Appellant William G. Moore, Jr. (Moore) appeals the dismissal of his Bivens and Federal Tort Claims Act claims against Assistant United States Attorney Joseph B. Valder (Valder), six United States Postal Service Inspectors (postal inspectors) 1 and the United States. Moore sued for injuries allegedly caused by Valder’s and the postal inspectors’ malicious and retaliatory prosecution of him. We affirm in part and reverse in part.
I.
Moore was indicted in October 1988 on various counts of theft and fraud. Moore was chairman, president and chief executive officer of Recognition Equipment Incorporated (REI), a company interested in supplying the U.S. Postal Service (USPS) with address-scanning equipment. The indictment charged that Moore and Robert Reedy, another REI employee, engaged in a scheme to defraud the federal government by persuading William Spartin to recommend for the position of United States Postmaster General a candidate who favored using REI’s address-scanning equipment. Spartin was both president of Gnau & Associates, Inc. (GAI), a consulting firm hired by REI, and president of a subsidiary of an executive search firm hired by the USPS to identify a qualified candidate to serve as Postmaster General. The indictment also accused Moore and Reedy of participating in a scheme by which GAI employees paid money to Peter E. Voss, a member of the USPS Board of Governors, in return for Voss’s steering business to GAI and its clients. REI had hired GAI at the suggestion of Voss. Five co-conspirators, including Voss and John R. Gnau, Jr., the principal of GAI, either pleaded guilty or testified about the fraud pursuant to a grant of immunity.
In November 1989, at the close of the government’s case in Moore’s criminal non-jury trial, the district court granted Moore’s motion for a judgment of acquittal.
United States v. Recognition Equip. Inc.,
In the two complaints Moore alleged that Valder and the postal inspectors maliciously prosecuted him, even though they knew that he was unaware of the fraud, based on his and REI’s criticism of USPS procurement policies and on his recommendations to the President of qualified candidates for Postmaster General. In addition, Moore alleged other misconduct, including claims that Valder told several postal inspectors in the presence of a grand jury witness that he did not care whether Moore was in fact guilty because he wanted to secure a “high-profile” indictment to further his career; that Valder and the postal inspectors intimidated and coerced witnesses into changing their testimony to incriminate Moore; that they concealed evidence of Moore’s innocence; that they manipulated witness testimony and presented to the grand jury false, incomplete and misleading written witness statements; that they lost, destroyed or concealed from the grand jury exculpatory information; that they disclosed grand jury testimony to third *192 parties; and that Valder withheld material exculpatory information from Moore after indictment.
The district court dismissed the Bivens claims against Valder, holding that he was protected by absolute immunity. The court denied the postal inspectors’ motion to dismiss the Bivens claims against them on the ground of qualified immunity and then transferred the remaining claims to the U.S. District Court for the District of Columbia, concluding that it lacked in personam jurisdiction. The FTCA complaint was also transferred and the parties stipulated to the consolidation of the two cases by the district court here.
The district court first denied Moore’s motion to return the complaints to the Northern District of Texas. The court then dismissed the Bivens claims against the postal inspectors because Moore’s complaint did not recite direct evidence of their alleged unconstitutional motive and therefore did not satisfy a heightened pleading standard. The court also dismissed the FTCA claims for lack of subject matter jurisdiction, holding that the alleged misconduct fell within the FTCA’s discretionary function exception.
II.
On appeal Moore contends that Valder is not entitled to absolute immunity; that the court erred in applying a heightened pleading standard to his Bivens complaint; and that the FTCA’s discretionary function exception does not preserve the United States’s sovereign immunity from liability for the alleged misconduct. In analyzing his claims, we group the specific misconduct alleged by Moore into four categories: pressuring witnesses into incriminating Moore; concealing and distorting exculpatory evidence to create misleading or incomplete witness accounts of what Moore knew about the alleged fraud; 4 withholding material exculpatory information from Moore after indictment; and disclosing grand jury testimony to unauthorized third parties.
A Claims Against Valder
The district court dismissed Moore’s
Bivens
claims against Valder, holding that Valder was protected by absolute immunity.
5
We review
de novo
a dismissal for failure to state a claim upon which relief can be granted but accept the facts as alleged in the complaint.
Kowal v. MCI Communications Corp.,
In several decisions the Supreme Court has considered whether and to what extent a state or local prosecutor
qua
prosecutor is immune from liability under 42 U.S.C. § 1983. As the Court has recognized, the law of immunity in a
Bivens
claim against a federal official mirrors that in a section 1983 claim against a state official.
See, e.g., Butz v. Economou,
In
Imbler v. Pachtman,
The Court in
Imbler
held that “the same considerations of public policy that underlie the common-law rule likewise countenance absolute immunity under § 1983.”
Id.
at 424,
The line between advocatory conduct and administrative or investigative activity was refined in
Burns v. Reed,
Most recently, the Court discussed the scope of absolute prosecutorial immunity in
Buckley v. Fitzsimmons,
— U.S.-,
In
Buckley,
the petitioner alleged that the prosecutors fabricated evidence during the preliminary investigation of a crime and made false statements at a press conference announcing the indictment of the petitioner. The Court held that the prosecutors did not have absolute immunity from liability for the alleged fabrication of evidence because they did not have probable cause to arrest or to initiate judicial proceedings.
Id.
at-,
Applying these holdings here, we conclude that Valder’s prosecutorial immunity insulates him from liability for his unquestionably advocatory decision to prosecute Moore. His prosecutorial immunity also protects Valder from liability for allegedly concealing exculpatory evidence from the grand jury and for allegedly manipulating evidence before the grand jury to create a false impression of what Moore knew about the alleged fraudulent schemes. Valder’s decisions regarding what evidence to put before the grand jury, and in what manner, are advoca-tory because they are central to the prosecutor’s task of “initiating a prosecution” and “presenting the State’s case.”
Imbler,
Valder, however, has not met his burden of establishing that absolute immunity protects him from potential liability for the other instances of misconduct alleged by Moore. Intimidating and coercing witnesses into changing their testimony is not advocatory. It is rather a misuse of
investigative
techniques legitimately directed at exploring whether witness testimony is truthful and complete and whether the government has acquired all incriminating evidence. It therefore relates to a typical police function, the collection of information to be used in a prosecution.
See, e.g., Barbera v. Smith,
Finally, disclosing grand jury testimony to unauthorized third parties is not advo-catory because it has no functional tie to the judicial process — it does not contribute to the government’s ease before a grand or petit jury. Like making statements at a press conference, unauthorized disclosure “does not involve the initiation of a prosecution, the presentation of the state’s case in court, or actions preparatory for these functions.”
Buckley,
— U.S. at-,
B. Claims Against the Postal Inspectors
The district court dismissed Moore’s claims against the postal inspectors because Moore’s complaint did not allege direct evidence that they acted maliciously or in retaliation for constitutionally protected speech, Reviewing the dismissal
de novo
and taking the facts as alleged in Moore’s complaint,
Kowal,
The district court did not address whether Moore’s
Bivens
claims alleged the violation of clearly established law.
10
The court, therefore, “erred in deciding the heightened pleading issue before deciding the
threshold
‘essentially legal question whether the conduct of which the plaintiff complains violated clearly established law.’ ”
Kartseva v. Department of State,
In publicly criticizing the USPS Moore unquestionably exercised his first amendment rights. Record evidence manifests that the criticism produced hostility in USPS management. Joint Appendix (JA) 154 — 156, 288. Two of the postal inspectors, who reported to USPS management, heard and did not repudiate Valder’s declaration that Moore’s innocence was irrelevant to the prosecution he intended to pursue. JA 32. These facts taken together constitute evidence sufficient to meet any applicable heightened pleading standard 13 and, accordingly, we remand Moore’s retaliatory prosecution claim against the postal inspectors.
C. Claims Against the United States
The district court dismissed Moore’s FTCA claims for lack of subject matter jurisdiction, holding that the alleged misconduct fell within the FTCA’s “discretionary function” exception. We review the dismissal
de novo
but construe Moore’s allegations in his favor.
Hohri v. United States,
The FTCA waives the sovereign immunity of the United States from suits for negligent or wrongful acts of government employees subject to certain exceptions.
See
28 U.S.C. §§ 2671-2680. The “discretionary function” exception protects the federal government from liability for “[a]ny claim based upon ... the exercise or performance or the failure to exercise or perform a discretionary function or duty on the part of a federal agency or an employee of the Government, whether or not the discretion involved be abused.” 28 U.S.C. § 2680(a). The exception “preserves the preexisting cloak of governmental immunity for some category of activities.”
Gray v. Bell,
Deciding whether to prosecute, assessing a witness’s credibility to ensure that he is giving an accurate and complete account of what he knows, identifying the evidence to submit to the grand jury and determining whether information is “exculpatory” and “material” and therefore must be disclosed pursuant to a Brady request 15 are actions that require the prosecutor to exercise his professional judgment. They are therefore quintessentiaily discretionary. 16 Accordingly, the United States enjoys immunity from Moore’s claims that Valder and the postal inspectors pressured witnesses into incriminating him, concealed and distorted exculpatory evidence to create a false impression of what he knew about the fraud schemes and withheld material exculpatory information from him after the grand jury returned an indictment.
Disclosing grand jury testimony to unauthorized third parties, however, is not a discretionary activity nor is it inextricably tied to matters requiring the exercise of discretion. Rather, it is a discrete activity, sufficiently separable from protected discretionary decisions to make the discretionary function exception inapplicable to this allegation. We express no view whether the allegation is otherwise cognizable under the FTCA or whether it is supported by the evidence.
We therefore affirm in part, reverse in part and remand to the district court for proceedings consistent with this opinion.
So ordered.
Notes
. The postal inspector defendants-appellees are Michael Hartman, Frank Korman, Robert Edwards, Pierce McIntosh, Daniel Harrington and Norman Robbins.
.
Bivens v. Six Unknown Named Agents of Fed. Bureau of Narcotics,
.The complaint also asserted other constitutional and common-law tort claims which were dismissed by the district court. Moore does not appeal the dismissal of those claims.
. We do not read Moore's complaint to allege that Valder or the postal inspectors manufactured false evidence to incriminate Moore. The complaint, construed favorably to Moore, alleges only that the written witness statements, prepared by Valder and the postal inspectors and submitted to the grand jury, created false impressions because they omitted important exculpatory testimony. Joint Appendix (JA) 377-78.
. According to the district court, “Valder was performing judicial and quasi-judicial functions. All of Valder’s conduct relevant to this case was preparatory to presenting a case against Moore to the grand jury. The face of the complaint compels the conclusion that all of the acts attributed to Valder were prosecutorial functions....” JA 340.
. Additionally, "whether to present a case to a grand jury, whether to file an information, whether and when to prosecute, whether to dismiss an indictment against particular defendants, which witnesses to call, and what other evidence to present” are advocatory decisions.
Imbler,
. And as the Supreme Court explained:
A prosecutor may not shield his investigative work with the aegis of absolute immunity merely because, after a suspect is eventually arrested, indicted, and tried, that work may be retrospectively described as "preparation” for a possible trial.... When the functions of prosecutors and detectives are the same ... the immunity that protects them is also the same.
Buckley,
— U.S. at --,
. While we conclude that absolute immunity does not protect Valder, he of course would be entitled to any qualified immunity available to the postal inspectors. Qualified immunity protects a government official who performs discretionary functions from liability for civil damages if he can show that his actions did not violate "clearly established statutory or constitutional rights of which a reasonable person would have known.”
Harlow v. Fitzgerald,
. As an initial matter, we reject Moore’s argument that the district court here was precluded from reconsidering the Texas district judge’s conclusion that Moore had “asserted a set of facts supporting each claim that, if found to be true regarding the element of malice, would overcome defendants' qualified immunity defense and entitle him to relief.” JA 343-44. We first observe that the Texas district judge should not have ruled on the immunity issue because he found that he lacked personal jurisdiction over the postal inspectors. More importantly, we iterate that the district court below is bound to follow the law of this circuit. See, e.g., IB Moore's Federal Practice (“The district courts owe obedience, each to the court of appeals in its own circuit. It may happen, therefore, that a decision in the transferor court is in accordance with the view of the law as established by the court of appeals in its own circuit, but in the transferee circuit the law is either unsettled, or settled to the contrary.... If the issue has been settled ... the transferee court finds itself suspended between the doctrine of stare decisis and the doctrine of the law of the case. In such a circumstance the transferee court would invite reversal if it did not follow the decisions of its own court of appeals.”).
. The parties appear to agree that prosecution in retaliation for speech protected by the first amendment violates a clearly established right. See infra note 12. Although the parties disputed whether the malicious prosecution claim survived the qualified immunity defense, the district court expressly found that it “need not address the question” because of its ruling that Moore’s allegations were otherwise deficient. JA 355.
.
See Sami v. United States,
. See, e.g., Haynesworth v. Miller,
. In
Kartseva v. Department of State,
. Because we accept Moore's version of the facts, we reject his argument that the district court should not have decided whether the discretionary function exception applied without permitting Moore an opportunity to conduct discovery and develop a "concrete record.”
. We recognize that internal regulations of the Department of Justice direct that "when a prosecutor conducting a grand jury inquiry is personally aware of substantial evidence which directly negates the guilt of a subject of the investigation, the prosecutor must present or otherwise disclose such evidence to the grand jury before seeking an indictment against such a person.” Department of Justice Manual, 9-11.233 (October 1, 1990). Putting aside the question whether this regulation creates any enforceable right, we note that deciding what this regulation requires under a specific set of circumstances is itself a discretionary act.
. We are guided by our decision in
Gray
where we held that allegations that the defendants "deliberately present[ed] false and misleading evidence to and withfiield] exculpatory evidence from the Grand Jury" are within the discretionary function exception because they are “insufficiently separable from the discretionary decision to initiate prosecution.”
