment. I join the Per Curiam opinion. That joint opinion leaves off at the question whether a clerk’s failure to file a complaint violates the due process clause by denying the plaintiff “access” to the courts. Nolen
What Nolen did has parallels in many courts’ practice. The Clerk of the Supreme Court returns, without filing, petitions that he believes to be untimely or procedurally deficient, see
A forum that offers an opportunity to be heard before a decision becomes final provides due process of law. Litigants disappointed by the acts of a court’s administrative staff have that opportunity. The Supreme Court entertains motions to direct its Clerk to file documents. See
My point is not that the opportunity to litigate in state court is the process “due” for a completed wrong, à la Parratt v. Taylor, 451 U.S. 527 (1981), and Hudson v. Palmer, 468 U.S. 517 (1984). That would pose the question whether, after Christopher v. Harbury, 536 U.S. 403 (2002), and Lewis v. Casey, 518 U.S. 343 (1996), access to the courts is a procedural entitlement, to which Parratt and its successors apply, or a substantive entitlement, to which they do not. Instead my point is that opportunities to correct mistakes before a suit reaches its conclusion means that there is no constitutional problem in the first place. To see this consider an example. The clerk must notify the parties immediately on entering judgment, as the time to appeal starts with entry. Sometimes, however, a clerk neglects that duty. It was established doctrine for many years that litigants (and their lawyers) are responsible for checking the docket to see whether a decision has been made, and that they can’t take a late appeal if the clerk errs. Today
Suppose that Nolen had accepted Snyder’s pleading and that the judge had immediately dismissed it for failure to state a claim, with the notation “[b]ecause there is a child involved in this case, you must go thru [sic] an attorney for a divorce.” (This is the same language Nolen used.) Suppose further that Snyder had not asked for reconsideration—or had appealed but not asked for expedition, and that his spouse had squandered the assets before the appellate court reversed. Would we say “Snyder suffered a denial of his constitutional right of access to the courts, but judicial immunity blocks relief“? I do not think so. We would say that the opportunity to protest the initial misstep is the access to the courts that the Constitution guarantees. Access neither implies nor ensures an error-free process. Here the clerk rather than the judge made the notation, but the case was just beginning; Snyder had many options. Electing to let the blunder stand without protest does not bootstrap a mistake into a constitutional violation. The State of Illinois did not deprive Snyder of “access” to its courts; rather, it made an error in handling his suit. Errors in the course of litigation may justify motions and appeals; they do not support damages litigation under the federal Constitution.
KANNE, Circuit Judge
KANNE, Circuit Judge, concurring in part and concurring in the judgment. I join the Per Curiam opinion. However, I do agree with my colleague, Judge Ripple, that Christopher
Where Judge Ripple and I part company is in the application of the third prong of the Christopher test for determining whether Mr. Snyder’s second amended complaint states a right-to-access claim (see id. at section I. B. 3. b.). As Judge Ripple cogently explains, that third element requires Mr. Snyder to request a remedy awarded as recompense for the denial of access to the courts (and, hence, the frustration of his underlying claim), but that remedy must not otherwise be available through other litigation. Christopher, 536 U.S. at 415. Unlike Judge Ripple, I do not believe Mr. Snyder has met this threshold based on the facts of this case—facts that in salient respects mirror those of the unsuccessful plaintiff in Christopher.
Mr. Snyder sought, as relief in his underlying claim against his then-wife, a temporary restraining order preventing her from dissipating his assets allegedly covered by a valid prenuptial agreement. This form of relief—which seeks, at a specific moment in time, to stop the defendant’s adverse behavior—is similar to the injunction sought by the plaintiff in Christopher. There, the plaintiff claimed that the relief she would have sought in the underlying action against the government, had she not been frustrated by its deceptive and misleading statements, was an injunction preventing her husband’s murder. Id. at 419.
It is true that she cannot obtain in any present tort action the order she would have sought before her husband’s death, the order that might have saved her husband’s life. But neither can she obtain any such order on her access claim, which therefore cannot recompense [her] for the unique loss she claims as a consequence of her inability to bring an [ ] action earlier.
Id. at 421-22. Because that time-sensitive opportunity was lost forever, all that remained to compensate the plaintiff for the alleged denial of access to the courts was primarily money damages. That, the Court determined, was available through other causes of action already pending against the government, thus eliminating any basis for a separate right-to-access claim. Id. at 422.
Like the plaintiff in Christopher, Mr. Snyder claims he has lost the time-sensitive opportunity to prevent his former wife from dissipating his assets. That moment being gone, what he attempts to recover in his right-to-access suit is money damages equal to his lost property. Yet, the relief he now seeks on his federal constitutional access claim was obtainable in state court through other non-constitutional claims against his former wife, such as a suit for breach of the prenuptial agreement. Under such circumstances, where more than one avenue remained open for the recovery of monetary damages at the time of the filing of the constitutional access claim, Mr. Snyder was, ipso facto, not deprived of his constitutional right of access to the courts.
Although this case was disposed of in the district court on other grounds, the dismissal of Mr. Snyder’s second
RIPPLE, Circuit Judge
RIPPLE, Circuit Judge, dissenting. Because I believe that Mr. Snyder’s complaint states a claim for a constitutional violation of his right to access to the courts and that Mr. Nolen is not entitled to qualified immunity on that claim, I respectfully dissent.
I
A.
Recent Supreme Court guidance, not available to my colleague in the district court at the time of his decision, sets forth criteria that a court must consider in determining whether a plaintiff has set forth a viable claim of right to access to the courts. Specifically, in Christopher v. Harbury, 536 U.S. 403 (2002), the Supreme Court had occasion to delineate with more precision than in its earlier cases the requirements for stating a viable cause of action for deprivation of the right of access to the courts. In Christopher, the widow of a murdered Guatemalan citizen brought a Bivens action in which she alleged, among other things, that certain federal officials had concealed and covered up information regarding her husband’s kidnaping, torture and death. She further alleged that this concealment had denied her the right of access to the courts. The complaint, brought after the husband’s death, alleged that the official deception had denied the plaintiff access to the courts “by leaving her
Noting that its decisions have grounded the right of access to the courts in the
In either case, “the very point of recognizing any access claim is to provide some effective vindication for a separate and distinct right to seek judicial relief for some wrong.” Id. at 414-15. The Court made clear that, in all cases, the constitutional right of access to the courts “is ancillary to the underlying claim, without which a plaintiff cannot have suffered injury by being shut out of court,” and thus, “the underlying cause of action, whether anticipated or lost, is an element that must be described in the complaint, just as much as allegations must describe the official acts frustrating the litigation.” Id. at 415. The Court also made clear that, when the access claim looks backward to a lost litigation opportunity, “the complaint must identify a remedy that may be awarded as recompense but not otherwise available in some suit that may yet be brought.” Id. The Court reasoned that there is “no point in spending time and money to establish the facts constituting denial of access when a plaintiff would end up just as well off after litigating a simpler case without the denial-of-access element.” Id.
Applying these standards to the facts in Christopher, the Court determined that the plaintiff’s complaint “did not come even close to stating a constitutional claim for denial of access upon which relief could be granted.” Id. at 418. First, “the complaint failed to identify the underlying cause of action that the alleged deception had compromised, going no further than the protean allegation that the State Department and NSC defendants’ ‘false and deceptive information and concealment foreclosed Plaintiff from effectively seeking adequate legal redress.’ ” Id. The complaint left the court and the defendants “to guess at the unstated cause of action supposed to have been lost, and at the rem-
In sum, in order to state a claim for backward-looking denial of access under Christopher, a party must identify in the complaint: (1) a nonfrivolous, underlying claim, (2) the official acts frustrating the litigation, and (3) a remedy that may be awarded as recompense but that is not otherwise available in a future suit. See id. at 415; see also Neaves v. City of San Diego, No. 02-55512, 2003 WL 21500201, at *1 (9th Cir. June 27, 2003).
B.
1. Underlying claim
With these principles in mind, I turn to the facts of the case at hand. In Christopher, the Court made clear that, in a backward-looking access case such as this one, the complaint must state the underlying claim in accordance with the requirements of
Upon examination of the complaint, I believe that Mr. Snyder has met this requirement of Christopher. In his second amended complaint, Mr. Snyder alleged that he had attempted to file a petition for dissolution of marriage and a temporary restraining order to prevent his wife “from illegally dissipating his assets, all being covered by a fully executed prenuptial agreement.” R.22. Mr. Snyder further alleged that he “had attached the proper filing fee” and that “there was no constitutionally permissible reason for defendant Nolen to refuse to file plaintiff’s case.” Id. Furthermore, Mr. Snyder attached to his second amended complaint the pleadings that he had attempted to file in the state court. In these documents, Mr. Snyder alleged that his wife was “guilty of extreme and repeated mental cruelty in that she refuses to speak or correspond with [him], and had refused to send money to [him] despite his $350/month mortgage payments,” that his wife was “in sole possession of all the property to which [he] claim[ed] as his pursuant
2. Official acts
The second requirement articulated in Christopher is also met in the present case. Mr. Snyder’s complaint clearly alleges the official acts that frustrated the underlying litigation. Specifically, the complaint alleges that Mr. Nolen removed Mr. Snyder’s pleadings from the court’s docket and returned them to Mr. Snyder with a note attached that stated that “[b]ecause there is a child involved in this case, you must go thru [sic] an attorney for a divorce.” R.22. The complaint further alleges that “[t]here existed no written nor official policy that a similarly situated person as the plaintiff had to have an attorney to file a dissolution action when a child was involved,” and that Mr. Nolen had removed Mr. Snyder’s pleadings from the court’s docket
3. Remedy available
Finally, Christopher requires that we consider whether Mr. Snyder’s complaint identifies, at the level of specificity required by
This requirement of Christopher requires that a court ascertain whether the plaintiff can maintain any other action against the defendant who caused the deprivation alleged in the underlying cause of action. If such a cause of action exists and if the plaintiff can bring such a cause of action to achieve the remedy sought in the underlying cause of action, there is no remedy unique to a right-of-access claim. In Christopher, for example, the plaintiff was unable to describe any relief that she could get through the maintenance of a right-of-access claim that she could not get from her still viable causes of action against the original defendants. Here, Mr. Snyder must demonstrate that he can obtain a remedy in this denial-of-access claim that he could not receive through the maintenance of another cause of action against his former wife.
a. Distinction between Christopher and Parratt v. Taylor
This requirement, although superficially similar to the paradigm employed in the procedural due process context, see Parratt v. Taylor, 451 U.S. 527 (1981); Easter House v. Felder, 910 F.2d 1387 (7th Cir. 1990) (en banc), is analytically quite distinct. Indeed, the Court in Christopher understandably makes no allusion to these due process cases.
This distinction is quite compatible with the well-established case law before Christopher, a jurisprudence that the Supreme Court quite appropriately left undisturbed in Christopher. Specifically noting that it had surveyed the jurisprudence of the lower courts dealing with the right of access to the courts, see Christopher, 536 U.S. at 413, the Justices left undisturbed the significant body of circuit case law that had held that the paradigm of Parratt is not applicable to actions alleging a denial of the right of access to courts.2
This reading of Christopher is also consistent with the Supreme Court’s overall approach in Christopher. In Christopher, the plaintiff had several claims pending against the defendants for direct harm (including intentional infliction of emotional distress) in addition to her denial-of-access claim. The plaintiff’s denial-of-access claim was not premised on the loss of an opportunity to sue, but rather, on “the loss of an opportunity to seek some particular order of relief.” Id. at 414. Although the plaintiff could not “obtain in any present tort action the order she would have sought before her husband’s death, the order that might have saved her husband’s life,” neither could she “obtain any such order on her access claim.” Id. at 421. Thus, any relief the plaintiff could obtain on her access claim, she also could obtain on the counts for direct harm currently pending against the defendants in the district court.
b. Remedy available to Mr. Snyder
I believe that Mr. Snyder, acting pro se, and without the guidance of Christopher, which was rendered long after the district court ruled, has met, albeit minimally, the requirement that he show that the remedy he seeks in this denial-of-access case is not available to him in a lawsuit against his former wife. In this respect it must be recalled that, in his initial complaint in state court, Mr. Snyder sought immediate injunctive relief against his then-wife on the ground that she was in sole possession of his assets, had a power of attorney and, unless stopped by a judicial order, would dissipate those assets. Despite the laconic nature of his pro se complaint, Mr. Snyder did state in his brief in
C.
1. Causation requirement
Having explored the requirements of Christopher, there remains one more issue that we must confront with respect to the adequacy of the allegation of a denial of access to the courts. As we have noted earlier, the case law requires that a plaintiff establish that he actually was injured by the activity that constituted the denial of access. Here, Mr. Snyder will have to demonstrate at some point in the litigation that the alleged harm was caused by the alleged action of Mr. Nolen rather than as a result of his own failure to seek immediate redress from Mr. Nolen’s decision through a petition for writ of mandamus to the state trial court. Our case law makes clear that the imposition of an exhaustion requirement on a fundamental right such as the constitutional right of access to the courts is not permissible. See Kauth v. Hartford Ins. Co. of Illinois, 852 F.2d 951, 958 (7th Cir. 1988) (“[I]f substantive constitutional rights are violated, the constitutionally recognized deprivation is complete at the time of the action, irrespective of the procedures available before or after the deprivation.” (internal quotations omitted)). Nevertheless, the Supreme
In Lewis, the Supreme Court held that an inmate claiming denial of access to the courts “cannot establish relevant actual injury simply by establishing that his prison’s law library or legal assistance program is subpar in some theoretical sense.” Id. at 351. Instead, the inmate “must go one step further and demonstrate that the alleged shortcomings in the library or legal assistance program hindered his efforts to pursue a legal claim.” Id. Expounding upon the type of injury that would satisfy this requirement, the Court stated: “He might show, for example, that a complaint he prepared was dismissed for failure to satisfy some technical requirement which, because of deficiencies in the prison’s legal assistance facilities, he could not have known. Or that he had suffered arguably actionable harm that he wished to bring before the courts, but was so stymied by inadequacies of the law library that he was unable even to file a complaint.” Id.
Following Lewis, this court stated in Tarpley v. Allen County, 312 F.3d 895, 899 (7th Cir. 2002), that no violation of the right of access to the courts occurs “in the absence of actual injury, by which [the Supreme Court] means the hindrance of efforts to pursue a nonfrivolous legal claim.” Applying this standard, the court went on to hold that “[w]hile the jail’s lack of resources might have posed a theoretical problem, . . . without evidence that the defendants prevented him from pursuing a nonfrivolous legal action, he cannot show that his constitutional right was violated.” Id. Similarly, in May v. Sheahan, 226 F.3d 876, 883 (7th Cir. 2000), we stated that, in order to prove a violation of the right of access to the courts, “a plaintiff must demonstrate that state action hindered his or her efforts to
2. Application
Mr. Nolen’s alleged act of removing Mr. Snyder’s pleadings from the court’s docket clearly hindered Mr. Snyder’s efforts to pursue a nonfrivolous legal claim. It is not clear, however, that Mr. Nolen’s act was sufficient to cause Mr. Snyder “actual injury.” Illinois provides its litigants with a specific remedy through a writ of mandamus to address situations such as the one that Mr. Snyder allegedly faced when Mr. Nolen withdrew his papers without the court’s permission. See
II
Because I believe that at least at the pleading stage, the operative version of the complaint states adequately the deprivation of the federal constitutional right of access to the courts, I also would reach the question of qualified immunity—whether the law was sufficiently clear, at a meaningful level of generality, that the alleged actions of Mr. Nolen amounted to a deprivation of Mr. Snyder’s right of access to the courts. As of 1996, it was clearly established by Supreme Court precedent that the
Conclusion
For these reasons, I would reverse the judgment of the district court and remand the case to the district court for further proceedings.
Teste:
________________________________
Clerk of the United States Court of Appeals for the Seventh Circuit
USCA-02-C-0072—8-13-04
Notes
The standard for a “right-of-access-to-the-courts” claim, whether treated under the First Amendment as part of the right “to petition the government for a redress of grievances” or as a procedural due process claim, should require that the plaintiff allege and prove that the state’s judicial process does not provide fair procedures to remedy the wrong alleged. Proof of the lack of adequate state remedies is required by Hudson v. Palmer, 468 U.S. 517 (1984), and Vicory v. Walton, 721 F.2d 1062 (6th Cir. 1983), in procedural due process cases and should be required in judicial access cases. It seems elementary that the federal right of access to the courts is not abridged when the state courts remain just as open to provide a remedy as the federal courts.
Id. at 1265 (Merritt, J., concurring).
Id. at 436-37.The function performed by court reporters is not in this category. . . . [C]ourt reporters are required by statute to “recor[d] verbatim” court proceedings in their entirety.
28 U.S.C. § 753(b) . They are afforded no discretion in the carrying out of this duty; they are to record, as accurately as possible, what transpires in court. . . . In short, court reporters do not exercise the kind of judgment that is protected by the doctrine of judicial immunity.
(a) Legibility. All papers and copies thereof for filing and service shall be legibly written, typewritten, printed, or otherwise duplicated. The clerk shall not file any which do not conform to this rule.
(b) Titles. All papers shall be entitled in the court and cause, and the plaintiff‘s name shall be placed first.
(c) Multiple Parties. In cases in which there are two or more plaintiffs or two or more defendants, it is sufficient in entitling papers, except a summons, to name the first named plaintiff and the first-named defendant with the usual indication of other parties, provided there be added the official number of the cause.
(d) Name, Address and Telephone Number of Responsible Attorney or Attorneys. All papers filed in any cause or served upon the opposite party shall bear the name and business address and telephone number, if any, of the responsible attorney or attorneys and the law firm filing the same, or of the party who appears in his own proper person. If service by facsimile transmission is permitted and the responsible attorney or attorneys or the party who appears in his own proper person will accept service by facsimile transmission, then the paper shall also bear the statement “Service by facsimile transmission will be accepted at [facsimile telephone number].”
