Ragland et al v. City of Chillicothe
Filing
78
ORDER granting 69 Defendant's Motion for Summary Judgment; denying 70 Plaintiffs Motion for Summary Judgment; finding as moot 75 Motion to Strike. Signed by Judge Gregory L Frost on 4/20/12. (kn)
UNITED STATES DISTRICT COURT
SOUTHERN DISTRICT OF OHIO
EASTERN DIVISION
FRANKLIN RAGLAND, et al.,
Plaintiff,
Case No. 2:10-cv-879
JUDGE GREGORY L. FROST
Magistrate Judge Mark R. Abel
v.
CITY OF CHILLICOTHE, et al.,
Defendants.
OPINION AND ORDER
Before the Court are motions for summary judgment filed by both Defendants (ECF No.
69) and Plaintiffs (ECF No. 70), the parties’ respective memoranda in opposition (ECF Nos. 71
and 72), and the reply briefs in support of their respective motions for summary judgment (ECF
Nos. 73 and 74). Defendants seek summary judgment on the entirety of the Plaintiffs’ Amended
Complaint while Plaintiffs ask for partial summary judgment on the issue of whether Defendants
violated a consent decree to which they are bound. Also before the Court is the Defendants’
motion to strike the affidavit of Katherine Hine (ECF No. 75). For the reasons that follow, the
Court (1) GRANTS the motion for summary judgment of Defendants as to Plaintiffs’ causes of
action predicated upon enforcement of the consent decree, (2) DENIES the Plaintiffs’ motion for
summary judgment, (3) declines to exercise supplemental jurisdiction over Plaintiffs’ remaining
state-law claims and DISMISSES THE STATE-LAW CLAIMS WITHOUT PREJUDICE
TO FILING IN STATE COURT, and (4) DENIES AS MOOT the motion to strike Ms.
Hine’s affidavit.
1
I. Factual and Procedural Background
This case has its genesis in a previous civil action in this Court. In Turner v. City of
Chillicothe, a group of plaintiffs filed an action on behalf of themselves and a class of consumers
of residential water services provided by the City of Chillicothe, Ohio. See Turner v. City of
Chillicothe, No. 2:00-cv-980 (S.D. Ohio March 20, 2001) (order granting class certification).
The Court certified a class under Fed. R. Civ. P. 23(b)(2) consisting of “all consumers of, or
‘applicants’ (as defined by Regulation B of the Equal Credit Opportunity Act) for water services
from the defendants at any time on or after August 28, 1998.” (Id.) The parties to Turner
eventually reached a proposed settlement and final consent decree, which they submitted to the
Court for approval. Turner v. City of Chillicothe, No. 2:00-cv-980 (S.D. Ohio June 12, 2002)
(order conditionally approving proposed consent decree).
After notice to all water customers in the City and before the Court held a fairness
hearing, the Court received five letters objecting to the proposed Turner settlement. (Id. at 2.)
All of the letters were from landlords. All of the objections related to the City’s practice of
holding landlords responsible for delinquent water bills left by a former tenant. (Id.) The Court
noted that “[n]one of the landlords who filed objections did so as a member of the class or as a
party to this action; none filed a motion for leave to intervene in this action pursuant to the
provisions of F.R. Civ. P. 24.” (Id.) The Court further noted that the proposed consent decree
impacted landlords only in one respect: “the proposed consent decree precludes the City from
attempting to enforce the landlord’s obligation by refusing to provide water service to any
subsequent, but otherwise credit-worthy, tenant.” (Id.) The Court found no basis to include the
2
landlords as intervenors in the Turner lawsuit and, over the landlords’ objections, conditionally
approved the parties’ proposed consent decree. (Id. at 3-4.)
The Court filed the final Consent Decree and Stipulation of Settlement in Turner on
September 4, 2002. Turner v. City of Chillicothe, No. 2:10-cv-980 (S.D. Ohio Sept. 4, 2002)
(“Consent Decree”). The Consent Decree reiterated the certified class in whose favor the
Consent Decree was made: “all consumers or applicants (as defined by Regulation B of the
Equal Credit Opportunity Act) for water service from the defendants at anytime on or after
August 28, 1998.” Id. at 2-3. As part of the Consent Decree, Defendants agreed to “maintain
and comply with the written procedures” set forth in the “City of Chillicothe Division of Water
and Sewer Termination Policy.” Id. at 3 and Ex. A. The Consent Decree specified that these
procedures “shall supplant and take precedence over any local practices or rules formally or
informally followed by the Defendants whether existing now or adopted in the future.” Under
the “Termination Policy” incorporated by the Consent Decree, the City could terminate water
service to a customer or consumer for only eight specified reasons set forth in the Policy. Id.,
Ex. A, at 11.1 The policy also limited to three grounds the reasons that the City could deny water
service to an “applicant” for such service. Id., Ex. A at 24.2
1
The eight reasons are (1) non-payment by the customer for water service to the service
address affected, (2) emergencies and repairs, (3) at customer request, and only then pursuant to
certain termination procedures contained elsewhere in the Termination Policy, (4) meter
tampering, theft of service, or fraud, (5) violation of the City Code, (6) condemnation and
finding that the premises are vacated and unfit for human habitation, (7) abandonment of the
premises, or (8) refusal to permit the City Water Department to have access to the premises to
read the water meter or to inspect water equipment.
2
These three grounds are (1) that the premises to be served requires specificed repair or
maintenance before water can be safely provided, (2) that the applicant owes the City an
outstanding bill for prior water service under an account established in that applicant’s name,
3
In addition to establishing the City’s Water and Sewer Termination Policy, the Consent
Decree limited the City’s ability to modify it. Consent Decree, at 4. The City could modify the
Termination Policy only in writing and only after first showing the proposed modifications to the
Equal Justice Foundation (“EJF,” which served as counsel for the Turner Plaintiffs). Id. at 4.
The City was also required to disseminate the Termination Policy to its employees, train them in
its implementation, and monitor compliance with the policy. Id. at 5-7.
Eight years after the Consent Decree issued in Turner, Plaintiffs Franklin Ragland, Meri
Kate Enterprises L.P., Thomas Gustin, Gary Elkin, Mike McCoy, Macy K, LLC, Maggie
Enterprises, L.P., Linda Henry, Vancil Henry, Joseph T. Sharp, Oakhill Properties, LLC, Kaye
Carnein, Carnein Investments, LLC, Trish McGarvey, White & Barbeee Properties, LLC,
Michele Martin, and James A. Demint filed this lawsuit, which they styled as a “Declaratory
Judgment Enforcing Consent Decree.” (ECF No. 3.) Plaintiffs are owners of properties serviced
by the City’s water and sewer service; some of the Plaintiffs are also alleged to be consumers of
the City’s water and sewer service. (Amended Compl., ECF No. 45, at ¶¶ 5-22.) Plaintiffs
named the City of Chillicothe and a number of City officials (including the Mayor and City
Council members) as Defendants. (Id.)
Plaintiffs’ Amended Complaint alleges that Defendants have violated the Consent Decree
in a number of ways, including-C
Adopting changes to the “Water Department Law” (which Plaintiffs refer to as the
“Adopted System”) without providing EJF with notice of the changes;
and (3) the applicant has not consented in writing.
4
C
Failing to implement “new water application policies” contemplated by the Consent
Decree;
C
Continuing to require the property owner (i.e., the landlord) to sign a tenant consumer’s
application for water service as a guarantor of payment for service to the property;
C
Denying water service to Plaintiffs due to past due water bills of their tenants;
C
Failing to train City Water Department employees on the requirements of the Consent
Decree; and
C
Filing civil suits against Plaintiffs and other landlords to seek collection for delinquent
water bills at their properties.
(Amended Compl., ECF No. 45, at ¶¶ 60-85.) Based on the factual allegations in their Amended
Complaint, Plaintiffs asserted six causes of action, all of which are predicated upon the theory
that the Defendants have violated the Consent Decree. The Amended Complaint expressly asks
the Court to enforce the Consent Decree and grant various forms of legal and equitable relief.
Defendants moved to dismiss the Plaintiffs’ Complaint under Fed. R. Civ. P. 12(b)(1) and
12(b)(6) for want of jurisdiction. (ECF No. 10.) Specifically, Defendants argued that Plaintiffs
were not parties to the Turner consent decree and therefore lacked standing to bring this action
to enforce it. (Id. at 5.) Alternatively, Defendants argued that Plaintiffs were not “intended
third-party beneficiaries” of the consent decree or parties within the “zone of interests protected”
by the consent decree. (Id. at 6.) Defendants argued that the Turner consent decree was
designed to protect the interests of tenants, not landlords who comprise the Plaintiffs in this case.
This Court denied the Defendants’ Motion to Dismiss. (Opinion and Order, ECF No.
30.) Citing Blue Chip Stamps v. Manor Drug Stores, 421 U.S. 723, 750 (1975) and Vogel v.
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Cincinnati, 959 F.2d 594, 597 (6th Cir. 1992), the Court recognized the rule that “‘a consent
decree is not enforceable directly or in collateral proceedings by those who are not parties to it
even though they were intended to be benefitted by it.’” (ECF No. 30, at 3 (quoting Blue Chip
Stamps).) Nonetheless, the Court found standing as to four of the named Plaintiffs (Ragland,
Demint, Sharp, and Gustin) because the Plaintiffs’ Complaint “sufficiently alleges that
[Plaintiffs] Ragland, Demint, Sharp, and Gustin are consumers as that term is defined in the
Consent Decree.” (Id. at 4.) Because the Complaint alleges these four to be “consumers,” this
Court found that “they are parties to the Consent Decree” and therefore had standing to enforce
it.
As to the remaining Plaintiffs, this Court found the requisite Article III standing to allow
even those non-parties to the Consent Decree to maintain this lawsuit. (Id. at 5-8.) Plaintiffs
argued that Article III standing existed for all of them “because each has been sued by the City
under provisions which exist only in the Adopted System, which violates their constitutional due
process rights.” (Id. at 6.) In other words, Plaintiffs claimed Article III standing to bring this
lawsuit, regardless of their status as parties to the consent decree, because the City’s “Adopted
System” did not follow the requirements of the Turner Consent Decree, meaning that the City’s
efforts to collect unpaid bills for water service against them (as landlords) violated their
constitutional due process rights. This Court found the requirements of Article III standing met
by the Plaintiff’s allegations. (Id. at 7-8.)
Following the Court’s denial of the Motion to Dismiss, the parties proceeded with
discovery. The parties have now filed cross motions for summary judgment. Defendants move
for summary judgment on the Plaintiffs’ Complaint, again arguing (among other things) that
6
discovery has confirmed that Plaintiffs do not have standing to bring this suit to enforce the
Turner Consent Decree. (ECF No. 69.) Plaintiffs move for partial summary judgment, arguing
that there is no genuine issue of material fact on the issue of whether the Defendants have
violated the Consent Decree. (ECF No. 70.) The cross-motions have been fully briefed and are
now ripe for this Court’s decision.
II. Discussion
Summary judgment is proper where no genuine dispute of material fact exists and the
moving party is entitled to judgment as a matter of law. Fed. R. Civ. P. 56(a). In considering a
motion for summary judgment, the court must draw all reasonable inferences in favor of the
nonmoving party. Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 587 (1986).
The central issue is “whether the evidence presents a sufficient disagreement to require
submission to a jury or whether it is so one-sided that one party must prevail as a matter of law.”
Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 251-52 (1986).
The parties have devoted a considerable amount of pages in their respective motions for
summary judgment to arguments on the merits of the various causes of action alleged by
Plaintiffs in this case. The most contentious issue on the merits is whether Defendants have
violated the Turner Consent Decree. After examining the legal arguments and the applicable
law, however, the Court finds that it need not reach the merits of this issue. The Court can ( and
does) resolve this case on purely an issue of law — whether the Plaintiffs may enforce the
Consent Decree in the manner they seek to do in this lawsuit. The answer to this question is no.
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A.
Plaintiffs Lack Standing to Enforce the Consent Decree
In their first argument for summary judgment in their favor, Defendants reprise the
contention they made in their Motion to Dismiss — that none of the Plaintiffs has standing to
enforce the Turner Consent Decree. While Defendants recognize that this Court overruled their
earlier Motion to Dismiss, they argue that “further discovery” has illuminated the standing issue
and leads to a conclusion that no Plaintiff has standing. Specifically, Defendants contend that
the summary judgment evidence shows that the four Plaintiffs whom this Court identified as
“consumers” with standing to enforce the Consent Decree (see Opinion and Order, ECF No. 30,
at 4-5) either do not have an account for water service or have never had a disruption in their
water service. (Defts. Mot. Summ. J., ECF No. 69, at 10-11.) Defendants also argue that none
of the Plaintiffs otherwise falls within the Consent Decree’s definition of “consumer” or
“applicant” so as to make them fall within the class certified in Turner. (Id. at 12.) For their
part, Plaintiffs argue that each of them is a member of the Turner Consent Decree class because
each of them is an “applicant” within the meaning of Regulation B of the ECOA. (Pltfs. Opp.,
ECF No. 72, at 1-2.)
Because Defendants have renewed on summary judgment their objection to the Plaintiffs’
standing, the Court is forced to confront the standing issue again. In considering the issue again,
the Court now realizes that its previous decision denying the Defendants’ Motion to Dismiss was
incorrect. Though the Court correctly articulated the applicable law in that decision, the Court’s
application of the law was incorrect. Simply put, the Plaintiffs are not parties to the Turner
Consent Decree and therefore lack standing to enforce it.
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1.
Plaintiffs Are Not Parties to the Consent Decree
In its Order and Opinion denying Defendants’ earlier Motion to Dismiss predicated upon
a lack of standing, this Court stated the applicable legal rule—
There is “a well-settled line of authority from [the United States Supreme] Court
[that] establishes that a consent decree is not enforceable directly or in collateral
proceedings by those who are not parties to it even though they were intended to be
benefitted by it.” Blue Chip Stamps v. Manor Drug Stores, 421 U.S. 723, 750 (1975)
(citing United States v. Armour & Co., 402 U.S. 673 (1971) and Buckeye Co. v.
Hocking Valley Co., 269 U.S. 42 (1925)). See also Vogel v. Cincinnati, 959 F.2d
594, 597 (6th Cir. 1992) (“We hold that Vogel, who was not a party to the consent
decree, lacks standing to challenge the City’s interpretation of the decree.”)
(ECF No. 30, at 3.)
This is an accurate statement of the law in the Sixth Circuit. Though other Circuits have
distinguished Blue Chip Stamps and held that intended third-party beneficiaries of a consent
decree have standing to enforce it in federal court,3 the Sixth Circuit has notably refused to
follow suit. See Aiken v. City of Memphis, 37 F.3d 1155, 1168 (6th Cir. 1994) (holding that
“even intended third-party beneficiaries of a consent decree lack standing to enforce its terms”
and rejecting the view of Circuits holding otherwise). Thus, in the Sixth Circuit, only the parties
to the consent decree have standing to enforce its terms. Nonparties to a consent decree, even if
they are intended third-party beneficiaries of the decree, lack standing to seek enforcement of the
decree in the Sixth Circuit. Id. See also Securities and Exchange Comm’n v. Dollar General
Corp., 378 F. App’x 511, 514-15 (6th Cir. 2010).
3
See e.g. Hook v. Arizona Dep’t of Corr., 972 F.2d 1102, 1015 (9th Cir. 1992) (finding
that rule articulated in Blue Chip Stamps does not apply to “intended third-party beneficiaries”);
Beckett v. Air Line Pilots Ass’n, 995 F.2d 280, 286 (D.C. Cir. 1993) (following Hook); Berger v.
Heckler, 771 F.2d 1556, 1565 (2d Cir. 1985) (finding that Blue Chip Stamps “was not intended
to preclude nonparties” from enforcing a consent decree); see also United States v. FMC Corp.,
531 F.3d 813, 820 (9th Cir. 2008) (adhering to Hook and noting the Circuit split).
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This Court found that four of the named Plaintiffs in this case were “consumers” within
the meaning of the Consent Decree and therefore “parties” to it. (ECF No. 30, at 4.) Thus, the
Court found that these four Plaintiffs were “parties” who had standing to enforce the Consent
Decree. (Id.) Regrettably, this Court’s analysis in this respect was wrong and must now be
corrected.
A person’s status as a member of a certified class in a class action does not make that
person a “party” to the litigation. See Taylor v. Sturgell, 553 U.S. 880, 894, 128 S. Ct. 2161, 171
L. Ed. 2d 155 (2008) (identifying “properly conducted class actions” as one of the situations in
which a “nonparty” is bound by a judgment). While a class member may be bound by a class
action judgment, the class member is still considered a nonparty except in limited circumstances.
See Devlin v. Scardelletti, 536 U.S. 1, 14, 122 S. Ct. 2005, 153 L. Ed. 2d 27 (2002) (holding that
an unnamed member of a certified class who objected to the approval of a settlement at a fairness
hearing may be a party for the purpose of appealing from the class action judgment). The only
“parties” to the Turner case (and thus the Turner Consent Decree) were the named plaintiffs and
the named defendants. Thus, this Court should not have deemed the four “consumer” Plaintiffs
to be “parties” to the Consent Decree. At most, these four Plaintiffs were class members. But
that status did not make them parties who have standing to enforce the Turner Consent Decree.
See Reynolds v. Butts, 312 F.3d 1247, 1249-50 (11th Cir. 2002) (finding “unnamed, nonintervening members of a class in the litigation” to be nonparties who lacked standing to enforce
a consent decree).
Whether the Plaintiffs are “class members” is irrelevant to the question of whether they
have standing to enforce the Consent Decree. Even if they are “class members,” they assuredly
10
are not “parties” (this Court’s erroneous statement to the contrary earlier in this case
notwithstanding). As nonparties, the Plaintiffs lack standing to enforce the Turner Consent
Decree.
2.
Article III Standing
When this Court denied the Defendants’ Motion to Dismiss, the Court also found that all
of the Plaintiffs had, at the very least, Article III standing due to their allegations that their
constitutional rights have been violated by the City’s alleged violations of the Consent Decree.
(See Opinion and Order, ECF No. 30, at 5-8.) Thus, this Court found that Plaintiffs’ satisfaction
of Article III standing requirements sufficed to allow them to escape dismissal of their case. The
Court also revisits this previous determination and finds that it, too, is erroneous under
applicable Sixth Circuit case law.
In Sanders v. Republic Servs. of Ky., LLC, 113 F. App’x 648 (6th Cir. 2004), plaintiff
property owners sued under 42 U.S.C. § 1983, seeking declaratory and injunctive relief based
upon the defendants’ alleged violation of an “Agreed Judgment” entered in a prior case. Id. at
649. The district court dismissed the plaintiffs’ lawsuit for lack of standing and the Sixth Circuit
affirmed. Applying Blue Chip Stamps, Vogel, and Aiken, supra, the Sixth Circuit had little
trouble concluding that the plaintiffs lacked standing to enforce the “Agreed Judgment” because
they were not parties to it. Id. at 650. Even though the Sanders plaintiffs had been parties to the
lawsuit resulting in the Agreed Judgment, this status was not enough; the plaintiffs were not
parties to the Agreed Judgment itself and were thus precluded from enforcing it under the Sixth
Circuit’s precedent. Id.
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Notably, the Court also rejected the Sanders plaintiffs’ alternative argument for standing.
The plaintiffs argued that they should have standing to assert their § 1983 claims based on “a
string of environmental cases” from the United States Supreme Court, which analyzed Article III
standing in such cases. Id. at 650. The Sixth Circuit rejected the argument:
Unlike the plaintiffs in [the cases cited by plaintiffs], the plaintiffs here do not seek
to bring an action under environmental protection statutes; rather, as strangers to an
Agreed Judgment, they seek to enforce their interpretation of its terms. As the district
court pointed out, “Plaintiff’s suit, in their own words, is an action for declaratory
and injunctive relief to prevent the landfill from expanding in the future in violation
of the Agreed Judgment.” The complaint reflects the accuracy of this
characterization. Plaintiffs’ characterization of parts of the complaint as
“environmental claims” neither changes the nature of the complaint nor confers upon
the plaintiffs standing to sue to enforce their interpretation of the 1990 Agreed
Judgment.
The plaintiffs do not raise any constitutional claims under Section 1983 that
are not wholly derivative of their attempt to enforce their interpretation of the Agreed
Judgment.
. . . Because plaintiffs lack standing to challenge the . . . interpretation of the Agreed
Judgment, they also lack standing to assert claims that derive from that
interpretation.
Id. at 651.
The Sixth Circuit’s reasoning informs the Article III inquiry here. At its core, Plaintiffs’
lawsuit is one to enforce the Turner Consent Decree. Indeed, Plaintiffs style their lawsuit as
such and the success or failure of their claims rises and falls with the determination of whether
the City’s actions are consistent with or in violation of the Consent Decree. Thus, even though
Plaintiffs may make out a case for Article III standing in the abstract (and, indeed, this Court
found that they did when it denied the Motion to Dismiss), the characterization of their lawsuit
as being, in part, a civil rights claim based on constitutional due process violations does not grant
12
them standing. The constitutional arguments Plaintiffs raise are “wholly derivative” of their
attempt to enforce the Consent Decree. But because they lack standing to enforce the Consent
Decree, Plaintiffs also lack standing to assert claims derived from the Plaintiffs’ attempt to
enforce it.
Without standing to enforce the Consent Decree, each of Plaintiffs’ causes of action in
the First Amended Complaint (ECF No. 45) that are predicated upon enforcement of the decree
must be dismissed for lack of standing. Specifically, the First, Second, Third, Fourth, and Fifth
Causes of Action each seeks enforcement of the Consent Decree or allege theories that derive
wholly from Plaintiffs’ interpretation of the Consent Decree.4 As to these causes of action,
Defendants’ Motion for Summary Judgment is granted on the basis of Plaintiffs’ lack of standing
and these causes of action are accordingly dismissed.
4
Defendants’ Motion for Summary Judgment interprets Plaintiffs’ Fourth Cause of
Action for “civil conspiracy” as asserting a claim under 42 U.S.C. § 1983, and moves for
summary judgment on it as such. (See ECF No. 69, at 18.) The Court observes, however, that
Plaintiffs’ First Amended Complaint does not allege a Section 1983 conspiracy under the Fourth
Cause of Action. (Amended Compl., ECF No. 45, at ¶¶ 109-113.) Moreover, Plaintiffs’
Opposition to Defendants’ Motion for Summary Judgment does not argue that their conspiracy
claim is based on Section 1983; rather, Plaintiffs simply characterize their claim as one alleging
a conspiracy to violate the consent decree (See Pltf. Opp., ECF No. 72, at 6-7.) Insofar as
Plaintiffs’ Fourth Cause of Action does not expressly allege a constitutional claim, the Court
construes it as simply another cause of action seeking to enforce the Consent Decree, specifically
based on the a theory that the Defendants conspired to violate it. Regardless of its
characterization, for the reasons set forth above, Plaintiffs lack standing to enforce the Consent
Decree and therefore lack standing to assert the “civil conspiracy” claim in any form.
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B.
Plaintiffs’ Constitutional Due Process Claim
Even if this Court were to leave undisturbed the Article III standing analysis from its
Order denying Defendants’ Motion to Dismiss, Plaintiffs still cannot escape summary judgment.
As an initial matter, the Court notes that the Article III standing analysis applies, at most, to
Plaintiffs’ First Cause of Action for “Declaratory Relief.” Indeed, this Court ruled that Plaintiffs
possessed the requisite Article III standing only with respect to asserting claims alleging
violation of their “constitutional due process rights.” (ECF No. 30, at 6.) Plaintiffs plead this
theory under their First Cause of Action, which alleges that the Defendants’ failure to comply
with the terms of the Consent Decree, particularly with regard to the City’s so-called “Adopted
System” being implemented without following the modification process set forth in the Consent
Decree, violates their Fourteenth Amendment right to due process of law. (Amended Compl.,
ECF No. 45, at ¶ 93.)
Plaintiffs’ constitutional claim is cognizable, if at all, under 42 U.S.C. § 1983. See Aarti
Hospitality, LLC v. City of Grove City, 350 F. App’x 1, 11 n.8 (6th Cir. 2009) (construing
“direct” constitutional claims as being § 1983 claims). To state a claim under § 1983, Plaintiffs
must establish (1) the deprivation of a right secured under the Constitution or federal law and (2)
that a person acting under color of state law caused the deprivation. Alkire v. Irving, 330 F.3d
802, 813 (6th Cir. 2003). Summary judgment is appropriate in Defendants’ favor because
Plaintiffs cannot meet the first element: even assuming that Plaintiffs can show a violation of the
Consent Decree, that violation of a consent decree does not form the basis of a § 1983 claim.
A civil rights action under 42 U.S.C. § 1983 action is not the proper vehicle by which to
address an alleged violation of a consent decree. See Thomas v. Croft, No. 2:10-cv-74, 2011
14
U.S. Dist. LEXIS 60628, at *19 (S.D. Ohio June 7, 2011) (citing Green v. McCaskle, 788 F.2d
1116 (5th Cir. 1986)). This is true because “remedial court orders. . . do not create ‘rights,
privileges, or immunities secured by the Constitution and laws.’” Green at 1123 (quoting 42
U.S.C. § 1983)). Consent decrees can provide remedies, but they do not “create or enlarge”
federal constitutional or statutory rights. Id. Accord Cagle v. Sutherland, 334 F.3d 980, 987
(11th Cir. 2003).
Such a rule is especially appropriate here, given the Court’s ruling that Plaintiffs are not
parties to the Consent Decree. If Plaintiffs are not parties who have standing to enforce the
Consent Decree, it follows that they cannot have a valid civil rights claim for a purported
violation of the Consent Decree. If they did, it would create the anomalous result that parties
who lack standing to enforce a consent decree directly could do so through a Section 1983
action. This would effectively be an end run around the lack of standing, which this Court
cannot allow.
Accordingly, even if Plaintiffs could build a conceivable case that Defendants have
violated the Consent Decree, such a case does not rise to the level of a constitutional due process
violation. Defendants are therefore entitled to summary judgment on the Plaintiffs’ First Cause
of Action seeking declaratory relief.
C.
Jurisdiction over Plaintiffs’ State Law Claims
In the Sixth Cause of Action, Plaintiffs allege state-law claims for malicious prosecution
and abuse of process. Plaintiffs base these claims upon the City’s institution of civil lawsuits
against them for collection of unpaid water bills. Having disposed of the Plaintiffs’ claims based
upon the Consent Decree and Plaintiffs’ constitutional claims above, the Court must determine
15
whether to exercise supplemental jurisdiction over these remaining state-law claims. See Fox v.
Brown Memorial Home, 761 F. Supp. 2d 718, 722 (S.D. Ohio 2011).
Under 28 U.S.C. § 1367(c), a district court may decline to exercise supplemental
jurisdiction over state-law claims where, as here, “the district court has dismissed all claims over
which it has original jurisdiction.” In making the decision whether to exercise supplemental
jurisdiction, “a district court should consider and weigh several factors, including the ‘values of
judicial economy, convenience, fairness, and comity.’” Gamel v. City of Cincinnati, 625 F.3d
949, 951-52 (2010) (quoting Carnegie-Mellon Univ. v. Cohill, 484 U.S. 343, 350, 108 S. Ct. 614,
98 L. Ed. 2d 720 (1988)); see also Landefeld v. Marion Gen. Hosp., Inc., 994 F.2d 1178, 1182
(6th Cir. 1993). When a district court dismisses all claims over which it had original
jurisdiction, the balance of considerations is likely to weigh in favor of declining to exercise
supplemental jurisdiction. Gamel at 952; see also Moon v. Harrison Piping Supply, 465 F.3d
719, 728 (6th Cir. 2006) (“Residual jurisdiction should be exercised only in cases where the
interests of judicial economy and the avoidance of multiplicity of litigation outweigh our
concern over needlessly deciding state law issues.”).
In assessing the factors of judicial economy, fairness, and comity, a district court is
guided by several specific considerations. Among these are (1) whether the district court should
avoid needless state law decisions as a matter of comity, (2) whether the district court, in its
disposition of federal-law claim, resolved a related state-law issue, (3) whether similar predicate
factual findings are necessary to resolve both the state and the federal claims, (4) whether the
district court has expended significant time and resources, (5) whether dismissal or remand will
result in duplicative litigation, (6) whether the matter has been on the district court’s docket for a
16
significant time, (7) whether the parties have completed discovery, (8) whether plaintiff has
abandoned all federal claims at a late stage of the proceedings, and (9) whether a summary
judgment motion has been extensively briefed and is ripe for review. Fox, 761 F. Supp. 2d at
723-24 (citing various Sixth Circuit cases identifying these factors).
While some of the factors favor the Court’s exercise of supplemental jurisdiction — for
example, this case has been pending in this Court for more than 18 months, discovery is
completed, and the parties have extensively briefed their summary judgment motions — the
Court nevertheless finds that the balance cuts against exercising supplemental jurisdiction over
Plaintiffs’ malicious prosecution and abuse of process claims. Weighing heavily against
supplemental jurisdiction is the interest in avoiding the needless decision of state-law issues as a
matter of comity. Plaintiffs’ malicious prosecution and abuse of process claims are based on the
theory that the Chillicothe Law Director and Assistant Law Director filed civil suits against
Plaintiffs in Chillicothe Municipal Court in an attempt to recover money for unpaid water bills
and that said civil suits are invalid under the Consent Decree (and therefore under invalid under
applicable city ordinances governing City water service) . (Amended Compl., ECF No. 45, at ¶¶
119-124.) It is inappropriate for the Court to weigh in on the state-law issues of whether the
torts of malicious prosecution and abuse of process apply to this set of facts, particularly
considering that the parties’ briefing on the motions for summary judgment indicate that all but
one of the civil suits has either been stayed by the state courts or dismissed voluntarily by the
City. (See Pltfs. Opp. to Mot. Summ. J., ECF No. 72, at 7-8; Preston Aff., ECF No. 69-6,
Exhs.C and D.)
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Moreover, this Court’s decision on the federal issues did not reach the substantive merits
of the Plaintiffs’ claims that the City is acting unlawfully. Accordingly, this Court’s decision
does not inform the resolution of the remaining state-law claims. Because this Court has neither
disposed of state-law issues in resolving federal claims nor made factual findings that inform the
state-law claims, it cannot be said that this judicial economy or convenience weighs in favor of
adjudicating the malicious prosecution and abuse of process claims.
Finally, the interest in avoiding duplicative litigation is not implicated here. It appears
that most of the state-court activity was stayed pending the outcome of this case. Upon the
conclusion of this matter, those state court proceedings will presumably resume. The state courts
provide a readily available and convenient forum for Plaintiffs to defend against the suits
commenced by the City and to raise their state-law claims for malicious prosecution and abuse of
process.
For these reasons, the Court concludes that the remaining state-law claims for malicious
prosecution and abuse of process should be dismissed without prejudice.
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IV. Conclusion
For the foregoing reasons, Plaintiffs’ Motion for Summary Judgment (ECF No. 70) is
DENIED. Defendants’ Motion for Summary Judgment (ECF No. 69) is GRANTED as set forth
in this Opinion and Order with regard to the First, Second, Third, Fourth, and Fifth Causes of
Action in Plaintiffs’ First Amended Complaint. Plaintiff’s Sixth Cause of Action alleging statelaw claims for malicious prosecution and abuse of process are DISMISSED WITHOUT
PREJUDICE to their refiling in state court. Defendant’s Motion to Strike the Affidavit of
Katherine Hine (ECF No. 75) is DENIED AS MOOT.
IT IS SO ORDERED.
/s/ Gregory L. Frost
GREGORY L. FROST
UNITED STATES DISTRICT JUDGE
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