Mullins v. Birdwhistell et al
Filing
66
OPINION and ORDER: The Court DENIES the 44 Motion for Summary Judgment, except as to any any official capacity claim for damages. A jury must hear the competing proof, reach decisions on the etiology of Dr. Mullinss disassociation from the UKCOD, and assign blame, if any, on the claim before the Court. Signed by Judge Robert E. Wier on 9/28/2018. (KM)cc: COR
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF KENTUCKY
CENTRAL DIVISION
LEXINGTON
DR. RAYNOR MULLINS,
Plaintiff,
v.
STEPHANOS KYRKANIDES,
Individually and in his Official Capacity
as Dean of the University of Kentucky
College of Dentistry,
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)
)
)
)
)
)
)
)
)
No. 5:17-CV-319-REW-CJS
OPINION AND ORDER
Defendant.
*** *** *** ***
Defendant Stephanos Kyrkanides, in both his individual capacity and his official capacity
as Dean of the University of Kentucky College of Dentistry (“UKCOD”), moves for summary
judgment on Plaintiff Dr. Raynor Mullins’s First Amendment retaliation Complaint brought under
42 U.S.C. § 1983. DE #44. The motion is fully briefed (DE ##49, 50), with extensive citations to
the lengthy record. Summary judgment practice is not about fact-finding, but rather assessing
whether there are material facts in genuine dispute to be resolved via trial. Here, the epic story of
academic intrigue and the place of free speech at the UKCOD, involving contested interactions
between Dr. Mullins, Dean Kyrkanides1, and others, requires a trial. The Court does not pick
between reasonably supported versions, and a jury will decide what actually happened. Except as
to a limited part, the Court DENIES the motion for summary judgment.
1
The Dean arrived at the UKCOD in 2015 at the start of the academic year. See DE #49-13
(Kyrkanides Dep.) at 24–25. He was new to the Commonwealth, having held prior posts in the
Department of Dentistry at the University of Rochester and the School of Dental Medicine at Stony
Brook University, both in New York. See id. at 13–15.
1
FACTUAL AND PROCEDURAL BACKGROUND
The record in this case, fully audited by the Court, is extensive and replete with
disagreements as to particular events and personal motives. Some of these disputes concern
material facts ultimately necessary for resolution of the central issues. For purposes of ruling on
Kyrkanides’s summary judgment motion, the Court, as it must, views the record and draws
reasonable inferences in favor of Plaintiff and his version of events, as detailed in his First
Amended Complaint (DE #30) and summary judgment response (DE #49).
Mullins is a public health dentist, who served as a member of the UKCOD faculty in
various capacities from the completion of his residency in 1974 until his contract’s lapse in the
summer of 2017. DE #30 ¶ 1–7. Beginning in 2008, Mullins served in a post-retirement capacity
as a member of the UKCOD’s Emeritus Faculty. Id. at ¶ 9; DE #44-3 (Mullins’s Post-Retirement
Appointment); DE #49-8 (Mullins Dep.)2 at 19. His employment, at least in the 2016–17 academic
year, relied on grants awarded to the UKCOD. DE #49 ¶ 2. Mullins’s spot typically hinged on
grant funding.3 See id. at 1–3. However, he had been in the post-retirement post for approximately
nine cycles, and during that time had been on several different grants and on some non-grant
funding at times. See DE #49-8 at 27–33. Notably, the formal appointment paperwork does not list
a grant-funded contingency. See DE #44-3. Mullins described his post-retirement role at the
University as follows: “It was full-time research. I had minimum, I would say less than five
2
All citations to deposition transcripts refer to the CM/ECF pagination.
While Mullins states that his post-retirement position was largely grant-funded during the period
he held it, he “disputes that his continued employment with the UKCOD was conditioned on
continued grant funding.” DE #49 at 2 (emphasis in original); accord DE #49-8 at 33–36.
Kyrkanides, arguing that Mullins was in fact aware that his continued employment was contingent
on grant funding, cites to a 2013 email in which Mullins outlined his anticipated work breakdown
for the 2013-14 academic year and stated: “I, of course, fully understand this is contingent on grant
funding.” DE #44-7 at 1. Mullins maintains, however, that this statement pertained only to funding
for the 2013-14 academic year and does not reflect his expectations as to future employment.
3
2
percent, administrative responsibilities. I had a few teaching assignments but very few. And I
worked part-time with the [S]enate on major initiatives . . . [M]y primary role was to help build
the research partnerships in rural Kentucky.” DE #49-8 at 17–18.
On approximately June 22, 2016, Kentucky Governor Matt Bevin announced a plan to alter
Kentucky’s Medicaid program called the “Kentucky HEALTH Waiver Proposal” (hereinafter “the
Medicaid waiver” or “the waiver”). DE #30 ¶ 11. UK assigned Vice President for Administrative
& External Affairs for UK HealthCare Mark Birdwhistell to work closely with the Governor’s
Office to design the waiver proposal. Id. at ¶ 12; DE #49-8 at 76. Part of the waiver plan would
have eliminated or reduced dental coverage for the Kentucky Medicaid population; Mullins, who
had a long history of dealing with underserved populations in the state, took a dim view of the
changes.
Mullins promptly intimated to Kyrkanides his concerns about the new waiver proposal.
This included copying Kyrkanides on an initial reaction email. See DE #44-13. Then, “in a brief
unplanned hall encounter . . . before Defendant left for a summer vacation in Greece,” Kyrkanides
allegedly told Mullins to “stay ‘off radio’” with respect to the waiver, and that this direction came
from “up top.” DE #30 ¶ 14–15; see also DE #49-8 at 109–110. Mullins took this conversation to
indicate that Kyrkanides, with support from and at the direction of UKCOD officials and the
Governor’s Office, wanted him to remain silent regarding his opposition to the waiver proposal.
DE #30 ¶ 16. Mullins told Kyrkanides that, while he had not received any media requests yet, he
planned to submit public comments opposing the waiver proposal. Id.; DE #49-8 at 109.
On or about July 12, 2016, during the open period for submission of public comments on
the waiver, Mullins, together with four other concerned dentists, submitted public comments
critical of the waiver proposal. DE #30 ¶ 17; DE #44-14 (Comments). The comments explicitly
3
issued in the individuals’ personal capacities as citizens and were not representative of the
UKCOD. DE #44-14 at 12. However, while Kyrkanides was in Greece on vacation, he received a
phone call from (or prompted by) someone in the Bevin administration concerning Mullins’s
public comments. DE #30 ¶ 21; DE #49-12 (Cunningham Dep.) at 14–15; DE #49-9 (Raybould
Dep.) at 22; DE #49-6 ¶ 6 (Ebersole Aff.). The contrast in versions here is stark. Kyrkanides claims
to have had no idea of the comments’ tone or content and not to have cared a whit: “Whatever the
comments are, it’s fine with me.” DE #49-13 (Kyrkanides Dep.) at 172. While the Dean describes
himself as fully supportive of Mullins’s right to comment, id., those he interacted with following
the Greece vacation described things quite differently. See, e.g., DE #49-6 (Ebersole Aff.) ¶ 6
(recalling Kyrkanides telling him that “while on vacation in Greece, he [Kyrkanides] had received
a call from Dr. Mark Birdwhistell in Frankfort concerning our Medicaid waiver comments, and
that the signees . . . were aggravating the Governor’s waiver process and . . . it was causing a
problem for him and the College”); accord DE #49-9 (Raybould Dep.) at 29–30; DE #49-12
(Cunningham Dep.) at 14–15. There is plenteous evidence of a strong negative reaction by
Kyrkanides. Mullins maintains that Kyrkanides’s attitude and behavior toward him shifted and
deteriorated from this point forward.
In mid-August 2016, Mullins and Kyrkanides had what Mullins characterizes as a chance
meeting in the office of UKCOD’s Dr. Greg Zeller, where they briefly discussed Plaintiff’s public
comments; Mullins alleges that, at this meeting, Kyrkanides urged him to “get off radar” with
respect to the waiver proposal. DE #30 ¶ 23; DE #49 at 8–9; DE #49-8 at 101, 143. Mullins took
this statement to mean he should remain silent regarding his opposition to the waiver. Mullins also
alleges that, around this time, Kyrkanides stated at a meeting at which Mullins’s supervisors and
colleagues were present, but Plaintiff was not, that Mullins “ha[d] to go.” DE #30 ¶ 26; see DE
4
#49-9 at 21–22 (Dr. Raybould testifying to and confirming Kyrkanides’s statement that “Raynor
has got to go.”). On approximately August 24, 2016, Mullins states that Dr. Raybould informed
him of Kyrkanides’s comments at the meeting, which he memorialized in his notes from that
conversation. DE #30 ¶ 27; see DE #49-11 (Mullins’s August 24, 2016 meeting notes). Department
Chair Dr. Cunningham confirmed that, on the day after Kyrkanides announced to Dr. Raybould
that Mullins had “to go,” the Dean definitively communicated to him and others that Mullins was
“not to be involved anymore” in public health for the UKCOD. See DE 49-12 (Cunningham Dep.)
at 17–18.
Thus, at this time, per one reasonably supported version, Dean Kyrkanides not only had
warned Mullins to stay “off radar,” he had explicitly told Mullins’s supervisor and Department
Chair that Mullins was to be let go. This included a direct statement to Dr. Raybould and a direct
statement to Dr. Cunningham. DE #49-12 (Cunningham Dep.) at 17 (describing Kyrkanides as
“very clear” in stating “Dr. Mullins needed to—you know, not be involved anymore.”); see also
DE #49-6 (Ebersole stating that Kyrkanides instructed: “Dr. Mullins should be excluded from
public health research projects at UK College of Dentistry in the future.”). Per Raybould, the Dean
expressed his unequivocal intent to end Mullins’s employment and elicited help in framing up a
plan to eliminate Mullins. See DE #49-9 at 21–23 (“And I was asked to figure out a way to have
Raynor go.”); id. at 23–24 (discussing meeting the next day, where Kyrkanides said “we have to
formulate a plan on how to deal with Raynor” and interpreting that to mean “that he [Mullins]
wouldn’t be able to be employed at UK anymore, was my understanding”).
On September 7, 2016, Mullins alleges that, during a formal meeting with Kyrkanides, the
Dean expressed similar direct sentiments once again, warning Mullins to be “off the radar” and
not “to piss the Governor off.” DE #30 ¶¶ 28–33; see DE #49-8 (Mullins Dep.) at 147–53
5
(describing the September 7 meeting); see also DE #49-6 (Ebersole Aff.) at ¶ 7 (stating that
Kyrkanides previously told him that he intended to “get Raynor Mullins ‘off the radar’ on this
subject[].”). Mullins again took these statements to indicate Kyrkanides’s displeasure regarding
his public comments on the Medicaid waiver. Mullins asserts that he did not meet or substantively
communicate in person again with Kyrkanides after this September 7, 2016 meeting. DE #30 at ¶
35; DE #49-8 at 50.
Mullins described the alleged September meeting in detail in his deposition. See, e.g., DE
#49-8 at 150, 152–53 (Mullins testifying that Kyrkanides did not deny he said “Raynor must go”
when “confronted” at the September 7 meeting, but nevertheless describing the meeting as a “highquality discussion” that left Mullins optimistic about his working relationship with the Dean going
forward). His depiction dramatically differs from that of Kyrkanides. Cf. DE #49-13 (Kyrkanides
Dep.) at 221–225 (testifying that he told Mullins he “came to Kentucky to do good things. If I lose
my job over it . . . It’s a risk I’m willing to take[,]” and that, despite having “begged” Mullins to
stay, Mullins became “upset and furious” and “raised his voice.”) Per Mullins, Kyrkanides, among
other things, told Mullins he could have fired him for the Medicaid comments, warned him against
aggravating the Governor’s office, and implicated that Mullins must be quiet about the waiver. See
DE #49-8 at 109, 142–43, 204–05; DE #49-15 (Mullins’s September 7, 2016 Meeting Notes). In
the meeting, Mullins elected to divulge to the Dean that Dr. Raybould had reported to him the
Dean’s intent to terminate Plaintiff at the College. See DE #49-15.
Mullins alleges that, beginning around this time and continuing until his departure from
the UKCOD, Kyrkanides undermined Mullins’s relationships with UKCOD colleagues and
negatively interfered with his efforts to procure additional grant funding for the 2017–18 academic
year, all of which Mullins believed to be in retaliation for his Medicaid waiver comments. DE #30
6
¶ 39; see DE #49-8 at 40–47. Plaintiff reports that he had some hope of reparation following the
September 7 meeting, but an email chain the next week dashed most of that. The chain is a dense
example of academic logomachy, but one rational take is that the emails show the Dean stirring
up false dissension between Raybould and Mullins. See DE #49-18. Further, it is fair to infer that
the Dean, who had prompted some of the inquiries or actions by Mullins, then used Mullins’s
involvement as a point of criticism. Eventually, in the chain, Kyrkanides essentially shut off further
communications by telling Mullins to go through UKCOD hierarchy in the future. See id. at 1.
Several other record examples support Mullins’s impression. Per Ms. Aalboe, a junior
colleague and former division chair of Mullins, Kyrkanides took steps to alienate her from
Plaintiff. See DE #49-7 (Aalboe Aff.) ¶ 6 (“I believed then, and believe now, that Dean Stephanos
Kyrkanides was trying to undermine my professional relationship with Dr. Raynor Mullins.”).
Kyrkanides also specifically directed Aalboe not to work with or include Mullins on future
projects. Id. at ¶ 8. The Dean made similar remarks to other UKCOD faculty. See DE #49-6 ¶ 9
(Ebersole Aff.) (stating that Kyrkanides instructed that Mullins was to be excluded from public
health research projects going forward); DE #49-12 (Cunningham Dep.) at 17–19 (stating that
Kyrkanides informed him that Mullins was not to be involved in particular grant projects going
forward).
On January 17, 2017, Mullins received a certified letter informing him that his postretirement appointment with the UKCOD would not be renewed for the 2017–18 academic year.
DE #30 ¶ 47; DE #49-8 at 208–09. The letter justifies the nonrenewal on the following basis:
Moreover, we are not aware of any effort on your behalf to apply for or to secure
any grant or other external funding in connection to your position. It is also
unfortunate that in the current budget climate it is not possible for the College to
support your post-retirement position from other funding streams.
7
DE 49-3 (January 17, 2017 Termination Letter). The signatories attributed the letter to the Dean.
See, e.g., DE #49-12 (Cunningham Dep.) at 65 (confirming that “the Dean drafted it”). Per the
record, the grants supporting Mullins in 2016–17 were, in fact, set to end. However, the accuracy
of the letter’s stated justification is subject to fair doubt. Mullins testified at length to his “effort”
to secure additional funding. See DE #49-8 (Mullins Dep.) at 33–47 (listing grants and external
funding sought). Further, the UKCOD budget seemingly might have afforded funding for the
narrow commitment Mullins sought. Dean Kyrkanides himself suggested as much in his
deposition. See DE #49-13 (Kyrkanides Dep.) at 281 (acknowledging the Dental Public Health
department’s “excess of revenues” and stating that “Dr. Raybould, should he want it, could have
asked to utilize [it]”). As is typical in this record, Raybould and Cunningham had a very different
view—they saw all funds as being in control of the Dean, and they rejected the notion that a Dean
viewing Mullins as having “to go” would be receptive to continued funding for Mullins’s position.
See, e.g., DE #49-9 (Raybould Dep.) at 104–05 (stating that the Dean controlled all position
funding and made it “clear” that Mullins was not to be on the payroll); DE #49-12 (Cunningham
Dep.) at 17–18 (recalling Kyrkanides’s “definitive” communication that Mullins was not to be
involved in public health research projects going forward).
Thereafter, in August 2017, Mullins filed this First Amendment retaliation action,
originally against both Kyrkanides and Birdwhistell, in their individual and official capacities. DE
#1 (Complaint). However, in April 2018, Mullins amended the Complaint to excise the claim
against Birdwhistell. DE #30 (First Amended Complaint). Mullins’s claim against Kyrkanides, in
both his individual and official capacities, seeks both compensatory and punitive damages, as well
as the injunctive remedy of reinstatement to his former position within the UKCOD.
8
DISCUSSION
I.
Summary Judgment Standard
Summary judgment is proper if “the movant shows that there is no genuine dispute as to
any material fact and the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a).
A reviewing court must construe the evidence and draw all reasonable inferences from the
underlying facts in favor of the nonmoving party. Matsushita Elec. Indus. Co., Ltd. v. Zenith Radio
Corp., 106 S. Ct. 1348, 1356 (1986); Lindsay v. Yates, 578 F.3d 407, 414 (6th Cir. 2009).
Additionally, the court may not “weigh the evidence and determine the truth of the matter” at the
summary judgment stage. Anderson v. Liberty Lobby, Inc., 106 S. Ct. 2505, 2511 (1986).
The burden of establishing the absence of a genuine dispute of material fact initially rests
with the moving party. Celotex Corp. v. Catrett, 106 S. Ct. 2548, 2553 (1986) (requiring the
moving party to set forth “the basis for its motion, and identify[] those portions of ‘the pleadings,
depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any,’
which it believes demonstrate an absence of a genuine issue of material fact”); Lindsay, 578 F.3d
at 414 (“The party moving for summary judgment bears the initial burden of showing that there is
no material issue in dispute.”). If the moving party meets its burden, the burden then shifts to the
nonmoving party to produce “specific facts” showing a “genuine issue” for trial. Celotex Corp.,
106. S. Ct. at 2253; Bass v. Robinson, 167 F.3d 1041, 1044 (6th Cir. 1999). However, “Rule 56(c)
mandates the entry of summary judgment . . . against a party who fails to make a showing sufficient
to establish the existence of an element essential to that party’s case, and on which that party will
bear the burden of proof at trial.” Celotex Corp., 106 S. Ct. at 2552; see also id. at 2557 (Brennan,
J., dissenting) (“If the burden of persuasion at trial would be on the non-moving party, the party
moving for summary judgment may satisfy Rule 56’s burden of production in either of two ways.
First, the moving party may submit affirmative evidence that negates an essential element of the
9
nonmoving party’s claim. Second, the moving party may demonstrate to the Court that the
nonmoving party’s evidence is insufficient to establish an essential element of the nonmoving
party’s claim.” (emphasis in original)).
A fact is “material” if the underlying substantive law identifies the fact as critical.
Anderson, 106 S. Ct. at 2510. Thus, “[o]nly disputes over facts that might affect the outcome of
the suit under the governing law will properly preclude the entry of summary judgment. Factual
disputes that are irrelevant or unnecessary will not be counted.” Id. A “genuine” issue exists if
“there is sufficient evidence favoring the nonmoving party for a jury to return a verdict for that
party.” Id. at 2511; Matsushita Elec. Indus. Co., 106 S. Ct. at 1356 (“Where the record taken as a
whole could not lead a rational trier of fact to find for the non-moving party, there is no ‘genuine
issue for trial.’”) (citation omitted). Such evidence must be suitable for admission into evidence at
trial. Salt Lick Bancorp v. FDIC, 187 F. App’x 428, 444-45 (6th Cir. 2006).
II.
Official-Capacity Claim
Kyrkanides first argues that Mullins’s official-capacity claim fails because (1) sovereign
immunity bars it, and (2) § 1983 is inapplicable in the official-capacity context because “neither a
State nor its officials acting in their official capacities are ‘persons’ under § 1983” subject to
liability. Will v. Mich. Dep’t of State Police, 109 S. Ct. 2304, 2312 (1989). See DE #44 at 16.
A. Sovereign Immunity
The Eleventh Amendment shields states from suits “by citizens of another state[.]” U.S.
Const. amend. XI. The related concept of sovereign immunity “prohibits suits against a state by
one of its own citizens.” Cox v. Shelby State Cmty. Coll., 48 F. App’x 500, 504 (6th Cir. 2002).
Mullins’s claim against Kyrkanides in his official capacity as Dean of the UKCOD “is, in all
respects other than name, to be treated as a suit against” the UKCOD. Kentucky v. Graham, 105
S. Ct. 3099, 3105 (1985). And, under Ҥ 1983, the University, as an arm of the State, is immune
10
from suit under the Eleventh Amendment” and sovereign immunity. Johnson v. Univ. of
Cincinnati, 215 F.3d 561, 571 (6th Cir. 2000). Kyrkanides, in his official capacity, cannot be liable
to Mullins for monetary damages, “but may be subject to injunctive remedies.” Cox, 48 F. App’x
at 504.
Mullins seeks such injunctive relief—namely, reinstatement to his former position in the
UKCOD. See DE #30 at 14 ¶ C. Where a plaintiff “has asked for the equitable and prospective
remedy of reinstatement . . . [that] portion of [the] suit is not barred by the Eleventh Amendment”
or sovereign immunity. Cox, 48 F. App’x at 504. Courts, therefore, must dismiss like officialcapacity claims against university officials, “excepting only those claims praying solely for
prospective injunctive relief.” Hardy v. Jefferson Cmty. Coll., 260 F.3d 671, 676 (6th Cir. 2001).
B. The Will Doctrine
Kyrkanides casts the holding in Will as an alternate basis for dismissing the officialcapacity claim against him, but it falls short of filling that role. The holding in Will primarily serves
to extend the practical concept of Eleventh Amendment and sovereign immunity to officialcapacity suits brought in state courts.4 Will, 109 S. Ct. at 2308. And, despite the Court’s conclusion
that state officials are not “persons” subject to § 1983 liability in state courts, the decision carved
out a significant caveat: “Of course a state official in his or her official capacity, when sued for
injunctive relief, would be a person under § 1983 because ‘official-capacity actions for prospective
relief are not treated as actions against the State.’” Will, 109 S. Ct. at 2312 n.10 (quoting Graham,
The Will Court succinctly framed its sole inquiry: “Petitioner filed the present § 1983 actions in
Michigan state court, which places the question whether a State is a person under § 1983 squarely
before us since the Eleventh Amendment does not apply in state courts.” Will, 209 S. Ct. at 2308.
See, e.g., Maine v. Thiboutot, 100 S. Ct. 2502, 2507 n.7 (1980) (“No Eleventh Amendment
question is present, of course, where an action is brought in a state court[.]”).
4
11
105 S. Ct. at 3106 n. 14). The present suit is in federal court, and Kyrkanides, officially, has availed
himself of the applicable sovereign immunity defense, to the extent applicable to bar Mullins’s
claim; Will has no particular bearing on this situation.
Accordingly, the Court will grant summary judgment to Kyrkanides on the officialcapacity claim, to the extent Mullins seeks monetary damages, see, e.g., DE #30 at 14 ¶ A, but will
preserve the official-capacity claim, to the extent Mullins seeks the prospective injunctive relief of
reinstatement.
III.
Individual-Capacity Claim
Kyrkanides argues that Mullins’s individual-capacity First Amendment retaliation claim
fails to survive summary judgment for three sequential reasons: (1) Mullins cannot establish the
elements of his prima facie case; (2) even if Mullins could establish them, Kyrkanides is entitled
to qualified immunity; and (3) even if the Court finds that Mullins has established his prima facie
case and also declines to grant qualified immunity, Kyrkanides has established that the UKCOD
would not have renewed Mullins’s contract regardless of his protected speech. DE ##44, 50. The
Court evaluates each argument in turn.
A. Prima Facie Case
It is well-established “that private citizens have a First Amendment right to criticize public
officials and to be free from retaliation for doing so.” Holzemer v. City of Memphis, 621 F.3d 512,
520 (6th Cir. 2010). To state a First Amendment retaliation claim, Mullins must demonstrate that:
(1) the First Amendment protects his speech; (2) he suffered an adverse employment action; and
(3) there is a causal connection between his protected speech and the adverse action. Nailon v.
Univ. of Cincinnati, 715 F. App’x 509, 513–14 (2017) (citing Savage v. Gee, 665 F.3d 732, 738
(6th Cir. 2012)). Kyrkanides does not dispute that Mullins’s comments on the proposed Medicaid
12
waiver, submitted in his capacity as a citizen during the public comment period, constituted
protected First Amendment activity.5 Kyrkanides does, however, dispute Mullins’s ability to
establish the second and third elements.
1. Adverse Employment Action
For purposes of a First Amendment retaliation claim, adverse employment actions are ones
that “would chill or silence a ‘person of ordinary firmness' from future First Amendment
activities.” Thaddeus–X v. Blatter, 175 F.3d 378, 394 (6th Cir. 1999) (en banc) (citation omitted).
The conduct need not have actually deterred the plaintiff’s speech, but the plaintiff must show that
the actions were “capable of deterring” someone of ordinary firmness. Center for Bio-Ethical
Reform, Inc. v. City of Springboro, 477 F.3d 807, 822 (6th Cir. 2007) (quoting Thaddeus-X, 175
F.3d at 398). A plaintiff must allege more than “de minimis threats or ‘inconsequential actions,’
but neither does the requisite showing permit ‘solely egregious retaliatory acts . . . to proceed past
summary judgment.’” Id. (quoting Thaddeus-X, 175 F.3d at 398). The phrase “adverse
employment action” “traditionally referred to actions such as ‘discharge, demotions, refusal to fire,
nonrenewal of contracts, and failure to promote.’ Fritz v. Charter Twp. of Comstock, 592 F.3d 718,
724 (6th Cir. 2010) (quoting Thaddeus–X, 175 F.3d at 396). But, any action that would chill a
person of ordinary firmness “will suffice, which may include harassment or publicizing facts
damaging to a person's reputation[.]” Id.
5
A First Amendment retaliation plaintiff, who is a public employee, must show that: (1) his speech
touched on a matter of public concern; and (2) his interest in addressing the matter outweighed his
employer’s interest in efficient administration of public services. See Cockrel v. Shelby Cty. Sch.
Dist., 270 F.3d 1036, 1048 (6th Cir. 2001), cert. denied, 123 S. Ct. 73 (2002); Pickering v. Bd. of
Educ. of Twp. High Sch. Dist., 88 S. Ct. 1731 (1968). The defense does not contest these subelements.
13
The Court must tailor its analysis to the specific context and circumstances. See Mezibov
v. Allen, 411 F.3d 712, 721 (6th Cir. 2005). Kyrkanides argues that, in the case of a grant-funded
appointment, renewable on yearly bases, nonrenewal would not deter a public employee of
ordinary firmness from exercising his First Amendment rights, where the employee was aware the
supporting grants were ending and failed to secure additional funding. DE # 44 at 18–19; DE #50
at 3. Kyrkanides also maintains that the appointment could not have been renewed because Mullins
intended to work only one or two days a week, at odds with continued paid employment in his
current capacity. Further, Kyrkanides claims he wanted Mullins to remain with the UKCOD as a
volunteer. DE #50 at 3. In effect, Kyrkanides represents that, essentially, he had no control over
Mullins’s departure and took no chilling action.
In arguing that Mullins’s appointment naturally came to its close, Kyrkanides urges the
Court to focus on whether Plaintiff had “some expectation of continued employment.”6 DE #44 at
18. He asserts that Mullins could not have had such an expectation, given the nature of the
appointment, and Plaintiff’s unsuccessful efforts to obtain grant funding. An expectation of
continued employment is not a prima facie case element relative to First Amendment retaliation.
A plaintiff’s “lack of a contractual or tenure ‘right’ to re-employment for the [following] academic
year is immaterial to his free speech claim.” Perry v. Sindermann, 92 S. Ct. 2694, 2697–98 (1972).
The Supreme Court has, in multiple instances, “specifically held that the nonrenewal of a
nontenured public school teacher's one-year contract may not be predicated on his exercise of First
[] Amendment” rights. Id. at 2698.
6
In support of this proposition, Kyrkanides relies upon Webb v. Kentucky State University, 468 F.
App’x 515 (6th Cir. 2012). However, Webb’s determination that there was no adverse action
hinged on the fact that the allegedly adverse events occurred before the plaintiff’s allegedly
protected activity, foreclosing any causal connection. Accordingly, the facts are inapposite to the
present scenario, and Webb is unpersuasive.
14
The proper inquiry is not whether Mullins had an expectation his employment would
continue, but rather whether Kyrkanides failed to renew him based on unconstitutional motives.
“[E]ven though a person has no ‘right’ to a valuable governmental benefit and even though the
government may deny him the benefit for any number of reasons, there are some reasons upon
which the government may not rely,” particularly including “constitutionally protected interests—
especially, his interest in freedom of speech.” Id. at 2697. The plaintiff’s expectations are irrelevant
to this equation. See, e.g., Adkins v. Bd. of Educ. of Magoffin Cty., Ky., 982 F.2d 952, 995 (6th Cir.
1993) (reaffirming that “[w]hile the plaintiff had no contractual right to a job, she could not be
deprived of her public employment for exercising a constitutional right”). If Mullins’s protected
speech played a significant role in Kyrkanides’s decision not to offer him another one-year paid
contract there may be a First Amendment violation. The fact that Mullins’s appointment was grantfunded and therefore conditional is thus not dispositive of whether Mullins suffered an adverse
action when Kyrkanides declined to renew his contract.
The Court notes several other material things in dispute about this analysis. Mullins does
not concede the fundamental grant-funding contingency, and the appointment documents contain
no such explicit language. Although there is evidence to support that expectation, the fact that
Mullins had been through nine cycles of the vagaries of funding supports his view that the funding
plausibly would have been there in a normal environment. Further, the fact of nonrenewal is only
part of the potential adverse action proof. Relatedly, Mullins points to Kyrkanides’s causal role.
Kyrkanides allegedly told several decision makers that Mullins had “to go” and would no longer
be involved with the UKCOD. He also explicitly directed multiple faculty members to exclude
Mullins from grant activities and, in the case of Aalboe, to stop communicating altogether with
15
Mullins.7 See DE #49-7 ¶ 5 (Aalboe stating that Kyrkanides instructed her not to speak with
Mullins); DE #49-12 (Cunningham Dep.) at 17 (describing Kyrkanides as “very clear” in stating
“Dr. Mullins needed to—you know, not be involved anymore.”); DE #49-6 (Ebersole stating that
Kyrkanides instructed: “Dr. Mullins should be excluded from public health research projects at
UK College of Dentistry in the future.”). Ms. Aalboe flatly stated: “[The Dean] told me that Dr.
Mullins was not to get any more grant funding.” DE #49-7 ¶ 7.
The Dean allegedly attempted to introduce division between Mullins and Raybould. And
Aalboe described Kyrkanides as “trying to undermine [her] professional relationship with Dr.
Raynor Mullins.” Id. at ¶ 6. The Dean allegedly reminded Mullins that he could be fired. The Dean
was arguably duplicitous in his dealings with Mullins, facially (and falsely) touting his value to
the team, but secretly ordering and pursuing a plan to end Mullins’s tenure at the UKCOD.
Defendant himself ceased communication with Mullins by mid-September 2016, having no
substantive interaction with him after the mid-September inflammatory email chain. Kyrkanides
also inaccurately communicated Mullins’s employment plans in October of 2016 (without
including Mullins on the communication). See DE #49-24.8 Finally, Kyrkanides noted the presence
of alternative funding and yet disclaimed any authority to access such funding to benefit Mullins,
Courts have considered evidence of an employer’s attempt to isolate an employee from
colleagues in assessing the adverse action prong. See, e.g., Akins v. Fulton Cty., Ga., 420 F.3d
1293, 1302 (11th Cir. 2005) (finding adverse action sufficient to survive summary judgment
where, inter alia, “[Defendant] instructed [Plaintiffs’] coworkers not to talk with them[]” and
attempted to “isolate them from their colleagues”); see also Parkins v. Civil Constructors of
Illinois, Inc., 163 F.3d 1027, 1038–39 (7th Cir. 1998) (finding, under the more stringent Title VII
retaliation standard, that ostracism by coworkers may constitute adverse action if directed or
sanctioned by the employer).
8
Mullins contests the accuracy of the Dean’s summary email, claiming he “completely
mischaracterized the nature of [their] meeting and [their] discussion[.]” DE #49-8 (Mullins Dep.)
at 153.
7
16
a position directly opposite to that taken by the other involved administrators.9 The termination
letter contains justifications that are debatable on this record and can fairly be viewed as resting
on reasons manipulable or strongly influenced by Kyrkanides himself. Simply put, viewing the
evidence in Plaintiff’s favor, a reasonable speaker confronting this collection of conduct would be
chilled in the exercise of speech.
2. Causal Connection10
Whether Mullins’s nonrenewal was “adverse action” and whether his speech motivated
such action are closely related and somewhat interdependent considerations. Mullins must “show
that the exercise of his First Amendment rights was a ‘substantial or motivating factor’ in the
adverse action” to establish a causal connection. Eckerman v. Tenn. Dep’t of Safety, 636 F.3d 202,
209 (6th Cir. 2010) (defining this as but-for causation). To survive summary judgment, he “must
Thus, Kyrkanides testified, “[I]t’s in the hands of leadership such as Dr. Raybould and Dr.
Ebersole to make it happen. If I have an objection, I’ll raise it, but, please, deliver.” DE #49-13
(Kyrkanides Dep.) at 218. Here, he attributes the funding power to Mullins’s supervisors. See also
id. at 219 (“I left it up to his supervisor and the head of research to make it happen.”); id. at 271,
272 (noting other potential funding sources and saying, “[N]one of his other colleagues, such as
Dr. Raybould or Jeff Ebersole are actually willing to support him.”); id. at 281 (suggesting that
Benton clinic surplus “was one that Dr. Raybould, should he want it, could have asked to utilize .
. . . He has never come forward with a proposal for any – for Dr. Mullins.”). Raybould,
Cunningham, and (arguably) Ebersole each testified that Kyrkanides stated his intent to terminate
Mullins. Each indicated that the Dean discouraged inclusion of Mullins on projects or grants going
forward. Each viewed further money for Mullins as impossible, given the Dean’s hard line. See
DE #49-12 (Cunningham Dep.) at 17 (describing Kyrkanides as “very clear” in stating “Dr.
Mullins needed to—you know, not be involved anymore.”); see also DE #49-6 (Ebersole stating
that Kyrkanides instructed: “Dr. Mullins should be excluded from public health research projects
at UK College of Dentistry in the future.”); see also DE #49-9 (Raybould Dep.) at 21–23 (“And I
was asked to figure out a way to have Raynor go.”); id. at 23–24 (discussing meeting the next day,
where Kyrkanides said “we have to formulate a plan on how to deal with Raynor” and interpreting
that to mean “that he [Mullins] wouldn’t be able to be employed at UK anymore, was my
understanding.”). A jury must determine whether the Dean effectively thwarted Mullins’s
continued funding and thus continued employment.
10
The Court addresses this element because of a stray line in DE #44, at 17, although the defense
does not fully address the issue.
9
17
produce enough evidence of a retaliatory motive such that a reasonable juror could conclude that
the [adverse action] would not have occurred but for his engagement in protected activity.” Id.
Such evidence can be direct or circumstantial, and it may include temporal proximity. Id. Further,
“incidents of misconduct that do not rise to the level of an adverse employment action may be
relevant at trial to show a pattern of mistreatment on the job based on plaintiff's protected
activities” even preceding an adverse action. Dye v. Office of the Racing Com’n, 702 F.3d 286,
305 (6th Cir. 2012) (quotation marks and citation omitted).
Determinations as to motivation usually require factual evaluation, an ill fit for summary
judgment. For instance, Mullins alleges that, prior to the public filing of his comments in July
2016, he expressed his concerns about the Medicaid waiver to Kyrkanides informally; Mullins
states that Kyrkanides told him to stay “off radio” with respect to his opinions about the waiver,
indicating that this direction came from “up top.” DE #30 at ¶¶ 14–16; DE #49-8 at 109–110.
Mullins took this statement as a warning not to speak publicly about the waiver. Id.
Mullins also presents evidence that Kyrkanides expressed disdain for Mullins’s Medicaid
comments again after Kyrkanides returned to the UKCOD following his July 2016 trip to Greece
and subsequent August 2016 illness. See DE #49 at 9; DE #49-12 at 14–15 (Dr. Cunningham
confirming his belief that the Governor’s Office communicated “through Birdwhistell to the Dean
while he was on vacation.”); DE #49-9 at 21–22 (Dr. Raybould stating his belief that Kyrkanides
received a phone call in Greece concerning displeasure with Mullins’s comments). Further,
Mullins plausibly supports the facial view that Kyrkanides expressed a desire to terminate Mullins
because of the comments. See DE #49-6 at ¶ 7 (Dr. Ebersole stating that “Kyrkanides also told me
at an August 2016 meting that he was told to get Raynor Mullins ‘off the radar’ on this subject”);
DE #49-9 at 21–22 (Dr. Raybould attesting that Kyrkanides told him “Raynor has got to go”
18
following Mullins’s comments); DE #49-11 at 2 (Mullins’s August 24, 2016 notes recounting Dr.
Raybould informing him that Kyrkanides had said “Raynor must go.”); DE #49-12 (Cunningham
Dep.) at 17 (describing Kyrkanides as “very clear” in stating “Dr. Mullins needed to—you know,
not be involved anymore”).
The Sixth Circuit has observed that “claims involving proof of a defendant's intent seldom
lend themselves to summary disposition.” Center for Bio-Ethical Reform, 477 F.3d at 823 (quoting
Bloch v. Ribar, 156 F.3d 673, 682 (6th Cir. 1998)). See also Barrett v. Harrington, 130 F.3d 246,
263 (6th Cir. 1997) (finding “inferences raised by the evidence of record ... sufficient to create a
question of fact and avoid summary judgment” where they “reveal the possibility that ... [the
defendant] did have a retaliatory motive”); Cockrel, 270 F.3d at 1056–57 (“[B]ecause plaintiff has
established elements of her claim for First Amendment retaliation, summary judgment for
defendants is proper only if the evidence is such that every reasonable juror would conclude that
the defendants have met their burden.”). The direct evidence of Kyrkanides’s motive, as well as
the corroborating circumstances, easily support a rational belief that Mullins’s speech resulted in
the adverse actions that followed the speech.
B. Qualified Immunity
Qualified immunity shields government officials “performing discretionary functions
‘from liability for civil damages insofar as their conduct does not violate clearly established
statutory or constitutional law of which a reasonable person would have known.’” Nailon, 715 F.
App’x at 513 (quoting Harlow v. Fitzgerald, 102 S. Ct. 2727, 2738 (1982)). Determining whether
qualified immunity protects a public official is a two-step inquiry: (1) the Court must consider
whether, viewing the facts in the light most favorable to the plaintiff, a constitutional violation has
occurred; and (2) whether the violated right was clearly established at the time of the violation. Id.
19
(citing Burgess v. Fischer, 735 F.3d 462, 472 (6th Cir. 2013)). The plaintiff must establish both
elements to overcome a defendant’s assertion of qualified immunity. Id.
1. Constitutional Violation
The Court must first analyze the elements of the First Amendment retaliation claim under
the circumstances to determine whether a constitutional violation occurred. Id. As discussed at
length in the preceding section, the Court finds that Mullins has put forth enough evidence to
establish a prima facie case of First Amendment retaliation. Fairly construed in Mullins’s favor,
the proof shows direct retaliation by the Dean against Mullins (to include isolation, exclusion from
project opportunities, ostracism, a threat of firing, undermined relationships, efforts at creating
interpersonal division, inaccuracies about employment intent, and, critically, an expressly stated—
though falsely hidden—intent to fire) for protected speech. Accordingly, for qualified immunity
purposes, Mullins has sufficiently alleged a constitutional violation.
2. Clearly Established Right
Under the second prong of the test, Mullins must show that his First Amendment rights in
this context were clearly established at the relevant time. “A right is clearly established when its
contours are sufficiently clear that a reasonable official would understand that his conduct violates
that right.” Id. at 515 (citing Anderson v. Creighton, 107 S. Ct. 3034 (1987)). The “dispositive
question is whether the violative nature of particular conduct is clearly established . . . in light of
the specific context of the case, not as a broad general proposition.” Mullenix v. Luna, 136 S. Ct.
305, 308 (2015). The crux of the inquiry is “whether public officials are on notice that their conduct
is unlawful.” Nailon, 715 F. App’x at 515–16.The Court primarily considers Supreme Court, Sixth
Circuit, and this Court’s precedent to determine whether a right was clearly established. Id. at 515.
20
Kyrkanides, as discussed previously in this opinion, does not challenge the protected nature
of Mullins’s speech regarding the Medicaid waiver. Nor does he argue that Mullins’s right to speak
freely as a private citizen on the Medicaid waiver was not, itself, a clearly established one. Rather,
Kyrkanides argues that the law is not clearly established as to whether declining to renew a grantfunded contract constitutes an adverse action because “Mullins simply cannot point to a
‘particularized’ body of precedent that ‘squarely governs’ nonrenewal of a contract where all
funding supporting the position is expiring and has not been replaced.” DE #50 at 5 (quoting Lyons
v. City of Xenia, 417 F.3d 565, 579 (6th Cir. 2005).
Existing authority would have put a reasonable official on notice that declining to renew
Mullins’s appointment, even if grant-dependent, because of his protected speech would constitute
First Amendment retaliation in these circumstances. See, e.g., Perry, 92 S. Ct. at 2698 (“Indeed,
twice before, this Court has specifically held that the nonrenewal of a nontenured public school
teacher's one-year contract may not be predicated on his exercise of First [] Amendment rights.”);
id. at 2697 (stating that the plaintiff’s “right” to continued enjoyment of a government benefit is
immaterial to whether that the plaintiff was deprived of that benefit as a result of his protected
speech); Shelton v. Tucker, 81 S.Ct. 247, 250–251 (1960) (finding that nonrenewal of teachers’
whose contracts were “on a year-to-year basis[,]” who were “not covered by a civil service
system,” and who had “no job security beyond the end of each school year,” could not be premised
on the teachers’ exercising their First Amendment rights).
The Court further recognizes that “[p]ublic officials could ‘still be on notice that their
conduct violates established law even in novel factual circumstances[,]’” Nailon, 715 F. App’x at
515 (quoting Gaspers v. Ohio Dep’t of Youth Servs., 648 F.3d 400, 417 (6th Cir. 2011)). In view
of the existing case law, if the Court accepts as true the disputed, though buttressed, factual
21
allegations supporting Mullins’s characterization of Kyrkanides’s motive for declining to renew
the appointment, a reasonable official in these circumstances would have been aware of “the
violative nature of [his] particular conduct.” Mullenix, 136 S. Ct. at 308. In other words, taking
Mullins’s account of facts as true, Mullins has shown that nonrenewal of his contract in retaliation
for protected speech would have been a clearly established constitutional violation under these
circumstances. Accordingly, Kyrkanides is not entitled to qualified immunity.
Further, and again, the situation is more nuanced and factually complicated than simply the
lapse in a renewable contract. Plaintiff alleges—with factual support—that Kyrkanides specifically
intended and planned to end his contract because of the speech. Kyrkanides contacted senior
UKCOD personnel to seek a plan resulting in Mullins’s ouster. Further, per Mullins’s theory,
Kyrkanides isolated and ostracized him, blocked him from projects and funding opportunities,
misled him, and threatened him. Again, Kyrkanides purportedly held the purse strings and had the
power to grant or to deny the factual predicates stated in the nonrenewal notice.11 Under the
qualified immunity rubric, the Court must view the facts in Mullins’s favor, and those facts go far
beyond simply assessing the effect of a grant-funded positional lapse. If Mullins’s version is
correct, the Dean targeted him and ensured he would have no position at the UKCOD, come
academic year 2017–18, because Mullins had engaged in public advocacy over the Medicaid
waiver. A jury must sort fact from fiction.
11
Budget decentralization is an issue in dispute. The Dean claims the departments and divisions
had control of the budget. See DE 49-13 at 69. Other witnesses described that as aspirational and
not reality. See, e.g., DE #49-12 at 51 (Cunningham denying decentralization); DE #49-4 at 25
(Kovarik attributing ultimate budget setting to Dean).
22
C. Same-Decision Burden-Shifting Defense
In First Amendment retaliation cases, once a plaintiff establishes a prima facie case, “the
burden shifts to the defendant, who must show by a preponderance of the evidence that ‘the
employment decision would have been the same absent the protected conduct.’” Dye, 702 F.3d at
307 (quoting Eckerman, 636 F.3d at 208). Kyrkanides argues that, regardless of Mullins’s
Medicaid comments, he would have declined to offer Mullins another contract because of the
expiring grant funding and because Mullins indicated he wished to cut down his workload in the
coming year. DE #50 at 5–8.
Per Dye, in reference to the same-decision framework, “[o]nce this shift has occurred,
summary judgment is warranted if, in light of the evidence viewed in the light most favorable to
the plaintiff, no reasonable juror could fail to return a verdict for the defendant.” Dye, 702 F.3d at
294-95. Factual disputes foreclose summary judgment for the Dean on this theory, and the Court
has flagged them already. Mullins has significant evidence that calls for scrutiny into Kyrkanides’s
role in the funding lapse. Not only did the Dean isolate Mullins from faculty and from projects,
Kyrkanides also expressed his intent and plan to end Mullins’s role and did so nine months before
the academic year end. Further, the Dean claims a lack of budget capacity, but he also concedes
that funds would or could have been available if department faculty had simply tried. Given the
flat denials of Drs. Raybould, Ebersole,12 and Cunningham in this regard, the defense plainly fails
at this stage. It will be for the jury to decide whether Kyrkanides malevolently orchestrated the end
of the Mullins era at UK, or whether the Dean benignly stood by,13 in support of Mullins and in
“Dean Stephanos Kyrkanides . . . told me . . . that Dr. Mullins should be excluded from new
public health research projects at [the UKCOD] in the future.” DE #49-6 (Ebersole Aff.) ¶ 6.
13
Dr. Raybould believed the Dean had the power to make reappointment happen, if he so chose.
See DE #49-9 at 105 (“My experience is, there’s always money for things you want to do.”). He
12
23
hopes of an ongoing relationship. Both versions, which have support in the record, cannot be true.
The jury will decide.
CONCLUSION
For all of the stated reasons, the Court DENIES DE #44, except as to any official capacity
claim for damages. A jury must hear the competing proof, reach decisions on the etiology of Dr.
Mullins’s disassociation from the UKCOD, and assign blame, if any, on the claim before the Court.
This the 28th of September, 2018.
also clearly understood that would not happen. See DE #49-16 at 50–51 (“His email said, case is
closed. Raynor is not coming back. So I wasn’t going to convince him otherwise.”).
24
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