Frazier et al v. Baldwin
Filing
222
MEMORANDUM Opinion and Order written by the Honorable Gary Feinerman on 9/30/2021.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 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 imprisonment for Illinois sex offense convictions, bring this
certified class action under 42 U.S.C. § 1983 against Rob Jeffreys in his official capacity as
Director of the Illinois Department of Corrections (“IDOC”), alleging that IDOC’s
implementation of an MSR condition prohibiting them from having contact with their minor
children without prior approval violates their Fourteenth Amendment due process rights.
Doc. 92. Earlier in the litigation, the court enjoined enforcement of IDOC’s then-current
parent-child contact policy, Doc. 33, and denied IDOC’s motion to dismiss Plaintiffs’
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, Docs. 138-139
(reported at 2020 WL 4464672 (N.D. Ill. Aug. 4, 2020)), and granted Plaintiffs’ motion to certify
a class under Civil Rule 23(b)(2) to seek injunctive relief against certain aspects of the current
policy. Docs. 165-166 (reported at 2020 WL 6581648 (N.D. Ill. Nov. 10, 2020)).
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Plaintiffs and IDOC now cross-move for summary judgment on all claims. Docs. 171,
192. Plaintiffs’ motion is denied, and IDOC’s motion is granted in part and denied in part.
Background
Because the parties cross-move for summary judgment, the court must consider the facts
in the light most favorable to Plaintiffs when addressing IDOC’s motion and in the light most
favorable to IDOC when addressing Plaintiffs’ motion. See First State Bank of Monticello v.
Ohio Cas. Ins. Co., 555 F.3d 564, 567 (7th Cir. 2009) (“[B]ecause the district court had crossmotions for summary judgment before it, we construe all facts and inferences therefrom in favor
of the party against whom the motion under consideration is made.”) (internal quotation marks
omitted). To the extent a disputed fact relates to both sides’ motions, the court will set forth the
parties’ respective positions. At this juncture, the court does not vouch for either side’s version
of the facts. See Gates v. Bd. of Educ., 916 F.3d 631, 633 (7th Cir. 2019).
A.
The No-Contact Condition
The class is defined as “all parents of minor children who are on [MSR] for a sex offense
under the supervision of [IDOC].” Doc. 165. IDOC is responsible for monitoring persons on
MSR—who for ease of reference will be called “parolees”—convicted of sex offenses. Doc. 205
at ¶ 1. IDOC supervises approximately 1,600 parolees who were convicted of sex offenses, most
with victims under the age of 18. Id. at ¶ 2; Doc. 195-1 at ¶ 3.
Although IDOC manages the supervision of parolees, the MSR statute grants the Illinois
Prisoner Review Board (“IPRB”) the power to set MSR conditions: “The conditions of …
[MSR] shall be such as [IPRB] deems necessary to assist the subject in leading a law-abiding
life.” 730 ILCS 5/3-3-7(a). The statute lists a series of conditions that IPRB must impose, such
as not violating any criminal statute, id. at § 5/3-3-7(a)(1); reporting to an IDOC parole agent, id.
at § 5/3-3-7(a)(3); and—for parolees “convicted of a sex offense”—completing sex offender
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treatment, id. at § 5/3-3-7(a)(7.5). Another required condition is that a parolee must “follow any
specific instructions provided by the parole agent that are consistent with further conditions set
and approved by [IPRB] or by law.” Id. at § 5/3-3-7(a)(15). IDOC has over forty parole agents
and four parole commanders assigned to supervise sex offenders. Doc. 205 at ¶ 3.
The MSR statute further provides that “persons required to register as sex offenders …
may be required by [IPRB] to comply with” several additional conditions. 730
ILCS 5/3-3-7(b-1) (emphasis added). One such condition is to “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].” Id. § 5/3-3-7(b-1)(9).
Plaintiffs submit that IPRB imposes on all parolees with sex offense convictions a condition that
tracks that statutory language. Doc. 171 at 11. IDOC states that “almost all sex offenders” must
abide by the condition to not contact minor children without prior IDOC approval. Doc. 192-1 at
15. IDOC does not elaborate as to which offenders might be exempt from the requirement and
does not contend that any such exceptions affect this case.
Due to this prohibition on contact with minor children, a parolee who committed a sex
offense may not contact his or her own minor children upon release from prison. Doc. 193 at
¶¶ 13-14. The parties dispute whether this imposes a “presumptive ban” on child contact,
Doc. 171 at 15; Doc. 192-1 at 6, but the debate is semantic. IDOC states that it “has adopted a
process for approving a paroled sex offender’s request for contact with his or her minor
children,” which necessarily implies that approval is required and therefore that a presumptive
ban is in place. Doc. 192-1 at 16. Indeed, IDOC Deputy Chief of Parole Dion Dixon testified
that “[i]mmediately” upon release, “the presumption is that [the parolee] may not have contact
with his or her children.” Doc. 174-2 at 3 (6:3-6), 9 (31:15-18). By way of qualification, Dixon
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added that “some parolees have come out with court orders stating that they can have contact
with their children.” Id. at 9 (31:20-23). But Dixon could not identify any other circumstances
in which immediate child contact would be allowed. Id. at 9 (32:8-15). So, while IDOC resists
characterizing its parolee-child contact policy as establishing a “presumption,” the evidence
shows that, absent a court order, IDOC does not allow parolees with sex offense convictions to
contact their children upon their release on MSR. The court will refer to this policy as the “nocontact condition.”
B.
Evaluations Conducted Before Release
IDOC’s enabling statute provides that, before a person convicted of a sex offense is
released from prison, he or she “shall be required to receive a sex offender evaluation.” 730
ILCS 5/3-6-2(j). Sarah Brown-Foiles—IDOC’s coordinator for sex offender services,
Doc. 195-1 at ¶ 1—testified that IDOC conducts this evaluation about a year before the
offender’s scheduled release from prison. Doc. 174-7 at 23 (86:19-87:2). This “pre-release
evaluation” is conducted by licensed sex offender evaluators. Doc. 193 at ¶ 59. The evaluation
is a solely an “informative report” and “does not look to predict futur[e] risk” of re-offense.
Doc. 174-7 at 24 (91:11-13). The evaluation does summarize the offender’s background,
educational attainment, medical needs, psychiatric and mental health history, and criminal
history. Id. at 24 (92:21-93:15); Doc. 193 at ¶ 60. That information is derived from the
prisoner’s voluntary self-reporting, IDOC’s internal records, and other sources such as case files
and police reports. Doc. 174-7 at 24-25 (93:24-96:15). Pre-release evaluations are used to
inform IDOC parole agents and treatment providers about “what type of client they’re getting”
upon an offender’s release on MSR. Doc. 193 at ¶ 62.
Separately, the Sexually Violent Persons Commitment Act (“SVPCA”), 725 ILCS 207/1
et seq., creates a process by which the Attorney General of Illinois or the relevant county’s
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State’s Attorney may petition for civil commitment of certain sex offenders upon their release
from prison. To facilitate this process, the SVPCA requires IDOC to conduct a “comprehensive
evaluation of the person’s mental condition,” which is different from the pre-release evaluation
discussed above. Id. at § 207/10(c)(2). Persons convicted of a “sexually violent offense” as
defined in the SVPCA, id. at § 207/5(e), must undergo this additional “SVP screening.”
Doc. 193 at ¶ 64. All sex offenders in IDOC custody except those convicted of criminal sexual
abuse qualify for this SVP screening. Ibid. The SVP screening occurs approximately six months
before release and is informed by the earlier pre-release evaluation. Id. at ¶¶ 62, 64. The SVP
screening employs “actuarial-based risk assessment tools.” Id. at ¶ 65.
IDOC does not use pre-release evaluations or SVP screenings to make any
determinations about child contact before sex offenders with children are released on MSR. As
noted, the no-contact condition initially prohibits contact absent a court order. Doc. 193 at
¶¶ 13-14. IDOC encourages parole agents to review the pre-release evaluation to “inform
decisions regarding restrictions,” but that review happens after an offender’s release. Id. at ¶ 63.
The parties dispute whether IDOC could practicably use pre-release evaluations and SVP
screenings to make decisions before an inmate’s release about whether the inmate should be
allowed to contact their children after release. Plaintiffs contend that a pre-release evaluation,
because it examines the inmate’s criminal record, would at least reveal whether the inmate’s
child was a victim of his or her crimes. Doc. 171 at 47. And pointing out that Blaye was granted
contact with his children after only one meeting with a therapist, Doc. 193 at ¶ 67, Plaintiffs
argue that a short evaluation period is sufficient to allow child contact for at least some
offenders, Doc. 171 at 70. IDOC counters that two other therapists stated that they would not be
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comfortable making a recommendation about child contact based on the pre-release evaluation.
Doc. 205 at ¶¶ 42, 51-52. So the predictive value of the pre-release evaluation is disputed.
Plaintiffs also contend that the SVP screening’s risk assessment resembles “specialized
evaluations” used in child custody and parental rights proceedings that can quickly render
decisions about child contact. Doc. 193 at ¶¶ 65-66. IDOC responds that those “specialized
evaluations” are “very expensive.” Id. at ¶ 66; Doc. 205 at ¶ 112. To support their respective
views, both sides rely exclusively on Brown-Foiles’s brief testimony that there are “specific risk
evaluation[s] with a specific goal” that “do exist in the field,” but that they are “very
ex[p]ensive.” Doc. 174-7 at 34 (130:4-6). The record contains little detail about what BrownFoiles was referring to, how these specialized evaluations compare to the SVP screening, or the
feasibility of implementing them to make child contact determinations.
C.
Parent-Child Contact Policy After Release on MSR
IDOC implements the no-contact condition through a written policy for assessing
parolees’ requests for child contact. Doc. 205 at ¶ 7. The policy mirrors the preliminary
injunction order issued earlier in this case. Id. at ¶ 6; Doc. 33.
Upon release, all parolees convicted of a sex offense receive an information packet that
explains the policy and the process for requesting contact with their minor children. Doc. 205 at
¶ 8. The policy provides that a parolee “shall be given the opportunity for an appointment with a
sex offender therapist within 14 days of release.” Doc. 174-1 at 1 (emphasis deleted). IDOC
directly employs only four sex offender therapists, so most of the therapists are third-party
providers. Doc. 205 at ¶ 22. Practically speaking, this means that parolees do not necessarily
obtain an appointment with a sex offender therapist within 14 days of release, Doc. 193 at ¶ 37,
but IDOC at least provides a referral to sex offender treatment within 72 hours of release,
Doc. 205 at ¶ 14.
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The process for obtaining permission for child contact begins only when a parolee
requests such contact. Id. at ¶ 7; Doc. 174-2 at 10 (36:3-19). The policy provides that “[i]f a
parolee has requested contact with biological children, within 21 days of the initial [therapy]
appointment, the therapist and the parolee’s parole agent will determine whether there is
reasonable cause to believe that the parolee’s child(ren) would be endangered by parent-child
contact.” Doc. 174-1 at 1 (emphasis deleted). The policy thus assumes that the parolee
requested contact before the initial therapy appointment. It is unclear what timeline IDOC
follows when a parolee requests contact after the initial appointment.
For a parolee who immediately requests parent-child contact upon release, the policy
allows IDOC at least 35 days in which to make a determination whether contact would endanger
the minor child: at least 14 days to see a therapist, and at least 21 days after that initial
appointment. IDOC asserts that its policy “sets no 35-day period where parent-child contact
cannot be approved.” Doc. 205 at ¶ 19. Plaintiffs do not dispute that assertion, because it is true
that “the written policy does not categorically prohibit approval of contact” in the initial 35-day
window. Ibid. IDOC can, if it chooses, move faster. But there can be no dispute, simply from
reading the policy’s text, that it allows a delay of up to 35 days.
The parolee’s “containment team” decides whether a parolee may have contact with his
or her minor children. Id. at ¶ 9. The containment team comprises the parolee’s parole agent,
parole commander, sex offender therapist, and any other therapists treating the parolee. Ibid.
The containment team may also include supervising parole officers, polygraph examiners, and
victim advocates. Doc. 193 at ¶ 4. If parent-child contact is restricted or denied, the parolee
must be provided written reasons, and the restriction or prohibition must be reviewed every 28
days. Doc. 205 at ¶ 16; Doc. 174-1 at 1-2. IDOC has a “Parolee/Releasee Determination of
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Request for Contact with Child(ren)” form for rendering such decisions. Doc. 174-1 at 3. The
form is included in the information packet that parolees receive upon their release. Doc. 205 at
¶ 8.
A “safety plan” jointly developed by the containment team and the parolee must also be
in place before parent-child contact occurs. Doc. 174-1 at 1; Doc. 174-2 at 29 (110:6-11). A
form safety plan is included in the informational packet, but it applies only to in-person visits.
Doc. 174-1 at 5-7; Doc. 174-2 at 29 (110:16-20); Doc. 193 at ¶ 10. A safety plan for contact
over the phone or by mail does not follow the same form, but the containment team may
implement such a plan. Doc. 174-2 at 29 (110:16-24).
A parolee may seek review of an adverse decision “from the Deputy Chief of Parole”
(currently Dixon) “or his/her designee” (currently Brown-Foiles), who must “respond in writing
within 21 days.” Doc. 174-1 at 2. IDOC has a form for such appeals. Id. at 4. The form asks
the parolee for a statement “in rebuttal to the denial of your request for contact,” and has a space
for the “Reviewer’s Determination.” Ibid. Appeals are heard only by Dixon or Brown-Foiles,
and no further appeal is allowed. Doc. 193 at ¶ 44; Doc. 174-1 at 2.
D.
Criteria Used to Evaluate Child Contact Requests
The containment team may consider a wide range of criteria in evaluating child contact
requests, Doc. 205 at ¶ 12, but only a few are relevant for present purposes. One of the certified
questions for class resolution is whether five criteria used by IDOC violate substantive due
process: (1) a parolee’s not having taken a polygraph, (2) insufficient duration of therapy;
(3) denial of guilt; (4) a parolee’s noncompliance with MSR conditions; and (5) a parolee’s
unreliable attendance at therapy. 2020 WL 6581648, at *12.
IDOC directs the containment team to consider those five factors. The form that IDOC
uses to respond to child contact requests lists eleven specific reasons for a denial, plus a twelfth
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labeled “[o]ther” with space for explanation. Doc. 174-1 at 3. The eleven specific reasons
include “[t]herapist requested polygraph but results are not available,” “[i]nsufficient therapy
sessions to make an assessment,” and “[s]afety plan incomplete or not completed.” Ibid. The
form safety plan requires the parolee’s initialed agreement to several additional requirements,
essentially incorporating them as conditions for child contact. Id. at 5. Those additional
requirements include “engag[ing] in Sex Offender Counseling services and [being] compliant
with these services,” and “successfully complet[ing] and pass[ing] a sexual history OR
maintenance polygraph.” Ibid. The form safety plan requires an approved chaperone for
in-person child visits, and states that the chaperone “shall not … enable the offender to deny or
refute any details of his/her conviction.” Ibid. Finally, the containment team may consider
“whether the parolee is progressing in therapy” and “whether the parolee has been compliant
with the terms of his or her parole.” Doc. 205 at ¶ 12.
Plaintiffs assert that the polygraph and therapy criteria can cause indefinitely long delays
in approving child contact. As for the polygraphs, IDOC imposes no limit on how long a
containment team can withhold approval for child contact based on the lack of a polygraph
exam. Doc. 193 at ¶¶ 31-32. Deputy Chief Dixon testified that parolees are responsible for
paying for their own polygraph exams, which typically cost between $200 and $400. Id. at ¶ 46.
IDOC has no policy or practice to accommodate parolees who cannot pay for an exam. Id. at
¶ 48. The requirement that a parolee reliably attend therapy for a sufficient period also can
create indefinite delays in the approval of parent-child contact. IDOC imposes no limit on how
long a therapist can take to make a recommendation on whether to allow child contact. Id. at
¶ 30. Dixon testified that parolees are responsible for paying for weekly therapy, id. at ¶ 46,
though some evidence suggests that certain therapists will accommodate parolees unable to pay,
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id. at ¶ 132; Doc. 205 at ¶ 75. But IDOC has no policy to accommodate such parolees. Doc. 193
at ¶ 48.
Several therapists testified about the utility of polygraphs and their importance to sex
offender therapy. Licensed clinical sex offender therapist Dr. Eleanor Harris explained that “the
polygraph provides good information, such as letting her know whether the person is telling the
truth or has been truthful about his interaction with children or prior victims.” Doc. 205 at ¶ 44;
see also id. at ¶¶ 86-88. Clinical psychologist Dr. Gerald Blain testified that a parolee’s passing
at least one polygraph is an “absolute requirement before [he] would make a recommendation
about contact with a child.” Doc. 174-4 at 16 (58:8-12). He explained that the mandatory
polygraph “gets [patients] to disclose and open up and talk about” their sexual and offense
history. Id. at 19 (70:4-5). Licensed sex offender therapist Michael Kleppin likewise requires a
polygraph to “establish[] a baseline of offending behavior for therapeutic purposes and to ruleout, to the best of ability, no interfamilial [sic] offending has occurred on biological minor
children.” Doc. 174-5 at 1. By contrast, IDOC sex offender therapist Dr. Patricia Grosskopf
testified that she does not require a polygraph before approving parent-child contact. Doc. 174-6
at 27 (103:8-11). She added, however, that polygraph examinations can play a “treatment” role
in sex offender therapy. Id. at 27 (104:10-105:11), 28 (108:21-109:9).
The time necessary to be able to make a recommendation about parent-child contact
varies dramatically among therapists. Dr. Grosskopf testified that, of the seven individuals for
whom she had made a recommendation this past year, the “average … is between two to three
weeks, four weeks max” from the start of therapy to a recommendation, though “[t]he longest
period of time might have been two months.” Id. at 19 (73:13-22). Dr. Grosskopf recommended
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that one of the Plaintiffs be permitted phone contact with his minor son after a single meeting.
Doc. 193 at ¶ 67.
At the other end of the spectrum, Dr. Harris testified that she would need a parolee to
participate in therapy for “[a]t least a year” before she would feel comfortable making a
recommendation. Doc. 174-3 at 13 (48:21-49:1). Dr. Blain testified that, while there was “no
set time” to make a recommendation, the parolee’s cooperation and compliance with therapy
would “probably” take “five, six, seven months.” Doc. 174-4 at 9 (30:2-5). Dr. Kleppin
indicated that a parolee must have “[b]een an active member within the therapeutic milieu … for
a minimum of six months” to be in good standing. Doc. 174-5 at 1 (emphasis deleted); see also
id. at 2 (“Once the above criteri[a] have been met, client contact with their biological children is
no longer in violation of their therapeutic guidelines/rules … .”). No record evidence explains
why these providers’ minimum treatment times so widely vary.
E.
“Cross-Offense” Evidentiary Dispute
IDOC asserts that it “restricts individuals who have never committed an offense against a
minor from having contact with their children because there is a high risk of cross-offense, i.e.,
that a sex offender may abuse both adults and children.” Doc. 192-1 at 9 (citing Doc. 194 at
¶ 17). In support, IDOC cites the testimony of Deputy Chief Dixon and Dr. Grosskopf.
Doc. 194 at ¶¶ 17, 70. Plaintiffs object to the admission of that testimony on the ground that
Dixon and Dr. Grosskopf were not disclosed as experts on the subject of cross-offense risk.
Doc. 204 at 11-13; Doc. 205 at ¶¶ 17, 18, 70. IDOC responds that Dixon and Dr. Grosskopf did
not offer expert opinion and that, in any event, Plaintiffs solicited the testimony at their
depositions. Doc. 217 at 8-9.
IDOC is correct insofar as Dixon and Dr. Grosskopf explained IDOC’s interest in
restricting parolees who have never committed an offense against a minor from contacting their
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children. Doc. 192-1 at 9-10. Plaintiffs’ counsel solicited testimony from Dixon, in her capacity
as a Rule 30(b)(6) witness, as to why IDOC “restrict[s] individuals who have never committed
an offense against a minor from having contact with their own children.” Doc. 174-2 at 46
(178:20-23). Dixon answered by pointing to cross-offense risk. Id. at 46 (178:24-179:10).
Dixon could testify to IDOC’s understanding of the risk—i.e., the reason why IDOC adopted this
policy—because it falls within Rule 30(b)(6)’s authorization for a witness to testify to “matters
known or reasonably available to the organization.” PPM Fin., Inc. v. Norandal USA, Inc., 392
F.3d 889, 894-95 (7th Cir. 2004) (citation omitted). Plaintiffs’ counsel asked Dr. Grosskopf to
explain why she does not consider the victim’s age when evaluating the risk of parent-child
contact. Doc. 174-6 at 25 (95:16-96:13). In response, Dr. Grosskopf explained her
understanding of the relevance (or lack thereof) of the victim’s age to the probability of future
offenses against children. Ibid. The court will therefore consider Dixon’s and Dr. Grosskopf’s
testimony to the extent that IDOC relies on it to establish its interest in this aspect of its policy.
Insofar as IDOC seeks to establish the actual probability of cross-over offenses as
support for its policy, Plaintiffs are correct that the testimony sets forth expert opinion because it
is based on “scientific, technical, or other specialized knowledge.” Fed. R. Evid. 702. “[L]ay
testimony results from a process of reasoning familiar in everyday life, while expert testimony
results from a process of reasoning which can be mastered only by specialists in the field.” Fed.
R. Evid. 701 advisory committee’s note to 2000 amendment (internal quotation marks omitted).
Predicting or estimating the probability of cross-offenses clearly falls within the ambit of expert
testimony, as it requires specialized knowledge in the field of statistics, criminology, psychology,
or related disciplines. That Dixon and Dr. Grosskopf referenced studies as the basis for their
understanding of the risk confirms this conclusion. Doc. 174-2 at 46 (178:24-179:2) (“Some
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time ago … I read a study that was done, and there’s a pretty high percentage of cross offense
… .”); Doc. 174-6 at 25 (96:5) (referencing “crossover research” to establish the likelihood of
cross-offenses).
IDOC did not disclose Dixon or Dr. Grosskopf as experts under Civil Rule 26(a)(2). It
follows that IDOC may not use their expert opinions unless its failure to disclose “was
substantially justified or harmless.” Fed. R. Civ. P. 37(c)(1); see Salgado ex rel. Salgado v. Gen.
Motors Corp., 150 F.3d 735, 742 (7th Cir. 1998) (“[T]he sanction of exclusion is automatic and
mandatory unless the sanctioned party can show that its violation of Rule 26(a) was either
justified or harmless.”). IDOC makes no effort to meet its burden, thereby forfeiting the point
for purposes its effort on summary judgment to establish cross-offense risk as a factual matter.
F.
Experiences of Individual Class Members
As the court’s class certification opinion described, Plaintiffs are parents of minor
children and are serving MSR terms following their convictions in Illinois state court of crimes
that require registration as sex offenders. 2020 WL 6581648, at *2.
Montoya was convicted of criminal sexual assault of a 14-year-old boy in 2015.
Doc. 174-22 at ¶¶ 2-3. Prior to her release on MSR, she sought a court order allowing contact
with her minor children, which her sentencing judge granted. Doc. 193 at ¶ 15. Nonetheless,
IDOC did not permit Montoya to live with her daughter until her parole agent approved a safety
plan. Doc. 174-22 at ¶ 9. As noted in the court’s class certification opinion, Montoya has lived
at her family home with her children since August 2019. 2020 WL 6581648, at *5.
Molina was convicted of criminal sexual assault of a 15-year-old girl. Doc. 193 at ¶ 82.
He began serving an MSR term on September 28, 2018. Ibid. Molina is the father of a son, G.S.
Id. at ¶ 83. Molina was not permitted to have any contact with G.S. from the time he was
released until G.S. turned 18 years old. Ibid.
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Blaye was convicted of criminal sexual assault of a 21-year-old woman in 2008. Id. at
¶ 69. He began serving an MSR term on June 10, 2019. Ibid. From the time of his release until
November 19, 2019, Blaye was not permitted to have any contact with his minor son, Z.M. Id. at
¶¶ 70, 76. Blaye did not receive permission to have in-person visits with Z.M. until January 27,
2020. Id. at ¶ 77. The parties dispute when Blaye first requested contact with his son, and
consequently the reason why he was unable to have contact until five months after his release.
See id. at ¶¶ 72, 75-77.
Absent class member Brandon Velna is the father of three children. Id. at ¶ 142. He
began serving an MSR term on August 5, 2019. Ibid. Since his release, he has not been allowed
to have any in-person contact with his children. Id. at ¶ 143. Velna has attended sex offender
therapy since November 2019, and has taken and passed a polygraph examination. Id. at ¶ 144.
Nonetheless, his therapist has not recommended that he be allowed to have contact with his
children, id. at ¶ 145, and his request for contact was denied based on the lack of support from
the therapist, id. at ¶ 147. Velna attempted to appeal the denial. Id. at ¶¶ 148-149. Given that he
has not been permitted contact, id. at ¶ 143, it appears that the appeal was denied.
Discussion
I.
Claims Before the Court
In moving for class certification, Plaintiffs identified several common questions that they
believed could be resolved on a classwide basis. Doc. 134 at 7-16. The court agreed with
Plaintiffs in part and certified four common questions to be tried as a class action: “(1) whether
the IDOC child contact policy’s presumptive 35-day ban on parent-child contact violates
procedural due process; (2) whether the policy’s presumptive 35-day ban violates substantive
due process; (3) whether certain criteria IDOC uses to make parent-child contact determinations
under its policy violate substantive due process; and (4) whether the lack of a neutral
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decisionmaker violates procedural due process.” Doc. 165. As to the third question, Plaintiffs
named five allegedly unconstitutional criteria: (1) not having taken a polygraph, (2) insufficient
duration of therapy; (3) denial of the parolee’s guilt by the parolee or the child’s custodial parent;
(4) noncompliance with conditions of parole; and (5) unreliable attendance at therapy. Doc. 134
at 9. (As discussed below, IDOC policy makes clear that the third criterion operates only on the
child’s guardian and the chaperone supervising a parolee’s contact with a child, not on the
parolee or the child’s custodial parent.) The court certified the question relating to the five
criteria to “resolve, as a general matter, whether those criteria … are permissible under the
governing due process standard.” 2020 WL 6581648, at *12.
In moving for summary judgment, Plaintiffs address the four certified questions, arguing
that the 35-day ban violates procedural due process, Doc. 171 at 61-65, and substantive due
process, id. at 41-48; that the five criteria violate substantive due process, id. at 52-54; and that
there is not a sufficiently neutral decisionmaker, id. at 68-69. But Plaintiffs’ summary judgment
motion also raises, for the first time in this case, three entirely new challenges to the IDOC
policy: that the absence of any “formal criteria or standards” violates substantive due process, id.
at 49-52; that IDOC’s procedures afford insufficient notice and opportunity to be heard, thereby
violating procedural due process, id. at 65-68; and that the policy discriminates based on wealth
in violation of the Equal Protection Clause, id. at 72-76.
This opinion will not address those new challenges. True enough, as a general matter,
“the fact that the complaint omits a legal theory cannot block a plaintiff from invoking that
theory” on summary judgment, particularly when the court itself injects the theory into the case.
Koger v. Dart, 950 F.3d 971, 974-75 (7th Cir. 2020). In a class action, however, “[a]n order that
certifies a class action must define … the class claims, issues, or defenses.” Fed. R. Civ.
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P. 23(c)(1)(B). In accordance with Rule 23(c)(1)(B), the court specified four questions to be
resolved through this class action. Doc. 165. Plaintiffs cannot obtain classwide relief based on
any other claims or issues.
Comcast Corp. v. Behrend, 569 U.S. 27 (2013), is instructive on this point. The plaintiffs
there proposed four theories of antitrust impact, but the district court certified only one—the
“overbuilder theory”—for classwide treatment. Id. at 31. Before deciding whether the district
court should have certified that question, the Court observed: “If [the plaintiffs] prevail on their
claims, they would be entitled only to damages resulting from reduced overbuilder competition,
since that is the only theory of antitrust impact accepted for class-action treatment by the District
Court.” Id. at 35. That result followed from “straightforward application of class-certification
principles,” not any peculiarity of “substantive antitrust law.” Id. at 34.
Similarly, the class here can obtain injunctive or declaratory relief based only on the
questions that have been certified for classwide treatment. It is possible that Plaintiffs, in a
non-representative capacity, could pursue individual claims based on theories of liability not
covered by the class certification order. See id. at 31 n.3 (“The other theories of liability may
well be available for the plaintiffs to pursue as individual actions.”). But that possibility is not
before the court, as Plaintiffs move for summary judgment as to the class. E.g., Doc. 171 at 73
(contending that IDOC’s policy “denies indigent or impoverished class members” equal
protection). The court therefore limits its analysis to the certified questions.
IDOC also argues that the court cannot consider the newly asserted equal protection
claim because Molina, the ostensible class representative for that claim, no longer has a minor
child, rendering his claims moot. Doc. 192-1 at 12, 50. At the time of class certification, Molina
had not been permitted contact with his 17-year-old son, but his son has since turned 18.
16
Doc. 193 at ¶ 83; Doc. 197 at 2. The parties agree that this fact renders moot any equal
protection claim that Molina might try to bring. Doc. 192-1 at 12; Doc. 204 at 58. But there is
no need to address IDOC’s argument because, as noted, the court will not address the equal
protection claim for a different reason.
The mootness of Molina’s claim does not affect the court’s jurisdiction to resolve the
class claims. First, there are two other class representatives, Montoya and Blaye, who still have
live claims despite having gained permission to contact their children. 2020 WL 6581648, at
*5-8. Second, even if Montoya’s or Blaye’s claims have become moot, the class itself is a
distinct entity that can carry on even if the class representative’s individual claims become moot:
“[W]hen a district court certifies a class, the class of unnamed persons described in the
certification acquires a legal status separate from the interest asserted by the named plaintiff,
with the result that a live controversy may continue to exist, even after the claim of the named
plaintiff becomes moot.” Genesis Healthcare Corp. v. Symczyk, 569 U.S. 66, 74 (2013) (internal
quotation marks and alterations omitted); see also United States v. Sanchez-Gomez, 138 S. Ct.
1532, 1538 (2018) (“[W]hen the claim of the named plaintiff becomes moot after class
certification, a ‘live controversy may continue to exist’ based on the ongoing interests of the
remaining unnamed class members.”) (quoting Genesis, 569 U.S. at 74); Cnty. of Riverside v.
McLaughlin, 500 U.S. 44, 51 (1991) (similar); Doe v. Cook Cnty., 798 F.3d 558, 560 (7th Cir.
2015) (holding that because the suit had “been certified as a class action … the fact that the
representative plaintiffs are no longer [detained] does not make the case moot”); Payton v. Cnty.
of Kane, 308 F.3d 673, 681 (7th Cir. 2002) (“[W]here a class has been properly certified, even
the mootness of the named plaintiff’s individual claim does not render the class action moot.”).
17
II.
Application of the Turner Standard to Plaintiffs’ Claims
IDOC argues that the standard articulated in Turner v. Safley, 482 U.S. 78 (1987), which
arose in the prison context, governs Plaintiffs’ substantive due process claims. Doc. 192-1 at 13.
Plaintiffs contend that the Turner standard does not apply because they are on parole, not in
prison, and because they allege the abridgement of a fundamental right. Doc. 171 at 39;
Doc. 204 at 20-22. IDOC is correct.
Turner holds that “federal courts must take cognizance of the valid constitutional claims
of prison inmates,” but that courts must “accord deference to the appropriate prison authorities.”
482 U.S. at 84-85. To accommodate those competing concerns, Turner articulates “a standard of
review for prisoners’ constitutional claims that is responsive both to the policy of judicial
restraint regarding prisoner complaints and to the need to protect constitutional rights.” Id. at 85
(internal quotation marks and alteration omitted). The four-factor test considers: “[1] whether
the [prison] regulation has a ‘valid, rational connection’ to a legitimate governmental interest;
[2] whether alternative means are open to inmates to exercise the asserted right; [3] what impact
an accommodation of the right would have on guards and inmates and prison resources; and
[4] whether there are ‘ready alternatives’ to the regulation.” Overton v. Bazzetta, 539 U.S. 126,
132 (2003) (quoting Turner, 482 U.S. at 89-91). “Turner does not impose a least-restrictivealternative test, but asks instead whether the prisoner has pointed to some obvious regulatory
alternative that fully accommodates the asserted right while not imposing more than a de minimis
cost to the valid penological goal.” Id. at 136.
“The four factors are all important, but the first one can act as a threshold factor
regardless which way it cuts.” Singer v. Raemisch, 593 F.3d 529, 534 (7th Cir. 2010); see also
Van den Bosch v. Raemisch, 658 F.3d 778, 785 n.6 (7th Cir. 2011) (“Though each of the factors
is relevant in assessing the reasonableness of a regulation, we have previously observed that the
18
first factor serves as a threshold, and the district court need not explicitly articulate its
consideration of each one.”) (internal quotation marks omitted). For example, in Nigl v.
Litscher, 940 F.3d 329 (7th Cir. 2019), a prisoner challenged the prison’s denial of his request to
marry, and prison officials relied only on the first factor to defend the denial. Id. at 333-34 &
n.3. The Seventh Circuit affirmed summary judgment for the officials, reasoning that the denial
“was reasonably related to [the officials’] legitimate penological interests in preserving the
security of the prison, inducing compliance with and promoting respect for the prison’s rules
governing inmate contacts, and rehabilitating [the plaintiff].” Id. at 334.
Under Turner, “[t]he burden … is not on the State to prove the validity of prison
regulations but on the prisoner to disprove it.” Overton, 539 U.S. at 132; see also Jackson v.
Frank, 509 F.3d 389, 391 (7th Cir. 2007) (“When challenging the reasonableness of the prison’s
regulation, the inmate bears the burden of persuasion.”). Even so, “prison officials must still
articulate their legitimate governmental interest in the regulation and provide some evidence
supporting their concern.” Riker v. Lemmon, 798 F.3d 546, 553 (7th Cir. 2015) (internal
quotation marks omitted). On summary judgment, inferences as to disputed issues of material
fact are drawn against the moving party, but “inferences as to disputed matters of professional
judgment are governed by Overton, which mandates deference to the views of prison
authorities.” Singer, 593 F.3d at 534.
Turner’s deferential standard applies even where a plaintiff alleges the deprivation of a
fundamental right. Turner itself involved a fundamental right—the right to marry. See 482 U.S.
at 96-99 (recognizing “a constitutionally protected marital relationship in the prison context,”
and striking down the prison’s marriage regulation because it was “not reasonably related to
legitimate penological objectives”). Turner also applies to prison regulations that restrict contact
19
with the prisoner’s children, the fundamental right at issue here. See Easterling v. Thurmer, 880
F.3d 319, 323 (7th Cir. 2018) (“[P]rison officials may violate the Constitution by permanently or
arbitrarily denying an inmate visits with family members in disregard of the factors described in
Turner and Overton.”); Flynn v. Burns, 289 F. Supp. 3d 948, 963 (E.D. Wis. 2018) (holding that
a prison official was entitled to qualified immunity in a child contact case and that Turner “did
not suggest that the test should be something different when a fundamental right is at stake”).
The question remains whether Turner applies in the parole context. The Seventh Circuit
in Felce v. Fiedler, 974 F.2d 1484 (7th Cir. 1992), held that it does. Felce was a procedural due
process challenge to Wisconsin’s forced administration of antipsychotic drugs to parolees. Id. at
1488. Although no substantive due process challenge was brought, Felce explained that the
“first task” in the procedural due process analysis was “to determine ‘the contours of the
substantive right’ [at issue] by defining ‘the protected constitutional interest’ and the ‘conditions
under which competing state interests might outweigh it.’” Ibid. (quoting Washington v. Harper,
494 U.S. 210, 220 (1990)). That analysis is required because procedural due process regulates
deprivations of established substantive rights. See Bd. of Regents v. Roth, 408 U.S. 564, 576
(1972) (“The Fourteenth Amendment’s procedural protection of property is a safeguard of the
security of interests that a person has already acquired in specific benefits.”); Khan v. Bland, 630
F.3d 519, 529 (7th Cir. 2010) (“Because [the plaintiff] is not afforded a substantive right to
participate in the program, he is not afforded procedural due process rights upon denial.”).
In accord with these principles, Felce first asked whether the plaintiff could “claim a
liberty interest in mandatory release parole without unwanted administration of antipsychotic
drugs.” 974 F.2d at 1488. To answer that question, the Seventh Circuit applied the Turner
standard, recognizing that there was an established liberty interest “in being free from the
20
involuntary use of such drugs.” Id. at 1494. In so holding, the Seventh Circuit pointed to the
Supreme Court’s ruling in Washington v. Harper that Turner restricted the scope of an inmate’s
right to refuse antipsychotic drugs, 494 U.S. at 223-24, and observed that “this basic analysis is
just as applicable to parole as to prison situations.” 974 F.2d at 1494. And the Seventh Circuit
concluded that “the liberty interest against involuntary use of antipsychotic drugs guaranteed by
the Due Process Clause for parolees is essentially the same as that recognized for those
incarcerated in an institutional setting.” Id. at 1495 (emphasis added). Felce therefore
establishes that Turner governs the substantive rights of parolees, not just the substantive rights
of prisoners.
This aspect of Felce accords with the principle, discussed in this court’s opinion denying
dismissal of Plaintiffs’ substantive due process claim, 2019 WL 296556, at *3, that “the
‘conditions’ of parole are the confinement” for purposes of collateral challenges to criminal
convictions. Williams v. Wisconsin, 336 F.3d 576, 579 (7th Cir. 2003); see also Spencer v.
Kemna, 523 U.S. 1, 7 (1998) (equating “incarceration” and “the restriction imposed by the terms
of the parole” in evaluating the mootness of a parolee’s collateral attack on his conviction);
Maleng v. Cook, 490 U.S. 488, 491 (1989) (“[A] prisoner who ha[s] been placed on parole [is]
still ‘in custody’ under his unexpired sentence.”). The analogy between prison and parole is why
Plaintiffs cannot challenge the fact that IDOC imposes the no-contact condition itself; rather,
they may challenge only the manner in which IDOC implements that condition. 2019 WL
296556, at *4 (citing Heck v. Humphrey, 512 U.S. 477, 487 (1994)). Given that Plaintiffs remain
“in custody” while they are on MSR, it stands to reason that Turner governs the substantive
scope of their constitutional rights.
21
Pressing the opposite view, Plaintiffs cite two out-of-circuit decisions—United States v.
Myers, 426 F.3d 117 (2d Cir. 2005), and United States v. Loy, 237 F.3d 251 (3d Cir. 2001)—that
subjected federal supervised release conditions implicating fundamental rights to strict scrutiny.
Doc. 171 at 39. Neither case cited Turner or its progeny, and neither discussed why Turner
would not apply in this context. Myers relied on Washington v. Glucksberg, 521 U.S. 702
(1997), for the proposition that supervised release conditions are subject to strict scrutiny, 426
F.3d at 126, but Glucksberg did not concern prison or parole, 521 U.S. at 705-06. Myers and Loy
therefore are not persuasive. Plaintiffs also cite People v. Morger, 160 N.E.3d 53 (Ill. 2019),
which invalidated under the First Amendment a probation condition for sex offenders. Id. at 6970. Like Myers and Loy, Morger provides no support for its implicit holding that Turner does
not affect the First Amendment analysis, and likewise is neither controlling nor persuasive in the
face of Felce’s contrary authority.
Turner does not furnish the standard for determining whether a plaintiff received the
process due under the Due Process Clause. Rather, as IDOC itself observes, Doc. 192-1 at 29,
the familiar Mathews v. Eldridge factors govern that inquiry:
First, the private interest that will be affected by the official action; second,
the risk of an erroneous deprivation of such interest through the procedures
used, and the probable value, if any, of additional or substitute procedural
safeguards; and finally, the Government’s interest, including the function
involved and the fiscal and administrative burdens that the additional or
substitute procedural requirement would entail.
424 U.S. 319, 335 (1976). Turner remains relevant, however, because it governs the scope of
“the private interest that will be affected,” in this case a parolee’s interest in enjoying contact
with his or her minor children. See Bleeke v. Server, 2010 WL 299148, at *7 (N.D. Ind. Jan. 19,
2010) (“Although Turner is a substantive due process case, the Felce court nevertheless looked
to it in determining the scope of the liberty interest in the context of a procedural due process
22
claim.”). But Turner does not displace Mathews as the overarching framework for the
procedural due process analysis. See id. at *9-13 (applying Turner to determine the scope of the
substantive right at issue, but applying Mathews to determine whether the procedures offered
satisfied due process).
The Supreme Court’s decision in Washington v. Harper illustrates this two-step process.
After noting that “identifying the contours of the substantive right remains a task distinct from
deciding what procedural protections are necessary to protect that right,” 494 U.S. at 220, the
Court applied Turner to determine the scope of a prisoner’s right to refuse antipsychotic
medication, holding that Turner allows forced treatment “if the inmate is dangerous to himself or
others and the treatment is in the inmate’s medical interest,” id. at 222-27. Turning to the
procedural component of the analysis, the Court weighed the Mathews factors to determine what
“procedural protections” were required before administering such treatment. Id. at 229. The
Court’s procedural analysis did not cite or rely on Turner’s “rational connection” test, nor did it
ask whether the plaintiff had identified a “ready alternative” to the existing procedures. Id. at
229-36. So Turner applies to this case, but only in ascertaining the scope of Plaintiffs’
substantive rights, not the procedural protections to which they are entitled.
III.
No-Contact Condition
A.
Substantive Due Process
In addressing Plaintiffs’ substantive due process challenge to the no-contact condition,
the court must apply the Turner standard to determine the scope of the liberty interest they enjoy
in having contact with their minor children upon their release on MSR. “[T]he Due Process
Clause of the Fourteenth Amendment protects the fundamental right of parents to make decisions
concerning the care, custody, and control of their children.” Troxel v. Granville, 530 U.S. 57, 66
(2000) (plurality opinion); accord id. at 77 (Souter, J., concurring). This substantive due process
23
right includes a “right to familial relations” that protects against “forced separation” of parents
and children. Brokaw v. Mercer Cnty., 235 F.3d 1000, 1018 & n.14 (7th Cir. 2000). Because
parents enjoy this liberty interest, as a general rule a State “has no interest in protecting children
from their parents unless it has some definite and articulable evidence giving rise to a reasonable
suspicion that a child has been abused or is in imminent danger of abuse.” Id. at 1019.
As IDOC correctly notes, Doc. 192-1 at 14-15, Troxel and Brokaw do not involve parents
who were in prison or on parole. But the mere fact that Plaintiffs are parolees does not
extinguish their constitutional right to familial association. Like prisoners, parolees “retain a
limited constitutional right to intimate association.” Easterling, 880 F.3d at 322. That right
derives from the liberty interest in “a parent’s right to enjoy the companionship of his children.”
United States v. Lee, 950 F.3d 439, 448 (7th Cir. 2020); accord id. at 451 (St. Eve, J., concurring
in part and dissenting in part) (“[P]arents have a liberty interest, protected by the Constitution, in
having a reasonable opportunity to develop close relations with their children.”) (quoting
Hodgson v. Minnesota, 497 U.S. 417, 484 (1990) (Kennedy, J., concurring in part and dissenting
in part)). The no-contact condition burdens that liberty interest by presumptively denying sex
offenders on MSR contact with their children for 35 days after their release from prison.
That burden does not necessarily render the no-contact condition unconstitutional. In the
parole context, even fundamental rights may be limited by restrictions that are “reasonably
related to legitimate penological interests.” Easterling, 880 F.3d at 322 (quoting Turner, 482
U.S. at 89). IDOC maintains that the no-contact condition is rationally related to its interests in
the “rehabilitation of sex offenders on parole,” “increasing compliance and respect for rules
governing relationships while on parole,” and the “protection of the general public, especially
children.” Doc. 192-1 at 16-17; see also Doc. 205 at ¶ 5 (explaining IDOC’s “two main
24
objectives: (1) assisting the offender to re-acclimate himself back into society and resume a
normal life … and (2) community and public safety,” including the safety of children). Plaintiffs
do not contest the legitimacy of IDOC’s asserted interests. Doc. 204 at 23 (“[R]ehabilitation and
reintegration are the primary objectives on supervised release.”). Under Turner, then, the
principal question is whether Plaintiffs can identify an “obvious regulatory alternative that fully
accommodates the asserted right while not imposing more than a de minimis cost” to IDOC’s
“valid penological goal[s].” Overton, 539 U.S. at 136.
The alternative policy proposed by Plaintiffs is for IDOC to evaluate parolees’ requests
for contact with their children before their release on MSR using the pre-release evaluations and
SVP screenings that IDOC already conducts on sex offenders shortly before their release.
Doc. 171 at 45 (complaining that IDOC’s policy “defers until after release the decision whether a
releasee will be permitted to have contact with his minor child while on MSR”). In support,
Plaintiffs argue that those evaluations collect and assess evidence about the risks to children that
will be posed by sex offenders on their release. Id. at 47.
The record includes evidence suggesting that the pre-release evaluations and SVP
screenings provide data about parolees that is at least potentially relevant to IDOC’s penological
interests in rehabilitation and community safety. Brown-Foiles’s testimony highlighted the
potential utility of those evaluations for sex offender parolees’ treatment providers. Doc. 174-7
at 26 (100:9-13) (testifying that a pre-release evaluation is “a very valuable tool for a treatment
provider”); id. at 30 (115:20-21, 116:1-16) (testifying that “[SVP screenings] could be
informative for a future treatment provider,” and adding that “[i]t’s just much more in depth and
contains a lot of information” compared to the pre-release screening). The record also includes
evidence suggesting that those evaluations can help IDOC meet its community safety goals. The
25
“standard” IDOC uses for approving contact between parolees and their children is whether the
parolee is “low risk, no risk” for posing danger to a child. Doc. 193 at ¶ 19. The SVP screening
could help determine whether a parolee satisfies that standard because, as Brown-Foiles put it,
the “criteria might look the same” or be “similar” to the criteria used by “somebody who is
evaluating a risk of contact with children.” Doc. 174-7 at 38 (147:19-148:9). The SVP
screening also uses “actuarial-based assessment tools,” Doc. 193 at ¶ 65, that apparently produce
a “score from which [IDOC] could derive a risk level,” Doc. 174-7 at 30 (114:11-12). (By
contrast, the pre-release evaluation “does not have a risk component” in that “[i]t does not look
to predict futur[e] risk.” Id. at 24 (91:11-13); accord id. at 25 (96:16-18). But a “formal risk
assessment” by a therapist is not required as part of the post-release evaluations, either.
Doc. 193 at ¶ 20.) This evidence supports an inference that evaluations conducted before a
parolee’s release, based on the information already available to IDOC, are a possible alternative
to the post-release evaluations conducted by the containment team.
That said, other record evidence suggests that there are meaningful differences between
pre-release screenings of prisoners and post-release evaluations of parolees. For example, IDOC
does not currently administer polygraphs as part of its pre-release evaluations, Doc. 205 at ¶ 114,
which IDOC posits as one reason why “[s]olely relying upon [those evaluations] is insufficient,”
id. at ¶ 51. Whether IDOC could conduct the polygraphs prior to release is unclear. It appears
possible that many, if not all, of the questions asked during a parolee’s post-release polygraph
exam could be asked in a pre-release polygraph. Id. at ¶ 81 (“The questions for the initial
polygraph depend on the client’s sexual history, but could include whether the client has ever
viewed child pornography, whether the client has ever engaged anyone in non-consensual sexual
contact, whether the client has had any sexual contact with other minors as an adult, whether the
26
client has engaged in any peeping or exposing behaviors, whether the client has ever used force
in the instances of a rape or sexual assault charge, or whether the client has ever had sexual
contact with anyone who might have been asleep or drunk.”). But the record does not compel an
inference or conclusion in either party’s favor concerning the effectiveness of that alternative.
IDOC cites Dr. Blain’s and Brown-Foiles’s testimony that evaluations conducted while
an offender remains incarcerated inherently cannot account for how that offender will react as a
parolee to the conditions and stressors in the outside world. Id. at ¶¶ 52, 54, 109. That testimony
supports the inference that there is some disadvantage to making initial determinations about
parent-child contact before an offender is released on MSR. Still, the court cannot conclusively
decide on the present record whether that disadvantage is de minimis. See Turner, 482 U.S. at 91
(holding that the existence of “an alternative that fully accommodates the prisoner’s rights at de
minimis cost to valid penological interests” is “evidence that the regulation does not satisfy the
reasonable relationship standard”).
Brown-Foiles testified that the pre-release evaluation conducted by IDOC “could be used
to inform the decision about whether someone should have contact with his or her child, but it is
not a single source of information.” Doc. 205 at ¶ 110; see also Doc. 193 at ¶ 63. Similarly, Dr.
Blain testified that, at least in some cases, it would be possible to make a recommendation about
parent-child contact based on a pre-release evaluation. Doc. 174-4 at 23 (87:12-18); id. at 24
(90:21-91:13). And Dr. Blain agreed that an IDOC evaluator could conduct a valid risk
assessment before an offender is released on MSR. Id. at 24 (90:4-6). He cautioned, however,
that it may not be possible to assess all relevant factors before release. Id. at 23 (89:22-24); id. at
24 (91:7-11). The record therefore gives rise to a genuinely disputed issue of material fact: the
utility of pre-release evaluations and SVP screenings, and whether using such evaluations can
27
advance IDOC’s penological goals with no more than a de minimis cost. See Beard v. Banks,
548 U.S. 521, 535 (2006) (plurality opinion) (“Turner requires prison authorities to show more
than a formalistic logical connection between a regulation and a penological objective.”). A trial
is necessary to fully develop the record as to the disadvantages, if any, that Plaintiffs’ proposed
alternative policy would impose on IDOC’s penological goals, and therefore as to whether the
no-contact condition satisfies Turner.
The cross-motions for summary judgment are accordingly denied as to Plaintiffs’
substantive due process challenge to the no-contact condition.
B.
Procedural Due Process
Plaintiffs also claim that the no-contact condition violates procedural due process by
denying them (1) a pre-deprivation hearing or, if pre-deprivation hearings are not required,
(2) sufficiently prompt post-deprivation determinations. As noted, Plaintiffs have a liberty
interest in familial association with their children. The pertinent question for procedural due
process purposes is precisely when Plaintiffs are constitutionally entitled to an initial
determination of whether they can be deprived of that interest.
1.
Lack of Pre-Deprivation Hearings
Absent a court order, IDOC policy does not grant parolees a hearing before they are
deprived, upon their release, of their liberty interest in familial association. Doc. 192-1 at 36.
IDOC argues that a pre-deprivation hearing is not constitutionally required. Ibid.
Procedural due process does not always require pre-deprivation process: “[W]here a
predeprivation hearing is unduly burdensome in proportion to the liberty interest at stake …
postdeprivation remedies might satisfy due process.” Zinermon v. Burch, 494 U.S. 113, 132
(1990). Weighing an asserted liberty interest against the burdens of a pre-deprivation hearing is
“a special case of the general Mathews v. Eldridge analysis.” Id. at 128. Applying Mathews, the
28
Seventh Circuit recognized in Hernandez ex rel. Hernandez v. Foster, 657 F.3d 463 (7th Cir.
2011), the general rule that, absent exigent circumstances, pre-deprivation process is required
before removing children from their parents’ custody. Id. at 486 (“[G]overnment officials may
remove a child from his home without a pre-deprivation hearing and court order if the official
has probable cause to believe that the child is in imminent danger of abuse.”). But that general
rule does not necessarily apply in the parole context, as procedural due process analysis is
“flexible” and must be tailored to the “particular situation.” Mathews, 424 U.S. at 334 (quoting
Morrissey v. Brewer, 408 U.S. 471, 481 (1972)). The parties do not identify any precedent
deciding whether Hernandez applies in the parole context, so the court will undertake that
analysis in the first instance.
The first Mathews factor is “the private interest that will be affected by the official
action.” 424 U.S. at 335. A parent’s liberty interest in familial association with minor children
“is perhaps the oldest of the fundamental liberty interests recognized by the Supreme Court.”
Lee, 950 F.3d at 448 (internal quotation marks and alteration omitted). That long pedigree
reflects the undeniable importance of the liberty interest at stake. See Brokaw, 235 F.3d at 1019
(“[T]he forced separation of parent from child, even for a short time, represents a serious
infringement upon both the parents’ and child’s rights.”) (quoting J.B. v. Washington Cnty., 127
F.3d 919, 925 (10th Cir. 1997)); cf. Lassiter v. Dep’t of Soc. Servs., 452 U.S. 18, 27 (1981)
(noting a parent’s “commanding” interest in the accuracy of a decision terminating parental
rights). Given the importance of that liberty interest, a post-deprivation hearing does not afford a
“completely adequate remedy” for its deprivation. Ellis v. Sheahan, 412 F.3d 754, 758 (7th Cir.
2005). No matter the outcome of a post-deprivation hearing, parolees can never reclaim the time
29
they have been separated from their children during the no-contact period following their release.
The first Mathews factor therefore weighs in favor of pre-deprivation hearings.
The second Mathews factor considers “the risk of an erroneous deprivation of such
interest through the procedures used, and the probable value, if any, of additional or substitute
procedural safeguards.” 424 U.S. at 335. Because the no-contact policy (absent a court order)
imposes a blanket ban on parent-child contact without regard to individual circumstances or
characteristics, there is a significant risk of erroneous deprivation of a parolee’s liberty interest.
Pre-deprivation process affording at least some consideration of the parolee’s circumstances and
yielding some individualized assessment of risk would protect against the erroneous deprivation
of that interest. But the record does not establish with the necessary clarity how accurately predeprivation assessments would predict parolees’ individual risks to their children. As noted,
some evidence indicates that evaluations already conducted before a parolee’s release are likely
to have some probative value in assessing risk, but other evidence indicates that they are an
imperfect substitute for IDOC’s post-release evaluations.
Additionally, it is possible that IDOC could implement “specialized evaluations” that,
according to Brown-Foiles, could enable an evaluator to make a pre-release risk assessment and
render a recommendation. Doc. 193 at ¶ 66. But because Brown-Foiles’s testimony on that
point was very brief, the record does not contain sufficient evidence for the court to determine
the probable value of using such evaluations as a safeguard against erroneous deprivations.
Thus, unresolved factual issues mean that the court cannot yet determine in which direction the
second Mathews factor tilts.
The third Mathews factor, IDOC’s interests, is equally indeterminate. IDOC undoubtedly
has an interest ensuring that parolee-child contact does not pose risks to the child’s health and
30
safety. That interest does not inherently weigh against additional process, for IDOC “shares the
parent’s interest in an accurate and just decision.” Lassiter, 452 U.S. at 27. Still, IDOC’s
interests could be harmed by additional administrative burdens. See id. at 28 (recognizing that
“the State’s pecuniary interest” in avoiding the expense of additional procedural safeguards is
“legitimate”). What the record does not establish with any degree of certainty is the magnitude
of that burden.
The undisputed fact that additional process would impose some burden on IDOC’s
resources does not warrant summary judgment for IDOC because the court must weigh that
burden against the countervailing factors, including the significant liberty interest at stake and
the value of additional process. The record is not sufficiently developed at this juncture for the
court to make that determination. Specifically, IDOC cites no record evidence regarding the
costs of using the information obtained from evaluations conducted before an offender’s release,
whether in terms of staff time or other resources. And while Brown-Foiles testified that the
“specialized evaluations” are “very expensive,” Doc. 205 at ¶ 112, “very” is a relative term.
Brown-Foiles’s testimony therefore does not allow the court to compare the costs of “specialized
evaluations” to the costs of procedures that due process requires for other government-enforced
parent-child separations. See Felce, 974 F.2d at 1500 (comparing the burdens of providing
additional process for involuntarily medicating a parolee to “those required when the state seeks
to medicate an inmate against his will and … must pursue involuntary commitment”).
In sum, disputed issues of fact preclude any holding at this juncture that the Mathews
factors either require or do not require pre-deprivation process. The parties’ cross-motions for
summary judgment therefore are denied as to this aspect of Plaintiffs’ procedural due process
challenge to the no-contact condition.
31
2.
Timeliness of Post-Deprivation Hearings
On the assumption that procedural due process does not require pre-deprivation
determinations, a trial is likewise necessary to determine whether IDOC’s policies are
unconstitutional because of the delays in providing post-deprivation determinations. Due
process requires that post-deprivation determinations be “sufficiently prompt.” Doyle v. Camelot
Care Ctrs., Inc., 305 F.3d 603, 618 (7th Cir. 2002); see also Brokaw, 235 F.3d at 1021 (holding
that when pre-deprivation hearings are not required, post-deprivation review must be “prompt
and fair”). The degree of promptness required is determined by balancing “the importance of the
private interest and the harm to the interest occasioned by the delay; the justification offered by
the Government for the delay and its relation to the underlying governmental interest; and the
likelihood that the interim decision may have been erroneous.” FDIC v. Mallen, 486 U.S. 230,
242 (1988). That balancing test merely “rephrase[s]” the Mathews test for cases alleging an
unconstitutional delay in providing post-deprivation process. DeVito v. Chi. Park Dist., 972 F.2d
851, 855 (7th Cir. 1992).
The first Mathews factor weighs against the 35-day delay because, as discussed above,
even a brief parent-child separation imposes a serious intrusion on a parolee’s interest in familial
association. See Brokaw, 235 F.3d at 1019. If due process permits IDOC to defer
determinations until after a parolee’s release, the parolee will have a significant interest in the
post-release determination occurring as quickly as possible.
As to the second Mathews factor, IDOC offers two principal justifications for the delay in
making initial parent-child contact determinations. First, it contends that therapists need
flexibility to make an individualized assessment about a parolee’s rehabilitation after release,
which necessarily requires some delay between the release and an initial determination.
32
Doc. 192-1 at 38-39. Second, IDOC asserts that limitations on its resources—in particular, its
staff—constrain the speed with which it can process parolees’ requests for child contact and
appeals from denials of those requests. Id. at 40. Those justifications are facially legitimate.
But, again, the record at this juncture does not establish with the requisite level of certainty the
strength of the relationship between these justifications and IDOC’s underlying interests. The
parties do not cite record evidence about how administratively burdensome it would be for IDOC
to make initial determinations in less than 35 days after an offender’s release on MSR given the
information it already collects prior to release.
The third factor, the likelihood of an erroneous interim decision, favors Plaintiffs.
Because the 35-day no-contact period effectively operates as a blanket ban, there is a high
likelihood of making erroneous determinations. That is particularly true because there is no
threshold, pre-deprivation step ensuing that deprivation is “not baseless.” Gilbert v. Homar, 520
U.S. 924, 934 (1997) (explaining that, in the absence of a pre-deprivation hearing, a threshold
step can “provide[] adequate assurance that the [deprivation] is not unjustified”). That said, the
court cannot determine this factor’s relative weight without evidentiary development about the
probative value of pre-deprivation hearings.
Accordingly, the parties’ cross-motions for summary judgment as to this aspect of
Plaintiffs’ procedural due process challenge to the no-contact conditions are also denied.
IV.
Criteria Used to Evaluate Child Contact Requests
As noted, Plaintiffs challenge on substantive due process grounds five specific criteria
that IDOC uses to determine whether and, to what extent, parolees can have contact with their
children. Each challenged criterion is considered in turn.
33
A.
Polygraph Requirement
The first criterion is whether the parolee has taken a polygraph examination. IDOC
policy permits a containment team to deny a request for parent-child contact indefinitely until a
parolee takes a polygraph exam. Doc. 193 at ¶ 32. The policy also gives therapists the
discretion to object or withhold approval for contact until a parolee passes a polygraph. Id. at
¶ 31. Consistent with this policy, the Parolee/Releasee Determination of Request for Contact
with Child(ren) form has a checkbox indicating that one standard reason for denying a parentchild contact request is that the parolee’s “[t]herapist requested polygraph but results are not
available.” Doc. 174-1 at 3. And the safety plan requires parolees to initial a “requirement” that
“[t]he parolee has successfully completed and passed a sexual history OR maintenance
polygraph.” Id. at 5. Despite the seemingly mandatory nature of this “requirement,” Deputy
Chief Dixon testified that a polygraph “could be something that’s not applicable.” Doc. 174-2 at
23 (87:5-8).
The record includes testimony from therapists indicating that they view polygraphs as
valuable tools for their clinical practice. As noted, Dr. Harris and Dr. Blain testified that they
believe polygraphs provide useful information about whether a parolee’s offense history
disclosures have been truthful and complete. Doc. 205 at ¶¶ 44, 86-87, 91-92, 96. IDOC cites
that testimony in arguing that the use of polygraphs is reasonably related to a therapist’s decision
whether to recommend parent-child contact. Doc. 192-1 at 27. Plaintiffs respond that the
therapists’ testimony about the utility and reliability of polygraphs should be stricken as expert
opinion because IDOC did not disclose Drs. Harris and Blain as experts under Civil
Rule 26(a)(2). Doc. 205 at ¶¶ 86-87, 93-94.
Assuming that Drs. Harris and Blain conveyed expert opinion regarding polygraphs,
IDOC’s failure to make the proper disclosures is harmless. See Fed. R. Civ. P. 37(c)(1) (“If a
34
party fails to provide information or identify a witness as required by Rule 26(a) or (e), the party
is not allowed to use that information or witness to supply evidence on a motion … unless the
failure was substantially justified or is harmless.”). As IDOC observes, Doc. 217 at 8-9,
Plaintiffs subpoenaed Drs. Harris and Blain for deposition and asked them questions about the
use of polygraphs, and the testimony Plaintiffs now seek to strike was offered in response to
those questions. Because Plaintiffs solicited the therapists’ testimony and knew its substance,
they can hardly complain or feign surprise that IDOC seeks to rely on that testimony. Any
failure of disclosure was therefore harmless. See Commonwealth Ins. Co. v. Titan Tire Corp.,
398 F.3d 879, 888 (7th Cir. 2004) (affirming the district court’s harmlessness finding where the
party seeking to exclude an expert’s opinion participated in the expert’s deposition and knew of
the opposing party’s intent to rely on that opinion).
Moreover, even setting aside the therapists’ testimony, there remains undisputed evidence
in the record to support IDOC’s use of the polygraph criterion. Brown-Foiles testified that “[n]ot
every treatment provider uses polygraphs, but … it is a part of best practice that polygraphs
really do benefit the treatment provider and the client.” Doc. 174-7 at 18 (66:20-23). Under the
Turner standard, Brown-Foiles’s testimony on this matter of professional judgment is sufficient
to articulate the legitimate governmental interest in requiring polygraphs, as it “provide[s] some
evidence supporting [IDOC’s] concern.” Riker, 798 F.3d at 553. Accordingly, the burden shifts
to Plaintiffs to provide sufficient evidence disproving the validity of the requirement. See Beard,
548 U.S. at 530 (“Unless a prisoner can point to sufficient evidence regarding such issues of
[professional] judgment to allow him to prevail on the merits, he cannot prevail at the summary
judgment stage.”).
35
In attempting to meet their burden, Plaintiffs cite only a district court decision, United
States v. Moultrie, 552 F. Supp. 2d 598, 601-02 (N.D. Miss. 2008), holding that the results of
certain polygraph examinations were insufficiently reliable to be admitted in a criminal trial
under Evidence Rule 702. Doc. 205 at ¶¶ 86-87, 93-94. In reaching its conclusion, the district
court relied heavily on a finding by the National Academy of Sciences that the accuracy of
polygraphs “may be highly variable.” Moultrie, 552 F. Supp. 2d at 601 (quoting Comm. to
Review the Sci. Evid. on the Polygraph, Nat’l Rsch. Council, The Polygraph and Lie Detection
214 (2003)). Even accepting Moultrie as correct, the “circumstance” addressed there, “as written
about in [a] court opinion[], cannot provide sufficient support” for Plaintiffs’ position in this
case. Beard, 548 U.S. at 534 (holding that a prisoner did not meet his burden in opposing
summary judgment by citing court opinions generally suggesting that a less restrictive prison
policy would promote rehabilitation). Moultrie did not address the relevant context here—the
use of polygraph examinations as part of therapy for parolees convicted of sex offenses. See
ibid. (noting that judicial opinions are particularly inapt when they “were not considering
contexts” analogous to the context in question). Plaintiffs therefore fail to raise a genuine
dispute of material fact as to the validity, as a general matter, of IDOC’s polygraph requirement.
IDOC is not entitled to summary judgment, however, due to questions arising from
Plaintiff’s submission that the polygraph requirement violates substantive due process because
some parolees “can’t afford to take[] a polygraph examination.” Doc. 171 at 53. A therapist
may withhold support for parent-child contact because a parolee cannot afford a polygraph exam.
Doc. 193 at ¶ 49. Yet IDOC does not articulate a legitimate governmental interest in denying
parolees’ contact with their children based on inability to pay for a polygraph. Deputy Chief
Dixon testified that a therapist’s decision on whether to withhold support for parent-child contact
36
due to a parolee’s inability to pay was “up to the therapist.” Doc. 174-2 at 42 (163:5-13). That
explanation fails to establish a logical connection between a parolee’s ability to pay for a
polygraph and IDOC’s penological interests. Accordingly, Plaintiffs’ substantive due process
challenge to the polygraph criterion will proceed to trial so that the parties may develop an
evidentiary basis for determining whether IDOC’s penological interests are rationally related to
the requirement that parolees pay for their own polygraphs without regard to their financial
resources.
B.
Insufficient Duration of Therapy
The second contested criterion is insufficient duration of therapy. Under IDOC policy, a
therapist can decline indefinitely to make a recommendation regarding parent-child contact.
Doc. 193 at ¶ 30. Deputy Chief Dixon testified that if a therapist does not feel comfortable
making a recommendation because of a parolee’s insufficient time in therapy, “the therapist will
also list reasons” for that discomfort. Doc. 174-2 at 28 (107:9-11).
Construing the record in the light most favorable to Plaintiffs, there is evidence in the
record that this criterion is arbitrary and therefore not reasonably related to IDOC’s interests.
See Turner, 482 U.S. at 89-90 (“[A] regulation cannot be sustained where the logical connection
between the regulation and the asserted goal is so remote as to render the policy arbitrary or
irrational.”). Specifically, the record can support an inference that the required duration of
therapy varies based on the therapist’s proclivities and practices, not on the parolee’s history and
circumstances. Dr. Harris testified that she “‘would need to sit with [the parolee] for at least a
year’ … if asked to make a recommendation about whether the person should have contact with
their children.” Doc. 205 at ¶ 41 (emphasis added). By contrast, Dr. Grosskopf testified that
“the average time for her to recommend contact with a child is two to three weeks, four weeks
max, and that depends on … availability … . The longest period of time to recommend contact
37
with a child might have been two months in those cases where she rendered recommendations in
the last year.” Id. at ¶ 69 (emphasis added). Drawing reasonable inferences in Plaintiffs’ favor,
a typical parolee seen by Dr. Grosskopf will have a decision in about a month, while the same
parolee would have to wait at least a year if seen by Dr. Harris. There may be some justification
for this disparity—for example, Dr. Harris may see parolees with different characteristics than
those seen by Dr. Grosskopf—but no such justification is apparent on the record. Doc. 174-6 at
5 (17:10-11) (Dr. Grosskopf’s testimony that parolees’ referrals to therapists are based on “where
they live”). Consequently, a reasonable factfinder could find that parolees with similar
characteristics, including recidivism risk and progress in rehabilitation, will be treated far
differently for no apparent reason. IDOC therefore is not entitled to summary judgment on the
insufficient duration of therapy criterion.
Nor are Plaintiffs entitled to summary judgment on this criterion. IDOC provides
parolees with referrals to therapy, Doc. 205 at ¶ 14, but parolees may select their own therapist,
id. at ¶ 22. Drawing reasonable inferences in IDOC’s favor, any variance in the length of time
necessary to secure a positive recommendation is not attributable to IDOC, but instead reflects a
difference of professional judgment among therapists that the parolees themselves choose. If
that is correct, then the duration of therapy criterion is not arbitrary and therefore satisfies the
Turner standard.
C.
Denial of Guilt
The third challenged criterion arises from a condition in the form safety plan that “the
guardian of the child and the approved supervisor [of an in-person visit] may not ‘deny, refute, or
enable the offender to deny or refute any details of his/her conviction.’” Doc. 193 at ¶ 12
(quoting Doc. 174-1 at 5). Deputy Chief Dixon testified that this condition is intended to ensure
the impartiality of the chaperone supervising the parolee’s contacts: “If the chaperone is an
38
enabler, then the chaperone could potentially allow something harmful to the minor to happen
during the visit. If the chaperone believed that the offender did do it, then there’s animosity
there[,] which creates a bad environment for the visit.” Doc. 174-2 at 29 (112:23-113:4). The
record therefore shows that the denial of guilt criterion operates as a limitation on what the
child’s guardian or the chaperone of an in-person visit may do and say, not on whether the
parolee may maintain his or her innocence in other settings.
Plaintiffs do not contest the legitimacy of IDOC’s requirement that parolee-child visits be
supervised. Doc. 171 at 71 (“Where necessary, contact can be … subject to close supervision.”).
And Plaintiffs adduce no evidence disputing the relationship between IDOC’s justification for
the denial of guilt criterion and its valid goals. IDOC therefore is entitled to summary judgment
as to that criterion.
To be clear, this criterion does not categorically prevent parolees themselves from
asserting their innocence in an appropriate setting. A parolee’s denial of guilt is only “a factor of
the entire situation, the entire case,” for the containment team to consider, not a dispositive factor
that automatically requires denial of a parolee’s request for contact with their children.
Doc. 174-2 at 30 (113:12-114:16). Plaintiffs do not challenge that aspect of IDOC’s policy;
instead, they focus only on the denial of guilt condition set forth in the safety plan. Doc. 171 at
45. The court therefore will not consider arguments that Plaintiffs might have advanced to
challenge the containment team’s consideration of a parolee’s denial of guilt as a non-dispositive
factor in deciding whether to allow parent-child contact.
D.
Noncompliance with Parole Conditions
The fourth challenged criterion is whether the parolees have complied with their MSR
conditions. Doc. 205 at ¶ 12. Although the parties’ briefs do not discuss this criterion with any
specificity, Docs. 172, 192-1, 204, 217, there is an indisputably logical relationship between a
39
parolee’s compliance with parole conditions and IDOC’s interest in the parolee’s rehabilitation.
See Overton, 539 U.S. at 133 (recognizing the “self-evident” connection between a regulation
prohibiting prison visitation by former inmates and a state’s interest in prison security).
The strength of the relationship between this criterion and IDOC’s penological interest is
not clear, however. Deputy Chief Dixon’s testimony establishes only that the containment team
“should” consider “the parolee’s compliance with the conditions of their parole.” Doc. 174-2 at
24 (92:20-23). That brief description does not allow the court to find as a matter of law that this
criterion necessarily bears a reasonable relationship to the decision whether to allow parent-child
contact. For example, there may be some relatively trivial parole violations that, even under the
deferential Turner standard, would not warrant automatic denial of a request for parent-child
contact. Given this gap in the record, “there is reason to believe the better course would be to
proceed to a full trial” as to the parole non-compliance criterion. Anderson v. Liberty Lobby,
Inc., 477 U.S. 242, 255 (1986).
E.
Unreliable Attendance at Therapy
The fifth challenged criterion is “unreliable attendance at therapy.” Doc. 166 at 26. In
their briefs, Plaintiffs reframe this criterion as “[t]he parolee’s ‘participation in therapy’ and
‘engagement’ in therapy.” Doc. 171 at 53. This framing is consistent with Deputy Chief
Dixon’s explanation of how containment teams use that criterion. Doc. 174-2 at 24 (92:24-93:2).
There is an obvious logical connection between a parolee’s consistency in attending and
participating in therapy, on one hand, and IDOC’s rehabilitation goals, on the other. Undisputed
record evidence confirms that connection. Doc. 205 at ¶ 68 (Dr. Grosskopf’s testimony that she
considers “participation in therapy” as a relevant factor in deciding whether to recommend
parent-child contact); Doc. 174-3 at 7 (22:8-12) (Dr. Harris’s testimony that persons “progress
through therapy” by “attend[ing] regularly” and being “consistent”); id. at 13 (48:13-20) (Dr.
40
Harris’s testimony that attendance and participation at therapy “would give [her] the opportunity
to learn about that client”); Doc. 174-4 at 8-9 (29:18-30:1) (Dr. Blain’s testimony that a parolee
would need to be “attending[,] … on time[,] … working on assignments[,] … [and] contributing
to the group” to be in good standing in therapy). Plaintiffs adduce no evidence undermining the
reasonable relationship between this criterion and IDOC’s rehabilitation goals. IDOC is
therefore entitled to summary judgment as to this criterion.
V.
Neutral Decisionmaker
Finally, Plaintiffs claim that the lack of a neutral decisionmaker in IDOC’s procedures for
implementing its parent-child contact policy violates procedural due process. The Mathews test
governs whether due process requires a neutral decisionmaker. See Felce, 974 F.2d at 1496. In
Felce, the Seventh Circuit held that a grievance procedure used by the Wisconsin Department of
Corrections to review decisions by parole agents to involuntarily medicate a parolee with
psychotropic drugs violated procedural due process. See id. at 1500. The court held that
Wisconsin’s procedure—which included “heavy emphasis upon the judgment of the individual
parole agent,” ibid.—“was insufficiently neutral and independent to guard against an erroneous
determination,” id. at 1498, because it lacked any “provision for review by persons not currently
involved in [the parolee’s] diagnoses or treatment,” id. at 1499. The IDOC procedures
challenged by Plaintiffs share many of the same features as those invalidated in Felce.
First, as in Felce, there is a “significant” liberty interest at stake. Id. at 1497. As noted,
Plaintiffs have a liberty interest in enjoying the companionship of their children. See Lee, 950
F.3d at 448; Easterling, 880 F.3d at 322. That liberty interest is at least as significant as the
liberty interest in Felce. “[A] parent’s desire for and right to the companionship … of his or her
children is an important interest that undeniably warrants deference and, absent a powerful
41
countervailing interest, protection.” Lassiter, 452 U.S. at 27 (internal quotation marks omitted).
The first Mathews factor weighs heavily in favor of Plaintiffs.
Second, the lack of an independent decisionmaker creates a significant risk of an
erroneous deprivation of Plaintiffs’ interests and increases the probable value of additional or
substitute procedural safeguards. IDOC’s procedures do not require an independent
decisionmaker. As noted, a parolee’s “containment team … has the authority to decide whether
a parolee should have contact with his or her minor child.” Doc. 205 at ¶ 9. The team “consists
of the parole agent, parole commander, sex offender therapist, any other therapist the offender
might be seeing, and the parolee.” Ibid. Those individuals are all “currently involved in [the
parolee’s] diagnoses or treatment,” and therefore do not qualify as independent decisionmakers.
Felce, 974 F.2d at 1499.
Moreover, IDOC’s appeal process does not provide for independent review of the
containment team’s decision. Appeals are decided by either the Deputy Chief of Parole or the
Deputy Chief’s designee (currently Brown-Foiles in her capacity as the coordinator for sex
offender services). Doc. 193 at ¶ 44. As the position’s title suggests, the Deputy Chief of Parole
“supervise[s] … parole officers.” Doc. 174-2 at 3 (6:16-17). Deputy Chief Dixon is therefore
similarly situated to the reviewing officials in Felce, who were held to be insufficiently
independent because they “formed a direct line of supervisors above [the parole agent] and thus
had individual interests in supporting his decision.” 974 F.2d at 1499. The possibility of appeal
to Deputy Chief Dixon therefore does not cure the lack of an independent decisionmaker.
IDOC contends that Brown-Foiles is independent because she “is not directly involved in
the [parolee’s] supervision or in the chain of command.” Doc. 193 at ¶ 45. Brown-Foiles,
however, testified that some therapists employed by IDOC report directly to her, and that she
42
“provide[s] oversight and some supervision” even for therapists who are not “technically” her
direct reports. Doc. 174-7 at 4 (11:11-12:2). Brown-Foiles further testified that she “play[s] a
supervision role to the therapists, to the structure of the treatment groups,” id. at 7 (22:4-6), and
that she “coordinate[s] trainings for parole agents and therapists,” including “community
therapists” not employed by IDOC, id. at 4 (10:9-10, 11:3-4). Given her various roles,
Brown-Foiles has an individual interest akin to Dixon’s in supporting the therapists’
recommendations, as those recommendations are likely to be informed by her supervision or
training. As a result, Brown-Foiles does not qualify as an independent decisionmaker in the
administrative appeals process. See Felce, 974 F.2d at 1499 (explaining that supervisors have an
interest in upholding their subordinates’ decisions).
Perhaps recognizing this problem, IDOC contends that procedural due process “does not
require an independent decisionmaker.” Doc. 192-1 at 44. But governing precedent holds that
the decisionmaker’s independence is an important aspect of procedural due process. As the
Seventh Circuit explained, although “a decisionmaker need not be external to an institution to be
independent,” some degree of independence “provides a significant added dimension of
procedural protection to the liberty interest at stake.” Felce, 974 F.2d at 1499-1500. The second
Mathews factor therefore weighs against the personnel that IDOC has assigned to make and
review parent-child contact decisions.
Third, it is beyond dispute that IDOC has a substantial interest in the protection of
children and the rehabilitation of parolees. Still, Felce recognizes that the assertion of legitimate
interests in protecting the public and rehabilitating parolees, without more, cannot overcome the
countervailing factors that favor a neutral decisionmaker. See id. at 1500 (holding that, on
balance, “the involvement of an independent decisionmaker would benefit significantly the
43
protection of the liberty interest at stake without a significant burden upon either the resources of
the state or the substantial interests that the state has in protecting the public and rehabilitating its
parolees”). To overcome those countervailing factors, IDOC must establish the “fiscal and
administrative burdens” of additional or substitute procedures. Ibid. On the current record,
evidence regarding those burdens is inconclusive at best. Doc. 192-1 at 43-46; Doc. 217 at 29.
Given the state of the summary judgment record, the court cannot determine whether
IDOC’s interests outweigh the factors favoring Plaintiffs. The parties’ cross-motions for
summary judgment are therefore denied as to Plaintiffs’ procedural due process challenge to the
personnel who make and review parent-child contact decisions. At trial, the parties may develop
the evidentiary record regarding the fiscal or administrative burdens of adding or substituting a
neutral decisionmaker at some point in the process.
Conclusion
Plaintiffs’ summary judgment motion is denied. IDOC’s summary judgment motion is
granted as to the requirements (1) that chaperones and guardians do not deny or refute, or allow
parolees to deny or refute, the details of their convictions and (2) that parolees regularly attend
therapy. IDOC’s motion is otherwise denied. This case will proceed to a bench trial on the
surviving class claims.
September 30, 2021
_________________________________
United States District Judge
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