GAREY, et al v. JAMES S. FARRIN, P.C. et al
Filing
93
MEMORANDUM OPINION AND ORDER denying 60 , 62 , and 79 Motions to Dismiss for Failure to State a Claim and Motion to Dismiss for Lack of Jurisdiction filed by SEAN A. COLE, CRUMLEY ROBERTS, LLP, JAMES S. FARRIN, CHARLES HARDEE, G. WAYNE HARDEE, HARDEE & HARDEE, LLP, JAMES S. FARRIN, P.C., LISA LANIER, LANIER LAW GROUP, P.A., DONALD W. MARCARI, MARCARI, RUSSOTTO, SPENCER & BALABAN, P.C., JARED PIERCE, RIDDLE & BRANTLEY, L.L.P, CHRIS ROBERTS, R. BRADLEY VAN LANINGHAM, VAN LANINGHAM & ASSOCIA TES, PLLC, WALLACE PIERCE, PLLC; BENJAMIN T. COCHRAN, TED A. GREVE, HARDISON & COCHRAN, PLLC, TED A. GREVE & ASSOCIATES, P.A.; and MICHAEL A. DEMAYO, LAW OFFICES OF MICHAEL A. DEMAYO, L.L.P. Signed by JUDGE LORETTA C. BIGGS on 9/29/2017. (Solomon, Dianne)
IN THE UNITED STATES DISTRICT COURT
FOR THE MIDDLE DISTRICT OF NORTH CAROLINA
JAMES WEAVER GAREY, WILLIAM PARKER
GAREY, AARON KENT CRUTHIS, AMANDA
DAVIS REILLY, ADILAH HANEEFAH-KHADI
MCNEIL, CHARLOTTE MOFFAT CLEVENGER,
ANDREW CHRISTOPHER CLEVENGER, and
JUSTIN BRENT BLAKESLEE on behalf of
themselves and others similarly situated,
Plaintiffs,
v.
JAMES S. FARRIN, P.C. d/b/a LAW OFFICES OF
JAMES SCOTT FARRIN; JAMES S. FARRIN;
MARCARI, RUSSOTTO, SPENCER & BALABAN,
P.C.; DONALD W. MARCARI; RIDDLE &
BRANTLEY, L.L.P.; SEAN A. COLE; WALLACE
PIERCE LAW, PLLC; JARED PIERCE; VAN
LANINGHAM & ASSOCIATES, PLLC d/b/a
BRADLEY LAW GROUP; R. BRADLEY VAN
LANINGHAM; LANIER LAW GROUP, P.A.; LISA
LANIER; CRUMLEY ROBERTS, LLP; CHRIS
ROBERTS; HARDISON & COCHRAN, PLLC;
BENJAMIN T. COCHRAN; TED A. GREVE &
ASSOCIATES, P.A.; TED A. GREVE; LAW
OFFICES OF MICHAEL A. DEMAYO, L.L.P.;
MICHAEL A. DEMAYO; HARDEE & HARDEE,
LLP; CHARLES HARDEE and G. WAYNE
HARDEE;
Defendants.
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1:16CV542
MEMORANDUM OPINION AND ORDER
LORETTA C. BIGGS, District Judge.
Plaintiffs initiated this action alleging that the above-named Defendants violated the
Driver’s Privacy Protection Act (“DPPA”), 18 U.S.C. § 2721, et seq. (ECF Nos. 1, 32.) Before
the Court are the following three motions to dismiss filed by Defendants: (1) Motion to
Dismiss First Amended Complaint, filed by Defendants James S. Farrin, P.C. d/b/a Law
Offices of James Scott Farrin, James S. Farrin, Marcari, Russotto, Spencer & Balaban, P.C.,
Donald W. Marcari, Riddle & Brantley, L.L.P., Sean A. Cole, Wallace Pierce Law, PLLC, Jared
Pierce, Van Laningham & Associates, PLLC d/b/a Bradley Law Group, R. Bradley Van
Laningham, Lanier Law Group, P.A., Lisa Lanier, Crumley, Roberts, LLP, Chris Roberts,
Hardee & Hardee, LLP, Charles Hardee, and G. Wayne Hardee, (collectively, “the Farrin
Defendants”); (2) Motion to Dismiss, filed by Hardison & Cochran, PLLC, Benjamin T.
Cochran, Ted A. Greve, and Ted A. Greve & Associates, P.A., (collectively, “the Hardison &
Cochran Defendants”); and (3) Motion to Dismiss, filed by Michael A. DeMayo and Law
Offices of Michael A. DeMayo, LLP, (collectively, “the DeMayo Defendants”). (ECF Nos.
60, 62, 79.) For the reasons set forth below, each motion will be denied.
I.
BACKGROUND
Based on the allegations in Plaintiffs’ First Amended Complaint (the “Complaint”), 1
each Plaintiff is a driver (“Plaintiff-Driver”) or owner (“Plaintiff-Owner”) of a vehicle that was
involved in a motor vehicle accident. (ECF No. 32 ¶¶ 49–54, 56–57.) A law enforcement
officer was sent to the scene of each accident to conduct an investigation. (Id. ¶ 58.) While at
each accident scene, the investigating officer “asked each Plaintiff-Driver for his or her driver’s
license, and said Plaintiff-Driver presented his or her license.” (Id. ¶ 59.) Each investigating
officer “obtained [each] Plaintiff-Driver’s name, address, date of birth and driver’s license
number.” (Id. ¶ 60.) Plaintiffs allege that this information “came from a department of motor
vehicles, either from [a] driver’s license or from the database of drivers’ license data maintained
1
Plaintiffs filed a First Amended Complaint on August 22, 2016. (ECF No. 32.)
2
by the [North Carolina Division of Motor Vehicles (‘NCDMV’)].” 2 (Id.) With the information
provided, the officer at each scene prepared an accident report, known as a DMV-349. (Id.)
Each officer also verified with each Plaintiff-Driver that the information reflected on the
Plaintiff-Driver’s license was correct. (Id. ¶ 61.) Each officer then “checked a box on the
DMV-349 to indicate that the actual address of the Plaintiff-Driver involved in the accident
matched the address on his or her driver’s license.” (Id.)
Two of the accidents involved drivers who were not the registered owners of the
vehicles involved in each crash. 3 (Id. ¶¶ 56–57.) At each of these accident scenes, the officer
documented, on the DMV-349, the vehicle registration information of each vehicle’s PlaintiffOwner. (Id. ¶ 62.) This information included the name, address, license plate year and number
of the vehicle’s Plaintiff-Owner. (Id.) The officer obtained this information from the
“NCDMV, either from the registration card for the involved vehicle or from the database of
motor vehicle registration data maintained by the NCDMV.” (Id.) The completed DMV-349
forms for each accident were filed with each officer’s police department, “which filed said
DMV-349 with the NCDMV.” (Id. ¶ 63.)
Defendants are North Carolina attorneys and law firms that, within a few days of each
accident involving Plaintiffs, obtained a copy of each accident report. (Id. ¶¶ 64–69.) Each
Defendant allegedly “obtained the DMV-349s . . . for the purpose of marketing that
One Plaintiff-Driver, Amanda Davis Reilly, provided a driver’s license issued by the South Carolina
Department of Motor Vehicles. (See ECF No. 32 ¶ 38.)
2
Plaintiff-Owner, James Weaver Garey, was the registered owner of the vehicle operated by PlaintiffDriver, William Parker Garey, at the time of the accident, and Plaintiff-Owner, Andrew Christopher
Clevenger, was the registered owner of the vehicle operated by Plaintiff-Driver, Charlotte Moffat
Clevenger, at the time of the accident. (Id. ¶¶ 56–57.)
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Defendant’s legal services.” (Id. ¶ 70.) Using information from the DMV-349 forms,
including Plaintiffs’ names and addresses, Defendants addressed and mailed “marketing
materials” to each Plaintiff’s address. (Id. ¶¶ 73–78.)
The instant lawsuit arises from Plaintiffs’ allegations that Defendants’ conduct violates
the DPPA. Defendants have each moved to dismiss the Complaint for lack of subject-matter
jurisdiction and failure to state a claim, pursuant to Rules 12(b)(1) and 12(b)(6) of the Federal
Rules of Civil Procedure. (ECF Nos. 60, 62, 79.) 4
II.
STANDARDS OF REVIEW
A. Rule 12(b)(1)
Under Rule 12(b)(1), a party may seek dismissal based on the court’s “lack of subject-
matter jurisdiction.” Fed. R. Civ. P. 12(b)(1). Subject-matter jurisdiction is a threshold issue
that relates to the court’s power to hear a case and must be decided before a determination on
the merits of the case. Constantine v. Rectors & Visitors of George Mason Univ., 411 F.3d 474, 479–
80 (4th Cir. 2005). A motion under Rule 12(b)(1) raises the question of “whether [the plaintiff]
has a right to be in the district court at all and whether the court has the power to hear and
dispose of [the] claim.” Holloway v. Pagan River Dockside Seafood, Inc., 669 F.3d 448, 452 (4th Cir.
On September 28, 2016, the North Carolina Press Association, Inc. (the “NCPA”) and North
Carolina Association of Broadcasters, Inc. (the “NCAB”) filed a Motion for Leave to File Amicus
Curiae Brief in this matter. (ECF Nos. 58, 59.) The Court granted the motion, (see ECF No. 81), and
has considered the NCPA and NCAB’s brief in support of Defendants’ motions to dismiss. In sum,
the brief “urge[s] this Court to decline Plaintiffs’ invitation to rewrite [the DPPA and state law] to
create confidentiality in accident reports.” (ECF No. at 9.) The issues raised and arguments presented
in the amicus curiae brief, however, are not particularly helpful to the Court at this juncture, given that
they do not squarely address the questions presently before the Court: namely, whether Plaintiffs have
standing to sue and whether Plaintiffs’ Complaint adequately states a claim upon which relief can be
granted.
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2012). The burden of proving subject matter jurisdiction rests with the plaintiff. McNutt v.
Gen. Motors Acceptance Corp. of Ind., 298 U.S. 178, 189 (1936); Adams v. Bain, 697 F.2d 1213,
1219 (4th Cir. 1982). When evaluating a Rule 12(b)(1) motion to dismiss, a court should grant
the motion “only if the material jurisdictional facts are not in dispute and the moving party is
entitled to prevail as a matter of law.” Richmond, Fredericksburg & Potomac R.R. Co. v. United
States, 945 F.2d 765, 768 (4th Cir. 1991). On a motion to dismiss for lack of standing, a court
must construe the complaint in the plaintiff’s favor, accepting as true the factual allegations in
the complaint. Warth v. Seldin, 422 U.S. 490, 501 (1975); see also Kerns, 585 F.3d at 192.
B. Rule 12(b)(6)
A motion to dismiss under Rule 12(b)(6) of the Federal Rules of Civil Procedure
“challenges the legal sufficiency of a complaint,” including whether it meets the pleading
standard of Rule 8(a)(2). Francis v. Giacomelli, 588 F.3d 186, 192 (4th Cir. 2009). Rule 8(a)(2)
requires a complaint to contain “a short and plain statement of the claim showing that the
pleader is entitled to relief,” Fed. R. Civ. P. 8(a)(2), thereby “giv[ing] the defendant fair notice
of what the . . . claim is and the grounds upon which it rests.” Bell Atl. Corp. v. Twombly, 550
U.S. 544, 555 (2007) (quoting Conley v. Gibson, 355 U.S. 41, 47 (1957)).
“To survive a motion to dismiss, a complaint must contain sufficient factual matter,
accepted as true, to ‘state a claim to relief that is plausible on its face.’” Ashcroft v. Iqbal, 556
U.S. 662, 678 (2009) (quoting Twombly, 550 U.S. at 570). A complaint may fail to state a claim
upon which relief can be granted in two ways: first, by failing to state a valid legal cause of
action, i.e., a cognizable claim, see Holloway, 669 F.3d at 452; or second, by failing to allege
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sufficient facts to support a legal cause of action, see Painter’s Mill Grille, LLC v. Brown, 716 F.3d
342, 350 (4th Cir. 2013).
While a court’s evaluation of a Rule 12(b)(6) motion to dismiss is “generally limited to
a review of the allegations of the complaint itself,” a court can properly consider documents
“attached to the complaint as exhibits.” Goines v. Valley Cmty. Servs. Bd., 822 F.3d 159, 165–66
(4th Cir. 2016). A court may also consider a “document submitted by the movant that was
not attached to or expressly incorporated in a complaint, so long as the document was integral
to the complaint and there is no dispute about the document’s authenticity.” Id. at 166. Here,
no party has challenged the authenticity of the various documents attached to Defendants’
motions to dismiss. Therefore, in addition to considering the documents attached to Plaintiffs’
Complaint, the Court will also consider the exhibits attached to the instant motions to dismiss.
III.
DISCUSSION
A.
Article III Standing
The Farrin Defendants, the Hardison & Cochran Defendants, and the DeMayo
Defendants move to dismiss the Complaint on a number of grounds, including that Plaintiffs
lack Article III standing to assert a claim under the DPPA. (See ECF Nos. 60, 62, 79.) Because
standing is a threshold issue, the Court will, first, address this basis for dismissal. See Warth,
422 U.S. at 517–18 (stating that standing is a “threshold determinant[ ] of the propriety of
judicial intervention”).
Under Article III of the United States Constitution, the jurisdiction of a federal court
is limited to cases and controversies. U.S. Const. art. III, § 2. Standing to sue, therefore,
“ensure[s] that federal courts do not exceed their authority.” Spokeo, Inc. v. Robins, 136 S. Ct.
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1540, 1547 (2016). To establish constitutional standing at the motion to dismiss stage,
Plaintiffs must plausibly allege that they have: “(1) suffered an injury in fact, (2) that is fairly
traceable to the challenged conduct of the defendant, and (3) that is likely to be redressed by
a favorable judicial decision.” Id. Plaintiffs bear the burden of establishing these elements.
Lujan v. Defs. of Wildlife, 504 U.S. 555, 561 (1992). “Where, as here, a case is at the pleading
stage, [Plaintiffs] must ‘clearly . . . allege facts demonstrating’ each element.” Spokeo, 136 S.
Ct. at 1547 (quoting Warth, 422 U.S. at 518).
Relying in large measure on the Supreme Court’s decision in Spokeo, Inc. v. Robins,
Defendants 5 argue that Plaintiffs lack Article III standing because “their allegations are
divorced from any concrete harm,” (ECF No. 61 at 9 (internal quotation marks omitted)), and
they have failed to allege actual injury or damages, (see ECF No. 63 at 9–11). Plaintiffs argue,
in response, that they have Article III standing because they have alleged a concrete injury
sufficient to meet the injury-in-fact requirement. (See ECF No. 67 at 8–17.) Specifically,
Plaintiffs contend that the privacy rights addressed by the DPPA “bear a strong resemblance
to harms cognizable at common law.” (ECF No. 67 at 8.) Plaintiffs further argue that they
“have alleged the precise types of harm encompassed by the DPPA,” as well as “substantial,
as opposed to merely technical, violations of the DPPA.” (Id.)
In Spokeo, the Supreme Court reiterated that to establish the first element of standing—
injury in fact—“a plaintiff must show that he or she suffered ‘an invasion of a legally protected
On November 29, 2016, the DeMayo Defendants filed a Notice of Adoption of Brief Previously
Filed in this Matter which notified the Court that in “lieu of drafting and filing a separate brief in
support of their Motion to Dismiss, [the DeMayo Defendants] adopt[ed] and rel[ied] upon” the brief
filed by the Hardison & Cochran Defendants in this matter. (ECF No. 80.)
5
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interest’ that is ‘concrete and particularized’ and ‘actual or imminent, not conjectural or
hypothetical.’” Id. at 1548 (quoting Lujan, 504 U.S. at 560). As to concreteness, the Court
clarified that “[a] concrete injury must be de facto; that is, it must actually exist,” and it must be
“real, and not abstract.” Id. (internal quotation marks omitted). As further explained by the
Court, however, “‘[c]oncrete’ is not . . . necessarily synonymous with ‘tangible,’” for intangible
injuries can also be concrete. Id. at 1549. Thus, to determine “whether an intangible harm
constitutes injury in fact,” a court should consider the following: (i) the judgment of Congress
which “is well positioned to identify intangible harms that meet minimum Article III
requirements”; and (ii) whether the alleged intangible harm bears a close relationship to “harm
that has traditionally been regarded as providing a basis for a lawsuit in English or American
courts.” Id.
Congress, in its judgment, may elevate “de facto injuries that were previously inadequate
in law” to the status of legally cognizable, concrete injuries. Lujan, 504 U.S. at 578. The
Supreme Court has cautioned, however, that this “does not mean that a plaintiff automatically
satisfies the injury-in-fact requirement whenever a statute grants a person a statutory right and
purports to authorize that person to sue to vindicate that right.” Spokeo, 136 S. Ct. at 1549. In
elaborating on the connection between standing and a concrete injury, the Court explained
that “Article III standing requires a concrete injury even in the context of a statutory
violation.” Id. Thus, a plaintiff cannot “allege a bare procedural violation, divorced from any
concrete harm, and satisfy the injury-in-fact requirement of Article III.” Id. Nonetheless, “the
violation of a procedural right granted by statute can be sufficient in some circumstances to
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constitute injury in fact” such that “a plaintiff . . . need not allege any additional harm beyond
the one Congress has identified.” Id.
In this case, Plaintiffs have alleged the following concrete harms stemming from
Defendants’ alleged conduct: (i) that Defendants disclosed their protected personal motor
vehicle information, “at a minimum, to employees of the postal or delivery service that
delivered each mailing, as well as to Defendants’ office staff or contractors who participate in
addressing and sending the mailings,” (ECF No. 32 ¶ 126); (ii) that each Plaintiff-Driver
“sustained actual damages in having to retrieve the mailings addressed to them from a delivery person, from
his or her entryway or mail receptacle or by having his or her privacy invaded by disclosure of his or her
name or address in connection with a potential need for legal services,” (id. ¶ 127 (emphasis
added)); and (iii) that “each Plaintiff-Owner sustained actual damages by having his or her
privacy invaded by Defendants’ obtaining his or her name and address in violation of law and
in having his or her information obtained, disclosed and used for marketing purposes without his or her consent,”
(id. ¶ 128 (emphasis added)). The Court finds that these allegations plausibly allege the
existence of concrete injuries sufficient to meet Article III’s injury-in-fact requirement.
Plaintiffs argue that the privacy interests protected under the DPPA “bear a strong
resemblance to harms cognizable at common law.” (ECF No. 67 at 8.) North Carolina, like
most states, recognizes invasion of privacy as a common-law cause of action. See Flake v.
Greensboro News Co., 195 S.E. 55, 63, 64 (N.C. 1938) (finding that there is a state-law cause of
action for invasion of the right to privacy); see also Renwick v. News and Observer Publ’g. Co., 312
S.E. 2d 405, 411 (N.C. 1984) (stating that “[t]he tort of invasion of privacy is . . . recognized,
in one or more of its forms, in a majority of jurisdictions”). See generally Potocnik v. Carlson, No.
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13-CV-2093 (PJS/HB), 2016 WL 3919950, at *2 (D. Minn. July 15, 2016) (explaining that “the
viewing of private information without lawful authority[,] has a close relationship to invasion
of the right to privacy, a harm that has long provided a basis for tort actions in the English
and American courts”). Invasion of privacy has long provided a basis of recovery under four
distinct torts: intrusion upon seclusion, public disclosure of private facts, publication of facts
that portray a plaintiff in a false light, and appropriation of a plaintiff’s name or likeness.
William L. Prosser, Privacy, 48 Cal. L. Rev. 383, 389 (1960). While these torts are distinct,
“each involves interference with the interest of the individual in leading, to some reasonable
extent, a secluded and private life, free from the prying eyes, ears and publications of others.”
Restatement (Second) of Torts § 652A cmt. b (Am. Law Inst. 1977).
Plaintiffs’ alleged harms are closely related to the invasion of privacy, which has long
provided a basis for recovery at common law. Plaintiffs allege that Defendants “obtained,
disclosed, and used” Plaintiffs’ personal information “for marketing purposes without . . .
consent.” (ECF No. 32 ¶ 128.) This allegation bears a close relationship to the interest
protected by the invasion of privacy torts, namely, leading a secluded and private life. Plaintiffs
may not be able to state a claim under one of the four invasion of privacy torts on the basis
of their alleged harms, however, the concreteness inquiry only asks whether an alleged harm
is closely related to a cognizable harm, Potocnik, 2016 WL 3919950, at *3 (concluding that in
Spokeo, “the Court made clear that an injury that would not give rise to recovery in a tort action
could nevertheless be sufficiently concrete to give a plaintiff standing to seek recovery in a
statutory action”). Accordingly, the Court concludes that Plaintiffs’ allegation that Defendants
disclosed Plaintiffs’ personal information without consent sets forth a concrete injury.
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Despite Defendants’ contention that Plaintiffs’ alleged intangible harms are not “the
kind of injur[ies] that Congress sought to prevent in enacting the DPPA,” (ECF No. 61 at 10),
the Supreme Court has recognized that, in enacting the DPPA, Congress chose to protect “an
individual’s right to privacy in his or her motor vehicle records,” Maracich v. Spears, 133 S. Ct.
2191, 2200 (2013). The DPPA was enacted by Congress in 1994 to address two specific
concerns: (i) “a growing threat from stalkers and criminals who could acquire personal
information from state DMVs”; and (ii) “the States’ common practice of selling personal
information to businesses engaged in direct marketing and solicitation.” Id. at 2198. As
reflected in the DPPA’s legislative history, Congress sought to “give[ ] drivers the ability to
restrict release of personal information for reasons that are . . . incompatible [with] the reasons
it was collected. In doing so, it strikes a critical balance between an individual’s fundamental
right to privacy and safety and the legitimate governmental and business needs for this
information.” 140 Cong. Rec. H2522 (daily ed. Apr. 20, 1994) (statement of Rep. Moran).
The statute, therefore, “regulates the disclosure of personal information contained in the
records of state motor vehicle departments.” Maracich, 133 S. Ct. at 2195. In addition to its
prohibition on the disclosure of personal information, the DPPA also prohibits “obtaining or
using personal information from a motor vehicle record.” Pavone v. Law Offices of Anthony
Mancini, Ltd., 205 F. Supp. 3d 961, 967 (N.D. Ill. 2016); see 18 U.S.C. §§ 2722(a), 2724(a).
Specifically, the DPPA makes it “unlawful for any person knowingly to obtain or disclose
personal information, from a motor vehicle record,” for any use other than the fourteen
“[p]ermissible uses” enumerated in 18 U.S.C. § 2721(b)(1)–(14). 18 U.S.C. § 2722(a). Under
the DPPA, “[a] person who knowingly obtains, discloses, or uses personal information, from
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a motor vehicle record, for a purpose not permitted under this chapter shall be liable.” Id. §
2724(a).
Defendants cite two cases as persuasive authority in support of their argument that
Plaintiffs have failed to assert a concrete injury and therefore lack standing. The first of these
cases, Braitberg v. Charter Communications, Inc., 836 F.3d 925 (8th Cir. 2016), involved a suit
brought by a plaintiff against a cable company for allegedly retaining his personal information
in violation of the Cable Communications Policy Act, 47 U.S.C. § 551(e). Braitberg, 836 F.3d
at 926. There, the court concluded that the plaintiff lacked Article III standing because he
failed to allege an injury in fact. Id. at 930. The court reasoned that, among other things, the
plaintiff did not allege that the defendant “disclosed the information to a third party,” or that
the defendant “used the information in any way during the disputed period.” Id. The court
further held that “the retention of information lawfully obtained, without further disclosure,
traditionally has not provided the basis for a lawsuit in American courts.” Id. This case is
distinguishable from the present case because, in addition to specifically alleging that
defendants obtained, disclosed, and used the information for marketing and solicitation of
their legal services, (see ECF No. 32 ¶¶ 126–28), which are impermissible uses under the
DPPA. Plaintiffs have also alleged that this conduct resulted in cognizable injuries: namely
that, (i) Defendants disclosed their protected personal motor vehicle information, “at a
minimum, to employees of the postal or delivery service that delivered each mailing, as well as
to Defendants’ office staff or contractors who participate in addressing and sending the
mailings,” (Id. ¶ 126); (ii) each Plaintiff-Driver “sustained actual damages in having to retrieve
the mailings addressed to them from a delivery person, from his or her entryway or mail
12
receptacle or by having his or her privacy invaded by disclosure of his or her name or address
in connection with a potential need for legal services,” (id. ¶ 127); and (iii) “each PlaintiffOwner sustained actual damages by having his or her privacy invaded by Defendants’
obtaining his or her name and address in violation of law and in having his or her information
obtained, disclosed and used for marketing purposes without his or her consent,” (id. ¶ 128).
In the second case cited by Defendants, Smith v. Ohio State University, 191 F. Supp. 3d
750 (S.D. Ohio 2016), the plaintiffs filed a lawsuit against their employer alleging violations of
the Fair Credit Reporting Act (“FCRA”), 15 U.S.C. § 1681 et seq. Smith, 191 F. Supp. 3d at
753. The plaintiffs in that case alleged that, during the hiring process, the defendant sought
their consent to access their credit reports in order to conduct a background investigation
prior to hiring. Id. Plaintiffs alleged that “they were injured by having their privacy and
statutory rights [under the FCRA] violated.” Id. There, the court concluded that it “cannot
find that Plaintiffs have suffered an injury-in-fact from [defendant’s] alleged breach of the
FCRA” because “Plaintiffs admitted that they did not suffer . . . a concrete [injury] as a result
of [defendant’s] alleged breach.” Id. at 757 (emphasis added). Plaintiffs here make no such
admission. Instead, as previously noted, Plaintiffs have specifically set forth allegations of
concrete harm. The Court, therefore, finds this case similarly unpersuasive.
Defendants also argue that Plaintiffs lack standing because their allegations of harm
constitute mere procedural violations, divorced from any concrete injuries.
However,
Plaintiffs’ above allegations encompass more than just procedural violations of the statute.
Rather, Plaintiffs allege that Defendants engaged in the substantive conduct that the DPPA
seeks to prohibit—obtaining, disclosing, and using personal information for a purpose other
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than that outlined in the statute. See Whitaker v. Appriss, Inc., 229 F. Supp. 3d 809, 815 (N.D.
Ind. 2017) (“In Congress’s judgment, once a plaintiff’s information is disclosed or obtained
for a prohibited purpose, the damage is already done.”); see also Heglund v. Aitkin Cty., No. 163063, 2017 WL 3910116, at *3 (8th Cir. Sept. 7, 2017) (finding that “[t]he intangible harm
associated with an alleged violation of the DPPA’s substantive protections is sufficient for the
[plaintiffs] to establish an injury in fact”).
The Farrin Defendants further contend that Plaintiffs suffered no concrete harm in
being sent a copy of their “own publicly available accident report[s].” (ECF No. 61 at 9.)
Specifically, the Farrin Defendants argue that “it is ‘difficult to imagine how’ sending a person
a copy of his own publicly available accident report ‘without more, could work any concrete
harm.’” (Id. (quoting Spokeo, 136 S. Ct. at 1550).) In support of this contention, the Farrin
Defendants cite to Pavone v. Law Offices of Anthony Mancini, Ltd., 205 F. Supp. 3d 961 (N.D. Ill.
2016), a district court case with facts similar to the case at bar. There, the plaintiff alleged in
his lawsuit that the defendant violated the DPPA by obtaining the plaintiff’s personal
information from an accident report and using that information to solicit the plaintiff’s
business. Pavone, 205 F. Supp. 3d at 962. In citing to this case, the Farrin Defendants assert
that the Pavone court held “that a law firm’s disclosure of plaintiff’s personal information to
plaintiff himself cannot violate the DPPA’s privacy regime.” (ECF No. 61 at 9.) Defendants
appear to misconstrue that court’s opinion which goes on to state, that such a finding “does
not mean [plaintiff’s] suit comes to an end”; for “[t]he DPPA does not just prohibit
disclosure[,] it also prohibits obtaining or using personal information from a motor vehicle
record,” and the defendant “indisputably obtained and used the information that is at issue.”
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Pavone, 205 F. Supp. 3d at 967. Likewise, here, Plaintiffs allege that Defendants obtained,
disclosed, and used Plaintiffs’ personal information from a motor vehicle record. Plaintiffs
further allege that such conduct proximately caused each Plaintiff to suffer actual damages
consisting of having to retrieve unsolicited mailings from his or her entryway or mail
receptacle, and having his or her privacy invaded by Defendants’ obtaining, disclosing and
using his or her name and address for marketing purposes without consent.
Based on the above, the Court concludes that Plaintiffs’ allegations are sufficient to
allege a concrete injury under the DPPA. Given that the remaining two elements of the
standing analysis are not in dispute, the Court concludes that Plaintiffs have standing to sue
under the DPPA, and Defendants’ motions to dismiss for lack of standing will be denied.
B.
Zone of Interests
Defendants argue that Plaintiffs’ claims also fail because “they are based on purported
interests that do not lie within the ‘zone of interests’ that the DPPA protects.” (ECF No. 61
at 13; see ECF No. 63 at 16.) “Whether a plaintiff comes within the zone of interests is an
issue that requires [the court] to determine, using traditional tools of statutory interpretation,
whether a legislatively conferred cause of action encompasses a particular plaintiff’s claim.”
Lexmark Int’l, Inc. v. Static Control Components, Inc., 134 S. Ct. 1377, 1387 (2014) (internal
quotation marks omitted). Thus, a statutory cause of action is presumed to extend “only to
plaintiffs whose interests fall within the zone of interests protected by the law invoked.” Id.
at 1388 (internal quotation marks omitted). In making such a determination, courts employ
well-settled principles of statutory interpretation which provide that when a statute is
unambiguous on its face, courts need not look any further to interpret the statute. See Mallard
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v. U.S. Dist. Court for the So. Dist. of Iowa, 490 U.S. 296, 300 (1989) (“Interpretation of a statute
must begin with the statute’s language.”); Carcieri v. Salazar, 555 U.S. 379, 387 (2009) (stating
that where “the statutory text is plain and unambiguous,” the statute must be applied
“according to its terms”).
Here, the plain text of the DPPA provides that, “[a] person who knowingly obtains,
discloses or uses personal information, from a motor vehicle record, for a purpose not
permitted under this chapter shall be liable to the individual to whom the information pertains,
who may bring a civil action in a United States district court.” 18 U.S.C. § 2724(a). Observing
statutory interpretation principles, the Court finds that the unambiguous language of the
DPPA extends a cause of action to Plaintiffs in this suit, who have alleged that Defendants
knowingly obtained, disclosed, and used their protected personal information (i.e., each
Plaintiffs’ name and address), from an alleged motor vehicle record, for marketing purposes,
which is not a permitted use under the DPPA. 6 (See ECF No. 32 ¶¶ 64–79, 116–128.) The
Court will, therefore, deny Defendants’ motions to dismiss on the ground that Plaintiffs’
injuries do not fall within the zone of interests that Congress sought to protect.
The Farrin Defendants also argue that, under the rule of lenity, if the DPPA is at all ambiguous, it
must be construed in Defendants’ favor. (ECF No. 61 at 30–31.) “The rule of lenity requires
ambiguous criminal laws to be interpreted in favor of the defendants subjected to them.” United States
v. Santos, 553 U.S. 507, 513 (2008). The rule of lenity is also applicable in the civil context where an
ambiguous statute has criminal applications. See, e.g., United States v. Thompson/Center/Arms Co., 504
U.S. 505, 517–18 (1992). Although the DPPA has a criminal application (in that it imposes a criminal
fine, see 18 U.S.C. § 2723(a)), for the reasons discussed throughout this Opinion, the Court finds the
language of the DPPA unambiguous and the rule of lenity, therefore, inapplicable. See Maracich, 133
S. Ct. at 2209 (stating that “[t]here is no room for the rule of lenity where the text and structure of the
DPPA” is clear).
6
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C.
The DPPA Applies to Defendants’ Alleged Conduct
The Farrin Defendants further argue that they cannot be held liable under the DPPA
because “the statute simply does not apply to Defendants’ conduct, even if the allegations in
the . . . Complaint are taken as true,” and the Complaint, therefore, fails to state a claim. (ECF
No. 61 at 18.) In particular, the Farrin Defendants, citing to section 2721(a)(1) of the statute, 7
assert that “[t]he DPPA only regulates the disclosure of information held by a state DMV.”
(Id.)
The Court rejects these arguments, which fly in the face of the precise language of the
DPPA. To be sure, section 2721(a)(1) of the DPPA prohibits the knowing use or disclosure
of protected “personal information” by State DMVs, as well as their employees and agents.
18 U.S.C. § 2721(a)(1). However, section 2724(a) of the statute also ascribes liability to anyone
“who knowingly obtains, discloses or uses personal information, from a motor vehicle record,
for a purpose not permitted under [the DPPA].” Id. § 2724(a). In accordance with “one of
the most basic interpretive canons” of statutory interpretation, “[a] statute should be construed
so that effect is given to all its provisions, so that no part will be inoperative or superfluous,
void or insignificant.” Corley v. United States, 556 U.S. 303, 314 (2009) (alteration in original)
(quoting Hibbs v. Winn, 542 U.S. 88, 101 (2004)). Accordingly, giving effect to the entire
statute, including section 2721(a) on which Defendants rely, as well as section 2724(a), the
Section 2721(a) of the statute states as follows:
A State department of motor vehicles, and any officer, employee, or
contractor thereof, shall not knowingly disclose or otherwise make
available to any person or entity . . . personal information, as defined in
18 U.S.C. [§] 2725(3), about any individual obtained by the department
in connection with a motor vehicle record, except as provided in
subsection (b) of this section[.]
18 U.S.C. §§ 2721(a)(1).
7
17
Court concludes that the DPPA covers information knowingly disclosed by a state DMV as
well as information that is knowingly obtained, disclosed, or used by any person. Nowhere in
the statute does it state that it applies so as to limit liability in the manner argued by
Defendants. As such, the Court denies Defendants’ motions to dismiss for failure to state a
claim on this basis.
D.
Accident Reports
In a related argument, Defendants contend that because the accident reports that
Defendants obtained are not protected “motor vehicle records,” they are not liable under the
DPPA. (ECF No. 61 at 20–21; ECF No. 63 at 19–21.) As it relates to Defendants’ assertion
that accident reports are not motor vehicle records, Plaintiffs admit that they “do not contend
otherwise.” (ECF No. 67 at 24.) However, Plaintiffs argue that “[w]hether accident reports
are themselves DMV records is irrelevant because those reports contain information from a
motor vehicle record.” (Id. (quotation marks omitted).) The Court agrees with Plaintiffs.
Plaintiffs do not allege that Defendants accessed, obtained and used accident reports in
violation of the statute, rather that Defendants impermissibly used information deemed
“personal information” under the statute. Under the DPPA, “personal information” includes
“information that identifies an individual, including an individual’s . . . name [and] address . . .
but does not include information on vehicular accidents, driving violations, and driver’s
status.” 18 U.S.C. § 2725(3). Based on its plain language defining the types of information
protected under the statute, the Court finds that Plaintiffs’ allegations that Defendants
obtained, used and disclosed their names and addresses for an impermissible use is sufficient to
plausibly state a claim for relief under the DPPA. See Pavone v. Law Offices of Anthony Mancini,
18
Ltd., 118 F. Supp. 3d 1004, 1006 (N.D. Ill. 2015) (explaining that the DPPA “only excludes . .
. information about the accident, not the personal information that is included in accident
reports”).
The Court is likewise unpersuaded by Defendants’ argument that Plaintiffs have failed
to state a claim for relief under the DPPA because of the state law 8 requirement that accident
reports be made public in North Carolina. 9 Plaintiffs’ allegations in this suit are not that
Defendants accessed the accident reports themselves, but rather that, in violation of the
DPPA, Defendants obtained, used and disclosed protected personal information contained in
the reports for an unpermitted use (i.e., marketing of Defendants’ legal services) in violation
of the DPPA. The Court will therefore deny Defendants’ motions to dismiss on this basis.
Under North Carolina state law, reports of a vehicular accident “made by law enforcement officers
and medical examiners are public records.” N.C. Gen. Stat. § 20-166.1(i). In addition, under North
Carolina’s Public Records Act, the public can “obtain copies of . . . public records and public
information free or at minimal cost unless otherwise specifically provided by law.” Id. § 132-1(b).
8
The Court notes that Defendants assert that the North Carolina Attorney General’s office “has
formally examined” the interplay between the DPPA and the state’s public records law requiring public
access to accident reports. (ECF No. 61 at 38. See ECF No. 63 at 30–32; ECF No. 61-2; ECF No.
63-4.) Defendants argue that the Attorney General, in its Advisory Opinion, found that the DPPA
and North Carolina’s public records law with respect to public availability of accident reports “coexist.” (ECF No. 61 at 39; see ECF No. 61-2; ECF No. 63-4.) Notwithstanding any findings made by
the Attorney General, it is well-settled that where state law conflicts with federal law, state law is
invalidated. See Hillsborough Cty. v. Automated Med. Labs., Inc., 471 US. 707, 712 (1985) (explaining that
the Supremacy Clause of the United States Constitution, “invalidates state laws that interfere with, or
are contrary to, federal law” (citation omitted)). This principle is explicitly acknowledged by the
Attorney General who states in the Advisory Opinion that, “federal law controls, and the State’s Public
Records Act is preempted by the DPPA where there is a direct conflict.” (ECF No. 61-2 at 2.) The
Advisory Opinion goes on to state that “[w]e recognize that the courts may eventually provide
clarification of the DPPA’s requirements which conflicts with the advice offered in this opinion.” (Id.
at 4.)
9
19
E.
The DPPA’s Exclusion of Information on Vehicular Accidents
Defendants also argue that the statute specifically excludes “information on vehicular
accidents,” which is the information they obtained and used. (ECF No. 61 at 22–23; ECF
No. 63 at 18–19.)
Defendants are correct that in the statute, “Congress carved out
‘information on vehicular accidents’ from the types of personal information protected by the
Act.” (ECF No. 61 at 22; see ECF No. 63 at 18.) The statute is structured such that it, first,
defines the types of information that constitute “personal information”—i.e., names and
addresses—after which it next identifies the types of information that do not constitute
“personal information”—i.e., “information on vehicular accidents, driving violations, and
driver’s status.” 18 U.S.C. § 2725(3).
Although Defendants seek to characterize the information they obtained and used as
“information on vehicular accidents,” Plaintiffs specifically allege that Defendants violated the
statute by impermissibly obtaining, disclosing, and using their names and addresses, (see ECF No.
32 ¶¶ 64–78, 126–128), “not [by] obtaining . . . information related to the accident (e.g., vehicles
involved, road conditions, times of day, etc.),” Pavone v. Meyerkord & Meyerkord, LLC, 118 F.
Supp. 3d 1046, 1050 (N.D. Ill. 2015). Plaintiffs’ allegations, therefore, concern Defendants’
conduct with respect to Plaintiffs’ names and addresses, which is information explicitly
included in the definition of “personal information” protected under the DPPA. Accordingly,
the Court finds that it need not look any further than the plain language of the statute to
conclude that it applies to Defendants’ underlying conduct as alleged in the Complaint, and
Defendants’ motions to dismiss on this ground will be denied.
20
F.
Defendants’ Alleged Use of Plaintiffs’ Personal Information does not fall
under DPPA Exceptions
Defendants further argue that the following two exceptions in the DPPA “expressly
allow the disclosure highlighted by the . . . Complaint.” (ECF No. 61 at 25; see ECF No. 63 at
21–25.) These exceptions provide that “[p]ersonal information [as defined in the statute] . . .
may be disclosed as follows”: (i) “[f]or use by any government agency, including any court or
law enforcement agency, in carrying out its functions, or any private person or entity acting
on behalf of a Federal, State, or local agency in carrying out its functions,” 18 U.S.C. §
2721(b)(1); and (ii) [f]or any other use specifically authorized under [state law], if such use is
related to the operation of a motor vehicle or public safety,” id. § 2721(b)(14). Defendants’
discussions in support of this argument rely on the function of local law enforcement agencies,
which, under state law, are required to ensure that their law enforcement officers and agents
complete accident reports for all “reportable crashes,” 10 which are then “open to inspection
by the general public,” N.C. Gen. Stat. § 20-166.1(i). Defendants fail to show, however, how
the actions of the local law enforcement agencies preclude any liability that Defendants may
have for their own alleged conduct. As Plaintiffs argue, to the extent that the above exceptions
allow law enforcement agencies to use or disclose Plaintiffs’ personal information, neither
exception immunizes liability for Defendants’ alleged disclosure of personal information for
marketing or solicitation purposes. Defendants are not government or law enforcement
agencies, nor are they entities “acting on behalf of a Federal, State, or local agency in carrying
A “Reportable Crash,” as defined by N.C. Gen. Stat. § 20-4.01(33b), is “[a] crash involving a motor
vehicle that results in one or more of the following: [i] [d]eath or injury of a human being[;] [ii] [t]otal
property damage of one thousand dollars ($1,000) or more, or property damage of any amount to a
vehicle seized [for certain driving offenses].” N.C. Gen. Stat. § 20-4.01(33b).
10
21
out its functions,” 18 U.S.C. § 2721(b)(1). Nor is it alleged that Defendants used the
information obtained for a use “related to the operation of a motor vehicle or public safety,”
id. § 2721(b)(14). Taking Plaintiffs’ allegations as true, Defendants are attorneys and law firms
who obtained, used, and disclosed Plaintiffs’ protected personal information for marketing
and solicitation purposes. (ECF No. 32 ¶¶ 126–128.) As such, to the extent that DPPA
exceptions described in 18 U.S.C. §§ 2721(b)(1) and (b)(14) may apply to law enforcement
agencies, such exceptions do not apply to the alleged conduct of Defendant attorneys and law
firms in the present action. See Graczyk v. W. Publ’g Co., 660 F.3d 275, 279 (7th Cir. 2011)
(explaining that “the DPPA as a whole . . . is concerned with the ultimate use or uses to which
personal information contained in motor vehicle records is put”). Defendants’ motions to
dismiss the Complaint on this basis must, therefore, be denied.
G.
Commercial Speech
Defendants further argue that Plaintiffs’ proposed interpretation of the DPPA violates
the First Amendment’s protection of commercial speech because it “would categorically
prohibit attorneys from ‘using’ lawfully obtained public information to advertise their legal
service.” (ECF No. 61 at 35; see ECF No. 63 at 34–36.) According to Defendants, such a
content-based prohibition on commercial speech fails to survive intermediate scrutiny. (ECF
No. 61 at 35.) In response, Plaintiffs argue, in part, that “the First Amendment does not
protect the disclosure or use of information obtained unlawfully.” (ECF No. 67 at 41.)
As acknowledged by the parties, attorney advertising is a form of commercial speech.
(ECF No. 61 at 35; ECF No. 63 at 41; ECF No. 67 at 44.) See Shapero v. Ky. Bar Ass’n, 486
U.S. 466, 472 (1988) (stating that “[l]awyer advertising is in the category of constitutionally
22
protected commercial speech”). As such, it would be subject to intermediate scrutiny, which
requires that any State regulation occur “in a manner no more extensive than reasonably
necessary to further substantial [government] interests.” In re R.M.J., 455 U.S. 191, 207 (1982).
See Shapero, 486 U.S. at 472 (“Commercial speech that is not false or deceptive and does not
concern unlawful activities . . . may be restricted only in the service of a substantial
governmental interest, and only through means that directly advance that interest.” (citation
omitted)). However, such First Amendment protection applies only to commercial speech
concerning a lawful activity. Central Hudson Gas & Elec. Corp. v. Pub. Serv. Comm’n of N.Y., 447
U.S. 557, 566 (1980).
Here, Plaintiffs allege that Defendants knowingly obtained, used and disclosed personal
information from a motor vehicle record in violation of the DPPA. (ECF No. 32 ¶¶ 64–79,
126–128.) At this stage, Plaintiffs’ allegations, taken as true, plausibly allege unlawful activity
that is not protected under the First Amendment. See Central Hudson Gas & Elec. Corp., 447
U.S. at 566. While the issue of whether Defendants have, in fact, engaged in such unlawful
conduct is to be borne out on a more developed record, given the current posture of the case,
Defendants’ motions to dismiss on this ground will be denied.
IV.
CONCLUSION
The Court concludes that Plaintiffs have plausibly alleged sufficient facts to establish
standing to sue under the DPPA. Accordingly, each Defendant’s motion to dismiss Plaintiffs’
First Amended Complaint for lack of standing under Rule 12(b)(1) will be denied. The Court
further concludes that because Plaintiffs have stated a cognizable claim for relief under the
23
DPPA, each Defendant’s motion to dismiss for failure to state a claim under Rule 12(b)(6) will
likewise be denied.
For the reasons stated herein, the Court enters the following:
ORDER
IT IS THEREFORE ORDERED that the Farrin Defendants’ Motion to Dismiss First
Amended Complaint, (ECF No. 60), is DENIED.
IT IS FURTHER ORDERED that the Hardison & Cochran Defendants’ Motion to
Dismiss First Amended Complaint, (ECF No. 62), is DENIED.
IT IS FURTHER ORDERED that the DeMayo Defendants’ Motion to Dismiss,
(ECF No. 79), is DENIED.
This, the 29th day of September, 2017.
/s/ Loretta C. Biggs
United States District Judge
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