Doe et al v. Meron et al
Filing
36
MEMORANDUM OPINION. Signed by Judge Paula Xinis on 7/30/2018. (jf3s, Deputy Clerk)
THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MARYLAND
BARRY DOE,
On behalf of himself and as Next Friend
of his minor children; M.D. (2006);
E.D. (2008); and K.D. (2009)
*
*
*
Plaintiffs,
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Civil Action No. PX-17-812
v.
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DAVID J. MERON,
et al.
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Defendants.
*****
MEMORANDUM OPINION
Pending in this case is a motion to dismiss or for summary judgment filed by Defendants
Barbara R. Craig, Terry Greene, Clark Jackson, David LaSpisa, David J. Meron, John Scorby,
Steven Stutzman, and Kristen E. Webb, ECF No. 15, as well as a motion to dismiss filed by the
United States of America. ECF No. 17. Also pending is Plaintiff Barry Doe’s motion to set
aside Defendants’ scope of employment certification, ECF No. 24. The motions are fully
briefed, and the Court now rules because no hearing is necessary. Loc. R. 105.6. For the
following reasons, the motion to set aside the scope of employment certification, ECF No. 24, is
DENIED, and Defendants’ motions to dismiss are GRANTED.
I.
Background1
Plaintiff Barry Doe (“Doe”), proceeding pseudonymously, brings this action on behalf of
himself and his three minor children, Martin Doe (“M.D.”), Erica Doe (“E.D.”), and Kimberly
Doe (“K.D.”) against Defendants Barbara R. Craig, Terry Greene, Clark Jackson, David Laspisa,
1
The Court treats the individual defendants’ motion, ECF No. 15, as one to dismiss the Complaint. Unless
otherwise noted, all facts are taken from the Complaint and construed as true for purposes of this motion. Further,
while the Court cites to sealed documents throughout this Memorandum Opinion, all sealed and/or confidential
information was broadly referenced or omitted to protect the pseudonymous Plaintiffs’ privacy.
1
David J. Meron, John Scorby, Steven Stutzman, and Kristen E. Webb. ECF No. 1. At all times
relevant to the Complaint, Doe was a United States citizen and civil servant employed by the
United States Navy (“Navy”) at Naval Support Activity Bahrain (“NSA Bahrain”), in the
Kingdom of Bahrain. ECF No. 1 at ¶¶ 28, 41. The vast majority of the events alleged in the
Complaint took place at NSA Bahrain. See ECF No. 1.
Defendants David J. Meron (“Meron”), David LaSpisa (“LaSpisa”), and John Scorby
(“Scorby”) are Navy officers. ECF No. 1 at ¶ 32, 37, 39. Specifically, Meron is a resident of
Kansas and, at all times relevant to the Complaint, a naval officer who served as the Installation
Commanding Officer (“Commanding Officer”) at NSA Bahrain. ECF No. 1 at ¶¶ 32, 37.
LaSpisa is a resident of Florida and commissioned naval officer at NSA Bahrain. ECF No. 1 at
¶¶ 32, 37. Scorby was an American citizen domiciled in Italy and Rear Admiral, serving as the
Commander, Navy Region Europe, Africa, and Southwest Asia, whose authority extended to
NSA Bahrain. ECF No. 1 at ¶ 39.
Defendants Clark Jackson (“Jackson”) and Steven Stutzman (“Stutzman”) are adult
American citizens employed by the Navy. ECF Nos. 1 at ¶¶ 36, 38. Jackson is a resident of
Washington based at NSA Bahrain, and Stutzman is an American citizen domiciled in Italy.
ECF No. 1 at ¶¶ 36, 38. Defendant Terry Greene (“Greene”) is an adult American citizen
domiciled in the Kingdom of Bahrain and employed by the Department of Defense Education
Activity (DODEA) as the principal of the Bahrain School, which is operated by the Department
of Defense (DOD). ECF No. 1 at ¶ 35. Defendants Barbara R. Craig (“Craig”) and Kristen E.
Webb (“Webb”) are residents of Maryland and were employed by or affiliated with DOD or the
Defense Health Agency (DHA). ECF Nos. 1 at ¶¶ 33–34. DHA is based in Bethesda, Maryland.
ECF No. 1 at ¶¶ 33–34.
2
On or about June 2014, Doe began an assignment with the Navy at NSA Bahrain. ECF
No. 1 at ¶ 40. Doe’s three minor children, M.D. (2006), E.D. (2008), and K.D. (2009)
(collectively, “minor Plaintiffs”), went to Bahrain with him. ECF No. 1 at ¶ 40. All three minor
Plaintiffs attended the Bahrain School, which is operated by DOD, from 2014 through 2015.
ECF No. 1 at ¶ 42.
The events giving rise to this suit concern DOD’s 2015 investigation into allegations that
Doe abused and neglected his children. Taking serious issue with the manner in which the
investigation was handled, Doe alleges that “a group consisting of Defendants Greene, Craig,
Jackson, LaSpisa, Meron, Webb, and others in Maryland, Bahrain, Europe, and the National
Capital Region (NCR) conceived of a plot to seize” his three children, the minor Plaintiffs. ECF
No. 1 at ¶ 43. Doe asserts that Meron, Jackson, LaSpisa, Stutzman and Scorby acted in concert
to conduct a baseless investigation that caused physician Craig and social worker Webb to
“seize, interrogate, and batter the three minor Plaintiffs.” See generally ECF No. 1.
Among the other claimed violations, Doe avers that Defendants interrogated his children
without his permission. Doe particularly avers that in response to requests to interview fiveyear-old K.D. outside Doe’s presence, Doe “warned Jackson clearly that no one was to contact
any of his three children without him being present.” ECF No. 1 at ¶¶ 51, 53. Doe further
alleges that on “information or belief,” Meron falsely averred in signed correspondence that
Meron had obtained consent from Doe to speak to the minor Plaintiffs, even though no such
consent was given. ECF No. 1 at ¶¶ 54, 59.
With regard to DOD’s examination of the children, Doe avers that during the
investigation, Craig and Webb traveled from Maryland to Bahrain at the direction of the other
Defendants to “seize, detain, and interrogate all three minor children at the Bahrain School.”
3
ECF No. 1 at ¶ 66. With Defendant Greene’s assistance, Craig and Webb interrogated the
children at the School but outside the presence of Doe and without counsel. Craig and Webb
also filmed this interrogation without consent. ECF No. 1 at ¶¶ 67, 68. While Craig and Webb
questioned the children, Meron ordered Naval Security Forces (NSF) to exclude Doe from the
Bahrain School should he attempt to enter. ECF No. 1 at ¶¶ 72–73.
Later that same day, the children were seized a second time while at the NSA Bahrain
Child Youth Program. ECF No. 1 at ¶ 74. Doe contends that Craig medically evaluated the
children in a manner that “breached” their clothing and involved touching their genitals, rectums,
and breasts. ECF No. 1 at ¶ 74, 77–78. The minor Plaintiffs “believed they had been abducted
by strangers with deadly weapons and would be killed if they did not submit” to Craig’s
evaluation. ECF No. 1 at ¶ 79. During this evaluation, Greene specifically denied to Doe that
she knew where the minor Plaintiffs were located. ECF No. 1 at ¶¶ 80, 81.
The next day, Doe was seized and handcuffed by NSF officers while taking his children
to school. ECF No. 1 at ¶ 82. NSF did not have a key to the handcuffs, and Doe was restrained
for several minutes and then released. ECF No. 1 at ¶ 85. No charges were filed against Doe.
See ECF No.1. Doe then met with Meron in the presence of Naval Officer, Scott Cloyd during
which time Meron purportedly admitted that he had “no lawful authority to seize” Doe or his
children, and that “the higher superiors in the Navy had ‘pressured’ him to commit these acts.”
ECF No. 1 at ¶ 89. Meron further admitted that NSF’s seizure of Doe was unlawful, and was
part of the “plot to secretly seize [Doe’s] children” without Doe’s knowledge. ECF No. 1 at ¶
90. A few days later, Doe met with Defendant Greene, Eldridge Groomes, and Calvin Caldwell
to discuss the events that transpired at the Bahrain School. ECF No. 1 at ¶ 92. When pressed
4
about her role, Greene admitted that Meron had directed her to allow Craig and Webb “to seize
the three minor Plaintiffs and film them against their will.” ECF No. 1 at ¶ ¶ 92–93.
Based on this course of events, Doe feared for his life and the safety of his family. He
departed Bahrain on August 6, 2015, and “hastily relocated to Texas at a significantly reduced
rate of pay.” ECF No. 1 at ¶ 88. According to Doe, the three minor Plaintiffs “continue to
experience nightmares” and “serious emotional disturbances consistent [with] children who have
been forcibly abducted and sexually molested by strangers.” ECF No. 1 at ¶ 98.
On or about May 26, 2016, Plaintiffs filed administrative claims regarding these events
with the Navy, DODEA, and DHA. ECF No. 1 at ¶ 94; see also ECF No. 18-7. Plaintiffs assert
that “[b]y information or belief, none of the agencies or Defendants responded to or attempted to
resolve the [MCA] administrative claim filed by the Plaintiffs.” ECF No. 1 at ¶ 95. It was later
clarified that on March 27, 2017 — three days after the Complaint was filed — the Navy
tendered a settlement offer arising from that administrative claim. See ECF No. 25 at 28; see
also ECF No. 15-19.
Having failed to resolve the case administratively, Doe filed suit against Defendants in
this Court, asserting that all Defendants in their individual and official capacities violated
Plaintiffs’ Fourth Amendment right against unlawful searches and seizures (Counts I, II, and III),
First and Fifth Amendment rights to “parentage and familial relations” (Count IV), their Fifth
Amendment rights of due process and equal protection (Count V), and conspiracy in violation of
42 U.S.C. § 1985 (Count XI). Plaintiffs also bring common law tort claims for intentional
infliction of emotional distress (Count VI), assault (Count VII), battery (Count VIII), false
imprisonment (Count IX), false light invasion of privacy (Count X), and conspiracy under 42
U.S.C. § 1985 (Count XI). ECF No. 1.
5
On September 18, 2017, and pursuant to the Federal Tort Claims Act (“FTCA”), the
United States of America (“United States”) substituted itself as the proper party defendant for all
claims against the Defendants in their official capacities, and all common law tort claims
asserted against Defendants Meron, Craig, Webb, Greene, LaSpisa, Stutzman, Scorby, and
Jackson. ECF No. 16. In connection with its substitution motion, the United States filed a
certification attesting that Defendants acts as alleged in the Complaint were within the scope of
Defendants’ DOD employment, and thus substitution of the United States under the FTCA was
proper.
The United States then moved to dismiss all claims, arguing that under the foreign
country exception to the FTCA, the Government cannot be sued for events that occurred on
foreign soil. ECF No. 17. The individual Defendants also moved to dismiss, or for summary
judgment on the constitutional claims, arguing that no implied cause of action exists pursuant to
Bivens v. Six Unknown Named Agents of Federal Bureau of Narcotics, 403 U.S. 1971 (1971).
ECF No. 15.
On November 17, 2017, Doe moved to set aside the United States’ employment
certification, contending that Defendants acted outside the scope of their federal employment.
ECF No. 24. Doe also opposes dismissal of the remaining claims, arguing the Complaint asserts
sufficient factual and legal bases for the case to proceed. The Court first addresses whether the
United States properly substituted itself for the individual defendants.
II.
Motion to Set Aside Scope of Employment Certification
On September 18, 2017, Defendants submitted a Certification of Scope of Employment
(“Certification”) from the Acting Director of the Torts Branch, Civil Division, of the United
States Department of Justice. The Certification attests that all individual Defendants were acting
6
within the scope of their federal office or employment when the events alleged in the Complaint
occurred. See ECF No. 15-18. The Certification further states that at all relevant times,
Defendant Craig was “a physician employed by the Department of Defense” and acting within
the scope of her duties as a DOD physician. ECF No. 15-18.
A.
Legal Standard
i.
Federal Tort Claims Act (FTCA)
It is well settled that under the Federal Tort Claims Act (FTCA), the United States is the
proper party for wrongdoing committed by employees acting within the scope of their federak
employment. The FTCA provides:
[u]pon certification by the Attorney General that the defendant employee was acting
within the scope of his office or employment at the time of the incident out of which the
claim arose, any civil action or proceeding commenced upon such claim in a United
States district court shall be deemed an action against the United States under the
provisions of this title and all references thereto, and the United States shall be
substituted as the party defendant.
See 28 U.S.C. § 2679(d)(1).2 By allowing substitution of the United States, the FTCA “accords
federal employees absolute immunity from common-law tort claims arising out of acts they
undertake in the course of their official duties.” Osborn v. Haley, 549 U.S. 225, 229 (2007);
United States v. Smith, 499 U.S. 160, 163 (1991).
A certification may simply attest that employees “were acting within the scope of [their]
employment . . . at the time of the conduct alleged in [the] complaint.” Osborn v. Haley, 549
U.S. 225, 230–31 (2007). Even where the certification appears factually thin, unless challenged,
it remains conclusive.3 Gutierrez de Martinez v. DEA, 111 F.3d 1148, 1153 (4th Cir. 1997). If
2
Similarly, the Gonzalez Act, which applies to Craig, mandates that upon certification of the Attorney General,
professional malpractice suits against DOD medical personnel must be brought under the FTCA and against the
United States. See 10 U.S.C. § 1089(a).
3
Plaintiffs’ repeated rebuke of the Certification as “provid[ing] no details” and applying “to all eight defendants
together” in this regard carries no weight. See ECF No. 24-2 at ¶¶ 16, 17, 19, 20, 21, 22.
7
challenged, the plaintiff must prove by a preponderance of the evidence that the defendant was
acting outside the scope of his employment. Gutierrez de Martinez, 111 F.3d at 1153 (citing
cases). The Court reviews the scope of employment question de novo. Id. at 1154; see also
Gutierrez de Martinez v. Lamangno, 515 U.S. 417, 434–35 (1995). In connection with the
court’s review, defendants may submit evidence in support of certification. Id. at 1155. If the
plaintiff fails to sustain his burden, the certification stands, and the Court substitutes the United
States as the sole defendant for all tort claims. Maron v. United States, 126 F.3d 317, 321 (4th
Cir. 1997); see also 28 U.S.C. § 2679(d).
Because substitution is the practical mechanism to effectuate an individual employee’s
immunity from suit, challenges to the scope-of-employment certification are resolved early in the
litigation. Maron, 126 F.3d at 321; see also Osborn, 549 U.S. at 238 (noting “the Westfall Act
[is] a measure designed to immunize covered federal employees not simply from liability, but
from suit”). If genuine issues of disputed fact remain as to the scope-of-employment question,
the Court may permit limited discovery and conduct an evidentiary hearing. Maron, 126 F.3d at
321. However, the Court must “remain cognizant of the considerations weighing against
protracted litigation under the Westfall Act,” and must balance “ ‘the need for a meaningful
review of the scope certification with the need to protect federal employees from burdensome
discovery.” Gutierrez de Martinez, 111 F.3d at 1155–56. Accordingly, the Court will only
permit additional discovery or conduct a hearing where the plaintiff identifies “specific evidence
that could be uncovered by further discovery beyond the speculative possibility of
inconsistency.” Id. at 1155. If a plaintiff’s challenge to the certification merely argues that the
defendant was motivated by personal or other bad purpose, “summary dismissal of the scope of
8
employment challenge is warranted.” Maron, 126 F.3d at 327 (quoting RMI Titanium Co. v.
Westinghouse Elec. Corp., 78 F.3d 1125, 1143 (6th Cir. 1996)).
Critically, “[s]ubstitution of the United States is not improper simply because the [U.S.
Attorney’s] certification rests on an understanding of the facts that differs from the plaintiff’s
allegations.” Osborn, 549 U.S. at 230. Instead, the United States is the proper defendant “unless
and until the District Court determines that the employee, in fact, and not simply as alleged by
the plaintiff, engaged in conduct beyond the scope of his employment.” Id. at 231.
ii.
Scope of Employment
As to the substantive law governing the scope-of-employment determination, the Court
applies the law of the state in which the misconduct occurred. See Jamison v. Wiley, 14 F.3d
222, 227 n.2 (4th Cir. 1994). Where the challenged conduct occurred abroad, the choice of law
becomes far less clear. See Sosa v. Alvarez–Machain, 542 U.S. 692, 707 (2004) (foreign law
does not apply); Gutierrez, 111 F.3d at 1156, n. 6 (applying Virginia law per the parties’
stipulation, but noting the choice-of-law difficulties presented by tortious conduct abroad could
“present [] a novel twist” that “explains in part the foreign claims exception to the FTCA”).
As Defendants correctly note, the few courts to consider federal employees’ extraterritorial conduct have applied the law of the District of Columbia. See ECF No. 30 at 6;
Kashin v. Kent, 457 F.3d 1033, 1037–38 (9th Cir. 2006); see also Saleh v. Bush, No. 13-cv01124-JST, 2014 WL 7240277, *2 (N.D. Cal. Dec. 19, 2014), aff’d Saleh v. Bush, 848 F.3d 880,
889 (9th Cir. 2017); Rasul v. Rumsfeld, 414 F. Supp. 2d 26, 32 (D.D.C. 2006) (noting that “the
alleged tortious acts” occurred at Guantanamo detention facilities, and applying District of
Columbia law), aff’d sub nom. Rasul v. Myers, 512 F.3d 644 (D.C. Cir. 2008), vacated on other
grounds, 555 U.S. 1083 (2008); Harbury v. Hayden, 522 F.3d 413, 421–22 (D.C. Cir. 2008)
9
(applying District of Columbia law to torts allegedly committed by individual CIA employees in
Guatemala), cert denied 555 U.S. 881 (2008). In Kashin v. Kent, the United States Court of
Appeals for the Ninth Circuit reasoned that District of Columbia law should apply where the
agency in question, the Department of State, was “located within the District of Columbia,” and
its foreign activities “inextricably bound up with the District of Columbia in its role as the
nation’s capital.” Kashin, 457 F.3d at 1037–38 (citing Rasul, 424 F. Supp. 2d at 32). The
Kashin court further reasoned that the pertinent Department of State policies had likely been
crafted at its District of Columbia headquarters, thereby establishing a “nexus, albeit tenuous” to
the tort that occurred overseas. Id. The Court persuasively emphasized that the application of
District of Columbia law fulfills the need for a “single, cogent,” and consistent body of
respondeat superior law for tortious, extra-territorial acts by federal employees. Kashin, 457
F.3d at 1038.
The policy considerations undergirding Kashin apply equally, if not more, here.
Defendants are military and civilian employees working for or affiliated with DOD, and many
were stationed on a United States military base in Bahrain when the alleged tortious conduct
occurred. Although DOD is headquartered just outside the District of Columbia, in Arlington,
Virginia, its policy decisions — particularly those regarding the health and safety of DOD
employees and dependents stationed abroad — implicate unique national security, diplomatic,
and logistical concerns that are “inextricably bound up with the District of Columbia in its role as
the nation’s capital.” See Kashin, 457 F.3d at 1037–38 (citing Rasul, 424 F. Supp. 2d at 32); see
also Harbury v. Hayden, 444 F. Supp. 2d 19, 31–32 (D.D.C. 2008) (applying District of
Columbia and Virginia law), aff’d 522 F.3d at 421 (applying only District of Columbia law);
accord Mundy v. Weinberger, 554 F. Supp. 811, 818 (D.D.C. 1982) (noting that the Pentagon “is
10
located where it is because of its proximity to the nation’s capital,” is “hardly ‘any’ federal
office,” and “uses a Washington, D.C. mailing address”). This Court, therefore, will follow the
Ninth Circuit’s lead, and apply District of Columbia law with a view toward developing a
uniform, coherent body of jurisprudence applicable to scope-of-employment challenges in the
FTCA context.4 Gutierrez, 111 F.3d at 1156, n. 6; Kashin, 457 F.3d at 1037–38.
The District of Columbia applies the scope of employment analysis enumerated by the
Restatement (Second) of Agency, which sets out four factors for consideration: (1) whether the
conduct of the kind the employee is employed to perform; (2) did the conduct occur substantially
within the authorized time and space limits; (3) was the conduct actuated, at least in part, by a
purpose to serve the master; and (4) if force is intentionally used by the servant against others,
was the force not unexpectable by the master. See Restatement (Second) of Agency, § 228(1)
(1958); Allaithi v. Rumsfeld,753 F.3d 1327, 1330 (D.C. Cir. 2014). This test is applied “very
expansively,” and “in essence ask[s] ‘whether the defendant merely was on duty or on the job
when committing the alleged tort.’ ” Allaithi, 753 F.3d at 1330 (quoting Harbury 522 F.3d at
422 n.4). “The employer does not avoid liability for the employee’s intentional torts . . . if the
tort is committed partially because of a personal motive, such as revenge, as long as ‘the
employee [is] actuated, at least in part, by a desire to serve his principal’s interest.’ ” Weinberg
v. Johnson, 518 A.2d 985, 988 (D.C. App. 1986) (citing Jordan v. Medley, 711 F.2d 211, 214
(D.C. Cir. 1983); see also Restatement (Second) of Agency § 2454 cmt. f.
4
Doe argues that Maryland law applies because “some of the conduct at issue was planned or commenced in
Maryland,” and Defendants “contacted, involved, facilitated and colluded . . . in Maryland.” See ECF No. 1 at ¶¶
26, 48. As to the substantive claims, all events occurred at NSA Bahrain on May 27 and May 28, 2015 and have no
connection to Maryland whatsoever. See ECF No. 1 at ¶¶ 167–171, 177–78, 182–187, 192–195, 199. To the extent
that some aspect of the conspiracy claim occurred in Maryland, application of substantive Maryland law would not
alter the outcome. As discussed more fully below, all Defendants were acting within the scope of their employment
because “they were in furtherance of the employer’s business and were ‘authorized’ by the employer.’ ” Larsen v.
Chinwuba, 377 Md. 92 (2003) (quoting Sawyer v. Humphries, 322 Md. 247 (1991)).
11
B.
Analysis
As an initial matter, the Court notes that Plaintiffs’ motion to set aside the certification
rests on an overarching misunderstanding of the applicable law. Plaintiffs broadly assert that
“[v]iolating the law or the U.S. Constitution can never be within the scope of federal employ.”
See, e.g. ECF No. 24-2 at ¶ 9. However, all manner of claims can and are brought against state
actors for intentional wrongdoing which, if proven, violate the law and the Constitution. See 28
U.S.C. § 2679 (including “negligent or wrongful act[s] or omission[s]” among the torts for which
the United States can be substituted as a defendant); Unus v. Kane, 565 F.3d 103 (4th Cir. 2009)
(recognizing certification where the alleged assault-and-battery and false imprisonment were
within the federal agents’ scope of employment). Accordingly, if Plaintiffs were correct, then no
employee could ever be held liable as a state actor for wrongful conduct because the conduct, by
definition, would fall outside the scope of his employment. Cf. Gilbert v. U.S. Bureau of
Alcohol, Tobacco, Firearms and Explosives, 306 F. Supp. 3d 776, 784 (D. Md. 2018) (“The fact
that the employee’s alleged acts were wrongful is not, alone, sufficient to show that they were
conducted outside the scope of employment, because if courts were to ‘separate the activity that
constitutes the wrong from its surrounding context an otherwise proper exercise of authority —
[they] would effectively emasculate the immunity defense.’ ”) (quoting Maron, 126 F.3d at
325)). The Court therefore, rejects Plaintiffs’ contention.
The Court also notes that Plaintiffs’ offer of proof does little to establish that Defendants
acted outside the scope of their employment in investigating allegations of child abuse. Plaintiffs
submit three documents with their motion: (1) an unsworn transcript of a lengthy conversation
between Doe and Regina Waller in which the two review the investigation and Waller’s prior
report of how K.D. and Doe’s relationship made her “uncomfortable,” ECF No. 24-4; (2)
12
unverified notes of unknown origin regarding a “telephonic interview” of Valera Young who,
from the notes, may have participated in the investigation of Doe and his children, ECF No. 246; (3) and Plaintiff Doe’s lengthy sworn5 affidavit refuting Defendants’ explanation of events,
ECF No. 24-8. The lion’s share of Doe’s evidence is rank hearsay of questionable admissibility.
The Court similarly cannot credit Doe’s conclusory characterizations of Defendants’ nefarious
motives as evidence. As for the substance of the evidence, even if considered and viewed most
favorably to Doe, the evidence at best calls into question the manner and necessity of the
investigation, but does not demonstrate that Defendants were without authority to conduct the
investigation. Maron, 126 F.3d at 327; ECF No. 24-8 at ¶¶ 23, 48–49, 248; see also ECF No.
24-2 at ¶ ¶ 12, 15–22.
For similar reasons, the Court rejects Plaintiffs’ request to conduct additional discovery
on the scope-of-employment question. Like Plaintiffs’ offer of proof, Plaintiffs do not aver any
specific evidence that exists and that discovery would unearth that can defeat the scope of
employment certification. See Guiterrez de Martinez, 11 F.3d at 1155. Rather, Plaintiffs
generically contend that “limited discovery will lead to the facts of [each defendant’s] full
involvement.” See, e.g. ECF No. 24-2 at ¶ 22. This proffer does not demonstrate the necessity
for additional discovery. The request is denied.
With these general determinations in mind, the Court turns next to whether the
allegations of misconduct as to each Defendant are within the scope of his or her employment.
1. David J. Meron; former Commanding Office at NSA Bahrain (DOD)
Defendant Meron, as NSA Bahrain’s Commanding Officer, led the abuse and neglect
investigation concerning the Does. Meron specifically authorized and facilitated the
5
While Plaintiff Doe’s affidavit is sworn and notarized, the notary’s certification is hastily handwritten in the
margins of the affidavit, and is curiously dated seven days after it was submitted to this Court. Plaintiffs do not
explain this discrepancy. See ECF No. 24-8.
13
examinations of minor Plaintiffs, and issued an order to exclude Doe, if necessary, from the
Bahrain School during those examinations. See ECF No. 24-2 at ¶ 15. None of the claimed
actions fell outside Meron’s purview.
U.S. Naval Support Activity Bahrain Instruction 1752.3F (“Instruction 1752.3F”), details
the operations of the Navy’s Family Advocacy Program (“FAP”), tasked with handling
“incidents of child and/or domestic abuse within the military family.” See ECF No. 15-9.
Instruction 1752.3F specifically empowers NSA Bahrain’s Commanding Officer (Meron) to
“[o]rder that a child be interviewed, without the parents’ consent, if it is determined that the
interview is required to protect the health and safety of the child, and the parents are
uncooperative.” ECF No. 15-9. Further, the preponderance of the evidence establishes that
Meron’s authorization of the examinations occurred in conjunction with a FAP investigation,
meetings with Doe, consultation with other military officials and legal counsel, and after review
of a FAP report and recommendation that documented wide-ranging concerns regarding the
children’s’ odd behaviors in school, disheveled appearances, and an arguably inappropriate
relationship between Doe and K.D. See ECF Nos. 18-2 & 18-3. Based on this record evidence,
Meron’s actions as Commander were clearly “of the kind” he had been employed to perform,
occurred substantially within the time frame of the Doe FAP investigation, and was in
furtherance of Meron’s service to DOD. See Restatement (Second) of Agency, § 228(1).
As to whether Meron acted outside the scope of employment in barring Doe from the
Bahrain School during minor Plaintiffs’ examination, the order was issued to Naval Security
Forces, pursuant to Meron’s authority as NSA Bahrain Commanding Officer to protect DOD
employees and assist the FAP investigation. ECF Nos. 15-11. That other persons may have
acted erroneously on this order and detained Doe the following day does not undercut that the
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order itself was issued consistent with Meron’s employment as NSA Bahrain Commanding
Officer. Accord Allaithi, 753 F.3d at 1331–34; Rasul, 512 F.3d at 658. The Certification is
proper as to Meron.
Plaintiffs contend that Meron was motived by “ill will” to detain minor Plaintiffs and
Doe. Even if true, this argument fails. A defendant must be “solely motivated by his own
purposes for conduct to fall outside the scope of employment.” Allaithi, 753 F.3d at 1333. By
contrast, Meron’s actions in this case are consistent with DOD’s directive to take all “reasonable
actions to ensure the safety of activity duty members and DOD civilian/contract personnel and
their family members,” which can include interviews of the children outside the presence of their
parents. See ECF Nos. 15-8 & 15-9. Viewed most favorably to Plaintiffs, Meron’s motives are
best characterized as mixed, and thus insufficient to defeat the Certification.
2. Clark Jackson, Family Advocacy Representative at NSA Bahrain (DOD)
Plaintiffs next argue that Defendant Jackson exceeded the scope of his employment by
assisting DOD’s investigation. See ECF No. 24-2. Jackson is a licensed clinical social worker
employed by DOD as a Family Advocacy Representative at NSA Bahrain’s Fleet and Family
Support Center. ECF No. 18-2. Jackson conducted a preliminary investigation into allegations
of abuse and neglect involving Doe and the children, and referred the matter to NCIS or FAP for
follow-up assessment. ECF No. 18-2. Critically, Jackson’s role as Family Advocacy
Representative expressly required him to investigate such allegations, report on his findings, and
recommend the proper course of action. See ECF No. 15-9 at 7–9. Even if the Court credits
Doe’s assertion that Jackson was in some way biased against Doe, see ECF No. 24-8 at ¶¶ 102–
104, 108–09, the preponderance of the evidence demonstrates that Jackson’s acts fell entirely
15
within his role as DOD Family Advocacy Representative and were, at least in part, motivated by
a purpose to serve DOD. See ECF No. 15-9.
3. Dr. Barbara R. Craig, Director of Armed Forces Center for Child
Protection and Kristen E. Webb, licensed social worker at Armed Forces
Center for Child Protection (DOD)
Defendants Craig and Webb examined the minor Plaintiffs. Craig is a pediatrician
employed by DOD as Director of the Armed Forces Center for Child Protection (“Child
Protection Center”). ECF No. 18-5. Webb is a licensed clinical social worker also employed at
the Child Protection Center. ECF No. 18-5. Craig and Webb’s entire job focus with DOD is to
assist in investigations of suspected neglect and abuse, which may include an examination of
suspected victims. See ECF No. 18-5; see also See ECF Nos. 15-9, 18-1, & 18-3. With respect
to the minor Plaintiffs in this case, Craig and Webb examined the children contemporaneous
with an ongoing abuse investigation. See ECF No. 24-2. No record evidence undermines the
conclusion that Craig and Webb were acting within the scope of their employment.
Plaintiffs argue that the examination was “without legal authority, and that it was
tantamount to “false imprisonment, interrogation and “sexual batter[y].” See, e.g. ECF No. 1 at
¶¶ 69, 77, 78. Plaintiffs more particularly contend that Craig “intentionally used force” when
examining the children. See ECF No. 24-2 at ¶ 13, 16. Although this argument evokes salacious
imagery, Plaintiffs lack evidence that the manner in which Craig examined the children was
outside the scope of how a physician examines child victims to determine if they have been
abused. Indeed, medical doctors performing physical examinations often “breach” clothing or
have direct contact with the patient’s body parts, even intimate parts. See ECF No. 18-5. These
acts are within the scope of a physician’s employment, and particularly so when the physician is
tasked with investigating possible neglect or physical and sexual abuse. See ECF No. 30 at 16;
16
Allaithi, 753 F.3d at 1332 n. 3 (citing Lyon v. Carey, 533 F.3d 649, 651 (D.C. Cir. 1976) and
Johnson v. Weinberg, 434 A.2d 404 (D.C. 1981)). Colorful language aside, no record evidence
undermines the validity of the Certification as to Craig and Webb. Thus, it stands.
4. Terry Greene, Principal of Bahrain School and David LaSpisa, Executive
Office, NSA Bahrain (DOD)
Plaintiffs also allege that Defendants Greene and LaSpisa acted outside the scope of their
DOD employment by facilitating the examination of the children. See Doe Affidavit, ECF No.
24-8 at ¶ 223 (alleging LaSpisa acted outside the scope of his employment by violating his oath
as a military member to “ ‘ support and defend’ the Constitution.”); id. at ¶ 94–95, 207, 208–09
(alleging Greene acted outside the scope of her employment by not “protect[ing] students from
harm.”). Greene, as principal of the Bahrain School, is also an employee of DODEA, and
LaSpisa was Meron’s second-in-command at the time. See ECF No. 1. at ¶¶ 74–76, 120–124.
On Meron’s orders as Commanding Officer, Greene provided physical space for Craig and Webb
to interview and physically examine the children. Greene also escorted the children to the
interviews and examinations. See ECF No. 1. at ¶¶ 74–76, 120–124. LaSpisa transported the
children to a medical clinic for examination per Meron’s orders. ECF No. 1 at ¶¶ 74–76.
Facilitating an authorized investigation and following basic orders of their Commanding
Officer certainly falls within the sphere of duties DOD would expect Greene and LaSpisa to
perform. Such acts were also performed to assist DOD’s FAP investigation. See, e.g. ECF No.
18-4 (stating that in abuse investigations, “All service members and DOD employees will ensure
effective coordination and cooperation with involved military community entities”); see ECF No.
24-8 at ¶ 223. No meaningful particularized challenge is made as to Greene and LaSpisa, and so
the Certification stands.
17
5. John Scorby, U.S. Navy Rear Admiral and Commander of Navy Installation
Command and Steven Stutzman, Regional Counseling and Advocacy
Coordinator, Navy Installations Command (DOD)
At all relevant times, Scorby was the Commander of the U.S. Navy’s Region of Europe,
Africa, and Southwest Asia. Stutzman acted as the Regional Counseling & Advocacy
Coordinator for the Navy’s Region for Europe, Africa, and Southwest Asia and was directly
subordinate to Scorby. ECF Nos. 15-16 & 15-17. Plaintiffs contend that Scorby “permitted” the
Navy to expend funds on the FAP’s investigation into the Does, and Stutzman “facilitate[d]
Craig and Webb’s travel to Bahrain.” ECF No. 1 at ¶¶ 38, 48, 60, 61. Such conduct is clearly
within the scope of Scorby and Stutzman’s respective employment, and was actuated with a
purpose to facilitate an investigation authorized by DOD.
In sum, Plaintiffs’ “unsubstantiated speculation about the ill will of [Defendants] is not
enough, in and of itself, to transform acts which are facially within the scope of employment into
acts that fall outside of that scope.” Maron, 126 F.3d at 327 (citing RMI Titanium Co. v.
Westinghouse Elec. Corp., 78 F.3d 1125, 1143 (6th Cir. 1996)). Plaintiffs have failed to carry
their burden of showing by a preponderance of the evidence that Defendants acted outside the
scope of their employment. The certification reaches all individual Defendants, and the United
States will thus be substituted as the real party in interest for all common law tort claims. 10
U.S.C. § 1089(a); 28 U.S.C. § 2679(d)(1).
The Court next turns to the United States’ Motion to Dismiss.
III.
The United States’ Motion to Dismiss
The United States seeks dismissal of all common law tort claims against all Defendants
for lack of subject matter jurisdiction. ECF No. 18-9 at 12–22.
18
Although the FTCA “is a limited waiver of sovereign immunity, making the Federal
Government liable to the same extent as a private party for certain torts of federal employees
acting within the scope of their employment,” it also identifies certain express exceptions to its
waiver of sovereign immunity. United States v. Orleans, 425 U.S. 807, 813 (1976). Relevant
here, “the government’s waiver of sovereign immunity does not apply to ‘[a]ny claim arising in a
foreign country.’” Al-Zahrani v. Rumsfeld, 684 F. Supp. 2d 103, 116 (D.D.C. 2010) (quoting 28
U.S.C. § 2680(k)); see also Sosa, 542 U.S. at 712 (holding that the foreign country exception
“bars all claims based on any injury suffered in a foreign country, regardless of where the
tortious act or omission occurred.”). A cause of action “arises” where “the last act necessary to
establish liability occurred . . . i.e., the jurisdiction in which injury was received.” Sosa, 542
U.S. at 705 (internal citations and quotations omitted).
Taking the facts pleaded in the Complaint as true, the examinations of minor Plaintiffs
and detention of Doe were authorized and conducted at NSA Bahrain. ECF No. 1 at ¶¶ 54–86.
An “American military base based on foreign soil is fully within the foreign country exception.”
Roberts v. United States, 498 F.3d 520, 522 n.2 (9th Cir. 1974); see also Al-Zahrani, 684 F.
Supp. 2d at 117–19; Heller v. U.S., 776 F.2d 92 (3d Cir. 1985). Accordingly, all common law
torts claims arising from the individual Defendants’ conduct are subject to the FTCA’s foreign
country exception, and must be DISMISSED under Federal Rule of Civil Procedure 12(b)(1) for
lack of subject matter jurisdiction.
19
IV.
Individual Defendants’ Motions to Dismiss
a. Claims asserted under Bivens
The United States has been substituted as the proper party only for the common law tort
claims. Accordingly, the Court must next ascertain the viability of the constitutional claims
(Counts I-V, and IX) against the individual Defendants.
Defendants move to dismiss all constitutional claims, arguing that the Plaintiffs cannot
sustain the action under Bivens v. Six Unknown Named Agents of Federal Bureau of Narcotics,
403 U.S. 1971 (1971). 6 See ECF No. 18-8 at 19–31. In Bivens, the United States Supreme
Court recognized a federal cause of action against federal officials to remedy a constitutional
violation. See Bivens, 403 U.S. at 20002–05. Mindful that adjudicating the constitutionality of
federal agents’ alleged misconduct raises significant separation-of-powers concerns, the high
Court before and since has permitted suit rarely, and under well-defined circumstances.
The Bivens Court first recognized an implied cause of action to enforce the plaintiff’s
Fourth Amendment search and seizure rights against FBI officers in connection with a
warrantless search and arrest, interrogation and detention. See Bivens, 403 U.S. at 389–98.
Since Bivens, the Supreme Court has conferred an implied cause of action only twice more, for
alleged violations of the Fifth and Eighth Amendments. See Carlson v. Green, 446 U.S. 14, 19
(1980); Davis v. Passman, 442 U.S. 228, 248–49 (1979). Davis extended an implied cause of
action in the Due Process context to permit suit against a Congressman for gender-based
termination, 442 U.S. at 248–49, and in Carlson, the Court permitted a Bivens action on behalf
6
Defendants are sued “in their individual and official capacities.” See ECF No. 1. Bivens only provides a remedy
for “an award for monetary damages from defendants in their individual capacities,” and so all Bivens claims against
Defendants in their official capacities are summarily dismissed for failure to state a claim. See Higazy v. Templeton,
505 F.3d 161, 169 (2d Cir. 2007); Simmat v. U.S. Bureau of Prisons, 413 F.3d 1225, 1231 (10th Cir. 2005) ([A]
Bivens claim lies against the federal official in his individual capacity – not, as here, against officials in their official
capacity.”); Randall v. United States, 95 F.3d 339, 345 (4th Cir. 1996), cert denied 519 U.S. 1150 (1997).
20
of a federal prisoner’s estate against prison guards, based on alleged Eighth Amendment
violations that caused the prisoner’s death. 446 U.S. at 17–19.
In Ziglar v. Abassi, the Court recently reinforced that “[w]hen a party seeks to assert an
implied cause of action under the Constitution itself . . . separation-of-powers principles are or
should be central to the analysis. The question is ‘who should decide whether to provide for a
damages remedy, Congress or the courts?” 137 S.Ct 1843, 1857 (2017). The answer, the Court
continued, will “[m]ost often be Congress.” Id. Consequently, the Abassi Court — as in Bivens
— “urged ‘caution’ before ‘extending Bivens remedies in any new context.’” Id. (citing
Correctional Serv. Corp. v. Malesko, 534 U.S. 61, 74 (2001)). Simply put, a Bivens remedy is
not available where “special factors counseling hesitation” caution the Court against ruling
otherwise and risk invading the province of other branches of government. Id. (citing Carlson,
446 U.S. at 18). Further, the high Court expressly emphasized that “expanding the Bivens
remedy is now a ‘disfavored’ judicial activity.” Id. (quoting Ashcroft v. Iqbal, 556 U.S. 662, 675
(2009).
Accordingly, when a plaintiff asserts claims arising under Bivens, the Court must engage
in a two-step analysis. First, the Court must determine whether the claims require extending
Bivens to a “new” or “novel” context. Abbasi at 1854–63; see also Attkisson v. Holder, No.
1:17-cv-364 (LMB/JFA), 2017 WL 5013230, at *5–6 (E.D. Va. Nov. 1, 2017). If the claims
would extend Bivens to a new or novel context, the Court then performs a “special factors
analysis” to determine whether a Bivens action should be available. Id.; see also Attkisson, 2017
WL 5013230, at *5–6.
21
At step one of the Bivens analysis, the Court must assess whether differences between
previously sanctioned Bivens claims and the present case are “meaningful enough to make a
given context a new one.” Id. at 1859–60. The differences include but are not limited to:
[t]he rank of the officers involved; the constitutional right at issue; the generality or
specificity of the official action; the extent of judicial guidance as to how an officer
should respond to the problem or emergency to be confronted; the statutory or other legal
mandate under which the officer was operating; the risk of disruptive intrusion by the
Judiciary into the functioning of other branches; or the presence of potential special
factors that previous Bivens cases did not consider.
Id.; see also Malesko, 534 U.S. at 68 (noting the Court “has consistently refused to extend Bivens
to any new context or new category of defendants”).
Plaintiffs argue that their constitutional claims do not require an expansion of Bivens.
ECF No. 25 at 19–26. The Court disagrees. The Court easily concludes that this case differs
from recognized Bivens claims in a number of important ways. The Defendants here include
high ranking officials in the United States military and DOD, a far cry from FBI line agents or
prison guards. Further, Defendants were operating pursuant to military policy and directives, a
province almost always reserved for review, enforcement and adjudication through the
Legislative or Executive branches. To further complicate matters, the Court would be called
upon to determine whether and to what extent the constitution applies to United States citizens
while physically on an overseas military installation.7 Accord In re Terrorist Bombings of U.S.
Embassies in East Africa, 552 F.3d 157 (2d Cir. 2008). Moreover, claims asserted in this case
are not only novel in their own right, it bears mention that Bivens remedies have never
previously extended to claims even remotely similar to those of the Plaintiffs. Count IV, for
example, asserts a “right to privacy” existing under the “penumbra” of the First and Fifth
7
No court has extended Bivens to extraterritorial matters. Id.; see also Hernandez v. Mesa, 885 F.3d 811, 822–23
(5th Cir. 2018); Meshal v. Higgenbotham, 804 F.3d 417, 424–25 (D.C. Cir. 2015), cert denied, 137 S.Ct. 2325
(2017); Alvarez v. U.S. Immigration & Customs Enf’t, 818 F.3d 1194, 1210 (11th Cir. 2016), cert denied 137 S.Ct.
2321 (2017).
22
Amendments. See ECF No. 1 at ¶¶ 140–48; see also ECF No. 25 at 25–26 (citing Griswold v.
Connecticut, 381 U.S. 479 (1965)). A Bivens remedy has never been extended to express
violations of the First Amendment, let alone an implied First Amendment right. See, e.g. Bush v.
Lucas, 462 U.S. 367, 390 (1983). Nor has the Court ever recognized a Bivens claim based on
procedural due process, as alleged in Plaintiffs’ Count V. See Abbasi, 137 S.Ct. at 1857 (citing
cases). Accordingly, the claims in this case decidedly extend Bivens in new and novel context.
With regard to step two — “specific factors counseling hesitation” — the Court is equally
convinced that granting a Bivens remedy risks too greatly an invasion into areas for which
“hesitation” is indeed warranted. The “special factors” analysis requires the Court to “weigh[]
reasons for and against the creation of a new cause of action, the way common law judges have
always done.” Wilkie v. Robinson, 551 U.S. 537, 554 (2007). “When an issue involves a host of
considerations that must be weighed and appraised, it should be committed to those who write
the laws rather than those who interpret them.” Abbasi, 137 S.Ct at 1861.
Obviously, adjudicating this case will necessarily involve novel questions concerning the
extraterritorial application of the United States Constitution. See Hernandez, 885 F.3d 811, 822–
23 (“[T]he extraterritorial aspect of this case is itself a special factor that underlies and
aggravates the separation-of-powers issues . . .”); Alvarez, 818 F.3d at 1210; Meshal, 804 F.3d at
424–25; accord In re Terrorist Bombings of U.S. Embassies in East Africa, 552 F.3d 157 (2d
Cir. 2008)). Extension of the Constitution abroad “involves a host of administrability concerns,
making it impossible to assess the ‘impact on governmental operations systemwide.’ ”
Hernandez, 885 F.3d at 822 (quoting Abbasi, 137 S. Ct. at 1858); see also id. at 822 n.22.
Even more troubling, and unlike Bivens, resolution of this case requires this Court to pass
on the constitutionality of military policy and practices, and risk invading the plenary powers of
23
the Legislative and Executive branches. Despite Plaintiffs’ protests to the contrary, see, e.g. ECF
No. 25 at 1, the Complaint clearly and repeatedly avers that Plaintiffs’ constitutional rights were
violated by DOD employees acting under military orders. See, e.g. ECF No. 1 at ¶¶ 54, 56, 60,
64, 72, 130, 144; see also ECF No. 25 at 9–11. At its very core, therefore, this case requires the
Court determine the constitutionality of the military’s policies for investigating child abuse and
neglect, and the legitimacy of military decisions made under those policies in a specific
investigation. Accord Abbasi, 137 S.C at 1860 (“Even if the action is confined to the conduct of
a particular Executive Officer in a discrete instance, these claims would call into question the
formulation and implementation of a general policy.”). Allowing a Bivens remedy in this case
would certainly invade the province of the military, and by extension the Legislative branch
which exercises “plenary control over rights, duties and responsibilities in the framework of the
military establishment.” Lebron v. Rumsfeld, 670 F.3d 540, 548–49 (4th Cir. 2012) (quoting
Chappell, 462 U.S. at 301); see also United States v. Stanley, 483 U.S. 669, 682–83 (1987)
(cautioning against suits that could be “problematic, raising the prospect of compelled
depositions and trial testimony by military officers concerning the details of their military
commands); Stencel Aero Engineering Corp. v. United States, 431 U.S. 666, 673 (1977)
(cautioning against litigation that would require “members of the Armed Services to testify in
court as to each other’s decisions and actions.”); Hagenbeck, 870 F.3d at 43 (“The Supreme
Court’s separation-of-powers concern with implied actions under the Constitution, present in all
cases in which plaintiffs have sought to extend Biven’s reach, is particularly acute in the military
context.”); Vanderklok v. United States, 868 F.3d 189, 206–07 (3d Cir. 2017) (citing cases);
Cioca v. Rumsfeld, 720 F.3d 505, 510–12 (4th Cir. 2013). Bivens cannot be read to afford a
remedy to such expansive claims.
24
Also critical to the “special factors” analysis is that where “alternative methods of relief
are available, a Bivens remedy usually is not.” Abbasi, 137 S.Ct. at 1863. Plaintiffs not only
have “alternative, existing process[es] for protecting” their interests, they have availed
themselves of those remedies. See ECF No. 18-7; Wilkie, 551 U.S. at 550. Plaintiffs filed
administrative claims with the agencies, which produced settlement offers that were ultimately
rejected. Although Plaintiffs now claim that the remedies available were “limited” and
“insufficient,” ECF Nos. 1 at ¶164 & 25 at 27–29, the Plaintiffs’ satisfaction with the available
remedies is not determinative. To preclude a Bivens action, the available “alternative, existing
process” need not provide complete relief. Dunbar Corp. v. Lindsey, 905 F.3d 754, 762 n.5 (4th
Cir. 1990) (citing Bush v. Lucas, 462 U.S. 367 (1983) and Schweiker v. Chilicky, 487 U.S. 412
(1988). Rather, the alternative remedy must simply be “comprehensive” and “adequate.” Id.
Here, the Military Claims Act (“MCA”) afforded Plaintiffs at least one comprehensive
and adequate avenue for relief. See 10 U.S.C. § 2733; ECF No. 18-8 at 23–224. The MCA
provides “U.S. civilian employee[s]” and their family members a remedy for claims arising from
injuries caused by “a civilian officer or employee of [DOD] . . . or a member of the Army, navy,
Air Force, Marine Corps, or Coast Guard . . . acting within the scope of his employment.” 10
U.S.C. § 2733; 32 C.F.R. § 536.136(b). The MCA permits suit in military court for monetary
damages arising from “any person injured by the military.” See id. (providing “that the judge
Advocate General of each service may award up to $100,000 from the Treasury to any person
injured by the military”); see also Vance v. Rumsfeld, 701 F.3d 193, 201 (7th Cir. 2012) (en
banc).
Plaintiffs contend, however, that “none of the agencies or Defendants responded to or
attempted to resolve the [MCA] administrative claim filed by the Plaintiffs.” ECF No. 1 at ¶¶
25
94–95. This is not true. As Plaintiffs ultimately acknowledge, the Navy tendered a settlement
offer on the MCA claims three days after this case was filed. See ECF No. 25 at 28; see also
ECF No. 15-19. Thus, Plaintiffs not only had a process available to them to protect their
interests, their participation in that process exacted a measure of success.
In sum, taking all facts alleged in the Complaint as true, Plaintiffs’ claims “bear little
resemblance to the three Bivens claims the [Supreme] Court has recognized in the past,” and
there are significant “special factors counselling” against creating an implied damages remedy
for Plaintiffs’ constitutional claims. See Abbassi, 137 S.Ct. at 1356–58. Because Plaintiffs’
constitutional claims arising under Bivens fail, the motion to dismiss must be GRANTED as to
Counts I through V.
b. Claims as to Defendant Craig
Defendant Craig does not join the other individual Defendants’ 12(b)(6) dismissal
motion. Rather, the United States asserts that because Craig is a DOD medical professional, the
Government is substituted as the proper party for Craig’s constitutional and common law claims
alike under the Gonzalez Act, 10 U.S.C. § 1089. Further, the United States argues that dismissal
of Craig’s claims is warranted because Bivens actions cannot proceed against the United States
as a party.
Although the United States is correct that Bivens actions generally do not lie against it,
FDIC v. Meyer, 510 U.S. 471, 478 (1994), dismissal on this basis requires the Court to hold that
individuals covered by the Gonzalez Act are absolutely immune from all suits against them in
their individual capacity, including for constitutional violations. See ECF No. 18-8 at 17–19.
While the argument has some appeal, see Hui v. Castenada, 559 U.S. 799, 805-813 (2010)
(holding that Public Health Service officials falling under identically worded statute, 42 U.S.C. §
26
33(a), are absolutely immune from Bivens claims), it is also a novel defense that few, if any,
courts have squarely addressed. See Clinton v. Brown, No. 3:15-cv-0048-FDW-DSC, 2015 WL
4941799, at *5 (W.D. N. Ca. Aug. 19, 2015) (finding, in the alternative, that if a Bivens remedy
existed, the Gonzalez Act supported immunity for federally-employed physicians from Bivens
suits). This Court notes that even if Craig were an individual Defendant, rather than substitution
of the United States, the claims against her would not survive for the same reasons articulated
above. Accordingly, the Bivens claims as to Craig are likewise dismissed.
c. Conspiracy Claim under 42 U.S.C. § 1985 (Count XI)
Plaintiffs contend that all Defendants conspired with each other to violate Plaintiffs
constitutional rights, supporting a claim brought pursuant to 42 U.S.C. § 1985. See ECF No. 1 at
¶¶ 203–08. To survive dismissal on this claim, the plaintiffs must plausibly aver: (1) the
existence of “a conspiracy of two or more persons, (2) who are motivated by a specific classbased, invidiously discriminatory animus to (3) deprive the plaintiff of the equal enjoyment of
rights secured by the law to all, (4) and which results in injury to the plaintiff as (5) a
consequence of an overt act committed by the defendants in connection with the conspiracy.”
Thomas v. The Salvation Army Southern Territory, 841 F.3d 632, 637 (4th Cir. 2016). “[T]he
law is well settled that to prove a section 1985 ‘conspiracy,’ a claimant must show “an
agreement or a ‘meeting of the minds’ by defendants to violate the claimant’s constitutional
rights.” Simmons v. Poe, 47 F.3d 1370, 1377 (4th Cir. 1995) (internal citation omitted).
The Complaint baldly asserts that “Defendants entered into an agreement in which they
colluded to commit an illegal search and seizure of the three minor Plaintiffs,” and that
unspecified Defendants “participated, facilitated or abetted the unlawful acts . . . in furtherance
of the common scheme which they agreed upon.” ECF No. 1 at ¶¶ 204–05. Plaintiffs do not
27
allege specific incidents of class-based discriminatory animus. Rather the Complaint baldly
states that “each of the Plaintiffs is African American . . . that all but one of the Defendants are
Caucasian and that their actions against the Plaintiffs were based, at least in part on their race and
racial hostility.” ECF No. 1 at ¶¶ 161–62, 64; zee also ECF No. 1 at ¶¶ 203–08. Plaintiffs offer
absolutely no facts to support that the Defendants were motivated by racial animus during their
non-specific collusive activities. This kind of conclusory legal allegation couched as fact is
insufficient to survive challenge. See, e.g. A Soc’y Without a Name v. Va., 655 F.3d 342, 346–47
(4th Cir. 2011); Facey v. Dae Sung Corp., 992 F. Supp. 2d 536, 540–42 (D. Md. 2014); Ciralsky
v. CIA, No.1:10cv911 (LMB/JFA), 2010 WL 4724279, at *7 (E.D. Va. Nov. 15, 2010), aff’d 459
F. App’x 262 (4th Cir. 2011), compare Sines v. Kessler, No. 3:17-cv-00072, 2018 WL 3345300,
at *7–22 (W.D. Va. July 9, 2018).8 Count XI shall be DISMISSED.
V.
Conclusion
For the foregoing reasons, Plaintiffs’ motion to set aside the scope of certification, ECF
No. 24, is DENIED and Defendants’ motions to dismiss, ECF Nos. 15 & 17, are GRANTED. A
separate Order follows.
7/30/2018
/s/
Paula Xinis
United States District Judge
Date
8
Alternatively, as in Abbassi, the Court would find that dismissal of the § 1985 conspiracy claim is warranted
because the Defendants, as DOD agency officials and employees, enjoy qualified immunity from suit. This is
because the law is not yet clearly established on whether the intra-corporate conspiracy doctrine applies to
Government agency officials accused of conspiracy. See Abbassi, 137 S.Ct. at 1865–69.
28
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