Lamont et al v. Wilson et al
Filing
58
OPINION & ORDER re: 50 MOTION to Dismiss filed by Kristen K. Wilson, Scott D. Pickup, Frank J. Culcross, Jane Does, Laura A. Brett, Angela Runco, Julie P. Killian, Terrence E. McCartney, Joseph A. Sack, Jim Buonaiuto, Kristen A. Bu cci. For the foregoing reasons, Defendants' motion to dismiss is GRANTED. The Court respectfully directs the Clerk to remove the Committee for Election Equality and Plaintiff's minor son from the caption, terminate the motion at ECF No. 50, enter judgment in favor of Defendants, and close this case. SO ORDERED. P. Stephen Lamont II terminated. (Signed by Judge Nelson Stephen Roman on 8/20/2015) (mml)
USDC SDN\'
DOCUMENT
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF NEW YORK
ELECTRONICALLY FILED
DOC#:
DATE F-1L-F.-.D-:-:)?-t/-~--r-/
~-?~
P. STEPHEN LAMONT, individually AND ON
BEHALF OF THE COMMITTEE FOR ELECTION
EQUALITY, and his minor son, P .S.L II, 1
Plaintiff,
-againstKRISTEN K. WILSON in her individual and
official capacity, TERRENCE E. McCARTNEY in
his individual and official capacity, KIRSTEN A.
BUCCI2 in her individual and official capacity,
LAURA U. BRETT in her individual and official
capacity, JOSEPH A. SACK in his individual and
official capacity, JULIE P. KILLIAN in her
individual and official capacity, FRANK J.
CULCROSS 3 in his individual and official capacity,
SCOTT D. PICKUP in his official and individual
capacity, JIM BUONAIUTO in his individual and
official capacity, ANGELA RUNCO in her
individual and official capacity, CITY OF RYE,
JOHN DOES, and JANE DOES,
14-cv-5052 (NSR)
OPINION & ORDER
Defendants.
NELSONS. ROMAN, United States District Judge
Plaintiff P. Stephen Lamont ("Plaintiff') brings this action prose on behalf of himself,
the Committee for Election Equality, 4 and his minor son 5 alleging violations of 42 U.S.C.
1 Unless
the Court orders otherwise, Federal Rule of Civil Procedure 5.2 requires that the parties refrain
from using the full name of any individual known to be a minor in documents filed with the Court. To the extent
that either party references Plaintiff's minor son in any future filing, please do so only using the minor's initials.
2
Defendant Bucci's name is misspelled in the caption of the Amended Complaint. Defendant's first name
is properly spelled "Kirstin." (Def.'s Mot. at 1 n.1.)
3
Defendant Culcross' name is misspelled in the caption of the Amended Complaint. Defendant's last
name is properly spelled "Culross.'' (Def.'s Mot. at 1.)
4 Plaintiff has voluntarily withdrawn the Committee for Election Equality as a plaintiff in this action. (See
Docket Minute Entry for July 23, 2014.)
5
Plaintiffs minor son has not appeared by counsel in this matter. It is well-settled that a non-attorney
parent may not bring an action prose on behalf of his or her minor child. See Cheung v. Youth Orchestra Found. of
Buffalo, Inc., 906 F.2d 59, 61 (2d Cir. 1990) ("[A] non-attorney parent must be represented by counsel in bringing
§ 1983, the Fourteenth Amendment, and the Racketeer Influenced Corrupt Organizations Act
(“RICO”) resulting from the denial of his membership application to the Rye Golf Club. Before
the Court is Defendants’ motion to dismiss. For the following reasons, Defendants’ motion is
GRANTED.
BACKGROUND
The following facts are gleaned from the Amended Complaint (“AC”) unless otherwise
noted and are accepted as true for purposes of this motion.
Plaintiff is a ten-year resident of Rye, New York, and a former member of the Rye Golf
Club (the “RGC”), where he held various categories of membership between 2005 and 2012.
(AC ¶ 7.) The RGC is owned by the City of Rye. (AC ¶ 29.)
On May 3, 2013, Plaintiff submitted an application for a “Pool for Two” membership at
the RGC. (AC ¶ 22.) Plaintiff’s application was purportedly denied on or about May 15, 2013.
(Id.) Although not entirely clear from the Amended Complaint, Plaintiff appears to imply that
the denial of his application was based on Defendants deciding that he should have applied for a
“Family Pool” membership rather than a “Pool for Two” membership, which was limited to a
“primary member and spouse or significant other.” (Id. ¶¶ 22-23, ¶ 22 n.1). In December 2013,
Plaintiff received a telephone call from Defendant Kristen Wilson claiming that there were
unpaid dues on his RGC account in the amount of $1,450. (Id. ¶ 21.) Plaintiff alleges that
Wilson actually knew there were no unpaid dues on his account at the time she placed the
telephone call. (Id.) Plaintiff then “consistently” requested evidence of the unpaid dues and of
an action on behalf of his or her child.”) Plaintiff has removed his minor son’s name from the caption of his
memorandum in opposition to the instant motion, which the Court construes as a voluntary withdrawal of all claims
brought on his son’s behalf. In any event, these claims would have been dismissed for failure to appear by counsel.
2
an executed “Family Pool” membership application, but never received such evidence. (Id. ¶
23.)
On June 30, 2014, Plaintiff sent the RGC an application for a “Family Pool” membership
for the 2014-2015 season. (Id. ¶ 24.) The next day, Plaintiff sent the RGC a cashier’s check
drawn from the corporate account of iviewit Holdings, Inc., of which Plaintiff is the Chairman
and Chief Executive Officer. (Id.) On July 3, 2014, Plaintiff received an email from Defendant
Jim Buonaiuto advising him that there was an outstanding balance on Plaintiff’s account from
the previous year and that Plaintiff should discuss a resolution of the balance with Wilson. (Id. ¶
25.) Plaintiff alleges that Wilson and the other defendants conspired to deny his application. (Id.
¶¶ 26-27.)
After receiving Buonaiuto’s email, Plaintiff emailed Defendant Frank Culross and
demanded activation of his membership by July 6, 2014 at 10 a.m. (Id. ¶ 28.) Culross did not
activate Plaintiff’s membership and Plaintiff commenced the instant action. (Id.)
STANDARD ON A MOTION TO DISMISS
To survive a motion to dismiss, a complaint must supply “factual allegations sufficient
‘to raise a right to relief above the speculative level.’” ATSI Commc’ns, Inc. v. Shaar Fund, Ltd.,
493 F.3d 87, 98 (2d Cir. 2007) (quoting Bell Atl. Corp. v. Twombly, 550 U.S. 544, 555 (2007)).
In other words, the complaint must allege “‘enough facts to state a claim to relief that is plausible
on its face.’” Starr v. Sony BMG Music Entm’t, 592 F.3d 314, 321 (2d Cir. 2010) (quoting
Twombly, 550 U.S. at 570). “A claim has facial plausibility when the plaintiff pleads factual
content that allows the court to draw the reasonable inference that the defendant is liable for the
misconduct alleged.” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009). In applying this standard, a
3
court should accept as true all well-pleaded factual allegations, but should not credit “mere
conclusory statements” or “[t]hreadbare recitals of the elements of a cause of action.” Id.
“Pro se complaints are held to less stringent standards than those drafted by lawyers,
even following Twombly and Iqbal.” Thomas v. Westchester, No. 12 Cv. 6718 (CS), 2013 WL
3357171 (S.D.N.Y. July 3, 2013) (internal citations omitted). The court should read pro se
complaints “‘to raise the strongest arguments that they suggest.’” Kevilly v. New York, 410 F.
App’x 371, 374 (2d Cir. 2010) (summary order) (quoting Brownell v. Krom, 446 F.3d 305, 310
(2d Cir. 2006)); see also Harris v. Mills, 572 F.3d 66, 72 (2d Cir. 2009) (“even after Twombly,
though, we remain obligated to construe a pro se complaint liberally.”). “However, even pro se
plaintiffs . . . cannot withstand a motion to dismiss unless their pleadings contain factual
allegations sufficient to raise ‘a right to relief above the speculative level.’” Jackson v. N.Y.S.
Dep’t of Labor, 709 F. Supp. 2d 218, 224 (S.D.N.Y. 2010) (quoting Twombly, 550 U.S. at 555).
Dismissal is justified, therefore, where “the complaint lacks an allegation regarding an element
necessary to obtain relief,” and therefore, the “duty to liberally construe a plaintiff’s complaint
[is not] the equivalent of a duty to re-write it.” Geldzahler v. New York Medical College, 663 F.
Supp. 2d 379, 387 (S.D.N.Y. 2009) (internal citations and quotations omitted).
Under Federal Rule of Civil Procedure 12(d), when “matters outside the pleadings are
presented to and not excluded by the court,” a motion to dismiss “must be treated as one for
summary judgment,” and “[a]ll parties must be given a reasonable opportunity to present all the
material that is pertinent to the motion.” Fed. R. Civ. P. 12(d). The rule does not require,
however, that the court convert a motion to dismiss to a motion for summary judgment in every
instance. Rather, the rule:
gives district courts two options when matters outside the pleadings are presented in
response to a 12(b)(6) motion: the court may exclude the additional material and decide
4
the motion on the complaint alone or it may convert the motion to one for summary
judgment under Fed. R. Civ. P. 56 and afford all parties the opportunity to present
supporting material.
Fonte v. Bd. of Managers of Cont’l Towers Condo., 848 F.2d 24, 25 (2d Cir. 1988); see Friedl v.
City of New York, 210 F.3d 79, 83 (2d Cir. 2000). Thus, conversion is not required if the court
explicitly disregards the outside materials submitted by the parties. See Cleveland v. Caplaw
Enterprises, 448 F.3d 518, 521 (2d Cir. 2006) (matters outside pleadings presented to court were
“excluded” within meaning of Rule 12(d) by district court’s explicit refusal to consider outside
materials); Amaker v. Weiner, 179 F.3d 48, 50 (2d Cir. 1999) (“Attachment of an affidavit or
exhibit to a Rule 12(b)(6) motion, however, does not without more establish that conversion is
required.”); Islip U-Slip LLC v. Gander Mountain Co., 2 F. Supp. 3d 296, 302 (N.D.N.Y. 2014)
(“[C]onversion is not required if the court disregards the extrinsic material.”).
Plaintiff attaches a number of exhibits to his memorandum in opposition to the instant
motion, the majority of which have nothing to do with Plaintiff’s claims concerning his
application for membership in the RGC. Plaintiff cites to these exhibits in an attempt to allege
purportedly unlawful acts carried out by some of the defendants to this action, as well as other
members of the Rye government and community. Plaintiff may not, however, “amend [his]
complaint by asserting new facts or theories for the first time in opposition to [a] motion to
dismiss.” K.D. ex rel Duncan v. White Plains Sch. Dist., 921 F. Supp. 2d 197, 209 n.8 (S.D.N.Y.
2013) (collecting cases); see also Wright v. Ernst & Young LLP, 152 F.3d 169, 178 (2d Cir.
1998); Deylii v. Novartis Pharms. Corp., No. 12 Cv. 06669 (NSR), 2014 WL 2757470, at *8
(S.D.N.Y. June 16, 2014) (“It is well-settled that a party may not amend its complaint through
statements in motion papers.”); Fadem v. Ford Motor Co., 352 F. Supp. 2d 501, 516 (S.D.N.Y.
2005) (“It is long-standing precedent in this circuit that parties cannot amend their pleadings
through issues raised solely in their briefs.”) The Court therefore excludes these additional
5
materials and will decide the motion to dismiss solely on the basis of the allegations contained in
the Amended Complaint.
DISCUSSION
I.
Section 1983 Claims
Construing the Amended Complaint liberally, Plaintiff alleges that Defendants violated
his rights under the Equal Protection and Due Process clauses of the Fourteenth Amendment,
giving rise to liability under 42 U.S.C. § 1983. The Court addresses each of Plaintiff’s
allegations in turn.
A.
Equal Protection
Plaintiff’s first theory of liability under § 1983 is premised on the Defendants’ alleged
violation of Plaintiff’s right to be provided equal protection under the law. (Pl.’s Opp. ¶¶ 45-48.)
Plaintiff alleges that Defendants blocked his membership “in flagrant violation of the Fourteenth
Amendment[,]” (AC ¶ 40), and compares this action to the “school district cases,” including
seminal Supreme Court decisions Sweatt v. Painter, 339 U.S. 629 (1950) and Brown v. Bd. of
Ed. of Topeka, Shawnee Cnty., Kan., 347 U.S. 483 (1954). (AC ¶ 41; Pl.’s Opp. ¶¶ 45-46.)
Plaintiff argues that “nearly all legislation classifies on the basis of some criteria, bestowing
benefits or imposing burdens on one group and denying them to another – [which is] the precise
set of facts in the instant action.” (Id. ¶ 47.) Plaintiff provides no other arguments in support of
this theory, other than that “[a]ny student, practitioner, or judge conversant in the ‘school district
cases’ knows that [this] claim is one of the Equal Protection clause that requires each state to
provide equal protection under the law.” (Id. ¶ 46.)
The Equal Protection Clause “is essentially a direction that all persons similarly situated
should be treated alike.” Diesel v. Town of Lewisboro, 232 F.3d 92, 103 (2d Cir. 2000) (internal
citations and quotation marks omitted). A plaintiff may plead intentional discrimination in
6
violation of the Equal Protection Clause in a number of ways, including pointing to a specific
law or policy that expressly or in practice discriminates on the basis of some impermissible
consideration such as race, Pyke v. Cuomo, 258 F.3d 107, 109 (2d Cir. 2001) (quoting Brown v.
City of Oneonta, 221 F.3d 329, 337 (2d Cir. 1999)), or by basing its allegations on theories of
selective enforcement or a “class-of-one.” See Witt v. Vill. of Mamaroneck, No. 12 Cv. 8778
(ER), 2015 WL 1427206, at *4 (S.D.N.Y. Mar. 27, 2015). Plaintiff has not identified any
specific law or policy that he is challenging, so the Court assumes Plaintiff is proceeding on a
selective enforcement or “class-of-one” theory.
To succeed on a theory of selective enforcement, a plaintiff must prove that: “(1) the
[plaintiff], compared with others similarly situated, was selectively treated; and (2) that such
selective treatment was based on impermissible considerations such as race, religion, intent to
inhibit or punish the exercise of constitutional rights, or malicious or bad faith intent to injure a
person.” LeClair v. Saunders, 627 F.2d 606, 609-10 (2d Cir. 1980). Similarly, to succeed on a
“class-of-one” theory, a plaintiff must prove: “(1) intentional disparate treatment, (2) from other
similarly situated individuals, (3) without a rational basis for the difference in treatment, and (4)
without otherwise claiming membership in a particular class or group.” Witt, 2015 WL 1427206
at *4 (citing Vill. of Willowbrook v. Olech, 528 U.S. 562, 564 (2000)).
Regardless of which theory Plaintiff intended to proceed under, Plaintiff’s “clear[]
analog[y]” between his claim and the “school district cases” leads this Court to believe that
Plaintiff is alleging discrimination based on his race, though Plaintiff’s analogy is not nearly as
clear as he believes it to be. (Pl.’s Opp. ¶ 45.) 6 The Amended Complaint, however, contains
6
All but one of the cases cited by Plaintiff relate to racial segregation in schools. The remaining case to
which Plaintiff cites, Commonwealth of Virginia v. Rives, 100 U.S. 313 (1879), dealt with whether having an allwhite jury violated the Equal Protection Clause of the Fourteenth Amendment.
7
absolutely no allegations that Plaintiff was selectively or disparately treated based on his race.
Even if Plaintiff was alleging discrimination on some other ground – for instance, his religion or
Defendants’ intent to inhibit or punish the exercise of his constitutional rights, both of which are
absent from the Amended Complaint – Plaintiff has not alleged that similarly situated individuals
were being treated differently than himself. Plaintiff’s failure to allege the basis for his
purported discrimination, as well any potential comparators, is fatal to his equal protection claim.
B.
Due Process
The Due Process Clause of the Fourteenth Amendment requires that no “state . . . deprive
any person of life, liberty, or property, without due process of law.” “In order to succeed on a
due process claim, whether procedural or substantive, [a] plaintiff must identify a valid liberty or
property interest.” Vlahadamis v. Kiernan, 837 F. Supp. 2d 131, 155 (E.D.N.Y. 2011) amended,
No. 08 Cv. 2876 (DRH) (AKT), 2011 WL 5156340 (E.D.N.Y. Oct. 28, 2011) (citing Toussie v.
County of Suffolk, 806 F. Supp. 2d 558, 578-79 (E.D.N.Y. 2011); Local 342, Long Island Pub.
Serv. Emps. v. Town Bd. of Huntington, 31 F.3d 1191, 1194 (2d Cir. 1994); and Harlen Assocs.
v. Inc. Vill. of Mineola, 273 F.3d 494, 503 (2d Cir. 2001)); see also Zahra v. Town of Southold,
48 F.3d 674, 680 (2d Cir. 1995) (citing Brady v. Town of Colchester, 863 F.2d 205, 211-12)
(requiring a plaintiff to first allege a property interest). Liberally construed, the Amended
Complaint seeks to allege a claim for deprivation of a property interest without due process
based on the denial of Plaintiff’s membership application to the RGC.
“Property interests are ‘created and their dimensions are defined by existing rules or
understandings that stem from an independent source such as state law-rules or understandings
that secure certain benefits and that support claims of entitlement to those benefits.’” Safepath
Sys. LLC v. New York City Dep’t of Educ., 563 F. App’x 851, 854 (2d Cir. 2014) (quoting Bd. of
Regents of State Colleges v. Roth, 408 U.S. 564, 577 (1972)). “Such an interest cannot be
8
created out of ‘an abstract need or desire for it,’ nor from a ‘unilateral expectation of it’; rather, a
plaintiff must ‘have a legitimate claim of entitlement to it.’” Id. at 854-55. “[A] benefit is not a
protected entitlement if government officials may grant or deny it in their discretion.” Town of
Castle Rock, Colo. v. Gonzales, 545 U.S. 748, 756 (2005). See also Soundview Associates v.
Town of Riverhead, 893 F. Supp. 2d 416, 431 (E.D.N.Y. 2012) (citing RRI Realty Corp. v.
Incorp. Vill. of Southampton, 870 F.2d 911, 917 (2d Cir. 1989)) (In the land use context, finding
an entitlement to a benefit “only when the discretion of the issuing agency is so narrowly
circumscribed as to virtually assure conferral of the benefit.”) (internal quotation marks omitted).
Here, Plaintiff alleges that “should [one] prove residency [in Rye] . . . and pay the
membership fee . . . the [RGC has the] obligation . . . to admit all [such applicants].” (AC ¶ 29.)
In other words, Plaintiff argues that admission to the RGC is mandatory. Nestled within this
allegation, which the Court treats as true for purposes of this motion, Plaintiff implicitly admits
that the RGC’s application process is, at least in part, discretionary.
As Plaintiff correctly notes, in order to gain admission to the RGC, members must “prove
residency” in the City of Rye. (AC ¶ 29; Pl.’s Opp., Ex. O.) 7 The 2013 Resident Application
specifically states:
Residency Requirements
Residency is defined as residing (legal domicile) solely within the physical
boundaries of the City of Rye. Ownership of real property within the City or a
7
Although the Court has not considered any of Plaintiff’s exhibits attached to his opposition papers in
connection with the instant motion, the Court may take judicial notice of Plaintiff’s May 3, 2013 Resident
Application for the RGC as a document relied upon by Plaintiff in drafting the Amended Complaint. “Where a
plaintiff has actual notice of the information contained in extraneous materials and has relied on the documents in
drafting the complaint, a court may consider the document on a motion to dismiss.” Fink v. Time Warner Cable,
No. 08 Cv. 9628 (LTS), 2009 WL 2207920, at *2 (S.D.N.Y. July 23, 2009) (citing Chambers v. Time Warner, Inc.,
282 F.3d 147, 153 (2d Cir. 2002)). Although the copy of Plaintiff’s 2013 application attached to his motion papers
appears to have been received from a FOIL request submitted after the filing of the Amended Complaint, it is
without question that Plaintiff was aware of and relied on the information contained therein in drafting the Amended
Complaint. (See AC ¶ 22 (“Lamont pointed out to Wilson that the application submitted on May 3, 2013 consisted
of a Pool for Two Membership.”))
9
mailing address may not constitute residency. (emphasis added.)
(2) Required Documents: current Con Edison bill, cable or satellite TV bill and
driver’s license ONLY. Additional documents or verification must be presented if
required by management. Documents must show applicants[sic] name and
current address. (first emphasis in original; second emphasis added.)
The burden of establishing proof of residency to the satisfaction of Club
Management shall be upon the applicant. (emphasis added.)
Id. The residency requirements make clear that RGC management determines whether an
applicant has provided satisfactory proof of residency. (Id.) (“The burden of establishing proof
of residency to the satisfaction of Club Management shall be upon the applicant.”) (emphasis
added.) Even if an applicant submits the required documents proving residency, RGC
management may require the provision of additional documents. In short, RGC management has
the discretion to determine whether the documents provided by an applicant are sufficient to
prove residency in the City of Rye, and may deny an application on that basis.
As the RGC has discretion to accept or reject a portion of the membership application,
Plaintiff has not alleged the existence of a protected property interest. Without such an interest,
Plaintiff’s due process claim fails.
C.
Monell Liability
“Government officials may not be held liable for the unconstitutional conduct of their
subordinates under a theory of respondeat superior.” Ashcroft v. Iqbal, 556 U.S. 662, 676
(2009). It has long been established that a municipality cannot be held vicariously liable under §
1983 unless the “execution of the government’s policy or custom . . . inflicts the injury.” Monell
v. Dep’t of Social Servs. of the City of N.Y., 436 U.S. 658, 694 (1978). Thus, Monell dictates that
any § 1983 claim against a municipal entity must be premised on the theory that the municipal
actor’s allegedly unconstitutional “acts were performed pursuant to a municipal policy or
custom.” Patterson v. Cnty. of Oneida, 375 F.3d 206, 226 (2d Cir. 2004); see generally Monell,
436 U.S. at 692-94.
10
Courts in this Circuit apply a two prong test for § 1983 claims brought against a
municipal entity. Vippolis v. Vill. of Haverstraw, 768 F.2d 40, 44 (2d Cir. 1985) (internal
citation omitted). First, the plaintiff must “prove the existence of a municipal policy or custom
in order to show that the municipality took some action that caused his injuries beyond merely
employing the misbehaving officer.” Id. (internal citation omitted). Second, the plaintiff must
establish a “‘direct causal link between a municipal policy or custom and the alleged
constitutional deprivation.’” Hayes v. Cnty. of Sullivan, 853 F. Supp. 2d 400, 439 (S.D.N.Y.
2012) (quoting City of Canton v. Harris, 489 U.S. 378, 385 (1989)).
To satisfy the first requirement, a plaintiff must allege the existence of:
(1) a formal policy which is officially endorsed by the municipality; (2) actions
taken or decisions made by government officials responsible for establishing
municipal policies which caused the alleged violation of the plaintiff’s civil rights;
(3) a practice so persistent and widespread that it constitutes a custom or usage and
implies the constructive knowledge of policy-making officials; or (4) a failure by
official policy-makers to properly train or supervise subordinates to such an extent
that it amounts to deliberate indifference to the rights of those with whom municipal
employees will come into contact.
Moray v. City of Yonkers, 924 F. Supp. 8, 12 (S.D.N.Y. 1996) (internal citations and quotation
marks omitted); see also Brandon v. City of New York, 705 F. Supp. 2d 261, 276-77 (S.D.N.Y.
2010) (quoting Moray and updating citations to cases). A plaintiff is not required to identify an
express rule or regulation in order to establish a Monell claim, and a court may infer a municipal
policy from acts or omissions of the municipality’s policy makers, but in the absence of other
evidence, a “single incident of errant behavior is an insufficient basis for finding that a municipal
policy caused plaintiff’s injury.” Sarus v. Rotundo, 831 F.2d 397, 402-03 (2d Cir. 1987); see
also DeCarlo v. Fry, 141 F.3d 56, 61 (2d Cir. 1998) (“[A] single incident alleged in a complaint,
especially if it involved only actors below the policy-making level, does not suffice to show a
municipal policy.”) (quoting Ricciuti v. N.Y. City Transit Auth., 941 F.2d 119, 123 (2d Cir.
11
1991)) (internal quotation marks omitted); see also City of St. Louis v. Praprotnik, 485 U.S. 112,
123, 125 (1988) (plurality opinion) (explaining that only municipal officials with “final
policymaking authority” concerning particular activities giving rise to plaintiff’s claims “may by
their actions subject the government to § 1983 liability”) (internal citation omitted). “In the end,
therefore, a plaintiff must demonstrate that, through its deliberate conduct, the municipality was
the moving force behind the alleged injury.” Hayes, 853 F. Supp. 2d at 439 (quoting Roe v. City
of Waterbury, 542 F.3d 31, 37 (2d Cir. 2008)) (internal quotation marks omitted).
In the context of a motion to dismiss, “a plaintiff must make factual allegations that
support a plausible inference that the constitutional violation took place pursuant either to a
formal course of action officially promulgated by the municipality’s governing authority or the
act of a person with policymaking authority for the municipality.” Missel v. Cnty. of Monroe,
351 F. App’x 543, 545 (2d Cir. 2009). See also Twombly, 550 U.S. at 555.
Here, Plaintiff fails to offer even boilerplate allegations of the existence of a municipal
policy, practice, or custom. Rather, Plaintiff argues in his opposition to the instant motion that
“[l]iability results from what is known as the doctrine of respondeat superior.” (Pl.’s Opp. ¶ 32.)
Contrary to Plaintiff’s arguments, it is well-settled that municipalities may not be held liable
under § 1983 on a theory of respondeat superior. Patterson, 375 F.3d at 226. See also Cucuta v.
New York City, 25 F. Supp. 3d 400, 418 (S.D.N.Y. 2014). Accordingly, Plaintiff’s Monell claim
against the City of Rye is dismissed. 8
8
Having dismissed Plaintiff’s § 1983 claims, the Court need not reach the question of whether any of the
Defendants are entitled to qualified immunity.
12
II.
Civil RICO Claim
Plaintiff also asserts a RICO claim based on allegations of wire fraud, interference with
commerce, extortion, and racketeering. (AC ¶¶ 45-49.) In order to state a claim for relief under
RICO, “a plaintiff must show: (1) a violation of the RICO statute, 18 U.S.C. § 1962; (2) an
injury to business or property; and (3) that the injury was caused by the violation of Section
1962.” Spool v. World Child Int’l Adoption Agency, 520 F.3d 178, 183 (2d Cir. 2008) (internal
citations and quotation marks omitted). “Under any prong of § 1962, a plaintiff in a civil RICO
suit must establish a ‘pattern of racketeering activity’ . . . [,]must plead at least two predicate acts
. . . and must show that the predicate acts are related and that they amount to, or pose a threat of,
continuing criminal activity.” GICC Capital Corp. v. Tech. Fin. Grp., Inc., 67 F.3d 463, 465 (2d
Cir. 1995) (citing H.J. Inc. v. Northwestern Bell Tel. Co., 492 U.S. 229, 239 (1989)).
Plaintiff alleges the following predicate acts: wire fraud in violation of 18 U.S.C. § 1343;
interference with interstate commerce in violation of 18 U.S.C. § 1951; extortion in violation of
18 U.S.C. § 1951; and interstate and foreign travel or transportation in aid of racketeering
enterprises in violation of 18 U.S.C. § 1952. 9 (AC ¶¶ 45-49.) If adequately alleged, these would
qualify as predicate acts under RICO. See 18 U.S.C. § 1961(1)(B). Plaintiff has not, however,
sufficiently pleaded such allegations, and his claims will be dismissed.
A.
Wire Fraud
To adequately plead the predicate act of wire fraud, Plaintiff is required to allege: “(1) [a]
scheme to defraud, including proof of intent; (2) money or property as [an] object of [the]
scheme; [and] (3) use of [the] mails or wires to further the scheme.” City of New York v.
9
Plaintiff appears to add the predicate act of mail fraud in violation of 18 U.S.C. § 1341 in his opposition
to the instant motion. (See Pl.’s Opp. at 25.) As Plaintiff did not seek leave to amend the Amended Complaint, the
Court will not consider this additional predicate act as a basis for Plaintiff’s RICO claim.
13
Cyco.Net, Inc., 383 F. Supp. 2d 526, 552 (S.D.N.Y. 2005) (citing United States v. Autuori, 212
F.3d 105, 115 (2d Cir. 2000); United States v. Dinome, 86 F.3d 277, 283 (2d Cir. 1996)). Claims
of wire fraud are also subject to the heightened pleading standards of Federal Rule of Civil
Procedure 9(b). See First Capital Asset Mgmt., Inc. v. Satinwood, Inc., 385 F.3d 159, 178 (2d
Cir. 2004) (“all allegations of fraudulent predicate acts[] are subject to the heightened pleading
requirements of Federal Rule of Civil Procedure 9(b).”). “[A]llegations of predicate . . . wire
fraud acts should state the contents of the communications, who was involved, where and when
they took place, and explain why they were fraudulent.” Mills v. Polar Molecular Corp., 12 F.3d
1170, 1176 (2d Cir. 1993).
Plaintiff’s allegations of wire fraud consist of the following: (1) that Wilson
“manufactured her politically extortive theory of [Plaintiff’s] unpaid dues . . . by telephone in
violation of” § 1343, (AC ¶ 45); and (2) “[w]hen . . . Wilson caught wind of [Plaintiff’s]
application, [she] was emboldened, . . . continued her particular brand of witchcraft, . . . [and]
advis[ed] Buonaiuto to halt the processing of [Plaintiff’s] application, [and] she did so by either
telephone or electronic mail in violation of” § 1343. (Id. ¶ 46.)
Plaintiff’s allegations are insufficient to satisfy the requirements of Rule 9(b). Although
Plaintiff generally alleges who made the communications, their contents, and where and when
they occurred, Plaintiff offers only conclusory allegations as to how or why the statements were
fraudulent. Other than stating that Wilson “manufactured her politically extortive theory of
[Plaintiff’s] unpaid dues” and “continued her particular brand of witchcraft,” Plaintiff completely
fails to allege how or why the email and telephone communications were fraudulent. (See AC ¶¶
45-46.) Although Plaintiff asks Defendants where “the beef” 10 is in his opposition papers,
10
Plaintiff repeatedly asks for “the beef” in his opposition to the instant motion. Though the Court notes
that it is Plaintiff’s burden to set forth sufficient allegations with respect to Plaintiff’s wire fraud allegations, this
14
presumably as a request for Defendants to produce evidence of his unpaid dues, at this stage of
the proceedings it is Plaintiff’s burden to sufficiently allege why the statements made were
fraudulent. His failure to do so precludes these alleged acts from forming the basis of his RICO
claim. See Knoll v. Schectman, 275 F. App’x 50, 51 (2d Cir. 2008) (summary order) (dismissing
RICO claim where plaintiff alleged dates, locations, senders, and recipients of allegedly
fraudulent communications, but did not allege the reason such communications were fraudulent
in more than conclusory terms).
B.
Interference with Interstate Commerce and Extortion
Plaintiff’s next proposed predicate acts are based on interference with commerce and
extortion in violation of the Hobbs Act, 18 U.S.C. § 1951. The Hobbs Act proscribes the
following:
“Whoever in any way or degree obstructs, delays, or affects commerce 11 or the
movement of any article or commodity in commerce, by robbery or extortion or attempts
or conspires so to do, or commits or threatens physical violence to any person or property
in furtherance of a plan or purpose to do anything in violation of this section shall be
fined under this title or imprisoned . . . .”
18 U.S.C. § 1951(a) (emphasis added). Although Plaintiff asserts the predicate act of
“interference with commerce” pursuant to § 1951, a violation of the Hobbs Act requires that such
interference occur “by robbery or extortion or attempts or conspir[acies] so to do.” Id. As
Plaintiff’s allegations underlying these two purportedly separate predicate acts are identical, the
Court concludes that Plaintiff seeks to allege the single predicate act of extortion pursuant to §
1951.
burden applies to each and every one of Plaintiff’s claims. Defendants are not required to provide evidence in
support of their motion at this stage of the proceedings.
11
Commerce is defined in 18 U.S.C. § 1951(b)(3) as “commerce within the District of Columbia, or any
Territory or Possession of the United States; all commerce between any point in a State, Territory, Possession, or the
District of Columbia and any point outside thereof; all commerce between points within the same State through any
place outside such State; and all other commerce over which the United States has jurisdiction” – otherwise known
as “interstate commerce.”
15
Extortion is defined in the Hobbs Act as “the obtaining of property from another, with his
consent, induced by wrongful use of actual or threatened force, violence, or fear, or under color
of official right.” 18 U.S.C. § 1951(b)(2). “[T]he element of fear may be satisfied by a showing
that the victim was placed in fear of economic harm.” Calabrese v. CSC Holdings, Inc., 283 F.
Supp. 2d 797, 809 (E.D.N.Y. 2003) (citing United States v. Capo, 817 F.2d 947, 951 (2d Cir.
1987)). “The victim must have reasonably believed: ‘first, that the defendant had the power to
harm the victim, and second, that the defendant would exploit that power to the victim’s
detriment.’” Id. Further, Plaintiff must allege some interference with interstate commerce. “If
the defendants’ conduct produces any interference with or effect upon interstate commerce,
whether slight, subtle or even potential, it is sufficient to uphold a prosecution under the Hobbs
Act.” Jund v. Town of Hempstead, 941 F.2d 1271, 1285 (2d Cir. 1991) (internal citations
omitted).
Here, Plaintiff fails to allege that Defendants obtained any property from him, with or
without his consent, or that Defendants induced Plaintiff to provide that property by wrongful
use of force or threats of force, violence, fear, or under color of official right. Plaintiff merely
alleges in conclusory fashion that Defendants failed to activate his fully paid membership and
extorted him by “forcing him to pay members[sic] dues for 2013 (no evidence) and member dues
for 2014.” (Pl.’s Opp. ¶ 83.) Even if Plaintiff had sufficiently alleged the taking of his property
by force or otherwise, or had intended to proceed on his “interference with commerce” predicate
act by some other means – for example, robbery rather than extortion – Plaintiff has not alleged
any interference with interstate commerce. The Amended Complaint is devoid of allegations of
“slight, subtle or even potential” interference with or effect upon interstate commerce. Jund, 941
16
F.2d at 1285. Like his wire fraud claim, Plaintiff’s failure to sufficiently allege the elements of
this predicate act precludes it from forming the basis of his RICO claim.
C.
Interstate Travel or Transportation in Aid of Racketeering Enterprise
Plaintiff’s final proposed predicate act is based on alleged violations of the Travel Act, 18
U.S.C. § 1952. The Travel Act is violated when: (1) an individual travels in interstate or foreign
commerce, or uses the mails; (2) with the intent to commit one of the crimes enumerated in the
statute; 12 and (3) then performs an additional act in furtherance of the unlawful activity. 18
U.S.C. § 1952(a).
Here, Plaintiff once again alleges that Defendants failed to activate his fully paid
membership, this time in violation of § 1952. (AC ¶ 49.) Notwithstanding the fact that RICO
requires each predicate act to have its own independent source of conduct, see Reich v. Lopez, 38
F. Supp. 3d 436, 446 (S.D.N.Y. 2014) reconsideration denied, No. 13 Cv. 5307 (JPO), 2015 WL
1632332 (S.D.N.Y. Apr. 13, 2015), Plaintiff’s allegations do not allege a Travel Act violation.
Plaintiff has not alleged any travel in interstate commerce, nor has he alleged an intent on the
part of the Defendants to commit any of the underlying crimes identified in the statute.
Plaintiff’s failure is not surprising in light of his inability to sufficiently allege the predicate acts
of wire fraud and extortion, as discussed above. See FindTheBest.com, Inc. v. Lumen View Tech.
LLC, 20 F. Supp. 3d 451, 460 (S.D.N.Y. 2014) (dismissing Travel Act claim because factual
underpinnings mirrored proposed predicate acts of wire fraud and extortion that were already
dismissed).
12
The underlying crimes include the intent to:
(1) distribute the proceeds of any unlawful activity; or
(2) commit any crime of violence to further any unlawful activity; or
(3) otherwise promote, manage, establish, carry on, or facilitate the promotion, management,
establishment, or carrying on, of any unlawful activity. See 18 U.S.C. § 1952.
17
Accordingly, Plaintiffs RICO claim is dismissed for failure to allege a required predicate
act.
CONCLUSION
For the foregoing reasons, Defendants' motion to dismiss is GRANTED. The Court
respectfully directs the Clerk to remove the Committee for Election Equality and Plaintiffs
minor son from the caption, terminate the motion at ECF No. 50, enter judgment in favor of
Defendants, and close this case.
-#'--
Dated:
August~' 2015
SO ORDERED:
White Plains, New York
18
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