Noel Mott v. Lee Lucas, et al
Filing
OPINION filed : REVERSED the district court's grant of summary judgment to the defendants as to the malicious prosecution claim and REMANDED to the district court for further proceedings. AFFIRMED the district court's denial of Mayer's and Faith's motion for summary judgment on the basis of qualified immunity. Dismiss case for lack of jurisdiction as to Metcalf's challenge to the district court's denial of qualified immunity, decision not for publication. Boyce F. Martin , Jr., Circuit Judge; Richard F. Suhrheinrich, Circuit Judge and Julia Smith Gibbons, Circuit Judge, AUTHORING. [11-3853, 11-3855, 11-3996]
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Document: 006111658714
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NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
File Name: 13a0385n.06
Nos. 11-3853, 11-3855, 11-3996
FILED
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
DEBORAH S. HUNT, Clerk
NOEL MOTT,
Plaintiff-Appellee, (11-3853, 11-3855)
Plaintiff-Appellant, (11-3996)
v.
MATT MAYER; LARRY FAITH;
CHARLES METCALF,
Defendants-Appellants,
Defendants-Appellees,
(11-3853)
(11-3855)
(11-3996)
J. STEVEN SHELDON; RICHLAND COUNTY,
OHIO; JERRELL BRAY,
Defendants.
Apr 17, 2013
)
)
)
) ON APPEAL FROM THE
) UNITED STATES DISTRICT
)COURT
FOR
THE
) NORTHERN DISTRICT OF
) OHIO
)
)
)
)
)
)
)
)
)
Before: MARTIN, SUHRHEINRICH, and GIBBONS, Circuit Judges.
JULIA SMITH GIBBONS, Circuit Judge. In 2005, Noel Mott became a target of
“Operation Turnaround,” an investigation by the Richland County, Ohio Sheriff’s Office (“RCSO”)
and the Drug Enforcement Administration (“DEA”) to combat crack cocaine trafficking in the city
of Mansfield and Richland County. He was indicted on drug-related charges and pled guilty. In
2007, the United States dismissed the charges against Mott and other defendants who were charged
as a result of “Operation Turnaround” after it was discovered that Jerrell Bray, a confidential
operative, had engaged in illegal conduct throughout the investigation.
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Mott brought an action pursuant to 42 U.S.C. §§ 1983, 1985, and Bivens v. Six Unknown
Agents, 403 U.S. 388 (1971), against state and federal officials, including Sergeant Matt Mayer,
Captain Larry Faith, and Detective Charles Metcalf of the RCSO.1 Mott asserted several claims: (1)
false arrest, (2) malicious prosecution, (3) fabrication of evidence, (4) violations of his Fourth
Amendment right to be free from unreasonable seizure, (5) a Brady violation based on the Fifth
Amendment Due Process Clause, and (6) conspiracy to fabricate evidence and tamper with evidence
in order to falsely arrest, detain, and charge Mott. The district court considered the defendants’
motions for summary judgment on the basis of qualified immunity and made several rulings relevant
to this appeal. The district court denied Mayer qualified immunity as to the fabrication of evidence
claim and denied Faith and Metcalf qualified immunity as to the false arrest claim. It granted their
motions with respect to all remaining claims.
Mott now appeals the district court’s grant of qualified immunity to the defendants as to the
malicious prosecution claim. Mayer and Faith jointly appeal the district court’s denial of qualified
immunity as to the fabrication of evidence and false arrest claims, respectively. Metcalf appeals the
district court’s denial of qualified immunity as to the false arrest claim. We reverse the district
court’s grant of summary judgment to the defendants as to the malicious prosecution claim and
remand to the district court for further proceedings. We affirm the district court’s denial of Mayer’s,
Faith’s, and Metcalf’s motions for summary judgment on the basis of qualified immunity.
1
Mott reached a settlement agreement with the federal defendants and dismissed all claims
against them. As a result, only Mayer, Faith, Metcalf, Bray, J. Steven Sheldon, and Richland
County, Ohio, remain as defendants in this action.
2
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I.
The RCSO launched what came to be known as “Operation Turnaround” after Timothy
Harris’s body was found in Richland County on December 31, 2004. Investigators believed that
Harris’s killing was related to drug trafficking. The RCSO asked Bray to make controlled buys of
illegal drugs from individuals in the area in order to develop leads regarding Harris’s death. In
January 2005, the RCSO executed a Confidential Operative Agreement with Bray, who was to be
supervised by Mayer and Metcalf. In August or September 2005, the DEA Task Force in Cleveland
began to assist with the investigation. The DEA also entered into a Confidential Source Agreement
with Bray, who was to be supervised by Special Agents Lee Lucas and Robert Cross.
Each controlled buy was supposed to proceed as follows. Bray and the RCSO officers would
identify a target and inform the DEA agents, who would supply the buy money and travel from
Cleveland to assist. Bray would place a phone call to the target. Investigators would search Bray
and his vehicle before the buy and follow Bray to the location of the buy, attempting to view or
record the transaction when possible. After the buy, they would follow Bray back to the sheriff’s
office, search Bray’s person and vehicle, and take a statement from Bray.
A.
Several events occurred during Bray’s relationship with the RCSO and the DEA that Mott
argues demonstrate that Bray was not a reliable informant. He also argues that investigators erred
by repeatedly failing to corroborate Bray’s statements. We describe a few of the events referenced
3
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by the district court in order to illustrate the conduct of Bray and the investigators during “Operation
Turnaround.”
On February 10, 2005, Metcalf asked Detective Dawn Brown, a detective with METRICH,
a multi-county drug task force, to assist with a controlled buy that Bray was to make that day. Brown
expressed concern that Bray, who was on parole after serving a prison sentence for involuntary
manslaughter, was acting as a confidential operative without the consent of his parole officer. Bray
nevertheless completed the buy. Brown’s notes express several concerns about the way that the buy
was conducted. Mayer and Metcalf did not know where Bray was during the transaction, and they
did not follow Bray after the buy, even though they were responsible for monitoring him in order to
ensure both the safety of the parties involved and the integrity of the evidence.
About a month later, Bray claimed that he purchased crack cocaine and a gun from Tyron
Brown and Jason Westerfield in a controlled buy on March 12, 2005, and that he bought crack
cocaine from Westerfield in a controlled buy on March 15, 2005. Mayer and Metcalf conducted
surveillance on the March 15 transaction. In Mayer’s report, he noted that Metcalf, who was familiar
with Westerfield and knew what he looked like, “could see a visual on [Bray] and Jason
Westerfield.” Metcalf later testified that he saw Bray go into a house and saw Westerfield’s car pull
up to the house, but he did not know whether the man who got out of the car was Westerfield. Both
Mayer and Metcalf knew that Westerfield was wearing a GPS issued by the Adult Parole Authority,
and Mayer’s report noted that they should check the GPS records to confirm his whereabouts at the
time of the alleged drug sale. Mott argues that there is no evidence that Mayer and Metcalf checked
4
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the GPS records, and Mayer and Metcalf do not dispute this. The GPS records would have revealed
that Westerfield was not present at the location of either the March 12 or the March 15 buy.
On March 31, 2005, Bray’s girlfriend told the RCSO that Bray had crack cocaine, which the
RCSO had not authorized him to have, hidden in the steering wheel of his car. This violated Bray’s
Confidential Operative Agreement with the RCSO. He was arrested and charged with drug abuse
and possession of drugs. Bray told Metcalf about the incident, offering conflicting explanations for
the drugs, and asked Metcalf to help resolve the issue. The case was dismissed.
B.
Eventually, Mott was identified as a target of “Operation Turnaround.” On September 6,
2005, Bray told investigators that he had arranged to buy drugs from Mott. They provided Bray with
$2,800 in buy money and a recording device. Lucas, Metcalf, and Sheldon followed Bray as he
picked up Jim Williams and proceeded to 435 Tremont Avenue, where Bray and Williams entered
a residence. About half an hour later, Bray and Williams left. After Bray dropped Williams off, he
proceeded to a pre-determined meet location and gave Lucas and Cross 72.2 gross grams of crack
cocaine that Bray said he purchased from Mott inside the residence for $750. The transaction was
recorded, but there is nothing in the record indicating that investigators attempted to verify the
identity of the drug seller on the recording. During a proffer interview after Mott’s indictment,
another target of “Operation Turnaround,” Rico Spires, identified the seller on the recording as
Darren Transou, who lived at 435 Tremont Avenue. Spires said Mott was not involved in the drug
buy.
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Also on September 6, Bray told the investigators that Mott had asked Bray to drive him to
Detroit to purchase more cocaine. Bray said that Mott planned to spend $36,000 on drugs and
wanted to leave the next morning. The investigators planned to have Bray, who would be wired with
a recording device, drive Mott and Spires to Detroit and to have a trooper pull over their vehicle on
the way, giving investigators an opportunity to seize the drug money. On September 7, Mayer and
Special Deputy Wayne Legitt followed Bray, whose vehicle Metcalf was tracking using GPS, to 435
Tremont Avenue, which is referred to as “Mott’s residence” in Lucas’s report. Bray claimed that
when he got to the residence, he was told to meet Mott and Spires at a gas station and to follow them
to Detroit instead of driving them in his car. Bray went to the gas station, where he met Transou and
another woman. According to Lucas’s report, Bray told investigators that he was instructed to follow
Transou, who was driving a 1996 Ford Bronco, because Mott and Spires had already left. A
METRICH officer’s report indicates that investigators did not know that Mott was not in the Bronco
until it was pulled over. The Bronco was searched, but no drugs or money were found.
On September 15, 2005, Bray told investigators that he had arranged to buy more crack
cocaine from Mott. Bray said that he set up the buy by calling Mott at a cell phone number, which
Spires later told investigators was Transou’s number, not Mott’s number. Investigators gave Bray
$2,400 and a recording device, which Faith was monitoring. Lucas and Mayer followed Bray to a
market, where he met a man whom he identified as Mott in the parking lot. Then they followed Bray
and “Mott” to 435 Tremont Avenue. “Mott” went into the residence and returned with another man.
The man handed “Mott” 81.4 gross grams of crack cocaine, and Bray gave “Mott” $1,620 for the
drugs. Bray hid the remaining $780 in buy money behind the radio in his car. In a conversation that
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was captured on Bray’s recording device, Bray told the investigators that Mott wanted more than
$2,400 and that Bray threw in $20 of his own money to make sure that the deal did not “go sour.”
Back at the sheriff’s office, investigators searched Bray’s car and found the $780 hidden behind the
radio. Bray told the investigators, “That’s the rest of ya’ll money right there,” explained that he hid
the money because he did not want to be robbed, and admitted that he actually gave Mott $1,620.
In Lucas’s report regarding the incident, he stated that Bray returned the remaining $780 but did not
mention Bray’s initial lie about how much he paid for the drugs or how the money was discovered
in Bray’s car. Bray continued to work as a confidential informant and suffered no negative
consequences from the incident.
C.
On November 8, 2005, Lucas testified before a grand jury regarding “Operation Turnaround.”
He described Mott as “one of the larger drug dealers” from Detroit. Lucas testified that Bray
purchased 27.6 grams of cocaine from Mott on September 6, 2005. He also testified that
investigators followed Mott and two other men in a Bronco on September 8.2 Finally, Lucas said
that Bray bought 50.8 grams of crack cocaine from Mott on September 15, 2005.
The grand jury issued an indictment on November 9, 2005. Count One charged Mott with
conspiring to possess with intent to distribute and to distribute fifty grams or more of crack cocaine
2
It is unclear whether Lucas was referring to the September 7 incident in which officers
pulled over the Bronco on the way to Detroit or another separate incident on September 8.
7
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from winter 2005 to November 2005 with nineteen other indicted persons.3 Count Fifteen charged
Mott with knowingly and intentionally distributing five grams or more of crack cocaine, in
connection with Bray’s alleged drug buy on September 6. Count Twenty-Two charged Mott with
knowingly and intentionally distributing fifty grams or more of crack cocaine, in connection with
Bray’s alleged drug buy on September 15.
Mott was arrested on November 10, 2005, by Lucas, Cross, Metcalf, and Faith. Lucas
advised Mott of his Miranda rights, and Mott said that he wanted to make a statement. Mott
admitted to selling and transporting crack cocaine in Mansfield for Damadre Brooks but claimed that
he was a middleman who made only a few hundred dollars. Mott denied having any connections to
large-scale dealers in Mansfield and denied transporting kilos of cocaine to Mansfield from Detroit.
Mott said that most of the people who sold large amounts of drugs in Mansfield were supplied “by
a guy named ‘Unc,’” who investigators identified as James Burton. Mott told investigators that Unc
supplied Mott’s girlfriend’s brother, Joe Ward, and her mother, Johnie Parker, and that Unc met with
Ward, Albert Lee, and others to discuss their crack cocaine business.
On March 15, 2006, a grand jury issued a superseding indictment, charging Mott with
essentially the same misconduct as the original indictment.4 On May 2, 2006, Cross and Special
Agent Joseph Harper interviewed Mott. Mott explicitly denied selling Bray crack cocaine on
3
The superseding indictment corrected the dates in the original indictment, alleging that the
conspiracy took place between winter of 2004 and November 2005.
4
Count One of the superseding indictment alleged that the conspiracy took place between
winter of 2004 and November 2005. Mott’s alleged drug sale on September 15, 2005, was charged
in Count Twenty-Four instead of Count Twenty-Two.
8
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September 6, 2005, and September 15, 2005. He admitted to being present at the 435 Tremont
Avenue residence on September 6 when Bray was there but stated that both he and Bray purchased
crack cocaine from Williams. Mott said that Williams was his main source of narcotics but that he
also bought marijuana from Spires on several occasions. Mott stated that he bought cocaine from
“Cheese” and crack cocaine from Bray, Deondray Bradley, and, on one occasion, from Freddie
Parker, Johnie Parker’s husband. Mott also told investigators that he sold narcotics at a house off
Diamond Street with Freddie Parker or at a trailer park off Ashland Road.
Mott pled guilty to Count One of the superseding indictment on May 24, 2006. The charges
regarding the alleged drug buys on September 6 and September 15 were dismissed. Mott also pled
guilty on August 29, 2006, to distributing cocaine base while he was out on bail. He was sentenced
to a term of fifty-one months’ imprisonment on Count One and forty-six months’ imprisonment on
the distribution charge, to run concurrently.
D.
On December 20, 2007, Bray pled guilty to two counts of perjury and five counts of
deprivation of civil rights as a result of his conduct during “Operation Turnaround.” Shortly
thereafter, the government filed a motion for leave of court to dismiss the charges against Mott and
other “Operation Turnaround” defendants. The government acknowledged that “Bray was an
essential witness to the charges” to which the defendants pled guilty or were convicted and that
“Bray’s illegal conduct was so pervasive and his credibility so tainted by his guilty plea” that the
defendants were entitled to new trials or to withdraw their guilty pleas. The district court withdrew
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the defendants’ guilty pleas, vacated their convictions and sentences, and dismissed the charges
against them on January 25, 2008.
E.
On January 22, 2010, Mott filed suit against state and federal officials in the Northern District
of Ohio. The defendants moved for summary judgment on the basis of qualified immunity. The
district court issued an order regarding the defendants’ motions on July 15, 2011. It denied Lucas,
Faith, Metcalf, and Cross qualified immunity as to Mott’s false arrest claim. It denied Lucas and
Mayer qualified immunity as to the fabrication of evidence claim. It granted qualified immunity to
Lucas, Faith, Metcalf, Mayer, and Cross as to all remaining claims. The district court also granted
qualified immunity to Sheldon, Karen P. Tandy, Anthony C. Marotta, Robert L. Corso, John
Ferester, Jamaal Ansari, and Thomas Verihiley.
On July 25, 2011, Mott filed a motion asking the district court to reconsider its dismissal of
his malicious prosecution claim or, in the alternative, to grant him permission to appeal pursuant to
Federal Rule of Civil Procedure 54(b). The district court denied Mott’s motion for reconsideration
but granted his motion for a certification of leave to appeal the dismissal of the malicious
prosecution claim. The district court entered final judgment for the defendants on the claim and
stayed further proceedings pending the resolution of Mott’s appeal and Mayer’s, Faith’s, and
Metcalf’s qualified immunity appeals.
Several months later, Mott reached a settlement agreement with the federal defendants and
agreed to dismiss with prejudice all claims against them. On February 8, 2012, the district court
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approved the partial dismissal. As a result, only Mayer, Faith, Metcalf, Bray, Sheldon, and Richland
County, Ohio, remain as defendants in this action.
II.
This court has jurisdiction to consider the parties’ appeals. We consider Mott’s appeal
pursuant to Federal Rule of Civil Procedure 54(b), which permits a district court to “certify a partial
grant of summary judgment for immediate appeal ‘if the court expressly determines that there is no
just reason for delay.’” Planned Parenthood Sw. Ohio Region v. DeWine, 696 F.3d 490, 500 (6th
Cir. 2012) (quoting Fed. R. Civ. P. 54(b)). Mayer’s, Faith’s, and Metcalf’s appeals of the district
court’s denials of qualified immunity are interlocutory appeals that we hear as final decisions of the
district court pursuant to the “collateral order” doctrine. Gregory v. City of Louisville, 444 F.3d 725,
742 (6th Cir. 2006).
We review a district court’s grant or denial of summary judgment on the basis of qualified
immunity de novo. Simmonds v. Genesee Cnty., 682 F.3d 438, 444 (6th Cir. 2012); Walker v. Davis,
649 F.3d 502, 503 (6th Cir. 2011). Summary judgment is proper where no genuine issue of material
fact exists and the moving party is entitled to judgment as a matter of law. Fed R. Civ. P. 56(a). In
considering a motion for summary judgment, we construe all reasonable inferences in favor of the
nonmoving party. Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 587 (1986).
Qualified immunity protects government officials from liability “when a reasonable official
in the defendant’s position would not have understood his or her actions to violate a person’s
constitutional rights.” Meals v. City of Memphis, 493 F.3d 720, 729 (6th Cir. 2007). “Under the
doctrine of qualified immunity, ‘government officials performing discretionary functions[] generally
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are shielded from liability for civil damages insofar as their conduct does not violate clearly
established statutory or constitutional rights of which a reasonable person would have known.’” Id.
(quoting Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982)).
In Saucier v. Katz, the Supreme Court established a two-step inquiry for determining
whether an official is entitled to qualified immunity. 533 U.S. 194, 201 (2001). We must consider
(1) whether, viewing the evidence in the light most favorable to the injured party, a constitutional
right has been violated; and (2) whether that right was clearly established.5 Id. In Pearson v.
Callahan, the Supreme Court held that while the sequence set forth in Katz is often appropriate, it
is not mandatory, and courts have discretion to decide which of the two prongs of the qualified
immunity analysis to address first. 555 U.S. 223, 236 (2009).
Once a defendant raises the qualified immunity defense, the burden is on the plaintiff to
demonstrate that the official is not entitled to qualified immunity by alleging facts sufficient to show
that the official’s act violated clearly established law at the time that it was committed. Simmonds,
682 F.3d at 444. “To defeat the qualified immunity bar, a plaintiff ‘must present evidence sufficient
to create a genuine issue as to whether the defendant committed the acts that violated the law.’” Id.
(quoting Adams v. Metiva, 31 F.3d 375, 386 (6th Cir. 1994)). “To make out a genuine issue of
5
Some panels of this court have employed a three-step qualified immunity analysis, asking,
in addition to the Katz questions, “whether the plaintiff offered sufficient evidence to indicate that
what the official allegedly did was objectively unreasonable in light of the clearly established
constitutional rights.” Estate of Carter v. City of Detroit, 408 F.3d 305, 311 n.2 (6th Cir. 2005)
(internal quotation marks omitted). “[T]he three-step approach may in some cases increase the
clarity of the proper analysis,” but “[i]n many factual contexts . . . , including this one, the fact that
a right is ‘clearly established’ sufficiently implies that its violation is objectively unreasonable.” Id.
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material fact, plaintiff must present significant probative evidence tending to support her version of
the facts, evidence on which a reasonable jury could return a verdict for her.” Chappell v. City of
Cleveland, 585 F.3d 901, 913 (6th Cir. 2009).
III.
We consider Mott’s appeal first. Mott argues that the district court erroneously concluded
that the defendants had probable cause to prosecute him, and, therefore, that Mott did not meet his
burden of producing evidence that his constitutional right was violated. Mott contends that the
district court committed three errors: (1) it failed to ask whether there was probable cause to
prosecute him for the particular offenses with which he was charged; (2) it held that Mott’s postarrest statement could supply probable cause for his indictment, which pre-dated his arrest; and (3)
it erroneously concluded that the substance of his post-arrest statement supported the charges against
him.
This court recognizes a “‘constitutionally cognizable claim of malicious prosecution under
the Fourth Amendment’” encompassing “wrongful investigation, prosecution, conviction, and
incarceration.” Barnes v. Wright, 449 F.3d 709, 715-16 (6th Cir. 2006) (quoting Thacker v. City of
Columbus, 328 F.3d 244, 259 (6th Cir. 2003)). “The ‘tort of malicious prosecution’ is ‘entirely
distinct’ from that of false arrest, as the malicious-prosecution tort ‘remedies detention accompanied
not by absence of legal process, but by wrongful institution of legal process.’” Sykes v. Anderson,
625 F.3d 294, 308 (6th Cir. 2010) (quoting Wallace v. Kato, 549 U.S. 384, 390 (2007)). The
elements of a malicious prosecution claim under § 1983 when the claim is premised on a violation
of the Fourth Amendment are as follows:
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First, the plaintiff must show that a criminal prosecution was initiated against the
plaintiff and that the defendant made, influenced, or participated in the decision to
prosecute. Second, because a § 1983 claim is premised on the violation of a
constitutional right, the plaintiff must show that there was a lack of probable cause
for the criminal prosecution. Third, the plaintiff must show that, as a consequence
of a legal proceeding, the plaintiff suffered a deprivation of liberty, as understood in
our Fourth Amendment jurisprudence, apart from the initial seizure. Fourth, the
criminal proceeding must have been resolved in the plaintiff’s favor.
Id. at 308-09 (internal quotation marks, citations, and alterations omitted).
Probable cause to initiate a criminal prosecution exists where “facts and circumstances [are]
sufficient to lead an ordinarily prudent person to believe the accused [is] guilty of the crime
charged.” MacDermid v. Discover Fin. Servs., 342 F. App’x 138, 146 (6th Cir. 2009) (internal
quotation marks omitted); see also Cervantes v. Jones, 188 F.3d 805, 811 (7th Cir. 1999) (“Probable
cause means the existence of such facts and circumstances as would excite the belief, in a reasonable
mind, acting on the facts within the knowledge of the prosecutor, that the person charged was guilty
of the crime for which he was prosecuted.” ) (internal quotation marks omitted), overruled on other
grounds by Newsome v. McCabe, 256 F.3d 747, 751 (7th Cir. 2001). As a general rule, “the finding
of an indictment, fair upon its face, by a properly constituted grand jury, conclusively determines the
existence of probable cause.” Barnes, 449 F.3d at 716. However, an exception applies “where the
indictment was obtained wrongfully by defendant police officers who knowingly present[ed] false
testimony to the grand jury.” Cook v. McPherson, 273 F. App’x 421, 424 (6th Cir. 2008); see also
Peet v. City of Detroit, 502 F.3d 557, 566 (6th Cir. 2007) (observing that a judicial determination
of probable cause has no preclusive effect if a claim of malicious prosecution is based on a police
officer’s supplying false information to establish probable cause).
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The district court concluded that the grand jury’s indictment did not establish probable cause
for Mott’s arrest because it was based on false testimony by Lucas. The district court observed that
Lucas’s testimony was based entirely upon unreliable, uncorroborated information from Bray and
that several of Lucas’s statements were misleading or false. Nonetheless, the district court held that
there was probable cause to prosecute Mott based on his post-arrest statement to investigators that
he was involved in drug trafficking. Therefore, the district court concluded that Mott did not meet
his burden of producing evidence that his constitutional right was violated and that the defendants
are entitled to qualified immunity as to Mott’s malicious prosecution claim.
Mott first argues that the district court erred by failing to ask whether there was probable
cause to prosecute him for the particular offenses with which he was charged. He contends that the
probable cause inquiry differs in the context of an arrest and in the context of a decision to charge
or prosecute. Mott is correct. Whether probable cause exists to arrest a suspect is a distinct question
from whether probable cause exists to prosecute an accused. See Sykes, 625 F.3d at 310-11 (“In
order to distinguish appropriately [the claim of malicious prosecution] from one of false arrest, we
must consider not only whether the Defendants had probable cause to arrest the Plaintiffs but also
whether probable cause existed to initiate the criminal proceeding against the Plaintiffs.”). Probable
cause to make an arrest exists when “the facts and circumstances known to the officer warrant a
prudent man in believing that an offense has been committed.” Miller v. Sanilac Cnty., 606 F.3d
240, 248 (6th Cir. 2010) (internal quotation marks omitted) (emphasis added). Probable cause to
prosecute exists when the facts and circumstances are sufficient to lead a reasonable person to
believe that the accused committed the particular offense with which he is to be charged. See, e.g.,
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McKinley v. City of Mansfield, 404 F.3d 418, 445 (6th Cir. 2005) (affirming the district court’s
dismissal of the plaintiff’s malicious prosecution claim because, at the time the plaintiff was charged,
authorities had unchallenged evidence that the plaintiff committed the crimes of which he was
accused).
In the district court’s discussion of Mott’s malicious prosecution claim, it cited Gardenhire
v. Schubert, 205 F.3d 303, 315 (6th Cir. 2000), which discussed probable cause in the context of
arrest. The district court concluded that the defendants had probable cause to prosecute Mott
because his post-arrest statement provided “reasonably trustworthy information sufficient to warrant
a prudent person in believing that Plaintiff had committed or was committing an offense.” The
district court observed that Mott’s post-arrest statement “gave Defendants reasonable belief he had
committed a crime in general, and, specifically, was in some way involved in the drug trade in
Mansfield with individuals from Detroit.” The district court erred by failing to ask whether there
was probable cause to prosecute Mott for the three specific crimes with which he was charged.
Mott also argues that his post-arrest statement could not have provided probable cause to
initiate the criminal proceeding against him. The tort of malicious prosecution remedies the
“‘wrongful institution of legal process.’” Sykes, 625 F.3d at 308 (quoting Wallace, 549 U.S. at 390);
Palshook v. Jarrett, 32 F. App’x 732, 735 (6th Cir. 2002) (“The tort of malicious prosecution makes
liable those who actively initiate and pursue the unwarranted prosecution of a plaintiff.”).
Authorities must have probable cause to initiate a criminal proceeding against a suspect at the time
it is commenced. See Hartman v. Moore, 547 U.S. 250, 258 (2006) (observing that in a malicious
prosecution action, “a plaintiff must show that the criminal action was begun without probable cause
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for charging the crime in the first place”); Sykes, 625 F.3d at 310-11 (looking at “the totality of the
circumstances at the time of the Plaintiffs’ arrest and through the time that the criminal proceeding
against them commenced” to determine whether there was probable cause to prosecute them).
Authorities may not charge a suspect first and develop probable cause later.
In this case, authorities made the decision to charge Mott and the grand jury indicted him
before he spoke with investigators. Thus, Mott’s post-arrest statement could not have provided
probable cause for the charges in the grand jury’s indictment. This is not to say, however, that
Mott’s post-arrest statement could not have supplied probable cause for future charges. Here, the
superseding indictment, which was issued after Mott’s post-arrest statement, charged him with the
same offenses as the original indictment. As we discuss next, there is a genuine issue of material
fact as to whether the content of Mott’s statement supports the charges in the indictment and
superseding indictment. Therefore, the district court clearly erred by finding that Mott’s post-arrest
statement supplied probable cause for his initial indictment, and it also may have erred by finding
that it provided probable cause for the charges in the superseding indictment.
Mott contends that neither his post-arrest statement nor his May 2006 proffer interview
provided probable cause to prosecute him for the crimes with which he was charged. During his
post-arrest statement, Mott did not discuss his alleged crack cocaine sales to Bray on September 6,
2005 or September 15, 2005. During his proffer interview, Mott explicitly denied selling drugs to
Bray on those dates. Thus, Mott argues that his statements did not provide probable cause for the
two distribution charges based on these alleged drug sales. Similarly, Mott argues that his statements
did not demonstrate that he participated in the conspiracy to possess with intent to distribute crack
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cocaine charged in Count One of the indictment and superseding indictment. During Mott’s postarrest statement, he admitted to selling crack cocaine in Mansfield for Damadre Brooks. During
Mott’s proffer interview, he told investigators that he sold narcotics at a house off Diamond Street
with Freddie Parker or at a trailer park off Ashland Road. However, neither Brooks nor Freddie
Parker is a person with whom Mott was accused of conspiring. Mott said during his post-arrest
statement and proffer interview that he was familiar with Burton, Ward, Johnie Parker, Lee,
Williams, and Spires, all of whom were charged as co-conspirators, and that he purchased drugs
from some of them. Mott argues that while his statements indicate that he knew some of the people
involved in the conspiracy, he never admitted to selling drugs with them, much less in the quantities
and during the time period alleged in Count One.
Because the district court failed to ask whether there was probable cause to prosecute Mott
for the three specific crimes with which he was charged, it failed to recognize that Mott presents
enough evidence to establish a genuine issue of material fact as to the second element of his
malicious prosecution claim. We may reverse a district court’s grant of qualified immunity to
defendants on interlocutory appeal where fundamental factual disputes preclude summary judgment.
See Huckaby v. Priest, 636 F.3d 211, 216-17 (6th Cir. 2011) (reversing the district court’s grant of
summary judgment to the defendants where the district court improperly interpreted factual issues
in the light most favorable to the defendants and discounted the plaintiffs’ evidence demonstrating
a factual dispute). The district court improperly granted summary judgment to the defendants on the
ground that Mott could not meet the second element of his claim, and, therefore, we reverse.
However, we note that Mott must demonstrate a genuine issue of material fact as to the first, third,
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and fourth elements of a malicious prosecution claim in order to prevail against the defendants’
qualified immunity defense. We remand to the district court so that it may consider whether Mott
demonstrates a genuine issue of material fact as to all the elements of his claim, thereby precluding
a grant of qualified immunity to the defendants.
IV.
Next , we consider the sole issue that Mayer and Faith raise on appeal, which Metcalf also
raises. Mayer, Faith, and Metcalf argue that the district court effectively ruled against them on the
merits in the process of denying their motions for summary judgment on the basis of qualified
immunity. They point to language in the opinion “that is strikingly final” and argue that the district
court improperly denied them qualified immunity “as a matter of law.”6 They contend that “the
district court’s factual and legal conclusions effectively deny [them] the opportunity to challenge the
merits of Mott’s claims, whether at trial or in a future motion for summary judgment” and that the
district court, in effect, entered summary judgment sua sponte in favor of Mott. Mott agrees that the
district court “essentially entered judgment” against the defendants but argues that the district court
did not abuse its discretion by granting summary judgment in his favor.
6
The district court denied Lucas, Faith, and Metcalf qualified immunity as to Mott’s false
arrest claim “as a matter of law” and denied Cross qualified immunity “due to the presence of a
genuine issue of material fact.” The district court denied Lucas qualified immunity as to the
fabrication of evidence claim “as a matter of law” and denied Mayer qualified immunity “due to the
presence of a genuine issue of material fact.”
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Qualified immunity “is conceptually distinct from the merits of the plaintiff’s claim that his
rights have been violated.” Mitchell v. Forsyth, 472 U.S. 511, 527-28 (1985); Fisher v. Harden, 398
F.3d 837, 842 (6th Cir. 2005). Qualified immunity “is an immunity from suit rather than a mere
defense to liability.” Mitchell, 472 U.S. at 526. It is “part [of] an entitlement not to be forced to
litigate the consequences of official conduct.” Id. at 527. As a result, “[w]here the defendant seeks
qualified immunity, a ruling on that issue should be made early in the proceedings so that the costs
and expenses of trial are avoided where the defense is dispositive.” Katz, 553 U.S. at 200; Hunter
v. Bryant, 502 U.S. 224, 227 (1991) (“[W]e repeatedly have stressed the importance of resolving
immunity questions at the earliest possible stage in litigation.”). When a defendant raises the
qualified immunity defense, the burden is on the plaintiff to demonstrate that the defendant is not
entitled to qualified immunity by alleging facts sufficient to show that the defendant’s act violated
clearly established law at the time that it was committed. Simmonds, 682 F.3d at 444. “To defeat
the qualified immunity bar, a plaintiff ‘must present evidence sufficient to create a genuine issue as
to whether the defendant committed the acts that violated the law.’” Id. (quoting Adams, 31 F.3d
at 386).
When the district court considered the defendants’ motions for summary judgment on the
basis of qualified immunity, it only needed to resolve the narrow issue of whether Mott presented
evidence sufficient to create a genuine issue as to whether the defendants violated his clearly
established rights. Nonetheless, some of the language in the district court’s opinion suggests that
the district court made factual findings and reached conclusions of law with respect to Mott’s
substantive claims in the process of ruling on qualified immunity. For example, the district court
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found in its discussion of Mott’s false arrest claim that both Faith and Metcalf “knew Bray was
unreliable” and “knew the extent to which the investigation relied upon Bray.” Therefore, they
“knew the warrant was based upon false or misleading statements, rendering the warrant invalid and
the arrest based upon that warrant unlawful.” The district court concluded that “Metcalf and Faith
unlawfully arrested Plaintiff in violation of Plaintiff’s constitutional right.”
To the extent that the district court passed judgment on the merits of Mott’s claims, this was
improper. Prior to discovery, the parties were directed to file motions for summary judgment based
on qualified immunity alone. Neither the defendants nor Mott sought summary judgment on the
merits of Mott’s claims. At this stage in the proceedings, Mayer, Faith, and Metcalf had no burden
to produce evidence sufficient to disprove Mott’s claims. They simply needed to invoke the
qualified immunity defense, at which point Mott had the burden of producing evidence sufficient to
create a genuine issue of material fact as to whether the defendants violated his clearly established
rights.
The fact remains, however, that while the district court denied the defendants qualified
immunity, it did not enter summary judgment in Mott’s favor on the false arrest or fabrication of
evidence claims. Thus, there is no ruling in Mott’s favor for this court to overturn. When the district
court approved the dismissal of Mott’s claims against the federal defendants, the district court’s last
significant action in this case, it acknowledged that claims remain pending against Mayer, Faith, and
Metcalf. While Mayer, Faith, and Metcalf are not entitled to qualified immunity at this stage, they
may raise this argument again in future motions for summary judgment or as an affirmative defense
at trial. They remain free to attack Mott’s claims on the merits. We affirm the district court’s denial
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of qualified immunity to Mayer, Faith, and Metcalf, but we emphasize that, notwithstanding some
of the language in the district court’s opinion, the defendants may raise the qualified immunity
defense and contest their liability as the proceedings continue.
V.
Finally, we turn to Metcalf’s argument that the evidence does not support a finding that he
falsely arrested Mott. Metcalf contends that, among other things: (1) he did not know that Lucas
testified falsely before the grand jury; (2) he was unaware of Bray’s misconduct; (3) he did not
participate in Bray’s alleged drug buy from Mott on September 15, 2005; and (4) investigators
corroborated Bray’s information by monitoring his drug buys.
A defendant who appeals a denial of qualified immunity “should be prepared to concede the
best view of the facts to the plaintiff and discuss only the legal issues raised by the case.” Berryman
v. Rieger, 150 F.3d 561, 564 (6th Cir. 1998). “Once a defendant’s argument drifts from the purely
legal into the factual realm and begins contesting what really happened, our jurisdiction ends and the
case should proceed to trial.” Id. at 564-65. The district court recognized that Mott presented
evidence creating a genuine issue of material fact as to whether Metcalf violated Mott’s clearly
established constitutional rights. Metcalf ignores the evidence presented by Mott and instead
emphasizes facts that he argues are favorable to him. We lack jurisdiction to decide factual disputes
on interlocutory appeal. Id. Therefore, we dismiss Metcalf’s appeal to the extent it is based on an
argument that the evidence does not support a finding of false arrest.
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VI.
For these reasons, we reverse the district court’s grant of summary judgment to the
defendants as to the malicious prosecution claim and remand to the district court for further
proceedings. We affirm the district court’s denial of Mayer’s and Faith’s motions for summary
judgment on the basis of qualified immunity. We dismiss Metcalf’s challenge to the district court’s
denial of qualified immunity for lack of jurisdiction.
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