Lauria v. United States Department of Homeland Security et al
Filing
26
ORDER granting in part and denying in part 17 Motion to Dismiss for Lack of Jurisdiction. Proof of service as to defendant Heitstuman shall be filed forthwith. Signed by Judge Sharon L. Gleason on 6/4/21. (JLH, COURT STAFF)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF ALASKA
ANDREA LAURIA,
Plaintiff,
v.
Case No. 3:20-cv-00210-SLG
UNITED STATES OF AMERICA and
BERT CHRISTOPHER HEITSTUMAN,
Defendants.
ORDER RE MOTION TO DISMISS
Before the Court at Docket 17 is the United States of America’s Motion to
Dismiss for Lack of Subject Matter Jurisdiction.1 Plaintiff Andrea Lauria responded
in opposition at Docket 18. The United States replied at Docket 20. Oral argument
was not requested and was not necessary to the Court’s decision.
For the
following reasons, the United States’ motion will be granted in part and denied in
part.
BACKGROUND
The allegations in Plaintiff’s Third Amended Complaint are as follows: In the
fall of 2017, Plaintiff worked as Head of Security for the Anchorage Museum. On
the morning of September 12, 2017, Plaintiff contacted law enforcement because
The United States filed its motion to dismiss prior to the filing of Plaintiff’s third amended
complaint; however, the United States stated that its motion “should be considered to apply to the
Third Amended Complaint without needing additional briefing.” Docket 22 at 2 (Non-Opp. to
Plaintiff’s Mot. for Leave to File Third Am. Compl.).
1
an intoxicated woman was causing a disturbance outside the museum, including
allegedly making a bomb threat. While waiting outside for Anchorage police to
arrive, a Department of Homeland Security (“DHS”) officer drove by and stopped.
That individual was Homeland Security Officer Bert Christopher Heitstuman who,
in official uniform, approached Plaintiff and gave the impression that he was
responding to the incident.2
As part of his purported investigation, Mr. Heitstuman requested video
footage of the incident.
Plaintiff explained that it would take some time to
download, and Mr. Heitstuman directed her to contact him later that day when it
was ready. When Mr. Heitstuman returned to ostensibly collect the footage, he
sexually assaulted Plaintiff. After the attack, Mr. Heitstuman threatened Plaintiff,
pointing to his uniform and stating that no one would believe her because of his
position in law enforcement. Mr. Heitstuman contacted Plaintiff several times over
the following days, demanding that she engage with him in a sexually explicit
manner.3
On or about September 19, 2017, Mr. Heitstuman returned to the museum
in his Homeland Security uniform under the pretext of following up on his purported
investigation. Mr. Heitstuman went to Plaintiff’s office, where he again sexually
Docket 25 at 3, ¶¶ 7, 8 (Third Am. Compl.). Anchorage police officers arrived subsequently and
arrested the woman who caused the disturbance. Docket 25 at 3, ¶ 9; Docket 19-1 at 9 (Admin.
Claim Form); Docket 17 at 6, 11 (Mot. to Dismiss).
2
3
Docket 25 at 3–4, ¶¶ 10–13 (Third Am. Compl.).
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assaulted her. Mr. Heitstuman again warned Plaintiff, stating that no one would
believe her because he was a Homeland Security officer.4
Mr. Heitstuman continued to harass Plaintiff through October 2017. Plaintiff
eventually contacted the police and obtained a protective order. On February 25,
2021, Mr. Heitstuman was criminally indicted on seven counts of sexual assault,
involving incidents with three different victims that occurred between 2012 and
2018.5
As relevant here, Plaintiff brings several claims pursuant to the Federal Tort
Claims Act (“FTCA”), 28 U.S.C. §§ 1346, 2671 et seq. Plaintiff alleges that Mr.
Heitstuman committed various intentional torts while acting within the scope of his
employment as a federal law enforcement officer; that the United States
negligently hired, trained, and supervised Mr. Heitstuman; and that the United
States negligently inflicted emotional distress on Plaintiff.6
LEGAL STANDARD
I.
Federal Tort Claims Act
The FTCA provides for a limited waiver of sovereign immunity by granting
federal district courts jurisdiction over “civil actions on claims against the United
4
Docket 25 at 4, ¶ 14 (Third Am. Compl.).
5
Docket 25 at 5, ¶¶ 15, 16 (Third Am. Compl.) (citing Docket 25-1 (Indictment)).
Docket 25 at 6–11, ¶¶ 21–53 (Third Am. Compl.) (Causes of Action). Plaintiff has also pleaded
an aided-in-agency cause of action. Docket 25 at 11–12, ¶¶ 54–56. However, Plaintiff expressly
abandoned this claim in her opposition brief. Docket 18 at 1 (Opp.) (“Plaintiff concedes that the
Thirteenth Cause of Action for Aided in Agency should be dismissed.”).
6
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States . . . for injury or loss of property, or personal injury or death caused by the
negligent or wrongful act or omission of any employee of the Government while
acting within the scope of his office or employment.”7
The Act, however, does not waive sovereign immunity for certain categories
of intentional torts, specifically those “arising out of assault, battery, [or] false
imprisonment.”8 However, there is an exception to the intentional tort exception
known as the “law enforcement proviso,” which waives sovereign immunity for
certain intentional tort claims committed by “investigative or law enforcement
officers of the United States Government.”9
The Act also retains sovereign
immunity for acts “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.”10 In addition, the FTCA requires a plaintiff to
first exhaust administrative remedies before pursuing a claim in federal court.11
28 U.S.C. § 1346(b)(1). The FTCA is the exclusive remedy for torts committed by employees of
the United States while acting within their scope of their employment. See United States v. Smith,
499 U.S. 160, 166 (1991); Wilson v. Drake, 87 F.3d 1073, 1076 (9th Cir. 1996).
7
8
28 U.S.C. § 2680(h).
§ 2680(h). The statute defines an investigative or law enforcement officer as “any officer of the
United States who is empowered by law to execute searches, to seize evidence, or to make
arrests for violations of Federal law.”
9
10
28 U.S.C. §§ 2680(a). This provision is known as the “discretionary function exception.”
11
28 U.S.C. § 2675(a).
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II.
Federal Rule of Civil Procedure 12(b)
The question of whether the United States has waived its sovereign
immunity under the FTCA is one of subject matter jurisdiction and may be
considered under either Federal Rule of Civil Procedure 12(b)(1) or 12(b)(6) or
both.12 Pursuant to Rule 12(b)(1), a defendant may attack a complaint for lack of
subject matter jurisdiction either by a “facial” or a “factual” attack. 13 In a facial
attack, the defendant accepts the truth of the plaintiff’s allegations but asserts that
they “are insufficient on their face to invoke federal jurisdiction.”14 In a factual
attack, a defendant may present extrinsic evidence to demonstrate that the
complaint lacks jurisdiction based on the facts of the case.15
Here, the United States brings a facial attack. “The district court resolves a
facial attack as it would a motion to dismiss under Rule 12(b)(6): Accepting the
plaintiff’s allegations as true and drawing all reasonable inferences in the plaintiff’s
favor, the court determines whether the allegations are sufficient as a legal matter
to invoke the court’s jurisdiction.”16 In an FTCA case, “a plaintiff must plausibly
See Brownback v. King, 141 S. Ct. 740, 749 & n.8 (2021) (holding that when in an FTCA case
“pleading a claim and pleading jurisdiction entirely overlap,” the district court may dismiss the
claim under Rule 12(b)(1) or Rule 12(b)(6) or both); see also McCarthy v. United States, 850 F.2d
558, 560 (9th Cir. 1988) (applying Rule 12(b)(1) to motion to dismiss FTCA claim).
12
13
White v. Lee, 227 F.3d 1214, 1242 (9th Cir. 2000).
14
Safe Air for Everyone v. Meyer, 373 F.3d 1035, 1039 (9th Cir. 2004).
15
Leite v. Crane Co., 749 F.3d 1117, 1121 (9th Cir. 2014); Safe Air for Everyone, 373 F.3d at 1039.
16
Leite, 749 F.3d at 1121 (citing Pride v. Correa, 719 F.3d 1130, 1133 (9th Cir. 2013)).
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allege that ‘the United States, if a private person, would be liable to the claimant’
under state law.”17 Before a court may dismiss any portion of a complaint for failure
to state a claim upon which relief may be granted, the court must provide the
plaintiff with a statement of the deficiencies in the complaint and an opportunity to
amend or otherwise address the problems, unless to do so would be futile.18
DISCUSSION
I.
Claim Presentation Requirement
The United States asserts that Plaintiff failed to present to the agency her
negligent hiring, training, and supervision and negligent infliction of emotional
distress claims, as required by 28 U.S.C. § 2675(a), because the administrative
claim form that Plaintiff submitted to DHS “relate[d] only to Heitstuman’s intentional
acts.”19
The United States highlights that “Plaintiff attached a pleading-style
document to her claim that mirrored parts of her federal court complaint but omitted
the parts that alleged negligence on behalf of DHS.”20 Plaintiff responds that she
submitted an “intentionally broad administrative claim” that set “forth the factual
background of what occurred.”21 Plaintiff contends that DHS’s “separate duty to
17
Brownback, 141 S. Ct. at 749 (quoting 28 U.S.C. § 1346(b)(1)).
18
Garmon v. Cnty. of L.A., 828 F.3d 837, 842 (9th Cir. 2016).
Docket 17 at 2, 12–13 (Mot. to Dismiss) (“The Court does not have jurisdiction over Plaintiff’s
negligence claims against the United States because she did not present a negligence claim to
the appropriate agency before bringing those claims, as required by the FTCA.”).
19
20
Docket 20 at 14–15 (Reply) (citing Docket 19-1 at 5–8 (Admin. Claim Form)).
21
Docket 18 at 12–13 (Opp.).
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protect members of the public, like the Plaintiff, from harm” would be “discernible
to any educated reader at the administrative level and should therefore not be
dismissed.”22
A district court cannot exercise subject matter jurisdiction over an FTCA
action unless the plaintiff “shall have first presented the claim to the appropriate
Federal agency.”23 “A claim is deemed presented for purposes of § 2675(a) when
a party files ‘(1) a written statement sufficiently describing the injury to enable the
agency to begin its own investigation, and (2) a sum certain damages claim.’”24
The claim presentation requirement “is designed to ensure that compensation is
provided in a fair and equitable manner, not to provide a basis for a regulatory
checklist which, when not fully observed, permits the termination of claims
regardless of their merits.”25
Accordingly, the Ninth Circuit has “consistently
interpreted the notice required under section 2675(a) as minimal.”26 “[A] skeletal
22
Docket 18 at 13 (Opp.).
23
28 U.S.C. § 2675(a).
Blair v. IRS, 304 F.3d 861, 864 (9th Cir. 2002) (quoting Warren v. United States Dep’t of Interior
Bureau of Land Mgmt., 724 F.2d 776, 780 (9th Cir.1984) (en banc)). The parties do not dispute
that Plaintiff presented a “sum certain damages claim.”
24
25
Id. at 868 (internal quotation marks omitted).
Shipek v. United States, 752 F.2d 1352, 1354 (9th Cir. 1985) (holding that a plaintiff “should not
be jurisdictionally limited by her administrative claim from pursuing any legal theory encompassed
by the facts set forth in her claim”).
26
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claim form, containing only the bare element[] of notice of accident and injury . . .
suffices to overcome an argument that jurisdiction is lacking.”27
Broudy v. United States is instructive here.28 In that case, the Ninth Circuit
considered the sufficiency of the plaintiff’s administrative claim that alleged injury
stemming from exposure to radiation.29 The court held that the claim, which stated
“the location and date of the accident, the nature and extent of the injury . . . and
a description of how the accident occurred[,] . . . gave the agency notice to
commence investigation by providing information concerning the accident and
injury.”30 The government in that case, however, contended that the plaintiff’s
administrative claim did “not refer to the separate post-service tort of the
[g]overnment’s alleged failure to warn” the plaintiff about the dangers associated
with radiation exposure.31 The Ninth Circuit squarely rejected this argument. The
court stated that “[w]e see nothing in section 2675(a) or the regulations which
require the claimant to state with great specificity the legal theories to be asserted
in the eventual FTCA action.”32 The court concluded that, “in keeping with the
Avery v. United States, 680 F.2d 608, 610 (9th Cir. 1982) (“[W]e hold that where a claimant
gives notice of the manner and general circumstances of injury and the harm suffered . . . he
has complied with section 2675(a)”).
27
28
722 F.2d 566 (9th Cir. 1983).
29
Id. at 567.
30
Id. at 568–69.
31
Id.
32
Id. at 568–69.
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Congressional purpose of ‘providing fair and equitable treatment of private
individuals and claimants when they deal with the Government,’ we hold that
appellant satisfied the requirements of section 2675(a) and the accompanying
regulations.”33
Here, Plaintiff submitted an administrative claim to the appropriate agency,
DHS.34 Plaintiff attached to the standard form a pleading-style “Basis of Claim”
document, which principally set forth the factual events surrounding the sexual
assaults.35 As the United States accurately points out, Plaintiff “omitted the parts
[of the pleading-style document] that alleged negligence on behalf of DHS.”36
However, under Ninth Circuit precedent, Plaintiff’s omission of the negligence
claims against the United States does not necessarily defeat the claim
presentation requirement. Like the plaintiff in Broudy, Plaintiff here provided the
location and date of the incident, the nature and extent of the injury, and a
description of how the incident occurred.37 This information gave DHS sufficient
“notice to commence investigation by providing information concerning the
33
Id. at 569 (quoting S. Rep. No. 1327, at 2 (1966)).
34
See Docket 19-1 (Admin. Claim Form).
Docket 19-1 at 5–8 (Admin. Claim Form). Plaintiff also attached a news article about the
incident. Docket 19-1 at 9.
35
36
Docket 20 at 14–15 (Reply) (citing Docket 19-1 at 5–8 (Admin. Claim Form)).
37
Broudy, 722 F.2d at 568.
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accident and injury.”38 Plaintiff was not required to “state with great specificity the
legal theories to be asserted in the eventual FTCA action [here].”39
Furthermore, Plaintiff’s claim form went beyond what is required by Ninth
Circuit precedent. In the form, Plaintiff stated that “[a]s a direct and proximate
result of Officer Heitstuman’s intentional acts and the culpable conduct of [DHS]
Ms. Lauria has suffered physical pain and ongoing extreme emotional distress.”40
This statement was sufficient to place the United States on notice that it too may
be independently liable, especially in light of Plaintiff’s allegation that the United
States received numerous complaints about Mr. Heitstuman’s inappropriate
conduct prior to the assault of Plaintiff.41
The United States relies on one precedential case, Goodman v. United
States.42 But Goodman addressed a discrete issue and otherwise reiterated circuit
precedent.43 The Ninth Circuit held that a plaintiff “need only file a brief notice or
statement with the relevant federal agency containing a general description of the
38
Id.
Id. at 568–69; Rooney v. United States, 634 F.2d 1238, 1242 (9th Cir. 1980) (“The Government
would have us also require a claimant to state his legal theory for recovery. This we cannot do.”).
39
40
Docket 19-1 at 8, ¶ 14 (Admin. Claim Form) (emphasis added).
41
Docket 25 at 5, ¶¶ 18, 19 (Third Am. Compl.).
42
298 F.3d 1048 (9th Cir. 2002); Docket 17 at 13 (Mot. to Dismiss); Docket 20 at 3 (Reply).
The court in Goodman addressed “whether an administrative claim that alleges negligent care
and treatment by hospital personnel necessarily presents an informed consent claim for purposes
of satisfying the notice requirements of section 2675(a).” 298 F.3d at 1055 (emphasis added).
The Goodman court declined to adopt that categorical rule, but nonetheless held that the
administrative claim adequately presented a lack of informed consent claim. Id. at 1057.
43
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time, place, cause and general nature of the injury.”44 “Furthermore,” the court
continued, “the notice requirement under section 2675 is minimal, and a plaintiff’s
administrative claims are sufficient even if a separate basis of liability arising out
of the same incident is pled in federal court.”45 Accordingly, Goodman supports
the sufficiency of Plaintiff’s administrative claim.
In conclusion, the Court finds that Plaintiff’s administrative claim form meets
the Ninth Circuit’s minimal presentation requirement and, therefore, Plaintiff’s
negligent hiring, training, and supervision and negligent infliction of emotional
distress claims against the United States are not barred by Section 2675(a).46 The
United States’ motion to dismiss these claims on this basis will be denied.47
44
Id. at 1055 (citing Warren, 724 F.2d at 779 and Avery, 680 F.2d at 610).
45
Id.
See, e.g., Boyd v. AMR Hous., Case No. CV 06-00373 HG-LEK, 2007 WL 9711275, at *8
(D. Haw. Mar. 22, 2007) (holding plaintiff’s administrative claim form sufficient for purposes of
§ 2675(a) even though it “d[id] not expressly include a failure to train or supervise claim”); Bennion
v. United States, Case No. CV04-614-N-EJL, 2006 WL 1663596, at *3 (D. Idaho June 7, 2006)
(permitting premises liability claim to move forward under § 2675(a) even though administrative
claim only stated negligence of government employee).
46
But see 28 U.S.C. § 2680(a); Miller v. United States, 992 F.3d 878, 886 (9th Cir. 2021) (“This
court and others have held that decisions relating to the hiring, training, and supervision of
employees usually involve policy judgments of the type Congress intended the discretionary
function exception to shield.”); Nurse v. United States, 226 F.3d 996, 1001 (9th Cir. 2000) (holding
that “policy-making defendants’ allegedly negligent and reckless employment, supervision and
training” of customs agents “fall squarely within the discretionary function exception”). In its
briefing, the United States did not assert that this exception applied.
47
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II.
Scope of Employment
The FTCA only applies to claims based on the conduct of a federal employee
“acting within the scope of his office or employment.”48
“FTCA scope of
employment determinations are made ‘according to the principles of respondeat
superior of the state in which the alleged tort occurred.’”49
Here, the alleged tort occurred in Alaska.
In determining whether an
employee was acting within his scope of employment, Alaska courts apply a
“flexible, multi-factored test.”50 Under this test, “an employee acts within the scope
of employment if the employee (1) performs the kind of work the employee was
hired to perform, (2) acts within the employer’s authorized time and space limits,
and (3) acts in order to further the employer’s interests.”51
48
28 U.S.C. § 1346(b)(1).
Drake, 87 F.3d at 1076 (quoting Pelletier v. Fed. Home Loan Bank, 968 F.2d 865, 876 (9th Cir.
1992)).
49
50
Doe v. Samaritan Counseling Ctr., 791 P.2d 344, 346 (Alaska 1990).
Lane v. City of Juneau, 421 P.3d 83, 95 (Alaska 2018) (internal quotation marks omitted). This
test is derived from Section 228 of the Restatement (Second) of Agency. See Samaritan
Counseling Ctr., 791 P.2d at 347. Section 228 provides:
51
(1) Conduct of a servant is within the scope of employment if, but only if:
(a) it is of the kind he is employed to perform;
(b) it occurs substantially within the authorized time and space limits;
(c) it is actuated, at least in part, by a purpose to serve the master, and
(d) if force is intentionally used by the servant against another, the use of force is
not unexpected by the master.
(2) Conduct of a servant is not within the scope of employment if it is different in kind from
that authorized, far beyond the authorized time or space limits, or too little actuated by a
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Principally relying on this Court’s decision in D.W.J. v. Wausau Business
Insurance Co.,52 which addressed the Alaska Supreme Court’s decision in VECO,
Inc. v. Rosebrock,53 the United States asserts that Mr. Heitstuman’s conduct
cannot fall within the scope of his employment as a matter of law.54 The United
States further asserts that the third Restatement factor is independently
determinative of the scope of employment question under Rosebrock.55 Plaintiff
responds that Rosebrock “does not stand for [the] categorical prohibition” that “an
employee who commits sexual assault can never be acting within the scope of his
employment.”56 Plaintiff explains that Rosebrock “arose in the context of a punitive
damage award against the company for sexual harassment committed by a
supervisor [and] [t]he Alaska Supreme Court noted that an employer can be liable
purpose to serve the master.
However, the Alaska Supreme Court has held that Restatement factors “are relevant
considerations, but are not determinative of the respondeat superior analysis.” Rather, the factors
are “guidelines which are useful in making . . . the determination as to when an employee’s tort
will be attributed to the employer.” Samaritan Counseling Ctr., 791 P.2d at 347 (quoting Williams
v. Alyeska Pipeline Serv. Co., 650 P.2d 343, 349 (Alaska 1982)).
52
192 F. Supp. 3d 1014 (D. Alaska 2016).
53
970 P.2d 906 (Alaska 1999).
54
Docket 17 at 9–10 (Mot. to Dismiss); Docket 20 at 4–7 (Reply).
55
Docket 17 at 9 (Mot. to Dismiss).
56
Docket 18 at 9 (Opp.).
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in such circumstances, but limited the employer’s punitive damage liability to
specific circumstances.”57
Plaintiff is correct that the scope of employment issue in Rosebrock was in
the context of reviewing a jury instruction that permitted the jury to award punitive
damages against an employer for sexual harassment committed by a supervisor,
irrespective of whether the jury found the supervisor was acting within the scope
of his employment.58 Rosebrock did not address whether sexual assault, stalking,
or harassment can never fall within an employee’s scope of employment, as a
matter of law, in a vicarious liability context.59
Plaintiff also contends that the Alaska Supreme Court’s recent decision in
Lane v. City of Juneau, 421 P.3d 83 (2018), which was decided after Rosebrock
57
Docket 18 at 9 (Opp.).
Rosebrock, 970 P.2d at 923–24 (holding trial court erred in instructing jury that it could award
punitive damages against employer for acts of supervisor beyond scope of supervisor’s
employment).
58
This Court’s language in D.W.J., 192 F. Supp. 3d at 1020, too broadly pronounced that “[u]nder
Rosebrock, an employee must be acting at least in part with a purpose to serve the master, and
an employee perpetrating a sexual assault cannot do such.” At that time, this Court lacked the
benefit of the Alaska Supreme Court’s decision in Lane, which is discussed below.
59
Plaintiff also raises legitimate questions as to whether Rosebrock’s language concerning the
dispositive nature of the third Restatement factor is dicta given that the scope of employment was
not directly at issue in that case. See Rosebrock, 970 P.2d at 924 n.36 (“In Doe v. Samaritan
Counseling Center, 791 P.2d 344, 348 (Alaska 1990), we stated the ‘motivation to serve’ test
would be satisfied ‘where tortious conduct arises out of and is reasonably incidental to the
employee’s legitimate work activities.’ To the extent that this language suggests that the
employee’s act need not be motivated in fact at least to some degree to serve the master's
business we disapprove of it.”). But see Lane, 421 P.3d at 95 n.73 (“We have ‘rejected the Second
Restatement’s view that each of the [section] 228(1)[] factors must be satisfied prerequisite to
recovery, and noted instead that the importance of various factors’ should be weighed by the factfinder in each case.” (quoting Samaritan Counseling Ctr., 791 P.2d at 347 (alterations in original)).
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and D.W.J., instructs that “it cannot be conclusively said that Agent Heitstuman’s
conduct falls outside the scope of employment because it was not actuated to
serve the master.”60
Plaintiff asserts that Mr. Heitstuman’s conduct was “at
minimum reasonably incidental to the scope of his employment” because “[h]e was
on duty responding to a possible crime, he was in uniform, and he was performing
follow-up investigative functions.”61 The United States argues that Lane is factually
distinguishable.62
In Lane, a shooting victim at a campground sued the municipality that
operated it. The shooting victim asserted that the campground’s caretaker had
performed his duties negligently, that his negligence caused the shooting, and that
the municipality was vicariously liable.
The caretaker had become heavily
intoxicated with several campers and passed around two firearms, conduct that
was strictly prohibited by campground rules. After a dispute, another camper shot
the plaintiff camper with one of the caretaker’s firearms. The caretaker’s job duties
arguably included socializing with campground residents. The trial court granted
summary judgment to the municipality.63
60
Docket 18 at 11 (Opp.).
61
Docket 18 at 11 (Opp.).
62
Docket 20 at 8 (Reply).
63
Lane, 421 P.3d at 86–88.
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Reversing the trial court, the Alaska Supreme Court held
“we
cannot . . . conclude as a matter of law that [the caretaker’s] conduct was not
‘reasonably incidental’ to his employment.”64 The court first observed that the
scope of employment issue is a “fact specific inquiry for the jury unless the facts
are undisputed or lend themselves to only one conclusion.”65 The court then held
that while “[s]ome of the facts in the record support the [] conclusion” that the
caretaker was acting outside the scope of his employment, others did not, including
that he was supposed to “‘be available’ to campers”; that he testified he was “‘off
the clock,’ but in fact he had no set work hours”; and that his “mere presence at
the campground may have benefit[]ed” his employer.66 The court concluded that
“[o]ur precedent has established that an employee who exercises poor
judgment . . . may nevertheless act within the scope of his employment. And [the
caretaker’s] poor judgment in this case does not conclusively demonstrate that his
behavior on the night of the shooting was not ‘reasonably incidental’ to his work
responsibilities. One could argue that [the caretaker] was doing his job but doing
it poorly.”67
Id. at 95; see Samaritan Counseling Ctr., 791 P.2d at 348 (“[W]here tortious conduct arises out
of and is reasonably incidental to the employee’s legitimate work activities, the “motivation to
serve” test will have been satisfied.”).
64
65
Lane, 421 P.3d at 94 (quoting Ondrusek v. Murphy, 120 P.3d 1053, 1057 (Alaska 2005)).
66
Id. at 95.
Id. at 95–96 (citing Laidlaw Transit, Inc. v. Crouse ex rel. Crouse, 53 P.3d 1093, 1099 (Alaska
2002)).
67
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Like the plaintiff in Lane, Plaintiff plausibly alleges that Mr. Heitstuman was
acting within the scope of his employment when he was investigating a disturbance
near the federal building in downtown Anchorage.
Plaintiff alleges that Mr.
Heitstuman was in uniform, drove a Homeland Security vehicle, and, at least
implicitly, represented that he had the authority to investigate the museum
incident.68 These allegations support the assertion that Mr. Heitstuman’s conduct
may have been reasonably incidental to his employment because the assaults
occurred in the context of the purported investigation. And even though Mr.
Heitstuman’s conduct may have been criminal or an intentional tort, that conduct
allegedly occurred in the context of—or was even facilitated by—Mr. Heitstuman’s
employment as a DHS officer.69
The United States attempts to dispute that Mr. Heitstuman had the authority
to investigate at the museum.70 However, the statutory language cited by the
United States, 40 U.S.C. § 1315, does not categorically preclude Mr. Heitstuman’s
purported investigation. Pursuant to Section 1315, the Secretary of Homeland
Security may designate “officers and agents for duty in connection with the
68
See, e.g., Docket 25 at 3, ¶¶ 8, 9 (Third Am. Compl.).
The United States also attempts to distinguish Lane on the basis that “the caretaker in Lane
was not accused of a violent act” unlike Mr. Heitstuman here. Docket 20 at 9 (Reply). However,
this is a distinction without a difference, especially given the Alaska Supreme Court’s instructions
that “even crimes and intentional torts may be within the scope of employment if they serve the
employer’s interests.” Lane, 421 P.3d at 95.
69
70
Docket 17 at 10 (Mot. to Dismiss).
Case No. 3:20-cv-00210-SLG, Lauria v. United States, et al.
Order re Motion to Dismiss
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protection of property owned or occupied by the Federal Government and persons
on the property, including duty in areas outside the property to the extent
necessary to protect the property and persons on the property.”71 Officers and
agents are empowered to “enforce Federal laws and regulations for the protection
of persons and property” and “conduct investigations, on and off the property in
question, of offenses that may have been committed against property owned or
occupied by the Federal Government or persons on the property.”72 Based on this
language, and given the museum’s proximity to the federal building in downtown
Anchorage, it cannot be conclusively said that Mr. Heitstuman wholly lacked
authority to conduct an investigation of a disturbance at the museum.73 Accepting
as true the allegations in the operative complaint, the Court cannot “conclude as a
matter of law that [Mr. Heitstuman’s] conduct was not ‘reasonably incidental’ to his
employment.”74
71
40 U.S.C. § 1315(b)(1) (emphasis added).
72
40 U.S.C. § 1315(b)(2)(A), (E) (emphasis added).
As the United States recognizes, the incident included a bomb threat. See Docket 17 at 6, 11
(Mot. to Dismiss). Further, according to a news article attached to Plaintiff’s administrative claim
form, Anchorage “Police [] contacted the Department of Homeland Security to work on evacuating
the museum during the incident.” Docket 19-1 at 9. The fact that DHS may have played a
substantive role in responding to the incident supports Plaintiff’s allegations that Mr. Heitstuman
was acting within the scope of his employment. It also raises some question as to whether DHS
has some responsibility or authority over the museum property itself. But at the motion to dismiss
stage, the Court need not resolve these issues.
73
74
Lane, 421 P.3d at 95.
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Alaska Supreme Court precedent supports Plaintiff’s position that criminal
or intentional conduct does not categorically fall outside the scope of employment
as a matter of law. As discussed in Lane:
An employee’s conduct does not fall outside the scope of employment
simply because it is discouraged, or even prohibited. We have noted
that even crimes and intentional torts may be within the scope of
employment if they serve the employer’s interests, albeit “in a
perverted sense.” For example, we have held that a union steward
who incited a violent confrontation with a rival union was “motivated,
at least in part,” to serve his union’s interests; that a therapist’s
abusive sexual relationship with a patient could be found to be
“incidental” to the therapist’s professional duties; and that a school
bus driver with “trace amounts of marijuana” in her system acted
within the scope of her employment because she nonetheless “carried
out the very function [she] was hired to perform—driving a school
bus.” In each of these cases we noted the “flexible” and fact-specific
nature of the scope-of-employment question.75
Given Plaintiff’s plausible allegations that Mr. Heitstuman’s conduct during his
investigation at the museum was reasonably incidental to his employment, the
United States’ motion to dismiss the tort claims based on Mr. Heitstuman’s conduct
will be denied.
CONCLUSION
In light of the foregoing, IT IS ORDERED THAT the United States’ Motion to
Dismiss at Docket 17 is GRANTED IN PART and DENIED IN PART as follows:
The United States’ Motion to Dismiss is GRANTED as to Count 13.
Lane, 421 P.3d at 94–95 (citing Williams, 650 P.2d at 350 (union steward); Samaritan
Counseling Ctr., 791 P.2d at 348 (therapist); and Laidlaw Transit, Inc., 53 P.3d at 1096, 1099
(school bus driver)) (alteration in original) (footnotes omitted).
75
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Order re Motion to Dismiss
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The United States’ Motion to Dismiss is DENIED as to Counts 1–12.
It is FURTHERED ORDERED that proof of service as to defendant
Heitstuman shall be filed forthwith. Pursuant to Federal Rule of Civil Procedure
4(m), service was to have been accomplished within 90 days from the filing of the
complaint.
Dated this 4th day of June, 2021, at Anchorage, Alaska.
/s/ Sharon L. Gleason
UNITED STATES DISTRICT JUDGE
Case No. 3:20-cv-00210-SLG, Lauria v. United States, et al.
Order re Motion to Dismiss
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