Sizemore v. Hissom et al
Filing
33
OPINION AND ORDER granting 15 Motion to Dismiss for Failure to State a Claim; granting 16 Motion to Dismiss for Lack of Jurisdiction;. Signed by Judge James L Graham on 5/2/2013. (ds)
IN THE UNITED STATES DISTRICT COURT
FOR THE SOUTHERN DISTRICT OF OHIO
EASTERN DIVISION
Dr. Terrie Sizemore RN, DVM,
Case No. 2:12-cv-1166
Plaintiff,
v.
Judge Graham
Heather Lynn Hissom, et al.,
Magistrate Judge Abel
Defendants.
OPINION AND ORDER
This matter is before the Court on motions to dismiss filed by defendant Marc E. Meyers
(doc. 15) and defendants Heather Hissom Coglianese, Marc Dann, Barry McKew, Thomas P.
Charles, Bob Gibbs, Janet Small, Darrell Gitz, David Koncal, Renee Jessen, Theresa Stir, Tracy
Manly, Aaron Epstein, Jennifer Adair, and Mindy Worly (doc. 16). Defendants seek dismissal
pursuant to Federal Rule of Civil Procedure 12(b)(6) for failure to state a claim on which relief may
be granted and Rule 12(b)(1) for lack of subject matter jurisdiction. For the reasons stated below,
the motions to dismiss are granted.
I.
Factual Background
This case began eight years ago with veterinary care provided by plaintiff to two dogs. Since
then, the parties have spun a procedural web between several Ohio courts. Plaintiff now seeks to
start again in federal court.
In May of 2005, plaintiff, a licensed veterinarian, saw a dog for removal of a skin growth.
Doc. 2 ¶ 31. “During the removal of the growth, Pete [the dog] experienced excessive bleeding for
an unknown reason.” Doc. 2 ¶ 32. Though plaintiff alleges that she conducted appropriate followup care, Pete died the day after the surgery. Doc. 2 ¶¶ 33-36. Pete’s owners subsequently filed a
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complaint with the Ohio Veterinary Medical Licensing Board (“OVMLB” or “the Board”) regarding
plaintiff’s treatment of Pete and their other dog, Dutchess. Doc. 2 ¶ 36. The Board initiated an
investigation and sent two investigators on separate visits to plaintiff’s veterinary practice and
requested information from plaintiff. Doc. 2 ¶¶ 37-40. Plaintiff alleges that these investigations
concluded that “Plaintiff never violated any areas of the [Ohio Revised Code] or the [Ohio
Administrative Code] in the execution of her job duties as a licensed veterinarian.” Doc. 2 ¶ 41.
Nonetheless, plaintiff alleges that defendants Heather Hissom Coglianese, Executive Secretary and
Executive Director of the OVMLB, and Barry McKew, assistant attorney general “assigned as
counsel to the OVMLB for allegations of misconduct against Plaintiff,” ignored the conclusions of
the investigation and filed charges against her without legal cause. Doc. 2 ¶¶ 12, 14, 42.
A hearing on the charges brought against plaintiff by the Board was held on July 20, 2006.
Doc. 2 ¶ 43. The hearing examiner, defendant Marc E. Myers, considered three accusations made
by the Board against plaintiff, each related to the treatment of Pete and Dutchess:
First, this Board alleges that Dr. Sizemore failed to provide the [owners of the dogs]
with a rabies certificate for the rabies vaccination given to “Dutchess” on May 1,
2005, in violation of Ohio Adm. Code 4741-1-03(3)(6)(a). Next this Board alleges
that Dr. Sizemore’s treatment record for Pete did not contain the amount of Valium
and Ketamine administered on May 8, 2005, in violation of R.C. 4741.22(AA) and
Ohio Adm. Code 4741-1-21(A) and (C). Finally, this Board alleges that Dr.
Sizemore failed to place a label on the Keflex she dispensed to Pete on May 8, 2005
in violation of Ohio Law.
Doc. 17-2 at 6. Myers found that plaintiff was guilty of the first and second allegations, but not the
third. Doc. 17-2 at 7-8. He recommended that she be ordered to pay a $250 civil penalty, plus the
costs of the hearing. Doc. 17-2 at 9. On March 2, 2007, the Board adopted defendant Myers’s
finding that plaintiff was guilty of two of the three allegations against her, but ordered a larger
penalty against plaintiff in the amount of $1,458.50. Doc. 17-4 at 4.
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Plaintiff appealed the Board’s decision to the Franklin County Court of Common Pleas. Doc.
2 ¶ 49; doc. 15-2 ¶ 19. Plaintiff alleges that this appeal was dismissed for the “minor, insiginifant,
trivial error” of signing two documents with different signatures. Doc. 2 ¶ 49. Plaintiff appealed
the Court of Common Pleas dismissal to the Court of Appeals, which scheduled a mediation
conference. Doc. 2 ¶¶ 54-55. At mediation, plaintiff and the Board agreed to vacate the prior
dismissal and remand the case to the Board. Doc. 2 ¶ 55; doc. 15-2 ¶ 24. Plaintiff alleges that the
charges were not dismissed until June 11, 2009, after she moved the Court of Common Pleas to
vacate its prior decision dismissing her appeal. Doc. 2 ¶ 57.
Having secured the dismissal of the charges against her, plaintiff proceeded to file another
lawsuit in the Franklin County Court of Common Pleas “alleging violations of 42 USC 1983 in
substance.” Doc. 2 ¶ 58. Defendants in this suit were 12 of the 15 defendants in the case at issue
here.1 See doc. 16-2 at 1. Plaintiff voluntarily withdrew the common pleas action on January 13,
2010. Doc. 2 ¶ 62, doc. 16-2 at 1.
Plaintiff’s next suit was in the Ohio Court of Claims. There, she sought a determination of
whether certain state employees (the complaint does not say which employees) were immune from
suit. Doc. 2 ¶ 62. On August 23, 2010, the Court of Claims dismissed her action because the twoyear statute of limitations for claims against the state had expired, and alternatively because her
claims were a collateral attack on the OVLMB’s actions against her. Doc. 16-4 at 2. The Tenth
District Court of Appeals affirmed the Court of Claims’s dismissal on May 12, 2011. Doc. 15-1.
Plaintiff next filed a mandamus action in the Tenth District Court of Appeals. Doc. 2 ¶ 64.
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The missing defendants, Aaron Epstein, Jennifer Adair, and Mindy W orly are attorneys from the office of
the Ohio Attorney General who represented defendants in the common pleas or subsequent actions brought by
plaintiff. See doc. 2 ¶ 23.
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There she sought a writ compelling the OVMLB to re-issue its order of a civil penalty against
her–the order for which the Board had subsequently decided to drop charges. Doc. 15-2 at 1. The
Court of Appeals did not grant the writ: “Apparently Sizemore is discontented with the dismissal of
the charges. Instead, she wants the adverse order, the order finding she had been guilty of
misconduct, reissued. We do not believe that Sizemore has the right to compel a governmental
agency to issue an order which the agency no longer feels is appropriate.” Doc. 15-2 at 3.
Plaintiff subsequently filed this, her fourth lawsuit related to a penalty that the Board
subsequently decided not to issue, on December 18, 2012. Plaintiff, proceeding pro se, characterizes
the procedural history as follows: “The three-ring circus perpetuated by the Ohio Attorney General’s
office and the Defendants listed continued the pattern and practice of conduct that deprived this
Plaintiff of her Federally protected rights. All parties participated in the acts being convinced this
Plaintiff would never ‘smarten up’ enough to file this action in this Federal Court.” Doc. 2 ¶ 67.
Though the denial of federal rights is clearly at the heart of plaintiff’s complaint, and the complaint
contains legal terminology suggesting specific federal rights, plaintiff makes very few factual
allegations regarding what any individual defendant did to deny her any identifiable federal right.
In seeking to give a pro se plaintiff the benefit of the doubt, the Court has carefully identified the
allegations that she does make against individual defendants. Most of these are general and
conclusory.
For example, plaintiff makes a large number of allegations that “defendants” generally
wronged her or violated some federal right. She alleges that “pertinent Defendant parties conspired
to deprive her of her rights through an unlawful means-particularly fraud.” Doc.2 ¶ 8. She generally
alleges that “all attorneys listed as Defendants conducted the deprivation of her Federally protected
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rights within the legal definition of fraud as well as the Defendants, the Ohio Veterinary Medical
Licensing Board members.” Doc. 2 ¶ 8. Similarly, plaintiff alleges that “all Defendants acted with
malice and forethought as they continued and continued to pursue taking adverse actions against
Plaintiff’s license and depriving her of her Federally protected rights to due process, equal
protection, trial by jury, petitioning the government for the redress of grievances, etc.” Doc. 2 ¶ 10.
The challenge presented by this complaint is that for the most part, plaintiff makes broad
legal conclusions that plaintiffs have engaged in some violation of her rights in the absence of factual
allegations regarding how defendants have done so. For example, paragraph 24 of the complaint is
comprised entirely of conclusions without supporting factual allegations:
Plaintiff contends the Defendant attorneys in paragraph 23 have perverted the use of
the courts, filed motions to dismiss with frivolous legal argument, moved for
summary judgment without meeting requirements to do so, presented false
information to the Courts in Ohio, disregarded the legal doctrine of stare decis [sic]
in Ohio, intimated [sic] this Plaintiff, failed to justify the actual conduct of all
pertinent parties above, as well as have jeopardized the recovery for damages done
to this Plaintiff based on misapplied legal argument. Plaintiff is certain these
Defendant attorneys are well acquainted with the laws in Ohio and requirements of
Civil Rule 11.
Doc. 2 ¶ 24. In short, though it is clear from plaintiff’s complaint that she believes she has been
wronged by defendants, it is a challenge to piece together what they actually did. Plaintiff’s
allegations do not tell a clear story of what she claims happened.
Nonetheless, the complaint does include some allegations of specific action ascribed to most
of the fifteen defendants. For the most part, these allegations accuse the defendants of 3 types of
misconduct: 1) Intimidating plaintiff and threatening her with legal action; 2) ignoring legal
arguments and facts presented by plaintiff and making false allegations and promoting alternate
“fraudulent” legal arguments in judicial or disciplinary proceedings; and 3) refusing to investigate
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or protect plaintiff from other defendants’ actions. Plaintiff’s specific allegations regarding each
defendant are further examined below.
II.
Standards of Review
a. 12(b)(6)
Federal Rule of Civil Procedure 8(a) requires that a pleading contain a “short and plain
statement of the claim showing that the pleader is entitled to relief.” Fed. R. Civ. P. 8(a)(2). When
considering a motion under Rule 12(b)(6) to dismiss a pleading for failure to state a claim, a court
must determine whether the complaint “contain[s] 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
Bell Atlantic Corp. v. Twombly, 550 U.S. 544, 570 (2007)). A court should construe the complaint
in the light most favorable to the plaintiff and accept all well-pleaded material allegations in the
complaint as true. Iqbal, 556 U.S. at 679; Erickson v. Pardus, 551 U.S. 89, 93-94 (2007); Twombly,
550 U.S. at 555-56. Further, the pleadings of pro se plaintiffs “are held to less stringent standards
than those prepared by attorneys, and are liberally construed when determining whether they fail to
state a claim upon which relief can be granted.” Martin v. Overton, 391 F.3d 710, 712 (6th Cir.
2004) (citing Haines v. Kerner, 404 U.S. 519, 520–521 (1972); Jourdan v. Jabe, 951 F.2d 108, 110
(6th Cir. 1991)).
Despite this liberal pleading standard, the “tenet that a court must accept as true all of the
allegations contained in a complaint is inapplicable to legal conclusions. Threadbare recitals of the
elements of a cause of action, supported by mere conclusory statements, do not suffice.” Iqbal, 556
U.S. at 678; see also Twombly, 550 U.S. at 555, 557 (“labels and conclusions” or a “formulaic
recitation of the elements of a cause of action will not do,” nor will “naked assertion[s]” devoid of
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“further factual enhancements”); Papasan v. Allain, 478 U.S. 265, 286 (1986) (a court is “not bound
to accept as true a legal conclusion couched as a factual allegation”). The plaintiff must provide the
grounds of his entitlement to relief “rather than a blanket assertion of entitlement to relief.”
Twombly, 550 U.S. at 556 n.3. Thus, “a court considering a motion to dismiss can choose to begin
by identifying pleadings that, because they are no more than conclusions, are not entitled to the
assumption of truth.” Iqbal, 556 U.S. at 679.
When the complaint does contain well-pleaded factual allegations, “a court should assume
their veracity and then determine whether they plausibly give rise to an entitlement to relief.” Iqbal,
556 U.S. at 679. “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.”
Id. at 678. Though “[s]pecific facts are not necessary,” Erickson, 551 U.S. at 93, and though Rule
8 “does not impose a probability requirement at the pleading stage,” Twombly, 550 U.S. at 556, the
factual allegations must be enough to raise the claimed right to relief above the speculative level and
to create a reasonable expectation that discovery will reveal evidence to support the claim. Iqbal,
556 U.S. at 678-79; Twombly, 550 U.S. at 555-56.
This inquiry as to plausibility is “a
context-specific task that requires the reviewing court to draw on its judicial experience and common
sense. . . . [W]here the well-pleaded facts do not permit the court to infer more than the mere
possibility of misconduct, the complaint has alleged – but it has not ‘show[n]’– ‘that the pleader is
entitled to relief.’” Iqbal, 556 U.S. at 679 (quoting Fed. R. Civ. P. 8(a)(2)).
The parties have attached several documents to the motions, responses, and replies under
consideration in this order. The analysis presented below relies only on the plaintiff’s complaint.
According to Rule 12(d) of the Federal Rules of Civil Procedure, “If, on a motion under Rule
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12(b)(6) . . . matters outside the pleadings are presented to and not excluded by the court, the motion
must be treated as one for summary judgment under Rule 56. All parties must be given a reasonable
opportunity to present all the material that is pertinent to the motion.” The parties have not
conducted discovery and the analysis below does not consider matters outside of the pleadings.
b. 12(b)(1)
Where a defendant raises the issue of lack of subject matter jurisdiction under Rule 12(b)(1),
the plaintiff has the burden of proving jurisdiction in order to survive the motion to dismiss. DLX,
Inc. v. Kentucky, 381 F.3d 511, 516 (6th Cir.2004); Moir v. Greater Cleveland Regional Transit
Auth., 895 F.2d 266, 269 (6th Cir.1990).
Motions to dismiss for lack of subject matter jurisdiction fall into two general categories:
facial attacks and factual attacks. United States v. Ritchie, 15 F.3d 592, 598 (6th Cir.1994). A facial
attack on subject matter jurisdiction goes to whether the plaintiff has properly alleged a basis for
subject matter jurisdiction, and the trial court takes the allegations of the complaint as true. Ohio
Nat'l Life Ins. Co. v. United States, 922 F.2d 320, 325 (6th Cir.1990). A factual attack is a challenge
to the factual existence of subject matter jurisdiction. No presumptive truthfulness applies to the
factual allegations, and the court is free to weigh the evidence and satisfy itself as to the existence
of its power to hear the case. Ritchie, 15 F.3d at 598; Moir, 895 F.2d at 269. Here, defendants are
making a facial attack on plaintiff's complaint.
III.
Analysis
a) The hearing officer: Marc E. Myers
Defendant Marc E. Myers argues that the claims against him must be dismissed because he
is entitled to absolute quasi-judicial immunity, because plaintiff’s claims are barred by the statute
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of limitations, because plaintiff’s allegations have not stated a federal cause of action, and because
plaintiff’s claims are barred by the waiver and immunity provisions of the Ohio Court of Claims Act.
Doc. 15.
In her complaint, Plaintiff includes a handful of allegations that are specific to defendant
Myers. She alleges that
Defendant Marc Myers was contracted as the Hearing Examiner to hear and make
recommendations to the OVMLB regarding allegations of misconduct against
Plaintiff, Dr. Terrie Sizemore RN DVM. . . . Mr. Myers ignored all legal argument
provided by this Plaintiff that was truthful and made recommendation to punish this
Plaintiff’s license without the legal authorities to support any decisions unfavorable
to this Plaintiff. Defendant Mr. Myers ignored all facts below and within the . . .
hearing on July 20, 2006, he did not allow this Plaintiff to bring forth evidence to
support her innocence.
Doc. 2 ¶ 15. In addition to serving as the hearing examiner, plaintiff alleges that after the hearing,
defendant Myers “filed his report and recommendations with the OVMLB advising them falsely and
without facts or law to support that this Plaintiff had violated her professional code of conduct and
advised the OVMLB to draft formal charges against this Plaintiff for the first two accusations
[against her].” Doc. 2 ¶ 47. Plaintiff’s allegations regarding defendant Myers are limited to his
actions as the hearing examiner and his subsequent report.
Defendant Myers argues that, as a hearing officer, he is entitled to quasi-judicial immunity.
“The doctrine of judicial immunity is justified ‘by a long-settled understanding that the independent
and impartial exercise of judgment vital to the judiciary might be impaired by exposure to potential
damages liability.’” Id. at 1115 (quoting Antoine v. Byers & Anderson, Inc., 508 U.S. 429, 435
(1993). Judicial Immunity protects “a sweeping range of judicial actions.” Id.
The “judicial acts” protected by absolute judicial immunity are broadly defined. Whether
an action is taken in a judicial capacity “turns on two factors: (1) looking to the nature of the act
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itself, whether the act is a ‘function normally performed by a judge’; and (2) regarding the
expectations of the parties, whether the parties ‘dealt with the judge in his judicial capacity.’ . . . .
[E]ven if a particular act is not a function normally performed by a judge, we are directed to ‘look
to the particular act’s relation to a general function normally performed by a judge.’” Barnes v.
Winchell, 105 F.3d 1111, 1116 (6th Cir. 1997) (quoting Mireles v. Waco, 502 U.S. 9, 12-13 (1991)).
Though not a judge, an officer at an administrative hearing is entitled to quasi-judicial
immunity for judicial acts taken within the jurisdiction of that role:
Quasi-judicial absolute immunity is available to “state officials subject to restraints
comparable to those imposed by the Administrative Procedure Act and performing
adjudicatory functions in resolving potentially heated controversies.” . . . Quasijudicial immunity should be granted to state officials when “(1) their positions are
akin to that of judges; (2) the potential for vexatious lawsuits is great; and (3) enough
safeguards exist to protect [the complainant’s] constitutional rights.”
Purisch v. Tenn. Tech. Univ., 76 F.3d 1414 (6th Cir. 1996) (quoting Watts v. Burkhart, 978 F.3d
269, 273, 278 (6th Cir. 1992)). Here, defendant Myers’s role as a hearing officer was “akin to that
of judges.” He independently took evidence, applied the law, and rendered a recommendation to the
OVMLB. The potential for dissatisfaction and accompanying lawsuits is great–Myers’s role was one
in which he was called on to make disciplinary decisions implicating members of a profession. And,
meaningful safeguards were available in the form of multiple layers of review and appeal. Plaintiff
had the opportunity to oppose defendant Myers’s recommendation before the Board partially adopted
it. She appealed the Board’s decision to the common pleas court, and she appealed her dismissal
from the common pleas court to the Tent District Court of Appeals.
Because defendant Myers is entitled to absolute quasi-judicial immunity, the Court need not
consider his other arguments. Defendant Myers’s motion to dismiss (doc. 15) is GRANTED.
b) The state-employee defendants involved only in the original OVMLB action and plaintiff’s
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appeals prior to the Court of Claims action
For six of the remaining defendants, the plaintiff has only alleged facts relating to her initial
OVMLB hearing and her appeals to that hearing to the Board, the Franklin County Court of
Common Pleas, and to the Ohio Court of Appeals. Each of these six defendants is also an official
or employee of the State of Ohio. For these six defendants, plaintiff alleges that: Defendant Heather
Hissom Coglianese was “the Executive Secretary and the Executive Directer of the [OVMLB] and
. . . created and signed documents with false allegations of misconduct against Plaintiff and posted
embarrassing and false and defamatory statements against Plaintiff . . . .” Doc. 2 ¶ 12. Defendant
Barry McKew was an assistant attorney general and “knew the charges brought against this Plaintiff
were false and he continued to force her to a hearing and . . . . intimidated this Plaintiff by making
veiled and overt threats regarding license revocation to this Plaintiff without legal grounds to do so.”
Doc. 2 ¶ 14. Defendants Janet Small, Darrell Gitz, David Koncal, and Renee Jessen “were members
of the OVMLB that promulgated adverse action against Plaintiff’s veterinary license . . . .” Doc. 2
¶ 18. Plaintiff makes no allegations against any of these defendants beyond their alleged wrongful
participation in the OVMLB action against her, and her direct appeals of that action. Plaintiff has
previously put this same set of actions before the Ohio Court of Claims.
In Ohio, a plaintiff seeking to sue an officer or employee of the state, must first file suit in
the Ohio Court of Claims, which has “exclusive, original jurisdiction to determine, initially, whether
the officer or employee is entitled to personal immunity . . . .” Ohio Rev. Code § 2743.02(F).
“[F]iling a civil action in the court of claims results in a complete waiver of any cause of action,
based on the same act or omission, that the filing party has against any officer or employee . . . .”
Ohio Rev. Code § 2742.02(A)(1). This waiver of suit against state employees remains in effect
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unless and until the Court of Claims determines that the employee is not entitled to immunity. Id.
Where a plaintiff files suit in the Court of Claims and her case is dismissed without that court
determining that the acting employees are not immune from suit, all causes of action against those
employees, “based on the same act or omission” are waived. Id. The plaintiff may not file state or
federal claims based on the acts at issue in the Court of Claims action in state or federal court.
Leaman v. Ohio Dep’s of Mental Retardation & Dev. Disabilities, 825 F,2d 946, 952 (6th Cir. 1987)
(en banc).
Here, plaintiff alleges that following her voluntary dismissal of her direct appeal of the
OVMLB action, doc. 2 ¶ 55, and her dismissal of a claim “allegaing violations of 42 USC 1983 in
substance” in the Franklin County Court of Common Pleas, she filed suit in the Court of Claims
seeking a determination that the state employees against whom she wished to proceed were not
immune from suit. Doc. 2 ¶ 62. Plaintiff does not allege that the Court of Claims determined that
the defendants were not immune from suit, but instead argues that she was not required to obtain an
immunity determination before proceeding against the state employees. Doc. 2 ¶ 63. This argument
is contrary to Ohio law and Sixth Circuit precedent.
Plaintiff’s allegations against defendants Coglianese, McKew, Small, Gitz, Koncal, and
Jessen are only related to the OVMLB action and her appeal of that action. When she filed in the
Court of Claims, plaintiff waived any cause of action based on these same actions. Because plaintiff
has not received an immunity determination from the Court of Claims, that waiver remains in effect.
The motion to dismiss (doc. 16) with respect to claims against defendants Coglianese, McKew,
Small, Gitz, Koncal, and Jessen is GRANTED.
c) Director of the OVMLB: Theresa Stir
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For the most part, plaintiff’s allegations against defendant Theresa Stir are similar to her
allegations against the six defendants described in section b, above. Plaintiff alleges that defendant
Stir was the Director of the OVMLB, and that in the couse of the OVMLB disciplinary action she
“issued a fraudulent ‘dismissal of charges’ letter” and “threatened [plaintiff] with contacted [sic] law
enforcement official without providing legal justification to do so.” Doc. 2 ¶ 19. Stir also allegedly
“threaten[ed] and frighten[ed] this Plaintiff by writing and ordering Plaintiff not to contact publicly
advertised veterinarians on the OVMLB.” Doc. 2 ¶ 20. These allegations against a state employee
are based on the same acts and omissions as plaintiff’s Court of Claims action, in which she did not
receive an immunity determination. As described above, plaintiff has waived any cause of action
based on these actions.
Plaintiff makes one allegation against defendant Stir that could go beyond the actions on
which the Court of Claims action was based. She alleges that Stir “provided the Tenth District Court
of Appeals, Mandamus action . . . a fraudulent affidavit by providing ‘minutes to an OVMLB’
meeting that were false and did not make statements she claims they made.” Doc. 2 ¶ 19.
Claims based on this allegation may not have been waived by plaintiff’s Court of Claims
action. However, though they could represent an attempt to state a claim for fraud, plaintiff’s
allegations are insufficient. Under Ohio law, the elements of a fraud claim, which must be plead
with particularity, are: a material representation “made falsely, with knowledge of its falsity, . . . with
the intent of misleading another into relying upon it, . . . justifiable reliance upon the representation
or concealment, [and] a resulting injury . . . .” Casey v. Reidy, 906 N.E.2d 1139, 1143 (Ohio Ct.
App. 2009). Though plaintiff generally alleges that defendant Stir provided “a fraudulent affidavit,”
most of the elements of a fraud claim are unsupported by plaintiff’s allegations. In particular, she
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does not allege that she (or anyone else) reasonably relied on the affidavit, or that she suffered any
injury because of defendant Stir’s allegedly fraudulent actions. For the reasons stated above, the
motion to dismiss (doc. 16) with respect to claims asserted against defendant Stir is GRANTED.
d) Defendants who allegedly failed to investigate plaintiff’s claims or to protect plaintiff from
other defendants: Charles, Gibbs, Winn
Plaintiff’s allegations against several defendants claim only that they failed to investigate
plaintiff’s claims against other defendants, or failed to protect plaintiff from the actions of other
defendants. For example, plaintiff alleges that defendant
Tracy Winn was acting Director of Boards and Commissions and was cc’d on all
documents relating to Plaintiff’s concerns about the OVMLB’s actions and conduct
in this action and failed to respond in any way to the Plaintiff’s concerns or stop or
prevent the OVMLB’s actions against the Plaintiff that deprived her her [sic]
Federally protected rights when it was in her ability and authority to do so.
Doc. 2 ¶ 21. Absent from plaintiff’s allegations regarding defendant Winn is any allegation that
Winn had a duty or legal responsibility to do what plaintiff claims she should have. Without a duty
to take an action, it is unclear how plaintiff believes that defendant Winn violated any law. Plaintiff
has failed to state a claim on which relief may be granted against defendant Winn.
Similarly, plaintiff has failed to state a claim against her former state representative, Bob
Gibbs. Though plaintiff alleges that she asked defendant Gibbs to assist her and that he declined to
do so, she does not allege that he had any duty or legal responsibility towards her that he violated.
See doc. 2 ¶ 17. Plaintiff has failed to state a claim on which relief may be granted against defendant
Gibbs.
Plaintiff’s allegations go one step farther against defendant Thomas Charles. Plaintiff claims
that Charles was the Ohio Inspector General, that she alerted him to the OVMLB’s alleged wrongful
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action, and though plaintiff alleges that Charles was required by Ohio law and his job description
to investigate plaintiff’s claims, he declined to do so. Doc. 2 ¶ 16. Indeed, the Ohio Insepctor
General is required to “[r]eceive complaints . . . alleging wrongful acts and omissions, determine
whether the information contained in those complaints allege facts that give reasonable cause to
investigate, and, if so, investigate to determine if there is reasonable cause to believe that the alleged
wrongful act or omission has been committed or is being committed by a state officer or state
employee.” Ohio Rev. Code § 121.42(B). Plaintiff does not allege that defendant Charles refused
to receive her complaint, but that upon receipt, he did not investigate or protect her from the
OVMLB. Doc. 2 ¶ 16. It was within defendant Charles’s discretion to determine whether an
investigation was warranted and plaintiff has not alleged that Charles acted in bad faith or with a
malicious purpose. For that discretionary determination, soundly within the scope of his official
capacity, defendant Charles is entitled to qualified immunity. “[G]overnment officials performing
discretionary functions generally are shielded from liability for civil damages insofar as their conduct
does not violate clearly established statutory or constitutional rights of which a reasonable person
would have known.” Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982). Plaintiff does not allege that
defendant Charles violated any of her federal statutory or constitutional rights, nor that such right
was clearly established. Furthermore, even construing plaintiff’s complaint liberally, it is not
apparent how, by declining to take the investigative and prosecutorial actions urged by the plaintiff,
he could have violated any federal right.
For the reasons stated above, the motion to dismiss (doc. 16) with respect to claims asserted
against defendants Winn, Gibbs, and Charles is GRANTED.
e) The Ohio Attorney General
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Defendant alleges that “[a]t some times pertinent to this action, Defendant Marc Dann was
the Ohio Attorney General . . . . Dann’s name is on each and every document prepared by AAG
Barry McKew rendering him a joined party to this action. Defendant Marc Dann did not prevent the
deprivation of Federally protected rights . . . .” Doc. 2 ¶ 13. Defendant Dann is entitled to qualified
immunity. Plaintiff’s allegations that defendant Dann’s name appeared on documents prepared by
his assistant attorneys general and that he did not prevent the alleged deprivation of her rights do not
state a claim that defendant Dann violated any specific right held by plaintiff, or that such right was
clearly established. The motion to dismiss (doc. 16) with respect to claims asserted against
Defendant Dann is GRANTED.
f) Assistant Attorneys General Epstein, Adair, and Worly
Plaintiff alleges that defendants Epstein, Adair, and Worly “were/are attorneys with the Ohio
Attorney General’s office . . . .” Doc. 2 ¶ 23. She alleges that these three assistant attorneys general
conspired to deprive her of federal rights, provided “false and misleading information to the Courts
in Ohio as this Plaintiff attempted to litigate,” and wrongfully provided legal representation to other
defendants who had acted outside the scope of their employment. Doc 2 ¶ 23.
No allegations in plaintiff’s complaint support her claim of a conspiracy. She alleges no facts
from which any plausible inference could be drawn that defendants Epstein, Adair, or Worly agreed,
explicitly or tacitly, to deprive plaintiff of her rights. Her allegations against these plaintiffs are, for
the most part, limited to claims that they presented allegedly false facts or incorrect legal arguments
to Ohio Courts. She does not allege an agreement or facts from which an agreement could be
inferred.
Plaintiff does allege that each of the assistant attorney general defendants somehow acted
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improperly while representing clients before Ohio Courts. For example, plaintiff claims that
defendant Epstein made false legal claims before an Ohio court. Doc. 2 ¶¶ 59-61. She alleges that
defendant Adair “filed a motion to dismiss and based her legal argument on misapplied statutes as
well as ignored the requirement to exhaust all administrative remedies prior to being permitted an
action for damages for acts of State agencies.” Doc. 2 ¶ 63. Similarly, plaintiff alleges that before
the Court of Appeals defendant Worly “presented approximately 19 false statements in one brief to
the Court and about 21 false statements in another brief to the Court . . . .” Doc. 2 ¶ 65. Plaintiff
claims that “[t]his action is taken under 42 USC 1983, 1985, 1986, and 1988.” Doc. 2 ¶ 3. Only
Section 1983, which prohibits deprivations of federal rights while acting under color of state law is
plausibly at issue here.2 Yet, from plaintiff’s allegations, it is not apparent what federal right
defendants Epstein, Adair, and Worly could have deprived her of. See doc. 2 ¶ 23 (alleging that
defendants “have conspired . . . to deprive her of her Federally protected rights . . . ” without stating
of which rights she has been deprived). Plaintiff generally invokes rights under the Fourteenth
Amendment, the right to petition the government, the right to trial by jury, and rights to “reputation,
employment, due process, and equal protection.” Doc. 2 ¶¶ 5, 6. Yet, allegations that attorneys
misstated facts or legal arguments do not, alone, support violations of any of these rights. Plaintiff’s
allegations appear directed more towards defendants’ representation of their clients as attorneys.
Such allegations are beyond the jurisdiction of this court. See State ex rel. Buck v. Maloney, 809
N.E.2d 20, 22 (Ohio 2004).
2
Section 1985 requires a conspiracy, which, as discussed above, is unsupported by plaintiff’s allegations.
Section 1986 provides an action against those who have knowledge of a Section 1985 conspiracy and the power to
prevent it. Plaintiff’s allegations do not support either the existence of a conspiracy, or that defendants Epstein,
Adair, or W orly had knowledge of any such conspiracy. Finally, Section 1988 does not provide plaintiff with any
additional cause of action.
17
Finally, plaintiff challenges the propriety of the assistant attorneys general defendants’
representation of their clients. Section 109.362 of the Ohio Revised Code requires the attorney
general to conduct an investigation prior to representing a state employee or official, and that this
investigation must determine whether the employee acted “manifestly outside the scope of his
employment or official responsibilities, with malicious purpose, in bad faith, or in a wanton or
reckless manner . . . .” If the investigation determines that the employee did so, the attorney general
must decline to represent the employee or official. Ohio Rev. Code § 109.362(A). Plaintiff alleges
that “[i]t is inconceivable that parties acting outside their jurisdiction and violating the law and
known Supreme Court of Ohio rulings and bringing false charges against an innocent party, and
committing fraud, etc, could in any way have acted within the scope of their employment.” Doc. 2
¶ 23. The essence of plaintiff’s claim is that because she alleges that defendants have wronged her,
they could not possibly have acted within the scope of their employment. She alleges no facts from
which any reasonable inference could be drawn that defendants’ determination that their clients acted
within the scope of their employment caused the deprivation of any clearly established right held by
plaintiff. Defendants are entitled to qualified immunity from these allegations. The motion to
dismiss (doc. 16) with respect to claims asserted against Defendants Epstein, Adair, and Worly is
GRANTED.
IV.
Conclusion
Based on the foregoing reasons, the motions to dismiss (docs. 15, 16) are GRANTED. The
clerk shall enter final judgment in favor of the defendants dismissing plaintiff’s complaint with
prejudice.
18
IT IS SO ORDERED.
S/ James L Graham
James L. Graham
UNITED STATES DISTRICT JUDGE
Date: May 2, 2013
19
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