Hoskins et al v. Knox County et al
Filing
256
OPINION & ORDER: For the above reasons, the Court ORDERS as follows:1. The Court GRANTS DE 177 , DE 178 , and DE 179 . None of Plaintiffs' claims against Pickard, Broughton, Mefford, Joseph, or Knox County survives summary judgment; and 2. The Court GRANTS IN PART AND DENIES IN PART DE 180 . Plaintiffs may proceed on their § 1983 and state-law malicious prosecution claims against York, individually. Signed by Judge Robert E. Wier on 03/23/2020.(MM)cc: COR
UNITED STATES DISTRICT COURT
EASTERN DISTRICT OF KENTUCKY
SOUTHERN DIVISION
LONDON
AMANDA HOSKINS, et al.,
Plaintiffs,
v.
KNOX COUNTY, et al.,
Defendants.
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)
)
)
)
)
)
No. 6:17-CV-84-REW-HAI
OPINION & ORDER
*** *** *** ***
I. BACKGROUND
This civil-rights lawsuit followed in the aftermath of December 20, 2010, when Katherine
Mills was found dead outside her Flat Lick home. See DE 200-26 at 296 (KSP Investigative File).
Putting aside numerous questions about Katherine’s death, the investigation that followed, and the
alleged misconduct by law enforcement throughout that investigation, the parties generally agree
about the sequence of key events in this years-long ordeal. The Court recites the uncontested
timeline. 1
In the late afternoon of December 20, Katherine’s granddaughter, Jennifer Lawson, and
Jennifer’s husband, Jesse Lawson, drove together to Katherine’s home. DE 200-12 at 6 (Jesse
Lawson Deposition, Part I). An unattended UPS truck was parked in Katherine’s driveway. 2 Id. at
7. When Jennifer and Jesse approached Katherine’s back door, they found Katherine lying on the
ground near the porch, unresponsive, and bleeding from the head. DE 200-26 at 39; DE 200-123
1
The Court generally omits from the narrative references to those Defendants whom Plaintiffs
dismissed in their consolidated response to Defendants’ motions for summary judgment (DE 204).
2
A police report later indicated that the UPS driver, Stephen Parker, had discovered Katherine’s
body minutes before Jennifer and Jesse arrived. See DE 200-26 at 296.
(Audio Recording of Jennifer Lawson). Jennifer called 911 just before 5:00 p.m. DE 200-26 at
296. Several officers with the Kentucky State Police, including Detectives Jason York and Mark
Mefford, arrived at the scene. Id. at 48, 298. Both Jennifer and Jesse gave recorded statements. Id.
at 41; DE-200-122 (Audio Recording of Jesse Lawson); DE 200-123. Jennifer told officers that
Katherine recently sold her timber, for which she had earned about $15,000 over the past few
months. DE 200-123. Further investigation would later reveal that Katherine was paid in cash for
the timber and that approximately $12,000 was unaccounted for. DE 200-26 at 13.
At the scene, Mefford took photographs, created a diagram, and collected evidence. Id. at
48, 136. York documented the names and contact information of the individuals at the scene and
described the physical appearance of Katherine’s body and surroundings. Id. at 301–03. York
observed that Katherine’s purse was on the kitchen floor with its contents spilled; five $100 bills
were arrayed on the floor next to the purse. Id. at 303. There was a skillet with food on the stove,
and the oven was on. Id. Other than the purse on the floor, nothing in Katherine’s home seemed to
be disturbed or out of place. Id.
On December 21, Mefford attended the autopsy, which revealed injuries to Katherine’s
head and two broken ribs. Id. at 48, 121–24, 137–40. The cause of Katherine’s death was
determined to be “traumatic subarachnoid hemorrhage” and “blunt impacts of head, trunk, and
extremities.” Id. at 135. Clippings from Katherine’s fingernails were taken during the autopsy. See
id. at 49.
On December 22, KSP Detective Mike Cornett reported to the scene to help with the
investigation and approached a bystander across the street from Katherine’s house. Id. at 37–38.
The bystander, Michael Crump, was a possible—though, at the time, unknowing—eyewitness. See
2
id. Cornett recorded 3 a statement from Crump, who, on the day of Katherine’s death, had seen a
blue car parked near Katherine’s house. Id. Crump had also seen a white man, who was wearing a
hooded camouflage coat and had tattoos on one or both hands, walking from the rear corner of
Katherine’s home. Id. As a result, officers attempted to locate a blue vehicle in the area near
Katherine’s home. Id. Investigators also later met with Crump and produced a sketch based on
Crump’s description of the potential suspect. Id. at 20; DE 200-60 (Crump Sketch).
York, who was the lead investigator on the case, DE 200-2 at 27 (York Deposition), began
to conduct interviews shortly after Katherine’s death. Early on, York went to the sawmill close to
Katherine’s house and spoke with employees who were working on December 20. DE 200-26 at
14–15. These contacts apparently produced no information other than a list of individuals that
supposedly sold drugs in the area. See id. In late December, York interviewed two of these
contacts, Mike Simpson and Allen Helton. See id. at 15; DE 200-23 at 18–21 (Michael Simpson
Deposition); DE 200-17 at 11–12 (Helton Deposition). York learned from Simpson and Helton
that the two had driven to Florida on December 20 and gotten back around December 24. DE 20026 at 17–18; DE 200-23 at 18–21; DE 200-17 at 12. The purpose of the trip was to obtain
prescription pain medication from clinics in Florida. See DE 200-26 at 17; DE 200-23 at 18; DE
200-17 at 34–35. During these discussions, Simpson gave York a sticky note with alibi witnesses
that could corroborate his activities on December 20. DE 200-26 at 18; DE 200-23 at 19. York
later noted that Simpson was a person of interest in the case. DE 200-26 at 17. Helton denied
knowing anything about Katherine’s death. DE 200-17 at 12. York likewise identified Helton as a
person of interest. DE 200-30 at 2 (York Supplement).
3
The record does not contain any recording of Crump’s statement.
3
On January 4, 2011, Helton was the subject of a traffic stop, after which York cited Helton
for, among other violations, operating a motor vehicle under the influence of drugs. DE 200-27
(Citation); DE 200-17 at 12. Officers took Helton to the hospital for a blood test and then to the
Barbourville Police Department for questioning. DE 200-17 at 12. During this session, Helton
signed a Miranda waiver and sat for an hour-long recorded interview. See DE 200-28 (Helton
Waiver); DE 200-120 (Helton 1/4/11 Audio Recording). Helton talked about his activities on
December 20, which included running errands with Simpson before leaving for Florida in an
Enterprise rental car. DE 200-120. Helton recalled that Simpson had told Helton on December 19
that he (Simpson) would have money for the Florida trip the following day, but Helton did not
know where the money was coming from. Id. Helton said that Simpson borrowed Helton’s truck
on December 20 to get money from Vernon Bennett. Id. Helton again denied knowledge about
Katherine; he admitted knowing of her and where she lived but denied having been to her house,
knowing about her money beforehand, or taking her money. Id. He claimed not to know what
happened to Katherine or whether Simpson had killed her. Id. Helton mentioned that Jesse called
Simpson on their return trip from Florida to tell Simpson about Katherine’s death. Id. Helton also
shared that he had heard Jesse say that Cleo Brown was spreading rumors about who was involved
in Katherine’s death. Id.
On January 21, 2011, York arranged for Helton and Jesse to take polygraph examinations.
DE 200-30. Before the interview, Helton maintained his innocence, but indicated deception on the
following series of questions: “Did you participate in any way in the death of that woman? Did
you hit that woman in the head? Did you steal any of that missing money?” DE 200-26 at 117,
119. The examiner likewise reported that Jesse indicated deception on a substantially similar
series: “Did you participate in anyway [sic] in the death of that woman? Did you hit that woman
4
in the head? Did you steal any of that money from that woman?” DE 200-31 (Polygraph Report).
York’s report on the polygraph examinations adds some additional details: Helton stated that
Simpson started crying when Jesse shared the news about Katherine and that Jesse told Simpson
the State Police were looking for him (Simpson). DE 200-30.
After Jesse completed the polygraph, he sat down for additional questioning in a videoand audio-recorded session. See DE 200-32 (Lawson Audio Recording). The recording picks up
mid-conversation, 4 during which Jesse acknowledged that Cleo Brown said Helton and Simpson
had been seen on Katherine’s property. Id. Jesse recommended that the police talk to his “wife’s
dad’s girlfriend” because “she steals off people all the time.” Id. Jesse then identified Amanda
Hoskins by name, said “she was on the needle real bad,” and described Hoskins’s alleged history
of theft and other wrongdoing. Id. York entered the room close to thirty minutes after the recording
began and told Jesse that William Lester (Jesse’s wife’s dad) was involved. Id. York referenced
Hoskins being a “pill head” and Lester bragging about robbing Katherine. Id. Jesse agreed with
York’s statement that Simpson was involved. Id. Jesse hesitated to agree with York’s other
suggested suspects, including Hoskins and Lester, though he ultimately suggested that Helton
might have split Katherine’s money with Simpson. Id.
In late January or early February 2011, York went to Lester’s home and found Lester in
the driveway, working on his black Camaro. DE 200-107 at 38, 54–55 (Lester Deposition). York
questioned Lester about the hooded coat Lester was wearing at the time and mentioned that “that
[Lester] had been running [his] mouth over at Escoes.” Id. at 55–56. York then photographed
Lester in his coat, facing different directions with the hood up. Id. at 55. The interaction was short.
Id. (“Five minutes, at the most.”). York said that he would be back. Id. at 111. Lester talked to his
4
The identity of the first person with whom Jesse was talking does not appear in the record.
5
family about York’s visit, and they recommended that Lester get legal help. Id. at 110. York’s
report notes an unsuccessful attempt to interview Lester on February 4, 2011. DE 200-26 at 16.
Per York, “[Lester] stated he wanted his attorney David Hoskins.” Id.
On February 15, 2011, York sought search warrants for AT&T call logs for phone numbers
associated with Lester, Jesse, and Simpson. DE 200-26 at 77–88. In each application, York
provided some details from the investigation. See id. at 84, 86, 88. As to Lester, York noted that
Lester had been bragging about Katherine’s money and that Lester was friends with Simpson, who
supposedly had been at Katherine’s house on December 20. Id. at 84. York wrote that Lester had
been married to Katherine’s daughter Diane and would have known where to find Katherine’s
money. Id. As to Jesse, York described the phone call during which Jesse told Simpson that
Katherine was dead. Id. at 86. York also repeated that a witness had identified Simpson as being
at Katherine’s house. Id. As to Simpson, York wrote that Crump had identified Simpson as the
person he saw at Katherine’s house on the morning of December 20. Id. at 88. York also explained
that, per Helton and Jesse, Simpson started crying when Jesse called him to tell him about
Katherine. Id.
That same day, Hoskins was arrested for a failure to appear. DE 200-1 at 11 (Hoskins
Deposition). She was taken to the Barbourville Police Station, where York and Barbourville Police
Officer Mike Broughton questioned her about Katherine’s death. DE 200-1 at 11–12; DE 200-26
at 21. This meeting produced a twenty-minute recorded statement. See DE 200-125 (Audio
Recording of Amanda Hoskins). During the recorded interview, Hoskins disclosed that she had an
on-and-off relationship with Lester (Katherine’s ex-son-in-law). Id. Hoskins stated that she had
been dating Lester in December 2010 and that she had heard him talking on the phone about
Katherine having sold her timber. Id. Per Hoskins, she had twice heard Lester talk about a plan to
6
rob Katherine by taking her purse when she went to use the outhouse: once to Simpson and another
time to Joe King (who is the father of Hoskins’s son). Id. Lester had apparently mentioned money
troubles during these conversations, and Hoskins noted that Lester’s bills were paid off all at once
after Christmas, perhaps with gift money from family members. Id.
Also, Hoskins shared that she was with Lester on December 20 when Jesse called Lester
to tell him that Katherine had been found in the yard. Id. She explained that she had been with
Lester for several hours that day and that Lester had dropped her off at the doctor. Id. Hoskins
denied being involved in the robbery or knowing who was involved and stated that she had not
stolen from Katherine’s or Lester’s family. Id. She added that Jesse mentioned that he was going
to call the tip line to say that Simpson had something to do with Katherine’s death. Id. Toward the
end of the recording, York asked Hoskins to call Lester on speakerphone. See id. Hoskins
complied, but Lester provided little information other than to say that he had not told the police
anything and that there was nothing to tell. Id. The recording of Hoskins’s interview stops while
Hoskins is mid-sentence, speaking with York after her call to Lester. Id.
Around this same time, Hoskins’s cousin Jonathan Taylor was likewise brought to the
Barbourville Police Department for questioning. See DE 200-4 at 38 (Taylor Deposition, Part I).
The investigative file reveals next to nothing about Taylor’s interview. See DE 200-26. At some
point, Taylor consented to have his photograph taken. See DE 200-4 at 40. At York’s direction,
Broughton 5 used a camera available at the Barbourville Police Department to photograph Taylor.
DE 200-4 at 60; DE 200-14 at 7 (Broughton Deposition). Taylor put on his hooded coat and
complied with officer directions about where to stand and which direction to face. DE 200-4 at 40,
5
There appears to be a dispute about who took the photographs. Taylor testified at his deposition
that York was the photographer, DE 200-5 at 7, whereas Broughton at his deposition stated that
he took the photographs at York’s direction, DE 200-14 at 7.
7
60. Afterwards, Knox County Sheriff John Pickard transported Taylor to the Knox County Jail;
Taylor ultimately served time in Bell County for unpaid fines on traffic violations. DE 200-4 at
39, 41, 60.
At some point during the investigation, Crump was shown photographs of Simpson and
possibly Taylor. 6 DE 200-2 at 7; DE 200-20 at 8 (Crump Deposition). York testified that he had
sent photographs of Taylor to a police department in Oklahoma, where Crump was living at the
time. DE 200-2 at 7. Crump testified that he thought he had seen Taylor’s photographs before but
could not be certain, nor did he recall who had showed him the photographs. DE 200-20 at 8.
Crump recalled that York had showed him photographs of Simpson and that Crump could not
identify Simpson as being the person he saw on Katherine’s property on December 20. Id. In his
deposition, despite being unable to recall particular interactions, Crump was steadfast that, each
and every time he was questioned by anyone, he could never say definitively who he had seen on
December 20. See id. at 9–10. York confirmed in his deposition that Crump had never made a
positive identification. DE 200-2 at 20–21.
On April 15, 2011, York took a recorded statement from Lester in the presence of Lester’s
lawyer, David Hoskins. See DE 200-124 (Audio Recording of William Lester). Lester confirmed
(Amanda) Hoskins’s claim that Lester had known about Katherine’s money before her death; his
daughter Jennifer had told him that Katherine sold her timber for $15,000. Id. Also, Lester did not
dispute Hoskins’s account that, before Katherine’s death, Lester had talked about a plan to rob
Katherine; Lester admitted he had this conversation with several people, including his son-in-law
Jesse. Id. Lester said that Jesse had agreed it was a good plan, though Lester characterized the
discussion as “joking.” Id. Lester acknowledged that he had made a similar statement to King
6
This information does not appear in the investigative file.
8
(without mentioning Katherine by name) in the presence of Hoskins, on one occasion in early
December at the Pineville Walgreens. Id. Lester then provided information on various topics:
King’s vehicles (which, notably, did not include a blue car); King’s relationship with Hoskins;
King’s drug habit; Hoskins’s drug dealers (including Bob Smith and Cleo Brown); and Taylor. Id.
Lester claimed that he did not know Taylor well and that he had met Taylor about six months
before Taylor’s accident (in November 2008). Id. Per Lester, Taylor had not talked to him about
Katherine until after the police questioned Taylor. Id.
Lester then accounted for his activities leading up to Katherine’s death. Id. Lester
remembered Hoskins asking him for drugs on December 19, and he sold his washing machine in
order to buy her some. Id. In the early morning of December 20, Lester went to see Simpson about
another pill for Hoskins, got gas from Escoe’s Market and breakfast from McDonald’s, and sold
an old Cadillac for $150. Id. Then, he stopped by the home of Linda Taylor, Hoskins’s mother,
with whom Hoskins lived and where Hoskins was in bed around 9:30 or 10:00 a.m. Id. Lester left
to get a pill for Hoskins and then returned to wait for her while she got ready for her doctor’s
appointment with Dr. Larry Warren. Id. Lester took Hoskins and her two children to Dr. Warren’s
office and left after the appointment between 12:30 and 1:00 p.m. Id. They then filled Hoskins’s
prescription at the Pineville Walgreens around 2:00 p.m., stopped at McDonald’s, and went to
Lester’s house to meet up with Lester’s daughter Jennifer, who had called about getting some pills
for her husband Jesse. Id. Hoskins and Lester were still at Lester’s house when Jesse called Lester
to tell him about Katherine. Id.
About a month later, on May 16, 2011, York recorded a statement from Christy Branson,
who had been in Knox County and Harlan County Jail with Hoskins two or three months prior.
DE 200-26 at 23; DE 200-113 (Branson Recording). Branson reported that, while they were in jail
9
together, Hoskins had talked on seven or eight occasions about killing Katherine. DE 200-113.
According to Branson, there were five people involved in Katherine’s death, including Hoskins,
Taylor, King, and Kayla Mills 7 (reportedly Taylor’s girlfriend); Branson was unsure whether the
fifth person was Lester. Id. Branson relayed that Hoskins had pretended to have car trouble and
asked Katherine to use her phone; that King hit Katherine; that Hoskins knew Katherine had money
because an unidentified person had told her; and that Hoskins searched the house and found
$15,000 in Katherine’s purse. Id. Branson claimed that Hoskins took the purse, split the money
with others, and used it to buy drugs—specifically, 30s—from Bob Smith. Id. Per York’s report,
Smith was a confirmed drug dealer. DE 200-26 at 23.
On June 24, 2011, York met with King at the Bell County Courthouse. DE 200-26 at 25.
There is no recording of King in the record; York’s report notes that King refused to be recorded.
See id. York’s report further summarizes King’s statement as follows: on December 19, King saw
Hoskins and Lester, who were in need of money to get a suboxone prescription filled. Id. King
“arranged for [Hoskins] to get enough money to fill the prescription,” and she did so at the Pineville
Walgreens. Id. Also, King stated that he had heard Hoskins and Lester talking about robbing
Lester’s ex-mother-in-law by locking her in the outhouse. Id. Part of the plan apparently involved
Hoskins dressing up like a home health nurse. Id. Also, Lester had told King that Katherine had
money from selling timber. Id. The following day, when King saw the news story about
Katherine’s death, he tried to call Hoskins. Id. When he got in touch with Hoskins, she said she
was buying stuff at County Gun and Pawn. Id. King asked where Hoskins had gotten the money—
since she had no money the previous Sunday night—and Hoskins told him that she had gotten
7
No known relation to Katherine Mills. For clarity, the Court throughout refers to Katherine Mills
as “Katherine” and Kayla Mills as “Kayla.”
10
$10,000 from a settlement. Id. King also told York that Hoskins was having an affair with Dr.
Warren. Id.
York followed up on some of these details. For example, he reported seizing records from
the Pineville Walgreens. See id. at 27. According to York, Dr. Warren wrote a prescription on
December 20; Hoskins filled it on the same day around 3:00 p.m., paying cash. See id. York’s
report documents the inconsistency between this evidence and part of King’s story, since he
recounted Hoskins filling a prescription on the evening of December 19. Id. Additionally, York
investigated King’s allegations about Dr. Warren. York visited Hope Medical Center and talked
with a nurse who advised that Dr. Warren had been fired for alleged inappropriate behavior with
a female employee. Id. The nurse also provided a form to York that showed Hoskins had an
appointment at 11:30 a.m. on December 20 and that she arrived at 11:54 a.m. that day. Id. York
noted that Hoskins and Lester had previously told him Hoskins’s appointment was around 9:30
a.m. 8 Id. The report further documents York’s efforts to learn whether Hoskins had an
inappropriate relationship with Dr. Warren. Id. Per the report, Dr. Warren had written Hoskins
prescriptions without seeing her and after hearing from a nurse that Hoskins had fresh track marks
on her arms. Id. When York spoke with Dr. Warren, he declined to be recorded but agreed to
provide a letter and admitted that Hoskins had flirted with him in the past. Id.
On March 8, 2012, York and Pickard recorded another statement from Helton at the Knox
County Sheriff’s Office. DE 200-26 at 30; DE 200-40 (Helton Audio Recording). In this twelveminute recording, Helton stated that Hoskins had approached him at Escoe’s Market on December
8
Neither Hoskins’s nor Lester’s recorded statement references a 9:30 a.m. doctor’s appointment.
See DE 200-124; DE 200-125. One of York’s reports, dated June 29, 2011, indicates (without
attribution) that both Hoskins and Lester claimed they were at the doctor “around 0930 hours.”
See DE 200-26 at 27.
11
19, 2010 and asked if he wanted to make some money by tying up Lester’s ex-mother-in-law. DE
200-40. According to Helton, Hoskins explained that Lester knew Katherine’s morning routine,
and the plan was to lock her in the outhouse. Id. Helton described seeing Lester’s Camaro driving
near Katherine’s house on the morning of December 20. Id. Later that day, around noon, Helton
saw Hoskins at Simpson’s house with a large sum of money and heard her say that they “got the
job done.” Id. Helton said that Simpson knew about the robbery plan (but not any plan to harm
Katherine) beforehand. Id. Helton repeated a rumor about Taylor being involved but clarified that
he had never heard Hoskins talk about Taylor or Kayla. Id.
On March 13, 2012, York met with Amber Simpson 9 at the Knox County Alternative
School. DE 200-26 at 32. York recorded Amber’s seven-minute statement in the presence of
school guidance counselor Rhonda Abner. See id.; DE 200-51 (Amber Simpson Recording).
Amber claimed that, in September 2011 at Taylor’s apartment, Taylor had talked to Amber about
Katherine’s death. DE 200-51. According to Amber, Taylor said that Lester had planned the
murder and that Kayla was the lookout. Id. Taylor had hit Katherine in the head twice with a
hammer and placed $100 bills in a circle next to Katherine’s purse. Id. Hoskins was the getaway
driver in a blue or black Cavalier, which they paid someone in Stinking Creek to store for two
months. Id. Although police thought that the Cavalier from the Children’s Home was involved,
Amber said that it was not. Id. Amber also relayed that Taylor was worried Kayla would turn on
him while being questioned by law enforcement. Id. York noted that, per the medical examiner, a
hammer could have caused Katherine’s injuries and that police had not released details about the
manner of Katherine’s death or the left-behind money. Id.
9
No known relation to Mike Simpson. For clarity, the Court throughout refers to Mike Simpson
as “Simpson” and Amber Simpson as “Amber.”
12
On March 14, 2012, York recorded a two-minute statement from Marcie Baker, who had
been in rehab with Kayla. DE 200-126 (Audio Recording of Marcie Baker). Marcie said that Kayla
had talked about Katherine being killed. Id. Per Marcie, Kayla had driven in a blue Cavalier with
a boy named John and another boy who dated the old lady’s granddaughter. Id. The unnamed boy
had coaxed the old lady to the door and John hit the old lady in the head and robbed her. Id. They
knew about the money from the unnamed boy. Id. In response to Marcie’s comment that Katherine
had been killed over $40, Kayla said it was way more than $40 and showed Marcie the track marks
on her arms. Id. Kayla also said that the car would never be found because Kayla’s mother had
hidden the car somewhere in a barn on Stinking Creek. Id.
That same day, upon York’s criminal complaint, a judge signed arrest warrants for
Hoskins, Taylor, Lester, and Kayla. DE 200-26 at 106–13. Each criminal complaint recites, as the
basis for issuance, only the offenses (murder and robbery in the first degree), the date and location
of the offenses (December 20, 2010, at Katherine’s residence), the name of the victim (Katherine
Mills), and the amount of money suspected stolen ($12,280). See id. at 106–07, 109–10.
It appears that both Hoskins and Taylor were already in custody when they were notified
of these charges. Hoskins had previously pleaded guilty to a burglary charge, for which she served
a term of probation. See DE 200-1 at 34; DE 200-26 at 11 (Hoskins resident record card showing
conviction for burglary, third degree). 10 Per her deposition testimony, in March 2012, Hoskins was
on probation for the burglary charge. DE 200-1 at 34. Around March 12, 2012, she went to the
Knox County Jail to turn herself in on a supposed violation after failing to report (which she
10
There is a conflict between Hoskins’s deposition testimony and this resident record card.
Hoskins testified that she had already pleaded guilty to burglary and was on probation by the time
she was charged with Katherine’s death. See DE 200-1 at 34. The investigative file shows a thirddegree burglary conviction on August 14, 2012. See DE 200-26 at 11.
13
described as getting “absconded”). See id. at 34–35. Hoskins was in jail on this violation when
York came to charge her with robbery and murder. See id. at 35. At this same time, Taylor was in
custody in Whitley County. See DE 200-4 at 42–44. 11
On March 15, 2012, York came to the home of Donna Mills,12 Kayla’s mother, asking to
speak with Kayla. 13 Donna advised that Kayla was not home and recalled talking to York about
where Kayla was on the day of Katherine’s death and the fact that Kayla had not been dating
Taylor at that time. DE 200-52 at 13. Per Donna, York said that Kayla knew what she needed to
say and that she would go to jail if she did not say it. Id. After York left, Donna looked for and
found Kayla and got in touch with a lawyer, Kenneth Boggs. Id. Donna then went to the police
station and arranged for Kayla to give a statement the following day. Id.
On March 16, 2012, York recorded an eight-minute statement from Kayla at the
Barbourville Police Department. See DE 200-26 at 34; DE 200-54 (Kayla Mills Recording). Kayla
attended this interview with her lawyer Boggs, her mother Donna (a/k/a Cricket), and Donna’s
then-fiancé Scott Mills. See DE 200-26 at 54. In the recording, York asked Kayla to tell him about
the times that Taylor (her ex-boyfriend) had talked about killing Katherine. DE 200-54 Kayla
stated that she knew Taylor had it in him to kill someone and that she had broken up with him
because she thought he was going to kill her. Id. Taylor confessed a lot, by saying things about
11
The basis for Taylor’s detention is somewhat unclear. On February 12, 2012, Taylor was arrested
on meth manufacturing charges. See DE 200-4 at 42–46; DE 200-5 at 14–15 (Taylor Deposition,
Part II). But, the record also shows that Taylor was convicted of third-degree burglary on March
7, 2012. See DE 200-26 at 4. Taylor was committed to the Bell County Jail on March 5, 2012, and
transferred to the Whitley County Detention Center that same day. See id. at 8.
12
No known relation to Katherine Mills. For clarity, the Court throughout refers to Donna Mills
as “Donna.”
13
The only record evidence of this particular interaction appears in Donna’s deposition. See DE
200-52 at 12–14 (Donna Mills Deposition). In his deposition, York testified to having spoken with
Kayla (either directly or through her attorney) and with Donna before Kayla’s March 16, 2012
statement. See DE 200-2 at 42, 47.
14
“leaving another one laying” up on the creek. Id. Kayla said that Taylor had referenced “an old
woman” but did not identify Katherine by name, though she knew Taylor was talking about
Katherine. Id. Taylor was sometimes vague about details but seemed to want to confess and felt
guilty, by Kayla’s estimation. Id. Taylor never mentioned who was with him at the time or why
they killed Katherine. Id. Taylor said that the police knew where Katherine’s money went. Id.
Lester also talked to Taylor about a lot of money going to drug dealers, and Kayla said that Lester
was worried. Id. After her statement, despite having an arrest warrant in hand, York did not arrest
Kayla. See DE 200-2 at 43–44.
A. Preliminary Hearing
On March 27, 2012, York testified at a preliminary hearing for Hoskins and Taylor. See
DE 200-66 at 2 (Preliminary Hearing Tr.). According to his testimony, Katherine was killed in the
morning of December 20 by someone who knew where to find her money. Id. at 3. Hoskins and
Lester were suspects because they had acknowledged in interviews that they knew about
Katherine’s money and that Lester had talked about a plan to take it. Id. York repeated details
about the supposed interaction between Hoskins, Lester, and King at the Pineville Walgreens the
day before Katherine was killed, including King’s statement that Hoskins and Lester had no money
on December 19 and that Hoskins planned to dress up like a home health nurse. Id. York also
stated that Crump had identified Taylor as the person he saw at Katherine’s house on the morning
of her death. Id. York repeated Crump’s description 14 of a second person at Katherine’s house that
morning: a female with blondish-brown hair, sitting in the blue car. Id. York referenced his
14
The investigative file does not reveal when or to whom Crump gave this information. See DE
200-98 at 2 (Crump Report). In his deposition, Crump recalled telling York about a woman, whose
face he could not see, who had blondish-brown hair and was sitting in the blue car at Katherine’s
house. See DE 200-20 at 6, 10–11. Pickard, in his deposition, confirmed Crump’s mention of a
woman. See DE 200-13 at 50 (Pickard Deposition).
15
interviews with Amber and Kayla (“Taylor’s ex-girlfriends”), with whom Taylor had shared
details about the crime scene. Id. at 3–4. York testified about Hoskins’s supposed confession to
Branson. Id. at 4. York also mentioned that Hoskins and Lester had given him alibis involving
Hoskins’s doctor’s appointment at 9:30 a.m., that records showed Hoskins did not arrive until close
to noon, that Hoskins and Lester had approached Helton on December 19 with their plan to steal
Katherine’s money, and that Helton had seen Hoskins and Lester at Simpson’s house on December
20 with a large sum of money. Id. at 5–6. York added that Hoskins, Lester, and Simpson were all
broke on December 19, that Helton and Simpson had money to go to Florida the following day,
and that Hoskins had put in an order for pain pills for Helton and Simpson to bring back from
Florida. Id. at 6.
Upon examination by Hoskins’s lawyer, York disclosed that Hoskins’s name had come up
in the context of her stealing from Lester’s daughters. Id. at 7. York also testified that Branson had
first mentioned King’s name, and that King had not received help with his criminal charges in
exchange for giving York information. Id. at 9. When questioned about Crump, York clarified that
Crump had not “recognized” Taylor but that he had “described an individual that looked like”
Taylor. Id. at 11. Branson and King were the only ones to implicate Hoskins; there was no physical
evidence linking Hoskins to the crime scene, and Katherine’s exact time of death could not be
established due to her body being outside in freezing temperatures. Id. at 12. Taylor’s lawyer asked
York about Crump’s description, and York repeated that the suspect wore a hooded camouflage
coat and had fuzzy hair sticking out of his hood, a scruffy beard, and a tattoo on his left hand. Id.
at 16–17. Taylor’s lawyer elicited that York had no knowledge of Taylor having a blue car
matching Crump’s description. Id. at 17. After York repeated Amber’s statement implicating
Taylor, the judge concluded that probable cause had been established. Id. at 19.
16
B. Grand Jury
On April 27, 2012, York testified before the grand jury and appeared against Hoskins,
Taylor, and Lester. See DE 200-67 at 3 (Grand Jury Tr.). York described how he got involved with
the case, starting with getting called to Katherine’s home on December 20, 2010. Id. at 5. York
testified that Hoskins, Taylor, and Lester knew Katherine and that Lester was Katherine’s ex-sonin-law. Id. at 5–6. Hoskins and Taylor had been arrested, but Lester had not been located as he was
working out of town. See id. at 5–7 (describing Lester as “on the run”). York detailed Katherine’s
injuries, the uncertain time of death, and the cause of death (“bleeding on the brain”). See id. at 8–
10. York acknowledged that he did not have the murder weapon but indicated that it was a hammer,
per Taylor’s statement to Amber. Id. at 10–11. York shared additional information about the crime
scene: Katherine’s purse lying on the floor, the $100 bills placed beside the purse, the missing
timber money, the lack of disturbance to other parts of Katherine’s house, and the state of
Katherine’s kitchen (with food on the stove and dirty dishes in the sink). Id. at 11–13.
York explained that he had heard Lester’s name from Pickard, who took a statement from
Wesley Roark. Id. at 14–15. Roark had reportedly told Pickard that Lester was talking about his
financial difficulties and his plan to tie Katherine up in the outhouse and take her timber money.
Id. at 15. York then sought to interview Lester, who had hired an attorney. Id. at 15–16. York told
the grand jury that, when York met with Lester and his attorney (David Hoskins), York believed
Lester to be lying during the interview. Id. at 16. York then reviewed the identities of some of
those who had given him statements and the substance of their statements: King (that Hoskins was
dating Lester and had stolen off Lester’s daughters, that Hoskins and Lester had a plan to steal
from Katherine, and that Hoskins and Lester could not fill a Suboxone prescription the night of
December 19 but filled one December 20); Hoskins (that Lester had mentioned wanting to tie up
17
Katherine in the outhouse and steal her money and that she (Hoskins) had a doctor’s appointment
at 9:30 a.m. on December 20); and Branson (that Lester was the mastermind and that King (rather
than Taylor) killed Katherine). Id. at 17–22. York commented on some of the statements as he
described them. For example, he noted that Hoskins actually went to the doctor around noon on
December 20, and he testified that Hoskins was having an affair with Dr. Warren (based on Dr.
Warren’s history of prescription-writing). See id. at 20–21.
York went on to explain the circumstances surrounding Helton: that he was a person of
interest in the case, that he was broke but able to go to Florida on December 20, that he had failed
a polygraph examination. Id. at 22–23. York stated that Helton had been truthful about not killing
Katherine but that he had lied when asked about her money. Id. at 23. York described harassing
Helton and eventually getting a statement in which Helton claimed that he had seen Hoskins and
Lester at Escoe’s Market on December 19, where they talked about robbing Katherine. Id. at 23–
24. York acknowledged that he had no leads after Katherine was killed and that his interviews with
Stinking Creek drug dealers produced names of potential suspects. Id. at 25–26. Furthermore, York
described Helton and Simpson’s Florida trip. On the morning of his trip, before he left, Helton saw
Lester drive by the sawmill close to Katherine’s house. Id. at 27. Helton avoided the area and took
a different route to Simpson’s house. Id. Later that day, Helton saw Hoskins at Simpson’s house
with three- or four-thousand dollars, and she told Helton that they “got the job done.” Id. at 28.
York testified about other developments in the case. York told the grand jury about Crump
having seen both a blue car and a man on Katherine’s property on the morning of December 20.
Id. at 29–30. York said that Crump saw the man coming from the corner where Katherine’s body
was found. Id. at 30. York identified Taylor as the person Crump described and explained that
another officer drew a sketch based on Crump’s description. Id. at 30–31. York also explained that
18
Crump had seen a “blonde-headed girl” in the blue car in Katherine’s driveway and pointed out
that Hoskins had blonde hair. Id. at 31. York could not identify the blue car that was used on
December 20 but stated that Taylor and Hoskins had access to several matching Crump’s
description (including Kayla’s, which her parents had tried to hide, and one at the orphanage where
Linda Taylor, Hoskins’s mother, worked). Id. at 31–32.
Finally, York told the grand jury about his interviews with Amber and Kayla, whom York
characterized as Taylor’s girlfriends. See id. at 32–33, 37. York mentioned Amber’s recorded
statement in which she said that Taylor had confessed to her about killing Katherine by hitting her
twice in the head with a hammer. Id. at 32–33. Amber knew about the $500 left at the crime scene,
which York characterized as unusual, and said that Lester was the mastermind. Id. at 33–36. York
added that Lester had “intimate knowledge” because of having been married to Katherine’s
daughter and because his daughters (Jennifer and Michelle) took care of Katherine and knew about
her money. Id. at 36–37. Lester also knew that Katherine did not have an indoor bathroom, that
she would go outside every morning, and that she kept a lot of money in her purse. Id. at 37. With
respect to Kayla, York testified that Kayla said Taylor confessed to her that he had killed an old
lady in Stinking Creek (“that he left one laying” and “wouldn’t care to leave another one”). Id.
York concluded his testimony with a description of the evidence against Lester, including
the fact that Lester admitted to having talked about robbing Katherine days before her death. Id. at
38–40. Despite Lester’s claim (in his interview with York) not to know Taylor, phone records
showed that Taylor and Lester had called each other multiple times on the day of Katherine’s death
(“six or seven times between eight o’clock in the morning and one o’clock”). Id. at 41–42.
19
C. Additional Investigation and Developments
On July 18, 2012, York and Mefford drove to Roederer Correctional Complex to interview
Daniel Wilson, who had been in custody with Taylor in Whitley County. See DE 200-58 (Daniel
Wilson Report); DE 200-59 (Mark Mefford Wilson Report). According to York, Wilson declined
to give a recorded statement. DE 200-58. Per York’s summary, Taylor had talked to Wilson “about
killing an old woman over money.” Id. Wilson did not know any last names, but Taylor’s cousin
Amanda (Hoskins) had arranged it. Id. Taylor never told Wilson what he used to kill the old lady,
but Taylor would move his arms and hands when he described beating her, as if he was using a
club or a hammer. Id. Mefford’s report indicates only that he was present while York interviewed
Wilson. See DE 200-59 at 2.
On December 6, 2012, the KSP Laboratory generated a report summarizing the results of
the fingerprint comparison on evidence taken from Katherine’s house. See DE 200-10 (AFIS
Report). Analysts processed the five $100 bills left beside Katherine’s purse in an attempt to
recover fingerprints. Id. at 2. One of the bills yielded a latent print “of value for comparison,”
which was compared to exemplars from Hoskins, Taylor, and Lester. Id. These comparisons did
not establish an identification. Id.
On February 3, 2013, the KSP Laboratory completed an examination of some other
physical evidence collected from Katherine’s house. See DE 200-11 (KSP Forensic Report).
Hoskins, Taylor, and Lester had provided DNA samples, and these samples were compared to
swabs from Katherine’s porch swing and fingernail clippings taken from Katherine’s hands. See
DE 200-26 at 302 (noting blood smear on plastic covering porch swing cushion); DE 200-11 at 2
(indicating buccal standard from Hoskins, Lester, and Taylor and fingernail clippings from
Katherine). None of the DNA collected from the tested items inculpated Hoskins, Taylor, or
20
Lester. See DE 200-11 at 2 (noting that the DNA profile from Items 3.1, 5.1, and 6.1 matched
Katherine and did not match Hoskins, Taylor, or Lester).
On April 3, 2013, 15 York interviewed Mike Simpson. DE 200-26 at 45. According to
York’s summary of Simpson’s statement, Simpson had nothing to do with Katherine’s death, but
he did go toward where Katherine lived on December 20 because he went to Hales Creek to see a
friend who owed him money. Id. That day, Simpson thought that Helton had arrived at his house
before lunch and that Lester had showed up after lunch. Id. Simpson recalled Lester telling him
that he (Lester) had to go pick up his mother from the doctor but could not remember if Helton
and Lester were at his house at the same time. Id. Simpson denied that Lester ever told him about
a plan to steal Katherine’s money but acknowledged that Lester bought drugs from him for
Hoskins. Id. Hoskins herself never bought drugs from him, and he did not know whether Hoskins
and Lester had given Helton money to buy drugs in Florida. Id. Simpson stated that he gave York
an alibi because Simpson’s neighbors had told him he was a suspect. Id. Also, he clarified that he
cried when Jesse gave him the news about Katherine because he thought Jesse was talking about
Lester’s mother, whom Simpson had known for a long time. Id.
On April 30, 2013, York interviewed Kayla’s cousin, Heather Warren. See DE 200-26 at
47. Per York’s report, Heather spoke about a conversation she had with Kayla after Hoskins and
Lester got arrested. Id. Kayla, while under the influence of both alcohol and drugs, told Heather
that she (Kayla) and Taylor, not Hoskins and Lester, had killed Katherine. Id. Heather recalled that
Kayla was not allowed to drive after Katherine’s death and that Kayla was always calling Heather
15
The date of report is April 3, 2013, but the body of the report states that the interview occurred
on April 3, 2012. See DE 200-26 at 45. During Simpson’s deposition, he was questioned about the
receiving stolen property charge on which he was detained at the time of his interview with York,
and the line of questioning—as well as Simpson’s answers—seems to suggest that the interview
took place in 2013. See DE 200-23 at 22.
21
to come pick her up. Id. Heather added that Kayla would have done anything for a dollar at the
time and that Taylor had a temper and was “different.” Id. No one else was present for the
conversation between Heather and Kayla. Id.
On February 26, 2014, York recorded a three-minute statement from Robert Beach while
Beach was in custody in Indiana. See DE 200-69 (Robert Beach Recording); DE 200-2 at 95. York
asked Beach about the time he spent in Whitley County jail when he shared a cell with Taylor. DE
200-69. Upon York questioning Beach about what Taylor had said to Beach about Katherine,
Beach responded that a female relative (a niece or cousin) had contacted Taylor and told him that
a lady had money or maybe drugs and that it would be an easy robbery. Id. Per Beach, the robbery
had not gone well, and someone had died; Beach assumed the victim was a woman (although
Taylor never said so). Id. Beach recalled that Taylor said the victim was an old person, and Beach
agreed with York’s statement that a female relative had set up the robbery. Id.
On June 4, 2014, the Commonwealth gave notice of its intent to seek the death penalty
against Taylor. DE 200-114.
On April 29, 2015, York interviewed Mikey Bruner. See DE 200-75 (Mike Bruner
Statement). Per York’s summary, Taylor had confessed to Bruner at Taylor’s apartment sometime
in 2011 or 2012. Id. The two were alone at the apartment when Taylor, while intoxicated, told
Bruner that he had killed an old lady for her purse and medication. Id. Hoskins knew about the
money and the medication, came up with the plan, and told Taylor about it. Id. One night, Hoskins
drove the car (which Bruner thought Taylor had identified as Hoskins’s), and Taylor and Kayla
went up to the door. Id. Kayla knocked, Taylor rushed in to try to take the pursue, but the old lady
fought back and grabbed the purse. Id. Taylor hit her on the head, took her purse, “and left her
laying.” Id. Bruner thought that Taylor had used an aluminum little league bat to hit Katherine. Id.
22
Taylor said they got away with a couple hundred dollars, that they money was split between him
and two women that participated, and that they used the money to buy drugs. Id. Per Bruner, Taylor
had never mentioned Lester’s name. Id.
On May 18, 2015, Helton called York. See DE 200-26 at 55. Per York’s summary of the
call, Helton said that he had infection around the metal plates in his head and that he was at UK
Hospital. Id. Helton also told York that he had never seen Hoskins and Lester at Escoe’s Market
on December 19 and that he had lied when he gave a statement about it. Id.
The following day, Hoskins posted bond and was released from custody pending trial. See
DE 200-119 at 1 (Hoskins Response to CW Motion to Dismiss).
D. Dismissal of Charges
At some undetermined time between the indictment and the ultimate dismissal,
Commonwealth Attorney Jackie Steele had contact with King, Branson, and Crump. See DE 2008 at 22–25 (Steele Deposition). When Steele met with King at the Laurel County Detention Center,
Steele learned that King had “changed his story in that he never heard anyone talking about robbing
an elderly lady and that he did not see or know of Amanda spending money.” Id. at 22; DE 200-6
at 3 (Motion to Dismiss, Comm. v. Taylor). Additionally, Steele met with Branson after getting
notified that Branson had experienced head trauma in a motor vehicle accident. DE 200-8 at 22–
23. During their meeting, Branson told Steele that she could not remember anything regarding
Katherine’s death or her previous statement to law enforcement. Id. Steele also had a phone
conversation with Crump and learned that Crump “was not coming back to testify.” Id. at 23.
On June 23, 2016, Steele spoke with Wilson, who was in custody in Campbell County. See
Id.; DE 200-6 at 2–3. During this conversation, Steele learned that Wilson had changed his story;
Wilson told Steele that he did not recall Taylor making any statements to him about Katherine’s
23
death, Hoskins, or a robbery. DE 200-6 at 2–3. Wilson further stated that he did not remember
making any statements himself. Id. at 3. On this same day, Steele also spoke to Beach, whose
“version of the events had changed.” Id.
On June 29, 2016, the Commonwealth moved to dismiss the charges against Taylor based
on “the current status of the witnesses and evidence to be presented.” Id. at 2. In particular, the
motion cited the anticipated changes in testimony by Wilson, Beach, and King and the
unavailability of Kayla, Branson, King, and Crump. Id. at 3–4. In addition to the developments
described above, the motion noted that Kayla had died, King had moved to a location unknown to
the Commonwealth, and Crump had recanted, refused to testify, and failed to appear. Id. Taylor
responded to the Commonwealth’s motion, urging the court to dismiss the charges with prejudice.
DE 200-118. On June 30, 2016, the court granted the Commonwealth’s motion, dismissed the
charges without prejudice, and ordered that Taylor be released. DE 200-116 (June 30, 2016 Order).
On July 29, 2016, the Commonwealth made a similar motion, for the same reasons, in Hoskins’
case. DE 200-7 (Motion to Dismiss, Comm. v. Hoskins). Like Taylor, Hoskins sought a dismissal
with prejudice. DE 200-119. On August 18, 2016, the trial court granted the motion and dismissed
the charges without prejudice. DE 200-117 (August 18, 2016 Order). On April 4, 2017, this lawsuit
followed.
E. Plaintiffs’ Allegations
With respect to almost all the interactions, interviews, or parts of the investigation
described in the timeline above, Plaintiffs allege that Defendants engaged in serious misconduct.
The Court summarizes the wrongdoing as alleged against and attributed to each Defendant.
24
1. Allen Helton
York failed to document having questioned Helton in December 2010, when Helton denied
knowledge about Katherine’s death. See DE 200-2 at 7; DE 200-26; DE 204 at 34.
During the January 4, 2011, traffic stop, York tried 16 to grab Helton’s face and cursed and
yelled at Helton. See DE 200-17 at 12; DE 204 at 35. York 17 found a wet coat on Helton’s
floorboard and commented that it was probably the coat Helton was wearing when he killed
Katherine. See DE 200-17 at 13; DE 204 at 35. Pickard was nearby when this happened. See DE
200-17 at 30, 66; DE 204 at 35.
In the interview following the traffic stop, York and Mefford 18 questioned Helton. See DE
200-17 at 6–7; DE 204 at 35. York told Helton details about Katherine’s death despite Helton
claiming no knowledge. See DE 200-17 at 13–14; DE 204 at 35. Broughton told Helton to tell the
truth. See DE 200-17 at 14. York failed to document any information disclosed to or obtained from
Helton. See DE 200-2 at 54; DE 204 at 35. Broughton and Mefford were present when York fed
Helton details during the interview but created no documentation. See DE 200-17 at 14; DE 20026; DE 204 at 35.
During Helton’s post-polygraph interview a few weeks later, York told Helton to say that
Simpson got Katherine’s money after her death, that Simpson split the money with Helton and
someone else, and that Lester had killed Katherine with Simpson. 19 See DE 200-17 at 17–18; DE
16
The record does not support the claim that York actually grabbed Helton’s face. DE 200-17 at
30, 55.
17
Per Helton, York, not Pickard, conducted the search and commented on the wet coat. DE 20017 at 13, 32, 55.
18
Helton did not testify that Broughton questioned him. See DE 200-17 at 7 (“[Mefford] and
[York] did and [Broughton] stood at the door.”); id. at 44 (“[Broughton] just told me I need to tell
them the truth”).
19
The recording of Helton’s post-polygraph interview is not part of the record. See DE 200-17 at
17–18 (referencing PL9689 and Exhibit 7, Helton’s post-polygraph recording).
25
204 at 39. York continued questioning Helton despite his professed lack of knowledge. See DE
200-17 at 18; DE 204 at 39. Later, in spring 2011, when Helton went to the Knox County
Courthouse on the January 4, 2011, DUI charge, York promised that he would take care of Helton’s
charges if Helton told York what he needed to hear. See DE 200-17 at 20; DE 204 at 44.
Pickard arrested Helton on March 7, 2012, and told Helton on the way to the jail that Helton
would get a bond and that there would be no more charges if Helton told them what they needed
to hear about the murder case. See DE 200-17 at 21; DE 204 at 44. During the interview that
followed, York and Pickard spoke to Helton before turning on the recorder. See DE 200-17 at 21;
DE 204 at 45. Pickard repeated the promise about Helton’s bond and no more charges. See DE
200-17 at 21; DE 204 at 45. Also during the unrecorded session, York 20 told Helton what to say.
See DE 200-17 at 21–22; DE 204 at 45. Pickard did nothing to stop York from feeding Helton
details. See DE 200-17 at 26; DE 204 at 46. York drafted a report that omits consideration provided
and details fed. See DE 200-41 (Helton Report); DE 204 at 46.
During the May, 18, 2015, phone call, Helton was on his way to the courthouse, but York
told Helton not to worry about coming to court after Helton told him that he planned to testify that
his earlier statement was false. See DE 200-17 at 27; DE 204 at 135 n.9. York drafted a report
stating that Helton was at the hospital and omitting the fact that Helton said he “was coming.” See
DE 200-26 at 55; DE 204 at 135 n.9.
At his deposition, Helton testified that all the statements attributed to him in York’s report
were false. See DE 200-17 at 21–23; DE 204 at 47.
20
Helton testified that Pickard did not tell him about Hoskins, Lester, Escoe’s Market, or anything
else that was part of Helton’s statement. See DE 200-17 at 41–42 (“I mean, [Pickard] didn’t say
nothing.”).
26
2. Jesse Lawson
Within two weeks of Katherine’s death, York showed up at Jesse’s house to take him in
for questioning and cursed at Jesse. See DE 200-12 at 8–9; DE 204 at 36. At the Barbourville
Police Station, York did not read Jesse his rights. See DE 200-12 at 11; DE 204 at 37. York
“slammed” Jesse into a tiny room, questioned Jesse, and threatened to kill him if he lied. See DE
200-12 at 10–11; DE 200-32; DE 204 at 36. York also threatened a conspiracy to commit murder
charge unless Jesse cooperated. See DE 200-29 at 20 (Lawson Deposition, Part II); DE 204 at 36.
York stood behind Jesse’s chair and hit both the chair and Jesse’s head during questioning. See
DE 200-29 at 20; DE 204 at 36. York then put a wire on Jesse and made him go to Cleo Brown’s
house to try to get a statement from her about what she had seen on December 20. See DE 200-12
at 11–12; DE 204 at 37. York 21 questioned Jesse when he returned to the station unsuccessful. See
DE 200-12 at 13, DE 204 at 37. York again threatened to charge Jesse. See DE 200-12 at 13, 23;
DE 204 at 37. Jesse was denied permission to go home until about 6:00 in the evening. See DE
200-12 at 12–13; DE 204 at 37.
On a different occasion, after Jesse took the polygraph, York told Jesse that he had failed
miserably and screamed at him “to give him a name.” See DE 200-12 at 16–17; DE 204 at 38.
York also told Jesse that Hoskins and Lester were involved in Katherine’s death. See DE 200-12
at 18; DE 200-32; DE 204 at 38.
21
There is no indication in the record that Pickard questioned Jesse. DE 200-12 at 23 (Jesse
testifying that he did not believe Pickard was present); DE 200-29 at 7 (Jesse testifying that he had
never had an encounter with Pickard); cf. DE 200-29 at 19–20 (“Sheriff Pickard may have walked
in.”).
27
3. Amanda Hoskins
Neither York nor Broughton read Hoskins her rights before questioning. See DE 200-1 at
12; DE 204 at 42. At the beginning of the interview, York placed a citation for murder and robbery
on the table. See DE 200-1 at 12; DE 204 at 42. York failed to record the entire interview. See DE
200-1 at 12; DE 204 at 42. During the unrecorded portion, York threatened to frame Hoskins for
murder. See DE 200-38 (Amanda Hoskins Affidavit); DE 204 at 42. York also told Hoskins that
he would charge her for the murder and robbery of Katherine unless she spoke with York and
called Lester acting like she was panicked. See DE 200-1 at 12; DE 204 at 43. York stopped
recording when Hoskins hung up with Lester, snatched the phone out of her hand, and started
screaming in her face and hitting the table. See DE 200-1 at 14, 75; DE 204 at 44. When York later
came to the Knox County Jail to charge Hoskins with robbery and murder, in response to Hoskins
claiming not to know anything, York told her that he knew she did not have any involvement. See
DE 200-1 at 35; DE 204 at 71.
York doctored the time on Hoskins’s faxed medical record from December 20, 2010,
making it appear as though she arrived at 12:54 a.m. See DE 202-130 (Medical Record for Amanda
Hoskins from Hope Medical Center); DE 202-131 (Faxed Medical Record for Amanda Hoskins
from Hope Medical Center); DE 204 at 47–49.
Broughton was present when York threatened to frame Hoskins for murder. See DE 20038; DE 204 at 43. Broughton also asked York to step outside and commented that something “felt
fishy.” See DE 200-1 at 72; DE 204 at 43. In an unrecorded part of the interview, Broughton
engaged with Hoskins, often following up on or repeating York’s questions. See DE 200-1 at 71–
73; DE 204 at 43. After Hoskins’s call with Lester, Broughton did not calm York or tell him to
stop hitting the table. See DE 200-1 at 75–76; DE 204 at 44. Broughton joined York in yelling in
28
Hoskins’s face. See DE 200-38. But see DE 200-1 at 72–77 (testifying only that Broughton kept
repeating questions and that he was present when York banged on the table and yelled at Hoskins).
4. Jonathan Taylor
When Taylor was brought in for questioning, York put crime scene photos in front of
Taylor to “see what you’ve done, realize what you’ve done.” See DE 200-4 at 39; DE 204 at 64.
York and Pickard questioned Taylor despite his statement that he knew nothing about Katherine’s
death. See DE 200-4 at 39; DE 204 at 64–65. At one point, Broughton sat as close as he could to
Taylor while he questioned him and told Taylor that he knew Taylor had something to tell him.
See DE 200-5 at 6; DE 204 at 65. Broughton pressed Taylor for information despite his insistence
that his only knowledge of the case came from news stories. See DE 200-5 at 7; DE 204 at 65.
York then directed Taylor to put on his hooded jacket, leaving some of his hair out of the
hood, and to stand in various positions for photographs. See DE 200-4 at 40; DE 204 at 65. Pickard
stood by while Broughton took multiple photographs of Taylor. See DE 200-4 at 60; DE 204 at
65, 67–69. Neither Broughton nor Pickard stopped the photographs from being taken or told York
that Taylor should not wear the hooded jacket. See DE 200-5 at 18; DE 200-14 at 36; DE 204 at
67. Broughton failed to document his involvement in photographing Taylor. See DE 200-14 at 35,
46; DE 204 at 67.
Afterwards, York stood in the hallway with Broughton and talked about sending Taylor’s
photographs somewhere and charging Taylor with murder. See DE 200-4 at 40; DE 200-5 at 7;
DE 204 at 68. Taylor heard York 22 comment to Broughton and Pickard, something to the effect
of: “Yeah. We got him. . . . We’re charging him with murder. It’s him. We’re sending him down.”
See DE 200-4 at 40; DE 204 at 68. York sent Taylor’s photographs to Oklahoma so that Crump
22
See DE 200-5 at 7 (clarifying that York was the speaker).
29
could view them but never told Steele that Crump failed to make an identification. See DE 200-2
at 7; DE 200-8 at 26–28; DE 204 at 69–70. Nor did York tell Steele about the procedure leading
up to Taylor’s photographs. See DE 200-8 at 26–28; DE 204 at 70. Broughton and Pickard never
told Steele about the procedure used to photograph Taylor or that Crump failed to make an
identification. See DE 200-8 at 26–28; DE 204 at 70.
Later, when York saw Taylor at the Whitley County Jail, he threw a wadded up arrest
warrant at Taylor and threatened him (“I’m going to do everything in me for you to rot in the
penitentiary on this.”). See DE 200-4 at 44; DE 204 at 72.
5. Christy Branson
York spoke to Branson before turning on the recorder and did not document what he said
to her during this time or how long the unrecorded portion of the meeting lasted. See DE 200-2 at
86; DE 200-45 (Branson Report); DE 200-113; DE 204 at 49.
At her deposition, Branson claimed not to remember anything about Hoskins, the interview
with York, or the substance of her recorded statement. See DE 200-46 at 5–8 (Branson Deposition).
6. Joe King
York attempted to question King the day before he purportedly took King’s statement. See
DE 200-47 at 6–7 (King Deposition); DE 204 at 51. York ignored King’s insistence that he did
not know anything that would help York’s investigation. See DE 200-47 at 6–7; DE 204 at 51.
York played a recording from an unidentified woman who had been locked up with Hoskins in
Harlan County, who mentioned getting time off her sentence and named people including Hoskins
and King. See DE 200-47 at 7; DE 204 at 51. York started to play a second tape but then ended
the meeting by promising to come back in twenty-four hours. See DE 200-47 at 7; DE 204 at 51.
30
During King’s second interview, York provided details about the investigation. See DE
200-47 at 9–11; DE 204 at 51. York created a report that omitted that King had denied knowledge
about Katherine and said that he was not going to give a statement. See DE 200-47 at 8; DE 20048. York testified regarding the substance of King’s interview at both the preliminary hearing and
grand jury proceeding. See DE 200-66 at 4–5; DE 200-67 at 17–21. York learned before giving
this testimony that Hoskins had not filled a prescription at the Pineville Walgreens on December
19. See DE 200-2 at 74–75.
At his deposition, King testified that he did not recall having made any of the statements
attributed to him in York’s report. See DE 200-47 at 8–11. King maintained that he had no firsthand
knowledge of Katherine’s death and no reason to believe that Hoskins or Taylor was involved. Id.
at 13.
7. Amber Simpson
York told Amber’s mother that Amber would be charged with “withholding evidence”
unless she gave a statement against Taylor. See DE 200-49 at 6 (Simpson Deposition); DE 204 at
52–53. On the day of the interview, York had an unrecorded conversation with Amber in which
he promised consideration—in the form of reward money or helping Amber’s brother with his
manufacturing charges—in exchange for her statement. See DE 200-49 at 7, 16; DE 204 at 53.
Throughout the interview, York turned off the recorder, shared with Amber details that inculpated
31
Hoskins and Taylor, and then turned on the recorder to allow Amber to repeat the information. 23
See DE 200-49 at 7–9, 17; DE 204 at 53–54. York failed to document when the interview ended
and created a report that omitted the fact that York had threatened charges, offered consideration,
and provided inculpatory details. See DE 200-50 (Simpson Report); DE 204 at 54–55.
At her deposition, Amber testified that she had no knowledge of any of the details in her
statement as memorialized by York. See DE 200-49 at 7–9.
8. Kayla Mills
Pickard approached Kayla several times prior to her March 16, 2012, interview and told
her that she needed to cooperate and tell the police that Hoskins, Taylor, and Lester had killed
Katherine. See DE 200-52 at 8; DE 204 at 55–56. Pickard told Kayla she would go to jail if she
did not tell them the truth. See DE 200-52 at 9; DE 204 at 55–56. Pickard failed to document his
interactions with Kayla. See DE 200-13 at 9–10, 43; DE 204 at 57.
York likewise approached Kayla prior to her March 16, 2012, interview and told her that
she needed to implicate Hoskins, Taylor, and Lester. See DE 200-52 at 14–15; DE 204 at 57. York
also charged Kayla with murder before taking her statement. DE 200-26 at 110–11; DE 204 at 57–
58. York ignored Donna’s assertion that Kayla was not involved in Katherine’s death and told
Donna that Kayla would go to jail if she did not give the statement. DE 200-52 at 13; DE 204 at
58. York spoke to Kayla about her arrest warrant before the interview and made an agreement with
23
York argues that the Court should assess the recording itself to determine whether the record
blatantly contradicts Amber’s recollection of York stopping and starting the recorder during their
conversation. See DE 205-1 at 31–33 (citing Scott v. Harris, 127 S. Ct. 1769, 1776 (2007)).
Plaintiffs counter that a reasonable juror could believe this aspect of Amber’s story and that, in
any event, York engaged in other misconduct with respect to Amber’s statement. See DE 204 at
143–45. The Court has listened to the recording as a part of its careful review of all record
evidence. However, the Court views the alleged manipulation of the recorder as non-dispositive
and concludes that a jury is best suited to listen to Amber’s statement, assess witness credibility,
and discern whether the recording suggests any York wrongdoing.
32
Kayla’s lawyer that he would not proceed forward against Kayla if she gave a statement against
Taylor. See DE 200-2 at 42–44; DE 204 at 60. During the interview, York stopped the recorder to
tell Kayla what to say, ignored her claims that she did not know anything, and got angry when
Kayla repeatedly denied knowledge. See DE 200-52 at 16–17, 19; DE 204 at 59–61. York drafted
a report memorializing Kayla’s statement but did not note that York had agreed not to proceed
against her on the robbery and murder change in exchange for her statement. See DE 200-55 at 2
(Report of Kayla Mills’ Statement); DE 204 at 60–61. Additionally, York failed to place the
criminal complaint against Kayla in the investigative file. See DE 200-8 at 31 (Steele testifying at
his deposition that he could not recall having seen the criminal complaint and arrest warrant for
Kayla and that he had not known of any consideration promised to Kayla); DE 204 at 57.
At her deposition, Donna maintained that York’s report memorializing Kayla’s recorded
statement was untrue. 24 See DE 200-52 at 18–19; DE 204 at 61.
9. Daniel Wilson
York told Wilson that he would discuss with the prosecutor whether Wilson could be
moved closer to home but did not document this information in his report. See DE 200-2 at 95; DE
200-57 at 22 (Wilson Deposition); DE 200-58; DE 204 at 62. Mefford drove York to the Wilson
interview and remained present for the entire conversation. See DE 200-15 at 15 (Mefford
Deposition); DE 204 at 63. Both York and Mefford drafted reports documenting their involvement
in and the substance of the interview but neither mentioned York’s promise of consideration. See
DE 200-58 at 1; DE 200-59 at 2; DE 204 at 62–64.
At his deposition, Wilson testified that Taylor had never confessed to him (or said anything
about Katherine) and that he (Wilson) had never provided York with any information (other than
24
But see DE 200-52 (Donna testifying that Kayla told her Taylor had said he “left one laying”).
33
declining to be recorded and asking for help with his sentence). See DE 200-57 at 6–8; DE 204 at
62.
10. Robert Beach
An unidentified law enforcement officer contacted Beach’s sister to ask about a letter that
Beach had supposedly written (relating to the murder and robbery of an old woman) and to talk to
Beach’s sister about whether Beach wanted help getting closer to home. See DE 200-71 (2/24/14
Beach Recording); DE 204 at 84. York never documented any pre-interview conversations with
Beach or Beach’s sister or told Steele about any such conversation. See DE 200-26; DE 200-8 at
25, 52; DE 204 at 85. On the day of the interview, York recorded a three-minute statement from
Beach, though Steele (who was present) estimated that the meeting lasted thirty to forty-five
minutes. See DE 200-69; DE 200-8 at 24, 38; DE 204 at 83–84. In the recording, York prompted
Beach by providing details about Taylor’s supposed confession. See DE 200-69; DE 204 at 83.
After his interview, Beach talked to his sister in a recorded jail call about having met with
detectives. See DE 200-73 (3/1/14 Beach Recording); DE 204 at 85. Beach told his sister that he
would be in Knox County because he had agreed to help the detectives. See DE 200-73; DE 204
at 85.
11. Mikey Bruner
York approached Bruner’s stepmother (Jennifer Bruner) and told her that Bruner did not
have a choice about cooperating. See DE 200-74 at 19–21 (Bruner Deposition); DE 204 at 86.
York stopped by Bruner’s workplace asking for him. See DE 200-74 at 20; DE 204 at 86. When
Bruner gave a statement, York failed to record the entire conversation, 25 see DE 200-74 at 23, 88;
DE 204 at 86, and did not document (or otherwise notify Steele) that Bruner had “illicit substances”
25
The record does not contain any recording of Bruner’s statement.
34
in his body at the time of Taylor’s alleged confession, see DE 200-74 at 14; DE 204 at 86; DE
200-75; DE 200-8 at 38–39. York also did not document that Bruner had expressed an inability to
remember all the details about the night of Taylor’s confession. See DE 200-74 at 18; DE 200-75.
At his deposition, Bruner maintained that he had been truthful in his statement to York but
contradicted part of York’s summary; Bruner testified that he had never used Hoskins’s name. See
DE 200-74 at 27–31; DE 200-75 at 2.
*****
Defendants, in four groups, 26 moved for summary judgment on all claims. DE 177; DE
178; DE 179; DE 180. 27 Plaintiffs filed a consolidated response in opposition to each of these
motions. DE 195. 28 Defendants replied. DE 211; DE 213; DE 216; DE 225; DE 227. 29
II. STANDARD
A court “shall grant summary judgment 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. v. Zenith
Radio Corp., 106 S. Ct. 1348, 1356 (1986); Lindsay v. Yates, 578 F.3d 407, 414 (6th Cir. 2009).
26
The joint representation and briefing are as follows: the City of Barbourville and Mike
Broughton; Kelly Farris, Dallas Eubanks, Bryan Johnson, Mark Mefford, and Jackie Joseph; Knox
County and John Pickard; and Jason York and Jason Bunch.
27
The Court notes that these pending motions, respectively, correspond to the entries at DE 207,
DE 201, DE 206, and DE 205. The later, duplicative filings are a feature of Defendants’
compliance with DE 199, by which the Court ordered the parties to file a single collection of
exhibits and amend their briefs to reference the contemplated master exhibit list. For citation
purposes throughout, the Court cites the later-filed versions.
28
Plaintiffs’ consolidated response also appears at DE 204, which is the DE 199 compliant filing.
As with Defendants’ briefing, the Court cites Plaintiffs’ later-filed response.
29
Mefford and Joseph replied separately (though they had filed a joint motion for summary
judgment). See DE 201; DE 211; DE 227.
35
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
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
36
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).
III. ANALYSIS
A. Preliminary Matters
1. Dismissed Claims and Defendants
Plaintiffs originally brought an eleven-count complaint against ten individual Defendants
(Mike Broughton, John Pickard, Derek Eubanks, Jason York, Bryan Johnson, Mark Mefford,
Dallas Eubanks, Kelly Farris, Jackie Joseph, 30 and Jason Bunch) and two entities (Knox County
and the City of Barbourville). DE 1. In their consolidated response to Defendants’ motions for
summary judgment, Plaintiffs voluntarily dismissed all claims against the following Defendants:
Derek Eubanks, Bryan Johnson, Dallas Eubanks, Kelly Farris, and Jason Bunch. DE 204 at 118 &
n.2. Plaintiffs also dropped certain claims in their entirety: Count VII, 31 the Monell claim against
the City of Barbourville; Count X, the state-law IIED claim; and Count XI, the respondeat superior
claims against Knox County and the City of Barbourville. Id.
30
The complaint named Jackie Pickrell, not Jackie Joseph. See DE 1. One of the motions for
summary judgment clarifies that Pickrell is Joseph’s former last name. See DE 201 at 1. The Court
throughout refers to her as Joseph.
31
There appears to be a typographical error in the complaint. Plaintiffs initially asserted a Monell
claim against both Knox County and the City of Barbourville. DE 1 ¶¶ 172–76; ¶¶ 177–81. The
complaint lists the two claims separately but characterizes both as “Count VI.” See id. There is no
Count VII, and Plaintiffs’ next claim is Count VIII, state-law malicious prosecution. See id.
¶¶ 182–86. The Court therefore distinguishes between the two Monell claims—and the two Count
VIs—by describing the Monell claim against the City of Barbourville as Count VII.
37
Plaintiffs’ response thus trimmed the host of claims and raft of defendants, but there are
loose ends: the status of the City of Barbourville and the scope of Counts III and IX (respectively,
§ 1983 supervisory liability and state-law negligent supervision). The Court addresses each in turn.
First, Plaintiffs’ response dismissing some individual Defendants does not explicitly
dismiss the City of Barbourville as a party, but it does drop two claims against the City: the Monell
claim (presumably Count VII, which Plaintiffs characterize as a Monell claim) and the respondeat
superior claim (Count XI). See DE 1 ¶¶ 177–81, ¶¶ 196–98; DE 204 at 118 & n.2. However, the
complaint also alleged that the City of Barbourville, as a policymaker, is responsible for the
supposed constitutional violations described in Counts I, IV, and V: malicious prosecution, failure
to intervene, and conspiracy to deprive constitutional rights, respectively. See DE 1 ¶¶ 145–46
(Count I); id. ¶ 164 (Count IV); id. ¶ 171 (Count V). In contrast, the now-dropped Count VII
faulted the City for ratifying the withholding of material exculpatory information. Id. ¶¶ 178–81.
Plaintiffs’ response is therefore ambiguous: it neither drops the City as a party nor
explicitly addresses the other potential Monell theories apparently contemplated by the complaint.
In its motion for summary judgment, the City argued that no constitutional violation occurred and
that the record was devoid of any City policy or custom that caused the alleged violations. DE 2071 at 36–39. Plaintiffs did not counter the City’s showing. See DE 204 at 118, 211–29 (discussing
Knox County’s—but not the City of Barbourville’s—policies and customs). As a result, the Court
reads Plaintiffs’ voluntarily dismissal of “their Monell claim against Defendant City of
Barbourville” to include all Monell theories embedded within the complaint, not just the one
identified in Count VII. See DE 204 at 118 & n.2. This construction leaves no claims pending
against the City. In effect, Plaintiffs dropped the City as a party without fully saying so.
As for Counts III and IX, Plaintiffs state that they “only pursue their claims of failure
38
to supervise and negligent supervision against Defendant Joseph.” Id. But, the complaint once
reached more broadly. Plaintiffs originally brought Count III against “supervisory defendants,
including but not limited to Defendant Pickard and Defendant [Joseph].” DE 1 ¶ 154. Similarly,
Plaintiffs asserted Count IX against “municipal defendants, as well as the supervisory defendants,
including Defendant Pickard and Defendant [Joseph].” Id. ¶ 188. Elsewhere, Plaintiffs maintained
several other counts against “Defendant Officers,” a group defined to include Joseph. See id. ¶¶
17–19; id. ¶¶ 138–47 (Count I); id. ¶¶ 148–52 (Count II); id. ¶¶ 160–64 (Count IV); id. ¶¶ 165–71
(Count V); id. ¶¶ 182–86 (Count VIII).
Based on these statements, Plaintiffs’ position is imprecise: do they pursue only Counts III
and IX—and no other counts—against Joseph? Or do they pursue Counts III and IX against only
Joseph—and no other Defendant? These possibilities are not mutually exclusive, but clarity is
paramount. 32 About one hundred pages after their initial summary of the argument, Plaintiffs
unambiguously answer the first question in the affirmative. See DE 204 at 211 (“Plaintiffs only
move forward on their failure to supervise (Count III) and negligent supervision (IX) claims
against Defendant Joseph, while dismissing the remaining counts against her.”) (emphasis added).
Plaintiffs’ answer to the second question is less transparent, as they never explicitly dismiss Counts
III and IX as to Pickard or any other Defendant. See id. at 118. In his motion for summary
judgment, Pickard acknowledged his inclusion within Counts III and IX and argued that all claims
against him based on supervisory liability—both the § 1983 and state-law variety—must fail
because Pickard did not supervise any remaining Defendant. See DE 206-1 at 31–32, 45–46.
Plaintiffs’ response is silent as to Counts III and IX against Pickard (or any other unnamed
supervisory defendant or the municipal defendants alleged in these Counts of the complaint). See
32
The Court notes that Plaintiff’s placement of the adverb “only” permits either reading.
39
DE 204 at 202–11. Accordingly, the parties’ briefing tacitly answers the second question in the
affirmative; Plaintiffs assert Counts III and IX against only Joseph.
2. § 1983 Fabrication (Count II)
At the threshold, the parties’ treatment of the fabrication allegations merits discussion. In
Count II, Plaintiffs contend that Defendants fabricated evidence in violation of the Fourth and
Fourteenth Amendments. DE 1 ¶¶ 148–52. In their motion to dismiss (DE 36), Defendants
Eubanks, Bunch, and York argued that the Fourth Amendment fabrication claim was untimely,
that any due-process fabrication theory should fail because there was neither a trial nor a
conviction, and that the malicious-prosecution count subsumes the fabrication issue. See id. at 5–
7. The Court, per Judge Bunning, rejected the timeliness argument, maintained that malicious
prosecution and evidence fabrication merit separate analysis, and determined that the Fourth
Amendment was the sole basis for the fabrication count. DE 119 at 10–13 (“Plaintiffs’ fabricationof-evidence claim has only one constitutional foundation: the Fourth Amendment.”); id. at 21–31
(concluding that the fabrication claim accrued when criminal proceedings terminated in Plaintiffs’
favor). The Fourteenth Amendment is inapplicable under the circumstances because Plaintiffs did
not proceed to trial and thus allege no abridgment of fair-trial rights. 33 Id. at 11.
Notwithstanding the earlier ruling on the motion to dismiss, the Court perceives a need to
clarify whether, at this stage, Plaintiffs’ fabrication claim (Count II) may go forward independently
33
Of course, the Fourteenth Amendment remains applicable insofar as it is the mechanism by
which the Fourth Amendment applies to the state actors here. See O’Brien v. City of Grand Rapids,
23 F.3d 990, 996 (6th Cir. 1994) (“The Fourteenth Amendment incorporates the Fourth
Amendment, prohibiting unreasonable searches and seizures by the states.”).
40
from Plaintiffs’ malicious-prosecution claim (Count I). 34 In previously allowing Plaintiffs to
proceed on both theories, the Court observed that malicious-prosecution and evidence-fabrication
claims have different elements. Id. at 10–13. That is, per the earlier ruling, fabrication does not
“require[] a plaintiff to prove that there was a lack of probable cause to support the criminal
charges.” Id. at 12 (citing Morris v. Boyd, No. 00-1249, 2000 U.S. App. LEXIS 29187, at *3 (6th
Cir. Nov. 7, 2000) and Stemler v. City of Florence, 126 F.3d 856, 872 (6th Cir. 1997)). The Morris
court, addressing a theory evidently not pleaded before the district court, cited Stemler for the
proposition that probable cause does not defeat a fabrication claim. See Morris, 2000 U.S. App.
34
The Court notes that, like the § 1983 plaintiff in McDonough v. Smith, 139 S. Ct. 2149 (2019),
Plaintiffs have not “explained the difference between [their malicious-prosecution] claim and
[their] fabrication claim, which [they] insist[] is both analogous to the common-law tort of
malicious prosecution and distinct from . . . [their] malicious-prosecution claim.” See id. at 2161–
62 (Thomas, J., dissenting). In other words, Plaintiffs have spoken out of both sides of their
mouths. For their fabrication claim, they sought to borrow the accrual rule from malicious
prosecution. See DE 55-1 at 22 (“[T]he closest common-law analogue to Plaintiffs’ § 1983
fabrication claims is a claim of malicious prosecution.”). Now, they reject the probable-cause and
favorable-termination elements (which are part and parcel of malicious prosecution) and maintain
that their fabrication claim exists independently. See DE 204 at 120–25.
41
LEXIS 29187, at *8. This is a correct statement of law, in the appropriate context. 35 Context,
however, matters a lot. Whether independent probable cause forecloses an evidence-fabrication
claim depends on the constitutional injury allegedly caused by the fabrication. Cf. Soldal v. Cook
Cty., 113 S. Ct. 538, 548 (1992) (“Certain wrongs affect more than a single right and, accordingly,
can implicate more than one of the Constitution’s commands.”); Gregory v. City of Louisville, 444
F.3d 725, 750 (6th Cir. 2006) (noting that Fourth Amendment “malicious prosecution” and Brady
claim can co-exist despite shared factual premise because “[t]he situs of the injury is distinct”).
That is, whether a fabrication claim can stand on its own depends on its constitutional foundation
(and that of any causes of action that the fabrication claim accompanies). The Court thus considers,
on the full factual record, the basis of Plaintiffs’ fabrication theory to determine whether it is
meaningfully distinct from the evidence supporting Plaintiffs’ malicious-prosecution claim.
35
The Stemler court considered the constitutional tort of evidence fabrication in violation of dueprocess rights. See Stemler, 126 F.3d at 872. In state criminal proceedings, Stemler had twice stood
trial—the first resulting in a hung jury, the second in an acquittal. Id. at 863–64. After acquittal,
Stemler sued law-enforcement officers on various state-law theories. Id. at 864. At summary
judgment, the state court concluded that the indisputable existence of probable cause precluded
Stemler’s state-law false-arrest and malicious-prosecution claims. Id. at 871. In the later § 1983
suit, the Sixth Circuit assessed the preclusive effect of this state-court ruling. See id. at 871–72.
Naturally, Stemler could not bring federal constitutional claims—such as false arrest—that
depended on a lack of probable cause. Id. But, probable cause aside, an evidence-fabrication claim
based on Stemler’s due-process rights might have been viable. Id. (“Wince would have violated
Stemler’s right to due process if he knowingly fabricated evidence against her, and if there is a
reasonable likelihood that the false evidence could have affected the judgment of the jury.”). The
court did not explore the contours of such a claim because Stemler’s amended complaint had not
given adequate notice of the evidence-tampering theory. Id. at 872.
Plaintiffs appear to read Stemler to mean that probable cause is irrelevant whenever an
injured party alleges evidence fabrication. See DE 204 at 123–24. (“[T]he standard in Stemler has
been widely used in a litany of Sixth Circuit decisions—each confirming that probable cause is
not an element of fabrication claims and that such a claim exists without trial or conviction.”). As
further explained below, Plaintiffs are mistaken for reasons that their own briefing concisely
explains. See id. at 124 (“When police fabricate evidence, they are liable if that fabrication causes
any deprivation of liberty . . . .”) (emphasis added).
42
a. Constitutional Basis for § 1983 Fabrication Claims
An essential inquiry for evaluation of any § 1983 claim is to identify the specific
constitutional right at issue. Manuel v. City of Joliet, 137 S. Ct. 911, 920 (2017). Fabrication of
evidence is not a constitutional violation “in and of itself.” See Zahrey v. Coffey, 221 F.3d 342,
348 (2d Cir. 2000) (“The manufacture of false evidence, ‘in and of itself,’ in the District Court’s
phrase, does not impair anyone’s liberty, and therefore does not impair anyone’s constitutional
right.”); Landrigan v. City of Warwick, 628 F.2d 736, 744–45 (1st Cir. 1980) (“We do not see how
the existence of a false police report, sitting in a drawer in a police station, by itself deprives a
person of a right secured by the Constitution and laws.”); Madden v. Calvert, No. 1:16-CV-P147GNS, 2017 U.S. Dist. LEXIS 160830, at *6 (W.D. Ky. Sept. 29, 2017) (quoting Zahrey). Rather,
the use of fabricated evidence to some end offends constitutional rights. The possible injuries
flowing from the use of fabricated evidence include unlawful arrest or detention or an unfair trial
resulting in wrongful conviction. Manuel, 137 S. Ct. at 919–20 (discussing wrongful arrest and
detention); Avery v. City of Milwaukee, 847 F.3d 433, 441 & n.5 (7th Cir. 2017) (collecting cases
that address due-process claims based on fabrication). In constitutional terms, the use of fabricated
evidence may violate the Fourth Amendment or the due-process principles of the Fifth or
Fourteenth Amendments. See Manuel, 137 S. Ct. at 918–19; Miller v. Pate, 87 S. Ct. 785, 788
(1967) (“[T]he Fourteenth Amendment cannot tolerate a state criminal conviction obtained by the
knowing use of false evidence.”); Halsey v. Pfeiffer, 750 F.3d 273, 292 & n.17 (3d Cir. 2014)
(“[E]very court of appeals that has considered the question of whether a state actor has violated
the defendant’s right to due process of law by fabricating evidence to charge or convict the
defendant has answered the question in the affirmative.”) (collecting cases).
43
Because evidence fabrication is not itself a per se constitutional injury, an allegation of the
same, on its own, does not give rise to a § 1983 suit. Cf. Carey v. Piphus, 98 S. Ct. 1042, 1049–50
(1978) (“In order to further the purpose of § 1983, the rules governing compensation for injuries
caused by the deprivation of constitutional rights should be tailored to the interests protected by
the particular right in question . . . .”) (emphasis added). When the Fourth Amendment is the
constitutional hook for § 1983 purposes, fabrication may be the means by which governmental
authorities accomplish detention without probable cause. See Morse v. Spitzer, 07-CV-4793
(CBA) (RML), 2012 WL 3202963, at *6 (E.D.N.Y. Aug. 3, 2012) (observing that, when a plaintiff
alleges that officers fabricated evidence to provide probable cause, “the question of whether the
defendant fabricated evidence becomes synonymous with the question of whether genuine
probable cause existed”). For example, a plaintiff may complain that the government continued
detention without probable cause by fabricating inculpatory evidence, failing to disclose
exculpatory evidence, or both. See Gregory, 444 F.3d at 750. Additionally, a plaintiff alleging
wrongful conviction may assert that this same conduct—fabricating inculpatory evidence, failing
to disclose exculpatory evidence, or both—deprived the plaintiff of a fair trial (in violation of the
plaintiff’s due-process rights). See id. These claims may proceed simultaneously when a plaintiff
suffered, in sequence, each distinct injury (detention without probable cause and wrongful
conviction) as a result of evidence fabrication. See id.; see also Jackson v. City of Cleveland, 925
F.3d 793, 815–17, 820–22 (6th Cir. 2019) (analyzing Fourth Amendment “malicious prosecution”
separately from due-process claim, though both were based in part on evidence fabrication).
The Supreme Court has confirmed the viability of a Fourth Amendment claim involving
pretrial confinement and probable-cause determinations based on fabricated evidence. Manuel,
137 S. Ct. at 914–16. During a traffic stop, officers searched Manuel and seized a vitamin bottle
44
containing pills, which the officers suspected to be illegal drugs. Id. at 915. Despite a negative
field test, Manuel was arrested. Id. Both an evidence technician and one of the arresting officers
later created reports that misrepresented the nature of the pills, claiming (respectively) that the pills
tested “positive for the probable presence of ecstasy” or that the pills were known to be ecstasy.
Id. A judge made a probable-cause determination, but that finding (and Manuel’s resulting
detention) was based solely on false statements. Id. A grand-jury indictment “based on similar
false evidence” followed about two weeks later. Id. at 915 n.2. The laboratory eventually
established that the pills contained no controlled substances, and Manuel was released. Id. at 915–
16. In the § 1983 suit that followed, Manuel lodged two Fourth Amendment complaints: false
arrest and detention “based entirely on made-up evidence.” Id. at 916. Both the district court and
the Seventh Circuit viewed the Fourth Amendment as inapplicable to the latter charge, but the
Supreme Court disagreed. Id. at 916–17, 919. A Fourth Amendment violation can occur after “the
start of legal process,” when fabricated evidence taints that process; in such a case, though “[l]egal
process has gone forward, . . . it has done nothing to satisfy the Fourth Amendment’s probablecause requirement.” Id. at 918–19. “If the complaint is that a form of legal process resulted in
pretrial detention unsupported by probable cause, then the right allegedly infringed lies in the
Fourth Amendment.” Id. at 919.
Such an injury occurs as follows. The Fourth Amendment prohibits unreasonable seizures.
U.S. Const. amend. IV. Both arrest and pretrial detention are seizures. See Manuel, 137 S. Ct. at
917–18. A seizure without probable cause is unreasonable. Bailey v. United States, 133 S. Ct.
1031, 1037 (2013). Fabricated evidence cannot satisfy the probable-cause requirement. See
Manuel, 137 S. Ct. at 918–19. When only fabricated evidence supports a seizure, probable cause
is lacking, and the seizure is unreasonable. See Spurlock v. Satterfield, 167 F.3d 995, 1006–07 (6th
45
Cir. 1999) (“[F]abricating probable cause, thereby effectuating a seizure . . . violate[s] a suspect’s
clearly established Fourth Amendment right to be free from unreasonable seizures.”) (emphasis
added). Inversely, when demonstrably untainted proof adequately supports a seizure, the mere
existence of fabricated evidence does not constitute a Fourth Amendment violation. See Robertson
v. Lucas, 753 F.3d 606, 616 & n.5 (6th Cir. 2014) (noting that there is no wrongful Fourth
Amendment seizure when probable cause exists). The distinction is primarily one of causation: in
the first scenario, the fabricated evidence undeniably causes the seizure, but in the second, seizure
follows as a lawful consequence of legitimate evidence, which can elicit no reasonableness-based
objection. 36
Any statement to the contrary—namely, the suggestion that a Fourth Amendment claim
premised on fabrication may proceed even when probable cause exists—has an explanation that
does not spell victory for Plaintiffs on this score. First, as discussed above, evidence fabrication
can violate due-process rights. See Halsey, 750 F.3d at 292 & n.17 (citing cases from the First,
Second, Fourth, Sixth, Seventh, Eighth, and Ninth Circuits). Probable cause is not a defense to a
due-process-based fabrication claim. See Spencer v. Peters, 857 F.3d 789, 801–02 (9th Cir. 2017)
(contrasting the role of probable cause in fabrication claims based on the Fourth Amendment and
due process). That is of no consequence here because Plaintiffs expressly abandoned any dueprocess fabrication theory. See DE 204 at 120 n.3 (“As this Court has previously held, Plaintiffs
have a viable fabrication of evidence claim under the Fourth Amendment and not the Fourteenth.”)
(emphasis added); id. at 137 (“In this litigation, Plaintiffs have not alleged substantive due process
claims.”).
36
That is not to say there can be no other objection (legal or otherwise) to an officer’s deliberate
or reckless fabrication of evidence. But there can be no objection grounded in the Fourth
Amendment, which (in this context) is satisfied by a reliable showing of untainted probable cause.
46
Second, some courts have been something less than clear about which constitutional right
is violated when fabrication occurs. 37 This ambiguity runs counter to Supreme Court dictates. See
Graham v. Connor, 109 S. Ct. 1865, 1870–71 (1989); Gregory, 444 F.3d at 750 (“A plaintiff must
pursue relief under the appropriate constitutional guarantee, and the Court must apply the
appropriate legal standard.”). The resulting haze merits clarification but does not create loopholes,
ripe for exploitation by misinformed—or maybe worse, clever—lawyers. To the extent Plaintiffs
argue that Webb v. United States, 789 F.3d 647 (6th Cir. 2015), suggests that independent,
untainted probable cause does not foreclose a Fourth Amendment claim based on fabrication, that
is wrong, as a logical 38 and precedential 39 matter. Absent further guidance from the en banc Sixth
Circuit or the Supreme Court, taintless probable cause necessarily defeats Fourth Amendment
claims for detention without probable cause. An allegation of evidence fabrication, which the
Court views as intertwined with the probable-cause question in this case, is no elemental
kryptonite.
*****
37
Litigants are likewise responsible for the regrettable lack of lucidity. See DE 55-1 at 33 (referring
to Defendants’ effort to dismiss “Plaintiffs’ Fourth Amendment due process fabrication claim”).
Section 1983 does not enliven such ‘Franken’-claims.
38
In Webb, the plaintiff’s fabrication claim rested in the Fourth Amendment. See Price v. Lucas,
No.1:09CV118, 2013 WL 1303783, at *15 (N.D. Ohio Mar. 28, 2013), aff’d in part, rev’d in part
sub nom. Webb v. United States, 789 F.3d 647 (6th Cir. 2015). In reversing the district court’s
conclusion that independent probable cause doomed the plaintiff’s fabrication theory, the Sixth
Circuit cited Stemler for the proposition that “even if independent evidence establishes probable
cause against a suspect, it would still be unlawful for law-enforcement officers to fabricate
evidence in order to strengthen the case against that suspect.” Webb, 789 F.3d at 670 (emphasis
added). Two observations: Stemler had articulated a potential due-process fabrication theory
(inapplicable in Webb and here), and “unlawful” is not the same as “unconstitutional in violation
of the Fourth Amendment.” A precise definition of the constitutional injury reveals the
incongruity.
39
One panel of the Sixth Circuit cannot overrule another. United States v. Burris, 912 F.3d 386,
406 (6th Cir. 2019). Webb does not diminish the continuing force of Robertson.
47
Here, Plaintiffs’ asserted constitutional injury is “unlawful post-legal-process pretrial
detention.” DE 119 at 30. No one disputes that the Fourth Amendment underlies Plaintiffs’
fabrication theory. Id. at 11; DE 204 at 120 n.3; DE 205-1 at 14–15. The Fourth Amendment is
similarly relevant to Plaintiff’s malicious-prosecution count. See Gregory, 444 F.3d at 750 (“[T]he
subset of malicious prosecution claims which allege continued detention without probable cause
must be pursued and analyzed under the Fourth Amendment.”). This shared constitutional basis
alone does not render one claim subsumed by the other; for example, the Fourth Amendment
applies to both false-arrest and excessive-force claims, but the two violations meaningfully differ
from one another and require separate analysis. See, e.g., Cty. of Los Angeles v. Mendez, 137 S.
Ct. 1539, 1547–48 (2017) (referring to false arrest and excessive force as distinct Fourth
Amendment claims); Freeman v. Gore, 483 F.3d 404, 417 (5th Cir. 2007) (“[Plaintiff’s] excessive
force claim is separate and distinct from her unlawful arrest claim, and we must therefore analyze
the excessive force claim without regard to whether the arrest itself was justified.”). However, that
principle does not hold true here. Plaintiffs’ wide-ranging allegations 40 reduce to a single
foundational inquiry: whether (in material part, by fabricating evidence) Defendants caused
Plaintiffs to suffer a Fourth Amendment injury—that is, detention without probable cause. Count
40
For example, Plaintiffs repeatedly and forcefully reprove the questioning techniques used
throughout the investigation and the “unduly suggestive identification procedure” involving
Taylor. Though both coercive questioning and show-ups may violate constitutional guarantees,
Plaintiffs nowhere show that this allegedly unconstitutional conduct violated Plaintiffs’ Fourth
Amendment rights. Plaintiffs acknowledge that they cannot lodge due-process claims for the
“interrogation practices used with third-party witnesses.” DE 204 at 137–38. Additionally, an
unnecessarily suggestive identification procedure, like a show-up, may violate due-process rights
by creating the risk of an “irreparable mistaken identification.” See Stovall v. Denno, 87 S. Ct.
1967, 1972 (1967). However, Plaintiffs do not develop—and, in fact, expressly abandon—any
due-process-based theory of recovery. DE 204 at 137 (“Plaintiffs have not alleged substantive due
process claims.”). In any event, all agree that Crump, suggestiveness or no, made no positive
identification in this case. DE 200-2 at 20–21; DE 200-20 at 9–10; DE 204 ¶ 190.
48
I (malicious prosecution) adequately covers this ground because it requires the Court to consider
the determinative issue of probable cause. See DE 1 ¶¶ 139–40. Count II does not, in the concrete
context of this case, present a separately cognizable Fourth Amendment violation under § 1983.
3. § 1983 Malicious Prosecution (Count I)
A word on how the Court approaches Count I, Plaintiffs’ malicious-prosecution theory.
The Sixth Circuit has cautioned against styling a claim “as an action for ‘malicious prosecution’
under § 1983.” Gregory, 444 F.3d at 750. Indeed, “designating the constitutional claim as one for
‘malicious prosecution’ is both unfortunate and confusing.” Sykes v. Anderson, 625 F.3d 294, 310
(6th Cir. 2010) (internal quotation omitted). The malicious-prosecution label may encourage courts
to import inapplicable common-law elements (like malice) or inapt statements of law from the
bygone era when courts viewed the entire “basket” of malicious-prosecution claims as due-process
violations. See Sykes, 625 F.3d at 308–10; Gregory, 444 F.3d at 750. Instead, while acknowledging
that the Court was “stuck with that label,” Sykes favored the term “unreasonable prosecutorial
seizure,” whereas Gregory endorsed framing the claim as “the right under the Fourth Amendment
to be free from continued detention without probable cause.” Sykes, 625 F.3d at 310 (internal
quotation omitted); Gregory, 444 F.3d at 750. At some point, these oft-repeated and well-founded
concerns ought to effect changes in nomenclature, pleading, and briefing. 41 For now, the Court
41
“Wrongful detention” is perhaps a more accurate label, as it focuses the inquiry on the Fourth
Amendment and the issue of probable cause. The Court borrows this term from Manuel, which is
the Supreme Court’s latest word on the subject. See Manuel, 137 S. Ct. at 919; cf. McDonough,
139 S. Ct. at 2154–55 (determining statute of limitations for fabricated-evidence claim assumed to
have a due-process basis). Plaintiffs’ and Manuel’s claimed constitutional injuries are similar in
nature (though not degree, based on the length of Plaintiffs’ detention pending trial and the number
of alleged fabrications). See Manuel, 137 S. Ct. at 914–16 & n.2 (noting that Manuel spent fortyeight days in pretrial detention and that an evidence technician and arresting officer created false
reports).
49
retains the malicious-prosecution label 42 but stresses again that Plaintiffs’ § 1983 claims seek
recovery under only the Fourth Amendment for Plaintiffs’ sole 43 decried constitutional injury.
4. Summary
In all, here’s what remains for review: § 1983 malicious prosecution (Count I) against
York, Pickard, Broughton, and Mefford; § 1983 supervisory liability (Count III) against Joseph;
§ 1983 failure to intervene (Count IV) against York, Pickard, Broughton, and Mefford; § 1983
conspiracy (Count V) against York, Pickard, Broughton, and Mefford; § 1983 Monell claim (Count
VI) against Knox County; state-law malicious prosecution (Count VIII) against York, Pickard,
Broughton, and Mefford; and state-law negligent supervision (Count IX) against Joseph.
B. Count I: § 1983 Malicious Prosecution
“The prototypical case of malicious prosecution involves an official who fabricates
evidence that leads to the wrongful arrest or indictment of an innocent person.” Mills v. Barnard,
869 F.3d 473, 480 (6th Cir. 2017). 44 Per Mills, this Fourth Amendment cause of action “can also
support a claim for ‘continued detention without probable cause.’” Id. (internal quotation
42
The allegations of evidence fabrication, though insufficient in this case to establish an
independent claim for relief under § 1983, survive regardless of verbiage. The Court views
Plaintiffs’ basic Fourth Amendment theory as follows: Plaintiffs were wrongfully detained. Their
detention was wrongful because probable cause did not exist. Probable cause did not exist, in part,
because Defendants fabricated evidence for the purpose of trying to demonstrate probable cause.
43
All other § 1983 claims—supervisory liability, failure to intervene, conspiracy, and Monell—
hinge on an underlying constitutional violation, and Plaintiffs have not supported a constitutional
injury other than wrongful detention in violation of the Fourth Amendment.
44
Though Mills characterized the claim as “malicious prosecution,” its description of the
“prototypical case” precisely mirrors what occurred in Manuel: Manuel was wrongfully arrested
and indicted based on false statements indicating that the seized pills were ecstasy. See Manuel,
137 S. Ct. at 919 (“All that the judge had before him were police fabrications about the pills’
content. The judge’s order holding Manuel for trial therefore lacked any proper basis. And that
means Manuel’s ensuing pretrial detention, no less than his original arrest, violated his Fourth
Amendment rights.”).
50
omitted). 45 Under the traditional formulation 46 as adopted by the Sixth Circuit, the plaintiff must
prove four elements: “(1) a criminal prosecution was initiated against the plaintiff, and the
defendant made[,] influenced, or participated in the decision to prosecute; (2) there was a lack of
probable cause for the criminal prosecution; (3) the plaintiff suffered a deprivation of liberty, as
understood under Fourth Amendment jurisprudence, apart from the initial seizure; and (4) the
criminal proceeding was resolved in the plaintiff’s favor.” King v. Harwood, 852 F.3d 568, 580
(6th Cir. 2017).
Here, no party disputes that Plaintiffs suffered a deprivation of liberty. See DE 201 at 33;
DE 205 at 34; DE 206 at 25–28; DE 207 at 17–23; DE 204 at 184. As a result, the Court considers
only whether a reasonable juror could conclude: that Defendants had sufficient involvement to
subject them to § 1983 liability, that there was not untainted probable cause, and that the
proceeding was resolved in Plaintiffs’ favor.
1. Made, Influenced, or Participated in the Decision to Prosecute
“[Section] 1983 ‘should be read against the background of tort liability that makes a man
responsible for the natural consequences of his actions.’” Malley v. Briggs, 106 S. Ct. 1092, 1098
n.7 (1986) (internal quotation omitted); see Martinez v. California, 100 S. Ct. 553, 559 (1980)
(“Although a § 1983 claim has been described as ‘a species of tort liability,’ it is perfectly clear
that not every injury in which a state official has played some part is actionable under that statute.”)
45
This injury, too, transpired in Manuel, because the supposed probable-cause determination was
based entirely on fabrications. See Manuel, 137 S. Ct. at 918–19.
46
Manuel, despite being otherwise on-point, does not answer whether traditional maliciousprosecution claim elements are applicable to a Fourth Amendment injury like Manuel’s. See
Manuel, 137 S. Ct. at 921–22. These elements are perhaps as unhelpful as the maliciousprosecution label itself. However, the Court, noting the lack of guidance and observing that the
parties adhere to the traditional framework, organizes the analysis according to these putative and
shopworn elements.
51
(internal quotation omitted); Binay v. Bettendorf, 601 F.3d 640, 650 (6th Cir. 2010) (“Each
defendant’s liability must be assessed individually based on his own actions.”) (emphasis added).
“Within the meaning of the first element, ‘the term “participated” should be construed
within the context of tort causation principles.’” Webb, 789 F.3d at 660. “The first element of the
malicious-prosecution claim is met when an officer ‘could reasonably foresee that his misconduct
would contribute to an independent decision that results in a deprivation of liberty’ and the
misconduct actually does so.” 47 Jackson, 925 F.3d at 820–21. “[A] defendant’s participation must
be marked by some kind of blameworthiness, something beyond mere negligence or innocent
mistake.” Johnson v. Moseley, 790 F.3d 649, 655 (6th Cir. 2015).
a. York
York does not claim no hand in Plaintiffs’ prosecution; rather, his argument about this
element centers on absolute immunity. See DE 205-1 at 43–47. Plaintiffs respond that York is not
absolutely immune for his actions “prior to, and independent of, his grand-jury testimony.” See
DE 204 at 162 (internal quotation omitted). Per Plaintiffs, York’s non-immune actions include
fabricating statements, making material omissions in warrants, manipulating physical evidence,
ignoring viable suspects, and concealing pertinent actions from the prosecutor. 48 See id. at 163.
Plaintiffs further observe that York signed the criminal complaints against Plaintiffs and that
47
The Court, for the reasons already stated, has doubts about the “traditional” formulation of this
constitutional tort. But, the “made, influenced, or participated” verbiage does no harm as long as
it does not obscure the fact that tort causation principles underlie this (and every) § 1983 claim.
48
Plaintiffs also include in their allegations that York testified falsely at the preliminary hearing
and grand jury and withheld exculpatory information from the grand jury. See DE 204 at 163.
However, York is without question absolutely immune from suit for his testimony at these
proceedings. See King, 852 F.3d at 590 (“Thus, evidence of an officer’s actions prior to and
independent of his grand-jury testimony may call into question the presumption of probable cause
created by an indictment even if a malicious-prosecution plaintiff may not bring in evidence of the
grand-jury testimony itself to do so.”) (emphasis added).
52
prosecutor Steele had no role in the initiation of charges and relied on York’s investigation. See
id. at 164.
Because York sought arrest warrants and led the investigation, a reasonable juror could
conclude that York’s role in Plaintiffs’ arrest and prosecution was active enough (and causally
connected to their identified constitutional injuries) such that York could be liable.
i. Absolute Immunity
The Supreme Court has “upheld absolute immunity from § 1983 suits for a police officer’s
testimony, even acknowledging that this could result in defendants being falsely convicted by
knowing false testimony given by police officers.” See Miller v. Maddox, 866 F.3d 386, 394 (6th
Cir. 2017) (discussing Briscoe v. Lahue, 103 S. Ct. 1108 (1983)). Absolute immunity protects
officers who testify at preliminary hearings and before the grand jury. See Rehberg v. Paulk, 132
S. Ct. 1497, 1506 (2012) (“[A] grand jury witness has absolute immunity from any §1983 claim
based on the witness’ testimony.”); Spurlock, 167 F.3d at 1001 (“It is well-settled that witnesses
are granted absolute immunity from suit for all testimony provided in judicial proceedings.”). But
see Parnell v. City of Detroit, 786 F. App’x 43, 47 n.3 (6th Cir. 2019) (suggesting that the Supreme
Court’s indication in Rehberg that absolute immunity “applies to preliminary hearing testimony”
is merely dictum). Absolute immunity is broad enough to cover both testimony and “preparatory
activity” such as discussions about the substance of intended testimony. Rehberg, 132 S. Ct. at
1506–07. However, such immunity does not protect non-testimonial acts, even if the acts
ultimately lead to witness testimony. See King, 852 F.3d at 590 (“[A]n officer’s actions of wrongly
setting a prosecution in motion or falsifying or fabricating evidence may be material to the grandjury indictment even though they do not constitute ‘testimony’ or related preparation for testimony,
and nothing in the caselaw indicates that such actions somehow mutate into grand-jury testimony
53
simply because they are material to the return of an indictment.”) (emphasis in original); Spurlock,
167 F.3d at 1004 (concluding that defendant was “not entitled to absolute testimonial immunity
for the alleged non-testimonial acts that occurred outside of the judicial proceeding”).
Here, absolute immunity does not bar York’s liability for his alleged non-testimonial acts
that materially contributed to Plaintiffs’ arrest and detention. A reasonable juror could conclude
that York’s non-testimonial (and therefore non-immune) acts included fabricating witness
statements and omitting material information from his investigate reports, upon which Steele relied
to prosecute Plaintiffs. Accordingly, Plaintiffs’ showing on this element, as to York, passes muster.
The Court has already recounted the allegations and chronology. Plucking a few of the
central contentions: Plaintiffs directly allege whole fabrication of inculpatory evidence including
critical statements from Amber and from Helton. Further, York swore out but then pocketed (and
perhaps hid) a murder complaint against Kayla Mills. He used that pending official document, one
that directed her arrest, in securing a statement. The prosecutor did not know of this methodology
or the complaint’s existence. He included false identification information in foundational phone
warrants. He represented time discrepancies, as to Hoskins’s alibi, that appear unsupported in the
investigative record. He failed to record accurately Helton’s recantation and his willingness to
appear in May of 2015. York’s active hand creates a jury question on this element. The truth,
whatever it is, will out, and the record requires fact-finding.
b. Pickard
Pickard argues that he did not make the decision to prosecute or otherwise participate in a
way that aided the decision. See DE 206-1 at 26–28. Plaintiffs respond by highlighting Pickard’s
involvement in Helton’s March 8, 2012, statement, which included offering consideration and
54
failing to stop York’s misconduct. 49 See DE 204 at 165. Plaintiffs also reference Pickard’s
participation in Taylor’s interview, when Pickard questioned Taylor and later observed Broughton
photograph Taylor. Id. at 166. Finally, Plaintiffs focus on Pickard’s interactions with Kayla, whom
Pickard approached multiple times and threatened. Id. at 166–67. Pickard did not document his
conversations with Kayla or notify Steele about the circumstances of Helton’s and Kayla’s
statements. Id. at 168.
In contrast to York, there is not enough record evidence from which a reasonable juror
could conclude that Pickard caused Plaintiffs’ Fourth Amendment injury. First, Pickard’s passive
acquiescence in the supposed misconduct of others (like York, in the Helton interview, or
Broughton, in the Taylor session) did not, as a rational conclusion, actually and foreseeably cause
Plaintiffs’ wrongful detention. See Jackson, 925 F.3d at 820–21.
To the extent Plaintiffs argue that Pickard himself acted culpably, the isolated acts of
offering arguable consideration in exchange for a statement, asking questions of a suspect, or
badgering someone thought to have information about a crime are not sufficiently connected to
Plaintiffs’ detention without probable cause. See id. To find otherwise, a reasonable juror would
have to be able to conclude—for example—first, that it was reasonably foreseeable to Pickard that
offering to help Helton would cause him to falsely implicate Plaintiffs; second, that Pickard’s offer
actually caused Helton to make a false statement; and third, that Helton’s false statement actually
and foreseeably caused Plaintiffs to be detained without probable cause. An untenable sequence,
this. Moreover, it is worth noting that Helton admitted to initiating the discussion about getting
help with his charges. See DE 200-17 at 60. Helton did not accuse Pickard of impropriety, and
49
Plaintiffs misconstrue Helton’s testimony. As discussed above in footnotes 17 and 20, and
focusing on the proof itself, Pickard did not comment on Helton’s wet coat, and Pickard did not
tell Helton what to say.
55
Steele did not view Pickard’s role as improper. See DE 200-17 at 41–42; DE 200-8 at 57–58.
Additionally, Helton claimed that he created his statement based on rumors that he had heard, not
from fed or seeded information. See DE 200-17 at 41–42.
Finally, there is insufficient evidence of Pickard’s blameworthiness. See Johnson, 790 F.3d
at 655. The closest that Plaintiffs come to putting Pickard, at the time of his conduct, on notice of
Plaintiffs’ supposed innocence (and the resulting wrongful detention) rests with Helton’s and
Kayla’s denial of knowledge and York’s priming Helton with details. See DE 204 at 165–67. The
suggestions are inadequate to meet the element.
c. Broughton
Broughton argues that his involvement in the investigation and prosecution was limited to
minimal participation on two dates: January 4, 2011, and February 15, 2011. See DE 207-1 at 4–
13. Plaintiffs respond by pointing out that Broughton questioned both Hoskins and Taylor. DE 204
at 172. Plaintiffs also fault Broughton for failing to stop the objectionable conduct of others, 50
document the parts of the investigation in which he participated, and notify the prosecution of the
circumstances of the Helton, Hoskins, and Taylor interviews and the Taylor photographs. Id. at
172–75. Moreover, Plaintiffs focus on the fact that Broughton was present during Helton’s
interrogation when York fed Helton details of the murder that would later comprise Helton’s
supposedly false statement. Id. at 130–37.
As with Pickard, Broughton’s passive participation or failure to correct the conduct of
others cannot expose Broughton to liability on the malicious-prosecution claim. See Jackson, 925
50
The Court notes that Plaintiffs in this section cite Broughton’s failure to intervene when York
supposedly threatened to frame Hoskins for murder. See DE 204 at 172–73. The Court views this
contention as directly relevant to the § 1983 failure-to-intervene claim analyzed below. The Court,
for the reasons discussed in the context of that claim, declines to decide whether this supposed
failure to intervene could equate to making, influencing, or participating in a decision to prosecute.
56
F.3d at 820–21; Johnson, 790 F.3d at 655. Even if a reprimand to York or disclosure to Steele
would have changed the course of events, the constitutional violation alleged to have occurred was
not reasonably foreseeable to Broughton given his limited role in the investigation. See Jackson,
925 F.3d at 820–21. Broughton’s affirmative investigative steps were minimal: he told Helton to
tell the truth; he warned York of something “fishy” in the Hoskins interview; he repeated or
followed up on some of York’s questions to Hoskins; he attempted (and evidently failed) to elicit
a statement from Taylor; and he pressed the shutter-release button on the camera that captured
Taylor’s photographs (which ultimately produced no eyewitness identification). This conduct is
not blameworthy or causally connected to Plaintiffs’ wrongful detention such that a reasonable
juror, under the correct measure, could conclude that Broughton made, influenced, or participated
in the decision to prosecute. Broughton, as an early bit player, simply did not have a role that
produced the result at issue.
d. Mefford
Mefford maintains that his limited involvement in the investigation does not satisfy this
element. See DE 201-1 at 16–19, 34–36. Plaintiffs argue that Mefford attended two interviews
(Helton and Wilson) that produced statements used to initiate and continue charges against
Plaintiffs. See DE 204 at 168–69. Plaintiffs highlight that Mefford was present when York fed
Helton details in the January 4, 2011, interview, failed to document York’s wrongdoing, and never
told Steele that Helton’s statement was false. Id. at 169–70. Furthermore, Plaintiffs fault Mefford
for attending Wilson’s interview knowing the goal was to obtain Wilson’s statement to be used in
the investigation. Id. at 170. In his Wilson report, Mefford did not document any promises of
consideration or fabrication and never notified Steele about either. Id. at 170–71.
57
Almost all of Plaintiffs’ allegations regarding Mefford deal with the misconduct of others
or omissions by Mefford. See Jackson, 925 F.3d at 820–21. Putting aside the question whether
omissions are actionable at all in this context, there is no doubt that the individual officer’s conduct
(or perhaps lack thereof) must be blameworthy. See Johnson, 790 F.3d at 655. As with Pickard,
Mefford was not on notice about Plaintiffs’ eventual wrongful detention merely because Helton
supposedly denied knowledge and because the goal of the Wilson interview was (unsurprisingly)
to obtain a statement. In terms of active involvement potentially rising to the level of tort causation,
Mefford’s sole contribution was during Helton’s interview, more than a year before Plaintiffs’
arrests, when Mefford questioned Helton. See id. Helton testified that he could not remember
anything Mefford said to him. See DE 200-17 at 45. A reasonable juror could not conclude, in
context, that an unknown number of unspecified questions posed during one interview within the
first year of a six-year-long murder investigation constitutes making, influencing, or participating
in the decision to prosecute Plaintiffs, resulting in their wrongful detention.
2. Probable Cause
Defendants argue that there was probable cause, in light of Branson’s and Crump’s
statements, the fact that Hoskins admitted to knowing about Katherine’s money and having heard
Lester’s plan to rob Katherine, the appearance of the crime scene (which revealed missing money
and no forced entry), Hoskins’s motive to rob Katherine and alleged history of theft from
Katherine’s family, and Hoskins and Taylor’s opportunity to commit the robbery and murder. See
DE 201-1 at 40–47; DE 205-1 at 39–46. York further contends that there is a presumption of
probable cause based on the preliminary-hearing finding and grand-jury indictment. See DE 2051 at 39–40. Plaintiffs argue that “all evidence implicating Plaintiffs in the Mills’ homicide was
fabricated.” See DE 204 at 182 (emphasis in original). Plaintiffs maintain that a reasonable juror
58
could infer that Branson’s statement was fabricated (based on her lack of recollection) and
highlight that Crump never identified Taylor as the person he saw at Katherine’s. See id. at 182–
83.
“Probable cause exists where the facts and circumstances within [the officers’] knowledge
and of which they had reasonably trustworthy information [are] sufficient in themselves to warrant
a man of reasonable caution in the belief that an offense has been or is being committed.” Skousen
v. Brighton High Sch., 305 F.3d 520, 528 (6th Cir. 2002) (quoting Brinegar v. United States, 69 S.
Ct. 1302, 1310–11 (1949)). “Probable cause is defined as reasonable grounds for belief, supported
by less than prima facie proof but more than mere suspicion.” See Sykes, 625 F.3d at 306. The
standard “is an objective inquiry; it matters not whether the officer subjectively believed that he
had probable cause for an arrest [or prosecution].” See Scheffler v. Lee, 752 F. App’x 239, 244
(6th Cir. 2018) “When no material dispute of fact exists, probable cause determinations are legal
determinations that should be made by a court.” Hale v. Kart, 396 F.3d 721, 728 (6th Cir. 2005)
But, “a jury trial is appropriate where reasonable disputes of material fact exist on facts underlying
a probable cause determination.” Id.
“[T]he finding of an indictment, fair upon its face, by a properly constituted grand jury,
conclusively determines the existence of probable cause for the purpose of holding the accused to
answer.” Higgason v. Stephens, 288 F.3d 868, 876–77 (6th Cir. 2002). There is an exception to
this conclusive presumption of probable cause when a defendant-officer wrongfully obtains an
indictment by knowingly or recklessly presenting false testimony to the grand jury. See Robertson,
753 F.3d at 616.
[W]here (1) a law-enforcement officer, in the course of setting a prosecution in
motion, either knowingly or recklessly makes false statements (such as in affidavits
or investigative reports) or falsifies or fabricates evidence; (2) the false statements
and evidence, together with any concomitant misleading omissions, are material to
59
the ultimate prosecution of the plaintiff; and (3) the false statements, evidence, and
omissions do not consist solely of grand-jury testimony or preparation for that
testimony (where preparation has a meaning broad enough to encompass conspiring
to commit perjury before the grand jury), the presumption that the grand-jury
indictment is evidence of probable cause is rebuttable and not conclusive.
King, 852 F.3d at 587–588.
Here, viewing the record in Plaintiffs’ favor, Plaintiffs argue and adequately support the
claim that York knowingly or recklessly made false statements in investigative reports and falsified
or fabricated evidence. Further, the false statements or evidence, along with misleading omissions,
were material to Plaintiffs’ prosecution. For example, York drafted a report summarizing King’s
unrecorded statement, but the report does not document King’s denials of knowledge or York’s
supposed “putting words in [King’s] mouth.” See DE 204 ¶¶ 92–94; DE 200-48. King wholly
denies the content. Also, York’s reports on Helton’s and Amber’s recorded statements do not
disclose that York promised consideration in exchange for their statements, that Helton denied
knowledge, that York threatened to charge Amber with “withholding evidence,” or that he, as
alleged, provided details about the investigation before or during their statements. See DE 200-41;
DE 200-50. Amber and Helton dispute all incriminating content. As a result, under these
circumstances, the probable-cause presumption is rebuttable. The Court next considers whether
any reasonable juror would conclude that (untainted) probable cause existed.
As far as undisputed evidence inculpating Hoskins and Taylor, viewed from the standpoint
of an objectively reasonable officer at the time of the relevant decisions, the record reveals the
following: Crump saw a blue car, a white man with tattoos wearing a hooded coat, and a blonde
woman in the blue car at Katherine’s house on the morning of December 20. Crump’s description
fit Plaintiffs insofar as Taylor had tattoos and Hoskins had blonde hair. The orphanage where
Hoskins’s mother worked had a blue Cavalier. Kayla likewise had a blue Pontiac. Lester had a
60
black Camaro. Hoskins had a drug habit but no job or steady income. Lester fed Hoskins’s habit
and sold items (like his own washing machine) in order to buy her pills. Lester knew about
Katherine’s timber money and had talked about the money in front of Hoskins. Hoskins had heard
Lester talk about robbing Katherine on more than one occasion shortly before her death. Part of
Lester’s admitted plan involved catching Katherine in the outhouse, as Lester knew that Katherine
did not have an indoor bathroom. Money was missing from Katherine’s house at the time of her
death. Katherine’s purse was on the floor with its contents spilled, including five $100 bills.
Nothing else in Katherine’s home was disturbed. Katherine’s time of death could not be
established, but the state of the kitchen suggested that Katherine had died in the morning. Aside
from statements by co-defendants in the criminal case or by family members, the only
corroboration of Hoskins’s whereabouts during the morning of December 20 was a medical record
showing her arrival to Dr. Warren’s office at 11:54 a.m. No independent evidence corroborated
where Taylor was on the morning of December 20.
The Court also views Branson’s statement as proper inculpatory evidence and rejects
Plaintiffs’ contention that a reasonable juror could infer York fabricated Branson’s statement.
“[S]ummary judgment ‘does not allow, much less require that we draw strained and unreasonable
inferences in favor of the nonmovant.’” Fox v. Amazon.com, Inc., 930 F.3d 415, 425 (6th Cir.
2019). It is uncontested that Branson gave a statement and that she now claims an inability to recall
anything from the relevant time period (including the substance of her statement, indeed talking to
York at all). Plaintiffs attempt to explain away the existence of Branson’s statement by suggesting
that York accomplished the recording by telling Branson what to say. However, this theory is not
internally consistent. Branson was the only witness to identify King as Katherine’s killer—a fact
that, per Plaintiffs, renders her statement unreliable. What Plaintiffs do not confront is how this
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unhelpful admission logically could have come from York, who Plaintiffs claim orchestrated the
rest of Branson’s statement. That York, via Branson, would sabotage his own case by inserting a
detail fundamentally inconsistent with his other evidence is an unreasonable inference.
On the other hand, the Court recognizes that many of Plaintiffs’ other arguments regarding
York’s fabrication of witness statements involve questions of credibility; York maintains that he
accurately memorialized witness statements, whereas witnesses in their depositions testified that
York either fully coached or created their statements (King, Helton, Amber) or falsely claimed that
they gave a statement when they gave none (Wilson). Such determinations are inappropriate at the
summary-judgment stage, where the taint or lack of taint depends on the truthfulness of the teller.
Viewing the above-described evidence, including Branson’s statement, the Court cannot
conclude that any reasonable juror would find that probable cause existed. Because reasonable
minds could differ on this score, a triable issue exists on the probable-cause element.
3. Resolved in Plaintiffs’ Favor 51
Defendants claim there was no favorable termination because there was no adjudication of
guilt or innocence and because there is no bar to subsequent prosecution. See DE 201-1 at 36–40;
DE 205-1 at 35–39; DE 206-1 at 28; DE 207 at 22–23. Moreover, Defendants point out that the
Commonwealth’s dismissal motion cited the unavailability of witnesses as well as changes in
testimony and that the state court, in dismissing without prejudice, made no mention of Plaintiffs’
51
In keeping with the Court’s reliance on Manuel for guidance, the Court observes (as did the two
Manuel dissenters) that the favorable-termination element does not fit comfortably with the Fourth
Amendment basis of Plaintiffs’ claim. See Manuel, 137 S. Ct. at 925–26 (Alito, J., dissenting)
(“[M]alicious prosecution’s favorable-termination element makes no sense when the claim is that
a seizure violated the Fourth Amendment. The Fourth Amendment, after all, prohibits all
unreasonable seizures—regardless of whether a prosecution is ever brought or how a prosecution
ends.”). The Court nonetheless analyzes this element, as no authority has yet severed it from the
type of claim Plaintiffs pursue.
62
innocence. See DE 201-1 at 39; DE 2045-1 at 39. Plaintiffs argue that the dismissal was indicative
of their innocence because Steele had opined in the motion that probable cause was not present
and because the dismissal was unilateral, unconditional, and not the result of a technicality. See
DE 204 at 185–91. Plaintiffs further rely on this Court’s order denying Defendants’ motion to
dismiss (DE 39) and distinguish a recent case where this Court questioned whether dismissal
without prejudice qualifies as favorable termination. See id. at 186–87 (discussing Jones v. Clark
Co., 5:15-CV-337, 2019 WL 637769 (E.D. Ky. Feb. 14, 2019)).
“There is no binding precedent in this circuit as to whether a dismissal without prejudice
can constitute a favorable termination for § 1983 purposes.” Parnell, 786 F. App’x at 51. In
Parnell, the Sixth Circuit rejected the defendant-officers’ argument “that a dismissal without
prejudice can never constitute a favorable termination.” Id. Parnell first observed that “the formal
abandonment of the proceedings by the public prosecutor” is a favorable termination “so long as
‘the final decision indicates that the accused is innocent.’” Id. (discussing Restatement (Second)
of Torts § 659 (1977)). The court then reviewed the facts: the prosecutor had dismissed the charges
upon learning about an undisclosed evidentiary report, “informed defense counsel that she would
seek dismissal because of the contradictory evidence, and . . . later testified that she would never
go to trial on the charges against Parnell, nor would she ever bring other charges arising out of the
incident in question.” Id. Viewed in the light most favorable to Parnell, these facts suggested that
termination was favorable. Id.
The Restatement commentary provides that “a motion to dismiss the complaint” is one
such means of formal abandonment. Restatement (Second) of Torts § 659 comment (e). There are
exceptions, however to the general rule that formal abandonment by the prosecutor indicates
innocence (and therefore favorable termination). The termination is not favorable when
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“misconduct on the part of the accused or in his behalf . . . prevent[s] a proper trial” or when “the
abandonment is due to the impossibility or impracticability of bringing the accused to trial.” Id.
§§ 660 comment (d), 661 comment (a). Misconduct includes “suppression of evidence, flight of
the accused from the jurisdiction or the removal of witnesses, bribery of officials, tampering with
a grand jury and all other similar conduct that prevents a fair hearing of the cause.” Id. § 660
comment (d). Impossible or impracticable situations arise, for example, when the accused is absent
from the jurisdiction or when the offense is not extraditable. Id. § 661 comment (a). The exceptions
do not appear to contemplate recantations involving past or present untruthfulness or evidence
fabrication. In light of this open question, another Restatement provision is instructive. Section
673 defines the functions of the court and the jury and provides that the favorable-termination
question is for the court. Id. § 673(1)(b). But, the jury may consider “the circumstances under
which the proceedings were terminated.” Id. § 673(2)(c). “If there is no conflict in the testimony
as to what the circumstances were, the court has no need for a finding of the jury.” Id. § 673
comment (e).
Here, the determinative question is whether the dismissal without prejudice reflects upon
Plaintiffs’ innocence. See Parnell, 786 F. App’x at 51. It is beyond dispute that the Commonwealth
unilaterally moved to dismiss—a means of formal abandonment—and that the dismissal was
without prejudice, but the reasons underlying those decisions are less clear. It seems fair to say
that the dismissal was less favorable than that at issue in Parnell. See id. In the motions, Steele
declined to comment on Plaintiffs’ guilt or innocence, and he did not promise that he would never
pursue future charges. See id.; DE 200-6; DE 200-7; see also DE 200-8 at 43 (“[T]his is a case that
was dismissed without prejudice, which means that it could be brought back up at a—at another
point in time.”). But, Parnell did not necessarily set a floor; it merely explained a set of
64
circumstances, without comment on which factor, if any, was decisive. See Parnell, 786 F. App’x
at 51. Plaintiffs’ claim of innocence hinges, at least in part, on the truth or falsity of several witness
statements, including King, Wilson, and Beach. The Commonwealth’s motion and the state court’s
resulting order do not resolve when, if ever, these witnesses were telling the truth. See DE 200-6;
DE 200-7; DE 200-116; DE 200-117. This issue is inextricably bound up with Plaintiffs’
fabrication argument. Viewing the facts in the light most favorable to Plaintiffs, a reasonable juror
could believe that the state’s witnesses were lying when they inculpated Plaintiffs and telling the
truth when they recanted to Steele or testified in their depositions. Certainly, at the point of
dismissal, the prosecutor viewed the proof as not even rising to the level of probable cause, much
less to the level supporting a prima facie case or a conviction. The status may have changed over
the course of the case, but the point of dismissal is where the evaluation of termination favorability
pertains. By that juncture, the responsible prosecutor viewed the criminal targets as not even still
chargeable with the crime. That reasonable minds could differ about the circumstances of the
dismissal here means that the Court cannot resolve this issue on summary judgment. The course
of trial testimony will guide the Court on the legal and factual nuances in the question.
C. Count III: § 1983 Supervisory Liability
Joseph argues that there is no evidence she “was present during the alleged events, knew
of the events beforehand, approved of them, participated in the investigation, or in the arrests or
prosecution of the Plaintiffs.” DE 201-1 at 28. Joseph maintains that nothing in her routine case
review “would have alerted [her] to any of the actions alleged in the Complaint.” Id. As far as
Joseph’s role regarding policymaking and training, Joseph maintains that she “did not have the
authority to issue, adopt, or approve policies, and by law her job duties did not include training.”
Id. at 28–29. In response, Plaintiffs contend that Joseph knowingly acquiesced in York’s and
65
Mefford’s misconduct because she was on notice of York’s interview techniques from her
involvement in the Anderson 52 case (in which she also supervised York). See DE 204 at 205–06.
Per Plaintiffs, Joseph’s shortcomings include her failures to discipline York for his interviewing
techniques, require him to complete quality control checklists, talk with him about this
investigation, review his investigative reports, keep apprised of witness interviews, ensure that
York documented exculpatory evidence, or follow through about a supplemental report based on
Crump’s eyewitness testimony. See id. at 207–09.
“Supervisory liability under § 1983 cannot attach where the allegation of liability is based
upon a mere failure to act.” Gregory, 444 F.3d at 751 (internal quotation omitted). “To hold a
supervisory official liable under § 1983, a plaintiff must demonstrate that the actor engaged in
some active unconstitutional behavior.” Stillwagon v. City of Delaware, 747 F. App’x 361, 374
(6th Cir. 2018). “At a minimum a plaintiff must show that the official at least implicitly authorized,
approved, or knowingly acquiesced in the unconstitutional conduct of the offending officers.”
Shehee v. Luttrell, 199 F.3d 295, 300 (6th Cir. 1999). For example, supervisory personnel do not
face § 1983 liability for failing to take appropriate action after being made aware of instances of
sexual harassment. See id. (discussing Poe v. Haydon, 853 F.2d 418, 429 (6th Cir. 1988)).
Here, the record does not support Plaintiffs’ contention that Joseph had “personal
participation in” the supposed violations of Plaintiffs’ constitutional rights. See DE 204 at 202. In
fact, it does not even support that Joseph was actually aware of York’s alleged misconduct
throughout this investigation. It is undisputed that, throughout the investigation into Katherine’s
death, Joseph attended no interviews, received no complaints about York, and discerned no witness
coercion or fabrication from her review of the case file. See DE 200-18 at 22–24 (Joseph
52
Anderson v. Knox Cty. et al., 6:17-cv-00133-KKC-HAI (E.D. Ky.) (filed May 22, 2017).
66
Deposition). The record actually reflects that many case reports do not indicate whether Joseph
reviewed them at all. See id. at 44. Plaintiffs may fault Joseph for not being more thorough and for
not auditing her own detectives, but this goes to the heart of one of Plaintiffs’ other grievances:
York’s practice of failing to report his supposed wrongdoing. If York did not document his
allegedly unconstitutional behavior, as Plaintiffs contend, then Joseph had no reasonable means,
by carrying out her prescribed supervisory functions, of discovering and remedying Plaintiffs’
harm. 53
Though Plaintiffs profess that they do not seek to hold Joseph liable merely because of her
status as a supervisor or simply because she knew or should have known about York’s misconduct,
the record supports no other theory. See DE 204 at 203. Perhaps most telling is Plaintiffs’ reference
in their statement of facts regarding Joseph, which focuses on her (deficient) training, her (limited)
capacity to actively supervise homicide detectives, and her (inadequate) efforts to supervise and
discipline York or to ensure that he was conducting his investigations in an appropriate manner.
See DE 204 at 204 (citing PSOF ¶¶ 259–88). 54 Regardless of Plaintiffs’ conclusory statements to
the contrary, each of these criticisms amounts to nothing other than a comment on Joseph’s
omissions or failures to act. Even assuming that Plaintiffs’ allegations are true and that Joseph
53
The Court notes that sovereign immunity would bar policy-based objections in that vein. See
Will v. Mich. Dep’t of State Police, 109 S. Ct. 2304, 2312 (holding that neither states nor state
officials acting in their official capacities are “persons” for purposes of § 1983).
54
Plaintiffs highlight that Joseph participated during the questioning of a witness in the Anderson
investigation and that she failed to correct York’s techniques in that case, which supposedly
empowered York to use similar tactics with Plaintiffs. See DE 204 at 205–06. This, according to
Plaintiffs, supplies the necessary causal connection. See id. at 207–09. The Court observes that the
Anderson allegations relate to pending litigation. Even assuming that Joseph observed a
constitutional violation in Anderson—an issue yet to be determined—Joseph did not “encourage[]
the specific incident of misconduct or in some other way directly participate[] in” any misconduct
causally connected to Plaintiffs’ supposed wrongful detention. See Shehee, 199 F.3d at 300.
Joseph’s conduct in this case indisputably amounts only to omissions or failures to act, which is
not a viable hook for § 1983 supervisory liability. See id.
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knew about the relevant misconduct, Plaintiffs nowhere suggest a triable issue, as the cases
demand, on Joseph’s active unconstitutional behavior relating to Plaintiffs’ wrongful detention.
D. Count IV: § 1983 Failure to Intervene
Though failure-to-intervene claims often arise in the context of excessive force, “a police
officer can be liable under § 1983 when he or she fails to intervene and prevent [other]
constitutional violations.” Virgil v. City of Newport, No. 16-224-DLB-CJS, 2018 WL 344986, at
*12 (E.D. Ky. Jan. 9, 2018). To establish a claim for § 1983 failure to intervene, a plaintiff must
show that the defendant “observed or had reason to know that [constitutional harm] would be or
was [taking place], and (2) . . . had both the opportunity and the means to prevent the harm from
occurring.” Sheffey v. City of Covington, 564 F. App’x 783, 793 (6th Cir. 2014) (internal quotation
omitted).
1. York
York makes a two-pronged argument challenging the failure-to-intervene claim: first, that
there are no underlying constitutional violations, and second, to the extent Plaintiffs allege that
York was the bad actor, he cannot have “failed to intervene against himself.” See DE 205-1 at 48
(internal quotation omitted). Plaintiffs (in a footnote) aver that York failed to intervene in Pickard’s
promises of consideration to Helton and in any fabrication or withholding of evidence that York
attributes to any other Defendant. See DE 204 at 197 n.20.
A promise of consideration in exchange for a statement is not, standing on its own, a
constitutional violation. Cf. United States v. Bagley, 105 S. Ct. 3375, 3379–80, 3384–85 (implicitly
recognizing that evidence bearing on “bias or interest arising from inducements offered by the
Government” must be disclosed); Giglio v. United States, 92 S. Ct. 763, 766 (1972) (explaining
prosecution’s obligation to disclose impeachment material). The government regularly offers
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consideration to witnesses and defendants in exchange for their cooperation or guilty pleas. See
United States v. Ligon, 937 F.3d 714, 718 (6th Cir. 2019) (explaining prosecution’s obligation to
honor plea agreements); Thomas v. Westbrooks, 849 F.3d 659, 663–66 (6th Cir. 2017) (describing
defendant’s due process right to impeach paid government witnesses); Bell v. Bell, 512 F.3d 223,
234 (6th Cir. 2008) (“The government is free to reward witnesses for their cooperation with
favorable treatment in pending criminal cases without disclosing to the defendant its intention to
do so, provided that it does not promise anything to the witnesses prior to their testimony.”). The
potential for constitutional violations arises from the lack or timeliness of disclosure, not from the
promise or reward itself. See United States v. Presser, 844 F.2d 1275, 1283–84 (6th Cir. 1988)
(holding that no constitutional violation occurs “so long as the defendant is given impeachment
material, even exculpatory impeachment material, in time for use at trial”). Taking Plaintiffs at
their word, York observed Pickard promise consideration to Helton, and York failed to document
or report it. Had this case proceeded to trial, a potential constitutional violation lurked. See Brady
v. Maryland, 83 S. Ct. 1194, 1196–97 (1963). But, a trial never came. Therefore, Pickard’s conduct
in the Helton interview at most sowed the seeds for future (and unrealized) constitutional harm.
Accordingly, a reasonable juror could not conclude that York failed to intervene.
2. Pickard
Pickard argues that he was unaware of and had no reason to know that there was a plan to
frame Plaintiffs, that evidence was manipulated, withheld, or destroyed, or that witnesses were
coerced and made to give false statements. See DE 206-1 at 33–35. Plaintiffs identify three
examples of Pickard’s opportunities to intervene: “(1) the coercion and fabrication of Allen
Helton’s false and fabricated statement; (2) the coercion and fabrication of Kayla Mills’ false and
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fabricated statement; and (3) the unduly suggestive identification procedure with Mr. Taylor.” See
DE 204 at 197.
None of the examples identified by Plaintiffs—and indeed, nothing in the record—would
allow a reasonable juror to conclude that Pickard observed a constitutional violation and had an
opportunity to prevent constitutional harm to Plaintiffs. The constitutional harm to be prevented
was Plaintiffs’ wrongful detention, not any violation of Helton’s or Kayla’s rights. With respect to
Taylor’s photographs, there was, at most, unripe constitutional harm. And, as already discussed, a
promise of consideration is not a per se constitutional violation. In order for Pickard to have
reasonably foreseen (and therefore have been a position to prevent) Plaintiffs’ wrongful detention,
he would have had to know that Helton’s and Kayla’s statements actually were false. There is no
indication that he knew or should have known Plaintiffs were innocent. As in the context of
malicious prosecution, Helton’s and Kayla’s professed ignorance and York’s supposed threats
were inadequate to alert Pickard to the possibility of wrongful detention.
3. Broughton
Broughton contends that he observed no constitutional violations, so there was nothing in
which to intervene to prevent constitutional harm. See DE 207-1 at 25. Plaintiffs maintain that
Broughton’s liability on this count stems from his presence at Helton’s interview, where York
allegedly provided Helton details of the crime; his participation during Hoskins’s interview; his
involvement in photographing Taylor; and his failure to act when York voiced “his desire to
concoct an unduly suggestive procedure to close the case against Mr. Taylor.” See DE 204 at 198.
The Court notes that, by post-deposition affidavit dated July 9, 2019, Hoskins claimed that
Broughton yelled at her and was present when York threatened to frame her for murder. See DE
200-38 at 2; DE 213 at 3–4 (Broughton’s reply discussing affidavit). “Under the sham affidavit
70
doctrine, after a motion for summary judgment has been made, a party may not file an affidavit
that contradicts his earlier sworn testimony.” France v. Lucas, 836 F.3d 612, 622 (6th Cir. 2016).
“If the affidavit directly contradicts prior sworn testimony, it should be stricken ‘unless the party
opposing summary judgment provides a persuasive justification for the contradiction.’” Id. At her
deposition on March 15, 2018, Hoskins testified that York screamed in her face in Broughton’s
presence. See DE 200-1 at 75. Counsel for Broughton repeatedly asked Hoskins what Broughton
should have done during the February 15, 2011, interview. See id. Nowhere did she testify that
Broughton joined in the screaming or that York, in front of Broughton, threatened to frame Hoskins
for murder. See id. The affidavit contradicts this testimony by glaringly adding new wrongdoing
that might create a material fact concerning § 1983 liability. Plaintiffs offer no justification for the
contradiction. The Court thus declines to consider DE 200-38 for purposes of any § 1983 claim.
Keeping in mind Broughton’s limited role in the investigation, the pertinent questions are
whether any of the conduct to which Broughton was privy evinced Plaintiffs’ constitutional harm
and, if so, whether Broughton realistically could have prevented it. Even accepting Plaintiffs’
version of events, the following conduct does not equate to a violation of Plaintiffs’ constitutional
rights: listening to York provide Helton with details about Katherine’s death, photographing
Taylor in a suggestive manner (when no identification occurred), standing by while York talked
about using Taylor’s photographs to procure an identification. In sum, having only marginally
participated in two interviews more than a year before Plaintiffs’ arrests, Broughton did not
observe hallmarks of future wrongful detention or have reason to know that Plaintiffs would be
wrongfully detained.
71
4. Mefford
Mefford argues that “[h]e had no opportunity to observe or know of any of the alleged
constitutional harm and had no realistic opportunity to intervene to prevent any alleged harm.” DE
201-1 at 16. His reasonable lack of knowledge hinges on the fact that Mefford, with respect to
Helton’s and Wilson’s statements, “was not responsible for the investigation, its content, or a
review of it.” See id. at 18. Plaintiffs claim that Mefford failed to intervene when York fed
information to Helton and when York used promises of consideration to extract a false statement
from Wilson. See DE 204 at 198.
As already discussed, Mefford did not observe a constitutional violation when York told
Helton details about Katherine’s death. Even if Mefford watched York prime Helton’s statement,
Mefford need not have known that the statement was untruthful or inconsistent with Helton’s own
personal knowledge. Nor was Mefford privy to a constitutional violation when York promised
Wilson that he would talk to the prosecutor and get back to him. Furthermore, no reasonable juror
could conclude that York fabricated Wilson’s statement in Mefford’s presence. To be precise about
the record, and Wilson’s deposition testimony in particular: Wilson testified that he never gave
any type of statement. See DE 200-57 at 8, 12. He did not testify that, during his meeting with
York and Mefford, York fed him information that he parroted back. See id. Nothing in the record
suggests that Mefford knew about the contents of York’s July 31, 2012, report memorializing
Wilson’s statement, one that Wilson and Plaintiffs aver is false. See DE 200-58.
E. Count V: § 1983 Conspiracy
A plaintiff must prove three elements to make out a claim for conspiracy under § 1983: the
existence of a single plan, a shared conspiratorial objective to deprive plaintiff of his or her
constitutional rights, and an overt act in furtherance of the conspiracy that caused injury. Jackson,
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920 F.3d at 362 (internal quotation omitted). “Rarely in a conspiracy case will there be direct
evidence of an express agreement among all the conspirators to conspire, . . . circumstantial
evidence may provide adequate proof of conspiracy.” Weberg v. Franks, 229 F.3d 514, 528 (6th
Cir. 2000). “Each conspirator need not have known all of the details of the illegal plan or all of the
participants involved.” Hooks v. Hooks, 771 F.2d 935, 944 (6th Cir. 1985). But, “conspiracy claims
must be pled with some degree of specificity and . . . vague and conclusory allegations unsupported
by material facts will not be sufficient to state such a claim under § 1983.” Gutierrez v. Lynch, 826
F.2d 1534, 1538–39 (6th Cir. 1987). Moreover, though conspirators need not know all plan details
or participants, there must be evidence from which a reasonable juror could infer the existence of
a single plan and shared objective. See Stillwagon, 747 F. App’x at 374 (finding sufficient evidence
of conspiratorial agreement based on joint filing of criminal complaint and officers’ knowledge
that evidence did not establish probable cause); Webb, 789 F.3d at 671 (“While each of these
alleged misdeeds may have occurred independently, they are sufficiently intertwined so as to
suggest an agreement between the perpetrators.”).
1. York
York makes no substantive argument on conspiracy liability other than to note that § 1983
conspiracy claims require an underlying constitutional violation, which York claims did not occur
here. See DE 205-1 at 49–50. Plaintiffs argue that evidence of the conspiracy lies in York’s
fabrication of Helton’s inculpatory statement, his coercion of Kayla, his direction of the “unduly
suggestive lineup procedure” with Taylor, and his failure to document exculpatory evidence. See
DE 204 at 192–95.
The Court concluded above that a reasonable juror could find that Plaintiffs were
wrongfully detained and that York’s non-immune misconduct (including fabrication) caused or at
73
least contributed to their injury. However, for the reasons explained below, there is insufficient
evidence that any remaining Defendant (other than York) participated in a single plan or shared a
conspiratorial objective. York cannot have been in a conspiracy by himself. See Revis v. Meldrum,
489 F.3d 273, 290 (6th Cir. 2007) (defining civil conspiracy as “an agreement between two or
more persons to injure another by unlawful action.”) (emphasis added). Therefore, this claim
necessarily fails.
2. Pickard
Pickard challenges the conspiracy claim on the basis that there was no joint plan to charge
Plaintiffs and no evidence showing Pickard’s conspiratorial objective to frame Plaintiffs. See DE
206-1 at 35–36. Pickard merely located individuals and occasionally sat in on interviews; he did
not initiate complaints, seek arrest warrants, or testify at any proceeding. See id. at 36–37. Nor did
Pickard have any ill will toward either Plaintiff. See id. at 37. According to Plaintiffs, Pickard’s
March 2012 interactions with Helton reveal that Pickard had joined York in a conspiracy. See DE
204 at 192–93. 55 Pickard promised Helton a bond and no future charges if he would tell them what
they needed to hear about Katherine’s death. See id. Pickard was also present when York told
Helton what to say. See id. at 193. Plaintiffs argue that Pickard’s conduct related to Kayla and
Taylor (discussed in the context of malicious prosecution and failure to intervene) is further
evidence of the conspiracy. See id. at 193–94. Finally, as with York, Plaintiffs fault Pickard for
55
As evidence of Pickard’s involvement, Plaintiffs also represent that Pickard was present during
Helton’s January 4, 2011, questioning. DE 204 at 192 (“For starters, Defendant Pickard was
present when Mr. Helton was questioned and provided the details of the Mills’ homicide by
Defendant York. PSOF ¶¶ 39–42, 69–78.”). Helton did not testify to that effect. Compare DE 204
at 192, with DE 200-17 at 35–36 (“Q: [Pickard] was not there? He took you there and dropped you
off. A: Right.”).
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failing to document evidence that may have exculpated Plaintiffs and inculpated others. See id. at
194.
On this evidence, a reasonable juror could not conclude that Pickard participated in a single
plan or shared the conspiratorial objective to wrongfully detain Plaintiffs. In contrast to Stillwagon,
Pickard did not jointly file the criminal complaint against Plaintiffs, and there is insufficient
evidence to show that Pickard knew the full range of case evidence (or whether it amounted to
probable cause). See Stillwagon, 747 F. App’x at 374. In order for the conspiracy claim to proceed,
Pickard cannot have merely shared the objective to find those responsible for Katherine’s death.
Though he need not have known all the details about the supposed conspiracy, Hooks, 771 F.2d at
944, Pickard would need to have known that Plaintiffs were innocent or that the plan was to
prosecute them regardless of their potential innocence. In the light most favorable to Plaintiffs, the
evidence shows that Pickard made sporadic promises of consideration, put pressure on those he
believed to have information (and watched others do the same), was present while another officer
photographed a suspect, and failed to document any information—exculpatory or inculpatory—he
received throughout the investigation. In sum, Pickard’s involvement with Helton, Kayla, and
Taylor does not fairly evince the conspiratorial objective to wrongfully detain Plaintiffs and was
not adequately “intertwined” with the falsifications alleged to have been made by York such that
a reasonable juror could deem Pickard a conspirator.
3. Broughton
Broughton contends that there is no record evidence of a single plan to fabricate or withhold
evidence. See DE 207-1 at 29. As evidence of Broughton’s role in the conspiracy to violate
Plaintiffs’ constitutional rights, Plaintiffs rely on the instances of Broughton’s involvement already
discussed in the context of the malicious-prosecution and failure-to-intervene claims. See DE 204
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at 195–96. Plaintiffs highlight that Broughton was present when York threatened to frame Hoskins
and when York fed Helton details and that Broughton “boasted” about having taken Taylor’s
photograph in what Plaintiffs deem an “unduly suggestive identification procedure.” See id. at 196.
As already discussed, the Court declines to consider Hoskins’s affidavit, which provides
the only evidence that York threatened to frame Hoskins with murder (and that Broughton
purportedly heard the threat). Moreover, though Plaintiffs attribute the “boast” about Taylor’s
photograph to Broughton in the context of this claim, Plaintiffs also claim that Broughton heard
rather than spoke the words. See id. (“Defendant York spoke to Defendant Broughton - loudly
enough for Mr. Taylor to overhear them - about sending the photographs that they had just taken
of Mr. Taylor and a sketch of the suspect to ‘someplace’, saying, ‘We got him. We’re charging
him with murder. It’s him . . . . We’re sending him down.’”) (emphasis added). This evidence does
not permit the reasonable inference that Broughton boasted of or, by another’s utterance, joined in
the conspiratorial plan to wrongfully detain Plaintiffs. Broughton’s only other investigative
contributions are his presence or limited participation during Helton’s, Hoskins’s, and Taylor’s
interviews. As with Pickard, there is no indication that Broughton knew the case evidence, that the
evidence did not amount to probable cause, that Plaintiffs were innocent, or that the plan was to
prosecute them under any circumstances. As a result, a reasonable juror could not conclude that
Broughton joined in the single plan or shared the conspiratorial objective.
4. Mefford
Mefford avers that there is no evidence he was part of a plan or shared in the conspiratorial
objective to violate Plaintiffs’ rights. See DE 201-1 at 16–19. As evidence of Mefford’s
participation in the conspiracy, Plaintiffs’ rely on Mefford’s presence at the interviews of Helton
and Wilson, where York reportedly fabricated both statements. See DE 204 at 196.
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Again, record precision here is crucial. Despite their arguments, Plaintiffs have nowhere
supported the claim that Mefford watched York fabricate Helton’s and Wilson’s statements.
Rather, the evidence (in the light most favorable to Plaintiffs) shows only that Mefford was present
during Helton’s interview on January 4, 2011—more than twelve months before his purported
statement inculpating Plaintiffs—when York began to feed Helton details about Katherine’s death
(that Helton later repeated, see DE 200-26 at 30; DE 200-40). See DE 200-17 at 6–7, 14.
Additionally, as explained in the context of the failure-to-intervene claim, Wilson did not testify
that York fabricated Wilson’s statement during their meeting, so a reasonable juror, believing
Wilson, could not conclude that Mefford was privy to the fabrication; that happened later, if at all,
when York drafted his report. See DE 200-58. Given the lack of evidence showing Mefford’s
participation in the conspiratorial plan or his conspiratorial objective, and for many of the same
reasons explained above, this claim, as to Mefford, must fail.
F. Qualified Immunity
York, Pickard, Broughton, and Mefford all assert qualified immunity as a defense to some
or all of Plaintiffs’ § 1983 individual-capacity claims. See DE 201-1 at 51–54 (Mefford and Joseph,
Counts I through V); DE 205-1 at 14, 34 (York, Counts I and II); DE 206-1 at 19–25 (Pickard,
Counts I through V); DE 207-1 at 30–33 (Broughton, Counts I through V). In response, Plaintiffs
incorporate their earlier arguments and maintain that each Defendant violated their constitutional
rights. See DE 204 at 201. Plaintiffs further contend that the relevant rights were clearly established
at the time of Defendants’ misconduct: that evidence fabrication violates due process; that officers
may not falsify facts to establish probable cause; and that individuals have the right to be free from
malicious prosecution, governmental conspiracies to violate civil rights, and unduly suggestive
identification procedures. See id. at 200–01.
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“Generally, summary judgment based on qualified immunity is proper if the officer was
not on notice that his conduct was clearly unlawful.” Bletz v. Gribble, 641 F.3d 743, 749 (6th Cir.
2011). “Qualified immunity is applicable unless the official’s conduct violated a clearly
established constitutional right.” Pearson v. Callahan, 129 S. Ct. 808, 816 (2009). “Once raised,
the plaintiff bears the burden of showing that a defendant is not entitled to qualified immunity.”
Bletz, 641 F.3d at 750. The plaintiff must make two showings: first, that the facts (viewed in the
light most favorable to the plaintiff) show a constitutional violation; and second, that the right
violated was clearly established at the time of the misconduct. Id. “The right must have been
‘clearly established’ not just in an abstract sense, but in a ‘particularized’ sense.” Cope v. Heltsley,
128 F.3d 452, 458–59 (6th Cir. 1997). A plaintiff must show, “on a fact-specific, case-by-case
basis . . . [that] a reasonable official in the defendants’ position could [not] have believed that his
conduct was lawful, in light of clearly established law and the information he possessed.” Pray v.
City of Sandusky, 49 F.3d 1154, 1157–58 (6th Cir. 1995). Otherwise, the movant-defendant who
asserts qualified immunity is entitled to summary judgment. See id.
Here, viewing the record through the lens of qualified immunity does not change the
substantive result. Plaintiffs have carried their burden to show, in a generic sense, that the
intentional or reckless fabrication of probable cause offends the Fourth Amendment. See Gregory,
444 F.3d at 749–50 (noting that “right to be free of continued detention without probable cause
was clearly established well before” the Spurlock decision in 1993); see also King, 852 F.3d at
582–83 (“[I]ndividuals have a clearly established Fourth Amendment right to be free from
malicious prosecution by a defendant who has ‘made, influenced, or participated in the decision
to prosecute the plaintiff’ by, for example, ‘knowingly or recklessly’ making false statements that
are material to the prosecution either in reports or in affidavits filed to secure warrants.”).
78
Additionally, Plaintiffs’ specific York allegations, if true, show that an objectively reasonable
officer in York’s position (and with York’s case knowledge) would have known that his conduct
amounted to a constitutional violation. 56
However, even if the involvement of Pickard, Broughton, Mefford, or Joseph rose to the
level of a constitutional violation, qualified immunity would bar § 1983 liability for these
Defendants. Plaintiffs have not carried their burden to show, in a particularized way, that
objectively reasonable officers in Pickard’s, Broughton’s, Mefford’s or Joseph’s position would
have known their conduct was unlawful. For many of the same reasons explained above, their
participation was too passive and their knowledge too limited to put them on notice of Plaintiffs’
supposed wrongful detention. Much of the alleged misconduct that these Defendants observed
could have reasonably appeared, in isolation, part of a routine, lawful investigation. Plaintiffs have
not pointed to particular cases that counsel a contrary result. In all, qualified immunity does not
entitle York to summary judgment, but it does further shield Pickard, Broughton, Mefford, and
Joseph from liability.
G. Count VI: Monell Claim Against Knox County
Knox County argues that the Monell claim fails for two reasons: Pickard did not violate
Plaintiffs’ constitutional rights, and Plaintiffs have not shown a Knox County policy that was the
“moving force” behind their injury. DE 206-1 at 37–40. Plaintiffs maintain that Knox County is
liable for its lack of policies on Brady obligations, evidence fabrication, and criminal
investigations; for its “widespread custom [or] practice of violating the constitutional rights of
citizens;” for Pickard’s actions as a policymaker; and for its failure to train and supervise officers.
56
Although courts have admittedly struggled to name and define the contours of malicious
prosecution and related torts, officers cannot claim ignorance based on shifting nomenclature. The
fundamentals, if not the foundation, of wrongful detention are clear.
79
See DE 204 at 211–13. Per Plaintiffs, Knox County made a deliberate choice not to have a policy
regarding Brady evidence, fabrication, or the use of threats and thereby “ignored a plainly obvious
danger.” See id. at 214–15. Additionally, Plaintiffs contend that their injury was a “‘highly
predictable consequence’ of deficient training.” See id. at 219 (internal quotation omitted). Lastly,
Plaintiffs point to Pickard’s alleged conduct in the Anderson case as evidence of Knox County’s
“custom of misconduct.” See id. at 222–28.
None of Plaintiffs’ claims survives summary judgment as to Pickard individually. Knox
County is entitled to judgment on this basis alone. “If no constitutional violation by the individual
defendants is established, the municipal defendants cannot be held liable under § 1983.” Watkins
v. City of Battle Creek, 273 F.3d 682, 687 (6th Cir. 2001). Though Plaintiffs cite Garner v.
Memphis Police Dep’t, 8 F.3d 358 (6th Cir. 1993), for the proposition that Knox County should
remain in the case even if Pickard is dismissed, Garner actually held that “a municipality may not
escape liability for a § 1983 violation merely because the officer who committed the violation is
entitled to qualified immunity.” See id. at 365 (emphasis added); see also Scott v. Clay Cty., 205
F.3d 867, 879 (6th Cir. 2000) (“[I]f the legal requirements of municipal or county civil rights
liability are satisfied, qualified immunity will not automatically excuse a municipality or county
from constitutional liability, even where the municipal or county actors were personally absolved
by qualified immunity, if those agents in fact had invaded the plaintiff’s constitutional rights.”). In
Garner, “there [was] no doubt that a constitutional violation occurred.” Garner, 8 F.3d at 365.
Here, the Court has not concluded that Pickard committed a constitutional violation but that
qualified immunity protects him from liability. Instead, none of Pickard’s conduct rises to the level
of a constitutional violation on any of Plaintiffs’ § 1983 theories. As a result, the Monell claim
against Knox County must fail.
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Even if Pickard could be liable on one or more of the § 1983 claims, Plaintiffs have not
satisfied “the legal requirements of municipal or county civil rights liability.” See Scott, 205 F.3d
at 879. Respondeat superior is not a basis for county liability under § 1983. Jackson, 920 F.3d at
374. “Instead, a plaintiff must show that ‘through its deliberate conduct, the municipality was the
“moving force” behind the injury alleged.’” Id. (internal quotation omitted). There are four ways
to make this showing: “(1) the existence of an illegal official policy or legislative enactment; (2)
that an official with final decision making authority ratified illegal actions; (3) the existence of a
policy of inadequate training or supervision; or (4) the existence of a custom of tolerance or
acquiescence of federal rights violations.” Id. (internal citation omitted). Plaintiffs attempt, though
unsuccessfully, to suggest a triable issue on each Monell theory.
1. Lack of Policy
To begin, Plaintiffs’ wrongful detention was not a “plainly obvious” consequence of Knox
County’s supposed failure to create a policy regarding Brady obligations. See Gregory, 444 F.3d
at 752–53 (“[T]he risk of a constitutional violation arising as a result of the inadequacies in the
municipal policy must be ‘plainly obvious.’”); see also Bd. of the Cty. Comm’rs v. Brown, 117 S.
Ct. 1382, 1392 (1997) (“Deliberate indifference is a stringent standard of fault, requiring proof
that a municipal actor disregarded a known or obvious consequence of his action.”). It bears
repeating that Plaintiffs did not proceed to trial and have asserted no Brady claim. It is conceivable
that an inadequate Brady policy could lead to constitutional violations, but those potential harms
are irrelevant here; Plaintiffs’ injury is wrongful detention, not abridgement of trial rights.
As far as Knox County’s failure to adopt a policy regarding evidence fabrication, the
determinative issue is not one of causation but common sense. Certain police misconduct is so
patently wrong that municipalities need not enact policies prohibiting the behavior. For example,
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the fact that officers must “[r]efrain[] from raping women in police custody is so obvious that even
if [county policy] were silent about such conduct, it would not give rise to a constitutional
violation.” See Campbell v. Anderson Cty., 695 F. Supp. 2d 764, 774–75 (E.D. Tenn. 2010).
Similarly, there was no need for a Knox County policy stating that officers should not cook up
evidence. 57 As a result, Knox County’s lack of such policy does not expose it to liability for the
alleged fabrication that occurred and caused Plaintiffs’ injury.
To the extent Plaintiffs contend that Pickard’s wrongdoing itself constituted Knox County
policy, the Court observes that not “every ‘law enforcement’ activity (e.g., stop, arrest, etc.) by a
sheriff (or other chief law enforcement official)—whether a matter of official business or a misuse
of power to advance a private agenda—represents the ‘official policy’ of the local government.”
See Wooten v. Logan, 92 F. App’x 143, 146–47 (6th Cir. 2004). Plaintiffs perhaps have supported
that Pickard was a policymaker, see DE 204 at 218, 222 n.22, but not that he was acting in a
policymaking capacity when he committed the misconduct attributed to him. “Municipal liability
attaches only where the decisionmaker possesses final authority to establish municipal policy with
respect to the action ordered.” Pembaur v. City of Cincinnati, 106 S. Ct. 1292, 1299 (1986)
(emphasis added).
Finally, Plaintiffs’ argument that Knox County had no policies on “how to conduct a
criminal investigation” does not adequately explain how any specific policy would have prevented
Plaintiffs’ constitutional injury in this case. See DE 204 at 216–17. Generic mentions of deficient
policies on witness interviews and documentation do not comport with the “rigorous standards of
57
The Court notes important differences between Brady policy and fabrication policy. Brady
policy may advise government actors about the timing, mechanics, and scope of required
disclosure. With fabrication, an adequate policy would consist of a few choice words: do not
fabricate.
82
culpability and causation” that Plaintiffs must meet in order to hold Knox County responsible for
the acts of its employee. See Brown, 117 S. Ct. at 1389.
2. Inadequate Training or Supervision
“[T]he inadequacy of police training may serve as the basis for § 1983 liability only where
the failure to train amounts to deliberate indifference to the rights of persons with whom the police
come into contact.” See City of Canton v. Harris, 109 S. Ct. 1197, 1204–05 (1989). “In order to
establish a failure-to-train claim, [Plaintiffs] must establish that: 1) the [County’s] training program
was inadequate for the tasks that [Pickard] must perform; 2) the inadequacy was the result of the
[County’s] deliberate indifference; and 3) the inadequacy was closely related to or actually caused
the injury.” See Ciminillo v. Streicher, 434 F.3d 461, 469 (6th Cir. 2006). Deliberate indifference
may be shown by “either (1) ‘prior instances of unconstitutional conduct demonstrating that the
City had notice that the training was deficient and likely to cause injury but ignored it’ or (2)
‘evidence of a single violation of federal rights, accompanied by a showing that the City had failed
to train its employees to handle recurring situations presenting an obvious potential for such a
violation.’” Jackson, 920 F.3d at 382.
Here, Pickard is the only remaining individual Knox County Defendant (after Plaintiffs’
voluntary dismissal). Sheriffs are “peace officers” under Kentucky law, but they are statutorily
exempt from the training requirements that apply to most other peace officers. See KRS
446.010(31); KRS 15.380(5)(a). “The statute has a three-part scheme by which certain officers
must be certified, other officers may be certified ‘upon request of the employing agency,’ and still
others ‘shall be exempted from the certification requirements’ unless the officer himself requests
certification.” Stanley v. Smith, No. 6:16-CV-264-REW-HAI, 2019 WL 4786053, at *16 (E.D. Ky.
Sept. 30, 2019). Pickard was in this third category. See KRS 15.380(5)(a). Plaintiffs emphasize
83
that Pickard was not required to attend the police academy, see DE 204 ¶ 225, but do not develop
or support the argument that Kentucky’s statutory scheme governing law-enforcement training
requirements is constitutionally inadequate such that municipalities may face § 1983 liability for
complying with the scheme. Further, the scheme comes from the General Assembly, and is not a
creation of the county.
3. Policy or Custom of Rights Violations
This theory requires that Plaintiffs show “(1) the existence of a clear and persistent pattern
of [illegal activity]; (2) notice or constructive notice on the part of the [Knox County]; (3) [Knox
County’s] tacit approval of the unconstitutional conduct, such that their deliberate indifference in
their failure to act can be said to amount to an official policy of inaction; and (4) that [Knox
County’s] custom was the ‘moving force’ or direct causal link in the constitutional deprivation.”
See Thomas v. City of Chattanooga, 398 F.3d 426, 429 (6th Cir. 2005).
As evidence of Knox County’s custom of misconduct, Plaintiffs rely on hearsay and
unproven assertions about Pickard’s conduct in the pending Anderson case. See DE 204 at 222–
28. Even if these allegations could constitute the required “clear and persistent pattern,” the only
Knox County official (joined in this matter) alleged to have been on notice about and have tacitly
approved Pickard’s misconduct is Pickard himself. To inculpate Knox County for two instances
of Pickard’s supposed wrongdoing—which Plaintiffs do not claim was known to any Knox County
official other than Pickard—would effectively extend § 1983 liability to include respondeat
superior, a result the Supreme Court has explicitly disallowed. See Monell v. Dep’t of Soc. Servs.,
98 S. Ct. 2018, 2035–36 (1978) (“Congress included customs and usages [in § 1983] because of
the persistent and widespread discriminatory practices of state officials . . . . Although not
authorized by written law, such practices of state officials could well be so permanent and well
84
settled as to constitute a ‘custom or usage’ with the force of law.”) (internal quotation omitted);
see id. at 2036 (“[A] municipality cannot be held liable solely because it employs a tortfeasor—
or, in other words, a municipality cannot be held liable under § 1983 on a respondeat superior
theory.”).
H. Count VIII: State-Law Malicious Prosecution
There are five elements of malicious prosecution under Kentucky law:
1) the defendant initiated, continued, or procured a criminal or civil judicial
proceeding, or an administrative disciplinary proceeding against the plaintiff;
2) the defendant acted without probable cause;
3) the defendant acted with malice, which, in the criminal context, means seeking
to achieve a purpose other than bringing an offender to justice; and in the civil
context, means seeking to achieve a purpose other than the proper adjudication of
the claim upon which the underlying proceeding was based;
4) the proceeding, except in ex parte civil actions, terminated in favor of the
person against whom it was brought; and
5) the plaintiff suffered damages as a result of the proceeding.
Martin v. O’Daniel, 507 S.W.3d 1, 11–12 (Ky. 2016).
Procuring a criminal proceeding includes arresting, filing a criminal complaint, indicting,
or inducing the prosecutor to commence proceedings by providing “inaccurate, false, and
misleading information.” See id. The Kentucky probable-cause inquiry mirrors that under federal
law. Williams v. Commonwealth, 147 S.W.3d 1, 11–12 (Ky. 2004) (quoting Beck v. Ohio, 85 S.
Ct. 223, 228 (1964). “[M]alice may be inferred from a lack of probable cause.” Massey v.
McKinley, 690 S.W.2d 131, 133 (Ky. Ct. App. 1985).
The jury, however, may not invariably imply malice from the mere want of
probable cause if all the facts disclosed lead to a different conclusion. If malice
was to be inferred from want of probable cause alone, then there would be no
necessity for having a distinct requirement that malice be proven, for want of
probable cause would then be the only element necessary to be established.
Mosier v. McFarland, 106 S.W.2d 641, 642 (Ky. 1937). “The termination must go to the merits of
the accused’s professed innocence for the dismissal to be ‘favorable’ to him.” Ohnemus v.
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Thompson, 594 F. App’x 864, 867 (6th Cir. 2014) (interpreting Kentucky law). Excepting malice,
Kentucky’s elements resemble those of a § 1983 malicious-prosecution claim, so much of the
earlier analysis applies with similar force here. See Hall v. City of Williamsburg, No. 6:16-304DCR, 2017 WL 3668113, at *10 (E.D. Ky. Aug. 24, 2017).
1. York
York disputes the probable-cause and favorable-termination elements of this claim. See DE
205-1 at 50–51. Plaintiffs rely on the evidence discussed in the § 1983 malicious-prosecution
context to suggest a disputed material question of fact on York’s liability for state-law malicious
prosecution. See DE 204 at 229.
Kentucky courts recognize a rebuttable presumption of probable cause based on a
preliminary-hearing finding or a grand-jury indictment. See Craycroft v. Pippin, 245 S.W.3d 804,
806–07 (Ky. Ct. App. 2008) (preliminary hearing); Davidson v. Castner-Knott Dry Goods Co.,
202 S.W.3d 597, 606 (Ky. Ct. App. 2006) (grand jury). A plaintiff may rebut this presumption by
presenting evidence to suggest that probable cause did not exist. See Craycroft, 245 S.W.3d at 806
n.2 (“[Plaintiff] is entitled to produce evidence that shows a lack of probable cause which could
result in establishing one of the necessary elements for a malicious prosecution claim.”); Davidson,
202 S.W.3d at 607 (“Consequently, while a grand jury indictment raises a presumption of probable
cause, this presumption can be rebutted by the plaintiff.”). Here, Plaintiffs have produced such
evidence. The Court has already concluded that, on the fully developed record, reasonable minds
could differ as to the existence of probable cause. For this reason, York is not entitled to summary
judgment on this ground.
“[T]he determination of whether a termination is sufficiently favorable ultimately rests
with the trial court as a matter of law, absent a factual dispute relative to the circumstances of the
86
dismissal.” Davidson, 202 S.W.3d at 606 (citing Restatement (Second) of Torts § 673(1)(b) &
comment (e)). As with the federal variant of this claim, the termination must “indicate the
innocence of the accused.” See id. (internal citation omitted). Here, as discussed above, there is a
factual dispute regarding the circumstances and character of this dismissal without prejudice.
Reasonable minds could differ about whether the dismissal reflected sufficiently upon Plaintiffs’
innocence. As a result, favorable termination presents a jury question.
2. Pickard, Broughton, and Mefford
Defendants Pickard, Broughton, and Mefford seek summary judgment on this claim for
various reasons: Pickard, Broughton, and Mefford “did not initiate, continue, or procure criminal
charges against Plaintiffs,” see DE 201-1 at 32–36; DE 206-1 at 44; DE 207-1 at 34, and Plaintiffs
failed to make a showing of malice (as to Pickard, see DE 206-1 at 45; Broughton, see DE 207-1
at 34–35; and Mefford, see DE 201-1 at 48). As with York, Plaintiffs offer no independent
argument to support their state-law malicious-prosecution claim; instead, they incorporate the
earlier-discussed evidence that shows Pickard, Broughton, and Mefford “influencing or continuing
the prosecution.” See DE 204 at 229.
The Court already determined that Pickard, Broughton, and Mefford had insufficient
involvement in Plaintiffs’ prosecution to render them liable under § 1983. Kentucky’s standard
does not counsel a contrary result on the state-law claim. Under Kentucky’s formulation, an officer
who fills out a citation and makes an arrest satisfies the first element of malicious prosecution, but
liability does not attach to those whose conduct does not rise to the level of initiating or maintaining
the prosecution (such as testifying at a suppression hearing). See Arnold v. Wilder, 657 F.3d 353,
365–66 (6th Cir. 2011); Shamaeizadeh v. Cunigan, 338 F.3d 535, 556 (6th Cir. 2003). Pickard,
Broughton, and Mefford did not arrest Plaintiffs and did not testify at any proceeding. They did
87
not formally or substantively begin or further the case. Because of their ancillary roles, a
reasonable juror could not deem Pickard, Broughton, or Mefford liable for state-law malicious
prosecution.
3. Qualified Official Immunity
Pickard raised qualified official immunity as a defense to Plaintiffs’ state-law claims. See
DE 206-1 at 41–43. In contrast, York, Mefford, and Broughton did not specifically address statelaw immunity, though they asserted qualified immunity as a defense to Plaintiffs’ federal claims.
See DE 201-1 at 2 (summarizing arguments and raising qualified official immunity only as to
Joseph); DE 205-1 at 50–51 (discussing state-law malicious prosecution without mention of
immunity); DE 207-1 at 33–35 (same).
Notwithstanding the above grant of summary judgment for Pickard on this claim, this
ruling does not depend on Pickard’s qualified official immunity. “[Q]ualified official immunity is
available only to officials acting in good faith.” Martin, 507 S.W.3d at 5. Good faith and malice
are mutually exclusive concepts. Id. “Malice is a material fact that a plaintiff must prove to sustain
a malicious prosecution claim.” Id. Accordingly, “in the context of a malicious prosecution claim
against state law enforcement officers, the issue of qualified official immunity is superfluous.” Id.
at 5–6. Because qualified official immunity is not a viable defense to state-law malicious
prosecution, the Court undertakes no further analysis.
I. Count IX: State-Law Negligent Supervision
Per Joseph, she is entitled to summary judgment on this claim because her duties did not
include policymaking or training and because Kentucky law bars negligence claims based on the
same conduct as malicious-prosecution claims. See DE 201-1 at 28–32. Joseph also asserts
qualified official immunity for her good-faith discretionary acts within the scope of her authority.
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See id. at 49–51. In response, Plaintiffs do not give separate treatment to their state-law negligent
supervision claim against Joseph, other than to argue that state-law negligence claims may be
brought alongside malicious-prosecution claims. See DE 204 at 202–11. Plaintiffs are also silent
on Joseph’s claimed qualified official immunity for state-law negligent supervision. See id. at 201–
02 (arguing that Pickard is not entitled to qualified official immunity without any mention of
Joseph).
Kentucky law recognizes the torts of negligent training and negligent supervision. See MV
Transp. Inc. v. Allgeier, 433 S.W.3d 324, 336 n.10 (Ky. 2014) (collecting cases). “[T]he plaintiff
must allege that the defendant knew or had reason to know of the employee’s harmful propensities;
that the employee injured the plaintiff; and that the hiring, supervision, or retention of such an
employee proximately caused the plaintiff’s injuries.” Grand Aerie Fraternal Order of Eagles v.
Carneyhan, 169 S.W.3d 840, 844 (Ky. 2005). “[A]n employer may be held liable for negligent
supervision only if he or she knew or had reason to know of the risk that the employment created.”
Booker v. GTE.net LLC, 350 F.3d 515, 517 (6th Cir. 2003) (interpreting Kentucky law and citing
Restatement (Second) of Agency § 213 (1958)); see also Doe v. Magoffin Cty. Fiscal Court, 174
F. App’x 962, 973–74 (6th Cir. 2006) (“Where there is no foreseeability, there is no duty under
Kentucky law.”). “Kentucky conflates the negligent training and negligent supervision standards.”
J.B.F. v. Ky. Dep’t of Educ., No. 5:15-CV-33-REW, 2016 U.S. Dist. LEXIS 72419, at *48 (E.D.
Ky. June 3, 2016); see Carberry v. Golden Hawk Transp. Co., 402 S.W.3d 556, 564 (Ky. Ct. App.
2013) (discussing knowledge of employment risk as relevant to both negligent training and
supervision).
Here, for the reasons discussed regarding Plaintiffs’ § 1983 supervisory liability claim, a
reasonable juror could not conclude that Joseph knew that York used fabricated evidence to
89
wrongfully detain Plaintiffs. Her limited substantive involvement indicates a largely
administrative role and does not create a reasonable inference of knowledge about the truth or
falsity of witness statements, Plaintiffs’ supposed innocence, or York’s alleged misconduct. Nor
have Plaintiffs shown that Joseph reasonably should have known about the risk of fabrication
based on the allegedly coercive interviewing in the Anderson case. Even assuming that York’s
tactics were impermissibly coercive in the Anderson investigation, Joseph’s experience did not
make foreseeable the alleged wrongdoing in this case, which does not involve claims that Plaintiffs
were unconstitutionally coerced. As a result, it was not foreseeable to Joseph that her training and
supervision decisions would cause Plaintiffs harm. In sum, there is no triable issue on this claim.
1. Qualified Official Immunity
Even if Plaintiffs could suggest a jury question on Joseph’s liability on this count, Plaintiffs
have not overcome Joseph’s defense of qualified official immunity.
“Qualified immunity applies when public officials perform (1) discretionary acts, (2) in
good faith, and (3) within their scope of authority.” Hill v. Adkins, 59 F. Supp. 3d 814, 820 (E.D.
Ky. 2014) (citing Yanero v. Davis, 65 S.W.3d 510, 522 (Ky. 2001). “If the act was discretionary
and within the scope of authority, the burden shifts to the plaintiff ‘to establish by direct or
circumstantial evidence that the discretionary act was not performed in good faith.’” Id. (quoting
Yanero, 65 S.W.3d at 523). Objective bad faith means “objective unreasonableness” (or the
violation of a clearly established right) whereas subjective bad faith implies malice or a corrupt
motive. Yanero, 65 S.W.3d at 523. “Supervision and training are discretionary functions.” Nichols
v. Bourbon Cty Sheriff’s Dep’t, 26 F. Supp. 3d 634, 642 (E.D. Ky. 2014).
Here, there is no dispute that Joseph acted within the scope of her authority, and Plaintiffs
do not contest the discretionary nature of training and supervision. Moreover, Plaintiffs have not
90
suggested that Joseph directly violated Plaintiffs’ clearly established constitutional rights or that
she acted maliciously or with a corrupt motive. Accordingly, this claim, unargued by Plaintiffs,
cannot survive summary judgment.
IV. CONCLUSION
For the above reasons, the Court ORDERS as follows:
1. The Court GRANTS DE 177, DE 178, and DE 179. None of Plaintiffs’ claims against
Pickard, Broughton, Mefford, Joseph, or Knox County survives summary judgment; and
2. The Court GRANTS IN PART AND DENIES IN PART DE 180. Plaintiffs may
proceed on their § 1983 and state-law malicious prosecution claims against York,
individually.
This the 23rd day of March, 2020.
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