Wesley v. Campbell et al
Filing
178
MEMORANDUM OPINION & ORDER: IT IS ORDERED that Defendant's Renewed Motion for Directed Verdict 163 is denied. IT IS FURTHER ORDERED that Defendant's Motion to Alter, Amend, or Vacate the Judgment for a New Trial 164 is also denied . Signed by Judge David L. Bunning on 03/03/2016.(KRB)cc: COR
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF KENTUCKY
NORTHERN DIVISION
AT COVINGTON
CIVIL ACTION NO. 10-51-DLB-JGW
RICHARD WESLEY
vs.
PLAINTIFF
MEMORANDUM OPINION & ORDER
JOANNE RIGNEY
DEFENDANT
************************
This matter is before the Court on Defendant Joanne Rigney’s Renewed Motion for
Directed Verdict (Doc. # 163) and Motion to Alter, Amend, or Vacate for a New Trial (Doc.
# 164). Plaintiff Richard Wesley has filed his responses (Docs. # 168 & 169) and
Defendant has filed her replies (Docs. # 172 & 174), making the motions ripe for review.
Having reviewed the parties’ briefings, both of Defendant’s motions will be denied for the
reasons stated herein.
I.
Factual and Procedural Background
This case has a long factual and procedural history that has been recounted several
times not only by this Court, but also by the Sixth Circuit Court of Appeals. Accordingly,
this review will be brief.
The events underlying this action occurred in early 2009. Plaintiff Richard Wesley
was working as a behavioral intervention specialist at 6th District Elementary School in
Covington, Kentucky. Wesley, a native Cincinnatian, had worked his way through college
and graduate school, and was in his first year at 6th District, where he counseled troubled
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students. During this time, he counseled J.S., an extremely troubled young boy with a long
history of psychological disturbances. On February 5, 2009, J.S. was brought to Wesley’s
office after trying to suffocate himself by shoving arm bands down his throat. Wesley
recommended, as he had before, that J.S. be taken to NorthKey for a mental evaluation.
J.S.’s mother showed up to the school, and she and J.S. took a taxi together to NorthKey.
Wesley followed them.
The first allegation against Wesley occurred in the NorthKey parking lot. While only
J.S. and his mother – and potentially the taxi driver, who was never interviewed – will ever
know what transpired during that fateful ride, nothing was the same for Wesley from those
moments forward. Upon arrival at NorthKey, Wesley was berated by J.S.’s mother, who
made broad and vague accusations against Wesley.
Through several rounds of
subsequent interviews with J.S., his accusations would roughly crystalize. J.S. claimed
that, over the course of a year, Wesley had repeatedly anally sodomized him.
Defendant Joanne Rigney, a detective with the Covington Police Department, was
assigned to investigate the allegations against Wesley. Defendant was a zealous advocate
for child victims. She would later testify that it “was her job to believe the child.” This
principle evidently guided her investigation, perhaps to a fault.
Over the course of the investigation, Defendant was unable to uncover any evidence
that corroborated J.S.’s claims. J.S.’s medical evaluation showed no signs of abuse. The
other children with whom Wesley worked were interviewed and did not disclose any abuse
or other improper conduct.
implausible.
What is more, J.S.’s statements were inconsistent and
J.S. struggled to tell a consistent story – something that is certainly
understandable when one is dealing with a young, disturbed child who may have been
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sexually abused. But his claims seemed fantastical as well. He claimed that Wesley
sodomized him with the office door open. Wesley’s office, however, was in the middle of
a busy area of the school.
Additionally, J.S.’s description of the alleged rape was
anatomically infeasible, given the heights of the J.S. and Wesley.
While none of these facts singularly disproved the claims against Wesley, they did,
taken together, make it seem very unlikely that the abuse described by J.S. actually
occurred. Despite this, some eighty-four days after J.S.’s initial disclosure and months after
the last interview of a student or J.S., Wesley was arrested.
The trauma of being arrested for a crime he did not commit was devastating for
Wesley, who had struggled with mental illness for years prior to these events. In addition
to the personal anguish of such despicable allegations, Wesley had to deal with the societal
ones as well. He was dismissed from his job for his alleged crimes, though the school later
sent Wesley a letter stating that he was released due to a “loss of funding” for his position.
The criminal case against Wesley was ultimately dismissed after the prosecutor
sought a No True Bill. But the damage was done. Wesley had lost his job, and until the
erroneous charges were expunged from his record, he would be unemployable. Although
he has a new life far from his home in Cincinnati, he still cannot work with children.
Instead, he is counselor at a hospice facility.
Wesley filed a civil rights action pursuant to 42 U.S.C. § 1983 against several
individuals in March of 2010. The Court adjudicated several pre-trial motions, leaving
Rigney as the sole defendant. Wesley’s remaining claims against her were two-fold. First,
he claimed wrongful arrest under the Fourth Amendment. Second, Wesley stated a claim
for retaliatory arrest under the First Amendment. This Court initially dismissed both of
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those claims on qualified immunity grounds. However, the Court of Appeals reversed the
dismissal of Wesley’s case, finding that qualified immunity did not shield Defendant from
trial.
On December 15, 2015, nearly seven years after the initial allegations, a jury
returned a verdict in Wesley’s favor on his wrongful arrest claim. The jury awarded him
$569,000 in compensatory damages and $500,000 in punitive damages.
After entry of the Judgment, Defendant filed the two motions pending before the
Court: a Renewed Motion for Directed Verdict and a Motion to Alter, Amend, or Vacate the
Judgment for a New Trial. Each Motion shall be addressed in turn.
II.
Defendant’s Renewed Motion for Directed Verdict
A.
Standard of Review
A renewed motion for directed verdict may only be granted where, “when viewing
the evidence in a light most favorable to the non-moving party, giving that party the benefit
of all reasonable inferences, there is no genuine issue of material fact for the jury, and
reasonable minds could come to but one conclusion in favor of the moving party.”
Rhinehimer v. U.S. Bancorp Investments, Inc., 787 F.3d 797, 804 (6th Cir. 2015) (quoting
Barnes v. City of Cincinnati, 401 F.3d 729, 736 (6th Cir. 2005)).1 Evidence should not be
weighed nor the credibility of witnesses questioned; the court must not substitute its
judgment for that of the jury. Id. (quoting Balsley v. LFP, Inc., 691 F.3d 747, 757 (6th Cir.
2012)).
1) Defendant’s first motion is a renewed motion for directed verdict pursuant to Fed. R. Civ. P.
50(b). Defendant first properly raised a motion for directed verdict at trial (Doc. # 154), as is
required by the rule. That motion was denied, and within twenty-eight days after the entry of
judgment, Defendant filed the instant motion.
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B.
Analysis
In her renewed motion for directed verdict, Defendant argues she is entitled to a
directed verdict on two issues. First, she claims that she was entitled to qualified immunity.
Second, Defendant contends that punitive damages should not have been submitted to the
jury.
1.
Defendant was not entitled to qualified immunity.
Even though the Sixth Circuit previously determined that Defendant was not entitled
to qualified immunity in this case, Wesley v. Campbell, 779 F.3d 421 (6th Cir. 2015)
(holding that Defendant was not entitled to qualified immunity on either the unlawful arrest
or the retaliatory arrest claims), the qualified immunity defense does not vanish after it is
denied summarily. Ortiz v. Jordan, 562 U.S. 180, 184 (2011). “Rather, after summary
judgment is denied, the question becomes whether the evidence presented at trial is
sufficient to overcome the defense.” Ayers v. City of Cleveland, 773 F.3d 161, 167 (6th Cir.
2014) (citing Ortiz, 562 U.S. at 184).
Defendant provides two reasons why she is entitled to qualified immunity in this
case. First, she claims that, viewing the facts in a light most favorable to Wesley, there is
sufficient evidence to support a finding of probable cause. Second, even if probable cause
did not exist in this case, she argues that a reasonable officer could have believed that it
did, requiring the Court to find that Defendant was entitled to qualified immunity.
Based on the full record developed at trial, Defendant is still not entitled to a qualified
immunity defense. The qualified immunity defense shields public officials from liability
where their conduct does not violate clearly established statutory or constitutional rights of
which a reasonable person would have known. Citizens in Charge, Inc. v. Husted, 810
5
F.3d 437, 440 (6th Cir. 2016) (quoting Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982)).
Thus, the qualified immunity inquiry is two-fold: (1) whether, considering the facts alleged
in a light most favorable to the non-moving party, a constitutional right has been violated;
and (2) whether that right was clearly established. Everson v. Leis, 556 F.3d 484, 494 (6th
Cir. 2009); see also Martin v. City of Broadview Heights, 712 F.3d 951, 957 (6th Cir. 2013)
(noting the same “two-tiered” inquiry for qualified immunity) (citing Austin v. Redford Twp.
Police Dep’t, 690 F.3d 490, 496 (6th Cir. 2012)).
Here, the pre-existing law is not in controversy – courts have long held that
individuals enjoy the right to be free from unlawful arrest.2 Logsdon v. Hains, 492 F.3d 334,
343-44 (6th Cir. 2007) (holding that the law is clearly established that a police officer may
not arrest someone without probable cause); accord Gardenhire v. Schubert, 205 F.3d 303,
312-313 (6th Cir. 2000) (“There is no question that . . . the law [is] clearly established that,
absent probable to believe that an offense had been committed, or was being committed,
or was about to be committed, officers may not arrest an individual.”); Estate of Dietrich v.
Burrows, 167 F.3d 1007, 1012 (6th Cir. 1999). It is also well settled that an officer cannot
use a facially valid warrant as a shield to liability, where the officer seeking the warrant
makes misrepresentations or omissions about material facts in the warrant application.
See Sykes v. Anderson, 625 F.3d 294, 312 (6th Cir. 2010) (finding that officers cannot rely
on judicial determinations of probable cause when that determination was premised on the
officer’s material misrepresentations to the court); see also Vakillian v. Shaw, 335 F.3d 509,
517 (6th Cir. 2003) (holding that an “officer cannot rely on a judicial determination of
2) Because the jury did not find for Wesley on the retaliatory arrest claim, the parties have not
briefed, and the Court will not analyze, the retaliatory arrest claim.
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probable cause if that officer knowingly makes false statements and omissions to the judge
such that but for these falsities the judge would not have issued the warrant.”). Because
the law is clear in this area, Defendant’s motion presents a sufficiency-of-the-evidence
issue. Specifically, Defendant claims that there was insufficient evidence to support a
finding that probable cause did not exist in this case.3 The evidence produced at trial,
viewed in a light most favorable to Wesley, precludes a finding of qualified immunity.
An officer has probable cause for an arrest “when, at the moment the officer seeks
the arrest, the facts and circumstances within the officer’s knowledge and of which she had
reasonably trustworthy information are sufficient to warrant a prudent [person] in believing
that the plaintiff had committed or was committing an offense.” Wesley, 779 F.3d at 429
(citing Beck v. State of Ohio, 379 U.S. 89, 91 (1964)). Here, much, if not all, of the
probable cause inquiry turns on whether J.S.’s statements were reasonably trustworthy.
See Gardenhire, 205 F.3d at 318 (holding that information relied upon must be reasonably
reliable). Viewed in a light most favorable to Wesley, they were not.
J.S. statements were uncorroborated. Nothing discovered during the course of
Defendant’s investigation corroborated J.S.’s serious allegations. His medical examination
was negative. None of Wesley’s other students disclosed any abuse. Not a single
employee at 6th District reported any unusual behavior or other evidence corroborating
J.S.’s claims. While Defendant testified that she also considered Wesley’s behavior during
and after the trip to NorthKey – namely, his alleged honking at the taxi J.S. and his mother
took to the facility and his alleged appearance at their home in the aftermath of the
3) Defendant’s motion raises only a lack of evidence supporting probable cause as grounds for
qualified immunity. Thus, the Court will not examine the remaining elements of the unlawful arrest
claim, which relate to the material omissions from Defendant’s arrest warrant application.
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allegations – these facts, which were in dispute during the trial, do not corroborate J.S.’s
allegations. Rather, they are disputed bits of circumstantial evidence, insufficient to
overturn the jury’s verdict in this case.
J.S. also struggled to tell a consistent story during the course of his interviews, and,
while this fact may not be necessarily unusual in child abuse cases, when coupled with the
implausibility of his allegations, it cuts against a finding of probable cause. Specifically, J.S.
ultimately changed his story, and claimed that Plaintiff anally sodomized him in his office
during the middle of the day, potentially with the door open. Given these facts, and viewed
in a light most favorable to Wesley, a reasonably prudent person would not have believed
that Wesley committed the crime charged.
Some cases require the Court to examine probable cause by comparing the
allegations contained in the arrest warrant to a hypothetical warrant with the omitted facts
included. See Sykes, 625 F.3d at 305. What such an inquiry really asks is a question that
the jury and this Court have already answered: at the time she sought the warrant, did
Defendant actually have probable cause? If the answer is yes, there can be no unlawful
arrest claim and the officer’s misrepresentations or omissions do not matter. However, as
the jury found and the Court detailed above, that answer in this case is no.
Next, Defendant argues that, even if probable cause was lacking for Wesley’s arrest,
Defendant is entitled to qualified immunity because a reasonable officer could have
believed that there was probable cause for the arrest in this case. Defendant, however, is
focused on the wrong inquiry. This case differs from a “standard” unlawful arrest claim
because Defendant was relying a facially valid arrest warrant. Although an arrest warrant
would normally shield an officer from liability, the law recognizes that the officer who applies
8
for the warrant “cannot rely on a judicial determination of probable cause if that officer
knowingly makes false statements and omissions to the judge such that but for these
falsities the judge would not have issued the warrant.” Vakillian, 335 F.3d at 517 (quoting
Yancey v. Carroll Cnty., 876 F.2d 1238, 1243 (6th Cir. 1989). To overcome an officer’s
entitlement to qualified immunity in these cases, the plaintiff must establish: (1) a
substantial showing that the defendant stated a deliberate falsehood or showed reckless
disregard for the truth; and (2) that the allegedly false or omitted information was material.
Id.
While an absence of probable cause is one element that Wesley had to prove in his
unlawful arrest claim, the relevant question on the second prong of the qualified immunity
inquiry does not concern a reasonable officer’s opinion on the existence of probable cause.
Rather, it is whether a reasonable officer would have known that intentionally or recklessly
omitting material information from an arrest warrant application violates another’s rights.
In this case, the omissions from the arrest warrant were deliberate; Defendant
selected which facts she would include and which she would omit. And the omitted ones
were most certainly material. A neutral magistrate, in determining whether probable cause
existed for an arrest, would want to that know that an eyewitness exhibited many
characteristics that made his statements unreliable; if the magistrate knew that the sole
eyewitness was unreliable, it is very likely that she would not issue the warrant. See
Logsdon, 492 F.3d at 343 (holding that an eyewitness must be “reasonably trustworthy” for
his statements to create probable cause for an arrest); see also Vakillian, 335 F.3d at 517
(holding that a plaintiff needs to show that the warrant would not have been issued but-for
the misrepresented or omitted material facts). Defendant also failed to include the absence
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of other disclosures, the fantastical elements of J.S.’s claims, J.S.’s negative medical
examination, and the lack of any other corroborating evidence. She did not inform the
magistrate that no one from the school had seen or heard anything suspicious, despite J.S.
claiming to have been raped in Plaintiff’s centrally located office during the school day with
the door open. A reasonable officer would have known that omitting these facts from her
arrest warrant would cause the magistrate to issue a warrant that would not be issued
otherwise. See id.
To the extent that Defendant insists that the word “every” be placed before
“reasonable official,” the Court is not persuaded that the inclusion of the word changes the
standard. At best it is redundant – that every reasonable official would have done
something just means that the conduct was, indeed, reasonable. At worst it is an attempt
to insert subjectivity into the qualified-immunity reasonable-official analysis, which has been
explicitly forbidden by this Circuit as well as the Supreme Court. Crawford-El v. Britton, 523
U.S. 574, 587-89 (1998) (holding that evidence of an official’s subjective intent is irrelevant
for the qualified immunity inquiry) (citing Harlow v. Fitzgerald, 457 U.S. 800, 819 (1982));
see also Blake v. Wright, 179 F.3d 1003, 1008 (6th Cir. 1999) (holding that the qualifiedimmunity reasonable-officer inquiry is an objective standard, which makes the official’s
subjective intent irrelevant).
Having viewed the facts presented at trial in a light most favorable to Wesley, the
Court finds that Defendant was not entitled to qualified immunity.
2.
The Court properly submitted the issue of punitive damages to
the jury.
Defendant also claims that there was no genuine issue of material fact that
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warranted submitting punitive damages to the jury. Punitive damages may be awarded in
a § 1983 case “when the defendant’s conduct is shown to be motivated by evil motive or
intent, or when it involves reckless or callous indifference to the federally protected rights
of others.” King v. Zamiara, 788 F.3d 207, 216 (6th Cir. 2015) (quoting Smith v. Wade, 461
U.S. 30, 56 (1983)).
During the trial, Wesley presented a considerable amount of evidence to suggest
that Defendant’s actions were reckless as to his Fourth Amendment rights. First, there was
the eighty-four day period between the initial abuse disclosure and arrest, the bulk of which
was not spent investigating Wesley. Next, there was the lack of corroborating evidence
and the inconsistent statements by J.S. Additionally, Defendant failed to interview other
school officials and employees who worked near Wesley’s office. Finally, Defendant’s
omissions from her arrest warrant application and her testimony that it was her job to
believe the child further support a finding of recklessness. Thus, the Court finds that there
was a genuine issue of material fact as to the recklessness of Defendant’s actions,
warranting submission of the punitive damages question to the jury.
For the reasons stated above, the Court denies Defendant’s Renewed Motion for
Directed Verdict in full.
III.
Defendant’s Motion to Alter, Amend, or Vacate for a New Trial
A.
Standard of Review
Defendant’s second motion is one to alter, amend, or vacate for a new trial, pursuant
to Federal Rule of Civil Procedure 59, which allows courts to grant a new trial “for any
reason for which a new trial has heretofore been granted in an action at law in federal
court.” Fed. R. Civ. P. 59(a)(1)(A). Courts have interpreted this language to mean that a
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new trial is appropriate when the jury reaches a “seriously erroneous result as evidenced
by (1) the verdict being against the clear weight of the evidence; (2) the damages being
excessive; or (3) the trial being unfair to the moving party in some fashion, i.e., the
proceedings being influenced by prejudice or bias.” Decker v. GE Healthcare Inc., 770
F.3d 378, 394-95 (6th Cir. 2014) (quoting Cummins v. BIC USA, Inc., 727 F.3d 506, 509
(6th Cir. 2013)). “New trials are not to be granted on the grounds that the verdict was
against the weight of the evidence unless that verdict was unreasonable.” Decker, 770
F.3d at 395 (quoting Barnes v. Owens-Corning Fiberglas Corp., 201 F.3d 815, 820-21)).
Stated differently, if a reasonable juror could reach the challenged verdict, a new trial is
improper. Owens-Corning Fiberglas, 201 F.3d at 821 (citing Holmes v. City of Massillon,
78 F.3d 1041, 1048 (6th Cir. 1995)).
B.
Analysis
Defendant gives six reasons why her motion should be granted. She claims that:
(1) the Court should have instructed the jury to consider the issue of qualified immunity; (2)
the Court erroneously instructed the jury to consider, as part of its probable cause
assessment, Defendant’s failure to disclose J.S.’s history of psychological problems, when
all the witnesses who testified on that issue said that J.S.’s psychological history did not
affect his reliability; (3) the misconduct of Plaintiff’s counsel was unduly prejudicial; (4) the
punitive damage award is against the weight of the evidence; (5) the amount of punitive
damages shocks the conscience; and (6) the compensatory damages award is not
supported by credible evidence. For the reasons stated below, each of these issues,
independently or collectively, fails to warrant disturbing the jury’s verdict.
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1.
The Court did not err by failing to instruct the jury on the issue
of qualified immunity.
Defendant claims that the Court erred by not instructing the jury on the issue of
qualified immunity. In order for the failure to give an instruction to require a new trial, the
omitted instruction must: (1) be a correct statement of the law; (2) not be substantially
covered by other delivered charges; and (3) impair the requesting party’s theory of the
case. Decker, 770 F.3d at 396 (quoting Cummins, 727 F.3d at 510); see also Taylor v.
TECO Barge Line, Inc., 517 F.3d 372, 387 (6th Cir. 2008) (delineating the same three
factors for consideration of jury-instruction omissions). Defendant would need to meet all
three elements to justify reversal, but she has failed to meet even one.
First, the question of qualified immunity should not have been presented to the jury.
While some of the Sixth Circuit’s decisions seem to suggest that qualified immunity may
sometimes be a question for the jury, a careful reading of those cases makes one question
whether they truly stand for that proposition. See Fisher v. City of Memphis, 234 F.3d 312,
317 (6th Cir. 2000) (“Where . . . the legal question of qualified immunity turns upon which
version of the facts one accepts, the jury, not the judge must determine liability.”) (quoting
Sova v. City of Mt. Pleasant, 142 F.3d 898, 902 (6th Cir. 1998); see also Champion v.
Outlook Nashville, Inc., 380 F.3d 893, 900 (6th Cir. 2004). These cases say that, when
there is a genuine dispute of material fact, qualified immunity should be presented to the
jury so that it may determine liability. In fact, this Circuit has held that it is improper to
submit qualified immunity to the jury under general jury instructions. Pouillon v. City of
Owosso, 206 F.3d 711, 718 (6th Cir. 2000). While certain questions of fact may be
relevant to the qualified immunity determination (i.e., did the officers undertake the alleged
13
actions), the ultimate question of law – could a reasonable police officer have believed that
her actions did not violate the plaintiff’s constitutional rights – should be determined by the
judge. Id.
Further, any defense presented to the jury cannot be qualified immunity, because
the doctrine is an entitlement from suit, rather than a mere defense to liability. Hunter v.
Bryant, 502 U.S. 224, 227-28 (1991); see also Mitchell v. Forsyth, 472 U.S. 511, 525-26
(1985) (noting that qualified immunity is an immunity from suit rather than a mere defense
to liability). Qualified immunity is a compromise position between rectifying the harm
caused by constitutional injuries and limiting the adverse societal effects of lawsuits against
public officials. Champion, 380 F.3d at 900 (citing Harlow, 457 U.S. at 814). Qualified
immunity presents a hurdle for plaintiffs to clear before their case can go to trial. Moreover,
the qualified immunity standard is incongruent with the function of juries. It asks the
decision-maker to view the evidence in a light most favorable to the non-movant, a task a
jury is never asked to undertake. Thus, at trial the issue for the jury is not truly one of
qualified immunity; instead, it is whether the plaintiff has proved his or her case.
While qualified immunity may be re-raised at trial as a defense, that does not change
the legal nature of the question. And there may be a rare case where a factual issue
related to qualified immunity is so intertwined with the legal question that the resolution of
that legal question first requires a jury to settle some factual dispute.4 Such a case is not
4) There is a small subset of cases in which a factual determination by a jury may be necessary in
order to properly characterize the capacity under which an officer was operating. See McKenna
v. Edgell, 617 F.3d 432, 441-43. This fact determination will tell the court what legal standard
should apply to the officer’s conduct in making the court’s determination regarding qualified
immunity. For example, a jury might be asked to determine if an officer was acting in a lawenforcement or emergency-responder capacity. Id. These threshold determinations by the jury do
not determine qualified immunity; rather, they simply aid the court in answering the legal question.
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present here.
Even if it would have been proper to submit some portion of the qualified immunity
question to the jury, the factual issue that it would have been charged with deciding was
substantially covered by the other instructions. In considering the unlawful arrest claim, the
jury was given very specific instructions regarding probable cause. Those instructions
presented several factors, previously identified by the Sixth Circuit in its reversal decision,
to aid the jury determining whether J.S. was reliable. Because the jury found for Wesley
on the unlawful arrest claim, they necessarily decided the issue of probable cause in his
favor as well. Additionally, the instructions required the jury to consider whether Defendant
intentionally or recklessly omitted facts from her warrant application, and whether those
omissions were material. These are the same factual questions that the jury would have
been tasked with deciding had the Court submitted special instructions on qualified
immunity.
Finally, the failure to include qualified immunity in a jury instruction did not impair
Defendant’s case. She was still able to argue that probable cause existed for the arrest,
which would have negated her liability for the unlawful arrest claim. Further, she was able
to argue that her omissions were unintentional, not reckless, and immaterial. In short, all
of the factual issues that could have relieved Defendant of liability were submitted to the
jury, and she was permitted to re-raise her qualified immunity defense to the Court, which
it denied above.
These cases conform to the general principle that qualified immunity is a question of law for the
court, but leave open the possibility that a jury may be called on to help aid that decision in certain
cases.
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2.
The Court did not err by instructing the jury to consider J.S.’s
history of psychological problems when determining his
reliability.
Defendant also challenges the Court’s decision to instruct the jury to consider J.S.’s
history of psychological problems when determining his reliability because she claims that
all the witnesses who testified said that a child’s psychological history was irrelevant in
determining his reliability. However, the Court finds that J.S.’s mental health issues were
a proper consideration for the jury in determining whether J.S. was reasonably trustworthy.
“The instructions given by the judge to the jury should be directly applicable to the
facts in evidence. There must be testimony tending to raise the question in order for an
issue to be submitted to the jury.” Clarksville-Montgomery Cnty. Sch. Sys. v. U.S. Gypsum
Co., 925 F.2d 993, 1003 (6th Cir. 1991). Defendant claims that “there was no evidentiary
basis” for the Court to instruct the jury to consider J.S.’s psychological issues. In support
of this proposition, she claims that all of the witnesses who testified on the matter stated
that mental health issues do not necessarily make a child unreliable.
However, the jury was not bound to believe or credit the testimony of these
witnesses. When testimony is inherently contrary or attended by some circumstance that
would render a jury disregarding it reasonable, the jury may be free to disregard it.
Chesapeake & Ohio Ry. Co. v. Martin, 283 U.S. 209, 220-21 (1931) (holding that where
evidence is uncontradicted, but, in its very nature, is surprising or suspicious, a jury should
be permitted to decide how to credit it, rather than giving such evidence conclusive weight).
J.S.’s reliability was undoubtedly an important part of the jury trial, and the importance of
his psychological problems was very much in issue. Moreover, when the Sixth Circuit
remanded this case for trial, the panel stated that J.S.’s history of psychological
16
disturbances as a factor affecting his reliability. Wesley, 779 F.3d at 430. The jurors were
permitted to employ their common sense and life experiences in making this credibility
determination, and may have decided that they believed J.S.’s history of mental health
issues was a reason to be suspicious of his reliability, despite what the witnesses said.
They were free to do so.
3.
Plaintiff counsel’s alleged misconduct did not have an unduly
prejudicial effect.
Next, Defendant asks for a new trial due to alleged misconduct by Plaintiff’s counsel
during the trial. A new trial should be granted on grounds of counsel or party misconduct
only where there is a “reasonable probability that the verdict of the jury has been influenced
by such conduct.” City of Cleveland v. Peter Kiewet Sons’ Co., 624 F.2d 749, 756 (6th Cir.
1980) (quoting Twatchman v. Connelly, 106 F.2d 501, 509 (6th Cir. 1939)). In determining
whether there is a reasonable probability that the verdict was influenced by improper
conduct, the Court must examine the claim using a totality-of-the-circumstances test, which
considers: (1) the nature of any allegedly improper conduct; (2) the frequency of such
conduct; (3) the relevancy of the conduct to the issues before the jury; (4) the manner in
which the parties and the Court treated the conduct; (5) the strength of the case; and (6)
the verdict itself. Tompkins v. Crown Corr, Inc., 726 F.3d 830, 835 (6th Cir. 2013) (quoting
Peter Kiewit, 624 F.2d at 756). Defendant must make a “concrete showing that the
misconduct of counsel consistently permeated the entire trial from beginning to end.”
Sutkiewicz v. Monroe Cnty. Sheriff, 110 F.3d 352, 361 (6th Cir. 1997).
Here, Defendant alleges that three separate instances of misconduct had the
cumulative effect of prejudicing her and altering the verdict. First, she argues that during
17
voir dire counsel asked the jury to “make a contract” – an impermissible extraction of a
promise. Second, she claims that it was improper for counsel to state, during his opening
statement, that the jury should “send a message to the community.” And lastly, she takes
issue with counsel’s reference during his closing arguments to media coverage of this
episode, when no evidence of any media coverage had been introduced at trial.
While these comments were improper, their nature is not prejudicial enough to
warrant a new trial. Moreover, the comments were infrequent and only tangentially related,
at best, to the issues before the jury. Defendant objected to the comments when made,
the Court sustained those objections, and Plaintiff’s counsel complied with the Court’s
directives. Plaintiff’s case was strong, and the jury’s verdict was reasonable. Neither the
verdict nor the size of the award indicates any influence from Plaintiff’s counsel’s
misconduct.
4.
Punitive damage award is not against the weight of evidence.
Defendant claims that the punitive damage award in this case is against the weight
of the evidence.
In a § 1983 action, punitive damages are appropriate when the
defendant’s conduct is shown to be motivated by evil motive or intent, or when it involves
a reckless or callous indifference to the federally protected rights of others. King, 788 F.3d
at 216 (citing Smith, 461 U.S. at 56). The jury’s decision to award punitive damages should
not be disturbed unless that decision was unreasonable, meaning so against the weight of
the evidence that no reasonable jury could have reached the verdict.
During the trial, Wesley offered sufficient proof for a jury to find that Defendant acted
recklessly or callously with regard to his constitutionally protected rights. As mentioned
previously, there was evidence highlighting Defendant’s lack of thoroughness in her
18
investigation, as well as evidence that she turned a blind-eye to exculpatory evidence.
Additionally, the length of time between the initial abuse disclosure and the arrest, most of
which was not spent investigating Wesley, further buttressed a finding of recklessness by
the jury.
5.
Punitive damage award is not excessive.
Defendant next argues that, even if the decision to award punitive damages is
supported by the evidence, the amount awarded is excessive. She argues that the
damages award is excessive under either a common-law or constitutional standard. The
former is a challenge to the factual support for the award; the latter, a legal challenge to the
award that assumes all relevant facts are true. Each standard will be addressed in turn.
i.
Common-Law Standard
The common-law standard, as Defendant styles it, will find a damages award
excessive if it is: (1) beyond the range supportable by proof; (2) so excessive as to shock
the conscience; or (3) the result of a mistake. Gregory v. Shelby Cnty., 220 F.3d 433, 443
(6th Cir. 2000) (citing Leila Hosp. & Health Ctr. v. Xonics Medical Sys., 948 F.2d 271, 278
(6th Cir. 1991) (setting forth the three-part test above)). The Court does not believe that
this standard applies when a district court is reviewing a jury’s award of punitive damages;
instead, it applies to compensatory damage awards.5 Id. However, out of an abundance
of caution to Defendant’s rights, the Court will examine the award under the “common-law”
standard as well.
5) The Sixth Circuit in Gregory applied Xonics’ test to the jury’s compensatory damage award and
the constitutionality test announced in BMW of N. Am. Inc. v. Gore, 517 U.S. 559, 575 (1996), infra,
to the punitive damages award. See Gregory, 220 F.3d at 443.
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First, the Court finds that there was sufficient proof to support the punitive damages
award. In some ways, this inquiry mirrors the degree of reprehensibility prong of the
constitutional standard set forth in Gore, which is more thoroughly addressed below. The
jury heard evidence about Defendant’s conduct, including the lack of investigation into
certain potential eyewitnesses, the delay between disclosure of abuse and arrest, and the
intentional material omissions from her warrant application, from which it could infer that
she was reckless or callous with regard to Wesley’s constitutional rights.
Second, the punitive damages award in this case does not shock the conscience.
Given his amount of compensatory damages, an award of punitive damages that is less
than a 1:1 ratio is not excessive. Wesley testified about the emotional, physical, and
professional injuries he suffered as a result of his unlawful arrest, and that evidence
supports the jury’s award. Moreover, there is no indication that there was a mistake in
calculating the punitive damage award.
There is no evidence that the punitive damage award was clearly excessive, the
result of the passion, bias, or prejudice of the jury, or shocking to the judicial conscience.
See Gregory, 220 F.3d at 443 (citing Farber v. Massillon Bd. of Educ., 917 F.2d 1391, 1396
(6th Cir. 1990)). Therefore, the jury’s punitive damage award is sufficient under the
common-law standard of review.
ii.
Constitutional Standard
Defendant also argues that the jury’s punitive damage award is so excessive that
it violates her constitutional Due Process rights. A court should consider the following three
factors when assessing whether a punitive damage award is excessive: (1) the degree of
reprehensibility of the defendant’s conduct; (2) the disparity between the harm or potential
20
harm suffered by the plaintiff and the punitive damages award; and (3) the difference
between the punitive damages and the civil penalties authorized or imposed in comparable
cases. Gore, 517 U.S. at 575.
The first, and most important, factor is the degree of reprehensibility of Defendant’s
conduct. See State Farm Mut. Auto. Ins. Co. v. Campbell, 538 U.S. 408, 419 (2003)
(holding that the “most important indicium of reasonableness of a punitive damages award
is the degree of reprehensibility of the defendant’s conduct.”) (quoting Gore, 517 U.S. at
575). In considering the reprehensibility of Defendant’s conduct, the Court should consider
whether: (1) the harm was physical as opposed to economic; (2) the conduct demonstrated
an indifference to the health or safety of others; (3) the target had financial vulnerability; (4)
the conduct involved repeated actions or was an isolated incident; and (5) the harm was
the result of intentional malice, trickery, or deceit, or was a mere accident. Id.
Here, the harm inflicted on Wesley by Defendant was physical was well as
economic. While he certainly suffered some lost wages, much of the damage done to him
was emotional. A jury could have reasonably found that Defendant’s conduct “evinced an
indifference to or a reckless disregard of the health and safety” of Wesley, as was
demonstrated in previous sections of this opinion. See id. It is not clear that Wesley was
financially vulnerable, but he certainly was not a wealthy man. The conduct does appear
to be an isolated incident in Defendant’s career, and is the only incident between these
parties, but this factor alone is not determinative. Additionally, there is sufficient evidence
that Defendant’s intentional material omissions from her warrant application, while not
malicious, may have involved some level of trickery or deceit. If all of these factors were
absent, or maybe if only one was present, the Court would have reason to be suspicious
21
of the punitive damage award. Id. Here, however, there are several factors present,
supporting a finding of reprehensibility.
The second factor is the ratio of compensatory to punitive damages. The Sixth
Circuit has held that in a Ҥ 1983 case in which in the basis for the punitive damages award
is the plaintiff’s unlawful arrest claim” and where the compensatory damages are minimal,
the ratio factor is “of limited relevance.” Romanski v. Detroit Entm’t, LLC, 428 F.3d 629,
645 (6th Cir. 2005). In this case, however, the compensatory damages were significant,
given the effect that the unfounded allegations had on Wesley, both personally and
professionally. In any event, the ratio between the punitive and compensatory damages
is less than 1:1 – much less than the “single-digit” ratios (i.e., up to 9:1) that State Farm
stakes as the outer bounds of constitutionally permissible. State Farm, 538 U.S. at 425
(“Our jurisprudence and the principles it has now established demonstrate . . . that, in
practice, few awards exceeding a single-digit ratio between punitive and compensatory
damages, to a significant degree, will satisfy due process.”).
Accordingly, the ratio of
punitive damages in this case is reasonable and permissible.
The final constitutional factor to consider is the difference between the punitive
damages and the civil penalties authorized or imposed in similar cases. Id. at 418 (citing
Gore, 517 U.S. at 575). “The purpose of this guidepost reflects an elementary principle of
due process – namely, that the defendant must have been provided ‘fair notice’ that its
conduct would subject it to a penalty on the order of the punitive damages award.”
Romanski, 428 F.3d at 648 (citing Gore, 517 U.S. at 583-84). While it is true that there are
no civil penalties authorized or imposed in this case, the Court should still ask whether
Defendant had fair notice that a verdict against her could result in $500,000 in punitive
22
damages. A police detective should be aware that violating someone’s constitutional rights
“might result in a punitive damages award if the conduct is sufficiently egregious.” Id.
(citing Smith, 461 U.S. at 56). It seems reasonable to assume that Defendant would have
been aware that arresting a child behavioral specialist for the rape of one of his students,
without probable cause and while intentionally omitting material information from her
warrant application, could make her liable for damages well within the amount found by the
jury.
After examining all three factors announced in Gore, the Court finds that Defendant’s
conduct was sufficiently reprehensible, the less-than-1-to-1 ratio of punitive to
compensatory damages was reasonable and well within the limits of State Farm, and that
Defendant had fair notice of a punitive damage award of the size awarded by the jury in this
case. Accordingly, the punitive damages award does not violate Defendant’s due process
rights.
6.
Compensatory Damages are supported by credible evidence.
Finally, Defendant argues that various portions of the compensatory damage award
are not supported by credible evidence. In determining whether a damage award should
be remitted or whether a new trial should be granted, courts must determine if the damage
award is “beyond the maximum damages that the jury could find to be compensatory for
a party’s loss.” Gregory, 220 F.3d at 443 (quoting Jackson v. City of Cookeville, 31 F.3d
1354, 1358 (6th Cir. 1994)). An award must stand unless it is: (1) beyond the range
supportable by proof; (2) so excessive as to shock the conscience; or (3) the result of a
mistake. Id. (citing Bickel v. Korean Air Lines Co., Ltd., 96 F.3d 151, 156 (6th Cir. 1996));
see also Xonics Medical, 948 F.2d at 278 (delineating the same three-factor test).
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The jury in this case awarded Wesley: $132,000 for lost wages; $300,000 for past
pain and suffering; and $150,000 for future pain and suffering. Defendant challenges each
of these awards as being unsupported by the evidence.
i.
Lost Wages
Defendant makes two arguments explaining why the lost wages award should be
vacated or remitted. First, she claims that Wesley’s arrest occurred after his termination,
disproving that his termination was caused by the arrest. Second, Defendant argues that
Wesley’s termination was caused by a lack of funding for his position, rather than her
investigation and subsequent arrest.
Despite the fact the Wesley’s arrest occurred after his termination, the arrest for
sexual abuse remained on his record until fall 2010. During this time, as the testimony of
Lynda Jackson – former superintendent of Covington Independent Schools –
demonstrated, it is extremely unlikely that any school would have interviewed him for a job.
Additionally, Jackson testified that, because of the gap in his resume caused by the arrest,
Wesley would have had several hurdles to overcome in getting an interview. The red flags
caused by his false arrest, and the resulting unemployment period, were detrimental to
Wesley’s ability to be rehired in any position, but especially in one working with children.
Further, even if Wesley was terminated from his position due to budgetary restrictions,
which, given the circumstances, the jury would have been reasonable in considering
suspect, Defendant’s arrest still caused him sufficient harm to justify the jury’s award.
ii.
Past Pain and Suffering
Defendant next argues that Wesley’s past pain and suffering should be remitted
because it was not supported by medical evidence and because the multiple potential
24
causes of Wesley’s injury require expert testimony to indicate the amount of the harm that
was caused by Defendant, something Wesley did not offer during the trial.
Before delving into these issues, the Court must determine the proper source of law.
When federal law is absent or deficient on issue presented in a § 1983 case, the court
should apply “the common law, as modified and changed by the constitution and statutes
of the State wherein the court having jurisdiction [of the matter] is held, so far as the same
is not inconsistent with the Constitution and laws of the United States” to aid in the trial and
disposition of the case. 42 U.S.C. § 1988(a). The Supreme Court has interpreted this
provision as allowing “both federal and state rules on damages [to] be utilized, whichever
better serves the policies expressed in federal statutes.” Sullivan v. Little Hunting Park,
Inc., 396 U.S. 229, 240 (1969); see also McDaniel v. Carroll, 457 F.2d 968, 969 (6th Cir.
1972) (holding that the common law of a state may be used on the issue of damages in a
civil rights case when it better serves the policies expressed in the federal statutes). Thus,
to the extent there is not a federal rule on the remaining damage issues raised by
Defendant, the Court will apply Kentucky law, so long as its laws are consistent with federal
law and policy.
Kentucky law does not require medical proof for past pain and suffering awards, and,
instead, notes that “there is no legal yardstick for measuring and no slide rule for computing
compensation for pain and suffering” caused by a tort. Noel v. Creary, 385 S.W.2d 951,
953 (Ky. 1964); see also RONALD W. EADES, KENTUCKY HANDBOOK SERIES, KENTUCKY LAW
OF DAMAGES § 36.2 (Thomson Reuters 2015).
What is required is that damages be proved
to a reasonable degree of certainty. Pauline’s Chicken Villa, Inc. v. KFC Corp., 701 S.W.2d
399, 401 (Ky. 1985). In the context of pain and suffering, however, this task often proves
25
difficult. There is no rigid or mathematical formula, City of Paducah v. Brunnhoper, 135
S.W.2d 413, 418 (Ky. Ct. App. 1939), so the measure
of loss must be based on
reasonableness. Noel, 385 S.W.2d at 953. The reviewing court must ensure that the
award only compensates the plaintiff, and is not based on bias, sympathy, or a desire to
punish. Id. But unless the award is so great that it strikes the court at “first blush” as
unreasonable, the jury’s verdict should stand. Brunnhoper, 135 S.W.2d at 418.
The Court finds that the past pain and suffering award is reasonable and supported
by the evidence presented at trial. Wesley testified powerfully about the mental anguish
and physical toll being wrongfully arrested caused him. He described sleepless nights,
anxiety, feelings of hopelessness and humiliation, fear, anger, and depression. From this
and other evidence, the jury reasonably calculated his past pain and suffering award.
Additionally, Defendant argues that the potentially multicausal nature of Wesley’s
injury requires proof by expert testimony. The case that Defendant cites for this proposition
is an unpublished Kentucky Court of Appeals case, Hassler v. Paramount Arts Ctr. Inc.,
No. 2006-CA-001200-MR, 2007 WL 1954095, at *2-3 (Ky. Ct. App. July 6, 2007). Hassler
was a case about the alleged adverse medical effects a plaintiff suffered after she was
exposed to chemicals emitted by pyrotechnics at a concert. Id. at *1. The plaintiff in that
case alleged that she endured a chemical burn to her lungs as a result of the defendant’s
negligence. Id. The Hassler court held that, when common knowledge or experience of a
layman is not extensive enough to infer negligence from the facts, expert medical testimony
is required. Id. at 2-3 (emphasis added) (citing Jarboe v. Harting, 397 S.W.2d 775 (Ky.
1965)).
26
The Hassler opinion was focused on the proof required to show causation rather
than the amount of damages.6 Ordinarily, a defendant’s negligent conduct is the legal
cause of a harm to another if: (1) it is a substantial factor in bringing about the harm; and
(2) there is no rule of law relieving the actor from liability because of the manner in which
his negligence resulted in the harm. This case, in contrast to Hassler, is one in which
expert testimony is not required to prove either causation or the amount of damages. While
Defendant may have not been alone causing Wesley’s injuries, she certainly was a
substantial factor in bringing them about. Her unlawful arrest of Wesley made it incredibly
difficult, if not impossible, for him to obtain employment working with children, depriving
Wesley of his dream job. Additionally, Wesley testified that the act of the arrest itself was
traumatic, with the police showing up at his door and escorting him to jail. The arrest and
detention of Wesley would not have occurred if it were not for Defendant’s arrest warrant.
It does not require an expert to prove that being wrongfully arrested for child sexual abuse
could cause a person pain and suffering. Thus, the Court finds that the past pain and
suffering award was supported by the evidence presented at trial.
6) There is some debate in Kentucky law about whether the reasonable certainty inquiry applies
to the amount of the award or the causation element of the claim. Compare Roadway Exp., Inc. v.
Don Stohlman & Assocs., Inc., 150 436 S.W.2d 63, 65 (Ky. 1968) (holding that the question is not
whether the amount can be ascertained with exactness, but whether the cause of the injury can be
traced to the wrongful act with certainty), with Pauline’s Chicken Villa, 701 S.W.2d at 402 (holding
that the amount of lost profits that could have occurred under a breach of contract were too
speculative to permit recovery) and Ky. Dep’t of Highways v. Jent, 525 S.W.2d 121, 122-23 (Ky.
Ct. App. 1975) (denying a claim where the amount of damage caused to plaintiffs’ land was deemed
not to be reasonably certain). Here, however, causation is not really in issue. Instead, Defendant
contests the total amount awarded for past pain and suffering, and what her share of the damage
should be. But due to the unsettled nature of the law in this area, the Court’s opinion also
addresses the causation issue presented in Defendant’s motion.
27
iii.
Future Pain and Suffering
Defendant finally claims that the jury’s award for future pain and suffering damages
must be remitted because Wesley did not produce any medical evidence that his emotional
injuries were permanent. However, “[f]uture pain and suffering is an element of damages
for which the injured party is entitled to recover – if there is evidence establishing that it is
reasonably certain that pain and suffering will occur.” May v. Holzknecht, 320 S.W.3d 123,
128 (Ky. Ct. App. 2010) (citing Am. States Ins. Co. v. Audubon Country Club, 650 S.W.2d
252, 254 (Ky. 1983)). Moreover, there is no rule to indicate that, where no future medical
expenses are indicated, the jury is prohibited from finding an award of future pain and
suffering. Id. Rather, the test is whether there is evidence to suggest that the plaintiff’s pain
and suffering are likely to continue to occur. Id.
Here, Wesley provided sufficient evidence to establish that his pain and suffering are
reasonably certain to continue in the future. Even though Wesley has now found new
employment, he still cannot bring himself to work with children. Moreover, he testified that
he becomes fearful when alone with children, even in public, for fear of being falsely
accused again. He still has nightmares about his ordeal. While he has moved away from
the area and tried to start his life anew, there was sufficient evidence to support a finding
that his pain and suffering are likely to continue into the future. On this record, the jury’s
award for future pain and suffering is reasonable. Therefore, Defendant’s Motion to Alter,
Amend, or Vacate for a New Trial is denied in full.
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IV.
Conclusion
Accordingly, for the reasons stated herein,
IT IS ORDERED that Defendant’s Renewed Motion for Directed Verdict (Doc. # 163)
is denied.
IT IS FURTHER ORDERED that Defendant’s Motion to Alter, Amend, or Vacate the
Judgment for a New Trial (Doc. # 164) is also denied.
This 3rd day of March, 2016.
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