Garnett v. The City of New York et al
Filing
124
OPINION AND ORDER re: 119 FIRST MOTION for Attorney Fees filed by Kwame Garnett, 106 MOTION for Judgment as a Matter of Law filed by Undercover Officer C0039, 109 MOTION for Bill of Costs filed by Kw ame Garnett, 103 MOTION for New Trial filed by Kwame Garnett. For the foregoing reasons, the motions of each of the plaintiff and the defendant, pending at Docket Nos. 103 and 106, respectively, are denied. In addition, the pla intiff's motions for a bill of costs, Docket No. 109, and for attorney's fees and costs, Docket No. 119, are denied without prejudice to renewal. Those motions were made prematurely during the pendency of the motions for judgment as a matter of law and a new trial. They may be renewed following entry of this order. The Clerk of Court is directed to close this case. (Signed by Judge Gregory H. Woods on 4/6/2015) (mro)
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF NEW YORK
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KWAME GARNETT,
:
:
Plaintiff, :
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-v :
:
UNDERCOVER OFFICER C0039 and
:
UNDERCOVER OFFICER C0243,
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Defendants. :
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USDC SDNY
DOCUMENT
ELECTRONICALLY FILED
DOC #: _________________
DATE FILED: 4/6/15
1:13-cv-7083-GHW
OPINION AND ORDER
GREGORY H. WOODS, District Judge:
A jury found Undercover Officer C0039 (“UC 39”) liable for denial of the plaintiff’s
right to a fair trial. To do so, the jury found that the officer fabricated evidence. UC 39
argues here that so long as he had probable cause to arrest the plaintiff, he was free to
fabricate additional evidence to support a conviction for the charged offense without
incurring liability. He further argues that he was free to fabricate evidence without liability
so long as the evidence that he fabricated was arguably not admissible as evidence.
These arguments are wrong as a matter of law. The Second Circuit Court of Appeals
has clearly held that “[n]o arrest, no matter how lawful or objectively reasonable, gives an
arresting officer or his fellow officers license to deliberately manufacture false evidence
against an arrestee. To hold that police officers, having lawfully arrested a suspect, are then
free to fabricate false confessions at will, would make a mockery of the notion that
Americans enjoy the protection of due process of the law and fundamental justice.” Ricciuti
v. N.Y. City Transit Authority, 124 F.3d 123, 130 (2d Cir. 1997).
UC 39 is promoting a devolution of the law from this clear standard. The arguments
that he presents profoundly weaken the protection of citizens against the fabrication of
evidence by police officers. The arguments are cleverly constructed on the basis of a nonprecedential summary order—selectively quoted and interpreted in an ahistorical manner.
Still, they are wrong.
Because the Second Circuit has spoken clearly in published, precedential decisions
on these issues, the Court denies the defendant’s motion for judgment as a matter of law.
For the reasons stated below, the Court also rejects the other arguments asserted by the
defendant and the plaintiff attacking the jury’s verdict.
I.
DEFENDANT’S RULE 50 MOTION
A.
Background
The Court assumes the reader’s familiarity with the underlying facts of this case.1
Still, a short review may be helpful. The plaintiff, Mr. Kwame Garnett, had been out of
prison for just over a week when he was arrested for his alleged participation in a drug sale in
East Harlem. According to the facts elicited at trial, Mr. Garnett walked with two friends to
an area near a convenience store at East 116th Street. Mr. Garnett’s friends went inside the
store, and sold drugs to a person who, unfortunately for them, turned out to be an
undercover police officer—Undercover Police Officer 0243 (“UC 243”), one of the
defendants in this case.
Mr. Garnett acknowledged that he was on the sidewalk outside the store where the
drug transaction took place. Not, according to him, because he was involved in the drug
sale—rather, he was simply buying chicken at the store next door.
Undercover Police Officer 0039 (“UC 39”) told a different story. UC 39 was
assigned as the “ghost” undercover officer on the day of the arrest, and was stationed
See this Court’s opinion on the defendants’ motion for summary judgment. Garnett v. City of New
York, No. 13 Civ. 7083, 2014 WL 3950904, at *1 (S.D.N.Y. Aug. 13, 2014).
1
2
outside the store. According to UC 39, he saw Mr. Garnett outside the store, where the
drug transaction was taking place, looking up and down the street. In UC 39’s view, Mr.
Garnett was acting like a look-out for a drug transaction.
UC 39’s account of the arrest went further. According to him, Mr. Garnett entered
the small store while the sale was taking place. UC 39 followed him into the 6’ x 9’ store.
While inside the store, UC 39 asserted, Mr. Garnett made this incriminating statement “in
sum and substance”: “Yo, hurry up, ya’ll ain’t done yet, get that money, I’m not looking to
get locked up tonight, let’s go.” No one other than UC 39 heard Mr. Garnett say those
words. UC 39 reported on the statement in his report. He also passed the statement to
another officer, Officer Viruet, who included it in the criminal complaint, which was the
basis for Mr. Garnett’s prosecution. UC 39 conveyed the information to an assistant district
attorney. UC 39 also later testified regarding the statement.
As the jury heard at trial, however, this was not UC 39’s first interaction with the
plaintiff. Years before this arrest, the plaintiff had assaulted UC 39 while UC 39 was
working undercover in Mr. Garnett’s apartment complex. According to UC 39, Mr. Garnett
held a gun to his head during the course of that assault. Mr. Garnett was arrested and
imprisoned as a result of that assault. Mr. Garnett had been released from his term of
imprisonment for that arrest just days before UC 39 encountered Mr. Garnett again during
the incident that gave rise to this suit. The only person who reported Mr. Garnett’s alleged
incriminating statement was the victim of an attack by Mr. Garnett years before.
Mr. Garnett was arrested along with his friends. The two friends involved in the
hand-to-hand drug transaction inside the store pleaded guilty. Mr. Garnett maintained his
innocence and went to trial. He was acquitted. However, because he could not afford to
post bail, he spent 8 months in jail awaiting trial.
3
The plaintiff brought this action pursuant to 42 U.S.C. § 1983. He alleged that UC
39 falsely arrested him, caused his malicious prosecution, and denied him a right to a fair
trial. The plaintiff also alleged that UC 39’s partner, UC 243, failed to intervene to prevent
his arrest and prosecution. A theory promoted by the plaintiff at trial was that UC 39
retaliated against the plaintiff for participating in the prior armed robbery of UC 39, and that
the information that UC 39 reported regarding Mr. Garnett’s entry into the store, and,
particularly, his self-incriminating statement while inside the store, were fabricated.
Following trial, the jury found that UC 243 was not liable with respect to the failure
to intervene claim. The jury found in favor of UC 39 on the false arrest and malicious
prosecution claims, but found him liable on the denial of a right to fair trial claim. The
Court charged the jury on the denial of a right to fair trial claim using language proposed by
the parties. 2 The charge instructed that in order to find UC 39 liable, the jury must find that
UC 39 fabricated evidence of a material nature, and that he intentionally forwarded that false
information to prosecutors.
The jury awarded the plaintiff $1 in consequential damages and $20,000 in punitive
damages. Judgment was entered on December 10, 2014, after UC 39 wrote the Court that
he wished to pursue this set of post-trial motions, instead of resolving the matter through
The text of the charge read as follows: “To establish a claim of denial of the right to a fair trial,
plaintiff must prove the following elements by a preponderance of the evidence: (1) that defendant
Undercover Officer 0039 fabricated evidence of a material nature, (2) that the fabricated evidence of
a material nature was likely to influence a jury’s decision, (3) and this fabricated evidence of a material
nature was intentionally forwarded to prosecutors by defendant Undercover Officer 0039, and (4) the
plaintiff suffered a deprivation of liberty as a result of the fabricated evidence of a material nature. If
you find that plaintiff has failed to prove any of these elements, then you must find in favor of the
defendant. Whether a criminal trial ultimately took place is irrelevant. Plaintiff must prove that a
material fabrication of evidence occurred, the fabrication was likely to influence a jury’s decision, the
false evidence was forwarded to prosecutors and the plaintiff suffered a deprivation of liberty as a
result. However, a mere mistake, or misinformation, contained in a written record is not a basis for
finding a constitutional violation.”
2
4
settlement. Docket No. 98.
UC 39 now moves for judgment as a matter of law on the denial of a right to fair
trial claim pursuant to Federal Rule of Civil Procedure 50, or, as an alternative, for a new trial
pursuant to Federal Rule of Civil Procedure 59. The plaintiff moves for a new trial on his
false arrest, malicious prosecution, and failure to intervene claims pursuant to Federal Rule
of Civil Procedure 59. For the reasons that follow, both parties’ motions are denied.
B.
Analysis
A moving party bears a heavy burden to prevail on a Rule 50 motion for judgment as
a matter of law. Under Rule 50, judgment as a matter of law is appropriate only where “the
court finds that a reasonable jury would not have a legally sufficient evidentiary basis to find
for the party . . . .” Fed. R. Civ. P. 50(a)(1). There must be “such a complete absence of
evidence supporting the verdict that the jury’s findings could only have been the result of
sheer surmise and conjecture, or there is such an overwhelming amount of evidence in favor
of the movant that reasonable and fair minded [persons] could not arrive at a verdict against
him.” Bucalo v. Shelter Island Union Free Sch. Dist., 691 F.3d 119, 127-28 (2d Cir. 2012)
(internal quotation marks and citations omitted). In ruling on a motion for a judgment as a
matter of law, the Court must “consider the evidence in the light most favorable to the party
against whom the motion was made . . . and give that party the benefit of all reasonable
inferences that the jury might have drawn in his favor from the evidence.” Harris v. O’Hare,
770 F.3d 224, 231 (2d Cir. 2014).
1.
UC 39 Cannot Fabricate Evidence Even If He Had Probable Cause to Arrest
Mr. Garnett
UC 39 argues that he cannot be found liable for denial of Mr. Garnett’s right to a fair
trial because the fabricated evidence did not cause Mr. Garnett’s deprivation of liberty. UC
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39 argues that the jury must have found that he had probable cause to arrest Mr. Garnett,
because UC 39 was not found liable for the plaintiff’s false arrest and malicious prosecution
claims—probable cause being a defense to such claims. Since the arrest itself was privileged
by probable cause, the logic goes, Mr. Garnett’s deprivation of liberty cannot have been
caused by the fabricated evidence.
Here’s how UC 39 describes his argument: “[I]f a prosecution is privileged (i.e.
probable cause existed) and the plaintiff’s alleged deprivation of liberty is this same
privileged prosecution without more, then a plaintiff cannot show that he was harmed from
[sic] the alleged deprivation. In other words, when a plaintiff’s deprivation of liberty is
justified and he alleges nothing more than that deprivation, then the plaintiff cannot seek
damages based on an already justified deprivation of liberty.” Memorandum of Law in
Support of Defendant’s Post-Trial Motions (“Defendant’s Motion”), Docket No. 108, at 10.
The leading case in this Circuit regarding claims for deprivation of the right to fair
trial is Ricciuti v. N.Y.C. Transit Auth., 124 F.3d 123 (2d Cir. 1997). Ricciuti involved a set of
facts similar to those here. An officer attributed a statement to a criminal defendant, which
was included in a memorandum and, in turn “into several subsequent investigation reports
prepared in connection with the . . . investigation . . . .” Ricciuti, 124 F.3d at 126. The Circuit
allowed the claim to proceed, holding that “[w]hen a police officer creates false information
likely to influence a jury’s decision and forwards that information to prosecutors, he violates
the accused’s constitutional right to a fair trial . . . .” Ricciuti, 124 F.3d at 130; see also Jocks v.
Tavernier, 316 F.3d 128, 138 (2d Cir. 2003) (citing Ricciuti for the same proposition). In
Ricciuti, the court did not require that the false information submitted to the prosecutor be
used at trial, or even that a trial ever take place—the claim accrues when the officer forwards
the false information to the prosecutors.
6
The Second Circuit addressed the question of whether probable cause can be the
basis for a defense to a claim of denial of the right to fair trial in Ricciuti. The Second Circuit
rejected the argument that UC 39 makes here in very clear language, which merits extensive
quotation:
Each of the defendants insists that so long as there was probable cause for
Alfred Ricciuti’s arrest—independent of the allegedly fabricated evidence—
the fabrication of evidence is legally irrelevant. In essence, they argue that as
long as the arrest complied with the Fourth Amendment, the Ricciutis can
have no claim for post-arrest fabrication of evidence against them. This
argument—an ill-conceived attempt to erect a legal barricade to shield police
officials from liability—is built on the most fragile of foundations; it is based
on an incorrect analysis of the law and at the same time betrays a grave
misunderstanding of those responsibilities which the police must have
toward the citizenry in an open and free society. No arrest, no matter how
lawful or objectively reasonable, gives an arresting officer or his fellow
officers license to deliberately manufacture false evidence against an arrestee.
To hold that police officers, having lawfully arrested a suspect, are then free
to fabricate false confessions at will, would make a mockery of the notion
that Americans enjoy the protection of due process of the law and
fundamental justice.
Ricciuti, 124 F.3d 129-130.
In the face of this clear published precedent, UC 39 argues here that ““[I]f a
prosecution is privileged (i.e. probable cause existed) and the plaintiff’s alleged deprivation of
liberty is this same privileged prosecution without more, then a plaintiff cannot show that he
was harmed from [sic] the alleged deprivation.” How can that be?
UC 39 bases his argument on the Second Circuit’s unpublished summary order in
Jovanovic v. City of New York, 486 Fed. App’x. 149 (2d Cir. 2012). The panel in that case
summarized the elements of a denial of the right to fair trial claim as follows: “A person
suffers a constitutional violation if an (1) investigating official (2) fabricates evidence (3) that
is likely to influence a jury’s decision, (4) forwards that information to prosecutors,, and (5)
the plaintiff suffers a deprivation of liberty as a result.” Id. at 152. The Circuit cited to Jocks
v. Tavernier, 316 F.3d 128 (2d Cir. 2003), and Ricciuti, 124 F.3d 123, as the basis for this
7
restatement of the elements of the claim.
UC 39 argues that the fifth prong of the quoted language from Jovanovic cannot be
met. UC 39 proposes that because the jury found that he had probable cause for Mr.
Garnett’s arrest, Mr. Garnett did not suffer a deprivation of liberty as a result of the
fabrication; rather, the deprivation of liberty resulted from the privileged arrest. The danger
of UC 39’s argument lies in the fact that it appears to be reasonable at first glance—if you
look only at the language from Jovanovic quoted above in ahistorical isolation and look no
further. The argument’s faults are revealed, however, when one scratches the surface.
First, there is no basis on the record in this case to conclude that the jury found that
probable cause existed for plaintiff’s arrest and prosecution. The jury found that the plaintiff
did not prove his false arrest and malicious prosecution claims by a preponderance of the
evidence. The record does not establish why: whether the plaintiff failed to prove any
element of those claims or if the jury found that probable cause existed. There is, for
example, no special interrogatory in which the jury communicated a finding of probable
cause. The basic factual premise of UC 39’s argument is not substantiated—we do not have
a concrete finding of probable cause by the jury.
More importantly, however, even if we did have a finding of probable cause by the
jury, it cannot be the basis for a defense to the fabrication of evidence by UC 39. Jovanovic
says as much—in the sentence immediately following the sentence relied on by UC 39 to
construct his argument: “Probable cause is not a defense.” Jovanovic, 486 Fed. App’x. at 152.
Ricciuti specifically rejected the argument that UC 39 advances here. Contrary to UC
39’s assertion, “[n]o arrest, no matter how lawful or objectively reasonable, gives an arresting
officer or his fellow officers license to deliberately manufacture false evidence against an
arrestee.” Ricciuti, 124 F.3d 130. UC 39’s argument too “is built on the most fragile of
8
foundations; it is based on an incorrect analysis of the law and at the same time betrays a
grave misunderstanding of those responsibilities which the police must have toward the
citizenry in an open and free society.” Id.
UC 39’s argument rests on an even more fragile foundation because it is founded on
an unpublished summary order. The Second Circuit’s rules make it clear that unpublished
summary orders—such as that in Jovanovic—have no precedential effect. Under the Second
Circuit’s Rules, as stated in the heading of the Circuit’s summary orders deciding appeals,
“RULINGS BY SUMMARY ORDER DO NOT HAVE PRECEDENTIAL EFFECT.”
See 2d Cir. Local R. 32.1.1(a). UC 39 relies on Jovanovic as if it had precedential effect. But,
as noted, UC 39 goes further, using Jovanovic to support his argument that as long as the
arrest complied with the Fourth Amendment, the plaintiff can have no claim for post-arrest
fabrication of evidence. This, of course, is the precise argument that Ricciuti expressly
rejected. If Jovanovic is not binding precedent, it certainly does not overrule the Second
Circuit’s decision in Ricciuti. 3 One cannot look at the language of a summary order on its
face and ignore its provenance and underlying meaning, as UC 39 invites us to do here. This
Court must follow Ricciuti and conclude that UC 39’s argument “is based on an incorrect
analysis of the law and at the same time betrays a grave misunderstanding of those
responsibilities which the police must have toward the citizenry in an open and free society.”
Ricciuti, 124 F.3d 129.
The Court is aware that at least one district court opinion appears to rely on Jovanovic
3 The argument that led the panel in Jovanovic to explore the elements of a denial of a fair trial claim
appears not to have been fully presented in that case. The court introduced its discussion as follows:
“[Jovanovic] raises the issue in only a perfunctory manner on appeal; but even if it were properly
raised it would be unavailing.” Jovanovic, 486 Fed. App’x. at 152. This is the type of language that
frequently introduces dicta. The fact that the issue was not properly presented to the panel supports
the conclusion that this non-precedential summary order should not be read to fundamentally
reorder the Circuit’s view of the denial of a right to fair trial claim.
9
for the proposition argued by UC 39 here. In Hoyos v. City of New York, 999 F. Supp. 3d 375
(E.D.N.Y. 2013), the court stated that “unlike in Ricciuti, [the plaintiff] does not allege that
the fabrications led him to be charged with a more serious crime or detained for a longer
period of time . . . [w]here independent probable cause exists for the prosecution, plaintiff
must show that the misconduct caused some deprivation above and beyond the fact of the
prosecution itself.”). Id. at 394. This Court believes that this conclusion is inconsistent with
the controlling precedent established by the Second Circuit in Ricciuti quoted extensively
above. It is also not a rule that can be administered.
Consider this hypothetical: An officer has probable cause to arrest a person because
the officer has legitimate, credible evidence that the person is selling drugs. When the
person is arrested, the police do not find drugs on his person. Instead, they fabricate
evidence and plant drugs on him. In this example, the fabricated evidence did not lead the
defendant to be charged with a more serious crime than the crime for which there was
probable cause. Under the rule described in Hoyos, there would be no liability for the police
officer unless the plaintiff could prove that he was in jail longer as a result of the fabricated
evidence.
The hypothetical exposes another flaw in UC 39’s proposed rule. How can a court
know that the falsified evidence did not influence the decision whether to prosecute a person
or the length of a defendant’s detention? A prosecutor can be expected to make different
decisions about how to manage a potential drug prosecution where the defendant is found
with drugs on his person than she would in a situation in which no drugs were found. The
prosecutor might release the person immediately, or offer a much more lenient plea
opportunity. In this case, perhaps Mr. Garnett would have been set free immediately if the
prosecutor did not have the evidence of the acts and statement that UC 39 attributed to him
10
to support the prosecution. For that reason, an argument that a plaintiff must show that the
misconduct caused some deprivation above and beyond the fact of the prosecution itself is
fundamentally misguided. The constitutional rights of a citizen are violated “[w]hen a police
officer creates false information likely to influence a jury’s decision and forwards that
information to prosecutors . . . .” Ricciuti, 124 F.3d at 130. The entire course of a
prosecution is corroded by fabricated evidence. It is for that reason, no doubt, that the
Second Circuit has established a clear, bright line rule: “No arrest, no matter how lawful or
objectively reasonable, gives an arresting officer or his fellow officers license to deliberately
manufacture false evidence against an arrestee.” Ricciuti, 124 F.3d 130.
2.
UC 39 Cannot Fabricate Evidence If it is Arguably Inadmissible
UC 39 argues that the denial of a right to fair trial claim against him must fail because
“[a] denial of fair trial claim requires admissible evidence (such as a false confession, a planted
weapon or planted drugs) likely to influence a jury’s decision.” Defendant’s Motion at 8.
The jury heard testimony about several means by which evidence found by UC 39 was
communicated to the prosecution, in addition to his testimony against Mr. Garnett. UC 39
testified that he discussed his interactions with Mr. Garnett with an assistant district attorney.
The jury also heard testimony about a police report created by UC 39, and a criminal
complaint written by another officer that incorporated UC 39’s statements.
UC 39 argues that the police report and the criminal complaint are hearsay. Since
the statements are hearsay, he argues, the only way that the records could get in front of the
criminal jury would be through the testimony of UC 39, for which he has absolute immunity.
Since the documents were inadmissible hearsay, they are not “likely to influence a jury’s
decision,” which Jovanovic describes as an element of a claim for denial of the right to fair
trial. There are several flaws in this argument.
11
To begin, UC 39’s reliance on absolute testimonial immunity is misplaced. In Coggins
v. Buonora, 776 F.3d 108 (2d Cir. 2015), the Second Circuit clarified that absolute immunity
applies only to actions based on a defendant’s actual testimony.4 In Coggins, the question
before the court was “whether a law enforcement officer is entitled to absolute immunity as
a grand jury witness pursuant to Rehberg when a § 1983 plaintiff alleges that the officer
withheld and falsified evidence in addition to committing perjury before the grand jury . . . .”
Id. at 112. The answer was no. In reaching that answer, the Second Circuit relied on the
Supreme Court’s statement that “we do not suggest that absolute immunity extends to all
activity that a witness conducts outside of the grand jury room. For example, we have
accorded only qualified immunity to law enforcement officials who falsify affidavits and
fabricate evidence concerning an unsolved crime.” Rehberg v. Paulk, 132 S.Ct. 1497, 1507 n.1
(2012). Coggins, in fact, involved an allegedly falsified police report. The defendants in that
case were not granted immunity for the falsified police report because it “laid the
groundwork” for plaintiff’s indictment and was not “based on [the defendant’s] grand jury
testimony.” Coggins, 776 F.3d at 113.
While an officer has absolute immunity for civil actions based on his actual
testimony, he does not have absolute immunity for the actions that he testifies about. As the
Second Circuit held, an interpretation of Rehberg that immunized the subject matter of an
officer’s testimony, rather than the testimony itself “would set a dangerous precedent . . . .”
Coggins, 776 F.3d at 112. “Any police officer could immunize for § 1983 purposes any
unlawful conduct prior to and independent of his perjurious grand jury appearance merely
by testifying before a grand jury. Such an outcome would also be inconsistent with the
4 The Court’s ruling on UC 39’s summary judgment motion, issued before the Second Circuit’s
decision in Coggins, reviews a number of cases that found no immunity in cases involving records
similar to the police report and complaint at issue here. See Docket No. 57 at 21-24.
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limitations Rehberg explicitly imposes on the scope of the absolute immunity, which the
Supreme Court instructed was not to ‘extend[ ] to all activity that a witness conducts outside
of the grand jury room.’” Id. at 113 (internal citations omitted).
It is this “dangerous” argument that UC 39 relies on here to seek protection from
the jury’s verdict. He argues that because he has absolute immunity for his testimony, the
criminal complaint and the police report which contain his reports regarding Mr. Garnett
and his statements cannot be the basis for a finding of liability. But those documents, and
UC 39’s statements concerning Mr. Garnett that were incorporated into those documents,
are not testimony and are not based on testimony. After Coggins, it is clear that UC 39 does
not have absolute immunity for those acts, even if he does have immunity for testimony
about them.5
UC 39’s argument that evidence must be admissible to form the basis of a denial of
the right to fair trial claim is based on a misreading of Jovanovic and its predecessors. In
reframing the elements of a denial of a right to fair trial, the panel in Jovanovic characterized
“likely to influence a jury’s decision” as a separate numbered element of the claim. UC 39’s
argument here is premised on an interpretation of that element as requiring a showing that
the information must be likely to get to the jury. However, that element is properly
understood to require a showing of the materiality of the false information presented—that
It is unclear how to reconcile the unpublished summary order in Jovanovic with Coggins—or the
Supreme Court’s decision in Rehberg, on which Coggins relies. Coggins clarifies that officers have
immunity only for civil actions based on their actual testimony. Jovanovic can arguably be read to
protect officers from liability for their acts not as a result of, or based on, actual testimony, but on
the basis of hypothetical testimony. This approach yields odd results when tested. Under this
approach, if one officer fabricates evidence on his own to be used against a criminal defendant, he is
protected because he benefits from absolute immunity for the hypothetical testimony that would
present that evidence to the criminal jury. What happens, then, if two officers collaborate to falsify
evidence? Is neither protected from liability, because the court must hypothesize that one can testify
about the other? Or are both protected, because the court must hypothesize that the only way for
each officer’s falsification to be introduced is through that officer’s testimony? Since Jovanovic is not
binding precedent, and Coggins is, the Court need not address these apparent incongruities.
5
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the information would likely influence the jury if it arrived at a jury—as a careful reading of
Ricciuti and Jovanovic reveals.
Remember that in Ricciuti the Second Circuit held that “[w]hen a police officer
creates false information likely to influence a jury’s decision and forwards that information
to prosecutors, he violates the accused’s constitutional right to a fair trial . . . .” Ricciuti, 124
F.3d at 130; see also Jocks v. Tavernier, 316 F.3d 128, 138 (2d Cir. 2003) (citing Ricciuti for the
same proposition). In Ricciuti, the court did not require that the false information submitted
to the prosecutor be admissible into evidence, that it be used at trial, or even that a trial ever
occur—the claim accrues when the officer forwards the false information to the prosecutors.
In Ricciuti, the phrase “likely to influence a jury’s decision” evidently describes the materiality
of the information. It does not require that the falsified evidence be likely to be presented to
a jury—again, the cause of action accrues when the information is presented to the prosecutor,
not when it is presented to the jury.6
We know that Jovanovic cites to Ricciuti and Jocks as the basis for its restatement of the
denial of a right to fair trial claim, and we know that Jovanovic is an unpublished summary
order. Yet, UC 39 argues that Jovanovic requires the establishment of causal link that was not
required in Ricciuti; he argues that the “likely to influence a jury’s decision” element requires a
showing that the false information is likely to get to the jury, where Ricciuti required only that
the false information be presented to prosecutors. Jovanovic does not stand for that
proposition.
In this case, the jury was required to find “that the fabricated evidence of a material nature
was likely to influence a jury’s decision” in order to hold UC 39 liable. The jury did so in this case. If
the “likely to influence” requirement of the claim can only be satisfied if the evidence at issue is
admissible, as UC 39 argues, this element of the denial of a fair trial claim could never be decided by
a jury.
6
14
Jovanovic called out “likely to influence a jury’s decision” as a separate element from
the causation element (that “the plaintiff suffers a deprivation of liberty as a result”).
Jovanovic, 486 Fed. App’x. at 152 (emphasis added). When the Jovanovic panel held that
absolute immunity shielded the officer from liability in that case, it explained that “Jovanovic
cannot show causation—i.e., that the alleged fabrication of evidence led to a deprivation of his
liberty.” Jovanovic, 486 Fed. App’x. at 152 (emphasis added). The court based its decision on
the absence of causation; it did not hold that the officer was shielded because the
information was not likely to reach the jury.
UC 39 conflates the two elements. In doing so, he is incorrectly converting the
“likely to influence a jury’s decision” prong of Jovanovic from a materiality threshold into an
additional causation requirement—that the evidence must be likely to reach the jury. The
argument has superficial appeal, if you look merely at the single sentence of quoted language
from Jovanovic without context. But the argument is unsupported by the Second Circuit’s
published decisions, or, indeed, by Jovanovic itself. The position advanced on behalf of UC
39 here “betrays a grave misunderstanding of those responsibilities which the police must
have toward the citizenry in an open and free society,” as clearly described in Ricciuti, and
does not recognize the pervasive effects of the fabrication of evidence on the entire
prosecutorial process.
In his motion, UC 39 recognizes that a falsified confession can be the basis of a
claim for denial of the right to fair trial. Defendant’s Motion at 8 (“A denial of fair trial
claim requires admissible evidence (such as a false confession, a planted weapon or planted
drugs) likely to influence a jury’s decision.”). In this Court’s view, the distinction between a
confession and the statement attributed to Mr. Garnett in this case is elusive. Mr. Garnett’s
statement was not labelled as a confession—it was labelled as an unguarded comment
15
felicitously overheard—but it was a profoundly incriminating statement attributed to a
criminal defendant by a police officer. UC 39 concedes that a false confession can form the
basis for a denial of a right to fair trial claim, but does not provide a viable basis to deny
citizens the opportunity to pursue such a claim with respect to fabricated incriminating
statements that are not labelled as confessions. This Court has not identified a basis to draw
such a distinction.
3.
Evidence Established at Trial
Finally, UC 39 contends that the evidence presented at trial fails to establish a denial
of fair trial claim because plaintiff did not adduce evidence to show that UC 39’s police
report was forwarded to prosecutors. However, the jury heard testimony from UC 39 that
he conveyed information to the arresting officer, and that UC 39 himself spoke with an
assistant district attorney regarding Mr. Garnett and his alleged statements inside the store.
Declaration of Matthew J. Modafferi, Docket No. 107 (“Modafferi Decl.”), Ex. E. at 71. UC
39’s motion for judgment as a matter of law on this basis is denied.
II.
DEFENDANT’S RULE 59 MOTION
A.
Background
This Court denied the defendant’s request to introduce at trial excerpts from the plea
allocution of the plaintiff’s alleged co-conspirator, Mr. Waquan Cintron. Specifically, the
defendant sought to introduce the portions of the plea allocution in which Mr. Cintron
stated that he was acting in concert with the plaintiff to sell drugs. See Modafferi Decl. Ex.
G. UC 39 was unsuccessful in his attempts to subpoena Mr. Cintron to appear for a
deposition or at the trial in this matter. In a bench ruling on October 30, 2014, the Court
precluded the plea allocution from being introduced as evidence on the ground that Mr.
Cintron’s statements constituted inadmissible hearsay, and did not fall into one of the
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exceptions articulated in Federal Rule of Evidence 804(b)(3) or 807.
B.
Analysis
Rule 59 provides that “[t]he court may, on motion, grant a new trial on all or some
of the issues—and to any party— . . . after a jury trial, for any reason for which a new trial
has heretofore been granted in an action at law in federal court.” Fed. R. Civ. P. 59(a)(1)(A).
When a party moves for a new trial on the ground that the court erroneously excluded
evidence, Rule 59 is read in conjunction with Rule 61. That rule provides that “[u]nless
justice requires otherwise, no error in admitting or excluding evidence—or any other error
by the court or a party—is ground for granting a new trial. . . . At every stage of the
proceeding, the court must disregard all errors and defects that do not affect any party’s
substantial rights.” Fed. R. Civ. P. 61. As a result, “[a]n erroneous evidentiary ruling that
does not affect a party’s ‘substantial right’ is . . . harmless. . . . Whether an evidentiary error
implicates a substantial right depends on ‘the likelihood that the error affected the outcome
of the case.’” Tesser v. Board of Educ. of School Dist. Of City of New York, 370 F.3d 314, 319 (2d
Cir. 2004) (internal citations omitted).
UC 39 argues that the statements meet all of the requirements to be admissible under
Rule 807: the statements are trustworthy, material, more probative than other available
evidence, fulfill the interests of justice, and plaintiff was put on notice regarding the
existence of the statements. UC 39 does not appear to dispute here the Court’s ruling on the
applicability of Rule 804(b)(3).
The Court reaffirms its prior conclusion that the statements were not sufficiently
trustworthy or reliable to be introduced under the catch-all exception of Rule 807. First, Mr.
Cintron had reason to curry favor with the prosecution by implicating plaintiff in the drug
transaction in the hopes of receiving a more favorable plea deal. Second, while the plea was
17
submitted under oath before a judge, the statements were not subject to cross-examination
by plaintiff or anyone else, as they would be in the context of a trial or deposition, as neither
plaintiff nor his counsel were present during the plea allocution. See United States v. Ferguson,
676 F.3d 260, 287 n.30 (2d Cir. 2011) (“As for the residual exception, it is unclear that the
notes have the necessary ‘equivalent circumstantial guarantees of trustworthiness,’ Fed. R.
Evid. 807, because [the declarant] was not cross-examined and there was no transcript from
the hearing. ”); O’Brien v. City of Yonkers, No. 07 Civ. 3974, 2013 WL 1234966, at *8 n.8
(S.D.N.Y. Mar. 22, 2013) (finding that despite the fact that witness’s testimony was given
under oath, it lacked trustworthiness because, among other things, there was “no crossexamination” on one of the relevant issues in the case and “the prosecutor had no reason to
clarify the issue during the direct examination”) (emphasis in original). The Court concludes
that it did not err in excluding from evidence portions of Cintron’s plea allocution because
those statements were not sufficiently trustworthy nor reliable, two of the requirements
necessary to qualify for the hearsay exception under Rule 807.
Moreover, even if the Court did err, the error did not implicate a substantial right of
the defendant. The plea colloquy implicated Mr. Garnett in the drug transaction, and the
defendant understandably wanted to introduce the evidence to paint him in a worse light,
but the testimony did not go to any of the essential elements of the plaintiff’s case or the
defendants’ defense. Mr. Cintron’s statement that Mr. Garnett was involved in the drug sale
would not bolster the defendants’ probable cause defense, because it was not information
available to the officers at the time of Mr. Garnett’s arrest. In any event, the defendant’s
prevailed on the false arrest and malicious prosecution claims at trial. The fact that Mr.
Cintron testified that Mr. Garnett was involved in the drug transaction also does not directly
inform the question whether UC 39 fabricated evidence regarding Mr. Garnett. The
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statement did not, for example, affirm that Mr. Garnett made the statement inside the store
attributed to him by UC 39. Therefore, the omission of this testimony did not affect a
substantial right of the defendant. UC 39’s motion for a new trial is denied.
III.
DEFENDANT’S MOTION TO REDUCE THE PUNITIVE DAMAGE
AWARD
Finally, UC 39 moves to have the punitive damage award reduced. UC 39 argues
that the $20,000 punitive damage award is excessive compared to the compensatory damage
award of $1.
In determining whether a punitive damage award is excessive, a court must consider
whether the award is reasonable in amount and in light of the purpose of such damages to
punish what has occurred and to deter its repetition. Lee v. Edwards, 101 F.3d 805, 809 (2d
Cir. 1996) (quotation omitted). The Supreme Court has established three “guideposts” to
assist in this inquiry: (1) the “degree of reprehensibility” associated with the defendant’s
actions; (2) “the disparity between the harm or potential harm suffered” and the size of the
punitive award; and (3) the difference between the remedy in this case and the penalties
imposed in comparable cases. BMW of North America, Inc. v. Gore, 517 U.S. 559, 574-75
(1996); see also Turley v. ISG Lackawanna, Inc., 774 F.3d 140, 165 (2d Cir. 2014)
With respect to the first guidepost, a court should consider factors such as whether
the defendant’s misconduct was violent or presented a threat of violence, whether the
defendant acted with deceit or malice, and whether the defendant has engaged in repeated
instances of misconduct. Lee, 101 F.3d at 809. In order to find the defendant liable for
denial of a right to fair trial, the jury had to find that UC 39 fabricated evidence. Therefore,
the jury’s finding supports an inference that UC 39 acted with deceit. The Court can think
of no mitigating factors that would justify a reduction in the amount of punitive damages
awarded in this case.
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The second guidepost instructs a court to examine “whether there is a reasonable
relationship between the punitive damages award and the harm likely to result from the
defendant’s conduct, as well as the harm that actually has occurred.” Gore, 517 U.S. 581
(internal quotation marks and citation omitted). The Second Circuit has explained that
“[w]hen the compensable injury is small but the reprehensibility of the defendant’s conduct
[is] great, the ratio of a reasonable punitive damages award to the small compensatory award
will necessarily be very high.” Payne v. Jones, 711 F.3d 85, 102 (2d Cir. 2013) (citation
omitted). The Gore court repeatedly stressed the difficulty of establishing a bright-line test,
as the ratio could vary dramatically depending on the particular facts of a given case. Gore,
517 U.S. at 582-83. And indeed, courts in this circuit have upheld punitive damages far in
excess of compensatory damages in other § 1983 cases in part, no doubt, “because there are
no rigid benchmarks that a punitive damages award may not surpass, ratios greater than
those previously upheld may comport with due process ‘where a particularly egregious act
has resulted in only a small amount of economic damages.’” State Farm Mutual Auto Insurance
Company v. Campbell, 538 U.S. 408, 425 (2003); see, e.g., Lee, 101 F.3d at 811-812 (reducing
punitive damages award in malicious prosecution case from $200,000 to $75,000 where
compensatory damages were one dollar); Beckford v. Irvin, 49 F. Supp. 2d 170, 182 (W.D.N.Y.
1999) (upholding a punitive damages award of $25,000 when compensatory damages were
zero dollars in an Eighth Amendment deliberate indifference to medical needs case).
Considering the punitive damage award in this case in purely absolute terms, the amount is
relatively small. The Court could find no § 1983 case in which an award in the range of
$20,000 was reduced as excessive.
As for the third guidepost, the difference between the punitive damage award and
the criminal and civil penalties authorized or imposed in comparable cases, the Second
20
Circuit has explained that the rationale for its consideration is that if the latter are much less
than the former, it might be said that the tortfeasor lacked fair notice that his wrongful
conduct could entail a sizable punitive damages award. Lee, 101 F.3d at 811. As the
defendant acknowledges, UC 39 could have been exposed to prosecution for making a
sworn false statement in the second degree, N.Y. Penal Law § 210.35, falsifying business
records in the second degree, N.Y. Penal Law § 175.05, each punishable by up to one year in
prison and a $1,000 fine, N.Y. Penal Law §§ 70.15, 80.05, as well as for perjury in the first
degree, N.Y. Penal Law § 210.15, punishable by up to seven years in prison and a $5,000
fine, N.Y. Penal Law §§ 70.00, 80.00. While these penalty amounts are less than the punitive
damages awarded in this case, criminal penalties understate the notice when the misconduct
is committed by a police officer, because, as the court noted in Lee, “[the defendant officer's]
training as a police officer gave him notice as to the gravity of misconduct under color of his
official authority, as well as notice that such misconduct could hinder his career.” 101 F.3d
at 811.
The fabrication of evidence by a police officer displays not just a callous indifference
to the rights of the arrestee, but also constitutes an egregious abuse of authority. It betrays
the trust that society has placed in its law enforcement personnel, and distorts our system of
justice. Punitive damages awards serve an important role in deterring such misconduct.
Considering the totality of the Gore factors, the Court concludes that the punitive damages
award was not impermissibly high. UC 39’s motion to reduce the amount of punitive
damages is denied.
IV.
PLAINTIFF’S RULE 59 MOTION
A.
Background
21
Prior to trial, the parties submitted a Joint Proposed Jury Charge. Docket No. 72.
The parties agreed on the instruction defining probable cause. At the close of the evidence,
the Court read the charges to the jury without objection. During deliberations, the jury
submitted a note asking:
“[W]e ask for a clarification on probable cause. If an individual reasonably
appears to have knowledge of a criminal transaction currently taking place,
but does not appear to be involved, is probable cause established?”
See Declaration of Robert T. Perry, Docket No. 104 (“Perry Decl.”), Ex. A at 2:6-10. The
note arguably suggested that the jury had constructed a theory about why Mr. Garnett was
on the scene at the time of his arrest—that he knew that his friends were selling drugs, but
that he was not personally involved.
The Court solicited the parties’ views before responding to the note. The plaintiff’s
counsel wanted the Court to instruct the jury that “if someone has knowledge that a crime is
being committed, but is not in any way involved in the crime, that’s not criminal activity.”
Id. at 4:9-11. The Court explained its view that the relevant question for the jury was
“whether or not a reasonable person would understand that [plaintiff] was involved in
criminal activity. And that is taken from the point of view of a reasonable officer under the
circumstances.” Id. at 5:1-16.
The Court stated during the discussion of the note that “I think that their note, as
many notes are, is capable of multiple constructions. I also read the note as reflecting a lack
of comprehension or a need to emphasize for the fact that this is an inquiry that is made
from the point of view of the officer, not from the point of view of the plaintiff.” Id. at 9:27. Plaintiff’s counsel wanted a jury instruction that would focus the jury on the point of
view of the plaintiff, not the officer. The instruction proposed by the plaintiff was, in the
Court’s view, also inconsistent with the evidence presented at trial, because UC 39 clearly
22
testified that he believed that Mr. Garnett was acting like a look-out—not someone who
appeared to know about a drug transaction, but appeared not to be involved in it.
The Court proposed a response to the jury’s question, based on the original
instruction on probable cause, but crafted to focus on the substance of the jury’s note. Id. at
13:1-2. The Court reviewed the proposed language with the parties and again solicited their
views. Id. at 6:4-23. The plaintiff again requested that the instructions contain “a
clarification that mere knowledge of criminal activity is not a crime, and therefore does not
give probable cause to arrest . . . .” Id. at 6:24-7:10. Again, the plaintiff’s counsel wanted an
instruction that would focus the jury on what Mr. Garnett might be thinking, not what the
officer was perceiving. Most importantly, however, counsel for the plaintiff agreed on the
record that the proposed response to the jury’s note was accurate as a matter of law. Id. at
11:14-19.
The Court ultimately responded to the jury’s note by substantively reiterating the
original jury instruction on probable cause, reminding the jury that “probable cause is
analyzed from the perspective of a reasonable person standing in the officer’s shoes.” Id. at
12:21-15:2. Addressing the jury’s question more specifically, the Court also clarified that if
“a reasonable person in Officer 39’s shoes, looking at the totality of the circumstances,
would not believe that there is a probability that the plaintiff had committed a crime or was
committing a crime, there would be no probable cause for his arrest.” Id. at 12:21-15:2
(emphasis added). The Court also referred the jurors to the original written instructions,
which included a description of the crime with which Mr. Garnett was charged. Id.
Furthermore, the Court told the jury that if the Court’s response was not helpful, that they
should send another note. See id at 12:21-15:2. The jury did not send another note.
23
The jury found that UC 39 was not liable on the false arrest or malicious prosecution
charge, but liable for the denial of a right to fair trial charge. The jury also found UC 0243
not liable on the failure to intervene charge. The plaintiff now argues that had the Court
instructed the jury that mere knowledge of criminal activity could not give rise to probable
cause, that the jury would have concluded that the defendants lacked probable cause and
therefore found in favor of the plaintiff on the false arrest, malicious prosecution, and failure
to intervene claims.
B.
Analysis
Rule 59 provides that “[t]he court may, on motion, grant a new trial on all or some
of the issues—and to any party— . . . after a jury trial, for any reason for which a new trial
has heretofore been granted in an action at law in federal court.” Fed. R. Civ. P. 59(a)(1)(A).
A motion for a new trial under Rule 59 may be predicated on a court’s error in giving or
refusing to give instructions to the jury. Anderson v. Branen, 17 F.3d 552, 555 (2d Cir. 1994).
A jury charge is erroneous if it misleads the jury as to the correct legal standard, or if it does
not adequately inform the jury of the law. See Schermerhorn v. Local 100, Transport Workers
Union, 91 F.3d 316, 322 (2d Cir. 1996). On the other hand, if the instructions, “taken as a
whole and viewed in light of the evidence, show no tendency to confuse or mislead the jury
as to principles of law which are applicable,” then there is no error. Norfleet v. Isthmian Lines,
Inc., 355 F.2d 359, 362 (2d Cir. 1966). Thus, a jury instruction will be deemed adequate if
“the charge, taken as a whole, is correct and sufficiently covers the case so that a jury can
intelligently determine the questions presented to it.” Schermerhorn, 91 F.3d at 322 (internal
quotations and citations omitted).
The plaintiff cannot argue here that the Court’s response to the note incorrectly
stated the law. The plaintiff’s counsel agreed on the record that the response to the note was
24
an accurate statement of the law. What the plaintiff is asking for here, then, is not a legally
accurate jury instruction, but one that was slanted to benefit himself by focusing the jury on
what the plaintiff was thinking—his innocence, given that the jury knew of his ultimate
acquittal—rather than the perspective of a reasonable officer at the time of arrest. By
reemphasizing in the response to the note that probable cause has to be based on a
reasonable belief that an individual has committed or is committing a crime, the Court adequately
addressed the jury’s question of whether an individual who “does not appear to be involved”
in a criminal transaction could give a reasonable officer probable cause to arrest. The Court
also directed the jury to the original instructions, which included a description of the crime
for which the plaintiff was arrested. Thus, the Court’s instruction on probable cause, “taken
as a whole, is correct and sufficiently cover[ed] the case so that [the] jury [could] intelligently
determine the questions presented to it.” Schermerhorn, 91 F.3d at 322 (internal quotations
and citations omitted). The plaintiff’s Rule 59 motion is therefore denied.
V.
CONCLUSION
For the foregoing reasons, the motions of each of the plaintiff and the defendant,
pending at Docket Nos. 103 and 106, respectively, are denied. In addition, the plaintiff’s
motions for a bill of costs, Docket No. 109, and for attorney’s fees and costs, Docket No.
119, are denied without prejudice to renewal. Those motions were made prematurely during
the pendency of the motions for judgment as a matter of law and a new trial. They may be
renewed following entry of this order. The Clerk of Court is directed to close this case.
SO ORDERED.
Dated: April 6, 2015
New York, New York
_____________________________________
GREGORY H. WOODS
United States District Judge
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