LaPorta v. City Of Chicago et al
Filing
458
MOTION by Defendant City Of Chicago for judgment Rule 50(b) Renewed Motion for Judgment (Attachments: # 1 Exhibit A-C)(Rosen, Eileen)
IN THE UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
FIRST MIDWEST BANK, as Guardian of
the estate and person of Michael D. LaPorta,
a disabled person,
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Plaintiff,
v.
CITY OF CHICAGO, a municipal corporation;
Defendant.
No. 14 CV 9665
Honorable Judge Leinenweber
Removed from the Circuit Court of
Cook County, Case No. 10 L 11901
DEFENDANT CITY OF CHICAGO’S RULE 50(b) RENEWED MOTION
FOR JUDGMENT AS A MATTER OF LAW
1
TABLE OF CONTENTS
Introduction ………………………………………………………………………………..
1
I. Plaintiff Failed to Prove a Constitutional Violation …………………………........... 1
A. The City is Not Liable for Conduct of a Private Actor …………………............ 2
B. Plaintiff Failed to Adduce Sufficient Evidence that Kelly Intentionally or
With Reckless Indifference Shot LaPorta ……………………………………..
6
II. The Jury’s Finding of Monell Liability is not Supported by the Evidence ……......
9
A. The Evidence Does Not Demonstrate the Existence of Widespread Practices
of Failing to Maintain an Adequate Early Warning System or Failing to
Discipline …........................................................................................................ 11
1. Failure to Maintain an Adequate Early Warning System ………………….. 12
2. Failure to Discipline ………………………………………………………..
15
3. Failure to Investigate ……………………………………………………….
19
B. There Was Insufficient Evidence to Establish that the City’s Policymaker
was Deliberately Indifferent ……………………………………………….......
21
1. There Was No Evidence of Deliberate Indifference by the Chicago
City Council to Any Failure to Maintain an Adequate Early Warning
System ……………………………………………………………………… 22
2. There Was No Evidence of Deliberate Indifference by the Chicago City
Council to Any Widespread Practice of Failing to Discipline …………....... 23
C. There Was a Legally Insufficient Evidentiary Basis to Establish that a
Widespread Practice was the Cause of Plaintiff’s Injury ……………………...
i
25
Cases
Alexander v. South Bend, 433 F.3d 550, 557 (7th Cir. 2006) .......................................................... 5
American Manufacturers Mutual Insurance Co. v. Sullivan, 526 U.S. 40, 52 (1999) ................... 3
Ciomber v. Cooperative Plus, Inc., 527 F.3d 635, 640 n.1 (7th Cir.2008)................................... 26
City of Los Angeles v. Heller, 475 U.S. 796, 799 (1986)................................................................ 3
City of Oklahoma City v. Tuttle, 471 U.S. 808, 824 (1985).............................................. 10, 26, 27
Collins v. City of Harker Heights, Tex., 503 U.S. 115, 120 (1992) ............................................ 1, 6
Connick v. Thompson, 563 U.S. 51, 61–62 (2011) ................................................................. 10, 21
County of Sacramento v. Lewis, 523 U.S. 833, 845-6 (1998)......................................................... 2
Craft v. Flagg, No. 06 C 1451, 2010 WL 5363914, at *2 (N.D. Ill. Dec. 13, 2010).................... 27
Czajkowski v. City of Chicago, 810 F.Supp. 1428, 1439 (N.D.Ill.1992) ...................................... 23
D.S. v. E. Porter Cty. Sch. Corp., 799 F.3d 793, 800 (7th Cir. 2015) ............................................ 4
Daniel v. Cook Cty., 833 F.3d 728, 734 (7th Cir. 2016) ............................................................... 11
DeShaney v. Winnebago County Department of Social Services, 489 U.S. 189 (1988) ................ 3
Doe ex rel. Magee v. Covington County School District ex rel. Keyes, 675 F.3d 849 (5th Cir.
2012) ........................................................................................................................................... 5
Fairley v. Andrews, 430 F. Supp. 2d 786, 801 (N.D. Ill. 2006).................................................... 11
Flagg Brothers, Inc. v. Brooks, 436 U.S. 149, 164 (1978) ............................................................. 3
Gibson v. City of Chicago 910 F.2d 1510, 1521 (7th Cir. 1990) .................................................... 5
Gill v. City of Milwaukee, 850 F.3d 335, 344 (7th Cir. 2017) .................................... 11, 16, 18, 20
Hammond Group., Ltd. v. Spalding & Evenflo Cos., 69 F.3d 845, 848 (7th Cir. 1995). ............... 1
In re Cohen, 507 F.3d 610, 614 (7th Cir.2007) .............................................................................. 9
Jackson v. Marion Cty., 66 F.3d 151, 152 (7th Cir. 1995) ........................................................... 11
Jenkins v. Bartlett, 487 F.3d 482, 492 (7th Cir. 2007) .................................................................... 5
Kolstad v. Am. Dental Assoc., 527 U.S. 526, 536-8 (1999)............................................................ 6
Latuszkin v. City of Chicago, 250 F.3d 502 (7th Cir. 2001) ........................................................... 4
Lugar v. Edmondson Oil Co., 457 U.S. 922, 924, 937 (1982) ....................................................... 2
Malak v. Associated Physicians, Inc., 784 F.2d 277, 283 (7th Cir. 1986)...................................... 5
McLin, et al. v. City of Chicago, 742 F. Supp. 994 at 997–98 (N.D. Ill. 1990)............................ 16
Moore v. City of Chicago, No. 02 C 5130, 2007 WL 3037121, at * 11. (N.D. Ill. Oct.15, 2007) 21
Palmer v. Marion Cty., 327 F.3d 588, 596 (7th Cir. 2003) .......................................................... 19
Pembaur, 475 U.S. 468, 483 (1986) ....................................................................................... 21, 23
Rochin v. California, 342 U.S. 165 (1952) ..................................................................................... 2
Rossi v. City of Chicago, 790 F.3d 792, 737 (7th Cir. 2015) .................................................... 9, 16
Ruiz-Cortez v. City of Chicago, 2016 WL 6270768, at *22 (N.D. Ill. 2016) ............................... 26
Sallenger v. City of Springfield, Ill., 630 F.3d 499, 504 (7th Cir.2010) .......................................... 5
Segal v. City of New York, 459 F.3d 207, 219 (2d Cir.2006) ......................................................... 5
Tabor v. City of Chicago, 10 F.Supp.2d 988, 993 (N.D.Ill.1998) ................................................ 11
Tapia v. City of Greenwood, 965 F.2d 336, 338 (7th Cir.1992) ................................................... 23
Thomas v. Cook County, 604 F.3d 293, 303 (7th Cir. 2010) ......................................................... 11
United States v. Landry, 257 F.2d 425, 431 (7th Cir.1958) ............................................................ 9
ii
United States v. Reed, 991 F.2d 399, 400 (7th Cir. 1993) .............................................................. 8
Walker v. Sheahan, 526 F.3d 973, 977 (7th Cir. 2008). ................................................................. 4
Whitlock v. Brueggemann, 682 F.3d 567, 582 (7th Cir. 2012) ..................................................... 26
Wilson v. City of Chicago, 6 F.3d 1233, 1240 (7th Cir. 1993) ..................................................... 21
Wilson v. Cook County, 742 F.3d 775, 783–84 (7th Cir. 2014).................................................... 25
Wilson-Trattner v. Campbell, 2016 WL 2894444, *7 (S.D. Ind. May, 18, 2016) .......................... 4
Wilson-Trattner v. Campbell, 863 F.3d 589 (7th Cir. 2017) .................................................. 3, 4, 9
iii
Defendant City of Chicago, by its undersigned counsel, hereby moves for judgment as a
matter of law, pursuant to Fed. R. Evid. 50(b). In support, the City states as follows:
INTRODUCTION
Plaintiff failed to present sufficient evidence for the jury to find in his favor on his Monell
claim. On October 18, 2017, at the close of Plaintiff’s case, Defendant moved for a directed verdict
pursuant to Fed. R. Civ. P. 50(a). The Court denied that motion in an oral ruling the same day. On
October 26, 2017, the jury returned a verdict for Plaintiff based on two of his Monell theories,
failure to maintain an adequate early warning system and failure to discipline, and found that these
failures caused Patrick Kelly intentionally or with reckless indifference to shoot Michael LaPorta.
Judgment was entered on the docket on October 30, 2017. (Dkt. 443.)
Rule 50(b) allows for a renewed motion for judgment as a matter of law, after the denial
of a Rule 50(a) motion and within 28 days of the entry of judgment, on the ground that there was
no legally sufficient evidentiary basis for a reasonable jury to have found for the non-moving party.
The Court must determine whether the evidence, viewed in the light most favorable to the nonmovant, is sufficient to sustain the verdict. Hammond Group., Ltd. v. Spalding & Evenflo Cos.,
69 F.3d 845, 848 (7th Cir. 1995). Because there is no legally sufficient evidentiary basis for the
verdict here, the City is entitled to judgment as a matter of law.
I.
PLAINTIFF FAILED TO PROVE A CONSTITUTIONAL VIOLATION.
To prevail on a section 1983 claim, a plaintiff must establish by a preponderance of the
evidence “(1) [that] plaintiff's harm was caused by a constitutional violation, and (2) if so, [that]
the city is responsible for that violation.” Collins v. City of Harker Heights, Tex., 503 U.S. 115,
120 (1992). Here, Plaintiff claims that Kelly violated his Fourteenth Amendment substantive due
process right to bodily integrity by shooting LaPorta. But it was undisputed at trial that Kelly –
1
who was off duty, who was not acting as a police officer, and whose gun was his own personal
property (Ex. A at 42, 224, 2271) – was not acting under color of law and was not a state actor at
the time LaPorta was shot. As a matter of law, then, Kelly was a private actor, and his actions
therefore cannot have violated the constitution.
And without an underlying constitutional
violation, the City is not liable. But even on Plaintiff’s theory that there was a constitutional
violation, the City is entitled to judgment as a matter of law because Plaintiff failed to adduce
sufficient evidence to prove that Kelly intentionally fired his gun to inflict harm on LaPorta or
acted with reckless indifference.
A. The City Is Not Liable For Conduct Of A Private Actor.
The Supreme Court has “emphasized time and again that the touchstone of due process is
protection of the individual against arbitrary action of government.” County of Sacramento v.
Lewis, 523 U.S. 833, 845-6 (1998) (internal citation omitted) (emphasis added); accord Lugar v.
Edmondson Oil Co., 457 U.S. 922, 924, 937 (1982) (only conduct “that may be fairly characterized
as ‘state action’” can violate Fourteenth Amendment; for liability, person inflicting injury must be
“a person who may fairly be said to be a state actor”). Due process protects against “the exercise
of power without any reasonable justification in the service of a legitimate governmental
objective.” Id. The Supreme Court recognized a substantive due process right to bodily integrity
in Rochin v. California, 342 U.S. 165 (1952), where the plaintiff alleged “conscience shocking”
behavior, namely, having a criminal suspect’s stomach pumped for evidence, by a police officer
who was acting under color of law. Id. at 172. Plaintiff failed to prove such a violation here.
In this case, Plaintiff’s theory of liability under Monell was that although Kelly was not
acting under color of law, he injured LaPorta because the City, inter alia, lacked an adequate early
warning system and failed to discipline its officers. (Ex. A at 176-177; 2147). But without
2
evidence that the person inflicting the injury was acting under color of law or was a state actor,
there is no constitutional violation and the government is not liable.
That is because the
Constitution does not require the government to protect individuals from harm inflicted by private
actors. As the Supreme Court held in DeShaney v. Winnebago County Department of Social
Services, 489 U.S. 189 (1988), “nothing in the language of the Due Process Clause itself requires
the State to protect the life, liberty, and property of its citizens against invasion by private actors.”
Id. at 195. DeShaney involved a Monell claim against Winnebago County; as the Court explained,
because plaintiff’s underlying claims arose from acts of private violence by Joshua DeShaney’s
father, they did not implicate due process and the Court “ha[d] no occasion to consider . . . whether
the allegations in the complaint are sufficient to support a § 1983 claim against the county and
DSS under Monell.” Id. at 202 n.10. In other words, because the act that harmed Joshua was
private violence, there was no basis to hold the county liable, regardless of whether the county and
its DSS had a municipal policy that caused his injuries. DeShaney thus illustrates that a plaintiff
who cannot show that the actor violated the Constitution likewise cannot hold a local government
liable for the actor’s conduct. See also City of Los Angeles v. Heller, 475 U.S. 796, 799 (1986)
(per curiam) (“[i]f a person has suffered no constitutional injury at the hands of the individual
police officer, the fact that [municipal wrongdoing is also alleged] . . . is quite beside the point”);
American Manufacturers Mutual Insurance Co. v. Sullivan, 526 U.S. 40, 52 (1999) ( “[a]ction
taken by private entities with the mere approval or acquiescence of the State is not state action”);
Flagg Brothers, Inc. v. Brooks, 436 U.S. 149, 164 (1978) (rejecting notion that a private party’s
“action is properly attributable to the State because the State has authorized and encouraged it”).
Wilson-Trattner v. Campbell, 863 F.3d 589 (7th Cir. 2017), further demonstrates these
principles. There, the Seventh Circuit rejected section 1983 claims against a county officer and
3
his superiors because the officer committed only acts of private violence against the plaintiff. See
id. at 595. The court explained, citing DeShaney, that “[m]ere indifference or inaction” by a law
enforcement agency when faced with acts of misconduct by one of its employees while off duty
and otherwise not acting under color of law could not support the imposition of liability; and that
was true even if that indifference or inaction emboldened the employee to engage in acts of
violence that injured the plaintiff. Id. at 594-96. Among the claims the Seventh Circuit considered
and rejected in Wilson-Trattner was a failure-to-train claim, which was brought against the county
sheriff in his official capacity, see id. at 591, 593, and an official capacity claim is in effect a claim
against the local government itself, see Walker v. Sheahan, 526 F.3d 973, 977 (7th Cir. 2008). In
other words, the Seventh Circuit was presented with and rejected the plaintiff’s effort to hold the
local government liable based on its policies and practices because the plaintiff could not show
that the government officer who injured her was a state actor. The court did so notwithstanding
the fact that the plaintiff had argued, similar to the theory here, that a practice of ignoring
allegations of misconduct emboldened the officer to abuse the plaintiff. See Wilson-Trattner, 863
F.3d at 596. Indeed, in dismissing this claim, the district court in Wilson-Trattner expressly ruled
that it failed because Monell liability requires a showing that a municipal policy caused the
deprivation of a constitutional right, and “[h]ere . . . there was no constitutional violation.” WilsonTrattner v. Campbell, 2016 WL 2894444, *7 (S.D. Ind. May, 18, 2016).
The holding of Wilson-Trattner is consistent not only with DeShaney, but with a long line
of authority from the Seventh Circuit and elsewhere. See Latuszkin v. City of Chicago, 250 F.3d
502 (7th Cir. 2001) (Monell claim alleging municipal inaction toward unlawful activity by offduty officers properly dismissed after finding the off-duty drunk driving officer was not acting
under color of law); D.S. v. E. Porter Cty. Sch. Corp., 799 F.3d 793, 800 (7th Cir. 2015); Sallenger
4
v. City of Springfield, Ill., 630 F.3d 499, 504 (7th Cir. 2010); Jenkins v. Bartlett, 487 F.3d 482, 492
(7th Cir. 2007); Alexander v. South Bend, 433 F.3d 550, 557 (7th Cir. 2006); Malak v. Associated
Physicians, Inc., 784 F.2d 277, 283 (7th Cir. 1986) (Monell “involve[s] the nature of the duty owed
and the degree of causation required in a Section 1983 case against a governmental entity rather
than the state action requirement of Section 1983”); see also Doe ex rel. Magee v. Covington
County School District ex rel. Keyes, 675 F.3d 849 (5th Cir. 2012) (en banc); Segal v. City of New
York, 459 F.3d 207, 219 (2d Cir. 2006).
Applying these principles here shows that the City is entitled to judgment as a matter of
law. At all times during the events of January 12, 2010, Kelly was a purely private actor, not
acting under color of law. He was engaged in private acts in his own home after a night out
drinking. Thus, any injury he inflicted on LaPorta is not a constitutional violation because it was
not state action. The evidence that Kelly was employed as a police officer when the shooting
occurred is irrelevant: it is undisputed that Kelly did nothing to cloak himself in government
authority and was not carrying out his official duties. Plaintiff’s section 1983 claim fails.
In Gibson v. City of Chicago, 910 F.2d 1510 (7th Cir. 1990), the court allowed discovery
on a Monell failure to train claim where an off-duty officer was not acting under color of law. That
decision, which stressed the “unique” procedural posture of that case, id. at 1521, does not compel
a different result here. The court explained that its decision was “compatible” with DeShaney
because “at this point in the litigation,” it was required to accept as true Gibson’s factual
allegations, which the court suggested could fall within the state-created danger exception that the
Supreme Court articulated in DeShaney. Id. at 1521 n.19. In other words, there was still a
possibility Gibson could prove state action. In contrast, there was not even a claim here that
Plaintiff satisfied any exception in DeShaney. Thus, plaintiff offered no evidence at trial going to
5
the applicability of any DeShaney exception, and did not request a jury instruction on any
exception. Thus, in contrast to Gibson, here there is no basis to give Plaintiff the benefit of any
pleading standard. Plaintiff’s reading of Gibson, which would permit a municipality to be held
liable under section 1983 without any showing that the individual who inflicted the injury was
acting under color of law and without meeting any exception to DeShaney, has no basis in law and
cannot support the verdict in this case.
Because Plaintiff failed to prove a constitutional violation, the judgment should be vacated
and judgment should be entered for the City.
B.
Plaintiff Failed To Adduce Sufficient Evidence That Kelly
Intentionally Or With Reckless Indifference Shot LaPorta.
In the alternative, even if, as the Court ruled, Plaintiff could show a constitutional violation
if Kelly intentionally or with reckless indifference shot LaPorta, Plaintiff failed to meet that burden
at trial. 1 (See Dkt. 405 at 24-25.) The evidence does not establish that Kelly intentionally fired his
gun at LaPorta’s head or acted with reckless indifference.
To the contrary, the evidence showed that Kelly and LaPorta were like brothers, and were
best friends since childhood. (Ex. A at 1408-1409, 2139-2140; Ex. B 2, 10/20/17 Tr. at 124, 160-
1
In accord with the court’s summary judgment ruling, the shocks-the-conscience standard should have been applied
to evaluate Kelly’s conduct, because only the “most egregious official conduct can be said to be ‘arbitrary in the
constitutional sense.’” Cty. of Sacramento, 523 U.S. at 846 (citing Collins, 503 U.S. at 129). Accordingly, proof of
negligence or even mere recklessness cannot establish a constitutional violation. As explained at pages 5-9 of the
City’s Rule 59 motion, which is filed simultaneously with this motion, this Court erroneously declined the City’s
instruction on the “shocks the conscience” standard. The Court instead instructed the jury on a “reckless indifference”
standard that has no basis in the law of substantive due process. The Seventh Circuit has defined reckless indifference
as “at least [an] act in the face of a perceived risk that its actions will violate federal law,” and a “positive element of
conscious wrongdoing is always required.” May v. Chrysler Grp., LLC, 716 F.3d 963, 974 (7th Cir. 2013) (citing
Kolstad v. Am. Dental Assoc., 527 U.S. 526, 536-8 (1999) (internal quotations omitted). The standard is applied in the
to an award of punitive damages.
2
In this Motion, references to pages in Ex. A are to the certified trial transcript, whereas those transcripts pages
contained in Ex. B are to unofficial transcripts. Due to the length of the trial and other delays not occasioned by the
City’s conduct, the full certified transcript was not yet available at the time this motion was filed. As a result,
transcripts contained in Ex. B are designated at “draft” and that they are “not suitable for citation.” The City, with
leave of court, will seek to substitute corresponding certified transcript pages once they become available.
6
161) They visited two bars together and then returned to Kelly’s house, where LaPorta intended
drink more and stay the night. (Ex. A at 2341; Ex. B at 10/20/17 Tr. 152-154.) There is no evidence
that at any point over the course of the evening Kelly displayed animosity, hostility or violent
behavior generally or with respect to LaPorta. (Ex. A at 419, 543-547, 1793). There was also no
evidence that Kelly was ever previously violent toward LaPorta, or of any preexisting animosity
between the two. In fact, LaPorta’s own brother, who was also like a brother to Kelly, testified that
he did not believe Kelly would ever intentionally hurt LaPorta, let alone attempt to kill him. (Ex.
A at 2117, 2119, 2131-2132, 2137-2139)
Plaintiff elicited testimony from LaPorta that he did not fire the gun, (Ex. A at 2327), and
on cross examination he testified that he never saw a gun that night and never saw Kelly approach
him from any direction before he was shot. (Ex. A at 2343- 2344.) This does not remotely suggest
intent or reckless indifference by Kelly. There was no testimony from LaPorta suggesting that
Kelly brandished the gun, pointed it towards LaPorta, or otherwise handled it in such a way as to
somehow support a finding of reckless indifference. Nor was there any evidence that Kelly had a
motive to shoot LaPorta. LaPorta testified that Kelly was hitting his dog while LaPorta was
praising it and that LaPorta “said, I'm leaving. And I went to – I went to leave, and then, uh, I went
to leave, and then I saw [sic] the click.” (Ex. A at 2326) No reasonable juror could conclude that
this disagreement would supply any motive to shoot LaPorta in the head to cause him harm.
Kelly’s assertion of his Fifth Amendment right to refuse to answer certain questions at trial
relating to LaPorta’s account of the incident also does not support a finding of intent or reckless
indifference. Kelly did invoke his rights in response to questions about being the one to fire the
weapon, beating his dog, and LaPorta wanting to leave, but Kelly was never asked whether he
intentionally fired his weapon at LaPorta, or intended to cause him harm, or whether Kelly acted
7
with reckless indifference. (Ex. A at 2262-2268) Thus, Kelly did not assert his Fifth Amendment
right not to answer any such question, and there can be no adverse inference that Kelly would have
answered such a question against his own interest in avoiding criminal prosecution or disciplinary
action.
Nor did any of the testimony from forensic expert supply evidence of intent or reckless
indifference. Indeed, neither of Plaintiff’s forensic experts even knew of or took LaPorta’s account
into consideration when forming their opinions. (Ex. A at 642; 1927-1928). Mariusz Ziejewski, a
biomechanical engineering expert, opined that Kelly’s account of where LaPorta was standing
when he was shot was not consistent with “science,” because LaPorta was in the general vicinity
but not facing the direction (toward the bedroom) that Kelly described. (Ex. A at 580, 613). This
is not evidence that Kelly intentionally shot at LaPorta, seeking to cause him harm, or that he acted
in the face of a perceived risk that his actions would violate the law. And although David Balash,
a firearms examiner, opined that Kelly was the one who fired the weapon, (Ex. A at 1912), this
also does not show that Kelly intentionally fired it at LaPorta seeking to cause him harm or that
Kelly acted with reckless indifference. Additionally, it was undisputed that Kelly was highly
intoxicated. (Ex. A at 1643-1644) There was evidence that Kelly’s blood alcohol was between
.169 and .246, more than three times the legal limit to operate a motor vehicle in Illinois. (Ex. A
at 1644, 1838.) This extreme level of intoxication suggests that Kelly could not have had the
capacity even to form the intent to shoot and harm LaPorta, see United States v. Reed, 991 F.2d
399, 400 (7th Cir. 1993) (voluntary intoxication falls within defense of “diminished capacity,”
which is applicable to specific intent crimes.), or to act even in the face of a known risk that he
would violate the law.
8
In the end, then, the jury’s verdict can be based only on speculation, which is not “a
substitute for proof.” United States v. Landry, 257 F.2d 425, 431 (7th Cir.1958); see also In re
Cohen, 507 F.3d 610, 614 (7th Cir.2007) (speculation is not evidence). Without evidence of intent
or reckless indifference, Plaintiff cannot establish that Kelly violated LaPorta’s constitutional
rights. The City is therefore entitled to judgment as a matter of law.
II.
THE JURY’S FINDING OF MONELL LIABILITY IS NOT SUPPORTED
BY THE EVIDENCE.
Plaintiff’s theory was that the City was liable under Monell based on “a common practice
that is so widespread and well-settled that it constitutes a custom or usage with the force of law
even though it is not authorized by written law or express policy.” Rossi v. City of Chicago, 790
F.3d 792, 737 (7th Cir. 2015). Plaintiff presented evidence and argument purporting to show five
widespread practices: failure to maintain an adequate early warning system (“EWS”), a code of
silence, failure to terminate, failure to discipline, and failure to investigate officer misconduct. (Ex.
A at 176-177; Ex. B, 10/24/17 Tr. at 79; Ex. C Verdict Form). The jury found only that failures
to maintain an adequate EWS and failure to discipline caused Kelly to shoot LaPorta. (Ex. C,
Verdict Form). The jury also found widespread practice of failure to investigate officer misconduct
but did not find that the widespread practice of failure to investigate caused Kelly to shoot LaPorta.
Thus, this motion will address the evidentiary basis only for the EWS, discipline and investigate
theories.
Plaintiff has never argued that the claimed widespread practices at issue are in and of
themselves unconstitutional. And, indeed, the Constitution does not require the investigation of
police misconduct, discipline for police misconduct or that a police department maintain an EWS.
See, e.g., Wilson-Trattner, 863 F.3d at 594-95 (no due process right to enforcement of the law).
Rather, the widespread practices the jury found here are those of “inaction,” which may be
9
problematic only if they cause constitutional violations. Where, as here, “municipal liability is
predicated upon a failure to act, the requisite degree of fault must be shown by proof of a
background of events and circumstances which establish that the ‘policy of inaction’ is the
functional equivalent of a decision by the city itself to violate the Constitution.” City of Canton,
Ohio v. Harris, 489 U.S. 378, 394-95 (1989) (O’Conner, J., concurring in part, dissenting in part);
see also Connick v. Thompson, 563 U.S. 51, 61–62 (2011) (citing Harris, 489 U.S. at 395). Indeed,
municipal liability premised upon policies that are not facially unconstitutional but that may
instead “launch a series of events that ultimately causes a violation of federal rights” requires that
“rigorous standards of culpability and causation” are applied “to ensure that the municipality is
not held liable solely for the actions of its employee. Board of County Com’rs of Bryan County,
Okl. v. Brown, 520 U.S. 397, 405 (1997); see also City of Oklahoma City v. Tuttle, 471 U.S. 808,
824 (1985) (Rehnquist, J. plurality opinion) (“[W]here the policy relied upon is not itself
unconstitutional, considerably more proof than the single incident will be necessary in every case
to establish both the requisite fault on the part of the municipality, and the causal connection
between the ‘policy’ and the constitutional deprivation.”). In particular, “it is not enough… to
merely identify conduct properly attributable to the municipality, [t]he plaintiff must also
demonstrate that through its deliberate conduct, the municipality was ‘the moving force’ behind
the injury alleged.” Brown, 520 U.S. at 403 (emphasis in original).
As explained further below, these standards required Plaintiff to show that the two practices
the jury identified were widespread, that the City’s policymaker (the Chicago City Council) was
deliberately indifferent to constitutional violations occurring as a result of the purportedly
widespread practices, and that those same practices caused LaPorta’s injuries. The evidence
presented at trial was not legally sufficient to support any of these required showings.
10
A.
The Evidence Does Not Demonstrate the Existence of Widespread
Practices of Failing to Maintain an Adequate Early Warning
System, Failing to Discipline or Failing to Investigate.
The Seventh Circuit has not adopted “any bright-line rules defining a widespread custom
or practice,” Thomas v. Cook County, 604 F.3d 293, 303 (7th Cir. 2010), except that to “prove an
official policy, custom, or practice within the meaning of Monell, [the plaintiff] must show more
than the deficiencies specific to his own experience.” Daniel v. Cook Cty., 833 F.3d 728, 734 (7th
Cir. 2016). Otherwise, the claim against the municipality is nothing more than one for vicarious
liability, which Monell expressly prohibits. “Thus, under the Monell widespread practice theory,
Plaintiffs must establish an unconstitutional pattern of conduct, including incidents other than ones
involving them, to give rise to the inference that an unconstitutional custom, policy, or practice
exists.” Fairley v. Andrews, 430 F. Supp. 2d 786, 801 (N.D. Ill. 2006), aff'd sub nom. Fairley v.
Fermaint, 482 F.3d 897 (7th Cir. 2007) (citing Tabor v. City of Chicago, 10 F.Supp.2d 988, 993
(N.D.Ill.1998)); Ronald Palmer v. Marion County, 327 F.3d 588 at 595-96 (7th Cir. 2003). In other
words, a widespread practice theory requires evidence that the practice is in fact “widespread,”
and that specific constitutional violations attributed to that practice were not just isolated incidents.
Jackson v. Marion Cty., 66 F.3d 151, 152 (7th Cir. 1995); see also Gill v. City of Milwaukee, 850
F.3d 335, 344 (7th Cir. 2017) (requiring “examples of other…police officers taking actions similar
to those complained of here”).
The evidence in this case was not that the City did not have an EWS at all or that it did not
ever investigate or discipline officers for misconduct. Instead, Plaintiff’s theory was that City’s
EWS, investigations and discipline were not good enough. Evidence that policies are “not good
enough” cannot possibly suffice to satisfy the “rigorous standards” of culpability and causation
required for municipal liability. In addition, beyond his allegations about his own circumstances,
11
Plaintiff presented no evidence of any other specific incidents of constitutional violations
attributable to these alleged policies. The City is therefore entitled to judgment notwithstanding
the verdict.
1) Failure to Maintain an Adequate Early Warning System
Plaintiff’s police procedure expert, Lou Reiter, explained that an EWS is a remediationbased, non-disciplinary, supervisory program used in law enforcement to identify officers not
conforming to the expectations of the department. (Ex. A at 301, 355-356). He relied on the
description of Donald O’Neill, the director of CPD’s Human Resources Department from 2014 to
2016, of CPD’s EWS program, which, while not actually called “EWS,” includes the Behavioral
Intervention System (“BIS”), Personnel Concerns (“PC”), and Fitness for Duty “FFD” programs.
(Ex. A at 294-295, 324-325; Ex. B, 10/23/17 Tr. at 113-115). O’Neill explained that BIS and PC
look at various relevant, vetted criteria, which include the frequency of not-sustained allegations
of excessive force during a one-year time period, as a factor that may warrant the recommendation
that an officer be placed in the BIS or PC programs. (Ex. B, 10/23/17 Tr. at 115-120, 129). If BIS
is not effective in bringing about change the officer’s behavior that warranted inclusion in the
program, the officer may then be placed in PC, which is a more rigorous remedial program that
sets specific parameters unique to the officer’s own reasons for entry into the program and which
the officer must meet to avoid termination. (Ex. A 329-330; Ex. B, 10/23/17 Tr. at 114-115). Direct
referrals to FFD can be made or a referral to FFD can be included as part of an officer’s enrollment
in BIS or PC. (Ex. B, 10/23/17 Tr. at 120-122.) The City pioneered the development of an EWS
in the form of BIS and PC in the 1990s; even today, less than 10% of all law enforcement agencies
have such systems in place. (Ex. B, 10/23/17 Tr. at 37, 115). Reiter testified that CPD’s written
12
EWS policies were “adequate.” (Ex. A at 324-325, 330, 374). Thus, the undisputed evidence in
this case is that the City maintained, at least on paper, an adequate EWS system.
Reiter instead focused on Kelly alone and statistics in the Police Accountability Task Force
(“PATF”) Report to opine generally that the EWS program was not being “utilized” properly. (Ex.
A at 363, 371, 374). But that evidence did not support his opinion. Reiter testified that Kelly
should have been referred to CPD’s EWS program in 2005 or 2006 because of the excessive force
complaints against him (which included the two Brogan incidents 3) but was not; Reiter conceded,
however, that before 2010 Kelly was referred twice (for the first Brogan incident in 2005 and,
again, for the second Brogan incident in 2006) to the FFD program (which he characterized as
BIS). (Ex. A at 325-326, 370). 4 Reiter further acknowledged that Kelly was referred for mental
health counseling services as part of that program and O’Neill confirmed in greater detail that
Kelly did receive such services in relation to both off-duty incidents. (Ex. A at 326; Ex. B, 10/23/17
Tr. at 125, 128). Specifically, through the FFD program, Kelly was found unfit by a licensed
psychologist, and was referred for and participated in regular counseling services. (Id. at 127-128.)
He was ultimately deemed fit and was restored to duty after engaging in counseling and additional
evaluations by an independent psychologist. (Ex. A at 370; Ex. B, 10/23/17 Tr. at 127-128, 133).
Further, there was no evidence presented of any complaints (or even instances not resulting in a
complaint) of off-duty misconduct by Kelly for the next four years, suggesting, if anything, that
CPD’s EWS services had an impact on Kelly’s behavior. In short, the evidence presented at trial
showed that CPD’s EWS was utilized for Kelly. Reiter offered no examples of any officers who
3
The 2005 Brogan incident was an off-duty domestic incident between Kelly and his girlfriend, the incident the
following was a fight initiated by his girlfriend’s brother. (Ex. A at 340)
4
Kelly did not meet the BIS criteria of having three or more not-sustained excessive force complaints in a one-year
period. (Ex. B, 10/23/17 Tr. at 118-120). Again, though, Reiter did not criticize the criteria for placement in the
various programs comprising CPD’s EWS, and found the written policies that guide that system “adequate.” (Ex. A
at 324-325, 374).
13
should have been enrolled in the EWS and were not. Nor did Reiter offer evidence linking an
adequate but purportedly improperly “utilized” EWS to any constitutional violations. In fact,
Plaintiff called no other witness on these issues.
Reiter did speculate that an officer “might think” he could act with impunity if he knew,
among other things, that he met the criteria for the EWS program but was not enrolled, but there
was no evidence that this theory applied to Kelly or any other officer. (Ex. A at 305, 325-7, 329.)
And Reiter’s observation ignored that Kelly was enrolled in FFD in relation to the Brogan
incidents. Further, Reiter provided no evidence that it would even be possible to show that
adequate utilization of an EWS program reduces constitutional violations. Nor did Reiter offer any
evidence that some other, differently maintained or utilized EWS would have identified Kelly as
being at risk to commit acts of off-duty violence linked to alcohol abuse any better than FFD did,
and influenced his future behavior in a way that would have prevented LaPorta from being shot.
In fact, there was no evidence presented that any EWS system was ever found to have actually
influenced future behavior.
Plaintiff’s only other evidence in support of this theory was information contained in the
PATF Report regarding enrollment in CPD’s BIS and PC programs from the years 2007-2015.
But rather than supporting Plaintiff’s theory, the PATF data showed that from 2007-2010, the only
timeframe during which an EWS could have impacted Kelly’s behavior, the programs were being
utilized. (Ex. A at 328; Ex. B, 10/23/17 Tr. at 130-131.) And there was no evidence that the
numbers during the relevant timeframe were evidence of underutilization; instead, Reiter pointed
to the numbers after 2010 as evidence of underutilization. (Ex. A at 328.) Evidence regarding the
adequacy of the BIS and PC programs after 2010 is irrelevant to establishing its adequacy in 2010
and before. In addition, the PATF data utilized by Plaintiff did not include any FFD statistics,
14
painting an incomplete picture of the EWS. (Ex. A. at 2353.) The same holds true for the
conclusory observations in both the PATF and DOJ Reports (on which Plaintiff also relied) that
CPD’s EWS is not functioning in a way that identifies officer in need of intervention. (Ex. A at
2238-2249 (reading DOJ Report); 2349-2361 (reading PATF Report)) Moreover, because those
reports were published in 2016 and 2017, respectively, their observations about the “current status”
of the program say nothing about the effectiveness of the EWS program during the relevant
timeframe for this case.
Plaintiff also offered no evidence that any criteria exists by which to evaluate the efficacy
or “adequacy” of utilization of an EWS program. Without evidence of any meaningful standard
by which to judge these programs, there was no basis for a jury to conclude CPD’s program fell
short.
In the end, the only reasonable interpretation of the evidence is that CPD did have a EWS
program that, as Plaintiff’s police practices expert acknowledged, met law enforcement standards;
that it was being utilized between 2004 and 2010, which is the only timeframe during which such
a program could have influenced Kelly’s conduct; and that Kelly was, in fact, referred to and
participated in the program. Plaintiff therefore failed to prove the existence of a widespread
practice of failing to maintain an “adequate early warning system.”
2) Failure To Discipline
As Plaintiff made clear in his opening statement and throughout the trial, his failure to
discipline claim was based solely on evidence relating to Kelly – specifically, “whether the City .
. . should have disciplined Patrick Kelly for his repeated acts of misconduct before so that he knew
that there were consequences for punishment [sic] for his misconduct.” (Ex A at 177).
15
A single officer’s disciplinary record is a legally insufficient evidentiary basis from which
to find a widespread, entrenched practice in a police department with more than 13,000 officers.
(Ex. A at 929) “[T]he gravamen [of a Monell claim] is not individual misconduct by police officers
(that is covered elsewhere under § 1983), but a widespread practice that permeates a critical mass
of an institutional body. In other words, Monell claims focus on institutional behavior; for this
reason, misbehavior by one or a group of officials is only relevant where it can be tied to the policy,
customs, or practices of the institution as a whole.” Rossi, 790 F.3d at 737. Thus, a plaintiff needs
evidence of a pattern of conduct “sufficiently widespread in terms of duration and/or frequency”
to give rise to an inference of actual or constructive knowledge on the part of the municipality;
without that, the municipality is not liable. McLin, et al. v. City of Chicago, 742 F. Supp. 994 at
997–98 (N.D. Ill. 1990); Gill, 850 F.3d at 344. Accordingly, discipline, or lack thereof, for one
single officer, even over the course of six years, does not come close to establishing a widespread
practice of failure to discipline.
In addition, as this Court recognized in its summary judgment ruling, the failure to
discipline claim focused on the adequacy of discipline. (See Dkt, 405 at 12). That claim necessarily
requires proof that upon a finding of misconduct (as opposed to upon receiving an allegation of
misconduct, which was an issue covered by the failure to investigate claim), the City failed to
impose discipline or imposed inadequate discipline. Plaintiff offered no such evidence with respect
to Kelly. For the one complaint against Kelly that was sustained, the LaPorta incident, Kelly was
disciplined. IPRA sustained allegations against Kelly for failing to secure his weapon, intoxication
off-duty, and for his conduct toward Sgt. Kielbasa. (Ex. A at 837-1842.) He received a 60-day
suspension without pay. (Ex. B, 10/23/17 Tr. at 111-112).
16
With respect to the other allegations of misconduct against Kelly, Plaintiff presented
evidence tending to show that only one of them – the 2005 Brogan domestic violence incident –
should have resulted in discipline. In fact, although over the course of his career Kelly was the
subject of other allegations of misconduct, Plaintiff did not present evidence that any of those
complaints should have been sustained or that Kelly should have otherwise been disciplined.
While Plaintiff presented evidence about Kelly’s other CRs through Reiter and other witnesses, he
did not elicit any opinion from Reiter, or offer any evidence from any other source, that any CR
other than that pertaining to the 2005 Brogan incident should have been sustained. (Ex. A at 371373.) Without that evidence, evidence regarding other allegations of misconduct relating to any
CR other than Brogan’s cannot support a finding that there existed a widespread practice premised
on failure to discipline. 5 To be sure, insofar as the 2005 Brogan complaint is concerned, although
the OPS investigator recommended that this CR be sustained, OPS Chief Tisa Morris overrode
that recommendation, (Ex. A at 1205-1206, 1225), and Kelly was not disciplined for that incident.
(Ex. A at 962.) But even if this single decision was evidence that CPD has a practice of failing to
impose discipline where discipline was warranted, one instance is insufficient as a matter of law
to show a widespread practice.
In contrast to the paucity of evidence showing a policy of failing to discipline, there was
evidence of CPD disciplinary records showing that complaints involving violations of Rule 14
(which prohibits false statements or reports) and domestic violence incidents were sustained and
disciplined was imposed during the relevant timeframe of 2004 to 2010. (Ex. B, 10/23/17 Tr. at
5
Arguably, evidence about Kelly’s other CRs may have been relevant to Plaintiff’s theory that the City has a
widespread practice of failing to investigate allegations of misconduct and/or a code of silence, but because Plaintiff
did not prevail on those theories, given the absence of evidence that those other CRs should have been sustained, those
CRs are irrelevant and should be disregarded for purposes of assessing whether the City has a widespread practice of
failing to discipline.
17
215-216, 218-219, 227-228). Plaintiffs identified no evidence to suggest that this discipline was
inadequate. Similarly, while Plaintiff’s expert, Dr. Rothman, testified about statistical data
contained in CPD annual reports about sustained rates and ranges of discipline imposed, he did
not opine that more complaints should have been sustained or that the discipline imposed was
inadequate. (Ex. A at 2210-2213). As for Reiter, he offered no opinion regarding Dr. Rothman’s
analysis, and, like Dr. Rothman, he provided no opinion regarding the adequacy of the City’s
discipline for sustained complaints. In fact, Reiter could not even say whether, over the course of
his 25 years of experience opining on the City’s police practices, any of the thousands of CRs he
reviewed should have been sustained but were not, let alone whether any discipline was imposed
or was inadequate. (Ex. A at 371)
Specifically, while the jury heard conclusory statements from the DOJ Report about “rare
instances” of sustained complaints and “haphazard and unpredictable discipline,” (Ex. A at 22382249), this evidence does not support Plaintiff’s failure-to-discipline theory because it does not
contain any of the actual “examples of other… police officers taking actions similar to those
complained of here” required to prove a Monell widespread practice. Gill, 850 F.3d at 344. In
addition, the DOJ Report reached its findings based on CPD materials dated between 2011 and
2016, (Ex. A at 2239-240), and therefore those findings do not address the timeframe relevant to
this case. Similarly conclusory evidence from outside the relevant timeframe was introduced from
the PATF Report. (Ex. A at 2349-2361). Because neither Report provides any specific evidentiary
basis for its conclusions, much less specific examples dating from the relevant timeframe, the
findings contained in those Reports are not evidence of a widespread practice of failing to
discipline.
18
In short, Plaintiff adduced evidence of, at most, a single instance in which the City failed
to impose adequate discipline – the 2005 Brogan incident – which occurred more than four years
before the LaPorta incident. An isolated instance is legally insufficient to establish a widespread
practice of failing to discipline. See Palmer v. Marion Cty., 327 F.3d 588, 596 (7th Cir. 2003)
(“[T]wo incidents of misconduct…in a period of one year certainly fails to meet the test of a
widespread unconstitutional practice…that is so well settled that it constitutes a custom or usage
with the force of law.”). Moreover, no evidence linked a practice of failing to discipline to any
constitutional violation. The complete lack of an evidentiary basis supporting a widespread
practice of failing to discipline warrants judgment as a matter of law for the City on Plaintiff’s
failure-to-discipline theory.
3) Failure To Investigate
For the many of same reasons discussed above, the evidence elicited at trial was insufficient
to establish a widespread practice of failing to investigate. First, Plaintiff’s reliance on Kelly’s
disciplinary history (see e.g. Ex. A at 316-20), is, for the reasons discussed above, a legally
insufficient evidentiary basis from which to find a widespread, entrenched practice in a police
department with more than 13,000 officers. Plaintiff’s additional reliance upon Dr. Rothman’s
testimony that 46 percent of complaints made between December 31, 2004 and January 12, 2011
are categorized as “no-affidavit” and not investigated, (Ex. A at 2199-2202, 2211-14), does not
cure the deficiency in Plaintiff’s almost exclusive reliance upon Kelly’s disciplinary history. “No
Affidavit” complaints are designated as such because Illinois State law requires that in order for a
misconduct complaint to proceed against a member of law enforcement it must be accompanied
by an affidavit attesting to the veracity of the complaint. See Uniform Peace Officers Disciplinary
Act, 50 ILCS 725/3.8. A municipal policy cannot be premised upon compliance with an obligation
19
imposed by Illinois State law, otherwise it would be placed in the untenable position of being
forced to violate state law to avoid Monell liability. Moreover, Dr. Rothman’s testimony that
complaints were sustained 5 percent of the time during the same time period cannot be relied upon
to support Plaintiff’s widespread practice theory of failing to investigate. Rothman made clear
that he did not compare CPD’s sustained rate to any other law enforcement agency sustained rate.
(Ex. A at 2214.) And, Dr. Roberts, the City’s expert, testified that the City’s sustained rate was
not statistically different than other comparable police departments. (Ex. B, 10/19/17 Tr. at 208).
Accordingly, the evidence Plaintiff relied upon was insufficient as a matter of law to show a
widespread practice of failing to discipline.
Plaintiff’s only other evidence in support of this theory was the observations contained in
the PATF Report and the DOJ Report discussed above. The flaws discussed with respect to the
reliance upon these Reports in support of Plaintiff’s failure to discipline theory doom Plaintiff’s
reliance upon this theory as well. Specifically, conclusory statements from the DOJ Report about
“rare instances” of sustained complaints and “haphazard and unpredictable discipline,” (Ex. A at
2238-2249), does not support Plaintiff’s failure-to-investigate theory because it does not contain
any of the actual “examples of other… police officers taking actions similar to those complained
of here” required to prove a Monell widespread practice. Gill, 850 F.3d at 344. Additionally, the
timeframe of the CPD materials relied upon by the DOJ (2011 to 2016) do not address the
timeframe relevant to this case. Similarly conclusory evidence from outside the relevant timeframe
was introduced from the PATF Report. (Ex. A at 2349-2361). As discussed above, neither report
provides any specific evidentiary basis for its conclusions or specific examples dating from the
relevant timeframe, and therefore, the findings contained in those Reports are not evidence of a
widespread practice of failing to investigate. Moreover, no evidence linked a practice of failing to
20
investigate to any constitutional violation. Thus, the complete lack of an evidentiary basis
supporting a widespread practice of failing to investigate warrants judgment as a matter of law for
the City on Plaintiff’s failure-to-investigate theory.
B.
There was Insufficient Evidence to Establish that the City’s
Policymaker was Deliberately Indifferent.
Municipal liability under section 1983 attaches only where “a deliberate choice to follow
a course of action is made from among various alternatives by the official or officials responsible
for establishing final policy with respect to the subject matter in question.” Pembaur v. City of
Cincinnati, 475 U.S. 468, 483 (1986). Deliberate indifference requires proof of both awareness of
a pattern of constitutional violations “substantially certain” to result from the policy, and
acquiescence to the pattern. City of Canton, 489 U.S. at 397 (O’Connor, concurring in part and
dissenting in part); see also Connick, 563 U.S. at 61. But as the Seventh Circuit put it, “[f]ailing to
eliminate a practice cannot be equated to approving it. Otherwise every inept police chief in the
country would be deemed to approve, and therefore become answerable in damages to all the
victims of, the misconduct of the officers under his command—indeed might (contrary to
DeShaney[]) be deemed responsible for all the murders and robberies that he had through his
carelessness failed to prevent.” Wilson v. City of Chicago, 6 F.3d 1233, 1240 (7th Cir. 1993); see
also Moore v. City of Chicago, No. 02 C 5130, 2007 WL 3037121, at * 11. (N.D. Ill. Oct.15, 2007)
(evidence of City Council’s failed efforts to change its alleged practice of ignoring police
misconduct did not demonstrate deliberate indifference).
Here, there was legally insufficient evidence from which a reasonable jury could find that
the City’s policymaker was deliberately indifferent to a widespread practice of failing to maintain
an adequate EWS and/or failing to discipline.
21
1.
There Was No Evidence of Deliberate Indifference by the
Chicago City Council to Any Failure to Maintain an Adequate
Early Warning System.
The only evidence purporting to relate to deliberate indifference to the lack of an adequate
EWS was introduced through two questions to Alderman Joseph Moore, a Fed. R. Civ. Proc.
30(b)(6) witness who testified on behalf of the Chicago City Council. He was asked to confirm
that the 2017 DOJ Report: (1) “criticized the lack of an early warning or early intervention system,”
and (2) “warned that the lack of having an early warning system could lead to repeated acts of
abuse against the citizens leading to constitutional violations.” (Ex. A at 903). Even if the findings
in the DOJ Report pertained to the timeframe relevant to this case, which they do not, those
findings could not establish deliberate indifference by the City Council to a purportedly
widespread practice of failing to maintain an adequate EWS.
Even Reiter conceded that the City’s EWS system was, on its face, an adequate system,
(Ex. A at 374), and there was no evidence that the City’s EWS, as it existed between 2004 and
2010, was improperly utilized such that it would have been was plainly obvious to the relevant
policymaker that it would cause a deprivation of constitutional rights by officers. Further, the only
evidence elicit from Alderman Moore regarding EWS was that City Council was made aware of
that CPD’s EWS had been “criticized” in the recent 2017 DOJ Report. (Ex. A at 903, 933). But
that is not evidence that can even be considered with regard to deliberate indifference here because
the Report does not reflect, and there was no other evidence to establish, that at any time before
2017, the City Council was aware of any inadequacies of CPD’s EWS during the relevant
timeframe of 2004 to 2010, nothing in the Report establish anything about the EWS being “plainly
obvious,” or that the Report reflected factual findings or conclusions relating to EWS during that
timeframe. Nor would that evidence be sufficient even it was relevant because it fails to establish
22
the Council engaged in “a deliberate choice to follow a course of action…among various
alternatives.” Pembaur, 475 U.S. 483. In short, there was no evidence that the City Council knew,
during the relevant timeframe of 2004 to 2010, that CPD’s facially adequate EWS system was
nevertheless inadequate because it purportedly was not being utilized properly, and then
acquiesced in that practice with the knowledge that the practice was substantially certain to result
in constitutional violations. Without such evidence, which is needed to establish deliberate
indifference, Plaintiff’s Monell claim premised on a policy of maintaining an inadequate EWS
fails and the City is entitled to judgment as a matter of law on that claim.
2.
There Was No Evidence of Deliberate Indifference by the
Chicago City Council to Any Widespread Practice of Failing to
Discipline.
Again, Plaintiff relied only on Kelly’s disciplinary history (and, even then, only on the
2005 Brogan incident) to establish a widespread practice of failing to discipline. But there was no
evidence that the Chicago City Council was aware of the allegations of misconduct against Kelly,
much less of the failure to discipline him for the Brogan incident. Likewise, there was no evidence
that City Council was aware that constitutional violations were occurring or substantially likely to
occur because one of its 13,000 police officers was not disciplined for one incident in 2005.
“A custom of failing to discipline police officers can be shown to be deliberately indifferent
if the need for further discipline is so obvious and disciplinary procedures so inadequate as to be
likely to result in the violation of constitutional rights such that a jury could attribute to the
policymakers a deliberate indifference to the need to discipline the police force.” Czajkowski v.
City of Chicago, 810 F.Supp. 1428, 1439 (N.D.Ill.1992) (citing Tapia v. City of Greenwood, 965
F.2d 336, 338 (7th Cir.1992)). Here, there was, at best, meager evidence to establish a practice of
failing to discipline, and none to establish that the City’s policymaker knew about and was
23
deliberately indifferent to the need for more discipline or that without it, officers were likely to
violate the Constitution.
If anything, there was substantial evidence that the City Council was not deliberately
indifferent. For example, Alderman Moore testified that the City Council passed an ordinance in
2007 that created IPRA to replace OPS in response to public criticism that CPD’s disciplinary
system was not effective enough at addressing police misconduct. (Ex. A at 840-846, 914-916).
This ordinance made IPRA completely independent from CPD and subject to direct oversight by
the Mayor and City Council. Id. at 840-846. Alderman Moore further testified to the City
Council’s oversight of CPD and how it regularly holds hearings focused on the issue of police
accountability. (Ex. A at 914-916). Those hearings included but are not limited to annual budget
hearings, which are also “accountability” sessions during which the Council scrutinizes the work
of CPD and IPRA. Id. The Council sought out and hired highly qualified individuals to run IPRA,
who made improvements to the accountability systems and who were held accountable for their
work during the regular hearing held by the City Council. (Ex. A at 918-922). He explained that
despite finite resources and the need to balance the various financial needs of CPD, IPRA (and
now COPA), the City Council allocates all the resources it can to addressing an issue it takes very
seriously - police accountability. (Ex. A at 916-918, 925-929, 946.) On that point, he further stated
that “I would not doubt that there are also incidents where officers escape being disciplined, and
that's why it's important to increase the resources for the body charged with conducting those sort
of investigations.” (Ex. A at 877).
In addition, Alderman Moore testified that when the Illinois General Assembly was
considering legislation that could impede misconduct investigations, the City lobbied against the
legislation. (Ex. A at 882-885). After losing that fight, the City continued to negotiate this issue
24
with the unions, and ultimately was successful in obtaining concessions relating to that legislation.
(Ex. A at 883-884). Alderman Moore also testified about the City Council’s efforts to ensure that
the City is transparent on matters relating to police discipline. (Ex. A at 922-923.) Both IPRA and
CPD publish annual reports that are available to the public and contain data and statistics regarding
police discipline. (Ex. A at 908-909, 922, 936-937). Similarly, there was evidence at trial that the
Police Board reports to the public about police disciplinary matters. (Ex. B, 10/23/17 Tr. at 221).
To be sure, Alderman Moore acknowledged that the City Council is aware of criticism that the
City’s systems for identifying and disciplining police misconduct are not robust enough or could
be better, (Ex. A at 851); however, this is not evidence of deliberate indifference. See Wilson, 6
F.3d at 1240 (explaining that “failing to eliminate a practice cannot be equated to approving it”)
In the end, to find deliberate indifference on these facts would substitute conjecture and
principles of mere negligence for the “rigorous standards” of culpability the Supreme Court
requires to hold a municipality liable on a Monell claim. Brown, 520 U.S. at 405. As the Court
has explained, “a finding of culpability simply cannot depend on the mere probability that any
officer inadequately screened will inflict any constitutional injury. Rather, it must depend on a
finding that this officer was highly likely to inflict the particular injury suffered by the plaintiff.”
Id. at 412; accord Wilson v. Cook County, 742 F.3d 775, 783–84 (7th Cir. 2014). No reasonable
jury could conclude based on the evidence presented here that the City Council should have known
that because CPD had an adequate but purportedly improperly utilized EWS and/or because CPD
had an alleged practice of failing to discipline that Kelly would shoot his longtime friend in the
head and was deliberately indifferent to this known consequence.
C.
There was a Legally Insufficient Evidentiary Basis to Establish that
a Widespread Practice was the Cause of Plaintiff’s Injury
25
There also was insufficient evidence presented at trial tying the incident involving Kelly
and LaPorta to any widespread practice of the City. “Causation is a standard element of tort
liability, and includes two requirements: (1) the act must be the ‘cause-in-fact’ of the injury, i.e.,
‘the injury would not have occurred absent the conduct’; and (2) the act must be the ‘proximate
cause,’ sometimes referred to as the ‘legal cause,’ of the injury, i.e., ‘the injury is of a type that a
reasonable person would see as a likely result of his or her conduct.’” Whitlock v. Brueggemann,
682 F.3d 567, 582 (7th Cir. 2012) (citing Ciomber v. Cooperative Plus, Inc., 527 F.3d 635, 640
n.1 (7th Cir.2008); see also Ruiz-Cortez v. City of Chicago, 2016 WL 6270768, at *22 (N.D. Ill.
2016). (“[B]oth but-for and proximate causation” must be established to link the challenged action
to the constitutional deprivation.). The existence of “[a direct causal link between a municipal
policy or custom and the alleged constitutional deprivation” is exceedingly difficult to prove. City
of Canton, 489 U.S. at 385. The “fact that a municipal ‘policy’ might lead to ‘police misconduct’
is hardly sufficient to satisfy Monell’s requirement that the particular policy be the ‘moving force’
behind a constitutional violation. There must at least be an affirmative link between the …
inadequacies alleged, and the particular constitutional violation at issue.” City of Oklahoma City,
471 U.S. at 824 n.8 (emphasis added). Plaintiff failed to satisfy this rigorous standard here.
The evidence presented at trial suggested, at most, a general environment that could
possibly lead to misconduct among officers, none of which is necessarily tied to any specific type
of misconduct. But that is not enough. As explained, Supreme Court precedent required Plaintiff
to present evidence of a direct causal link between any practice of failing to have an adequate EWS
and/or failing to discipline, on the one hand, and, on the other, Kelly shooting his friend after night
out of heavy drinking. Absent such evidence, the shooting cannot be “affirmative[ly] linked,” id.,
to any failure to discipline or maintain an adequate EWS.
26
With regard to the adequacy of the EWS, the only evidence relating to causation came from
Reiter. He testified that the failure to have an adequate EWS “could or might cause an officer such
as Patrick Kelly to act with impunity.” (Ex. A at 319, 325-326) But, again, the Supreme Court has
foreclosed liability on this basis, holding that Monell’s causation requirement is “hardly satisfied”
by evidence that a municipal policy “might” lead to unspecified police misconduct. City of
Oklahoma City, 471 U.S. at 824 n.8; see also Craft v. Flagg, No. 06 C 1451, 2010 WL 5363914,
at *2 (N.D. Ill. Dec. 13, 2010) (citing City of Canton, 489 U.S. at 391-92) (“Evidence that a
municipality could have done something more or better is insufficient to establish causation in a §
1983 [Monell] claim.”). And there was no evidence at all tending to establish that any practice by
the City of failing to discipline was the but-for cause of LaPorta’s shooting. In fact, Plaintiff’s
failure to appreciate his burden of proof regarding causation is exemplified by his counsel’s closing
argument: in closing, Plaintiff’s counsel argued that he had to prove merely that LaPorta’s injuries
were a “foreseeable consequence of the City’s actions.” (Ex. B, 10/24/17 Tr. at 83, 102, 121.) As
explained above, however, Plaintiff had to prove not only that a City policy was the proximate
cause of LaPorta’s injury, but also that it was the but- for cause.
In particular, to show but-for causation, Plaintiff had to show the following:
•
the City maintained policies of inaction by way of its inadequate EWS and failure to
discipline officers for misconduct;
•
those inadequacies resulted in Kelly not being enrolled in the City’s EWS and not being
punished as a result of the 2005 Brogan incident;
•
Kelly’s familiarity with those failures led him to believe that any wrongful act he took
would go unpunished – regardless of it being a violation of CPD rules or criminal laws;
and
•
this conscious belief caused Kelly, nearly five years after the Brogan incident and for
unknown reasons, to fire a bullet into his longtime friend’s head after the two enjoyed a
night out drinking.
27
The evidence presented here was not sufficient to establish any of the elements in this attenuated
causal chain, much less all of those elements. The evidence did not show, for example, that Kelly’s
off-duty drinking, and resulting violent acts, were the result of his purported belief that he would
not be disciplined by his employer for those acts, rather than his own personal issues, including
alcoholism and a tendency to engage in acts of violence. Indeed, if the evidence presented at trial
were sufficient to establish causation for purposes of Monell liability here, it would be sufficient
in any case in which any person the City employs as a police officer engages in any act of
misconduct. That is not the law. To the contrary, the Supreme Court has made clear that there
must be a robust and direct causal link between the claimed municipal policy and the specific
conduct at issue to impose liability on a municipality.
Although Plaintiff’s failure to present sufficient evidence that the City’s purported
practices were the but-for cause of LaPorta’s shooting alone entitles the City to judgment as a
matter of law, Plaintiff also failed to present sufficient evidence to establish proximate causation
– that is, that this is the type of injury that a reasonable person would see as a likely result of any
failure by the City to maintain an inadequate EWS or to discipline its officers for misconduct.
Plaintiff presented no evidence of any other instance where any remotely similar tragedy happened
that could have put the City on notice that its policies were likely to cause its police officers, while
off duty and not engaged in any law enforcement activity, to shoot their friends because they
believed they could get away with it. Therefore, the City is entitled to judgment as a matter of law
for two reasons: Plaintiff failed to show that but-for the City’s allegedly inadequate EWS and
disciplinary practices, Kelly would not have shot his friend in the head, and Plaintiff further failed
to show that it was a likely and foreseeable result of those supposed practices that Kelly would do
so.
28
WHEREFORE, for all of the reasons discussed above, the judgment on the jury’s verdict
should be vacated and a directed verdict pursuant to Rule 50(b) should be entered for Defendant
City of Chicago.
Dated:
November 24, 2017
Respectfully submitted,
THE CITY OF CHICAGO
By:
Eileen E. Rosen
Stacy A. Benjamin
James B. Novy
Theresa Berousek Carney
Rock Fusco & Connelly, LLC
321 N. Clark Street, Suite 2200
Chicago, Illinois 60654
312.494.1000
312.494.1001- fax
erosen@rfclaw.com
29
/s/ Eileen E. Rosen
One of their attorneys
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