George N. UBOH, Plaintiff-Appellant, v. Janet RENO, Head of U.S. Dept. Of Justice and Attorney General of the United States, Robert C. Bonner, Administrator, Drug Enforcement Admin., Janis C. Gordon, Assistant U.S. Attorney, Mary P. Gholson, Agent, Drug Enforcement Admin., Brian Sullivan, Drug Enforcement Admin., Frank Smith, Agent, Drug Enforcement Admin., Defendants-Appellees.
No. 95-8557.
United States Court of Appeals, Eleventh Circuit.
May 18, 1998.
141 F.3d 1000
Richard H. Deane, Jr., U.S. Atty., Amy Berne Kaminshine, Asst. U.S. Atty., Atlanta, GA, for Defendants-Appellees.
Before BIRCH, Circuit Judge, RONEY, Senior Circuit Judge, and O‘KELLEY*, Senior District Judge.
BIRCH, Circuit Judge:
This case requires that we decide whether a prosecutor‘s unilateral decision to dismiss some counts of an indictment following a defendant‘s conviction on other counts of the same indictment constitutes favorable termination for purposes of the defendant‘s subsequent Bivens1 action for malicious prosecution. Further, we must determine, in light of the particular facts presented in this case, when the causes of action alleged in the complaint accrued and whether these claims are time-barred. The district court dismissed this case after finding that the plaintiff had failed to file the complaint within the time dictated by the applicable statute of limitations. For the reasons that follow, we reverse and remand for further proceedings.
*Honorable William C. O‘Kelley, Senior U.S. District Judge for the Northern District of Georgia, sitting by designation.
I. BACKGROUND
For purposes of this appeal, the following facts as alleged in the complaint are undisputed: In 1992, federal agents sought and obtained authorization to wiretap George Uboh‘s telephone. The application for the wiretap was based in part on affidavits provided by agents of the Drug Enforcement Administration (DEA), indicating Uboh‘s possible involvement in the importation of heroin and cocaine. Uboh subsequently was indicted, along with nineteen co-defendants, for charges related to credit card fraud. Unlike any of his co-defendants, however, Uboh was also indicted on three counts related to the importation of narcotics. Of the nineteen defendants charged in the indictment, Uboh also was the sole defendant denied bond; specifically, a district court judge denied bond initially on February 20, 1992, and on appeal on May 14, 1992. The federal prosecutor based the request for detention without bond on the drug charges set forth in the indictment.
The district court severed the drug-related charges from those counts of the indictment alleging credit card fraud. On February 1, 1993, a jury convicted Uboh of credit card fraud. On July 20, 1993, the district court granted the government‘s motion to dismiss the drug charges.
Uboh filed this Bivens action2 and alleged, inter alia, that DEA agents Mary P. Gholson, Brian Sullivan, and Frank Smith falsified affidavits for Assistant United States Attorney (AUSA) Janis C. Gordon, who knowingly used the false affidavits to obtain authorization for a wiretap on Uboh‘s telephone. Uboh further alleged that Gordon intentionally sought his indictment on fabricated charges of conspiracy to import and distribute cocaine and heroin, and that the district court denied him bond solely due to Gordon‘s assertion that Uboh was involved in illegal drug activity.
The defendants moved to dismiss the complaint on the grounds that the claims were time-barred, the federal defendants were entitled either to absolute or qualified immunity, and the allegations were insufficient to state a constitutional violation. The district court granted the motion to dismiss exclusively on the basis of the statute of limitations. The court reasoned that the statute of
On appeal, Uboh argues that, although the district court properly determined that the claims presented are subject to a two-year statute of limitations, the court erroneously failed to treat his allegations as akin to the federal constitutional tort of malicious prosecution and, as a result, erred in determining the date on which the causes of action accrued. The defendants originally asked that we affirm the district court‘s decision for the reasons discussed in that court‘s opinion; in a supplemental brief, however, the defendants appear to have shifted gears entirely and argue, instead, that because Uboh has failed to establish the elements of a Bivens, malicious prosecution claim, the general rule regarding the accrual date of a Bivens cause of action should obtain and the claims should be deemed time-barred.3
II. DISCUSSION
We independently review the district court‘s ruling concerning the applicable statute of limitations. Byrd v. MacPapers, Inc., 961 F.2d 157, 159 (11th Cir.1992). Federal courts apply their forum state‘s statute of limitations for personal injury actions to actions brought pursuant to
A statute of limitations begins to run when the cause of action accrues. Id. The question of when the limitations period begins to run, however, is one of federal law. See Wilson v. Garcia, 471 U.S. 261, 268-71, 105 S.Ct. 1938, 1942-44, 85 L.Ed.2d 254 (1985). Here, the district court construed Uboh‘s claim of malicious prosecution solely as a state law cause of action and noted that the plaintiff ignores that [sic] fact that he is not suing the defendants for violation of any state law; indeed, Bivens creates a cause of action only for a violation of federally created rights. R1-20 at 3. The district court went on to find that the plaintiff had failed to show that he was unaware of the alleged injury caused by the wiretaps, the indictment, and the denial of bond at the time those events transpired. Consequently, because even the last of those events occurred more than two years prior to the filing of this action, the suit was barred by the statute of limitations. See id.
In the first instance, the district court erred in failing to recognize in Uboh‘s complaint the assertion of an established, federally-protected constitutional right. Indeed, there has been a remarkable divergence of opinion among the circuit courts as to both the extent to which the claim of malicious prosecution gives rise to a federal cause of action and, assuming that such a claim is cognizable, its constitutional source; our court, however, unequivocally has identified malicious prosecution to be a constitutional
[l]abeling ... a section 1983 claim as one for a “malicious prosecution” can be a shorthand way of describing a kind of legitimate section 1983 claim; the kind of claim where the plaintiff, as part of the commencement of a criminal proceeding, has been unlawfully and forcibly restrained in violation of the Fourth Amendment and injuries, due to that seizure, follow as the prosecution goes ahead.
Id. at 584; accord Singer v. Fulton County Sheriff, 63 F.3d 110, 116 (2nd Cir.1995) (“The Fourth Amendment right implicated in a malicious prosecution action is the right to be free of unreasonable seizure of the person—i.e., the right to be free of unreasonable or unwarranted restraints on personal liberty.“); Smart v. Board of Trustees of the Univ. of Illinois, 34 F.3d 432, 434 (7th Cir. 1994) (“If malicious prosecution or abuse of process is committed by state actors and results in the arrest or other seizure of the defendant ... we now know that the defendant‘s only constitutional remedy is under the Fourth Amendment....“). Preliminary to our discussion of the merits of Uboh‘s challenge to the district court‘s final disposition with respect to the statute of limitations, therefore, we note that the district court erred in failing to treat the claims asserted in this case as premised on a theory of malicious prosecution pursuant to the Fourth Amendment; contrary to the district court‘s stated justification for its decision, such a cause of action does constitute a cognizable Bivens claim.5
Having determined that the complaint presented in this case must be construed as setting forth allegations that comprise a malicious prosecution claim, we next must decide whether the causes of action asserted are barred by the statute of limitations. As noted, the issue of whether the district court properly applied Georgia‘s two-year statute of limitations regarding personal injury causes of action is undisputed; the contested point, rather, is when Uboh‘s claims accrued. Uboh argues that, consistent with the jurisprudence of this circuit and the Supreme Court pertaining to malicious prosecution as a federal cause of action, his claims could not have accrued until the charges against him that relate to this case were resolved in his favor.6 In response, the defendants submit that Uboh has failed properly to plead the elements of a cause of action for malicious prosecution; consequently, his claims should be construed not within
Because the species of Fourth Amendment violation alleged in this case arises by way of analogy to the common law tort of malicious prosecution, courts historically have looked to the common law for guidance as to the constituent elements of the claim. See Whiting, 85 F.3d at 585 n. 7 (“Where an arrest is made after the filing of an information and the arrest is the basis of a Fourth Amendment section 1983 claim, we think the tort of malicious prosecution is the most analogous tort to the section 1983 claim.“). See also Hilfirty v. Shipman, 91 F.3d 573, 579 (3rd Cir.1996) (“In order to state a prima facie case for a section 1983 claim of malicious prosecution, the plaintiff must establish the elements of the common law tort as it has developed over time.“). Georgia law provides that:
[a] criminal prosecution which is carried on maliciously and without any probable cause and which causes damage to the person prosecuted shall give him a cause of action.
The government‘s contention that Uboh has not stated the elements of a claim for malicious prosecution rests on the premise that the prosecutor‘s decision to dismiss the drug charges at issue here does not constitute a favorable termination of the underlying criminal proceeding.7 Whether a prosecutor‘s unilateral decision to dismiss specific counts of an indictment—and the defendant has been convicted on other counts of the same indictment—constitutes termination in favor of the accused for purposes of the constitutional tort of malicious prosecution is an issue of first impression.
The Supreme Court has observed that the requirement of favorable termination in the context of malicious prosecution suits prevents parallel litigation over the issues of probable cause and guilt and the possible creation of conflicting resolutions arising out of the same or identical transactions. See Heck, 512 U.S. at 484, 114 S.Ct. at 2371. Courts have further reasoned that only terminations that indicate that the accused is innocent ought to be considered favorable. Hilfirty, 91 F.3d at 580 (relying on Restatement (Second) of Torts § 660 cmt. a (“Proceedings are ‘terminated in favor of the accused’ ... only when their final disposition is such as to indicate the innocence of the accused.“)); Taylor v. Gregg, 36 F.3d 453, 456 (5th Cir.1994) (per curiam) (same); Singleton v. City of New York, 632 F.2d 185, 193 (2nd Cir.1980) (same). Thus, courts have found that withdrawal of criminal charges pursuant to a compromise or agreement does not constitute favorable termination and, thus, cannot support a claim for malicious prosecution.
Consistent with each of the policies underlying the favorable termination requirement, however, courts have found favorable termination to exist by virtue of an acquittal, an order of dismissal reflecting an affirmative decision not to prosecute, a dismissal based on the running of the statute of limitations, an entry of a nolle prosequi, and, in some cases, a granted writ of habeas corpus. See, e.g. Hilfirty, 91 F.3d at 584-85 (where court determined that when the grant of nolle prosequi was not the result of a compromise, “grant of nolle prosequi was sufficient to satisfy the requisite element of favorable termination of the criminal action.“) (internal quotation marks and citation omitted); Brandley, 64 F.3d at 199 (“Even a prosecutor‘s failure to act on remand will at some point entitle a defendant to an order of dismissal.“).
Here, the unilateral dismissal by the AUSA of drug charges that had been instituted against Uboh transpired in a context slightly different from the “terminations” described in the cases cited above. In this instance, not only were the counts of the indictment that were dismissed originally part of a larger indictment that gave rise to several convictions, but there was no expressed basis for the dismissal; as a result, we cannot ascertain with certainty whether the dismissal constitutes conclusive proof of Uboh‘s innocence. Actual innocence, however, is not required for a common law favorable termination. Smith v. Holtz, 87 F.3d 108, 113 (3rd Cir.1996) (citing Restatement of the Law of Torts §§ 659, 660 (1938)). We find nothing in the record to suggest that the prosecutor‘s request to withdraw all drug charges—in the absence of any agreement or compromise involving Uboh—amounts to anything less than an indication of innocence. Because the drug counts of the indictment were dismissed after Uboh had already been convicted of credit card fraud, thereby disposing of all counts of the indictment, there appears to be little risk that the AUSA intended to renew these charges at a later date; thus, the potential for a renewed prosecution on the same criminal charges that are implicated in an ongoing malicious prosecution action to result in inconsistent, parallel proceedings is not present here. The fact that the allegations concerning drug trafficking were included alongside other charges for which Uboh ultimately was convicted does not alter our conclusion that the prosecutor‘s decision to dismiss the drug counts constituted favorable termination, particularly under the facts of this case. See Janetka v. Dabe, 892 F.2d 187, 190 (2nd Cir.1989) (where plaintiff in malicious prosecution action was convicted on some charges and acquitted on others, court found that acquittal constituted favorable termination.) Uboh was charged in the indictment with two distinct offenses, drug importation and credit card fraud. Each of these offenses contains entirely different elements, neither charge is a lesser-included offense of the other, and the charges were not tried as part of the same proceeding; in this context, it is reasonable to interpret the prosecutor‘s decision to not pursue the drug-related charges as consistent with (though perhaps not dispositive proof of) a finding of innocence on these specific counts of the indictment.8
Having determined that the dismissal of drug charges against Uboh constituted favorable termination against the accused, we resolve that Uboh‘s claims for malicious prosecution accrued on July 21, 1993, the date on which the district court entered its order of dismissal. See Whiting, 85 F.3d at 585-86 (“[W]here a section 1983 plaintiff is seized following the institution of a prosecution ... and he seeks to recover damages for all the elements of the prosecution, he can properly wait until the prosecution terminates in his favor to bring his section 1983 claim which alleges that the seizure was unreasonable.“) Because Uboh filed the instant action on June 6, 1994, less than two years after the claims accrued, the case is not barred by the two-year statute of limitations. The district court therefore erred in dismissing this case as time-barred.
We further discern that, had Uboh attempted to file the instant action during the statutory period proposed by the defendants, his action would have been barred pursuant to the dictates of Heck v. Humphrey. In that case, the Supreme Court held that
III. CONCLUSION
Uboh asks that we set aside the district court‘s decision to dismiss this cause of action based on the statute of limitations. In evaluating the propriety of the district court‘s order, we must decide whether a dismissal of some portions of an indictment following a defendant‘s conviction on other charges contained in the same indictment constitutes “favorable termination” for purposes of a subsequent Bivens action for malicious prosecution. We conclude that (1) the district court erred in failing to treat the complaint filed in this case as a claim for the constitutional tort of malicious prosecution under the Fourth Amendment; (2) Uboh‘s pro se complaint, which we are bound to construe liberally, does state a claim for malicious prosecution; (3) the prosecutor‘s dismissal of those charges in the indictment underlying the instant action did constitute termination in favor of the accused; (4) the cause of action stated by Uboh accrued at the time the drug charges were dismissed; and (5) regardless of the specific constitutional provision under which the complaint is construed, Heck v. Humphrey dictates that this action could not have been filed prior to the favorable resolution of the drug charges initially included in the indictment. This cause of action, therefore, is not barred by the statute of limitations and may proceed. Because the district court has not yet had an opportunity to address the defendants’ claims regarding absolute and qualified immunity, we decline to consider the merits of those arguments and permit the district court to conduct the requisite factual and legal analysis in the first instance.
REVERSED and REMANDED for further proceedings consistent with this opinion.
William Sumner SCOTT, Plaintiff-Appellant, v. PRUDENTIAL SECURITIES, INC., Defendant-Appellee.
No. 96-9106.
United States Court of Appeals, Eleventh Circuit.
May 18, 1998.
