Spalding et al v. City Of Chicago et al
Filing
81
MEMORANDUM Opinion and Order Written by the Honorable Gary Feinerman on 3/10/2014.Mailed notice.(jlj, )
UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
SHANNON SPALDING and DANIEL ECHEVERRIA,
Plaintiffs,
vs.
CITY OF CHICAGO, JUAN RIVERA, DEBRA KIRBY,
JAMES O’GRADY, NICHOLAS ROTI, KEVIN
SADOWSKI, DEBORAH PASCUA, ADRIENNE
STANLEY, MAURICE BARNES, ROBERT CESARIO,
JOSEPH SALEMME, and THOMAS MILLS,
Defendants.
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12 C 8777
Judge Feinerman
MEMORANDUM OPINION AND ORDER
Shannon Spalding and Daniel Echeverria, both officers with the Chicago Police
Department (“CPD”), brought this suit under 42 U.S.C. § 1983 and Illinois law against the City
of Chicago and eleven other CPD officers. The amended complaint alleges that Defendants
violated the First Amendment and the Illinois Whistleblower Protection Act, 740 ILCS 174/15,
by conspiring to retaliate and actually retaliating against Plaintiffs for reporting criminal
misconduct by other CPD officers to the FBI and for speaking to the media about this lawsuit.
Doc. 44. The City and nine of the officers (collectively, “Chicago Defendants”) have moved to
dismiss the suit under Federal Rule of Civil Procedure 12(b)(6), and the two other officers, Juan
Rivera and Debra Kirby, have adopted that motion and filed separate Rule 12(b)(6) motions.
Docs. 57, 59-60. The motions to dismiss are denied.
Background
In considering the motions to dismiss, the court assumes the truth of the amended
complaint’s factual allegations, though not its legal conclusions. See Munson v. Gaetz, 673 F.3d
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630, 632 (7th Cir. 2012). The court must consider “documents attached to the [amended]
complaint, documents that are critical to the [amended] complaint and referred to in it, and
information that is subject to proper judicial notice,” along with additional facts set forth in
Plaintiffs’ briefs opposing dismissal, so long as those facts “are consistent with the pleadings.”
Geinosky v. City of Chicago, 675 F.3d 743, 745 n.1 (7th Cir. 2012). The following facts are set
forth as favorably to Plaintiffs as these materials allow. See Gomez v. Randle, 680 F.3d 859, 864
(7th Cir. 2012). The court’s recitation of these facts should not be taken as indicating the court’s
belief that Plaintiffs’ allegations of misconduct are true and, by the same token, that disclaimer
should not be taken as indicating the court’s belief that the allegations are false. The court does
not know at this point whether Plaintiffs’ allegations of misconduct are entirely true, partly true
and partly false, or entirely false.
Spalding and Echeverria began their careers as CPD officers in 1996 and 1999,
respectively. Doc. 44 at ¶¶ 17-18. In May 2006, they were assigned to the Narcotics Division,
Unit 189, where they combatted drug crimes by developing confidential informants, obtaining
search warrants, and conducting conspiracy investigations. Id. at ¶ 19. While working on an
undercover narcotics investigation in 2007, Plaintiffs discovered that Sergeant Ronald Watts and
other CPD officers were extorting drug dealers by demanding payments in exchange for
protecting them from arrest and prosecution. Id. at ¶¶ 20-22. In 2007, while off-duty, Plaintiffs
reported this illegal activity to Special Agent “P.S.” of the FBI’s public corruption unit. Id. at ¶¶
23-24. Plaintiffs met with P.S. intermittently in 2008 while off-duty to discuss new information
they had learned about Sergeant Watts. Id. at ¶ 24. When the FBI asked Plaintiffs to spend more
time assisting with the case, Plaintiffs responded that they would if the investigation was
conducted through the CPD, so as not to encroach upon their professional time. Id. at ¶ 25.
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In August 2008, FBI special agents met with the chief of the CPD’s Internal Affairs
Division (“IAD”) regarding the Watts case and then informed Plaintiffs that they would be
joining the federal investigation—known as Operation Brass Tax—in their official capacity as
police officers. Id. at ¶¶ 26-28. Although Operation Brass Tax and Plaintiffs’ involvement
therein were confidential, certain CPD command staff were informed, including the
Superintendent of Police; Defendant Debra Kirby, who then was Deputy Superintendent; and the
IAD Chief, a post later assumed by Defendant Juan Rivera. Id. at ¶¶ 27-28. Although they
remained assigned to the Narcotics Division, Plaintiffs were detailed to Detached Services, Unit
543, and reported directly to FBI headquarters. Id. at ¶ 29. During the time Plaintiffs worked on
Operation Brass Tax, they were encouraged by the CPD command staff to develop narcotics
cases, which overlapped with their work on Operation Brass Tax. Id. at ¶ 30.
Some time later, information regarding Plaintiffs’ reporting misconduct by another CPD
officer and their involvement in the FBI investigation was leaked within the CPD and became
known to Defendant James O’Grady, Commander of the Narcotics Division. Id. at ¶¶ 31-32. On
or about August 17, 2010, in the course of developing a narcotics case, Plaintiffs submitted
paperwork seeking O’Grady’s approval of a confidential informant. Id. at ¶ 34. Although
O’Grady initially approved the application, he rescinded his approval after learning that the
application had been submitted by Plaintiffs. Ibid. O’Grady then informed supervising
personnel in the Narcotics Division that Plaintiffs were “rats” and ordered them to no longer
work with or assist Plaintiffs. Id. at ¶ 35. By interfering with Plaintiffs’ ability to develop
narcotics cases, O’Grady intentionally prohibited Plaintiffs from earning overtime pay. Id. at
¶ 36. Other officers in the Narcotics Division were able to use evidence gathered by Plaintiffs to
develop cases and earn overtime pay. Id. at ¶ 37.
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On one or more occasions, several of the individual defendants met to discuss how they
would “handl[e] or treat[]” Plaintiffs. Id. at ¶ 38. During one meeting, O’Grady referred to
Plaintiffs as “rats,” stated that he did not want them in his unit, and added words to the effect of,
“God help them if they ever need help on the street, it ain’t coming.” Id. at ¶¶ 38-39. Defendant
Nicholas Roti, the head of the Bureau of Organized Crime, which includes the Narcotics
Division, was present at this meeting, concurred with O’Grady, encouraged retaliation against
Plaintiffs, and would not allow Plaintiffs to work in any unit in his bureau. Id. at ¶¶ 40-43.
Plaintiffs were informed that none of the “bosses” wanted them in their units and that their
“careers are over.” Id. at ¶ 44.
Around late May 2011, Kirby received a call from Beatrice Cuello, the Deputy
Superintendent of Detached Services, seeking confirmation that Plaintiffs were working on an
undercover investigation and that the necessary paperwork was in place. Id. at ¶ 46. Despite her
knowledge of Plaintiffs’ detail to work on Operation Brass Tax, Kirby told Cuello that she did
not know Plaintiffs or of their involvement with any investigation. Id. at ¶ 47. Cuello was thus
led to believe that Plaintiffs had lied about their involvement in the FBI investigation, and she
removed Plaintiffs from Detached Services. Id. at ¶ 48.
O’Grady and Roti forbade Plaintiffs from returning to the Narcotics Division or any other
division in the Bureau of Organized Crime. Id. at ¶¶ 43, 49. Having been labeled “rats,”
Plaintiffs lost their specialized assignments, take-home vehicles, weekends and holidays off, and
ability to work overtime. Id. at ¶ 50. Plaintiffs were then detailed to the Police Academy for
three weeks, during which they did little more than sit idly at their desks. Id. at ¶¶ 51-53.
Plaintiffs complained to Rivera, who by that time had become IAD Chief, about the retaliatory
reassignment to the Police Academy, but Rivera did not take any action. Id. at ¶ 54.
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From July 2011 through March 2012, Plaintiffs were assigned to the Inspection Division,
Unit 126, under the immediate supervision of Defendant Deborah Pascua. Id. at ¶¶ 55-56.
Pascua called Plaintiffs “rat motherf---ers,” told them she did not want them in her unit, and told
others in the unit not to talk to Plaintiffs because they were “rats.” Id. at ¶¶ 57-58. Pascua also
threatened to put a false case on Plaintiffs, saying: “[F]--- them from narcotics … I’m a lawyer
and know how to put a case together … I’m gonna work on getting them f---ing launched.” Id.
at ¶ 60. Pascua rarely gave Plaintiffs legitimate assignments and often forced them to chauffeur
her on personal errands. Id. at ¶ 59.
On September 13, 2011, Plaintiffs informed their commanding officer, Defendant
Adrienne Stanley, of the ongoing retaliation and hostile work environment, to which Stanley
replied, “I don’t want to hear this, I don’t want to know.” Id. at ¶ 61. Stanley failed to initiate a
Complaint Register investigation into the retaliation, as required by CPD policy. Id. at ¶ 62.
Defendant Kevin Sadowski joined Pascua’s “campaign” by repeatedly attempting to lodge false
allegations of wrongdoing against Plaintiffs. Id. at ¶ 64. Rivera knew of this ongoing retaliation
and refused to initiate an IAD investigation into the matter. Id. at ¶ 63.
In October 2011, Plaintiffs resumed their involvement with Operation Brass Tax and
continued to work with the FBI until Sergeant Watts and Officer Kallat Mohammed were
indicted in February 2012. Id. at ¶¶ 66-67. After the investigation concluded, Roti prohibited
Plaintiffs from returning to the Narcotics Division or any other division in Organized Crime,
which resulted in Plaintiffs being forced to return to the Inspection Division, where they were
subjected to harassment, not given assignments, and made to sit idly for up to eight hours a day.
Id. at ¶¶ 68-69, 72. Spalding began suffering anxiety attacks and was again unsuccessful in
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urging Rivera to initiate an investigation. Id. at ¶ 70. In November 2011, two IAD sergeants
told Plaintiffs, “sometimes you have to turn a blind eye” to misconduct. Id. at ¶ 65.
On March 20, 2012, Plaintiffs were detailed to the Fugitive Apprehension Division and
assigned to the United States Marshal’s Task Force team. Id. at ¶ 73. Defendant Joseph
Salemme was the Commander of the division, Defendant Robert Cesario was Plaintiffs’
Lieutenant, and Defendant Maurice Barnes was Plaintiffs’ immediate supervisor. Id. at ¶ 74. As
soon as Plaintiffs began work in the division, O’Grady personally informed their supervisors that
Plaintiffs were “rats” and should be treated accordingly. Id. at ¶ 75. Barnes then told members
of the Marshal’s Task Force Team that Plaintiffs were “rats” and should not be trusted or backed
up, and he removed Plaintiffs from a high profile case. Id. at ¶¶ 76-77.
When Spalding approached Barnes about the retaliation, Barnes responded that Plaintiffs
had brought down Watts, that the team hated Plaintiffs and would not provide back up support if
needed, and stated words to the effect of, “I don’t want to tell your daughter you’re coming home
in a box because the team won’t help you on the street.” Id. at ¶¶ 78-79. Around June 20, 2012,
at a meeting at the Unit 606 headquarters, Salemme, Cesario, and Barnes told Plaintiffs that they
would be relocated from the Marshal’s Task Force team, which was on the far South Side of
Chicago and where they worked the 7:00 a.m. to 3:00 p.m. shift, to a team on the North Side,
where they would work the third watch from 4:00 p.m. to midnight. Id. at ¶¶ 80-81. During the
meeting, Salemme said words to the effect of, “[Y]ou brought this baggage on yourselves … if
you go against sworn personnel you know this will happen.” Id. at ¶ 82. Cesario stated that
Plaintiffs would not be deputized by the Marshals Service, despite Plaintiffs’ understanding to
the contrary, and that they would not get a take-home car, Marshal’s pay, or overtime. Id. at
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¶¶ 83-84. Since then, Plaintiffs were repeatedly passed over for being deputized by the Marshals
Service. Id. at ¶¶ 85-86.
On June 23, 2012, Plaintiffs contacted Rivera to lodge another complaint, and again
Rivera ignored their request. Id. at ¶ 87. Two days later, Plaintiffs began work on the North
Side. Id. at ¶ 88. On August 17, 2012, Mohammed pled guilty to extorting drug dealers; during
his plea, he described criminal misconduct going as far back as 2007. Id. at ¶ 89. Around this
time, O’Grady “banned” Spalding from entering CPD headquarters at Homan Square, where she
had been assigned a locker, and Cesario cautioned Spalding to “heed the warning that O’Grady
doesn’t want you there.” Id. at ¶¶ 90-91.
On November 1, 2012, Plaintiffs filed this suit, which complained of the retaliatory
actions described above. Id. at ¶ 92; see Doc. 1. The Chicago media publicized Plaintiffs’
account of Watts’s criminal misconduct and the ensuing CPD-wide retaliation, including by
high-ranking officers. Doc. 44 at ¶¶ 93-94. Plaintiffs also appeared in the media to speak about
the retaliation they experienced. Id. at ¶ 95.
Prior to the lawsuit, Plaintiffs’ supervisor on the North Side team, Defendant Thomas
Mills, appeared to defend Plaintiffs from retaliation from outside the team. Id. at ¶ 97. After the
lawsuit was filed and the media reports appeared, Mills made Plaintiffs’ daily tasks more
difficult and hindered their ability to work overtime, develop cases, and participate in team
arrests, and at the same time threatened to remove Plaintiffs from the team for failing to produce
arrests. Id. at ¶¶ 98-103. Once, when Plaintiffs were assigned to pursue a dangerous felon, they
were falsely told that the team would provide necessary back-up and support; however, when
Plaintiffs arrived at the scene, the team was not present and Mills sent them a text message
stating, “[B]e careful.” Id. at ¶¶ 104-05.
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Discussion
Plaintiffs allege First Amendment retaliation based on their pre-suit speech (reporting
criminal misconduct by other CPD officers and assisting with the FBI investigation) and postsuit speech (speaking with the media about this suit). The First Amendment conspiracy claim
appears to pertain solely to the pre-suit speech. Doc. 64 at 17 (where Plaintiffs argue that “[t]he
purpose [of the conspiracy] was to retaliate against Plaintiffs for becoming ‘rats’ by going
outside the Department to bring down a (corrupt) sergeant,” citing only portions of the complaint
describing events prior to the filing of this suit). Defendants’ challenges to the First Amendment
claims are addressed below. No substantive challenge is made to the state law claim; Defendants
argue only that the state law claim should be dismissed without prejudice under 28 U.S.C.
§ 1367(c) if the federal claims are dismissed.
I.
Chicago Defendants’ Motion to Dismiss
Chicago Defendants advance the following arguments: (1) Plaintiffs do not allege a basis
for municipal liability against the City under Monell v. Department of Social Services, 436 U.S.
658, 690-91 (1978); (2) Plaintiffs fail to state a First Amendment retaliation claim because their
speech is not constitutionally protected; and (3) Plaintiffs fail to state a § 1983 conspiracy claim.
Doc. 58; Doc. 59 at 1; Doc. 60 at 1.
A.
Monell Claim Against the City
To state a municipal liability claim under Monell, a plaintiff must allege “that an official
policy or custom not only caused the constitutional violation, but was the moving force behind
it.” Estate of Sims ex rel. Sims v. Cnty. of Bureau, 506 F.3d 509, 514 (7th Cir. 2007) (internal
quotation marks omitted). “An official policy or custom may be established by means of [1] an
express policy, [2] a widespread practice which, although unwritten, is so entrenched and well-
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known as to carry the force of policy, or [3] through the actions of an individual who possesses
the authority to make final policy decisions on behalf of the municipality or corporation.” Rice
ex rel. Rice v. Corr. Med. Servs., 675 F.3d 650, 675 (7th Cir. 2012); see also Milestone v. City of
Monroe, 665 F.3d 774, 780 (7th Cir. 2011). Plaintiffs proceed under the second and third
vehicles, alleging that “the widespread practices relating to the ‘code of silence’ so entrenched
within the Department caused the retaliation,” and that “the high ranking officials who have been
delegated policymaking authority directly caused the retaliation.” Doc. 64 at 10. The wellpleaded facts support the third basis for Monell liability.
In an effort to establish that predicate for a Monell claim, the amended complaint alleges
that the Chicago City Council delegated “general management [responsibility] and control of the
police department, … including to make appointments, promotions, transfers and to take
disciplinary action against [CPD] employees [and] to … suspend or transfer employees,” to the
CPD Superintendent, who in turn “delegated certain policymaking authority to his Chiefs,
including Defendants Kirby, Rivera and Roti.” Doc. 44 at ¶ 112(a)-(c). Defendants respond by
citing Auriemma v. Rice, 957 F.2d 397, 401 (7th Cir. 1992), for the proposition that “even the
Superintendent of the Chicago Police Department is not a final policymaker capable of creating
municipal liability for the City,” which if true means that subordinates like Kirby, Rivera, and
Roti are not policymakers either. Doc. 58 at 4. Auriemma held that the City was not liable under
Monell for the CPD Superintendent’s promotion of African-American officers and demotion of
white officers—decisions that were alleged to have been based on race and politics. 957 F.2d at
398. To support its holding, the Seventh Circuit pointed to Chicago ordinances “unequivocally
ban[ning] racial and political discrimination,” and noted that the plaintiffs “do not contend that
the City Council condoned departures from these rules.” Id. at 399. The court explained that “to
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hold the municipality liable [under] Monell …, the agent’s action must implement rather than
frustrate the government’s policy,” and that the Auriemma plaintiffs had alleged that the
defendants had frustrated, rather than advanced, the City’s policy as expressed in the ordinances
prohibiting racial discrimination. Id. at 400.
Unlike the situation in Auriemma, Plaintiffs do not allege that Kirby, Rivera, and Roti
frustrated any particular City policy. Rather, citing Vodak v. City of Chicago, 639 F.3d 738 (7th
Cir. 2011), Plaintiffs submit that, “so far as the retaliatory acts against Plaintiffs were
concerned,” Kirby, Rivera, and Roti were the City’s policymakers. Doc. 64 at 14. In Vodak, the
Seventh Circuit explained that the relevant question under Monell turns not on a general inquiry
into the governmental hierarchy, but rather on an examination of whether an individual
municipal officer “was at the apex of authority for the action in question.” 639 F.3d at 748
(quoting Gernetzke v. Kenosha Unified Sch. Dist. No. 1, 274 F.3d 464, 468 (7th Cir. 2001))
(emphasis added). The Seventh Circuit noted that the CPD Superintendent “can be an official
policymaker in one domain but not in another,” and that where, as in Vodak, the challenged
action pertained to dealing with demonstrations and mass arrests, “[a]ll that matters … is that
Chicago’s police superintendent has sole responsibility to make policy regarding control of
demonstrations.” Ibid. Because the Superintendent was “monitoring” and “approving the
decisions of his subordinates, specifically their decisions [regarding demonstrations and mass
arrests],” the Seventh Circuit held that “[t]he superintendent was the City, so far as the
demonstration and arrests were concerned.” Ibid. Vodak distinguished Auriemma on the ground
that no ordinance constrained the Superintendent’s authority to make policy regarding
demonstrations and mass arrests, while in Auriemma there was an ordinance that constrained and
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in fact eliminated the Superintendent’s ability to take the action in question (making employment
decisions based on race and politics). Id. at 748-49.
As in Vodak, the actions challenged here are not submitted by either side to have been
restricted or prohibited by City ordinance. Defendants retort that this does not matter because
Auriemma holds that the City Council is the sole policymaker with respect to all employment
decisions. Doc. 66 at 13. That greatly overreads Auriemma, which holds only that the City
Council is the sole policymaker with respect to the particular employment decisions challenged
in that case—those based on considerations (race and politics) made unlawful by ordinance. See
DeLoughery v. City of Chicago, 2002 WL 31654942, at *3 (N.D. Ill. Nov. 25, 2002) (denying a
motion to dismiss a Monell claim alleging that the plaintiff CPD officers were denied promotions
and transferred in retaliation for protected speech, reasoning that the plaintiffs “have sufficiently
alleged what the plaintiff in Auriemma did not: that via custom and practice, the City had
delegated to [the Superintendent] final authority to make policy regarding personnel matters, and
not just authority to hire and fire”). Accordingly, the Monell claim survives dismissal.
B.
First Amendment Retaliation Claim
To plead a First Amendment retaliation claim, Plaintiffs must allege that: “(1) [their]
speech was constitutionally protected; (2) [they have] suffered a deprivation likely to deter free
speech; and (3) [their] speech was at least a motivating factor in [Defendants’] actions.” Peele v.
Burch, 722 F.3d 956, 959 (7th Cir. 2013) (quoting Kidwell v. Eisenhauer, 679 F.3d 957, 964 (7th
Cir. 2012)). Defendants challenge the first and the third elements. Doc. 58 at 6-10.
1.
Nature of Plaintiffs’ Speech
“[T]he First Amendment protects a public employee’s right, in certain circumstances, to
speak as a citizen addressing matters of public concern.” Garcetti v. Ceballos, 547 U.S. 410, 417
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(2006). “For a public employee’s speech to be protected under the First Amendment, the
employee must show that (1) he made the speech as a private citizen, (2) the speech addressed a
matter of public concern, and (3) his interest in expressing that speech was not outweighed by
the state’s interests as an employer in promoting effective and efficient public service.” Swetlik
v. Crawford, 738 F.3d 818, 825 (7th Cir. 2013) (internal quotation marks omitted).
With respect to Plaintiffs’ pre-suit speech, Defendants argue only that Plaintiffs did not
speak as private citizens. The Supreme Court has held that “when public employees make
statements pursuant to their official duties, the employees are not speaking as citizens for First
Amendment purposes, and the Constitution does not insulate their communications from
employer discipline.” Garcetti, 547 U.S. at 421. Accordingly, the analysis turns on whether
Plaintiffs were acting “pursuant to their official duties” when reporting to the FBI criminal
misconduct by other CPD officers.
The cases draw the following line regarding a public employee’s reporting of official
misconduct. If the employee reports misconduct in the manner directed by official policy, to a
supervisor, or to an external body with formal oversight responsibility, then the employee speaks
pursuant to her official duties and her speech is unprotected. See Tamayo v. Blagojevich, 526
F.3d 1074, 1091 (7th Cir. 2008) (where an Illinois Gaming Board employee reported agency
misconduct to the Gaming Committee of the Illinois House of Representatives, “a legislative
committee responsible for overseeing the activities of” the Gaming Board); Vose v. Kliment, 506
F.3d 565, 570-71 (7th Cir. 2007) (where a police sergeant in the Springfield Police Department
reported misconduct to his supervisors); Sigsworth v. City of Aurora, 487 F.3d 506, 511 (7th Cir.
2007) (where an Aurora Police Department detective reported his colleagues’ alleged
misconduct to his supervisor, as required by established policy); Spiegla v. Hull, 481 F.3d 961,
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963 (7th Cir. 2007) (where a correctional officer reported other officers’ breach of prison
security rules to a supervisor, consistent with official policy). By contrast, if the employee
testifies regarding misconduct to a jury or grand jury or reports misconduct outside established
channels or in violation of official policy, she speaks as a private citizen and her speech is
constitutionally protected. See Chrzanowski v. Bianchi, 725 F.3d 734, 739-40 (7th Cir. 2013)
(where a county prosecutor testified under a subpoena before a grand jury and at trial regarding
alleged wrongdoing by his supervisors); Chaklos v. Stevens, 560 F.3d 705, 711-12 (7th Cir.
2009) (where an Illinois State Police employee protested an agency decision to somebody other
than the individuals identified by the applicable regulation).
The point is well illustrated by Chaklos v. Stevens, supra. The plaintiffs in Chaklos were
employed by the Illinois State Police to train forensic scientists, and they also owned a forensic
training company on the side. 560 F.3d at 709. After the Illinois State Police awarded a no-bid
contract to a different training company on terms allegedly unfavorable to the government, the
plaintiffs submitted a protest letter to an Illinois State Police procurement officer. Ibid. At the
time, the Illinois Procurement Code provided that where a “State employee suspects …
anticompetitive practice among any bidders [or] offerors …, a notice of the relevant facts shall
be transmitted to the Attorney General and the chief procurement officer.” Id. at 712 (quoting 30
ILCS 500/50-40). Although the statute imposed a “general duty” on the plaintiffs to report
contracting fraud, the Seventh Circuit held that the plaintiffs were speaking as citizens, and not
pursuant to their official duties, because they reported the alleged misconduct not to the
individuals identified by the statute (the Attorney General or the agency’s chief procurement
officer) but rather to somebody else (a regular procurement officer). See ibid. (“Indeed,
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plaintiffs did not submit their concerns to the Attorney General or the chief procurement officer
as directed by the code.”).
Plaintiffs’ pre-suit speech, at least on the record at the pleading stage, is governed by
Chaklos. Plaintiffs assert in their opposition brief that CPD policy requires officers to report
misconduct by other officers internally to the CPD and that there is no duty to report such
misconduct to a different law enforcement agency, such as the FBI. Doc. 64 at 3-4. This
assertion, made by the non-movant in an opposition brief, must be credited on a Rule 12(b)(6)
motion. See Geinosky, 675 F.3d at 745 n.1. In any event, Defendants appear to agree with
Plaintiffs on this point, charging that Plaintiffs “violated Department policy by initially reporting
the alleged misconduct to the FBI.” Doc. 66 at 3. Under these circumstances, Plaintiffs spoke as
private citizens, not pursuant to their official duties. See Novick v. Staggers, 2012 WL 2325661,
at *4 (N.D. Ill. June 19, 2012) (holding that the plaintiff spoke as a citizen where “nothing in
[his] job duties required him to report hiring misconduct to outside, federal investigators”). It
follows that Plaintiffs’ pre-suit speech was protected.
The same is true of Plaintiffs’ post-suit speech, which occurred when they “appeared in
the media, including local television and newspapers[,] telling of the years of retaliation that they
endured at the hands of their superiors.” Doc. 44 at ¶ 95. Defendants first assert, without
explanation, that “Plaintiffs were not speaking to the media as private citizens.” Doc. 58 at 9.
That assertion is meritless. As Garcetti explains: “Employees who make public statements
outside the course of performing their official duties retain some possibility of First Amendment
protection because that is the kind of activity engaged in by citizens who do not work for the
government. The same goes for writing a letter to a local newspaper … or discussing politics
with a co-worker ….” 547 U.S. at 423. Nowhere do Plaintiffs allege, and nor is it reasonable to
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infer, that CPD policy required or expected CPD employees to speak to the media about internal
misconduct. Accordingly, Plaintiffs spoke to the media as citizens, not as part of their official
duties. See Alaska v. EEOC, 564 F.3d 1062, 1070 (9th Cir. 2009) (holding that an employee of
the Alaska governor spoke as a citizen when she held a press conference publicly supporting a
colleague’s allegations of sexual harassment in the Governor’s Office); Payne v. D.C., 741 F.
Supp. 2d 196, 217 (D.D.C. 2010) (same, where an elevator inspector “went outside his chain of
command and made statements to the media … about his perceived problems with [the
Department of Consumer and Regulatory Affairs’s] elevator inspection regime”); Wright v. City
of Salisbury, 656 F. Supp. 2d 1013, 1026 (E.D. Mo. 2009) (same, where a city police officer
wrote to local media outlets about his concerns with the mayor’s alleged directive to refrain from
arresting suspected drunk drivers, noting that “[t]he record leaves little doubt that Plaintiff’s
duties did not include sharing his views on the matters discussed in his letters with the media”).
Defendants next argue that Plaintiffs’ post-suit speech did not address “a matter of public
concern” because they merely aired their personal grievances. Doc. 58 at 9. To determine
whether speech addresses a matter of public concern, the court must examine the statement’s
“content, form, and context.” Kristofek v. Vill. of Orland Hills, 712 F.3d 979, 984 (7th Cir.
2013) (internal quotation marks omitted). “The motive of the speaker is relevant as part of the
‘context’ in which the speech was made … but content remains the most important factor in
determining whether speech addresses a matter of public concern.” Ibid. (internal quotation
marks omitted). “[A] public employee’s speech may still be protected if the speaker’s motives
were mixed and also included a desire to help the public.” Ibid. Indeed, speech may be
protected even if the employee’s speech was “motivated exclusively by his own self-interest.”
Id. at 985. Consequently, while “[a] whistleblower’s exclusive motive may be a desire for fame
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and a book deal, … it is also accurate to say that the main objective of his speech—given its
content, context, and the manner in which it is delivered—is to reform the system.” Id. at 986.
“In sum, if the objective of the speech—as determined by content, form, and context—is simply
to further a purely personalized grievance, then the speech does not involve a matter of public
concern. But if an objective of the speech was also to bring about change with public
ramifications extending beyond the personal, then the speech does involve a matter of public
concern.” Ibid. (citations omitted).
These principles are exemplified by the Kristofek case itself. The plaintiff, a Village of
Orland Hills police officer, released from police custody the son of a former mayor on orders
from the police department’s deputy chief. Id. at 982. Suspecting that he had acted illegally and
seeking to absolve himself of potential criminal liability, the plaintiff reported to the FBI that
incident as well as “possible political corruption in the Orland Hills Police Department and/or
Village of Orland Hills.” Id. at 983. In holding that the plaintiff’s speech was a matter of public
concern, the Seventh Circuit reasoned that “[t]he mere fact that [the plaintiff] was motivated by
his self-interest does not make it implausible that he was also motivated to help the public,” as
“[a]ny reasonable person would understand that a report to the FBI could potentially result in
widespread changes to police practices in Orland Hills.” Id. at 984.
Accordingly, even if Plaintiffs spoke to the media about this suit to advance their own
interests—perhaps to extract a favorable settlement as a result of the public pressure and
scrutiny—it is plausible that they were also motivated to help the public by prompting
“widespread changes to police practices” in Chicago. See Greer v. Amesqua, 212 F.3d 358, 371
(7th Cir. 2000) (holding that the plaintiff’s “central motivation was exposing what he considered
wrongdoing by declaring [in a news release] that the [Fire] Department’s handling of [a certain]
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incident reflected illegitimate favoritism,” even though the “news release was replete with
personal jibes”). On the pleadings, then, Plaintiffs’ post-suit speech addressed a matter of public
concern. See ibid. (“Whether public officials are operating the government ethically and legally
is a quintessential issue of public concern.”); Glass v. Dachel, 2 F.3d 733, 741 (7th Cir. 1993)
(“Obviously, speech that focuses on police departments (and ultimately police protection and
public safety) involve matters of great public concern.”); Auriemma v. Rice, 910 F.2d 1449,
1460-61 (7th Cir. 1990) (en banc) (holding that “[i]t must … be a matter of public concern if a
group of public employees is allegedly harassed and penalized by supervisors for seeking redress
in our federal court system because of their public objection to the alleged racial basis of the
[CPD] reorganization,” and noting that there was “clearly public interest” because “[t]he
reorganization was front page news in the Chicago Tribune”); cf. Houskins v. Sheahan, 549 F.3d
480, 492 (7th Cir. 2008) (holding that the plaintiff’s police report did not address a matter of
public concern because the “statements in the report were tied to a personal employment dispute;
there is nothing in the record to indicate that [the plaintiff’s] purpose in filing the police report
was to bring to light any wrongdoing by the Sheriff, e.g., to raise public awareness about the
safety of the employees within the [department] or to uncover a policy of selective discipline or
clout within the [department]”).
2.
Causation
Defendants also argue that Plaintiffs’ pre-suit speech does not satisfy the causation
requirement because the amended complaint “does not plausibly allege that the report made to
the FBI some three years earlier [in 2007] was the but-for cause of the ‘campaign of harassment’
that allegedly started in August 2010.” Doc. 66 at 9. In their opposition brief, Plaintiffs assert
that they were retaliated against “for going outside the Department in order to bring down a CPD
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sergeant with a federal investigation.” Doc. 64 at 6-7. Defendants maintain that because
“Plaintiffs do not cite to the Amended Complaint for this assertion,” the court should disregard
it. Doc. 66 at 8. On a motion to dismiss, however, the court may consider additional facts set
forth in Plaintiffs’ opposition brief if those facts “are consistent with the pleadings.” Geinosky,
675 F.3d at 745 n.1. Plaintiffs’ allegation of causation in their opposition brief is wholly
consistent with the amended complaint, which alleges that the retaliation began as soon as
O’Grady, among others, found out that “Plaintiffs had reported criminal misconduct by a sworn
officer and were working with an outside investigation.” Doc. 44 at ¶ 31 (emphasis added). It
follows that the First Amendment retaliation claim adequately alleges causation.
C.
Section 1983 Conspiracy Claim
Defendants contend that Plaintiffs’ § 1983 conspiracy claim is barred by the intracorporate conspiracy doctrine. Doc. 58 at 11. The doctrine provides that “managers of a
corporation jointly pursuing its lawful business do not become ‘conspirators’ when acts within
the scope of their employment are said to be discriminatory or retaliatory.” Wright v. Ill. Dept.
of Children & Family Servs., 40 F.3d 1492, 1508 (7th Cir. 1994) (quoting Travis v. Gary Cmty.
Mental Health Ctr., Inc., 921 F.2d 108, 110 (7th Cir. 1990)). The doctrine applies with full force
to municipal corporations. See ibid. Although the doctrine most often is applied in cases
brought under 42 U.S.C. § 1985, see Hartman v. Bd. of Trs. of Cmty. Coll. Dist. No. 508, 4 F.3d
465, 470-71 (7th Cir. 1993); Travis, 921 F.2d at 109-11; Volk v. Coler, 845 F.2d 1422, 1435 (7th
Cir. 1988); Dombrowski v. Dowling, 459 F.2d 190, 196 (7th Cir. 1972), the court will assume for
present purposes that it also applies to § 1983 conspiracy claims. See Grider v. City of Auburn,
618 F.3d 1240, 1261 (11th Cir. 2010).
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There are two recognized exceptions to the intra-corporate conspiracy doctrine: (1)
“where corporate employees are shown to have been motivated solely by personal bias”; and (2)
where “the conspiracy was part of some broader discriminatory pattern …, or … permeated the
ranks of the organization’s employees.” Hartman, 4 F.3d at 470-71. The second exception
applies here, at least on the pleadings, as the amended complaint alleges a widespread pattern of
retaliation by multiple defendants throughout CPD’s ranks. See Volk, 845 F.2d at 1435 (holding
that the intra-corporate conspiracy doctrine did not bar a conspiracy claim where the plaintiff
“alleged numerous acts undertaken by several defendants”).
Defendants alternatively argue that “Plaintiffs have not pled facts that plausibly show that
the Defendants entered into an agreement to retaliate.” Doc. 66 at 11. Defendants’ argument
cannot be reconciled with Geinosky v. City of Chicago, supra, where the plaintiff alleged a
conspiracy among police officers to harass him by issuing 24 bogus parking tickets over a
fourteen-month period. 675 F.3d at 745. In rejecting an argument that the plaintiff had not
adequately pleaded a conspiracy claim, the Seventh Circuit reasoned:
While the complaint makes only rather conclusory direct allegations of
conspiracy, the complaint also alleges a pattern of harassment by several
officers over a period of months. It is a challenge to imagine a scenario in
which that harassment would not have been the product of a conspiracy.
Under Twombly, all plaintiff needed to allege was a plausible account of a
conspiracy. This complaint goes well beyond that. … Iqbal calls on us to
apply our “judicial experience and common sense.” If several members of the
same police unit allegedly acted in the same inexplicable way against a
plaintiff on many different occasions, we will not dismiss a complaint for
failure to recite language explicitly linking these factual details to their
obvious suggestion of collusion.
675 F.3d at 749 (quoting Ashcroft v. Iqbal, 556 U.S. 662, 679 (2009)) (one citation omitted).
The same result obtains here, as it would be a challenge to imagine a scenario in which the
numerous alleged retaliatory acts against Plaintiffs over a two-year period would not have been
19
the product of a conspiracy. In any event, the complaint does not rest on conclusory allegations,
as it details meetings in which “multiple Defendants discussed with one another the handling or
treatment of Plaintiffs” and referred to them as “rats.” Doc. 44 at ¶¶ 35, 38, 50, 57-58, 75-76, 82.
These allegations, if true, support the reasonable inference that Defendants agreed to act together
to violate Plaintiffs’ constitutional rights.
II.
Kirby’s Motion to Dismiss
Kirby presses three other grounds for dismissing the claims against her. Doc. 59 at 4-8.
Her arguments are considered in turn.
A.
First Amendment Retaliation Claim
Kirby contends that “Plaintiffs fail to allege they suffered a deprivation by Chief Kirby
likely to deter free speech” or that “any protected speech was at least a motivating factor in Chief
Kirby’s actions.” Id. at 6. This argument fails. The amended complaint alleges that Plaintiffs
were “kicked out” of Detached Services and transferred to a less desirable unit as a result of
Kirby falsely telling Cuello that she did not know of Plaintiffs’ involvement in the FBI
investigation. Doc. 44 at ¶¶ 45-48. Additionally, the amended complaint alleges that Plaintiffs’
pre-lawsuit speech caused Kirby’s retaliatory conduct. Id. at ¶ 111. Kirby maintains that her
“supposed denial of knowing what Plaintiff[]s were working on to Cuello in May 2011 is
entirely consistent with maintaining Plaintiffs’ confidentiality.” Doc. 65 at 3. While that might
be turn out to be true, the court at the Rule 12(b)(6) stage must draw all reasonable inferences in
Plaintiffs’ favor, and that inference is that Kirby lied to Cuello in an effort to undermine
Plaintiffs’ standing with Cuello and prompt their transfer out of Detached Services.
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B.
Section 1983 Conspiracy Claim
Kirby next argues that the conspiracy claim against her should be dismissed because it is
“so conclusory that it is not entitled the assumption of truth” and because it “fails to allege that
Chief Kirby reached an agreement with anyone to violate Plaintiffs’ free speech rights.” Doc. 59
at 7. For the reasons discussed in Section I.C, supra, this argument fails. Iqbal does not require
that the amended complaint explicitly allege that Kirby entered into an agreement to violate
Plaintiffs’ constitutional rights. Because the amended complaint’s factual allegations make it
plausible that Kirby and the other defendant officers reached an agreement to retaliate against
Plaintiffs, the conspiracy claim against Kirby survives. See Geinosky, 675 F.3d at 749.
C.
Qualified Immunity
Kirby also argues that she is entitled to qualified immunity. Doc. 59 at 7. “The doctrine
of qualified immunity protects government officials ‘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.’” Pearson v. Callahan, 555 U.S. 223, 231 (2009)
(quoting Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982)). The Seventh Circuit asks two
questions in determining whether a defendant is entitled to qualified immunity: “(1) whether the
facts, taken in the light most favorable to the plaintiff, make out a violation of a constitutional
right[,] and (2) whether that constitutional right was clearly established at the time of the alleged
violation.” Hernandez v. Sheahan, 711 F.3d 816, 817 (7th Cir. 2013).
Kirby focuses on the second inquiry, arguing that Plaintiffs fail to allege that she violated
a clearly established right. Doc. 59 at 7. For a right to be clearly established, it “must be specific
to the relevant factual context of a cited case and not generalized with respect to the amendment
that is the basis of the claim.” Surita v. Hyde, 665 F.3d 860, 868 (7th Cir. 2011). Here, it was
21
clearly established at the time of Kirby’s conversation with Cuello that the First Amendment
prohibited facilitating the transfer of public employees to less desirable positions because of their
involvement in uncovering government misconduct. See Spiegla, 371 F.3d at 936 (holding that
the plaintiff’s First Amendment rights were violated where the defendants facilitated her transfer
to an undesirable post in retaliation for reporting other correctional officers’ misconduct); see
also Hobgood v. Ill. Gaming Bd., 731 F.3d 635, 648 (7th Cir. 2013) (holding that the defendants
were not entitled to qualified immunity because “it was clearly established at the time of the
[defendants’] actions that the First Amendment prohibited investigating and then suspending and
terminating a public employee because he had helped another employee pursue a lawsuit aimed
at uncovering and proving public corruption”). Kirby therefore is alleged to have violated a
clearly established constitutional right.
III.
Rivera’s Motion to Dismiss
Like Kirby, Rivera raises three other grounds for dismissing the claims against him. Doc.
60 at 1-2. And as with Kirby, his arguments are without merit.
A.
First Amendment Retaliation Claim
Rivera contends that his mere refusal to initiate an investigation into the alleged
retaliation against Plaintiffs does “not support a protected constitutional right that was violated.”
Doc. 60 at 2. This contention misunderstands the nature of Plaintiffs’ claim. Plaintiffs do not
assert that Rivera was constitutionally required to initiate an investigation; rather, they claim that
Rivera retaliated against them—by allowing the ongoing retaliation by others—for their
involvement in the FBI investigation. Doc. 44 at ¶ 71 (alleging that “[i]n repeatedly refusing to
initiate a[n] … investigation into the hostile work environment, Defendant Chief Rivera
22
condoned, encouraged, agreed to and allowed the retaliation to continue unabated”). This is
sufficient to state a First Amendment retaliation claim against Rivera.
B.
Section 1983 Conspiracy Claim
Rivera next contends that Plaintiffs do not state a viable conspiracy claim against him
because “[n]othing is alleged [in the amended complaint] other than the simple conclusion that
he conspired.” Doc. 67 at 3. This argument is materially identical to Kirby’s argument for
dismissing the conspiracy claim against her, and it fails for the same reason.
C.
Qualified Immunity
Rivera argues that he is entitled to qualified immunity because “[t]here was no
constitutional right to have an internal investigation initiated upon a complaint by Plaintiffs to
investigate their belief that they were experiencing retaliation by certain Chicago police
officers.” Doc. 60 at 2. Again, Rivera misunderstands Plaintiffs’ claim. Nowhere do Plaintiffs
claim a constitutional right to have an investigation into their complaints of retaliation. Instead,
they allege that Rivera violated the First Amendment by retaliating against them for engaging in
protected speech. Moreover, Rivera offers no authority or analysis in the one paragraph of his
motion he devotes to qualified immunity, which forfeits the point in any event. See Milligan v.
Bd. of Trs. of S. Ill. Univ., 686 F.3d 378, 386 (7th Cir. 2012); Alioto v. Town of Lisbon, 651 F.3d
715, 721 (7th Cir. 2011).
Conclusion
For the foregoing reasons, Defendants’ motions to dismiss are denied. Defendants shall
answer the amended complaint by April 3, 2014.
March 10, 2014
United States District Judge
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