Lead Opinion
In this case, we consider the tort liability of law enforcement agents when their criminal investigation went awry. Defendants Thomas and Deaver are or were at the time of the events in question agents of the State Bureau of Investigation (SBI) who participated in the investigation and prosecution of plaintiff for the murder of his wife. The remaining defendants are or were SBI policymakers responsible for supervising SBI agents, including Thomas and Deaver. After plaintiff was acquitted on grounds of self-defense, he filed a civil complaint against defendants alleging numerous claims, including malicious prosecution and
On 12 September 2007, Kirk Alan Turner (plaintiff) and his friend Gregory Adam Smithson (Smithson) met at plaintiff’s marital residence so Smithson could retrieve some property stored there. While at the home, plaintiff discussed personal matters with his wife Jennifer. During the conversation, Jennifer attacked plaintiff with a large spear, stabbing him multiple times in the thigh and groin area. In reaction, plaintiff pulled a pocketknife from his right front pocket and cut Jennifer twice in the neck, inflicting fatal injuries.
Smithson called 911 and performed CPR on Jennifer until emergency personnel arrived. The Davie County Sheriff’s Office responded to the call and requested the assistance of the SBI. SBI Special Agent E.R. Wall arrived and notified SBI Assistant Special Agent in Charge K.A. Cline that a blood spatter expert would be needed to analyze the scene. Several hours later, Agent Wall called Agent Cline again to suggest that a blood spatter expert might not be heeded after all because closer examination indicated that the blood spatter most likely was caused by arterial spurting from Jennifer’s throat wound.
Two days later, Special Agent Gerald R. Thomas (defendant Thomas) arrived at plaintiff’s home to conduct a blood spatter analysis of the scene. Later that day, he conducted a bloodstain analysis of various articles of clothing collected during the course of the investigation, including a gray T-shirt worn by plaintiff during the incident. Before beginning his examinations, defendant Thomas was informed by SBI Special Agent D.J. Smith that Jennifer apparently stabbed plaintiff with a spear and, in response, plaintiff cut her throat with a pocketknife. Defendant Thomas completed his examinations that same day and about two weeks later presented a written report documenting his findings. The report stated that a large bloodstain on plaintiff’s gray T-shirt “was consistent with a transfer bloodstain pattern” resulting from a bloody hand being wiped
On 13 December 2007, plaintiff was indicted for the first-degree murder of Jennifer. He was initially denied bond and detained for one month before being released on a bond of one million dollars. Plaintiff had to borrow money from family and friends to post his bond and retain defense counsel.
The following allegations are taken from plaintiff’s complaint. After plaintiff was indicted, defendant Thomas met on 15 Januaiy 2008 with SBI Special Agent Duane Deaver (defendant Deaver); Captain Jerry Hartman, lead investigator for the Davie County Sheriff’s Office; a lawyer from the district attorney’s office; and another individual identified in the pleadings only as “Mr. Marks” to discuss both the feasibility of plaintiff’s version of the events and their own theory of the case. Dining this meeting, defendants Thomas and Deaver and their colleagues theorized that plaintiff killed Jennifer for the purpose of carrying out a scheme to avoid a divorce and subsequent equitable distribution proceeding. They additionally theorized that plaintiff stabbed himself with the spear and staged the scene to make the killing look like self-defense.
Plaintiff further alleged that, to prove their theory, defendants Thomas and Deaver needed to show that the bloodstain on plaintiff’s T-shirt was not a mirror image stain from plaintiff’s hand but was instead a transfer pattern consistent with plaintiff having wiped a knife on the shirt. With the alleged approval of defendant Pendergraft, their supervisor, defendants Thomas and Deaver conducted tests for the purpose of “shor[ing] up” this new theory. Defendant Thomas again took samples from various evidentiary items for a second examination but failed properly to label his work in such a way that someone reviewing the evidence would be able to determine the source of each sample. Defendant Thomas also failed to make any record of the new theory. Defendants Thomas and Deaver videotaped their numerous attempts to duplicate with a knife the blood smear on the plaintiff’s T-shirt. After a success, defendant Deaver can be heard on the video saying: “Oh, even better! Holy cow, that was a good one!” and “Beautiful! That’s a wrap, baby!”
Plaintiff further alleged that, following the knife smear test and a second review of the evidence, defendant Thomas created a second written report that altered his initial report by replacing the words “consistent with a bloody hand being wiped on the shirt” with “consistent with a pointed object being wiped on the shirt.” This second report purported to convey results of the “examination of clothing for bloodstain
In his report, defendant Thomas stated that Captain Hartman told him “he was present when emergency services cut the gray T-shirt from Mr. Turner’s body and that the question [sic] blood stain was observed present in its current condition on the shirt.” The report further stated that “Hartman said that he took the shirt from Emergency Medical Services and placed it in a secure area [an adjacent room], laying flat on the floor to dry.”
At plaintiff’s trial for Jennifer’s murder, defendant Thomas gave testimony about plaintiff’s T-shirt that was consistent with his report. However, Captain Hartman testified that he did not arrive at the crime scene until two hours after plaintiff was taken to the hospital and that he was not present when plaintiff’s T-shirt was removed, contradicting defendant Thomas’s account. In addition, crime scene photographs showed plaintiff’s T-shirt “crumpled on the floor, inside out.” Plaintiff’s defense expert Stuart James disagreed with defendants’ bloodstain analysis, giving opinion testimony that the bloodstain was most likely a “mirror stain” created either when the shirt was folded as emergency medical service technicians cut off the shirt or when they tossed it onto the floor. On 21 August 2009, the jury found plaintiff not guilty of the first-degree murder of his wife, by reason of self-defense.
On 14 November 2011, plaintiff filed his original complaint in Superior Court, Forsyth County. On 4 April 2012, plaintiff voluntarily dismissed that complaint and immediately refiled a complaint making the same substantive allegations against the same defendants. In addition to defendants Thomas and Deaver, plaintiff named former SBI Director Robin Pendergraft and SBI supervisors John and Jane Doe as defendants in their individual and official capacities. Plaintiff’s complaint alleged four causes of action against defendants Thomas and Deaver in their individual capacities: (1) intentional infliction of emotional distress, (2) abuse of process, (3) malicious prosecution, and
In response, all defendants filed motions to dismiss all charges. At a hearing on the motions, plaintiff conceded that dismissal was appropriate for the section 1983 claims against all defendants in their official capacities, for the negligence claims, and for all claims against supervisors John and Jane Doe. On 11 April 2013, the trial court granted defendants’ motions to dismiss plaintiffs remaining claims pursuant to Rules 12(b)(1) and 12(b)(6) of the North Carolina Rules of Civil Procedure.
Plaintiff appealed to the Court of Appeals, which affirmed the trial court’s dismissal of all claims against defendants Pendergraft and John and Jane Doe. Turner v. Thomas, 235 N.C. App. 520, 524, 762 S.E.2d 252, 257-58 (2014). In addition, that court affirmed the trial court’s dismissal of all claims against defendants Thomas and Deaver except for the claims for malicious prosecution, id. at 530, 762 S.E.2d at 261, and intentional infliction of emotional distress, id. at 537, 762 S.E.2d at 265. The Court of Appeals held that the trial court erred in dismissing these two claims, concluding plaintiff had alleged sufficient elements of both torts to survive a motion to dismiss. Id. at 540, 762 S.E.2d at 267. On 22 January 2015, we allowed petitions for discretionary review filed by defendants Thomas and Deaver (hereinafter, defendants).
In determining whether the trial court properly dismissed plaintiff’s claims against defendants for malicious prosecution and intentional infliction of emotional distress, we consider “whether, as a matter of law, the allegations of the complaint, treated as true, are sufficient to state a claim upon which relief may be granted.” Newberne v. Dep’t of Crime Control & Pub. Safety, 359 N.C. 782, 784, 618 S.E.2d 201, 203 (2005) (quoting Meyer v. Walls, 347 N.C. 97, 111, 489 S.E.2d 880, 888 (1997)). “This Court treats factual allegations in a complaint as true when reviewing a dismissal under Rule 12(b)(6).” Fussell v. N.C. Farm Bureau Mut. Ins. Co., 364 N.C. 222, 225, 695 S.E.2d 437, 440 (2010)
To establish malicious prosecution, a plaintiff must show that the defendant (1) initiated or participated in the earlier proceeding, (2) did so maliciously, (3) without probable cause, and (4) the earlier proceeding ended in favor of the plaintiff. N.C. Farm Bureau Mut. Ins. Co. v. Cully’s Motorcross Park, Inc., 366 N.C. 505, 512, 742 S.E.2d 781, 786 (2013) (citations omitted). Defendants contend that the Court of Appeals correctly identified the elements of a malicious prosecution claim but erred in concluding that plaintiffs complaint sufficiently alleged that probable cause was lacking to pursue a first-degree murder case against him. Defendants do not challenge the sufficiency of the evidence as to the other elements of malicious prosecution. Accordingly, we begin by considering plaintiff’s allegations that defendants did not have probable cause to initiate criminal proceedings against plaintiff.
“Where the claim is one for malicious prosecution, ‘[p]robable cause . . . has been properly defined as the existence of such facts and circumstances, known to [the defendant] at the time, as would induce a reasonable man to commence a prosecution.’ ” Best v. Duke Univ., 337 N.C. 742, 750, 448 S.E.2d 506, 510 (1994) (alterations in original) (emphasis added) (quoting Cook v. Lanier, 267 N.C. 166, 170, 147 S.E.2d 910, 914 (1966)). We have consistently held that whether or not probable cause exists is determined at the time prosecution begins. Williams v. Boylan-Pearce, Inc., 69 N.C. App. 315, 318-19, 317 S.E.2d 17, 19 (1984), aff’d per curiam, 313 N.C. 321, 327 S.E.2d 870 (1985); see also Cook, 267 N.C. at 170, 147 S.E.2d at 914 (“In order to give a cause of action for malicious prosecution, such prosecution must have been maliciously instituted.” (citing Wingate v. Causey, 196 N.C. 71, 144 S.E. 530 (1928)); Taylor v. Hodge, 229 N.C. 558, 560, 50 S.E. 307, 309 (1948) (establishing that malicious prosecution claims hinge on whether a defendant “laid the charge” regardless of facts that should have convinced him of plaintiff’s innocence); Morgan v. Stewart, 144 N.C. 424, 430, 57 S.E. 149, 151 (1907) (“Probable cause, in cases of this kind, has been properly defined as the existence of such facts and circumstances, known to him at the time, as would induce a reasonable man to commence a prosecution.” (citation omitted)). The subsequent acquittal of a defendant does not, as a matter of law, automatically negate the existence of probable cause at the time prosecution was commenced. Bell v. Pearcy, 33 N.C. (11 Ired.) 233, 234 (1850).
The grand jury indicted plaintiff for first-degree murder on 13 December 2007. Plaintiff argues correctly that a grand jury’s action
That evidence indicated that plaintiff inflicted two lethal slashes to his wife’s neck, resulting in her death. This evidence was supported by defendants’ original forensic report, which stated that the bloodstain on plaintiff’s T-shirt was consistent with a bloody hand being wiped on the shirt. Based on this and other evidence, the grand jury returned an indictment for first-degree murder. This independent determination by the grand jury established prima facie the existence of probable cause. See Stanford, 143 N.C. at 426, 55 S.E. at 817. Although plaintiff was subsequently acquitted on the basis of self-defense, that defense was presented at trial and does not necessarily negate the existence of probable cause at the time the case was brought to the grand jury. Plaintiff’s complaint alleges that defendants failed to investigate the incident properly and generated incorrect and inaccurate information for presentation to the grand jury. However, the critical actions complained of took place after the indictment was returned. Based on the facts known to the investigators at the time of the grand jury proceedings, we are satisfied
The concurring opinions argue that this Court should recognize that a malicious prosecution case can arise after a magistrate or grand jury finds probable cause if that probable cause later evaporates but the prosecution nevertheless continues in bad faith (the “continuation theory”). We need not address that theory here for, assuming arguendo that this Court would adopt it under the proper circumstances, it is not before us now. Plaintiff’s complaint is not that the original probable cause dissipated. Instead, the gravamen of plaintiffs argument is that probable cause never existed and that defendants’ investigation following indictment was corrupt and shoddy. However, we have determined that the grand jury correctly found probable cause, and nothing in the subsequent investigation revealed facts that disproved that probable cause. As a result, we are not faced with facts that invoke the continuation theory.
Therefore, the trial court properly concluded that plaintiff’s malicious prosecution claim against defendants should be dismissed under Rule 12(b)(6) because plaintiff failed to state a claim upon which relief may be granted. We reverse the holding of the Court of Appeals to the contrary.
We next address plaintiff’s claim of intentional infliction of emotional distress. Elements of this tort are “(1) extreme and outrageous conduct [by the defendant], (2) which is intended to cause and does cause (3) severe emotional distress to another.” Dickens v. Puryear, 302 N.C. 437, 452, 276 S.E.2d 325, 335 (1981). The tort also may be established when a “defendant’s actions indicate a reckless indifference to the likelihood that they will cause severe emotional distress.” Id. at 452, 276 S.E.2d at 335. Conduct constituting this cause of action may be found in “an abuse by the actor of a position... which gives him... power to affect” the interests of another. Restatement (Second) of Torts § 46 cmt. e (Am. Law Inst. 1965). We have held that extreme and outrageous conduct is that which “exceeds all bounds of decency tolerated by society.” West v. King’s Dep’t Store, Inc., 321 N.C. 698, 704, 365 S.E.2d 621, 625 (1988) (citing Stanback v. Stanback, 297 N.C. 181, 254 S.E.2d 611 (1979), abrogated in part by Dickens, 302 N.C. 437, 276 S.E.2d 325), and is “regarded as atrocious, and utterly intolerable in a civilized community,” Briggs v. Rosenthal, 73 N.C. App. 672, 677, 327 S.E.2d 308, 311 (1985). Our state has set a “high threshold” to satisfy this element. Dobson v. Harris, 134 N.C. App. 573, 578, 521 S.E.2d 710, 715 (1999), rev’d on other grounds, 352 N.C. 77, 530 S.E.2d 829 (2000). Foreseeability of injury, while not an
We begin by considering the first element of the tort, whether defendants’ conduct as alleged was extreme and outrageous. According to plaintiff, defendants concocted a motive for plaintiff to murder his wife and a theory to explain how that murder was carried out. Defendants then made a calculated decision to conduct and repeat experiments until they achieved a bloodstain pattern that supported their theory. When they achieved results they deemed satisfactory, defendant Thomas then rewrote the conclusion of his earlier blood spatter and bloodstain report without stating that he was presenting a new or amended version of the original report. To the contrary, defendant Thomas’s report indicated the conclusion reached resulted from the original analysis of the evidence conducted on 14 September 2007.
Plaintiff’s allegations do not portray agents vigorously pursuing an investigation with a determination to find the truth, a practice law-abiding citizens not only endorse but expect. Instead, plaintiff’s allegations paint a picture of law enforcement officials deliberately abusing their authority as public officials to manipulate evidence and distort a case for the purpose of reaching a foreordained conclusion of guilt. We do not doubt that plaintiff’s complaint alleged extreme and outrageous conduct by these defendants sufficient to withstand a Rule 12(b)(6) motion to dismiss.
As to the second element of the tort, plaintiff alleged that defendants acted with intent to inflict emotional distress. While standing trial for first-degree murder is unquestionably stressful for anyone, plaintiff’s complaint does not allege that defendants were merely negligent or that their investigation was inadequate. Instead, the complaint alleges sinister motives and conduct by defendants specifically aimed toward the improper purpose of wrongfully convicting plaintiff of murder. See Needham v. Price, _ N.C. _, 780 S.E.2d 549, 551 (2015) (holding that the “defendant’s conduct did not rise to the level of willful and malicious conduct” in the context of parent-child immunity because the evidence did not show the defendant’s “conduct was directed towards the [injured children]”). Specifically, the complaint, which we read in the light most favorable to plaintiff, alleges that defendants “wantonly and maliciously conducted unscientific tests to ‘shore up’ ” their theory of the case, “wantonly failed to label [their] work properly,” altered and manipulated evidence, and acted “to maintain the appearance of probable cause where none existed and to obtain a first-degree murder conviction of
Finally, we consider whether plaintiff has sufficiently alleged that he suffered severe emotional distress. The complaint states, among other things, that severe emotional distress manifested itself “in diagnosable form... including, inter alia: a. Depression; b. Anxiety; c. Loss of sleep; d. Loss of appetite; e. Lack of concentration; f. Difficulty remembering things; g. Feeling alienated from loved ones; h. Shame; and i. Loss of respect with the community and co-workers.” Plaintiff further alleged that defendants’ conduct caused him damages “in excess of $10,000.00.” We find that these are sufficient allegations of severe emotional distress.
Taking all of plaintiff’s allegations in the light most favorable to him, as we must at the pleading stage, we hold plaintiff has alleged elements of intentional infliction of emotional distress sufficient to withstand a motion to dismiss made pursuant to Rule 12(b)(6). As this case moves forward to summary judgment or trial, plaintiff will have to prove that his allegations are true, including that defendants’ conduct amounted to more than substandard police work and was, instead, directed at plaintiff for an improper purpose. Accordingly, we affirm the decision of the Court of Appeals holding the trial court erred in dismissing this claim. This case is remanded to the Court of Appeals for further remand to the trial court for additional proceedings consistent with this opinion.
REVERSED IN PART; AFFIRMED IN PART AND REMANDED.
. The complaint does not specify whether defendant Thomas included this information in his initial report or added it following his second examination of the evidence.
. It appears from the record that the citation to Rule 12(b)(1), lack of subject mat- • ter jurisdiction, refers to constitutional claims brought against defendants. None of those constitutional claims are before us now and the parties have made no arguments relating to jurisdiction. Accordingly, we will address the trial court’s Rule 12(b)(6) rulings only.
Concurrence Opinion
concurring, in part, and concurring in the result, in part.
Although I concur in the Court’s decision with respect to plaintiff’s intentional infliction of emotional distress claim and in the Court’s determination that plaintiff has failed to sufficiently state a malicious prosecution claim in his complaint, I am unable to agree with the logic that the Court has employed in upholding the dismissal of plaintiff’s malicious
In determining that plaintiff’s complaint fails to state a malicious prosecution claim, the Court begins by stating that “[w]hether or not probable cause exists is determined at the time prosecution begins.”
The Court’s focus upon the necessity for plaintiff to establish the absence of probable cause at the time that criminal charges were initially lodged against him takes an unduly narrow view of the scope of the malicious prosecution claim that plaintiff has attempted to assert in his complaint. Simply put, the Court reads plaintiff’s malicious prosecution claim as being focused entirely upon the fact that he was indicted for murdering his wife. I do not, however, believe that plaintiff’s claim is limited in the manner described by the Court.
“To make out a case of malicious prosecution [based upon a prior criminal prosecution,] the plaintiff must allege and prove that the defendant instituted, or procured, or participated in, a criminal prosecution against him maliciously, without probable cause, which ended in
Aside from the well-established nature of the “continuation” theory for purposes of North Carolina law, the logic underlying that theory has been consistently recognized by leading encyclopedias and treatises addressing American tort law. See Restatement (Second) of Torts § 655 (Am. Law. Inst. 1977) (stating that “[a] private person who takes an active part in continuing or procuring the continuation of criminal proceedings initiated by himself or by another is subject to the same liability for malicious prosecution as if he had then initiated the proceedings”); id. § 655 cmt. b (pointing out that “[t]he rule stated in this Section applies when the defendant has himself initiated criminal proceedings against another or procured their institution, upon probable cause and for a proper purpose, and thereafter takes an active part in pressing the proceedings after he has discovered that there is no probable cause for them,” and “applies also when the proceedings are initiated by a third person, and the defendant, knowing that there is no probable cause for them, thereafter takes an active part in procuring their continuation”); 52 Am. Jur. 2d Malicious Prosecution § 21, at 207-08 (2011) (stating that a malicious prosecution action can be maintained in the event that “the
An analysis of the reported decisions concerning this issue clearly indicates that the vast majority of American jurisdictions that have considered the viability of the “continuation” theory have recognized its existence. As the Supreme Court of California stated in Zamos v. Stroud, 32 Cal. 4th 958, 87 P.3d 802 (2004), “the rule in every other state that ha[d] addressed the question [at the time the Supreme Court of California rendered its decision was], and in many states has long been, that the tort of malicious prosecution does include continuing to prosecute a lawsuit discovered to lack probable cause,” id. at 966, 87 P.3d at 807, that “[t]he Restatement’s position on this question has been adopted or was anticipated by the courts of a substantial number of states,” id. at 967,87 P.3d at 808 (citations omitted), and that the defendants had not presented, nor had the Court as of that point found, “a single state that has declined to adopt the Restatement’s view in this regard,” id. at 967, 87 P.3d at 808. The states noted in Zamos include Alabama, Laney v. Glidden Co., 239 Ala. 396, 399, 194 So. 849, 851 (1940) (stating that “[a] suit for malicious prosecution may lie, not only for the commencement of the original proceeding, but for its continuance as well” (citations omitted)); Arizona, Smith v. Lucia, 173 Ariz. 290, 294, 295, 842 P.2d 1303,
In spite of the well-established nature of the “continuation” theory both nationally and in North Carolina, the Court refrains from commenting upon its viability on the grounds that, since “[plaintiff’s complaint is not that the original probable cause dissipated” and focuses, instead, upon a claim that “probable cause never existed,” “[w]e need not address [the viability of] that theory in this jurisdiction. I am not, given my belief that plaintiff has, in fact, attempted to assert a valid “continuation” claim; the breadth of the authorities that recognize the validity of the “continuation” theory; the fact that neither party has openly questioned the validity of that theory in their briefs or during oral argument; and the fact that the logic underlying the “continuation” theory strikes me as fully consistent with this Court’s malicious prosecution jurisprudence, comfortable with such a result, which seems to cast the validity of the “continuation” theory in North Carolina into unnecessary doubt. As a result, in light of my understanding of the allegations set forth in plaintiff’s complaint, I believe that our analysis of the “lack of probable cause” allegations contained in plaintiff’s complaint must necessarily focus upon both the allegations concerning the time at which plaintiff was originally charged with the murder of his estranged wife by the Davie County grand jury and the time at which the decision was made to continue proceeding against plaintiff on the charge of murdering his wife following the additional blood smear “tests” conducted by defendants.
According to well-established North Carolina law,
[a] pleading complies with [N.C. R. Civ. P. Rule 8(a)(1)] if it gives sufficient notice of the events or transactions which produced the claim to enable the adverse party to understand the nature of it and the basis for it, to file a responsive pleading, and—by using the rules provided for obtaining pretrial discovery—to get any additional information he may need to prepare for trial.
[dismissal under Rule 12(b)(6) is proper when one of the following three conditions is satisfied: (1) the complaint on its face reveals that no law supports the plaintiff’s claim; (2) the complaint on its face reveals the absence of facts sufficient to make a good claim; or (3) the complaint discloses some fact that necessarily defeats the plaintiff’s claim.
Wood v. Guilford County, 355 N.C. 161, 166, 558 S.E.2d 490, 494 (2002) (citing Oates v. JAG, Inc., 314 N.C. 276, 278, 333 S.E.2d 222, 224 (1985)). When considered in light of the applicable legal standard, I believe plaintiffs complaint fails to allege a valid claim for malicious prosecution against defendants arising from either the initiation of criminal charges against plaintiff or the decision to continue prosecuting him following the performance of the unscientific blood smear “tests.”
Similarly, I do not believe that plaintiff has stated a malicious prosecution claim against defendants arising from the unlawful continuation of the underlying murder prosecution without probable cause stemming from the actions taken in the aftermath of the 15 January 2008 meeting. In essence, plaintiff alleges that, following this meeting, defendants “wantonly and maliciously conducted unscientific tests to ‘shore up’ the new theory that [plaintiff’s] wounds were self-inflicted and therefore,
In summary, while I am unable to agree with the manner in which the Court has analyzed the sufficiency of plaintiff’s complaint to allege a malicious prosecution claim against defendants, I do agree that plaintiff failed to state a malicious prosecution claim against them in his complaint. Despite the presence of an allegation that makes out a prima facie showing that probable cause was not lacking, plaintiff has completely failed to provide any factual support for his conclusory allegation that plaintiff’s prosecution was initiated and continued in the absence of the requisite probable cause. As a result, I concur in the Court’s opinion with respect to the sufficiency of plaintiff’s complaint to state a claim for intentional infliction of emotional distress and concur in the result that the Court has reached with respect to the sufficiency of plaintiff’s complaint to state a malicious prosecution claim against defendants.
. Although the majority relies on Williams v. Boylan-Pearce, Inc., 69 N.C. App. 316, 318-19, 317 S.E.2d 17, 19 (1984), aff’d per curiam on other grounds, 313 N.C. 321, 327 S.E.2d 870 (1986), in support of this proposition, I do not view the opinion in that case as holding that the issue of probable cause in a malicious prosecution case must be resolved based solely upon an analysis of the facts in existence during a window of time between the commission of the underlying criminal act and the point at which the prosecution of the plaintiff began. Moreover, the only issue before this Court in that matter, which came to us by way of a partial dissenting opinion, related to the availability of punitive damages rather than the sufficiency of the plaintiff’s showing of a want of probable cause. Id. at 322-23,317 S.E.2d at 21-22 (Johnson, J., concurring in part and dissenting in part).
. In fact, a careful study of the brief that plaintiff filed before this Court causes me to question the extent to which plaintiff attempted to state a malicious prosecution claim against either defendant arising from the Davie County grand jury’s initial decision to charge him with murdering his wife. However, I do not believe that we need to make a
. Special Agent Deaver did not become involved in the prosecution of plaintiff until sometime after the Davie County grand jury charged plaintiff with murdering his wife. For that reason, the fact that plaintiff sought to obtain a malicious prosecution recovery against Special Agent Deaver clearly indicates that plaintiff’s claim rested upon more than an assertion that he was initially indicted for murdering his wife in the absence of probable cause.
. Before the trial court, plaintiff’s counsel argued that defendants lacked “a very good answer” for Allison, which he described as holding that “[mjalicious prosecution is either the initiation of a criminal proceeding without probable cause or the continuation of a proceeding when it is discovered that probable case no longer exists,” and stated that plaintiffs complaint “clearly alleged” a claim stemming from defendants’ involvement in the continuation of the criminal charges that had earlier been lodged against plaintiff in the absence of the necessary probable cause.
. Although the “Pattern Jury Instructions are not binding on this Court,” Stark v. Ford Motor Co., 365 N.C. 468, 478, 723 S.E.2d 753, 760 (2012) (citation omitted), they do express “ ‘the long-standing, published understanding’ of... case law and statutes,” State v. Walston, 367 N.C. 721, 731, 766 S.E.2d 312, 319 (2014) (quoting Stark, 365 N.C. at 478, 723 S.E.2d at 760).
. To be sure, the authors of the same treatise also state that “[p]robable cause is judged by appearances to the defendant at the time he initiates prosecution, not by facts discovered later,” with such subsequently discovered facts being “relevant only to show the entirely different defense based on the accused’s guilt in fact.” Id. § 119, at 876 (footnote omitted). However, I do not believe that this statement undercuts the argument advanced in the text of this separate opinion given that, when read literally, it only applies to situations involving the initiation of the underlying criminal proceeding rather than to its continuation.
. The Supreme Court of Florida has “accepted jurisdiction” over Debrincat, but has not yet decided it. 182 So. 3d 631 (2015).
. In its earlier decision in Lind v. Schmid, the New Jersey Supreme Court defined the tort of malicious prosecution without making any mention of the continuation rule. 67 N. J. 255, 262, 337 A.2d 365, 368 (1975). Aside from the fact that Lind preceded LoBiondo, nothing in Lind expressly rejects the validity of the continuation rule and some of the Court’s language may tend to show its validity. Lind, 67 N.J. at 263, 337 A.2d at 368 (stating that “[t]he fallacy of this rationale is that it fails to recognize that the concept of probable cause in malicious prosecution is not fixed from one frame of reference”). As a result, it appears to me that New Jersey does, in fact, accept the validity of the continuation rule.
. In two decisions, the Oklahoma Supreme Court omitted any reference to the continuation rule in stating the elements of the tort of malicious prosecution. Greenberg v. Wolfberg, 1994 OK 147, ¶¶ 13-15,890 P.2d 895,901-92 (1994); Imo Oil & Gas Co. v. Knox, 1931 OK 440, ¶ 9, 154 Okla. 100, 102, 6 P.2d 1062, 1064 (1931). I do not believe that a failure to expressly incorporate the continuation rule into the definition of the tort of malicious prosecution in those cases can be understood as a refusal to recognize the existence of the continuation rule. Greenberg, 1994 OK 147, ¶ 14 n.22, 890 P.2d at 902 n.22, expressly relies upon Sawyer v. Shick, in which the continuation rule is expressly recognized, 1911 OK 475, ¶ 4, 30 Okla. 353, 354, 120 P. 581, 582 (1911). Similarly, the omission of any reference to the continuation rule in Imo Oil, 1931 OK 440, ¶ 9, 154 Okla. at 102, 6 P.2d at 1064, appears to be an anomaly given that one of the two cases cited in support of the definition of malicious prosecution utilized in that decision incorporates the continuation rule, Sawyer, 1911 OK 475, ¶ 4, 30 Okla. at 354, 120 P. at 582, and the other case does not define the elements of the tort of malicious prosecution at all, Robberson v. Gibson, 1917 OK 131, 62 Okla. 306, 162 P. 1120 (1917).
. To be sure, there is no reference to the continuation rule in the definition of the tort of malicious prosecution set out in Roberts v. Federal Express Corp., 842 S. W.2d 246, 247-48 (Tenn. 1992). However, the fact that Roberts does not question Pera and the fact that the Tennessee Court of Appeals has reiterated the validity of the continuation rule in rebanee upon Pera within the past five years, Bovat v. Nissan N. Am., No. M2013-00592-COA-R3-CV, 2013 WL 6021458, at *3 (Term. Ct. App. Nov. 8, 2013) (stating that, despite the absence of any reference to the continuation rule in the definition of maheious prosecution set out in Roberts, 842 S.W.2d at 248, and Christian v. Lapidus, 833 S.W.2d 71, 73 (Tenn. 1992), and “even though one has probable cause to initiate criminal charges, there can be liability for the maheious continuation of a criminal proceeding” (quoting Pera, 674 S.W.2d at 722)), I beheve that Tennessee recognizes the viability of the continuation rule.
. In Richey v. Brookshire Grocery Co., 952 S.W.2d 515, 517 (Tex. 1997), the tort of malicious prosecution was defined without reference to the continuation rule. However, since Richey did not overrule Texas Beef Cattle and focused upon an issue other than the viability of the continuation rule, I do not believe that Richey can properly be understood as holding that Texas has rejected the validity of the continuation rule.
. The Utah Supreme Court made no mention of the continuation rule in reciting the elements of the tort of malicious prosecution in Neff v. Neff, 2011 UT 6, ¶ 52, 247 P.3d 380, 394 (2011), but did not overrule either Cline or Schettler.
. The Connecticut Court of Appeals did hold in Diamond 67, LLC v. Oatis, 167 Conn. App. 659, 681, 144 A.3d 1055, 1069 (2016), that the related tort of vexatious litigation permitted a finding of liability predicated on a defendant’s “initiation, continuation, and/or procurement” of a prior civil action, while suggesting that the continuation rule did not apply in malicious prosecution cases, id. at 683, 144 A.3d at 1070-71, which, in Connecticut, are limited to claims for relief based upon the initiation of baseless criminal charges, see Bhatia, 287 Conn. at 404-05, 948 A.2d at 1017.
. The New Mexico Supreme Court has consolidated what are, in most jurisdictions, the separate torts of malicious prosecution and abuse of process into 'the tort of malicious abuse of process. Durham, 2009-NMSC-007, ¶ 18, 145 N.M. at 698, 204 P.3d at 23. Although the New Mexico Supreme Court initially held in DeVaney that the elements of the tort of malicious abuse of process of process are “the initiation of judicial proceedings against the plaintiff by the defendant,” “an act by the defendant in the use of process other than such as would be proper in the regular prosecution of the claim,” “a primary motive by the defendant in misusing the process to accomplish an illegitimate end,” and “ damages,” 1998-NMSC-001, ¶ 17, 124 N.M. at 518, 953 P.2d at 283, that court subsequently overruled its prior decision in DeVaney and modified the definition of the first element of the consolidated tort so as to delete the requirement that “the defendant... have initiated a judicial proceeding against the plaintiff,” Durham, 2009-NMSC-007, ¶ 29, 145 N.M. at 701, 204 P.3d at 26, and to replace it with “the use of process in a judicial proceeding that would be improper in the regular prosecution or defense of a claim or charge, ” with this improper use of process consisting of either the “filing [of] a complaint without probable cause,” or “ ‘an irregularity or impropriety suggesting extortion, delay, or harassment’ or other conduct formerly actionable under the tort of abuse of process,” id. at ¶ 29, 145 N.M. at 701, 204 P.3d at 26 (quoting Fleetwood Retail Gorp. of N.M. v. LeDoux, 2007-NMSC-047, ¶ 12, 142 N.M. 150, 154, 164 P.3d 31, 35 (2007)). Although one could argue that this restatement of the elements of the tort of malicious abuse of process suffices to recognize something akin to the continuation rule for malicious abuse of process claims, the validity of that argument has not, to my knowledge, been tested.
. I do not wish to be understood as making any claim that the discussion of the decisions made by other jurisdictions with respect to the validity of the continuation rule set out in the text of this separate opinion is complete. I merely offer it in support of my general belief that the validity of the continuation rule is well recognized across the United States.
. Although plaintiff has argued that he had alleged that defendants had “a collateral purpose in initiating or continuing the proceedings” against him and that this fact provides “prima facie evidence of a lack of probable cause,” citing Taylor v. Hodge, 229 N.C. 558, 50 S.E.2d 307 (1948) and Wilson v. Pearce, 105 N.C. App. 107, 412 S.E.2d 148, disc. rev. denied, 331 N.C. 291, 417 S.E.2d 72 (1992), that logic does not suffice to resuscitate plaintiff’s malicious prosecution claim in this case given that defendants’ desire “to secure a conviction [in] a high publicity murder case regardless of guilt to further [defendants’] careers” and “to assist the District Attorney in winning a very public case for political purposes” does not seem to me to rise to the level of personal malice and effort to obtain personal gain present in the cases upon which plaintiff relies.
Concurrence in Part
concurring in part, and dissenting in part.
I agree with the majority’s disposition of the claims for intentional infliction of emotional distress, which affirms the Court of Appeals’ reversal of the dismissal of these claims as to defendants Thomas and Deaver. I disagree with the majority’s analytical framework for malicious prosecution claims; therefore, I agree with Justice Ervin’s analysis in his concurring opinion, which recognizes that North Carolina has long allowed malicious prosecution claims under a “continuation theoiy.” Even under the majority’s theoiy of malicious prosecution, in my view, plaintiff has sufficiently stated claims for malicious prosecution to survive dismissal under Civil Procedure Rule 12(b)(6) and proceed with his claim against Thomas. I also conclude that under the law previous to this opinion, as well as under the framework explained by Justice Ervin, the complaint sufficiently states a claim for malicious prosecution against Deaver as well. Therefore, as to the malicious prosecution claims against Thomas and Deaver, I respectfully dissent.
As the majority states, a claim for malicious prosecution requires a showing that “the defendant (1) initiated or participated in the earlier proceeding, (2) did so maliciously, (3) without probable cause, and (4) the earlier proceeding ended in favor of the plaintiff.” (Emphasis added.) Furthermore, I agree with the majority’s discussion of the applicable principles regarding a motion to dismiss under Rule 12(b)(6). The relevant inquiry is “whether, as a matter of law, the allegations of the complaint, treated as true, are sufficient to state a claim upon which relief may be granted.” Newberne v. Dep’t of Crime Control & Pub. Safety, 359 N.C. 782, 784, 618 S.E.2d 201, 203 (2005) (quoting Meyer v. Walls, 347 N.C. 97, 111, 489 S.E.2d 880, 888 (1997)).
As noted in the concurring opinion, North Carolina adopted notice pleading many years ago. Civil Procedure Rule 8(a)(1) does not require “detailed fact-pleading,” but rather requires only that a pleading give “sufficient notice of the events or transactions which produced the claim to enable the adverse party to understand the nature of it and the basis for it.” Sutton v. Duke, 277 N.C. 94, 104, 176 S.E.2d 161, 167 (1970); see Pyco Supply Co. v. Am. Centennial Ins. Co., 321 N.C. 435, 442, 364 S.E.2d 380, 384 (1988) (“Through [Rule 8(a)(1) of the North Carolina Rules of Civil Procedure], the General Assembly of North Carolina adopted the concept of notice pleading.”) Although there is some precedent for requiring that allegations supply a factual basis for extreme conduct in a claim of intentional infliction of emotional distress, see Chidnese v. Chidnese, 210 N.C. App. 299, 317, 708 S.E.2d 725, 738 (2011) (“Plaintiff’s complaint
The majority also states that “plaintiff’s suit focuses on actions defendants took after” the grand jury indicted him. I do not accept this characterization because a number of specific allegations against Thomas address what he knew and did before plaintiff was indicted. As to Deaver, specific allegations address his “participation” in the continuing prosecution after plaintiff’s indictment.
Turning to the complaint, the allegations that in my view adequately state a claim for malicious prosecution include the following:
14. Acting in self-defense, Dr. Kirk Turner grabbed a pocketknife from his right front pocket and made two cuts in rapid succession to Jennifer Turner’s neck area which resulted in her death.
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26. Prior to examining any evidence for bloodstains or bloodstain patterns, SA Thomas was informed by Special Agent D. J. Smith that Jennifer Turner had apparently stabbed Dr. Kirk Turner with the spear and in response Dr. Kirk Turner reached into his right front pocket of his pants and retrieved a knife which Dr. Kirk Turner used to cut Jennifer Turner causing her death.
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43; Upon information and belief, SA Thomas and SA Deaver conducted these additional tests in an effort to prove the new theoiy that Dr. Kirk Turner had planned the murder of Jennifer Turner, to maintain the appearance of probable cause where none existed and to obtain a first-degree murder conviction of Dr. Kirk Turner despite evidence to the contrary.
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67. SA Thomas and SA Deaver, acting in their individual capacities, participated in and caused the institution of criminal proceedings against Dr. Kirk Turner for the murder of his wife Jennifer Turner by, inter alia:
a. Failing to properly investigate the circumstances of Jennifer Turner’s death;
b. Failing to properly investigate Dr. Kirk Turner’s claim of self-defense;
c. Hiding and/or attempting to hide pertinent information about evidence collected at the scene;
d. Failing to adhere to the administrative practices of SBI report writing;
e. Including false and misleading information in investigative reports; and
f. Otherwise failing to remain fair, neutral and truthful prior to and after the institution of criminal proceedings against Dr. Kirk Turner.
68. In an effort to secure a first-degree murder indictment and conviction, SA Thomas and SA Deaver intentionally, maliciously, and without just cause, failed to take the appropriate measures described above.
69. At all times relevant to the investigation and prosecution of Dr. Kirk Turner, there was a lack of probable cause to sustain an indictment on first-degree murder and but for the malicious, intentional acts of SA Thomas and SA Deaver, Dr. Kirk Turner would not have been indicted and tried for first-degree murder.
The majority asserts that it “must consider the evidence that was available to the investigators and presented to the grand jury in December 2007” and concludes, “[bjased on the facts known to the investigators at the time of the grand jury proceedings, we are satisfied that a reasonable and prudent person would believe there was probable cause.” (Emphases added.) The majority further states that the grand jury properly found probable cause and that “nothing in the subsequent investigation revealed facts that disproved that.” Again, the focus of our review should be on the allegations in the complaint, taken as true. In considering whether the complaint has adequately stated claims for malicious prosecution, I do not think we need to consider the evidence or subsequent investigation at all. Instead, we must look at the allegations of the complaint and, taking them as true, determine if they have stated the elements of the claims. I express no opinion concerning the sufficiency of the evidence or the potential merits of plaintiff’s claims at trial. Rather, looking solely at the allegations in the complaint, and taking them as true, I conclude that plaintiff has sufficiently stated claims for malicious prosecution against Thomas and Deaver. Accordingly, I would affirm the Court of Appeals’ holding reversing dismissal under Rule 12(b)(6) of these claims, as well as the claims for intentional infliction of emotional distress. I would allow plaintiff’s claims for malicious prosecution to proceed as to Thomas and Deaver.
As such, I respectfully dissent as to these two claims but concur in the majority’s decision regarding plaintiff’s claims for intentional infliction of emotional distress.
. Although the majority correctly states that a claim for malicious prosecution may be based on participation in a proceeding, it then (improperly, as noted in the concurring opinion) limits that participation to pre-indictment activities. Defendant Deaver’s alleged involvement in these events, which began after the indictment, nonetheless can constitute malicious prosecution by participation, both under existing law and as discussed in the concurring opinion.
