Frazier et al v. Baldwin
Filing
166
MEMORANDUM Opinion and Order written by the Honorable Gary Feinerman on 11/10/2020.Mailed notice.(jlj, )
UNITED STATES DISTRICT COURT
FOR THE NORTHERN DISTRICT OF ILLINOIS
EASTERN DIVISION
CELINA MONTOYA, ZACHARY BLAYE, and
RONALD MOLINA, individually and on behalf of all
others similarly situated,
Plaintiffs,
vs.
ROB JEFFREYS, in his official capacity as Acting
Director of the Illinois Department of Corrections,
Defendant.
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18 C 1991
Judge Gary Feinerman
MEMORANDUM OPINION AND ORDER
Celina Montoya, Zachary Blaye, and Ronald Molina, all serving mandatory supervised
release (“MSR”) terms following their state court sex offense convictions, bring this putative
class action under 42 U.S.C. § 1983 against Rob Jeffreys in his official capacity as Acting
Director of the Illinois Department of Corrections (“IDOC”), alleging that an IDOC policy
prohibiting them from having contact with their minor children without prior approval violates
their Fourteenth Amendment due process rights. Doc. 92. (The claims of a fourth plaintiff,
Jennifer Tyree, were dismissed by agreement as moot. Doc. 155.) Plaintiffs seek only
declaratory relief and an injunction against IDOC’s enforcement of its policy, not damages.
Doc. 92 at ¶¶ 86, 88.
Earlier in the litigation, the court enjoined enforcement of IDOC’s prior parent-child
contact policy, Doc. 33, and denied IDOC’s motion to dismiss the initial complaint’s substantive
due process claim, Docs. 63-64 (reported at 2019 WL 296556 (N.D. Ill. Jan. 23, 2019)).
Plaintiffs then filed an amended complaint directed against IDOC’s current policy. Doc. 92.
The court denied IDOC’s motion to dismiss the amended complaint, but ordered supplemental
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briefing on whether Montoya’s and Blaye’s claims are moot given that IDOC granted them
permission to see their children. Docs. 138-139 (reported at 2020 WL 4464672 (N.D. Ill. Aug.
4, 2020)).
The parties’ supplemental briefs, with IDOC seeking dismissal under Rule 12(b)(1) of
Montoya’s and Blaye’s claims and Plaintiffs opposing dismissal, are before the court.
Docs. 144, 145, 150, 151. Also before the court is Plaintiffs’ motion for class certification.
Doc. 93. Montoya’s and Blaye’s claims may proceed, and Plaintiffs’ class certification motion is
granted in part.
Background
IDOC raises a factual challenge to subject matter jurisdiction under Rule 12(b)(1) in that
it relies on evidence outside the pleadings to contend that Montoya’s and Blaye’s claims are
moot. See Silha v. ACT, Inc., 807 F.3d 169, 173 (7th Cir. 2015) (“A factual challenge contends
that there is in fact no subject matter jurisdiction, even if the pleadings are formally sufficient.”)
(citation and emphasis omitted). In considering that challenge, the court “may properly look
beyond the jurisdictional allegations of the complaint and view whatever evidence has been
submitted on the issue to determine whether in fact subject matter jurisdiction exists.” Apex
Digital, Inc. v. Sears, Roebuck & Co., 572 F.3d 440, 444 (7th Cir. 2009) (internal quotation
marks omitted).
Plaintiffs’ class certification motion also requires the court to look beyond the pleadings.
“Unlike a motion under Federal Rule of Civil Procedure 12(b)(6), a motion to certify a class
under Rule 23(c) is not one for which the court may simply assume the truth of the matters as
asserted by the plaintiff. Instead, if there are material factual disputes, the court must receive
evidence and resolve the disputes before deciding whether to certify the class.” Priddy v. Health
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Care Serv. Corp., 870 F.3d 657, 660 (7th Cir. 2017) (citation, alterations, and internal quotation
marks omitted). Still, “[i]n conducting this analysis, the court should not turn the class
certification proceedings into a dress rehearsal for the trial on the merits.” Messner v.
Northshore Univ. HealthSystem, 669 F.3d 802, 811 (7th Cir. 2012).
A.
IDOC Policy
Plaintiffs are parents of minor children. Doc. 147 at ¶ 7. Each is serving a term of MSR,
a nondiscretionary form of parole, after having been convicted in Illinois state court of crimes for
which they must register as sex offenders. Id. at ¶¶ 2, 7. The Illinois MSR statute provides that
registered sex offenders must, during their MSR terms, “refrain from all contact, directly or
indirectly, personally, by telephone, letter, or through a third party, with minor children without
prior identification and approval of an agent of [IDOC].” 730 ILCS 5/3-3-7(b-1)(9). In nearly
identical terms, the Illinois Prisoner Review Board, the body responsible for setting MSR
conditions, imposes on Plaintiffs what the parties call “the Contact Condition,” which states:
“You shall refrain from all contact, directly or indirectly, personally, by telephone, letter, or
through a third party, with minor children without prior identification and approval of an agent of
[IDOC].” Doc. 92 at ¶ 13 (emphasis omitted). Plaintiffs challenge not the Contact Condition
itself, but rather IDOC’s policy implementing it as to their contact with their own children. 2019
WL 296556, at *3-4.
After the court enjoined IDOC’s prior parent-child contact policy, which implemented
the Contact Condition by imposing an automatic six-month ban on sex offenders’ contacts with
their own children upon their release to MSR, Doc. 33, IDOC adopted its current policy,
Doc. 147 at ¶¶ 17-18; Doc. 134-1. Under the current policy, sex offenders released to MSR still
must obtain IDOC’s permission before contacting their minor children. Id. at 2-3. IDOC Deputy
Chief of Parole Dion Dixon, Doc. 128-13 at 40, testified in a deposition that the only exception
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to this rule is a court order allowing parent-child contact, Doc. 134-3 at 2. Absent such a court
order, a parolee must seek permission from her “containment team,” a group of IDOC employees
assigned to the parolee to ensure “public safety and community and victim protection” through
“open communication and coordination of services.” Doc. 134-1 at 10.
For the first step of the permission process, the parolee meets with a therapist within 14
days of release from prison. Id. at 2. The parolee’s therapist and parole agent must determine
within 21 days of that meeting “whether there is reasonable cause to believe that the parolee’s
child(ren) would be endangered by parent-child contact.” Ibid. In making such decisions, the
“parole agent shall give considerable weight to the therapist’s recommendation.” Ibid. Adding
the 14-day and 21-day periods together, the policy allows IDOC to withhold parent-child contact
for up to 35 days without determining that contact would endanger the minor child.
A “Safety Plan” jointly developed by the containment team and the parolee must be in
place before parent-child contact is approved. Id. at 2. The safety plan template attached to the
policy requires identifying a chaperone, setting forth the location and time of parent-child visits,
and the parolee’s initialed acknowledgement of twenty rules and conditions. Id. at 6-8. If
parent-child contact is restricted or prohibited, the parole agent and therapist must “give the
reasons for the restriction or prohibition briefly in writing.” Id. at 2-3. The restriction or
prohibition “will automatically be reviewed by the therapist and parole agent every 28 days,”
and if contact is again restricted or denied, “reasons will be provided briefly in writing.” Id. at 3.
The form that IDOC uses to respond in writing to parolees’ requests to contact their
children lists eleven specified reasons for denial, plus a twelfth category labeled “other” with
space for explanation. Id. at 4. Many of the eleven specified reasons have a clear connection to
the child’s safety—for instance, that the child was a victim of the parent’s crimes, or that a child
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welfare investigation is pending. Ibid. Other reasons, however, merely reflect IDOC’s professed
inability to reach a determination: insufficient therapy sessions to make an assessment;
unavailable polygraph results; the need for psychiatric assessment; or an incomplete safety plan.
Ibid. As just noted, parent-child contact also can also be denied for a reason not specified on the
IDOC form; as Dixon testified, sex offender therapists have a general “ability to state an
objection over allowing contact.” Doc. 134-3 at 4. There is no limit on how long a therapist can
refuse permission for a parolee to see her children. Ibid.
Obtaining permission to contact a child can impose substantial financial costs on the
parolee. Parolees are responsible for paying their therapists to prepare the required safety plan,
Doc. 134-3 at 5; for example, Molina attests that he pays $40 per week to his therapist,
Doc. 128-5 at ¶ 10. One therapist identified being “behind on payment” as a reason he might
decide the parolee is not “in good standing with therapy.” Doc. 134-4 at 2. That therapist also
said he would want a parolee to be in therapy for “five, six, seven months” before he would
recommend contact with a minor child. Id. at 3. Another therapist estimated the necessary
course of therapy at “[a]t least a year.” Doc. 134-5 at 2. In addition, both IDOC policy and
therapist practices require parolees to take a polygraph examination before they may see their
children, though the requirement can be waived in individual cases. Doc. 134-1 at 6; Doc. 134-3
at 6; Doc. 134-4 at 2; Doc. 134-5 at 2. The parolee must pay for the examination, which Dixon
testified costs between $200 and $400. Doc. 134-3 at 9.
The experience of Brandon Velna, an absent putative class member, illustrates how the
need for therapist approval can lead to repeated denials of parent-child contact. Velna was
released from prison to MSR in August 2019, and he asked for permission to have contact with
his minor children. Doc. 152-1 at ¶¶ 1, 4. IDOC denied his request, sending him denial forms in
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October and December 2019 identifying insufficient therapy sessions and an incomplete safety
plan as grounds. Doc. 152-2 at 9-10. In February 2020, Velna passed a polygraph examination,
and in March he received permission to speak with his children by phone—seven months after
his release from prison. Doc. 95-2 at 1; Doc. 158-1 at 2.
Since then, Velna has unsuccessfully sought permission to see his children in person. As
of September 9, 2020, he had attended 48 counseling sessions, but his therapist still withheld her
support for in-person contact. Doc. 158-4 at 2. The therapist noted that Velna had been
untalkative at his group sessions, sharing details about his week but not “expressing his own
personal struggles.” Ibid. Many of Velna’s IDOC denial forms from March 2020 onward
simply report, without explanation, his therapist’s disapproval: “Treatment provider is not
willing to sign child safety plan at this time” (March 8); “Treatment provider does not support
child contact at this time” (June 24); “Treatment provider does not support contact with children
at this time” (July 22); “Treatment provider has not indicated that she supports in person child
contact at this time” (August 30). Doc. 152-2 at 1-3, 7.
A parolee may seek review of an adverse decision “from the Deputy Chief of Parole,”
currently Dixon, and either he “or his/her designee” must “respond in writing within 21 days.”
Doc. 134-1 at 3. Only one such response is in the record, on an appeal taken by Velna on March
3, 2020 and denied 28 days later. Doc. 158-2 at 28-29. The denial was signed by Sarah BrownFoiles, the IDOC sex offender coordinator. Ibid.; Doc. 134-6 at 3. It thus appears that Dixon has
named Brown-Foiles as his designee for responding to parent-child contact appeals. Dixon’s
testimony that he and Brown-Foiles together “make a determination” when “the containment
team is not in agreement” on a parent-child contact decision further supports that inference.
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Doc. 134-3 at 4. Beyond a request for review from Dixon and Brown-Foiles, there is no
opportunity for further appeal. Doc. 134-1 at 3.
Even if a parolee is granted permission to see her children, that permission is revocable.
The IDOC’s policy states that, if parent-child contact is approved, the containment team will
“continually assess the safety plan and address any issues as long as visitation is permitted.”
Ibid. Parole agents are to “make unannounced visits during the visitation sessions and provide
ongoing assessments,” id. at 2, and the containment team may, by “collective agreement,”
suspend visitation. Id. at 3. The policy allows for the possibility of “reinstatement” of visitation,
but it does not set forth the requirements for reinstatement. Ibid.
B.
Ronald Molina
Molina has a sixteen-year-old son, G.S. Doc. 147 at ¶ 20. In 2008, Molina was
convicted of criminal sexual assault against a fifteen-year-old female. Id. at ¶ 21. Molina has
never been accused of abuse or misconduct toward G.S. or been the subject of a child welfare
investigation. Doc. 147 at ¶ 24; Doc. 128-5 at ¶ 11. G.S.’s mother has agreed to supervise
Molina’s visitation with G.S. if it is approved. Doc. 128-5 at ¶ 7.
The complaint alleges that Molina had regular contact with his son before going to
prison, Doc. 92 at ¶ 22, though Molina attests in an interrogatory response that he did not see
G.S. in person because G.S. lived in Philadelphia with his mother, Doc. 128-5 at ¶ 12. The
complaint further alleges that Molina, while imprisoned, remained in contact with G.S. through
phone calls, visits, and letters. Doc. 92 at ¶ 23. IDOC asserts that Molina did not even know in
2008 that he had a son, pointing out that he entered “0” for the number of “children & other
dependents” on the offender financial status report he completed that year. Doc. 128 at 3;
Doc. 128-6 at 2-3. But the financial status report does not establish that Molina did not know
about G.S., for if, as Molina attests, G.S. was living with his mother, it may have been sensible
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for him not to list G.S. as a “dependent” on the form. In any case, this factual dispute does not
affect the outcome of the class certification motion.
Molina was released from prison to MSR in September 2018. Doc. 147 at ¶ 25. He
sought information before his release about having contact with his son, Doc. 128-5 at ¶ 7, and
he sought permission from his parole agent in February or March 2019, Doc. 147 at ¶ 27. To
this day, Molina remains prohibited from having contact with his son. Id. at ¶ 25.
Molina has attended weekly therapy sessions since his release. Doc. 128-5 at ¶ 5;
Doc. 134-4 at 5. Molina’s therapist reported to IDOC that he has “shown good attendance,
timeliness and payment for services,” and that he “does contribute, reasonably, to the group
discussions.” Doc. 129 at 15. The therapist has declined to approve parent-child contact,
however, because Molina has not undergone “a sexual history polygraph,” which is “standard
policy” for the therapist’s sex offender treatment program. Ibid. At his deposition, the therapist
explained that “[t]hat’s what’s holding [Molina] up right now.” Doc 134-4 at 5. The therapist
testified that he “wouldn’t have a real strong objection” to phone contact, but he is still reluctant
to waive the polygraph, “given that’s been put on [Molina] as a requirement.” Id. at 6. IDOC’s
internal notes from June 2019 confirm that Molina was not “allowed to see his underage son …
due to not taking a mandated polygraph.” Doc. 129 at 4-5.
Molina has explained to his therapist, parole agent, and Brown-Foiles that he cannot
afford the polygraph examination. Doc. 128-5 at ¶¶ 7, 9; Doc. 129 at 15. The therapist has
insisted on Molina fulfilling this requirement because he does not want it to seem that Molina is
“being given special favors.” Doc. 134-4 at 6. Consequently, since his release, Molina has been
prohibited from having contact with G.S. Doc. 128-5 at ¶¶ 17-18.
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C.
Celina Montoya
Montoya has three children, the youngest of whom, L.M., is fifteen years old. Doc. 92 at
¶ 63. Montoya was convicted in 2015 of criminal sexual assault against a fourteen-year-old male
student at the school where she taught. Id. at ¶ 64. Before going to prison, Montoya was a
custodial parent of her children, and while she was incarcerated her children and husband visited
her and talked to her by phone. Id. at ¶ 65; Doc. 128-1 at ¶ 14. Montoya has never been the
subject of a child welfare investigation. Id. at ¶¶ 12-13.
While in prison, Montoya submitted a grievance with prison officials seeking permission
to live with her children upon her release to MSR. Doc. 128-2 at 2. The grievance was denied
as “not grievable” within the prison system. Doc. 92 at ¶ 74. Around the same time, Montoya
moved her sentencing court to amend her sentence to allow contact with her minor children upon
her release. Doc. 128-14 at ¶ 2. The sentencing court granted her request in March 2017, and
Montoya’s amended mittimus permits her “to have contact with her biological children (who are
minors) while on [MSR].” Doc. 128-4 at 2-3.
Montoya was released to MSR in April 2019. Doc. 92 at ¶ 71. She initially received
permission from her parole agent to live with her husband and children, but the day after her
release a different parole agent came to the family home and told her she was not permitted to
live there. Doc. 128-1 at ¶ 16. Montoya moved out, though she was allowed to have regular inperson contact with her children. Ibid. Montoya attributes these mixed signals to “confusion
with my parole host site,” adding that “our family home did not meet the approval of our local
police department, so I could not reside there.” Id. at ¶ 17. The family purchased a new home in
August 2019, and Montoya was allowed to move in with her husband and children and has lived
there without interruption since then. Ibid.
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D.
Zachary Blaye
Blaye is the father of a thirteen-year-old son, Z.M. Doc. 92 at ¶ 40. Blaye was convicted
in 2009 of criminal sexual assault against an adult woman. Id. at ¶ 41. Before going to prison,
Blaye shared custody of Z.M. with Z.M.’s mother. Doc. 128-8 at ¶ 12. While in prison, Blaye
remained in frequent contact with Z.M. by phone. Doc. 92 at ¶ 42. Blaye has never been the
subject of a child welfare investigation. Doc. 128-8 at ¶ 11.
Blaye was released from prison to MSR in June 2019. Doc. 92 at ¶ 44. The complaint
alleges that Blaye immediately sought permission to talk to his son. Id. at ¶ 45. But his parole
agent testified that the request came months later, in November 2019. Doc. 134-6 at 2. The
parole agent’s notes corroborate the later date. Doc. 129 at 13. At some point, Blaye underwent
a polygraph examination, which cost him $370, though he is not required to pay for his weekly
therapy visits. Doc. 128-8 at ¶ 9.
In November 2019, IDOC approved Blaye’s request for phone contact with Z.M.
Doc. 128-11 at 2. Blaye spoke by phone with Z.M. approximately every other day during
December 2019 and January 2020. Doc. 128-8 at ¶ 17. On January 27, 2020, Blaye was
permitted to have his first in-person visit with Z.M. Id. at ¶ 18. Regular in-person visits
continued until the COVID-19 pandemic began, at which point Blaye, who contracted the
disease, voluntarily ceased the visits. Id. at ¶ 19. Blaye plans to resume in-person visits when it
is safe to do so. Ibid.
Discussion
I.
Standing and Mootness
As noted, the court sought supplemental briefing on whether Montoya’s and Blaye’s
claims are moot given that they now have permission to see their children in person. 2020 WL
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4464672, at *3. Contrary to the court’s initial view, the potential case-or-controversy issue with
Blaye’s claims (though not Montoya’s) relate to standing, not mootness.
The standing and mootness doctrines both turn on whether the plaintiff has a “personal
stake” in this case, meaning a “legally cognizable interest in the outcome.” Loertscher v.
Anderson, 893 F.3d 386, 392 (7th Cir. 2018) (internal quotation marks omitted). The difference
between the two doctrines is one of timing. Standing turns on the state of events “at the
commencement of the litigation.” Friends of the Earth, Inc. v. Laidlaw Envtl. Servs. (TOC), Inc.,
528 U.S. 167, 189 (2000); see also Milwaukee Police Ass'n v. Bd. of Fire & Police Comm’rs of
the City of Milwaukee, 708 F.3d 921, 928 (7th Cir. 2013) (“Standing is evaluated at the time suit
is filed.”). Mootness, by contrast, requires that the plaintiff’s personal interest in the litigation
“continue throughout its existence.” Laidlaw, 528 U.S. at 189; see also Parvati Corp. v. City of
Oak Forest, 630 F.3d 512, 516 (7th Cir. 2010) (“When a party with standing at the inception of
the litigation loses it due to intervening events, the inquiry is really one of mootness.”).
IDOC argues that events between April 2019 and January 2020 render Montoya’s and
Blaye’s claims moot. Doc. 145 at 2-3. For Montoya, who was a plaintiff when this case was
filed in March 2018, Doc. 1, developments in the April 2019–January 2020 window could
possibly moot her claims. Blaye, by contrast, did not join the suit until late February 2020,
Doc. 92, after the alleged jurisdiction-defeating events took place, so IDOC’s argument in fact is
that he lacks standing. See Cnty. of Riverside v. McLaughlin, 500 U.S. 44, 49, 51 (1991) (where
“[t]he second amended complaint named three additional plaintiffs,” assessing standing for those
plaintiffs “at the time the second amended complaint was filed”).
A.
Blaye
As noted, Blaye seeks both injunctive and declaratory relief against IDOC. “To assert
[Article III] standing for injunctive relief, [a plaintiff] must show that [he is] under an actual or
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imminent threat of suffering a concrete and particularized ‘injury in fact’; that this injury is fairly
traceable to the defendant’s conduct; and that it is likely that a favorable judicial decision will
prevent or redress the injury.” Common Cause Ind. v. Lawson, 937 F.3d 944, 949 (7th Cir. 2019)
(quoting Summers v. Earth Island Inst., 555 U.S. 488, 493 (2009)). “The plaintiff[] bear[s] the
burden of establishing each of these elements.” Ibid. A plaintiff has standing to seek declaratory
relief if “the facts alleged … show that there is a substantial controversy, between parties having
adverse legal interests, of sufficient immediacy and reality to warrant the issuance of a
declaratory judgment.” Simic v. City of Chicago, 851 F.3d 734, 740 (7th Cir. 2017) (quotation
marks omitted). As with injunctive relief, the “substantial controversy” required to demonstrate
standing for declaratory relief requires “ongoing or impending harm.” Swanigan v. City of
Chicago, 881 F.3d 577, 583 n.2 (7th Cir. 2018). To obtain either form of relief, the alleged
“threatened injury” must be “certainly impending” or there must at least be “a substantial risk
that the harm will occur.” Id. at 583 (quotation marks omitted).
Blaye has standing. Being deprived of a relationship with one’s child surely is an injuryin-fact. See Troxel v. Granville, 530 U.S. 57, 65 (2000) (“The liberty interest at issue in this
case—the interest of parents in the care, custody, and control of their children—is perhaps the
oldest of the fundamental liberty interests recognized by this Court.”). IDOC currently permits
Blaye to see his son, but a “substantial risk” remains that he could lose that access. Susan B.
Anthony List v. Driehaus, 573 U.S. 149, 158 (2014). The reason is plain: IDOC policy states that
IDOC will “continually assess the safety plan and address any issues as long as visitation is
permitted,” with the possibility that “[v]isitation may be suspended” upon reassessment.
Doc. 134-1 at 3.
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The record shows, at least for standing purposes, that the potential grounds for
suspension of visitation are unclear and fall short of new criminal conduct. Dixon testified that
each containment team has “discretion to decide what criteria to use” when making child-access
assessments, including “compliance with conditions of parole” and “the parolee’s participation in
therapy.” Doc. 134-3 at 6. One therapist cited several factors the team may consider, including
the parolee’s “ability to self-regulate” and whether he has a “negative view of the process or the
system,” adding: “There’s so many variables, I could talk for days about that.” Doc. 134-4 at 4.
It is far from “conjectural” or “hypothetical” that Blaye could, in IDOC’s view, run afoul
of one of those various requirements. Lujan v. Defs. of Wildlife, 504 U.S. 555, 560 (1992).
Many of the factors upon which IDOC relies in deciding whether to suspend parent-child
visitation—including falling behind on therapy bills, Doc. 134-4 at 2—are far less serious than
the crime of which Blaye was convicted. Finding a substantial risk of future injury to Blaye
therefore does not depend on the disfavored assumptions that he will “repeat the type of
misconduct” that deprived him of contact with his son in the first place, Loertscher, 893 F.3d at
395, or that he will “be prosecuted for violating valid criminal laws,” United States v. SanchezGomez, 138 S. Ct. 1532, 1541 (2018) (quotation marks omitted).
If Blaye’s permission for parent-child contact were revoked, IDOC policy provides that
“reinstatement” would “require staffing with the containment team.” Doc. 134-1 at 3. Although
the exact meaning of this directive is obscure, it suggests that reinstatement may be more
difficult than gaining permission in the first place, a process that itself can be lengthy. Blaye was
fortunate in his first attempt, obtaining phone contact and then in-person contact with his son
within weeks of his initial request. Doc. 129 at 13; Doc. 128-11 at 2. But as Velna’s experience
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shows, the process can take much longer if a member of the containment team has concerns
about the parolee’s level of engagement in therapy. Doc. 158-4 at 2; Doc. 152-2 at 1-7.
With a constitutionally sufficient risk of injury established, traceability and redressability
are straightforward. To evaluate traceability and redressability, the court must assume that
Plaintiffs are correct that the criteria set by IDOC policy for making child access determinations
violate Blaye’s due process rights. See United States v. $304,980.00 in U.S. Currency, 732 F.3d
812, 818 (7th Cir. 2013) (“[T]o have standing, a claimant need not establish that a right of his
has been infringed; that would conflate the issue of standing with the merits of the suit.”)
(internal quotation omitted). Under that assumption, IDOC’s policy clearly imperils Blaye’s
ability to have contact with his son, and suspending that policy would allow him to interact with
his son freely. There accordingly was a “substantial controversy” between Blaye and IDOC
when he joined this suit as a party plaintiff, which gives him standing. Simic, 851 F.3d at 740.
B.
Montoya
Montoya had standing when she filed this suit in March 2018. At that time, she remained
incarcerated but faced an immediate six-month ban on contact with her children upon her release
to MSR. Doc. 1 at ¶¶ 80-81; 2019 WL 296556 at *1 (describing the previous six-month blanket
policy). The question here is whether her case has since become moot.
Unlike Blaye, who has had only limited in-person contact with his child, Doc. 128-8 at
¶¶ 18-19, Montoya has been living in her family home with her children since August 2019,
Doc. 128-1 at ¶ 17. In addition, an order from her sentencing court safeguards her ability to
contact her children, putting her in a more secure position than Blaye. Doc. 128-4 at 2-3. That
said, the court order guarantees only “contact” with her children, ibid., so IDOC in theory could
require Montoya to move out of her home and restrict her to telephone contact without violating
the order. But there is no indication that IDOC has any plans to do so.
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Given all this, Montoya certainly faces a lower risk of injury than does Blaye. That said,
mootness poses a lower hurdle for plaintiffs than does standing. Although mootness is often
described as “the doctrine of standing set in a time frame,” the Supreme Court has explained that
this description “is not comprehensive.” Laidlaw, 528 U.S. at 189-90. First, it is the defendant,
not the plaintiff, who bears the burden of showing that a once-justiciable case has become moot.
See Killian v. Concert Health Plan, 742 F.3d 651, 660 (7th Cir. 2013) (“[T]he burden of
demonstrating mootness is a heavy one, borne by the party seeking to have the case declared
moot.”) (internal quotation marks and citation omitted); Wis. Right to Life, Inc. v. Schober, 366
F.3d 485, 491 (7th Cir. 2004) (“The party asserting mootness bears the burden of persuasion.”);
Wilk v. AMA, 895 F.2d 352, 367 (7th Cir. 1990) (“The mootness burden is a heavy one, and the
defendant must show that there is no reasonable expectation that the wrong will be repeated.”).
Second, “the ‘time frame’ conception does not account for some well-established
exceptions to mootness.” Milwaukee Police Ass’n, 708 F.3d at 929. One exception provides
that, where the plaintiff seeks a declaratory judgment regarding “an ongoing [government]
policy,” the suit “may continue, even after the specific offense precipitating the suit has become
moot.” Id. at 930. That exception to the mootness doctrine originated in Super Tire Engineering
Co. v. McCorkle, 416 U.S. 115 (1974), where a company’s request for an injunction against the
enforcement of state labor regulations became moot with the end of a strike. Id. at 121. But
“even though the case for an injunction dissolved with the … settlement of the strike,” the
Supreme Court held that the parties “may still retain sufficient interests and injury as to justify
the award of declaratory relief.” Id. at 121-22. Specifically, the Court held, a district court
retains jurisdiction to grant declaratory relief when “the challenged governmental activity … by
its continuing and brooding presence, casts what may well be a substantial adverse effect on the
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interests of the petitioning parties.” Id. at 122; see also Reno v. Bossier Parish Sch. Bd., 528
U.S. 320, 327-28 (2000) (holding that a claim for declaratory relief regarding electoral
redistricting was not moot, despite the election having come and gone, because the existing plan
would have probable continuing effect as a baseline for future redistricting plans); UWM Student
Ass’n v. Lovell, 888 F.3d 854, 860 (7th Cir. 2018) (“[A] request for a declaratory judgment may
not be moot where a defendant’s ongoing policy continues to affect the parties’ relationship.”).
Montoya’s claim for declaratory relief presents a clear case for the Super Tire exception.
The likelihood of IDOC prohibiting any contact with her children is doubtful given the court
order. But the order does not restrain IDOC from limiting Montoya’s contact with her children,
such as requiring her to move out of the family home and restricting her to telephone calls, so the
IDOC policy—with its open-ended criteria for reassessing danger—“is a factor lurking in the
background” of Montoya’s daily life on MSR. Super Tire, 416 U.S. at 124. According to IDOC,
the purpose of MSR is “to allow the parolee an adjustment period and thereby increase the
parolee’s chances for successful reentry into society.” Doc. 109 at 12. This “adjustment
period,” which for Montoya could last indefinitely, Doc. 128-4 at 2, casts a “continuing and
brooding presence” over her relationship with her children. Super Tire, 416 U.S. at 122. That
prevents her declaratory challenge to the IDOC policy from becoming moot.
It is less clear that Montoya’s claim for injunctive relief remains a live controversy. “In
an action seeking injunctive relief, the requirement of a live controversy ordinarily means that,
once the threat of the act sought to be enjoined dissipates, the suit must be dismissed as moot.”
Loertscher, 893 F.3d at 392-93 (internal quotation marks omitted). The court need not resolve
this question, for Montoya may remain in this suit so long as she retains a live interest in at least
one form of relief. See Chafin v. Chafin, 568 U.S. 165, 172 (2013) (“[A] case becomes moot
16
only when it is impossible for a court to grant any effectual relief whatever to the prevailing
party.”) (internal quotation marks omitted). That said, the mootness challenge impairs
Montoya’s adequacy as a class representative, a subject the court will address in ruling on
Plaintiffs’ class certification motion. See Arreola v. Godinez, 546 F.3d 788, 795 (7th Cir. 2008)
(holding that the plaintiff “did have standing to pursue this lawsuit,” but explaining that “whether
he may serve as an adequate class representative” is a “separate question[]”).
II.
Rule 12(b)(6) Dismissal as to Montoya and Blaye
In denying without prejudice IDOC’s Rule 12(b)(6) motion as to Montoya and Blaye, the
court stated that if their claims “are not moot, the court will resolve the merits of [IDOC’s]
Rule 12(b)(6) motion as to them.” 2020 WL 4464672, at *3. IDOC’s arguments for dismissal
advanced no grounds specific to Montoya or Blaye. Doc. 109 at 5-17; Doc. 121 at 1-11.
Accordingly, for the reasons given in denying dismissal of Molina’s claims, 2020 WL 4464672,
at *4-5, Montoya’s and Blaye’s claims survive dismissal under Rule 12(b)(6).
III.
Class Certification
The court’s analysis of class certification “is not free-form, but rather has been carefully
scripted by the Federal Rules of Civil Procedure.” Chi. Teachers Union, Local No. 1 v. Bd. of
Educ., 797 F.3d 426, 433 (7th Cir. 2015). To be certified, a proposed class must satisfy the four
requirements of Rule 23(a): “(1) the class is so numerous that joinder of all members is
impracticable; (2) there are questions of law or fact common to the class; (3) the claims or
defenses of the representative parties are typical of the claims or defenses of the class; and (4)
the representative parties will fairly and adequately protect the interests of the class.” Fed. R.
Civ. P. 23(a); see Bell v. PNC Bank, N.A., 800 F.3d 360, 373 (7th Cir. 2015). The proposed class
also must fall within one of the three categories in Rule 23(b), which the Seventh Circuit has
described as: “(1) a mandatory class action (either because of the risk of incompatible standards
17
for the party opposing the class or because of the risk that the class adjudication would, as a
practical matter, either dispose of the claims of non-parties or substantially impair their
interests), (2) an action seeking final injunctive or declaratory relief, or (3) a case in which the
common questions predominate and class treatment is superior.” Spano v. Boeing Co., 633 F.3d
574, 583 (7th Cir. 2011); see also Bell, 800 F.3d at 373. Finally, the class must be “identifiable
as a class,” meaning that the “class definition[] must be definite enough that the class can be
ascertained.” Oshana v. Coca-Cola Co., 472 F.3d 506, 513 (7th Cir. 2006); see also Mullins v.
Direct Dig., LLC, 795 F.3d 654, 659-61 (7th Cir. 2015).
“The plaintiff bears the burden of proving by a preponderance of the evidence all
necessary prerequisites to the class action.” Priddy, 870 F.3d at 660. The Seventh Circuit has
instructed district courts to exercise “caution” before certifying a class. Thorogood v. Sears,
Roebuck & Co., 547 F.3d 742, 746 (7th Cir. 2008). That caution demands a close look at each
Rule 23 requirement.
A.
Ascertainability
As noted, a class definition “must be definite enough that the class can be ascertained.”
Oshana, 472 F.3d at 513; see also Jamie S. v. Milwaukee Pub. Sch., 668 F.3d 481, 495-97 (7th
Cir. 2012); Charles Alan Wright, Arthur R. Miller & Mary Kay Kane, 7A Federal Practice and
Procedure § 1760 (3d ed. 2020) (“[T]he requirement that there be a class will not be deemed
satisfied unless the class description is sufficiently definite so that it is administratively feasible
for the court to determine whether a particular individual is a member.”). “Class definitions have
failed this requirement when they were too vague or subjective, or when class membership was
defined in terms of success on the merits (so-called ‘fail-safe’ classes).” Mullins, 795 F.3d at
657.
18
Ascertainability poses no obstacle here. Plaintiffs propose this class: “[A]ll parents of
minor children who are on [MSR] for a sex offense under the supervision of [IDOC].” Doc. 93
at 1. Because this class definition sets forth “objective criteria” by which class members may be
identified, the proposed class is ascertainable. Mullins, 795 F.3d at 659.
IDOC argues that the class definition is “overbroad” because it “could include many
individuals who have not been harmed by IDOC’s current policy.” Doc. 128 at 6 (emphasis
added). For instance, IDOC observes, the proposed class includes parolees who cannot have
contact with their children because their children were their victims, and parolees who already
have full contact with their children. Ibid. IDOC’s argument is unpersuasive.
True enough, a class definition can be too broad if “it sweeps within it persons who could
not have been injured by the defendant’s conduct.” Kohen v. Pac. Inv. Mgmt. Co. LLC, 571 F.3d
672, 677 (7th Cir. 2009) (emphasis added). Yet it is “almost inevitable” that a class will “include
persons who have not been injured by the defendant’s conduct,” and “[s]uch a possibility or
indeed inevitability does not preclude class certification.” Ibid. (emphasis added); see also
Suchanek v. Sturm Foods, Inc., 764 F.3d 750, 757 (7th Cir. 2014) (“If the [district] court thought
that no class can be certified until proof exists that every member has been harmed, it was
wrong.”); Parko v. Shell Oil Co., 739 F.3d 1083, 1085 (7th Cir. 2014) (“How many (if any) of
the class members have a valid claim is the issue to be determined after the class is certified.”);
Messner, 669 F.3d at 824 (explaining the “critical” distinction “for class certification purposes”
between a proposed class that includes “members who are ultimately shown to have suffered no
harm” and one that includes “members who for some reason could not have been harmed”).
IDOC’s argument is only that the putative class includes persons who “have not” been harmed
by its policy, which is not a ground for finding a proposed class definition overbroad. Because it
19
would appear that all members of the proposed class could be injured by IDOC’s policy, there is
no overbreadth problem.
B.
Rule 23(a)(1): Numerosity
Rule 23(a)(1) requires that the class be “so numerous that joinder of all members is
impracticable.” Fed. R. Civ. P. 23(a)(1). Although no magic number exists for satisfying the
numerosity requirement, the Seventh Circuit has held that “[e]ven if the class were limited to 40
[members] … that is a sufficiently large group to satisfy Rule 23(a) where the individual
members of the class are widely scattered and their holdings are generally too small to warrant
undertaking individual actions.” Swanson v. Am. Consumer Indus., Inc., 415 F.2d 1326, 1333
n.9 (7th Cir. 1969); see also Hayes v. Wal–Mart Stores, Inc., 725 F.3d 349, 356 n.5 (3d Cir.
2013) (“While no minimum number of plaintiffs is required to maintain a suit as a class action
… generally if the named plaintiff demonstrates that the potential number of plaintiffs exceeds
40, the first prong of Rule 23(a) has been met.”) (internal quotation marks omitted). A plaintiff
need not plead or prove the exact number of class members to establish numerosity, see Marcial
v. Coronet Ins. Co., 880 F.2d 954, 957 (7th Cir. 1987) (“[P]laintiffs are not required to specify
the exact number of persons in the class.”); Vergara v. Hampton, 581 F.2d 1281, 1284 (7th Cir.
1978) (“[D]ifficulty in determining the exact number of class members does not preclude class
certification.”), and the court may make commonsense assumptions in the Rule 23(a)(1) inquiry,
see Arreola, 546 F.3d at 797 (finding numerosity after the plaintiff identified fourteen class
members and adduced evidence that “support[ed] a much larger estimate”); 1 William
Rubenstein et al., Newberg on Class Actions § 3:13 (5th ed. 2020) (“Generally, a plaintiff must
show enough evidence of the class’s size to enable the court to make commonsense assumptions
regarding the number of putative class members.”).
20
IDOC attests in an interrogatory response that “approximately 550 parolees are currently
under the supervision of the [IDOC] Sex Offender Supervision Unit.” Doc. 93-1 at ¶ 1.
According to the Census Bureau, just over 40 percent of American households had minor
children in 2019. See U.S. Census Bureau, America’s Families and Living Arrangements tbl. F1
(2019), https://www.census.gov/data/tables/2019/demo/families/cps-2019.html (reflecting that
approximately 34 million families out of 83 million have minor children); see also United States
v. United Bhd. of Carpenters & Joiners of Am., Local 169, 457 F.2d 210, 214 n.7 (7th Cir. 1972)
(holding that courts may take judicial notice of U.S. Census Bureau reports). Under the
commonsense assumption that parolees are about as likely as adults generally to have minor
children, the potential number of class members easily exceeds 40. In addition, Plaintiffs have
compiled a list of 45 members of the putative class. Doc. 134-2. IDOC contests the membership
status of several of those individuals, Doc. 146 at 2-3, but given the Census Bureau statistics,
Plaintiffs’ list was almost certainly underinclusive as well. Numerosity poses no obstacle to
class certification.
C.
Rule 23(a)(2): Commonality
“Commonality requires the plaintiff to demonstrate that the class members have suffered
the same injury” and that their claims “depend upon a common contention … of such a nature
that it is capable of classwide resolution—which means that determination of its truth or falsity
will resolve an issue that is central to the validity of each one of the claims in one stroke.” WalMart Stores, Inc. v. Dukes, 564 U.S. 338, 349-50 (2011) (internal quotation marks omitted).
“[F]or purposes of Rule 23(a)(2) even a single common question will do.” Id. at 359 (alterations
and internal quotation marks omitted); see also Phillips v. Sheriff of Cook Cnty., 828 F.3d 541,
551 (7th Cir. 2016) (“[A] prospective class must articulate at least one common question that
will actually advance all of the class members’ claims.”). Plaintiffs assert four common
21
questions they argue are appropriate for classwide resolution: (1) whether the criteria IDOC uses
to evaluate parent-child contact requests violate due process, Doc. 134 at 8-10; (2) whether
IDOC’s use of those criteria causes unreasonable delays in reaching decisions as to parent-child
contact in violation of due process, id. at 10-13; (3) whether IDOC provides for decisionmakers
sufficiently neutral to satisfy due process, id. at 13-14; and (4) whether IDOC’s presumptive 35day ban on contact after release to MSR violates due process, id. at 15-16.
Before proceeding to analyze these four questions, the court addresses IDOC’s contention
that no common questions can exist because its decisions on individual parent-child contact
requests depend on circumstances specific to each parent-parolee. Doc. 128 at 10-12; Doc. 146
at 4-5. IDOC is correct that whether particular parents are allowed to contact their children do
not pose common questions. See Jamie S., 668 F.3d at 497 (“[P]laintiffs must show that they
share some question of law or fact that can be answered all at once and that the single answer to
that question will resolve a central issue in all class members’ claims.”). But Plaintiffs’ proposed
common questions, at least on their face, do not require such individualized findings because
they instead probe the legality of the generally applicable aspects of IDOC’s parent-child contact
policy. See id. at 498 (explaining that “an illegal policy might provide the ‘glue’ necessary to
litigate otherwise highly individualized claims as a class”). The fact that parolees experience the
allegedly unlawful policies in potentially different ways does not preclude commonality. See
Orr v. Shicker, 953 F.3d 490, 499 (7th Cir. 2020) (holding that an Eighth Amendment challenge
to Hepatitis C treatment in IDOC facilities presented a common question because, “[a]lthough
the physical symptoms and progression suffered by each inmate undoubtedly vary, there is still a
general question that can yield a common answer”).
22
Pressing the contrary result, IDOC argues that Phillips v. Sheriff of Cook County, supra,
held that a proposed class representative can satisfy commonality only by showing that the
challenged policy “harms each class member in essentially the same way.” Doc. 146 at 4.
Phillips involved a constitutional challenge regarding dental care at Cook County Jail. 828 F.3d
at 544. The plaintiffs in Phillips asserted that two questions were common to their claims, both
involving policies that allegedly caused treatment delays and gratuitous pain. Id. at 555. After
examining precedent governing delays in providing medical treatment, the Seventh Circuit held
that the fact of delay alone “does not advance materially any individual’s claim of deliberate
indifference.” Id. at 556. The reason, the Seventh Circuit explained, is that “the constitutionality
of a wait for medical treatment will depend on a variety of individual circumstances.” Id. at 55556 (citing McGowan v. Hulick, 612 F.3d 636, 640 (7th Cir. 2010)); see also McGowan, 612 F.3d
at 640 (“[T]he length of delay that is tolerable depends on the seriousness of the condition and
the ease of providing treatment.”). The result in Phillips thus turned on the highly individualized
nature of medical delay claims. Here, by contrast, Plaintiffs allege due process violations arising
from “systemic practice[s],” 828 F.3d at 558, the legality of which could present common
questions.
Turning to the proposed common questions, Plaintiffs do not specify whether each
question pertains to substantive due process, procedural due process, or both. The distinction
between the two due process theories is important. “The substantive component of the Due
Process Clause ‘bars certain arbitrary, wrongful government actions regardless of the fairness of
the procedures used to implement them.’” GEFT Outdoors, LLC v. City of Westfield, 922 F.3d
357, 368 (7th Cir. 2019) (quoting Porter v. DiBlasio, 93 F.3d 301, 310 (7th Cir. 1996)). By
contrast, for a procedural due process violation, “the deprivation by state action of a
23
constitutionally protected interest in ‘life, liberty, or property’ is not in itself unconstitutional;
what is unconstitutional is the deprivation of such an interest without due process of law.”
Brokaw v. Mercer Cnty., 235 F.3d 1000, 1020 (7th Cir. 2000) (quoting Doe ex rel. Nelson v.
Milwaukee Cnty., 903 F.2d 499, 502 (7th Cir. 1990)). Although the same government act can
give rise to both kinds of claims, see id. at 1020 n.16, there is no such thing as a generic due
process claim, so the court will pay heed to the separate due process theories in considering
Plaintiffs’ asserted common questions.
1.
35-Day Presumptive Ban on Parent-Child Contact
One potentially common question posed by Plaintiffs is whether IDOC’s presumptive 35day ban on parent-child contact after release to MSR violates due process. As an initial matter,
IDOC disputes that its policy deprives parolees of child access for 35 days after release. Despite
Dixon’s testimony that parolees generally may not contact their children immediately upon
release, Doc. 134-3 at 2, IDOC contends that 35 days is the maximum time that it could take to
reach an initial determination, which necessarily means that some decisions could be rendered
more quickly, Doc. 146 at 11. Whether the prohibition lasts at least or at most 35 days, however,
there is no question that IDOC’s policy permits it to withhold contact for 35 days before it must
grant or deny parent-child contact. Doc. 134-1 at 2. Plaintiffs have thus shown, at least for
Rule 23(a)(2) purposes, that its policy allows a practical 35-day ban on such contact.
The 35-day ban poses questions common to the class as a whole. The gravamen of the
claim is that the 35-day ban applies uniformly and indiscriminately and thus does not account for
individual situations. Doc. 134 at 15-16. This alleged deficiency raises issues of both procedural
and substantive due process that can be resolved on a classwide basis.
24
“The fundamental requirement of [procedural] due process is the opportunity to be heard
at a meaningful time and in a meaningful manner.” Mathews v. Eldridge, 424 U.S. 319, 333
(1976) (internal quotation omitted); see also Brokaw, 235 F.3d at 1021 (“[D]ue process
guarantees that the post-deprivation judicial review of a child’s removal be prompt and fair.”).
Earlier in the litigation, the court enjoined on procedural due process grounds IDOC’s previous
categorical six-month ban because Plaintiffs were likely to succeed in arguing that six months is
too long to delay a post-deprivation hearing. Docs. 32-33. The shorter 35-day delay is of course
more likely to pass procedural due process muster, but either way the answer to that question
will apply equally to all class members.
The 35-day ban also raises a common substantive due process question. Plaintiffs argue
that the ban is not “narrowly tailored” because it applies equally to phone, written, and in-person
parent-child contact. Doc. 134 at 15. An impairment of “the interest of parents in the care,
custody, and control of their children” is subject to heightened scrutiny because it impinges on a
“fundamental” right. Troxel, 530 U.S. at 65. Regardless of whether the deferential Turner v.
Safley, 482 U.S. 78 (1987), standard governs Plaintiffs’ claims, a substantive due process
challenge to the 35-day ban would succeed or fail as to the class in its entirety.
2.
Parent-Child Contact Criteria
Another question posed by Plaintiffs—the legality of the criteria IDOC uses to grant or
deny parent-child contact, Doc. 134 at 8-10—also presents a common question of substantive
due process law. Plaintiffs have a substantive due process “right to family integrity,” which
requires that “a balance must be reached between the fundamental right to the family unit and the
state’s interest in protecting children from abuse.” Brokaw, 235 F.3d at 1019. This balance
demands that, before impairing the parent-child relationship, the State must have “some definite
25
and articulable evidence giving rise to a reasonable suspicion that a child has been abused or is in
imminent danger of abuse.” Ibid.; see also Siliven v. Ind. Dep’t of Child Servs., 635 F.3d 921,
928 (7th Cir. 2011) (same). Plaintiffs argue that five criteria IDOC employs as part of its current
policy have no connection any risk of child abuse: (1) not having taken a polygraph,
(2) insufficient duration of therapy; (3) the parolee’s denial of guilt; (4) noncompliance with
conditions of parole; and (5) unreliable attendance at therapy. Doc. 134 at 9. Every parentparolee seeking parent-child contact is subject to those criteria. This litigation can resolve, as a
general matter, whether those criteria are pertinent to whether there is “a reasonable suspicion
that a child has been abused or is in imminent danger of abuse,” Brokaw, 235 F.3d at 1019, and
thus whether the criteria are permissible under the governing due process standard.
3.
Reasonable Time Frame for Decision
Another question posed by Plaintiffs is whether the IDOC policy’s criteria “endorse[]
long delays as a matter of course.” Doc. 134 at 11. Specifically, Plaintiffs argue that the
“insufficient therapy” criterion and the polygraph requirement “lead to lengthy disruptions in
parent-child relationships for parolees of limited means” while IDOC reaches a decision on
parent-child contact. Id. at 11-12. A claim that a state actor’s procedures take too long sounds in
procedural, not substantive, due process. See Berman v. Young, 291 F.3d 976, 984-85 (7th Cir.
2002) (assessing a delayed hearing claim in a child removal case under procedural due process
precedents); cf. Morrissey v. Brewer, 408 U.S. 471, 488 (1972) (holding, as a matter of
procedural due process, that parole revocation hearing must occur “within a reasonable time”
after a parolee’s return to custody).
IDOC submits, convincingly, that Plaintiffs are challenging not a systematic practice of
delays in making decisions, but rather repeated, specific denials of access to parolees’ children.
26
Doc. 146 at 8. IDOC reassesses the availability of parent-child contact and issues a new written
decision every 28 days. Doc. 134-1 at 3. Plaintiffs do not argue that this 28-day timeline is itself
unreasonably long or present evidence that IDOC is failing to make the reassessments. Instead,
Plaintiffs complain of ongoing denials for allegedly improper reasons. Doc. 134 at 10. Those
individual denials, and the “delays” they cause, do not pose a common question across the class
as a whole. The legality of each denial and resulting delay turns on “the unique facts of each
[parolee’s] case,” and thus is “incapable of being solved on a classwide basis.” Phillips, 828
F.3d at 556.
Moreover, a procedural due process claim cannot be premised on an unfavorable result,
or even a series of unfavorable results. See Simmons v. Gillespie, 712 F.3d 1041, 1044 (7th Cir.
2013) (“[T]he federal entitlement is to process, not to a favorable outcome.”); Marozsan v.
United States, 90 F.3d 1284, 1289 (7th Cir. 1996) (“[T]he Due Process Clause is not a guarantee
against incorrect results … .”). The fact that the therapy and polygraph requirements cause long
delays in allowing parent-child contact could bolster Plaintiffs’ substantive due process
challenge to those criteria insofar as the delays increase the burden on their fundamental right to
familial relations. See Doe v. Heck, 327 F.3d 492, 520 (7th Cir. 2003) (“[W]hen analyzing a
familial relations claim, a ‘balance must be reached between the fundamental right to the family
unit and the state’s interest in protecting children from abuse … .’”) (quoting Brokaw, 235 F.3d
at 1019); see also Troxel, 530 U.S. at 68 (holding, based on a “combination of several factors,”
that a state visitation statute, as applied, unconstitutionally infringed parents’ fundamental right
to rear their children). But repeated denials and the resulting delays do not raise a procedural due
process question common to the class as a whole.
27
4.
Lack of a Neutral Decisionmaker
Another potentially common question posed by Plaintiffs is whether the IDOC policy
provides for review by a sufficiently neutral decisionmaker. Doc. 134 at 13-14. This claim
sounds in procedural due process. See Hamdi v. Rumsfeld, 542 U.S. 507, 533 (2004) (holding
that procedural due process requires “a fair opportunity to rebut the Government’s factual
assertions before a neutral decisionmaker”); Morrissey, 408 U.S. at 489 (holding that procedural
due process requires that parole revocation decisions be made by a “neutral and detached”
hearing body); Felce v. Fiedler, 974 F.2d 1484, 1498 (7th Cir. 1992) (holding that the procedure
for imposing mandatory drug injections on a parolee “was insufficiently neutral and
independent” to satisfy due process). Plaintiffs observe that all decisions about parent-child
contact are made by “IDOC employees … and individuals who are directly involved in the
supervision and treatment of Plaintiffs.” Doc. 134 at 14. And when parolees appeal denials of
their requests for child access, the appeals are resolved by IDOC employees: Dixon and BrownFoiles. Doc. 134-1 at 3; Doc. 134-3 at 4; Doc. 158-2 at 28-29.
IDOC incorrectly argues that Plaintiffs must show how the lack of a neutral
decisionmaker has harmed them in order to certify this question for class treatment. Doc. 146 at
9. Granted, Plaintiffs can prevail on the merits of this question only if they demonstrate “the
probable value … of additional or substitute procedural safeguards.” Mathews, 424 U.S. at 335.
Moreover, the decisionmakers’ status as IDOC employees, without more, may be insufficient in
itself to establish a due process violation. See Felce, 974 F.2d at 1499 (“[A] decisionmaker need
not be external to an institution to be independent … .”). But whatever the merits of Plaintiffs’
claim on the neutrality question, the question it poses is common, as every putative class member
must seek approval from the same set of decisionmakers. That is enough to show that the
28
question is susceptible to classwide resolution. See Amgen Inc. v. Conn. Ret. Plans & Tr. Funds,
568 U.S. 455, 466 (2013) (“Merits questions may be considered to the extent—but only to the
extent—that they are relevant to determining whether the Rule 23 prerequisites for class
certification are satisfied.”).
D.
Rule 23(a)(3): Typicality
The Rule 23(a)(3) typicality requirement “directs the district court to focus on whether
the named representatives’ claims have the same essential characteristics as the claims of the
class at large.” Retired Chi. Police Ass’n v. City of Chicago, 7 F.3d 584, 597 (7th Cir. 1993).
Typicality is satisfied when the named plaintiff’s claim “arises from the same event or practice
or course of conduct that gives rise to the claims of other class members and is based on the
same legal theory.” Muro v. Target Corp., 580 F.3d 485, 492 (7th Cir. 2009) (alterations and
internal quotation marks omitted). Typicality “should be determined with reference to the
[defendant’s] actions, not with respect to particularized defenses it might have against certain
class members.” CE Design Ltd. v. King Architectural Metals, Inc., 637 F.3d 721, 725 (7th Cir.
2011).
Typicality closely parallels commonality under the facts and circumstances of this case.
See Rosario v. Livaditis, 963 F.2d 1013, 1018 (7th Cir. 1992) (“The question of typicality in
Rule 23(a)(3) is closely related to the … question of commonality.”). IDOC again argues that
Plaintiffs “have had widely varying interactions” with IDOC and present “varying circumstances
inherent in their requests for child contact.” Doc. 128 at 14. That argument fails to defeat
typicality for the same reasons it fails to defeat commonality: Plaintiffs do not seek to establish
through this lawsuit whether they, as individuals, may contact their children. Rather, they seek
to challenge the aspects of the IDOC’s parent-child contact policy identified as classwide
questions above.
29
E.
Rule 23(a)(4): Adequacy
Adequacy involves two inquiries: “(1) the adequacy of the named plaintiffs as
representatives of the proposed class’s myriad members, with their differing and separate
interests, and (2) the adequacy of the proposed class counsel.” Gomez v. St. Vincent Health, Inc.,
649 F.3d 583, 592 (7th Cir. 2011). A proposed class representative is inadequate if her interests
are “antagonistic or conflicting” with those of absent class members, Rosario, 963 F.2d at 1018,
or if she is subject to a defense not applicable to the class as a whole, see CE Design, 637 F.3d at
726; Randall v. Rolls–Royce Corp., 637 F.3d 818, 824 (7th Cir. 2011); Hardy v. City Optical
Inc., 39 F.3d 765, 770 (7th Cir. 1994); Koos v. First Nat’l Bank of Peoria, 496 F.2d 1162, 116465 (7th Cir. 1974). Likewise, “[a] person whose claim is idiosyncratic or possibly unique is an
unsuitable class representative.” Suchanek, 764 F.3d at 758 (citing Gen. Tel. Co. of the Sw. v.
Falcon, 457 U.S. 147, 156-59 (1982)).
IDOC argues that Molina is an inadequate class representative because he is subject to
the unique defense that he has not taken a polygraph examination. Doc. 128 at 15. IDOC’s
factual premise is correct, as the specific stumbling block for Molina has been his inability to
afford a polygraph examination. (IDOC asserts that he is “unwilling[]” to take the exam, ibid.,
but adduces no evidence to contradict Molina’s sworn statements that he does not have $300 to
$350 to cover that expense. Doc. 128-5 at ¶¶ 7, 9.) But Molina’s inability to afford a polygraph
examination does not raise a defense to liability; rather, it is the particular way in which he has
been injured by IDOC’s allegedly unconstitutional policies. As noted, Plaintiffs allege that the
polygraph requirement violates their substantive due process rights because it has no connection
to child endangerment. Doc. 134 at 9. The fact that this claim has a specific manifestation for
Molina bolsters, not undermines, his adequacy as a class representative because it shows that he
“possess[es] the same interest and suffer[ed] the same injury as the class members.” Conrad v.
30
Boiron, Inc., 869 F.3d 536, 539 (7th Cir. 2017) (quoting Amchem Prods., Inc. v. Windsor, 521
U.S. 591, 625-26 (1997)); see also Orr, 953 F.3d at 499 (same).
IDOC also argues that Montoya and Blaye are inadequate because their claims are moot.
Doc. 128 at 14-15. As shown above, Blaye has standing to pursue both declaratory and
injunctive relief, so IDOC’s argument fails as to him.
IDOC is correct, however, that the mootness questions render Montoya an inadequate
class representative. Although Montoya retains a live claim for declaratory relief, her claim for
injunctive relief may be partially moot because of the court order that safeguards her contact
with her children. The court order is unique to her, as neither party presents evidence of another
parent having obtained similar protection. The Seventh Circuit has cautioned that “even an
arguable defense peculiar to the named plaintiff … bring[s] into question the adequacy of the
named plaintiff’s representation.” CE Design, 637 F.3d at 726 (emphasis added). The Seventh
Circuit confronted a similar situation in Arreola, where the named representative for a putative
class of jail inmates had been released. 546 F.3d at 793. The court held that although the
plaintiff had standing as a jurisdictional matter, id. at 795, he was not an adequate class
representative because “his interest in prospective relief [was] too tenuous,” id. at 799.
Similarly, here, Montoya no longer “possess[es] the same interest” as other class members in
injunctive relief. Conrad, 869 F.3d at 539. She therefore cannot serve as a class representative.
Montoya’s situation does not impede class certification, however, because Molina and
Blaye adequately represent the class on their own. See Nielsen v. Preap, 139 S. Ct. 954, 963
(2019) (holding that dismissal of a class action on mootness grounds was inappropriate because
“there was at least one named plaintiff with a live claim when the class was certified”); Wright,
Miller & Kane, supra, § 1765 (“[I]f there is more than one named representative, it is not
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necessary that all the representatives meet the Rule 23(a)(4) standard; as long as one of the
representatives is adequate, the requirement will be met.”).
Class counsel are adequate in that they are experienced in class actions in general and 42
U.S.C. § 1983 suits in particular. Doc. 93 at 8-9.
F.
Rule 23(b)(2)
Plaintiffs move to certify a class under Rule 23(b)(2), Doc. 93 at 2, which provides that
class certification is available if “the party opposing the class has acted or refused to act on
grounds that apply generally to the class, so that final injunctive relief or corresponding
declaratory relief is appropriate respecting the class as a whole.” Fed. R. Civ. P. 23(b)(2).
“Subsumed in this rule are at least two independent requirements: The contemplated equitable
relief must be (1) ‘appropriate respecting the class as a whole’ and (2) ‘final.’” Kartman v. State
Farm Mut. Auto. Ins. Co., 634 F.3d 883, 892 (7th Cir. 2011).
As IDOC implicitly concedes by making no argument on the point, the putative class
meets both requirements. Plaintiffs do not seek monetary relief; rather, they seek a declaration
that the IDOC’s current parent-child contact policy violates due process and an injunction that
would prohibit IDOC from continuing the allegedly unconstitutional aspects of that policy.
Doc. 92 at ¶¶ 86, 88. Moreover, as shown above, Plaintiffs have demonstrated that those aspects
of the policy present questions common to the class as a whole. Molina and Blaye have live
claims for injunctive and declaratory relief. Such relief would prevent Plaintiffs’ threatened
injuries and finally resolve their claims against IDOC. The class is appropriate for certification
under Rule 23(b)(2).
Conclusion
Plaintiffs’ class certification motion is granted in part. “An order that certifies a class
action must define the class and the class claims, issues, or defenses, and must appoint class
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counsel under Rule 23(g).” Fed. R. Civ. P. 23(c)(1)(B); see Chapman v. First Index, Inc., 796
F.3d 783, 785 (7th Cir. 2015) (“[T]he obligation to define the class falls on the [district] judge’s
shoulders under [Rule 23(c)(1)(B)].”). The class is defined as all parents of minor children who
are on MSR for a sex offense under IDOC supervision. The claims to be tried are: (1) whether
the IDOC policy’s presumptive 35-day ban on parent-child contact violates procedural due
process; (2) whether the presumptive 35-day ban violates substantive due process; (3) whether
certain criteria IDOC uses to make parent-child contact determinations violate substantive due
process; and (4) whether the lack of a neutral decisionmaker violates procedural due process.
Molina and Blaye are the class representatives. Pursuant to Rule 23(g), Adele D. Nicholas and
Mark G. Weinberg are appointed as class counsel.
November 10, 2020
____________________________________
United States District Judge
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