VANWINKLE et al v. NICHOLS et al
Filing
57
ORDER. Dr. Demetris is shielded from liability for most of the actions Plaintiffs allege form the basis of their § 1983 conspiracy claim based on the absolute privileges of judicial immunity and witness immunity. Additionally, the remaining a ctions Plaintiffs allege Dr. Demetris undertook do not form a sufficient basis for a viable § 1983 conspiracy claim. Accordingly, the Court GRANTS Dr. Demetris' Motion to Dismiss, [Filing No. 43], and the Clerk is directed to TERMINATE D r. Demetris from the lawsuit. No partial judgment shall issue at this time. As dis-cussed above, the Court also GRANTS Dr. Demetris' Motion to Strike. [Filing No. 54.] The Court requests that the Magistrate Judge confer with the remaining parties to establish a schedule for bringing Plaintiffs' remaining claims to conclusion. SEE ORDER. Signed by Judge Jane Magnus-Stinson on 12/18/2015. (BGT)
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF INDIANA
INDIANAPOLIS DIVISION
STACEY VANWINKLE, individually and on
behalf of MV and AV, minor children, and
DEREK VANWINKLE, individually and on behalf of MV and AV, minor children,
Plaintiffs,
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vs.
SEANNA NICHOLS, MONIQUE MILLER, PEGGY
SURBEY, MARI BRYAN MCGENEY, AND
CORTNEY DEMETRIS, M.D.,
Defendants.
1:15-cv-01082-JMS-MJD
ORDER
Presently pending before the Court are Defendant Cortney Demetris, M.D.’s Motion to
Dismiss Plaintiffs’ Amended Complaint, [Filing No. 43], and Dr. Demetris’ Motion to Strike Exhibits Attached to Plaintiffs’ Response to Defendant Cortney Demetris, M.D.’s Motion to Dismiss
Plaintiffs’ Amended Complaint, [Filing No. 54].
I.
STANDARD OF REVIEW
Federal Rule of Civil Procedure 8(a)(2) “requires only ‘a short and plain statement of the
claim showing that the pleader is entitled to relief.’” Erickson v. Pardus, 551 U.S. 89, 93, 127
S.Ct. 2197, 167 L.Ed.2d 1081 (2007) (quoting Fed. R. Civ. P. 8(a)(2)). “Specific facts are not
necessary, the statement need only ‘give the defendant fair notice of what the…claim is and the
grounds upon which it rests.’” Erickson, 551 U.S. at 93 (quoting Bell Atlantic v. Twombly, 550
U.S. 544, 555, 127 S.Ct. 1955, 167 L.Ed.2d 929 (2007)).
A Rule 12(b)(6) motion to dismiss asks whether the complaint “contain[s] sufficient factual
matter, accepted as true, to ‘state a claim to relief that is plausible on its face.’” Ashcroft v. Iqbal,
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556 U.S. 662, 678, 129 S.Ct. 1937, 173 L.Ed.2d 868 (2009) (quoting Twombly, 550 U.S. at 570).
In reviewing the sufficiency of the complaint, the Court must accept all well-pled facts as true and
draw all permissible inferences in favor of the plaintiff. See Active Disposal, Inc. v. City of Darien,
635 F.3d 883, 886 (7th Cir. 2011). The Court will not accept legal conclusions or conclusory
allegations as sufficient to state a claim for relief. See McCauley v. City of Chicago, 671 F.3d 611,
617 (7th Cir. 2011). Factual allegations must plausibly state an entitlement to relief “to a degree
that rises above the speculative level.” Munson v. Gaetz, 673 F.3d 630, 633 (7th Cir. 2012). This
plausibility determination is “a context-specific task that requires the reviewing court to draw on
its judicial experience and common sense.” Id.
II.
BACKGROUND
The factual allegations in Plaintiffs’ Amended Complaint, which the Court must accept as
true, are as follows:
A. AV’s Medical Issues
Plaintiffs Stacey and Derek VanWinkle 1 are married and have two daughters: MV, who is
sixteen years old, and AV, who is fourteen years old. [Filing No. 37 at 1-2.] Stacey is a registered
nurse, and Derek is a stay-at-home father. [Filing No. 37 at 1.] Shortly after AV was born, she
exhibited hypotonia, or floppy baby syndrome, and had difficulty keeping down food and baby
formula. [Filing No. 37 at 6.] Dr. Susan Maisel, a gastroenterologist, began treating AV for her
vomiting issues, and treated AV for over ten years. [Filing No. 37 at 7.] AV’s vomiting often
1
For clarity, the Court will refer to Ms. VanWinkle as “Stacey” and Mr. VanWinkle as “Derek.”
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interfered with her ability to attend school, and her excessive vomiting and nausea have been witnessed by her parents, MV, her grandparents, her teachers, school employees, and her home
healthcare nurses. [Filing No. 37 at 7.]
AV has also had myopathy, or muscle weakness, throughout her life, which makes it difficult for AV to accomplish certain daily tasks and causes fatigue and low energy levels. [Filing
No. 37 at 7.] She has been diagnosed with a “neuromuscular disease,” and possibly a mitochondrial disorder. [Filing No. 37 at 7.]
B. AV’s June 2013 Hospital Admission
In May 2013, Dr. Maisel contacted Dr. Demetris, who was a doctor at Peyton Manning
Children’s Hospital at St. Vincent in Indianapolis, to voice her concern that AV’s gastrointestinal
symptoms were being exaggerated by Stacey. [Filing No. 37 at 3; Filing No. 37 at 8.] AV was
admitted to St. Vincent from June 10 through June 12, 2013 for observation related to her gastrointestinal symptoms and, during that stay, Dr. Demetris placed AV under covert video surveillance
and concluded that AV’s symptoms were not consistent with the gastrointestinal complaints and
symptoms Stacey had reported. [Filing No. 37 at 9.] Dr. Demetris reported her observations
regarding Stacey’s reports and AV’s symptoms to the Marion County Office of the Indiana Department of Child Services (“DCS”) on June 12, 2013. [Filing No. 37 at 9.] Before submitting
her observations to DCS, Dr. Demetris did not review the medical records from AV’s treating
physicians, interview Stacey or Derek, or speak with anyone who had observed AV outside of a
clinical setting. [Filing No. 37 at 11.] Dr. Demetris did not mention Derek in her report. [Filing
No. 37 at 9.]
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C. DCS Removes AV and MV From the VanWinkle’s Home
On June 17, 2013, Dr. Demetris, various DCS personnel, and an Indianapolis Metropolitan
Police Department representative attended a “care conference.” [Filing No. 37 at 4.] After discussing the situation, DCS officials added Derek to the report and, without obtaining a court order,
DCS officials removed AV and MV from the VanWinkle’s home on June 17, 2013. [Filing No.
37 at 9.] DCS placed MV with a foster family, and took AV to St. Vincent. [Filing No. 37 at 9.]
Prior to the removal of AV and MV, neither Stacey nor Derek had ever been questioned or confronted regarding over-reporting of AV’s symptoms. [Filing No. 37 at 10.]
D. The Administrative Process
On July 10, 2013, AV and MV were ordered returned to the physical custody of Stacey
and Derek. [Filing No. 37 at 4.] A Child Care Worker Assessment Review (“CCWAR”) was
initiated against Stacey on August 12, 2013, because she worked in the child care field. [Filing
No. 37 at 5.] During the CCWAR, DCS substantiated the allegations of neglect against both Stacey
and Derek. [Filing No. 37 at 5.] On September 4, 2013, Stacey and Derek sought administrative
review of DCS’s substantiations, but their appeal was stayed pending resolution of a Child in Need
of Services (“CHINS”) proceeding that had been initiated when DCS removed AV and MV from
the VanWinkle’s home. [Filing No. 37 at 5.]
On October 8, 2013, DCS voluntarily dismissed the CHINS proceeding and reactivated the
VanWinkle’s administrative appeal of the neglect substantiation on October 21, 2013. [Filing No.
37 at 5.] Due to a procedural defect in the initial CCWAR, a second CCWAR took place on
November 21, 2013, and DCS re-substantiated the neglect determination against Stacey with respect to both MV and AV. [Filing No. 37 at 5.] Stacey and Derek sought administrative review
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of the substantiations on December 5, 2013. [Filing No. 37 at 5.] After a hearing before an Administrative Law Judge (“ALJ”), the ALJ held on January 31, 2014 that the allegations of neglect
against Stacey with respect to MV were unsubstantiated, but that the allegations of neglect with
respect to AV were substantiated. [Filing No. 37 at 6.] The ALJ issued a nearly identical decision
with respect to Derek on February 7, 2014, finding that allegations of neglect were substantiated
as to AV, but not as to MV. [Filing No. 37 at 6.]
On March 4, 2014, Stacey and Derek sought judicial review of the ALJ’s decisions, and
the Marion Superior Court reversed both of the ALJ’s decisions, finding that the ALJ orders constituted an abuse of discretion, and ordering DCS to “provide notice to any entities to which DCS
previously gave notice of the substantiation of neglect as to Stacey and Derek, that the determination of child neglect as to both Stacey and Derek ha[d] been unsubstantiated.” [Filing No. 37 at
6.]
E. The Lawsuit
On June 8, 2015, Stacey and Derek filed a lawsuit in Marion Superior Court against Dr.
Demetris and several DCS officials (the “DCS Defendants”), asserting a claim for violations of 42
U.S.C. § 1983 against all Defendants, and a claim for medical negligence against Dr. Demetris.
[Filing No. 3-1 at 44-48.] The DCS Defendants removed the case to this Court on July 10, 2015,
[Filing No. 3], and Dr. Demetris moved to dismiss the Complaint for failure to state a claim under
Fed. R. Civ. P. 12(b)(6), [Filing No. 22]. Stacey and Derek sought leave to amend their Complaint
in lieu of responding to Dr. Demetris’ Motion to Dismiss, in order to: “(1) eliminate the medical
negligence claim [against Dr. Demetris] (without prejudice to Plaintiffs’ right to re-assert the claim
after submission to a medical review panel under the Indiana Medical Malpractice Act) and (2) to
clarify that Plaintiffs assert a Section 1983 conspiracy claim against the defendants.” [Filing No.
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29 at 2-3.] The Court granted Stacey and Derek’s Motion to Amend, [Filing No. 36], and they
filed the operative Amended Complaint on October 7, 2015, [Filing No. 37].
In the Amended Complaint, Stacey and Derek, individually and on behalf of MV and AV,
assert a claim for violations of 42 U.S.C. § 1983 against all Defendants. [Filing No. 37 at 12-14.]
Additionally, Stacey and Derek allege that Dr. Demetris: (1) placed AV under covert video surveillance; (2) reported her concerns regarding AV to DCS; (3) did so without reviewing AV’s
medical records, interviewing Stacey or Derek, or speaking with anyone who had observed AV
outside a clinical setting; and (4) participated in a “care conference” immediately preceding AV’s
removal from the VanWinkle home. [Filing No. 37 at 4-11.] Stacey and Derek refer to all of the
Defendants, including Dr. Demetris, as “the DCS Team,” and assert numerous allegations collectively against the DCS Team, including that:
·
The DCS Team, both individually and through participation in a conspiracy,
violated the VanWinkle’s civil rights by “accusing Stacey and Derek and detaining AV and MV, [and acting] without rational basis and recklessly and/or
knowingly violated clearly established laws and legal standards, including the
Fourth Amendment right to freedom from unreasonable search and seizure and
the Fourteenth Amendment right to substantive and procedural due process”;
·
The DCS Team “further violated provisions of the federal statutes that are unambiguous, intended to protect families and children, and mandatory, as well
as the state laws and manuals that implement the federal requirements and provide a presumptively constitutional plan that balances the need to protect abused
or neglected children against the constitutional rights of families….In this case,
the defendants ignored and rejected virtually all aspects of the regulatory
scheme, resulting in illegal detention, harassment, retaliation, and a private right
of action under 42 U.S.C. § 1983”;
·
The DCS Team “seized AV and MV in violation of the Fourth Amendment and
conspired to violate their Fourth Amendment rights. The DCS Team acted unreasonably in seizing AV and MV without probable cause or a court order. The
DCS Team also had less intrusive means of interference (other than seizure)
available to them, but chose to seize AV and MV even though their physical or
mental condition would not be seriously impaired or endangered if they were
not immediately taken into custody”;
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·
The DCS Team “violated the VanWinkle family’s substantive due process
rights and conspired to violate those rights. Although there was no imminent
‘unnecessary’ medical treatment for AV, the DCS defendants unnecessarily intruded upon the VanWinkle family’s right to familial relations”; and
·
The DCS Team “violated the VanWinkle family’s procedural due process rights
and conspired to violate those rights. It was unreasonable to remove AV and
MV from their home because neither was in immediate physical danger, and
there was no pre-removal hearing or court order.”
[Filing No. 37 at 13-14 (emphasis omitted).]
Dr. Demetris filed the pending Motion to Dismiss on October 21, 2015, [Filing No. 43],
and it is now ripe for decision.
III.
DISCUSSION
Dr. Demetris asserts three principle arguments in support of her Motion to Dismiss: (1)
that the Court does not have subject matter jurisdiction over Plaintiffs’ lawsuit because their §
1983 claim is “simply a rebranded recitation of Plaintiffs’ medical negligence claim against Dr.
Demetris”; (2) that Plaintiffs have failed to state a viable § 1983 claim for numerous reasons; and
(3) that Plaintiffs’ § 1983 claim against Dr. Demetris is barred by state and federal immunity statutes and common law principles of immunity, and that allowing Plaintiffs to circumvent those
statutes and principles would “have a chilling effect on professionals that are obligated to report
suspected child abuse.” [Filing No. 44.] The Court will address each argument in turn, but at the
outset addresses the contours of Plaintiffs’ claims against Dr. Demetris and Dr. Demetris’ Motion
to Strike, since resolution of those issues will frame the Court’s discussion of the Motion to Dismiss.
A. Contours of Plaintiffs’ Claims
Plaintiffs allege that Defendants “violated the family’s civil rights individually and through
their participation in a conspiracy to achieve this end, with all actions taken under color of state
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law.” [Filing No. 37 at 13.] While this allegation may indicate that Plaintiffs are asserting both
an individual § 1983 claim and a § 1983 conspiracy claim against each Defendant, including Dr.
Demetris, this does not appear to be so for several reasons. First, Dr. Demetris moved to dismiss
Plaintiffs’ original Complaint on August 28, 2015, arguing among other things that the Complaint
did not sufficiently allege that she was a state actor or acted under color of state law. [Filing No.
23 at 6-7.] Though Plaintiffs amended their original Complaint, making Dr. Demetris’ first motion
to dismiss moot, the Amended Complaint contained the same state actor allegations regarding Dr.
Demetris as the original complaint. [Cf. Filing No. 3-1 at 35-36 and Filing No. 37 at 3.] And
though Dr. Demetris specifically incorporated the arguments from her first motion to dismiss in
the pending motion, [Filing No. 44 at 5], Plaintiffs did not respond to any of her arguments regarding their failure to adequately allege that she was a state actor or acted under color of state law.
Additionally, Plaintiffs refer only to a § 1983 conspiracy claim in their response to the
pending Motion to Dismiss, characterizing their § 1983 claim against Dr. Demetris as a “claim,”
rather than “claims,” and discussing only a conspiracy under § 1983, rather than an individual
violation. [See, e.g., Filing No. 48 at 2 (Plaintiffs stating that “[a]s Dr. Demetris admits, the claim
asserted in the amended complaint is a Section 1983 claim”); Filing No. 48 at 7 (Plaintiffs arguing
that they “have sufficiently alleged facts supporting a reasonable inference that a conspiracy existed between Dr. Demetris and the state actors to deprive Plaintiffs of their constitutional rights,
and that the defendants jointly acted in furtherance of this conspiracy by reporting false neglect
charges to DCS and setting into motion the removal of the children”).]
Because Plaintiffs do not address Dr. Demetris’ arguments regarding whether they have
adequately alleged that she was a state actor or acted under color of state law – a necessary element
of a direct § 1983 claim against her – and since Plaintiffs themselves characterize their allegations
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against Dr. Demetris as involving one claim for § 1983 conspiracy, the Court will construe Plaintiffs’ allegations as only alleging a § 1983 conspiracy claim against a non-state actor. See Greenlaw v. United States, 554 U.S. 237, 243-44, 128 S.Ct. 2559, 171 L.Ed.2d 399 (2008) (“[W]e rely
on the parties to frame the issues for decision and assign to courts the role of neutral arbiter of
matters the parties present….Our adversary system is designed around the premise that the parties
know what is best for them, and are responsible for advancing the facts and arguments entitling
them to relief”) (quotation omitted). It is within those contours that the Court undertakes its analysis.
B. Motion to Strike
In her Motion to Strike, Dr. Demetris argues that the exhibits Plaintiffs attached to their
response in opposition to the Motion to Dismiss should be stricken because the Motion to Dismiss
is based on Fed. R. Civ. P. 12(b)(6) so no outside evidence is appropriate or necessary. [Filing
No. 54 at 2.] The exhibits include: (1) the Marion Superior Court’s Findings of Fact and Conclusions of Law from Plaintiffs’ appeal of the ALJ’s January 31, 2014 and February 7, 2014 decisions,
[Filing No. 48-1]; (2) Dr. Demetris’ Pediatric Hospitalist Progress Note from June 12, 2013, [Filing No. 48-2]; (3) an Assessment of Alleged Child Abuse or Neglect Form, completed by a DCS
representative, [Filing No. 48-3]; and (4) excerpts from the deposition of Dr. Demetris that was
taken in connection with the Marion County Superior Court lawsuit, [Filing No. 48-4]. Dr. Demetris also argues that the exhibits are improper evidence – specifically, that the Findings of Fact
and Conclusions of Law from the Marion Superior Court are not “applicable, admissible, or binding with respect to her conduct as alleged in Plaintiffs’ Amended Complaint”; that the Pediatric
Hospitalist Progress Note is not authenticated or certified; that the Assessment of Alleged Child
Abuse or Neglect Form is unsworn and is neither authenticated nor certified; and that the excerpts
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from Dr. Demetris’ deposition do not fall within the parameters of Fed. R. Civ. P. 32(A)(8), which
proscribes certain situations where a deposition taken in an earlier action is admissible in a later
action. [Filing No. 54 at 2-3.]
In response, Plaintiffs argue that they are permitted to submit evidence in opposition to a
motion to dismiss for lack of subject matter jurisdiction, and that “Dr. Demetris’s ‘subject matter
jurisdiction’ argument is bootstrapped from her argument that the complaint fails to state a claim.”
[Filing No. 55 at 2.] Plaintiffs also contend that they can submit evidence in response to a motion
to dismiss brought under Fed. R. Civ. P. 12(b)(6), and that such evidence is not required to be
admissible. [Filing No. 55 at 3-4.]
Dr. Demetris’ Motion to Strike has merit for two reasons. First, Plaintiffs argue that “[o]n
a motion to dismiss for lack of subject matter jurisdiction under Rule 12(b)(1), it is well settled
that the Court may appropriately consider evidence beyond the complaint.” [Filing No. 55 at 2.]
But Plaintiffs rely upon the exhibits they attach to their response brief to support their argument
that they have adequately alleged a § 1983 conspiracy claim under Fed. R. Civ. P. 12(b)(6). [See,
e.g., Filing No. 48 at 2-6 (discussing DCS’ and Dr. Demetris’ actions as reflected in the exhibits,
and then arguing that “[t]he allegations in the VanWinkle’s complaint plausibly suggest that they
are entitled to relief against Dr. Demetris under Section 1983, and therefore their complaint has
met the pleading standard under Twombly”).] Although Dr. Demetris discussed her subject-matter
jurisdiction and adequacy of pleading arguments in the same section of her brief in support of her
Motion to Dismiss, the Court – as discussed below – views those arguments as separate and distinct. The exhibits upon which Plaintiffs rely do not relate to Dr. Demetris’ subject-matter jurisdiction argument.
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Second, Plaintiffs rely upon a case from the Seventh Circuit Court of Appeals for the proposition that the party opposing a motion to dismiss may submit extrinsic evidence without converting the motion into one for summary judgment, that it is “recommended” that the plaintiff do
so, and that the evidence need not even be admissible. [See Filing No. 55 at 3-4.] As a general
rule, it is not appropriate to look outside the pleadings in considering a motion to dismiss. See
Rosenblum v. Travelbuys.com Ltd., 299 F.3d 657, 661 (7th Cir. 2002). While a court may consider
documents referenced in or integral to the complaint, the documents Plaintiffs submit with their
response brief do not fall within those parameters so are not the type routinely considered on a
12(b)(6) motion to dismiss. See Fed. R. Civ. P. 12(d) (court may exclude matters falling outside
the pleadings when considering a 12(b)(6) motion); Swan v. Alcoa Power Generating, Inc., 2011
WL 900948, *1 (S.D. Ind. 2011).
In the case Plaintiffs rely upon, Geinosky v. City of Chicago, 675 F.3d 743, 745 (7th Cir.
2012), the Seventh Circuit Court of Appeals remarked in a footnote that:
A party appealing a Rule 12(b)(6) dismissal may elaborate on his factual allegations
so long as the new elaborations are consistent with the pleadings….In the district
court, too, a party opposing a Rule 12(b)(6) motion may submit materials outside
the pleadings to illustrate the facts the party expects to be able to prove….[A] plaintiff who is opposing a Rule 12(b)(6)…motion and who can provide such illustration
may find it prudent to do so. (It may also be prudent to explain to the district court
that the materials are being submitted for illustrative purposes and should not be
used to convert the motion into a Rule 56 motion for summary judgment).
Plaintiffs here do not specify that the extraneous material they submit with their response
brief is “for illustrative purposes,” but instead explicitly state that the Court can consider the material because it relates to whether the Court has subject-matter jurisdiction. [Filing No. 48 at 3
(arguing that “[o]n a motion to dismiss for lack of subject matter jurisdiction, the Court may appropriately consider evidence beyond the complaint”).] As discussed above, however, the extraneous material does not relate to the issue of subject matter jurisdiction, but rather to whether
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Plaintiffs have adequately alleged a § 1983 conspiracy claim against Dr. Demetris. The Court
does not read Geinosky as suggesting that it can consider extraneous material to find that a plaintiff
has alleged a certain element of a claim, or the requisite level of specificity for a claim, when those
allegations do not appear in the complaint. Rather, extraneous material can be considered only to
expand on allegations otherwise present in the complaint. Accordingly, the Court GRANTS Dr.
Demetris’ Motion to Strike and will not consider the materials Plaintiffs submit with their response
brief in determining whether Plaintiffs have adequately alleged a § 1983 conspiracy claim against
Dr. Demetris. 2
C. Motion to Dismiss
1. Subject Matter Jurisdiction
Dr. Demetris first argues that Plaintiffs’ § 1983 conspiracy claim is “a rebranded version
of their State Law Claim,” and that the rebranding “is being used to circumvent State Law Immunity provisions afforded to mandated reporters of suspected child abuse (such as Dr. Demetris).”
[Filing No. 44 at 5.] Accordingly, Dr. Demetris argues, the Court lacks subject matter jurisdiction
because the claim “clearly appears to be immaterial and made solely for the purpose of obtaining
jurisdiction or where such a claim is wholly insubstantial and frivolous.” [Filing No. 44 at 5-6
(quotation and citation omitted).]
2
The Court also notes that Plaintiffs filed an Amended Complaint in lieu of responding to Dr.
Demetris’ first motion to dismiss, which raised issues regarding the adequacy of Plaintiffs’ § 1983
allegations against her. [See Filing No. 23.] Plaintiffs had every opportunity to add more detail
regarding those allegations – including details from the extraneous material they now seek to rely
upon – when they filed their Amended Complaint. The Court will not allow them to amend their
substantive allegations by attaching exhibits to a brief in response to a motion to dismiss. This is
inefficient, improper, and frustrates the purpose of Fed. R. Civ. P. 15. See Fed. R. Civ. P.
15(a)(1)(B) and Advisory Committee Notes to 2009 Amendment (“A responsive amendment may
avoid the need to decide the motion or reduce the number of issues to be decided, and will expedite
determination of issues that otherwise might be raised seriatim”).
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In response, Plaintiffs argue that they assert a § 1983 conspiracy claim, so the Court has
federal question jurisdiction. [Filing No. 48 at 2.] They also note that Dr. Demetris consented to
removal of the case to this Court. [Filing No. 48 at 2.]
Dr. Demetris does not address this argument head-on in her reply, focusing instead on her
assertion that Plaintiffs fail to adequately allege a § 1983 conspiracy claim. [Filing No. 53 at 14.]
Plaintiffs clearly base their claim against Defendants on § 1983, and allege that Defendants
“violated the [VanWinkle] family’s civil rights individually and through their participation in a
conspiracy to achieve this end, with all actions taken under color of state law.” [Filing No. 37 at
13.] Their § 1983 conspiracy claim against Dr. Demetris is separate and apart from any negligence
claim they may have against her, with different elements and proof requirements. 3 The Court has
subject matter jurisdiction here because Plaintiffs assert a federal § 1983 conspiracy claim, and the
Court rejects Dr. Demetris’ argument otherwise. Whether Plaintiffs have adequately alleged that
claim, however, is another issue, and is discussed below.
2. Immunity
The Court will address Dr. Demetris’ immunity arguments first, to determine whether Dr.
Demetris is immune from any of the actions that form the basis for Plaintiffs’ § 1983 conspiracy
3
Dr. Demetris cites Ridlen v. Four County Counseling Center, 809 F.Supp. 1343 (N.D. Ind. 1992),
for the proposition that “the court found subject matter jurisdiction was lacking because the claim
was fundamentally one of medical malpractice.” [Filing No. 44 at 6.] In Ridlen, the court found
that the § 1983 claim failed because the plaintiff had not adequately alleged state action, remarking
that “[f]undamentally, this case is a claim for medical malpractice which should be decided on the
basis of well developed substantive statutory and case law in the State of Indiana.” Id. at 1358.
But the Ridlen court’s conclusion was based on the fact that there was no state action, and that the
court declined to exercise pendent jurisdiction over the plaintiffs’ state law claim under the Indiana
Medical Malpractice Act. Id. at 1359. It did not find that the § 1983 claim was merely a recasting
of the medical malpractice claim, done in an effort to confer federal jurisdiction.
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claim. Dr. Demetris argues that Plaintiffs’ claim is barred by state immunity statutes – specifically,
I.C. § 31-33-6-1 through § 31-33-6-3 – and that these statutes apply even though they are typically
not applicable to § 1983 claims because they are “not inconsistent with the intent and purpose of
the federal law.” [Filing No. 44 at 9-10.] Dr. Demetris also argues that she is immune under
federal statutes, pointing to the Victims of Child Abuse Act, 42 U.S.C. § 13001, et seq. and 42
U.S.C. § 13031(f) (“VCAA”) and the Child Abuse Prevention and Treatment Act, 42 U.S.C. §
5101, et seq. (“CAPTA”). [Filing No. 44 at 10-11.] Finally, Dr. Demetris argues that it would be
against public policy to “[a]llow[] Plaintiffs to circumvent Federal and State immunity statutes,”
and that this “would have a chilling effect on professionals that are obligated to report suspected
child abuse.” [Filing No. 44 at 12-13.]
In response, Plaintiffs argue that state immunity statutes do not bar their claims against Dr.
Demetris because wrongful conduct under § 1983 cannot be immunized by state statute and that,
in any event, Dr. Demetris’ conduct “extends far beyond merely reporting child abuse or neglect.”
[Filing No. 48 at 9-10.] Plaintiffs also argue that the immunity provision in the VCAA that Dr.
Demetris points to only applies to activity taking place on federal land or in a federally operated
facility, so does not apply here. [Filing No. 48 at 9.] As to Dr. Demetris’ public policy argument,
Plaintiffs contend that not extending immunity to § 1983 claims “only has a potential chilling
effect with respect to those professionals who are state actors or who conspire with state actors to
violate the constitutional rights of the people involved,” and that not holding those individuals
accountable would make “the guarantee of constitutional rights…illusory.” [Filing No. 48 at 11.]
On reply, Dr. Demetris does not address Plaintiffs’ argument that the VCAA only applies
to activity taking place on federal land or in a federally operated facility. She argues that she is
entitled to judicial immunity for her reporting of the suspected abuse, for any actions taken by her
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after AV was in DCS custody, and for her testimony during the administrative process. [Filing
No. 53 at 5-8.] Dr. Demetris also argues that she is entitled to witness immunity for her testimony
during the administrative process. [Filing No. 53 at 8.] Dr. Demetris contends that Plaintiffs did
not adequately respond to her arguments regarding why state and federal immunity statutes bar
their claim, distinguishing cases relied upon by Plaintiffs and arguing that Plaintiffs’ interpretation
of immunity as only relating to the actual reporting of abuse is too narrow. [Filing No. 53 at 1218.]
i.
State Statutory Immunity
Dr. Demetris relies upon I.C. § 31-33-6-1 through § 31-33-6-3 to argue that she is immune
from § 1983 liability for her actions related to AV. § 31-33-6-1 provides that:
Except as provided in section 2 of this chapter, a person, other than a person accused
of child abuse or neglect, who:
(1) makes or causes to be made a report of a child who may be a victim of child
abuse or neglect;
(2) is a health care provider and detains a child for purposes of causing photographs, x-rays, or a physical medical examination to be made under IC 3133-10;
(3) makes any other report of a child who may be a victim of child abuse and
neglect; or
(4) participates in any judicial proceeding or other proceeding:
(A) resulting from a report that a child may be a victim of child abuse or
neglect; or
(B) relating to the subject matter of the report;
is immune from any civil or criminal liability that might otherwise be imposed because of such actions.
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Section 31-33-6-2 exempts individuals who act maliciously or in bad faith from immunity, but §
31-33-6-3 provides that “[a] person making a report that a child may be a victim of child abuse or
neglect or assisting in any requirement of this article is presumed to have acted in good faith.”
The Seventh Circuit Court of Appeals has consistently found in other contexts that state
immunity statutes cannot operate to shield individuals from liability under § 1983. See, e.g., Steffes
v. Stepan Co., 144 F.3d 1070, 1074 (7th Cir. 1998) (“A state absolute litigation privilege purporting
to confer immunity from suit cannot defeat a federal cause of action”); Hampton v. City of Chicago, Cook County, Ill., 484 F.2d 602, 607 (7th Cir. 1973) (§ 1983 claims “cannot be immunized
by state law[;] A construction of the federal statute which permitted a state immunity defense to
have controlling effect would transmute a basic guarantee into an illusory promise; and the supremacy clause of the Constitution insures that the proper construction may be enforced”).
Dr. Demetris argues that the Court should apply Indiana state law immunity because it
would be consistent with CAPTA, which she argues shows that “Congress clearly intended to
authorize immunity for reporters in order to encourage more extensive reporting.” [Filing No. 44
at 11.] However, Dr. Demetris has not cited any legal authority standing for the proposition that
a state statute can provide immunity from a federal claim in any context, let alone in this context.
The Court will not apply Indiana’s immunity statute in this context to a § 1983 conspiracy claim.
See Finnegan v. Myers, 2015 WL 5252400, *11 (N.D. Ind. 2015) (“To the extent that Dr. Laskey
relies on Indiana law to extend federal absolute immunity provisions to good faith reporters of
child abuse or neglect, the Court is not convinced that there is a basis to do so in this particular
case”).
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ii.
Federal Statutory Immunity
Dr. Demetris relies upon the VCAA in arguing that Congress created “nearly identical immunity provisions” as under Indiana state law for the reporting of child abuse. [Filing No. 44 at
10-11.] 4 As Plaintiffs point out, however, the VCAA’s immunity provision only applies to an
individual who is acting “on Federal land or in a federally operated (or contracted) facility.” 42
U.S.C. § 13031. Accordingly, immunity under the VCAA does not apply to Plaintiffs’ § 1983
conspiracy claim against Dr. Demetris.
iii.
Common Law Judicial and Witness Immunity
Dr. Demetris also argues that she is entitled to judicial immunity for any actions she took
after AV and MV were in the custody of DCS and any actions related to her report regarding
possible abuse or neglect of AV, and also that she is entitled to witness immunity for her testimony
during the administrative process. [Filing No. 53 at 5-8.]
Judicial immunity was first recognized at common law “as a device for discouraging collateral attacks and thereby helping to establish appellate procedures as the standard system for
correcting judicial error” and to “protect[] judicial independence by insulating judges from vexatious actions prosecuted by disgruntled litigants.” Richman v. Sheahan, 270 F.3d 430, 434-35 (7th
Cir. 2001) (quoting Forrester v. White, 484 U.S. 219, 225, 108 S.Ct. 538, 98 L.Ed.2d 555 (1988)).
The principle was extended to “non-judicial officials whose official duties have an integral relationship with the judicial process” for “quasi-judicial conduct.” Henry v. Farmer City State Bank,
808 F.2d 1228, 1238 (7th Cir. 1986). The rationale for extending judicial immunity to non-judicial
4
Dr. Demetris also references CAPTA in her discussion, but CAPTA does not itself contain an
immunity provision – it merely provides for funding for the creation of state programs aimed at
preventing child abuse and neglect. See, e.g., 42 U.S.C. § 5106a. The Court discerns that Dr.
Demetris relies upon CAPTA solely to support her argument that extending state statutory immunity to federal claims would further CAPTA’s purposes.
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officials is that those individuals should “be free of ‘the harassment and intimidation associated
with litigation.’” Richman, 270 F.3d at 435 (citation omitted). Similarly, courts recognize common law witness immunity, which protects a witness from civil liability arising from their testimony. Briscoe v. LaHue, 663 F.2d 713, 718 (7th Cir. 1981). These common law immunities are
recognized in the § 1983 context. See, e.g., id.; Dawson v. Newman, 419 F.3d 656, 660-61 (7th
Cir. 2005) (principle of judicial immunity “is applicable in suits under section 1983 because the
‘legislative record [gave] no clear indication that Congress meant to abolish wholesale all common-law immunities”) (citing Dellenbach v. Letsinger, 889 F.2d 755, 758 (7th Cir. 1989)).
The Court finds that Dr. Demetris is entitled to absolute immunity for her actions related
to the report regarding AV, her participation in the administrative process, and her participation in
the judicial process. First, one of the main bases for Dr. Demetris’ liability – as alleged by Plaintiffs – is her report alleging mistreatment of AV and MV by Stacey, which she allegedly prepared
without reviewing medical records from AV’s treating physician, interviewing Stacey or Derek,
or interviewing anyone who had observed AV outside of a clinical setting. [See, e.g., Filing No.
37 at 4 (“On or about June 12, 2013, DCS received a report from Dr. Demetris alleging the mistreatment of children AV and MV by their mother Stacey”); Filing No. 37 at 11 (“Before getting
[two of the DCS Defendants] involved in the investigation, Dr. Demetris did not review the medical records from AV’s treating physicians, interview Stacey or Derek, or speak with anyone who
had the opportunity to observe AV outside of a clinical setting”).] The Court first finds that Dr.
Demetris is immune from liability for her actions related to the report, which later was one of the
subjects of the administrative and judicial processes. See Millspaugh v. County Dept. of Public
Welfare of Wabash County, 937 F.2d 1172, 1176 (7th Cir. 1991) (social worker who plaintiffs
alleged did not furnish material to court that was favorable to parental custody, and pursued the
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litigation for an improper motive, among other things, was entitled to judicial immunity. Court
stated that “[m]ost of what [the social worker] did could yield no harm to the mothers unless the
court agreed. Her motives in asking the court to do certain things, and her selection of evidence
to present, lie at the core of the subjects to which absolute immunity applies….We may assume
that [the social worker] acted out of improper motives and misled the court. Still, immunity that
applies only when the defendant did no wrong is no immunity at all”); Boyko v. Parkview Hosp.
Inc., 2012 WL 3527373, *6-7 (N.D. Ind. 2012) (psychiatrist accused of submitting a report containing false information to state court which led to plaintiffs’ children being removed from home
was immune from liability under § 1983; court stated “plaintiffs allege that Whiteley submitted a
report containing false information to the state court in order to effectuate the removal of plaintiffs’
children from their home….Absolute immunity clearly protects Whiteley from a lawsuit based on
this alleged act, as the alleged conduct is ‘intimately associated with the judicial process’…and
involves his ‘testimony and other steps taken to present the case for decision by the
court.’…Whitely is protected by absolute immunity for this alleged action, despite the fact that he
is alleged to have misled the court and/or possessed improper motives”). Additionally, Dr. Demetris’ covert video surveillance of AV was part of her evaluation culminating in the report, and she
is immune from liability relating to that action as well.
Second, Dr. Demetris is immune from liability related to actions she took after AV was in
DCS custody, as those actions were part of the administrative and judicial proceedings. As a
witness in both of those proceedings, Dr. Demetris was entitled to “put [her] best foot forward at
hearings and present the judge with [her] unvarnished views of the facts, unencumbered by a fear
of future liability for [her] testimony.” Mohil, 842 F.Supp.2d at 1079. Accordingly, such testimony “is protected by immunity – immunity that is absolute and not qualified.” Id.; see also
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Cooney v. Rossiter, 583 F.3d 967 (7th Cir. 2009) (“[C]ourt-appointed experts, including psychiatrists, are absolutely immune from liability for damages when they act at the court’s direction….They are arms of the court, much like special masters, and deserve protection from harassment by disappointed litigants, just as judges do. Experts asked by the court to advise on what
disposition will serve the best interests of a child in a custody proceeding need absolute immunity
in order to be able to fulfill their obligations ‘without the worry of intimidation and harassment
from dissatisfied parents’”).
Dr. Demetris does not specifically address judicial or witness immunity for liability stemming from her participating in the June 17, 2013 “care conference,” which Plaintiffs allege took
place before AV and MV were in DCS custody. To the extent such participation is not properly
considered part of the administrative process, the Court considers it below in connection with the
adequacy of Plaintiffs’ allegations.
In sum, the absolute privileges of judicial and witness immunity protect Dr. Demetris from
liability stemming from her report regarding AV, her participation in the administrative process
(including her testimony in front of the ALJs), and her participation in the state court proceedings.
3. Adequacy of Section 1983 Conspiracy Allegations
As discussed above, the only action taken by Dr. Demetris that Plaintiffs allege form the
basis for their § 1983 conspiracy claim, and for which Dr. Demetris may not be immune, is her
participation in the June 17, 2013 “care conference.” The Court will consider whether that allegation can form the basis of a § 1983 conspiracy claim against Dr. Demetris.
The first step in analyzing a 42 U.S.C. § 1983 conspiracy claim is to identify the specific
constitutional injury. Vasquez v. Hernandez, 60 F.3d 325, 328 (7th Cir. 1995). Conspiracy is not
an independent basis of liability, Smith v. Gomez, 550 F.3d 613, 617 (7th Cir. 2008); instead, to
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sustain a cause of action for conspiracy under § 1983, Plaintiffs “must show that a conspiracy
existed and that it deprived them of rights protected by federal law,” Vasquez, 60 F.3d at 330.
Here, Plaintiffs allege that Defendants conspired to violate their Fourth Amendment right to freedom from unreasonable searches and seizures, and their Fourteenth Amendment right to substantive and procedural due process. [See Filing No. 37 at 13.]
To establish § 1983 liability through a conspiracy theory, Plaintiffs must also demonstrate
that there was an understanding involving a state actor to deprive them of their constitutional rights
and that those individuals were “willful participants in joint activity with the State or its agents.”
Williams v. Seniff, 342 F.3d 774, 785 (7th Cir. 2003) (quotation and citation omitted). Although a
conspiracy may be established by circumstantial evidence, the Seventh Circuit Court of Appeals
has “stressed that such evidence cannot be speculative.” Id.; see also Cooney, 583 F.3d at 971
(“Even before the Supreme Court’s new pleading rule, as we noted, conspiracy allegations were
often held to a higher standard than other allegations; mere suspicion that persons adverse to the
plaintiff had joined a conspiracy against him or her was not enough. The complaint in this case,
though otherwise detailed, is bereft of any suggestion, beyond a bare conclusion, that the remaining
defendants were leagued in a conspiracy with the dismissed defendants. It is not enough (and
would not have been even before Bell Atlantic and Iqbal) that the complaint charges that [certain
defendants, with the aid of other defendants] continued the ongoing violations of Plaintiff[’s] Constitutional rights. That is too vague”) (quotations omitted).
Plaintiffs allege that Dr. Demetris completed her report without reviewing AV’s medical
records from her treating physician, interviewing Stacey or Derek, or speaking with anyone who
had observed AV outside of a clinical setting, and ultimately reaching the wrong conclusion in her
report. But, as discussed above, Dr. Demetris is immune from her actions in creating the report.
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In any event, those allegations do not support a § 1983 conspiracy claim, as Plaintiffs cite no legal
authority for the proposition that Dr. Demetris was obligated to take those investigatory steps before completing her report. Indeed, requiring those steps to be taken would appear to frustrate the
process of having medical professionals evaluate children to see if they are in imminent danger.
See Millspaugh, 937 F.2d at 1176-77 (“Social workers often act on limited information; those who
tarry, or resolve all doubts in favor of the parents, chance enduring damage to the children….Immunity helps social workers put their private interests aside and concentrate on the welfare of
children”). Further, Plaintiffs’ own allegations indicate that Dr. Demetris authored her report regarding AV before she had had any interactions with DCS officials regarding the VanWinkles.
Authoring the report cannot form the basis of a § 1983 conspiracy claim when those she is accused
of conspiring with were not yet even in the picture. Similarly, this holds true for Dr. Demetris’
covert video surveillance of AV, which also took place before Dr. Demetris had discussed AV’s
case with DCS officials.
This leaves Plaintiffs’ allegations regarding Dr. Demetris’ participation in the June 17,
2013 “care conference,” but simply alleging that that participation occurred is not enough to allege
a § 1983 conspiracy claim. See Brokaw v. Mercer County, 235 F.3d 1000, 1014 (7th Cir. 2000)
(finding plaintiff did not adequately allege § 1983 conspiracy claim against probation officer, and
stating “[b]ut all C.A. adds on appeal to Hansen is that she was present during a conference in
which C.A. was questioned by Judge Gende and several of the other defendants. Hansen’s mere
presence at this conference is insufficient to create a reasonable inference that Hansen had a meeting of the minds with the other defendants to remove him from his parents based on false claims
of child neglect”).
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Additionally, Plaintiffs do not allege how Dr. Demetris’ participation in the June 17, 2013
“care conference” deprived Plaintiffs of constitutional rights, and at least one court has held that
removal of a child from his or her parents’ home due to suspected child abuse or neglect is not a
seizure that violates a constitutional right. Mohil v. Glick, 842 F.Supp.2d 1072, 1078-79 (N.D. Ill.
2012) (“According to [plaintiffs], Dr. Glick’s report caused Child Services to seek custody of [the
children] and caused the court to rule in the state’s favor. In those terms she assertedly set into
motion the events that resulted in [the childrens’] forced separation from their parents, a constitutional violation. That position is seriously flawed, with its principal substantive defect being its
premise that the seizure of [the children] violated the Constitution. It didn’t. Indeed,… ‘some
definite and articulable evidence giving rise to a reasonable suspicion that a child has been abused
or is in imminent danger of abuse’ suffices to justify the seizure of children under both the Fourth
Amendment and the fundamental right analysis….”).
The Court is aware that in granting Plaintiffs’ motion for leave to amend their original
complaint, the Magistrate Judge found that “Plaintiffs do allege enough facts to withstand a motion
to dismiss.” [Filing No. 36 at 4.] This finding was made, however, in a different context – allowing amendment – and the Magistrate Judge noted that the finding was made “in the spirit of Rule
15 to allow parties to freely amend at this stage of the litigation.” [Filing No. 36 at 4.] The finding
was also made before the parties had fully addressed the issue of immunity. Additionally, the
Court is obligated to undertake its own analysis and, considering the acts for which Dr. Demetris
may not be immune, finds that Plaintiffs’ allegations, which amount to no more than alleging that
Dr. Demetris participated in the process that led to AV’s and MV’s removal from the VanWinkle
home, do not adequately allege a claim for § 1983 conspiracy against Dr. Demetris.
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IV.
CONCLUSION
Dr. Demetris is shielded from liability for most of the actions Plaintiffs allege form the
basis of their § 1983 conspiracy claim based on the absolute privileges of judicial immunity and
witness immunity. Additionally, the remaining actions Plaintiffs allege Dr. Demetris undertook
do not form a sufficient basis for a viable § 1983 conspiracy claim. Accordingly, the Court
GRANTS Dr. Demetris’ Motion to Dismiss, [Filing No. 43], and the Clerk is directed to TERMINATE Dr. Demetris from the lawsuit. No partial judgment shall issue at this time. As discussed above, the Court also GRANTS Dr. Demetris’ Motion to Strike. [Filing No. 54.]
The Court requests that the Magistrate Judge confer with the remaining parties to establish
a schedule for bringing Plaintiffs’ remaining claims to conclusion.
_______________________________
Date: December 18, 2015
Hon. Jane Magnus-Stinson, Judge
United States District Court
Southern District of Indiana
Distribution via ECF only to all counsel of record
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