John Doe LC2 v. The United States of America et al
MEMORANDUM AND ORDER granting in part and denying in part 4 Motion to Dismiss for Lack of Jurisdiction. See Order for details. Signed by District Judge Carlos Murguia on 10/5/17. Mailed to pro se party Mark E. Wisner by regular mail. (kao)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF KANSAS
JOHN DOE LC2,
UNITED STATES OF AMERICA and
Case No. 17-2305
MEMORANDUM AND ORDER
Plaintiff John Doe LC2 brings this case against defendants United States of America and Mark
Wisner, pursuant to the Federal Tort Claims Act (“FTCA”), 28 U.S.C. §§ 1346(b), 2671 and 38 U.S.C.
§ 7316(a), (f), alleging that Wisner conducted improper and/or unnecessary physical examinations of
plaintiff and elicited unnecessary private information. Plaintiff also alleges several state law claims.
This matter is before the court on defendant United States of America’s Motion to Dismiss (Doc. 4).
Defendant argues that plaintiff’s complaint should be dismissed for lack of subject matter jurisdiction
and because it fails to state a claim under Federal Rules of Civil Procedure 12(b)(1) and (6). For the
reasons set forth below, the court grants defendant’s motion in part and denies it in part.
Factual Background and Legal Standards
Plaintiff is a veteran who sought treatment at the Dwight D. Eisenhower VA Medical Center
(“VA”) located in Leavenworth, Kansas. Wisner treated and provided medical care for plaintiff.
Wisner was a physician’s assistant (“PA”) for the VA, and is a defendant in more than seventy pending
civil suits before this court.
The claims in this case are virtually identical to those in a number of other cases this court has
considered. See, e.g., Anasazi v. United States, No. 16-2227-CM, 2017 WL 2264441, at *1–*2 (D.
Kan. May 23, 2017); Doe v. United States, No. 16-2162-CM, 2017 WL 1908591, at *1–*2 (D. Kan.
May 10, 2017). The court will not repeat the details of them here. Highly summarized, they are: (1)
Count I: Negligence – Medical Malpractice; (2) Count II: Negligent Supervision, Retention and
Hiring; (3) Count III: Negligent Infliction of Emotional Distress; (4) Count IV: Outrage; (5) Count V:
Battery; and (6) Count VI: Invasion of Privacy – Intrusion Upon Seclusion.
Likewise, the court has set forth the governing legal standards in a number of other cases
involving the same parties and claims. The court does not repeat them here, but applies them as it has
in the past. See, e.g., Anasazi, 2017 WL 2264441, at *2; Doe, 2017 WL 1908591, at *2.
Under the FTCA, the United States has waived its sovereign immunity for injuries caused by
the “negligent or wrongful act or omission” of a federal government employee while that employee is
“acting within the scope of his office or employment, under circumstances where the United States, if a
private person, would be liable to the claimant in accordance with the law of the place where the act or
omission occurred.” 28 U.S.C. § 1346(b).
This court has repeatedly held that plaintiffs with similar allegations to those here have
sufficiently alleged that Wisner’s conduct was within the scope of his employment. See, e.g., Anasazi,
2017 WL 2264441, at *4; Doe, 2017 WL 1908591, at *4. The court also has held that plaintiffs with
similar allegations have presented plausible claims that the VA Immunity Statute applies, allowing
them to pursue remedies under the FTCA for claims arising out of a battery. See, e.g., Anasazi, 2017
WL 2264441, at *5; Doe, 2017 WL 1908591, at *4.
Defendant does not rehash the same arguments that it made in previous cases about scope of
employment and the VA Immunity Statute. But defendant does argue that the allegations in plaintiff’s
complaint are more in the nature of intentional sexual assault than negligence. Defendant claims that
plaintiff’s allegations are inconsistent with the position that Wisner engaged in conduct that was a
slight deviation from his scope of employment, and asks the court to revisit its prior findings. The
court addresses this, along with the other new arguments of defendant, below.
Statute of Repose - All Counts
Defendant claims that at least some of plaintiff’s claims are barred by Kansas’s four-year
statute of repose. See Kan. Stat. Ann. § 60-513(c) (stating that, with respect to a “cause of action
arising out of the rendering of or the failure to render professional services by a health care provider,”
“in no event shall such an action be commenced more than four years beyond the time of the act giving
rise to the cause of action”). Plaintiff disagrees, raising four arguments in opposition to defendant’s
position: (1) Section 60-513(c) does not apply to plaintiff’s claims because Wisner was not a “health
care provider”; (2) In any event, § 60-513(c) does not apply to plaintiff’s claims for battery, outrage,
and invasion of privacy; (3) The FTCA’s administrative process tolls the statute of repose; and (4)
Equitable estoppel tolls the statute of repose.
Kan. Stat. Ann. § 60-513(c)’s Application to Plaintiff’s Claims
First, plaintiff argues that because Wisner is not a “health care provider,” § 60-513(c) does not
apply to plaintiff’s claims. Kan. Stat. Ann. § 60-513d defines “health care provider” as “a person
licensed to practice any branch of the healing arts” and “a licensed medical care facility.” Under this
definition, Wisner, his supervising physicians, and the VA medical center are all health care providers.
Under the plain language of the relevant statute, § 60-513(c) applies to plaintiff’s claims.
Plaintiff asks the court to apply the definition of “health care provider” in Kan. Stat. Ann. § 403401(f) instead, based on language in P.W.P. v. L.S., 969 P.2d 896 (Kan. 1998). It is unclear to this
court why the Kansas Supreme Court applied § 40-3401(f) instead of § 60-513d in determining who
might be a health care provider under § 60-513(c). Section § 60-513d specifically indicates that it
defines health care provider “as used in K.S.A. 60-513.” P.W.P. does not mention or address the
potential application of § 60-513d. To the extent that P.W.P. is in conflict with the plain language of
the statute, this court must apply the language of the statute. State v. Spencer Gifts, LLC, 374 P.3d
680, 686 (Kan. 2016). The court determines that § 60-513(c) applies to at least some of plaintiff’s
Kan. Stat. Ann. § 60-513(c)’s Application to Battery, Outrage, and
Invasion of Privacy
Second, plaintiff argues that even if Wisner was a “health care provider” as used in § 60513(c), that subsection does not apply to all torts arising from medical care. Specifically, plaintiff
argues that it does not apply to his battery, outrage, and invasion of privacy claims. Plaintiff states that
his battery claim has no statute of repose because it is governed by Kan. Stat. Ann. § 60-514(b), which
provides a one-year battery statute of limitations and no statute of repose. He states that the outrage
and invasion of privacy claims have a ten-year statute of repose, based on § 60-513(b) instead of § 60513(c).
The court has reviewed all of the cases cited by plaintiff in support of his position.
Significantly, none of the cases addresses the precise issue here: whether the statute of repose in § 60513(c) applies to all claims “arising out of the rendering of or the failure to render professional services
by a health provider,” as the statute itself says. Rather, the cases cited by plaintiff address the statute
of limitations—as opposed to the statute of repose—for battery, outrage, and invasion of privacy
(which is governed here by the FTCA). See, e.g., Newcomb v Ingle, 827 F.2d 675 (10th Cir. 1987)
(determining which statute of limitations was more analogous for a federal cause of action based on
interception of oral or wire communications); Culp v. Timothy M. Sifers, M.D., P.A., 533 F. Supp. 2d
1119, 11126 (D. Kan. 2007) (applying the battery statute of limitations accrual rule for a battery claim
against a doctor); Kelly v. VinZant, 197 P.3d 803, 814 (Kan. 2008) (holding that battery claims against
a doctor were subject to § 60-514(b)’s one-year statute of limitations); Hallam v. Mercy Health Ctr. of
Manhattan, Inc., 97 P.3d 492, 497 (Kan. 2004) (holding that an outrage claim was subject to the twoyear statute of limitations for torts). But see Robinson v. Shah, 936 P.2d 784, 817–18 (Kan. Ct. App.
1997) (holding a fraud claim against a doctor was governed by the ten-year statute of repose).
Defendant identifies in its brief how each case is distinguishable from the case at hand, and this court
agrees. The plain language of § 60-513(c) indicates that the statute of repose contained therein applies
to claims “arising out of the rendering of or the failure to render professional services by a health
provider.” It does not specify medical malpractice claims or limit its application in any manner.
Plaintiff’s claims in this case all arise out of the rendering of or the failure to render professional
services by a health care provider. The court therefore concludes that the four-year statute of repose
applies to all of plaintiff’s claims.
Tolling – FTCA Administrative Process
The next issue is whether the statute of repose may be tolled during the time that plaintiff was
exhausting his administrative remedies as required by the FTCA. Defendant argues that it may not be
tolled because the FTCA mandates that the United States shall be liable “in the same manner and to the
same extent as a private individual under like circumstances.” 28 U.S.C. § 2674. According to
defendant, a private individual would not have claims against him or her tolled during the exhaustion
of FTCA administrative remedies, so the United States likewise should not. In support of its position,
defendant cites a Seventh Circuit case that held that a FTCA action must be filed in court—not with
the agency—before the statute of repose expires. Augutis v. United States, 732 F.3d 749, 754 (7th Cir.
On this point, the court respectfully disagrees with defendant and the Seventh Circuit. The
Tenth Circuit has not yet ruled on whether the required FTCA administrative process effectively
preempts state statutes of repose. But this court believes the better reasoned answer is that it does.
The FTCA requires plaintiffs to wait at least six months to file suit while exhausting their
administrative remedies. In a concurring opinion in Kennedy v. U.S. Veterans Admin., 526 F. App’x
450, 458 (6th Cir. 2013), one judge noted, “Congress clearly intended that a claimant who files a
timely claim with the agency will have properly invoked the administrative process and is entitled to
file suit within six months of the agency decision.” Because of this Congressional intent, it would be
improper to “allow agencies to delay notices of denial in order to allow the statute of repose to
extinguish a plaintiff’s claim.” Kennedy, 526 F. App’x at 458–59. District courts have agreed. See,
e.g., AJJT v. United States, No. 3:15-cv-1073, 2016 WL 3406138, at *4 (M.D. Tenn. June 21, 2016);
Blau v. United States, No. 8:12-cv-2669-T-26AEP, 2013 WL 704762, at *2 (M.D. Fla. Feb. 26, 2013);
Jones v. United States, 789 F. Supp. 2d 883, 893 (M.D. Tenn. 2011); McKinley v. United States, No.
5:15-cv-101, 2015 WL 5842626, at *13 (M.D. Ga. Oct. 6, 2015).
The court agrees with the reasoning given in the cases cited above, and determines that the
FTCA administrative process preempts Kan. Stat. Ann. § 60-513(c)’s statute of repose when the
mandated use of the administrative process would otherwise cause a claim to be barred by the statute
of repose. The statute of repose was therefore tolled during the pendency of plaintiff’s administrative
procedures, for any claims not already barred before plaintiff began the administrative process.
Tolling – Equitable Estoppel
Finally, plaintiff argues that the doctrine of equitable estoppel tolls the statute of repose. In his
complaint, plaintiff alleges that the acts in question occurred “on numerous occasions from
approximately August 2010 through approximately April of 2014.” Some of plaintiff’s claims likely
happened before December 28, 2011, which appears to be four years before plaintiff submitted an
administrative claim. The court therefore addresses whether the time to file a claim may be tolled
based on general principles of equitable estoppel.
The Tenth Circuit has held, “Because a statute of repose creates a substantive right in those
protected to be free from liability after a legislatively-determined period of time, it is not subject to
equitable tolling or equitable estoppel.” Fulghum v. Embarq Corp., 785 F.3d 395, 416 (10th Cir.
2015) (citation omitted). Plaintiff cites Robinson v. Shah, 936 P.2d 784, for the premise that Kansas’s
statute of repose may, indeed be subject to equitable estoppel. In Robinson, the majority held that a
medical malpractice defendant was equitably estopped from raising the statute of repose defense when
his own fraudulent concealment resulted in the delay in discovering the wrongful acts. 936 P.2d at
798. But this holding was over a strong dissent, and another appellate panel has cast doubt on it. See
Dunn v. Dunn, 281 P.3d 540, 556 (Kan. Ct. App. 2012) (“Whether the doctrine of equitable estoppel is
even available to toll a statute of repose is a debatable issue in Kansas.”).
The court determines that the doctrine of equitable estoppel is not available to prevent
application of the statute of repose. To the extent that Kansas courts have allowed estoppel, it appears
to be limited to claims for fraud, which are not alleged here. See Robinson, 936 P.2d at 798 (allowing
the defense “where the defendant’s own fraudulent concealment has resulted in the delay in
discovering the defendant’s wrongful conduct”); see also Karlin v. Paul Revere Life Ins. Co., 742 F.
Supp. 2d 1253, 1268 (D. Kan. 2010). The only tolling that is available to plaintiff results from the
preemptive effect of the FTCA’s administrative remedies requirement.
Scope of Employment
As noted above, the court has previously found that plaintiff plausibly pleaded that Wisner’s
acts were within the scope of his employment. See, e.g., Anasazi, 2017 WL 2264441, at *4; Doe, 2017
WL 1908591, at *4. Now, with plaintiff’s new allegations, defendant asks the court to reconsider this
Even with plaintiff’s new allegations, the analysis does not change for the court. Applying the
“slight deviation” factors from O’Shea v. Welch, 350 F.3d 1101, 1108 (10th Cir. 2003), the court
determines that plaintiff has still adequately pleaded that Wisner’s conduct was within the scope of his
employment because it was only a slight deviation from his duties. Once again, these factors are: (1)
the employee’s intent; (2) the nature, time, and place of the deviation; (3) the time consumed in the
deviation; (4) the work for which the employee was hired; (5) the incidental acts reasonably expected
by the employer; and (6) the freedom allowed the employee in performing his job responsibilities.
O’Shea, 350 F.3d at 1108 (citation omitted).
First, the employee’s intent. Plaintiff has pleaded that Wisner had a mixed motive—both to
provide exams per his job, but also for personal gratification. These allegations are sufficient to
suggest that plaintiff’s intent was at least partially to do his job. This factor weighs in favor of
Second, the nature, time, and place of the deviation. Wisner committed the physical
examinations of plaintiff’s genitalia as part of an overall physical exam, during working hours, and in
the examination room. This factor favors plaintiff.
Third, the time consumed in the deviation. Plaintiff alleges that Wisner conducted the
improper examinations and asked the improper questions during a regular physical examination. A
reasonable inference from these allegations is that the deviation lasted only a few minutes, during a
longer medical appointment. This factor again favors plaintiff.
Fourth, the work for which the employee was hired. Wisner was hired to perform physical
examinations, including genitalia, rectal, and prostate exams. The allegedly improper conduct was
committed during the course of Wisner’s regular duties. Again, this factor weighs in favor of plaintiff.
Fifth, the incidental acts reasonably expected by the employer. Because of Wisner’s position,
the United States reasonably expected him to conduct physical examinations of veterans. Plaintiff’s
complaint adequately alleges that the United States could have expected him to conduct these duties in
a substandard method. This factor is not as strong as some of the others, but it still favors plaintiff.
Sixth, the freedom allowed the employee in performing his job responsibilities. According to
plaintiff’s complaint, Wisner had very little supervision or oversight. He was allowed to operate alone,
which favors plaintiff.
On the whole, the court finds that the factors weigh in favor of plaintiff. Despite the new
allegations in plaintiff’s complaint, plaintiff has still adequately alleged that Wisner’s conduct was
within the scope of his employment.
VA Immunity Statute
Defendant argues again that the VA Immunity Statute does not save plaintiff’s claims from
being barred by 28 U.S.C. § 2680(h), which provides that the FTCA “shall not apply to . . . [a]ny claim
arising out of assault, battery, false imprisonment, false arrest, malicious prosecution, abuse of process,
libel, slander, misrepresentation, deceit, or interference with contract rights. . . .” The new allegations
in plaintiff’s complaint do not change the court’s analysis. For the reasons stated in other similar
cases, the court determines that plaintiff has plausibly alleged that the VA Immunity Statute applies to
plaintiff’s claims. See, e.g., Anasazi, 2017 WL 2264441, at *5; Doe, 2017 WL 1908591, at *4.
Count II – Negligent Supervision, Hiring, and Retention
The court has previously dismissed other plaintiffs’ claims for negligent hiring and retention
based on the discretionary function exception to the FTCA. See, e.g., Anasazi, 2017 WL 2264441, at
*8–*9; Doe, 2017 WL 1908591, at *8. Plaintiff now asks the court to deny defendant’s motion with
respect to these claims because the VA had mandatory duties under the U.S. Constitution.
Negligent Hiring and Retention – Constitutional Duties
A number of circuits have held that the discretionary function exception does not shield the
United States from FTCA liability for actions that exceeded the government’s constitutional authority.
Loumiet v. United States, 828 F.3d 936, 943 (D.C. Cir. 2016) (noting that the First, Second, Third,
Fourth, Fifth, Eighth, and Ninth Circuits “have either held or stated in dictum that the discretionaryfunction exception does not shield government officials from FTCA liability when they exceed the
scope of their constitutional authority”). But see Kiiskila v. United States, 466 F.2d 626, 627 (7th Cir.
1972); Linder v. McPherson, No. 14-cv-2714, 2015 WL 739633, at *13 (N.D. Ill. Jan. 29, 2015).
Other courts have avoided ruling on the issue, but suggested that the United States may not have
waived its immunity for constitutional violations. See, e.g., Tsolmon v. United States, No. H-13-3434,
2015 WL 5093412, at *10 (S.D. Tex. Aug. 28, 2015) (citing F.D.I.C. v. Meyer, 510 U.S. 471, 477
(1994), which stated that “the United States simply has not rendered itself liable under § 1346(b) for
constitutional tort claims”).
Plaintiff alleges that defendant failed to perform a number of requirements “with reckless
disregard for [p]laintiff’s wellbeing and in deliberate indifference to the ongoing Constitutional
deprivations suffered by [p]laintiff.” (Doc. 1, at 10.) As the court has discussed before, plaintiff also
identifies a number of VHA Handbook provisions and VHA Directives that defendant failed to follow.
Plaintiff makes specific allegations about the duties in these documents that defendant neglected. But
plaintiff does not make specific allegations about how the failure to comply with these duties also
violated the constitution. Assuming—without holding—that the majority of appellate courts are
correct about FTCA liability for exceeding constitutional authority, it is unclear precisely how specific
allegations must be to adequately allege that defendant violated mandatory duties under the
constitution. Here, the court believes that plaintiff has not been specific enough. Cf. Garza v. United
States, 161 F. App’x 341, 343 (5th Cir. 2005) (holding that the “Eighth Amendment’s prohibition
against cruel and usual punishment [does not] define a non-discretionary course of action specific
enough to render the discretionary function exception inapplicable”); Linder, 2015 WL 739633, at *12
(noting that some courts have applied a standard similar to that of qualified immunity); see also
Loumiet, 828 F.3d at 946 (declining to address whether a qualified immunity standard should be
Moreover, plaintiff’s pleaded facts fall short of alleging actual deliberate indifference.
“‘Deliberate indifference’ is a stringent standard of fault, requiring proof that a [state] actor
disregarded a known or obvious consequence of his action.” Schneider v. City of Grand Junction
Police Dep’t, 717 F.3d 760, 769 (10th Cir. 2013); Sinnett v. Simmons, 45 F. Supp. 2d 1210, 1219 (D.
Kan. 1999) (“The deliberate indifference standard also requires plaintiff to establish that defendant
officials acted with a culpable state of mind and that defendant’s conduct was akin to criminal
recklessness and not mere negligence.”). Although plaintiff recites the “deliberate indifference”
language, the facts relating to the actions of defendant (as opposed to Wisner) do not support such a
culpable state of mind.
For these reasons, the court determines that the new allegations of unconstitutional conduct in
plaintiff’s complaint do not negate application of the discretionary function exception. On this basis,
and for the reasons discussed in prior similar cases, the court dismisses plaintiff’s claims for negligent
hiring and retention.
As for the negligent supervision claim, the court has allowed this claim to proceed in the past.
See, e.g., Anasazi, 2017 WL 2264441, at *7; Doe, 2017 WL 1908591, at *6. Plaintiff’s new
constitutional arguments do not change that outcome. But defendant now proffers a new argument for
dismissal: plaintiff’s negligent supervision claim is subsumed in his negligent hiring and retention
claims, and it should likewise be dismissed under the discretionary function exception. Specifically,
defendant wants the court to disregard plaintiff’s characterization of his harm being based on the VA’s
negligent supervision of Wisner. Instead, defendant wants the court to look beyond plaintiff’s
characterization and see that the injuries were actually “caused by the VA’s decisions to hire, retain,
and discipline Wisner—decisions which are inherently discretionary and which this [c]ourt has
previously held fall squarely within the discretionary function exception.” (Doc. 5, at 20.) In other
words, defendant asks the court to hold that plaintiff’s negligent supervision claim is an impermissible
attempt to circumvent the discretionary function exception, so it must be dismissed along with the
negligent hiring and retention claims.
The court has previously set forth the law at length on the discretionary function exception.
See, e.g., Anasazi, 2017 WL 2264441, at *6–*9; Doe, 2017 WL 1908591, at *5–*8. For brevity, the
court does not repeat it here, but incorporates it by reference.
Defendant’s new arguments are not persuasive for at least two reasons. First, plaintiff has
pleaded that he suffered damages because of defendant’s inadequate supervision of Wisner. The court
accepts these allegations as true at this stage of the litigation. Second, in Kansas, negligent supervision
is a separate cause of action from negligent hiring and retention. Marquis v. State Farm Fire & Cas.
Co., 961 P.2d 1213, 1223 (Kan. 1998). Negligent supervision is not subsumed into negligent hiring or
retention. For these reasons, as well as those the court has set forth in other related opinions,
defendant’s motion is denied with respect to plaintiff’s claim for negligent supervision.
Counts III and IV – Negligent Infliction of Emotional Distress and Outrage
As this court has previously held, a claim for negligent infliction of emotional distress must
include a qualifying physical injury. Majors v. Hillebrand, 349 P.3d 1283, 1285 (Kan. Ct. App. 2015).
This rule does not apply, however, when the conduct is willful or wanton. Id. (citing Hoard v.
Shawnee Mission Med. Ctr., 662 P.2d 1214, 1219–20 (Kan. 1983)). Plaintiff attempts again to plead a
plausible claim by alleging willful and wanton conduct, but this court has already held that this
characterization of plaintiff’s claim is duplicative of plaintiff’s outrage claim. Again, the court
dismisses plaintiff’s claim for negligent infliction of emotional distress in part for failure to allege a
physical injury and in part as duplicative of the outrage claim.
Defendant also asks the court to dismiss both the negligent infliction of emotional distress
claim and the outrage claim under the discretionary function exception. Defendant argues that the
conduct that is barred by the discretionary function exception in Count II is the same conduct alleged
in Counts III and IV—thereby making these counts also subject to the discretionary function
exception. But the court has held that plaintiff plausibly placed his supervision claim outside the
discretionary function exception. The same rationale applies to plaintiff’s claim of outrage (although
the court dismisses the negligent infliction of emotional distress claim on other grounds).
Count V – Invasion of Privacy – Intrusion Upon Seclusion
Finally, the court has repeatedly addressed plaintiff’s allegations for invasion of privacy –
intrusion upon seclusion and found that they fail to state a claim. See, e.g., Anasazi, 2017 WL
2264441, at *10–*11; Doe, 2017 WL 1908591, at *10. Plaintiff has not made any arguments here that
justify altering the court’s analysis. This claim is therefore dismissed for the same reasons previously
IT IS THEREFORE ORDERED that defendant’s motion to dismiss (Doc. 4) is granted in
part and denied in part. The motion is granted as to Counts III and V. The motion is also granted as to
plaintiff’s negligent hiring and retention claim in Count II, but denied as to plaintiff’s negligent
supervision claim in Count II, as well as Count IV. Finally, some of plaintiff’s claims may be timebarred, consistent with the court’s ruling in Part II.A. of this Memorandum and Order.
Dated this 5th day of October, 2017, at Kansas City, Kansas.
s/ Carlos Murguia
United States District Judge
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