MERGL v. WALLACE
Filing
23
OPINION. Signed by Chief Judge Mark R. Hornak on 9/30/22. (jad)
IN THE UNITED STATES DISTRICT COURT
FOR THE WESTERN DISTRICT OF PENNSYLVANIA
RYAN A. MERGL, ESQ.
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Plaintiff,
v.
THE HONORABLE DANIEL WALLACE;
THE COMMONWEALTH OF
PENNSYLVANIA
Defendants.
2:21-cv-1335
Chief Judge Mark R. Hornak
OPINION
Mark R. Hornak, Chief United States District Judge
This case centers on allegations that Defendants Daniel Wallace, President Judge of the
Mercer County (PA) Court of Common Pleas, and the Commonwealth of Pennsylvania, violated
Title II of the Americans with Disabilities Act, 42 U.S.C. § 12131 et seq., and the Rehabilitation
Act, 29 U.S.C. § 794 in regard to Judge Wallace’s judicial dealings with Plaintiff.
Pending before the Court is Defendants’ Motion to Dismiss the Plaintiff’s Complaint (ECF
No. 10). For the reasons stated below, Defendants’ Motion to Dismiss (ECF No. 10) is
GRANTED, but without prejudice. Consistent with Third Circuit precedent, the Court GRANTS
Plaintiff leave to amend the Complaint.
I.
BACKGROUND
a. Brief Factual Summary1
Plaintiff Ryan A. Mergl is an attorney licensed to practice in the Commonwealth of
Pennsylvania. (ECF No. 1, at 1.) Defendants are the Honorable Daniel Wallace (“Wallace”), a
This statement of facts is based on the allegations set forth in Plaintiff’s Complaint, (ECF. No. 1) which the Court
must generally accept as true for purposes of ruling on the pending Motion to Dismiss. Blanyar v. Genova Prods.,
Inc., 861 F.3d 426, 431 (3d Cir. 2017).
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Judge of the Court of Common Pleas of Mercer County, Pennsylvania, and the Commonwealth of
Pennsylvania, which is responsible for the administration of the Judicial Branch of the
Commonwealth’s government. (Id. at 3.) Plaintiff says that he suffers from two ailments that form
the basis of his discrimination claim against Defendants: diabetes mellitus and the aftereffects of
a concussion that he suffered in July 2020. (Id. at 1–2.)
Plaintiff is a lawyer. That said, the definition of the claims that Plaintiff seeks to assert is
not crisply clear. In the Court’s estimation, Plaintiff has seemingly pled that five distinct incidents
involving him and Wallace constitute discrimination or retaliation in violation of Title II of the
Americans with Disabilities Act (“ADA”), 42 U.S.C. § 12131 et seq., the Rehabilitation Act
(“RA”), 29 U.S.C. § 794, or both. The first three incidents are asserted to relate to Plaintiff’s
diabetes, and the second two incidents appear to relate primarily to Plaintiff’s concussion. (See
ECF No. 1, at 4–10.)
First, on February 11, 2020, Plaintiff “had a conflict in his calendar” because he reports
that he was scheduled to be in three places at once: in the Courtroom of Judge Ronald D. Amrhein,
also of the Court of Common Pleas of Mercer County; in the Courtroom of Wallace; and also in
Magisterial District Court 3-52-01. (ECF No. 1, at 4.) On February 8, 2020, Plaintiff had contacted
the chambers of Judge Amrhein and explained the conflict; Judge Amrhein then granted Plaintiff
permission to appear late to his courtroom. (Id.) “Plaintiff inquired whether he should contact []
Wallace[] or if Judge Amrhein’s chamber would contact [Wallace] . . . Judge Amrhein’s assistant
stated that she would notify [] Wallace.” (Id.)
After conducting his business in the other two courtrooms on February 11, 2020, Plaintiff
then proceeded to Wallace’s courtroom, where the scheduled judicial proceedings apparently took
place as usual. (See id. at 5.) Wallace then “informed Plaintiff that he was not free to leave until
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Wallace addressed another matter with [him].” (Id.) Wallace then reprimanded Plaintiff for being
late and directed him that—in the future—Plaintiff would need to request permission to be late
from Wallace directly, in writing, at least 24 hours in advance. (Id.) Plaintiff then explained to
Wallace that he suffers from diabetes mellitus, and “sometimes due to his disability he requires
additional time to prepare in the mornings, and that he cannot plan for or control when he has
complications from his disability.” (Id.) Plaintiff also told Wallace that “it would be a reasonable
accommodation on those occasions that Plaintiff appear slightly late.” (Id.) Wallace responded that
“a contempt hearing would still be scheduled,” and Plaintiff would be required to “prove” his
disability to Wallace with “strong evidence.” (Id. at 6)
Second, a month later on March 11, 2020, Plaintiff had a similar conflict among
courtrooms on his calendar. (Id.) Plaintiff filed a motion to continue 2 the proceeding he was to
have in front of Wallace, which Wallace denied. (Id.) Plaintiff then arranged to have another
qualified attorney represent his client at the hearing in front of Wallace. (Id.) Wallace then entered
a Rule to Show Cause against Plaintiff, requiring Plaintiff to show cause why he (Plaintiff) should
not be held in contempt for failure to personally appear. (Id.) Though Wallace held a hearing on
June 22, 2020, he ultimately dismissed the Rule to Show Cause. (Id. at 7.) At that proceeding,
Wallace indicated that he “was only taking these actions against Plaintiff to get Plaintiff to act like
every other member of the Mercer County Bar.” (Id.)
The third incident took place after Plaintiff was struck by a car on July 9, 2020. (Id.) After
the accident, Plaintiff suffered from blurred vision, headaches, memory problems, and other
ailments, and as a result was advised to limit himself to a maximum of three hours of cognitive
activity per day. (Id.) On August 3, 2020, Plaintiff participated in a status conference in front of
Plaintiff’s Complaint does not specify whether the motion to continue filed as to the March 11, 2020 proceeding
complied with the parameters that Wallace laid out during their conversation on February 11, 2020.
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Wallace. (Id. at 8.) At the end of the conference, Wallace stated that he had received a “disturbing
email” that Plaintiff had requested a continuance of a hearing that was located over two hours
away. (Id.) Wallace suggested that Plaintiff had acted inappropriately because he “appeared fine”
to Wallace and stated that Plaintiff should be held in contempt for requesting a continuance due to
his disability. (Id.) When Plaintiff attempted to explain his disability to Wallace, Wallace said, “I
don’t care” and left the courtroom. (Id.) Plaintiff then provided “all of the documentation of his
disability” to Wallace via email. (Id.)
Fourth, on August 10, 2020, Plaintiff appeared before Wallace for a pretrial conference,
where Wallace stated the Plaintiff must begin a two or three day trial, with approximately ten
witnesses, the next day. (Id.) Plaintiff requested that the trial be continued thirty days to
accommodate his disability. Wallace initially denied the request, stating that “Plaintiff did not have
a disability.” (Id.) Plaintiff and Wallace then got into an unpleasant verbal exchange, in which
Wallace questioned the documentation that Plaintiff had previously provided. (See id.) In that
exchange, Wallace also allegedly made several comments such as that Plaintiff “would milk the
disability for all it was worth;” that Plaintiff was “out of line” for requesting an accommodation;
and that Plaintiff’s client “should get his money back.” (See id. at 9.) Though Wallace stated that
he would not accommodate Plaintiff until he provided satisfactory documentation of his disability
(id. at 10), Plaintiff does not contest the Commonwealth’s assertion that Wallace in fact granted
the requested continuance. (See ECF No. 12 at 3, ECF No. 12-1, ECF No. 21)
Plaintiff’s fifth and final allegation stems from a complaint that Plaintiff filed with the
United States Department of Justice (“DOJ”). On August 24, 2020, Plaintiff filed a complaint
against Defendant Wallace with DOJ asserting violations of Title II of the ADA. (ECF No. 1, at
10.) On September 2, 2020, Plaintiff filed a motion with Wallace, requesting that Wallace recuse
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himself from all of Plaintiff’s cases. (Id.) In response, Defendant Wallace took three actions that
allegedly constitute retaliation: 1) he issued an Order of the Court without having a hearing,
supposedly in violation of the Pennsylvania Rules of Court; 2) he refused to recuse himself from
all of Plaintiff’s cases (thus requiring Plaintiff to continue to appear in front of him); and 3) he
“subject[ed] Plaintiff to further discrimination.” (See id.) Wallace stated that he “would not recuse
himself until [DOJ] ‘determine[s] it has authority to open an investigation’” and “provides written
notice of the opening of the investigation.” (Id.)
b. Procedural Background
Plaintiff filed his Complaint in this Court on September 21, 2021. (ECF No. 1.) The
Defendants filed a Motion to Dismiss (ECF No. 10) and an accompanying Brief (ECF No. 12) on
February 22, 2022. Plaintiff filed a Brief in Opposition (ECF No. 21) on March 28, 2022, and the
time for Defendants to file a Reply expired on April 26, 2022 (see ECF No. 22). The Motion to
Dismiss (ECF No. 10) is therefore ripe for disposition.
II.
LEGAL STANDARD
When evaluating a motion to dismiss filed pursuant to Fed. R. Civ. P. 12(b)(6), the Court
must accept all non-conclusory allegations in the complaint as true, and the non-moving party
“must be given the benefit of every favorable inference.” Malleus v. George, 641 F.3d 560, 563
(3d Cir. 2011) (quoting Kulwicki v. Dawson, 969 F.2d 1454, 1462 (3d Cir. 1992)). However, the
Court “disregard[s] threadbare recitals of the elements of a cause of action, legal conclusions, and
conclusory statements.” Cambridge Ret. Sys. v. Altisource Asset Mgmt. Corp., 908 F.3d 872, 878–
79 (3d Cir. 2018) (quoting James v. City of Wilkes-Barre, 700 F.3d 675, 681 (3d Cir. 2012)).
To state a plausible claim for relief, the non-moving party’s factual allegations must “raise
a right to relief above the speculative level,” Bell Atlantic Corp. v. Twombly, 550 U.S. 544, 555
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(2007), and must do more than “plead[] facts that are ‘merely consistent with’ a defendant’s
liability.” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009) (quoting id. at 557). However, the nonmoving party “need only put forth allegations that raise a reasonable expectation that discovery
will reveal evidence of the necessary element.” Thompson v. Real Est. Mortg. Network, 748 F.3d
142, 147 (3d Cir. 2014) (quoting Fowler v. UPMC Shadyside, 578 F.3d 203, 213 (3d Cir. 2009)).
III.
DISCUSSION
Defendants have put forth three arguments in favor of their Motion to Dismiss: (a) that this
Court lacks jurisdiction to adjudicate Plaintiff’s claims under the Rooker-Feldman doctrine; (b)
that Plaintiff has not stated a claim for which relief can be granted under the ADA or RA; and (c)
that Defendants are entitled to immunity under the Eleventh Amendment. The Court treats each of
these arguments in turn.
a. The Rooker-Feldman doctrine
Defendants argue that Plaintiff’s claims should be dismissed under the Rooker-Feldman
doctrine. (ECF No. 12, at 6–7.) Rooker-Feldman operates to prevent federal district courts from
exercising jurisdiction “in certain circumstances[] where a federal suit follows a state suit.”
Vuyanich v. Smithton Borough, 5 F.4th 379, 384 (3d Cir. 2021) (quoting Great W. Mining & Min.
Co. v. Fox Rothschild LLP, 615 F.3d 159, 163–64 (3d Cir. 2010)). The doctrine stems from 28
U.S.C. § 1257, which “vests authority to review a state court’s judgment solely in the in the United
States Supreme Court.” Id. (quoting Exxon Mobil Corp. v. Saudi Basic Indus. Corp., 544 U.S. 280,
292 (2005) (internal marks omitted)). The Rooker-Feldman doctrine is necessitated by the fact that
“[t]he jurisdiction possessed by the District Courts is strictly original.” Rooker v. Fidelity Trust
Co., 263 U.S. 413, 416 (1923).
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Third Circuit law specifies a four-part test to determine when the Rooker-Feldman doctrine
deprives federal courts of subject matter jurisdiction. A district court must dismiss a claim for relief
under the Rooker-Feldman doctrine when and only when: “(1) the federal plaintiff lost in state
court; (2) the plaintiff ‘complains of injuries caused by the state-court’s judgments’; (3) those
judgments were rendered before the federal suit was filed; and (4) the plaintiff is inviting the
district court to review and reject the state judgments.” Great Western, 615 F.3d at 166 (quoting
Exxon Mobil, 544 U.S. at 284) (internal marks omitted).
The Rooker-Feldman doctrine is plainly inapplicable to the first four incidents alleged by
Plaintiff, which do not involve this Court’s examination of a state court action in the nature of
appellate review. The first and second incidents involved scheduling conflicts and conversations—
not part of any formal proceeding—that Plaintiff and Wallace had regarding those conflicts and
future potential conflicts. And as to each of them, no action was taken against Plaintiff by Wallace.
(ECF No. 1, at 4–7.)
Similarly, the third incident involved a conversation between Plaintiff and Wallace,
apparently regarding a proceeding in front of another judge. (ECF No. 1, at 7–8.) Finally, the fourth
incident involved a continuance that Plaintiff sought and which was granted by Wallace; Plaintiff
does not argue that this Court should review the granting of the continuance or take any action that
would implicitly call the grant of the continuance into question. (ECF No. 1, at 8–10.) Instead,
Plaintiff argues that the comments Wallace made in the process of adjudicating the continuance
constitute a violation of the ADA. Id.
However, the fifth incident—Wallace’s denial of Plaintiff’s motion for recusal—presents
a different scenario. Plaintiff contends that Wallace’s refusal to grant the motion to recuse
constitutes retaliation in violation of the ADA. (ECF No. 1, at 10.) However, Rooker-Feldman
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bars federal courts from exercising jurisdiction when it would have the effect of reviewing state
court judges’ recusal decisions; the avenue for review of a state judge’s recusal decision is through
the relevant state appeal procedure followed by a petition for a writ of certiorari to the United
States Supreme Court. See Smith v. Bender, 350 F. App’x 190, 193 (10th Cir. 2009); Fieger v.
Ferry, 471 F.3d 637, 644 (6th Cir. 2006). Therefore, Defendants correctly assert that this Court
lacks jurisdiction to adjudicate Plaintiff’s claims regarding Wallace’s refusal to recuse himself
from Plaintiff’s cases.
b. Failure to State a Claim Under the ADA or RA
i. Legal Requirements
1. Rehabilitation Act
The Rehabilitation Act provides that “[n]o otherwise qualified individual with a disability
. . . shall, solely by reason of her or his disability, be excluded from the participation in, be denied
the benefits of, or be subjected to discrimination under any program or activity receiving Federal
financial assistance.” 29 U.S.C. § 794(a).
Because “Title II [of the ADA] and its implementing regulations incorporate the
nondiscrimination principles of the Rehabilitation Act, and the statutes’ core provisions are
substantively identical,” Disability Rights New Jersey, Inc. v. Commissioner, 796 F.3d 293, 301
n.3 (3d Cir. 2015) (internal citations and marks omitted), hereafter the Court refers to and analyzes
the ADA alone. See also Macfarlan v. Ivy Hill SNF, LLC, 675 F.3d 266, 274 (3d Cir. 2012) (The
RA and ADA are “to be interpreted consistently” and “have the same standard for liability”); Jaros
v. Ill. Dep’t Corrs., 684 F.3d 667, 671 (7th Cir. 2012) (“The relief available” under the RA and
ADA “is coextensive” and “the analysis governing each statute is the same except that the [RA]
includes as an additional element the receipt of federal funds.”).
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Though the Court does not separately analyze the RA claim below, it is sufficient to note
that Plaintiff has adequately pled, and Defendants do not dispute, that the Defendants receive
federal financial assistance and are therefore subject to the RA. (ECF No. 1, at 3.)
2. ADA
a. Discrimination
The ADA provides that “no qualified individual with a disability shall, by reason of such
disability be excluded from participation in or be denied the benefit of the services, programs, or
activities of a public entity, or be subjected to discrimination by any such entity.” 42 U.S.C. §
12132. Thus, to state a claim under Title II of the ADA, a Plaintiff must sufficiently plead that “(1)
he is a qualified individual; (2) with a disability; (3) who was excluded from participation in or
denied the benefits of the services, programs, or activities of a public entity, or who was subjected
to discrimination by such an entity; (4) by reason of his disability.” Geness v. Admin. Off. of Pa.
Cts., 974 F.3d 263, 273–74 (3d Cir. 2020).
The Court draws special attention here to the third prong of the ADA test, which
Defendants have alleged is not satisfied in this case. The third prong has two disjunctive parts: the
plaintiff must allege either that he was denied the benefits of the services, programs, or activities
of a public entity or that he was otherwise “subjected to discrimination” by such an entity.
As to the first part of the third prong, the text of Title II does not elaborate on the meaning
of “exclu[sion] from participation in or deni[al] of the benefits of the services, programs, or
activities” of a public entity. However, the phrase “services, programs, and benefits” is understood
“broadly to ‘encompass[] virtually everything a public entity does.’” Haberle v. Troxell, 885 F.3d
170, 180 (3d Cir. 2018) (quoting Babcock v. Michigan, 812 F.3d 531, 540 (6th Cir. 2016)); see
Yeskey v. Pa. Dep’t Corrs., 118 F.3d 168, 170 (3d Cir. 1997) (stating that “a word in a statute
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‘must be given its ordinary or natural meaning,’” and that “[a]ctivity, inter alia, means ‘natural or
normal function or operation’”); see e.g., Furgess v. Pa. Dep’t Corrs., 933, F.3d 285, 291 (3d Cir.
2019) (provision of showers in a correctional facility is a program, service, or activity within the
meaning of Title II); Kerrigan v. Phila Bd. Elec., No. 07-cv-687, 2008 WL 25052, at * 3 (E.D. Pa.
Jan. 29, 2008) (“Access to polling places constitutes a service, program, or activity for purposes
of Title II of the ADA.”).
The latter category, prohibiting “discrimination” by public entities, has been characterized
as a “catch-all” provision “prohibiting all discrimination by a public entity, regardless of the
context.” Haberle, 885 F.3d at 180 (quoting Bircoll v. Miami-Dade Cnty., 480 F.3d 1072, 1085
(11th Cir. 2007)). Discrimination under the ADA “encompasses not only adverse actions
motivated by prejudice and fear of disabilities, but also includes failing to make reasonable
accommodations.” Id. (quoting Taylor v. Phoenixville Sch. Dist., 184 F.3d 296, 306 (3d Cir.
1999)); see also Berardelli v. Allied Svcs. Inst. of Rehab. Med., 900 F.3d 104, 117–18 (3d Cir.
2018) (“An essential feature of [the ADA’s] prohibition on discrimination is . . . the duty to make
reasonable accommodations and reasonable modifications.”) (internal marks omitted).
It is not entirely clear when the “catch-all” provision of Title II might support a claim for
harassment that is not linked to a specific, adverse action akin to hostile work environment claims
in the Title VII context. Some courts have recognized that Title II supports such claims when
school administrators ignore severe, disability-based peer-on-peer bullying. See, e.g., K.M. v. Hyde
Park Cent. Sch. Dist., 381 F. Supp. 2d 343, 360 (S.D.N.Y. 2005) (finding “a school district’s
deliberate indifference to pervasive, severe, disability-based harassment that effectively deprived
a disabled student of access to the school’s resources and opportunities” to be “actionable under
Section 504 [of the RA] and Title II [of the ADA]”). However, this Court has not found, nor have
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the Parties identified, a case outside of the public K-12 schooling context where Title II was found
to support a harassment-based claim divorced from a plaintiff’s inability to access a specific
program, service, or activity. See Latham v. Acton, No. 19-cv-258, 2020 WL 6122941, at * 9 (D.
Alaska 2020) (assuming without deciding that Title II supports a harassment claim but finding that
two phone calls to the plaintiff did not rise to an actionable level of harassment).
In any context, however, plaintiffs alleging unlawful harassment must plead that the
defendant’s conduct was so severe and persistent so as to fundamentally alter the nature of their
relationship with the defendant and, in doing so, deprive them of a statutory right. See Harris v.
Forklift Sys., Inc., 510 U.S. 17, 21 (1993) (harassment under Title VII includes not just “economic”
or “tangible” discrimination, but also harassment “that is sufficiently severe or pervasive to alter
the conditions of the victim’s employment”) (emphasis added); Hall v. Millersville Univ., 22 F.4th
397, 408 (3d Cir. 2022) (to prevail on a Title IX harassment claim, plaintiff must allege that
harassment was “so severe, pervasive, and objectively offensive that it deprive[s] [plaintiff] of []
access to the educational opportunities or benefits provided by the school”) (emphasis added).
b. Retaliation
Under the ADA, it is unlawful to retaliate against an individual because they have “opposed
any act or practice made unlawful by the chapter” or “made a charge . . . or participated in any
manner in any investigation, proceeding, or hearing under this chapter.” 42 U.S.C. § 12203(a).
Thus, to establish a prima facie case of retaliation, a plaintiff must allege that “(1) he engaged in
protected activity, (2) he suffered an adverse action after or contemporaneous with the protected
activity, and (3) [there is] a causal connection between the protected activity and the adverse
action.” Snider v. Pa. Dep’t Corrs., 505 F. Supp. 3d 360, 420 (M.D. Pa. 2020).
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c. Heightened Standard for Compensatory Damages
A plaintiff seeking compensatory damages under the ADA—the only relief sought in this
case—must also allege intentional discrimination, which requires pleading at least deliberate
indifference. Haberle, 885 F.3d at 181. A plaintiff claiming deliberate indifference, in turn, must
show (1) “knowledge that a federally protected right is substantially likely to be violated” and (2)
“failure to act despite that knowledge.” Geness, 974 F.3d at 274 n.11 (quoting Haberle, 885 F.3d
at 181). The “knowledge” referred to in the first prong of the deliberate indifference test is actual
knowledge; “allegations that one would have or ‘should have known’ will not satisfy the
knowledge prong of deliberate indifference.” S.H. v. Lower Merion Sch. Dist., 729 F.3d 248, 266
n.26 (3d Cir. 2013).
ii. Sufficiency of the Factual Allegations
At the outset, the Court briefly addresses the necessary elements of an ADA clam that are
not disputed here. As discussed above, a plaintiff seeking relief under the ADA must allege that
he is a qualifying individual with a disability. Moreover, Title II of the ADA only applies to public
entities. Plaintiff claims that, by virtue of his diabetes and the aftereffects of his concussion, he is
a qualifying individual with a disability and therefore is protected by the ADA (see ECF No. 1, at
2–3). He also claims that the Court of Common Pleas of Mercer County is a “public entity” under
the ADA and therefore is required to comply with its provisions. (See id.)
Defendants do not argue that Plaintiff’s claims fail on any of these grounds. However, the
Court briefly notes that whether and when diabetes qualifies as a disability under the ADA is a
matter of some dispute. See Griffin v. United Parcel Serv., Inc., 661 F.3d 216, 223–24 (5th Cir.
2011) (collecting cases and concluding that a plaintiff whose diabetes treatment requires “only
modest dietary and lifestyle changes” failed even to raise an issue as to whether he was disabled
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under the ADA); Carreras v. Sajo, Garcia & Partners, 596 F.3d 25, 34–35 (1st Cir. 2010) (stating
that “when and under what conditions diabetes is considered a disability for ADA purposes ‘is a
matter of degree’” but holding that plaintiff with diabetes causing only minor limitations on seeing
and eating failed to even raise an issue as to disability status under the ADA) (quoting Sepulveda
v. Glickman, 167 F. Supp. 2d 186, 191 (D.P.R 2001)).
Instead, the crux of Defendant’s argument that Plaintiff has not stated a claim under the
ADA is that “none of the five instances Plaintiff cites in his Complaint evidence a situation in
which Plaintiff was excluded from participation in or denied the benefits of the Court’s services
or otherwise discriminated against by reason of his disability.” (ECF No. 12, at 10.) The Court
addresses each of the five incidents in turn, and then—to determine whether Plaintiff has alleged
“severe and pervasive” discrimination sufficient to fundamentally alter the conditions of his
interaction with Defendants so as to plausibly constitute unlawful harassment—considers
Plaintiffs’ allegations as a whole.
1. Incident 1: February 11, 2020
The first instance of alleged discrimination took place on February 11, 2020, when
Plaintiff’s own calendar was triple booked. Because of the conflict, Plaintiff appeared late to
Wallace’s courtroom. When Wallace addressed Plaintiff directly about his lateness, Plaintiff
explained that his diabetes occasionally (and unpredictably) requires additional time to prepare in
the morning. But that condition does not appear to have had anything to do with Plaintiff’s being
late on the day at issue. His tardiness was based on his triple-booking his calendar. In response,
Wallace stated that, if Plaintiff were going to be late again in the future without advanced
permission from Wallace himself, a contempt hearing would be scheduled, and Plaintiff would be
required to prove his disability with “strong evidence.”
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These events do not constitute discrimination under Title II of the ADA because Plaintiff
has not claimed that he was deprived of access to the courts as a result, that Wallace took any
adverse action against him, or refused to accommodate him—let alone that Wallace did so by
reason of his disability, or otherwise treated him differently than any other lawyer.
Nowhere in Plaintiff’s Complaint does he allege that he was ever actually late to
proceedings in front of Wallace as a result of his diabetes, or that his diabetes had anything to do
with the Plaintiff triple-booking his court calendar. He merely explained to Wallace that his
diabetes was one potential reason that he might be late in the future. Moreover, Wallace’s response
does not facially constitute a denial of an accommodation; requesting appropriate documentation
of a claimed disability does not constitute discrimination under the ADA. Cf. EEOC, Enforcement
Guidance: Disability-Related Inquiries and Medical Examinations of Employees under the ADA,
No. 915.002 (July 27, 2000), available at https://www.eeoc.gov/laws/guidance/enforcementguidance-disability-related-inquiries-and-medical-examinations-employees (an employer may
“ask an employee for documentation when s/he requests a reasonable accommodation[; t]he
employer is entitled to know that an employee has a covered disability that requires a reasonable
accommodation”); Tchankpa v. Ascena Retail Grp., Inc., 951 F.3d 805, 812 (6th Cir. 2020) (as
part of the good faith process of exploring possible accommodations, an employer “may require
documentation supporting an employee’s requested accommodation”); Taylor, 184 F.3d at 317
(once an employer is given notice that an employee is requesting accommodations under the ADA,
it can “show [its] good faith in a number of ways . . . such as “request[ing] information about the
condition and what limitations the employee has”); Moore v. CVS Rx Svcs, Inc., 142 F. Supp. 3d
321, 346 (M.D. Pa. 2015) (granting an employer’s motion for summary judgment on a Title I claim
when “the record demonstrate[d] that Defendant was willing to continued accommodating
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Plaintiff, ad infinitum, as long as Plaintiff simply submitted adequate documentation”). This
incident standing alone does not support an ADA claim.
2. Incident 2: March 11, 2020
As set forth above, on March 11, 2020, Plaintiff had a similar conflict resulting from the
Plaintiff double booking his calendar. Plaintiff filed a motion to continue his proceedings in front
of Wallace, which Wallace denied. When Plaintiff did not appear for his proceeding in front of
Wallace but instead arranged for another attorney to appear in his stead, Wallace later held a
hearing for a Rule to Show Cause why Plaintiff should not be held in contempt for his failure to
appear personally. Ultimately, Wallace dismissed the Rule to Show Cause without any action
being taken against Plaintiff.
Plaintiff again fails to plead a violation of the ADA as to this situation. Plaintiff was not
denied access to the courts, nor did Wallace take any adverse action against him. Wallace did not
hold Wallace in contempt, and, notably, Plaintiff does not claim that he provided any
documentation of any disability to Wallace until after March 11, 2020. (See ECF No. 1, at 6–10.)
(In fact, it is unclear whether he ever provided Wallace with documentation of his diabetes. 3 (See
id.)) Further, and once again, there is nothing in the record “showing” that any disability of the
Plaintiff’s had anything to do with Plaintiff’s non-appearance or Wallace’s actions.
Thus, at most, the injury that Plaintiff alleges is that he was required to attend a contempt
hearing. Whether or not it is wise judicial practice to hold a contempt hearing when a continuance
is denied and a lawyer sends a substitute without leave of court, in the Court’s judgment, a state
Plaintiff states that his diabetes “is well known and documented at the Mercer County Courthouse.” (ECF No. 1, at
6.) However, Plaintiff does not state that he ever informed Wallace that his diabetes had already been documented
with the Court or that he otherwise pointed Wallace in the direction of existing documentation. And Plaintiff offers
nothing other than his own conclusory assertion in support of his speculative allegation that boils down to “Wallace
must have known.” That speculation is wholly insufficient to “show” a claim for relief.
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trial judge doing so as alleged does not rise to the level of discrimination by reason of a disability
required to violate the ADA, especially when no sanction was imposed against the Plaintiff.
3. Incident 3: August 3, 2020
As described above, Plaintiff was involved in a car accident on July 9, 2020, which left
him with blurred vision, memory problems, headaches, and other ailments. As a result, he was
advised to limit himself to a maximum of three hours of cognitive activity per day. On August 3,
2020, Plaintiff participated in a status conference with Wallace, and Wallace stated that he had
received a “disturbing email” that Plaintiff had requested a continuance of a hearing, apparently in
front of another judge. Wallace then stated that Plaintiff “appeared fine” and that he should be
“held in contempt” for requesting the continuance from the other judge. When Plaintiff tried to
explain, Wallace said “I don’t care.”
Taken on its own as pled, this incident does not violate Title II. Here, Wallace was opining
about the propriety of Plaintiffs behavior in proceedings in front of another judge. Though
Wallace’s interpretation of events may have been unfriendly to Plaintiff, Wallace’s voicing his
opinion did not hinder Plaintiff’s ability to carry out his business at the court nor did it involve the
denial of any requested accommodation. The conference was held, Plaintiff attended, and there is
no allegation that the disposition of the matters involved in that proceeding was in any way out of
the ordinary.
4. Incident 4: August 10, 2020
A few days later, Plaintiff appeared in front of Wallace for a pretrial conference, where
Plaintiff requested a 30-day continuance of a trial that was scheduled to begin the next day.
Wallace initially denied the request, and then Plaintiff and Wallace got into an unpleasant verbal
exchange, in which Wallace allegedly made some disrespectful statements about Plaintiff and his
16
disability—for instance that Plaintiff “did not have a disability;” that Plaintiff “would milk his
disability for all it was worth;” that Plaintiff was “out of line” for requesting a continuance; and
that Plaintiff’s client “should get his money back.” Wallace also questioned the documentation
that Plaintiff provided and stated that he would not accommodate Plaintiff until he received
satisfactory documentation of Plaintiff’s disability. However, importantly for these purposes,
Wallace granted the requested continuance. Thus, as now pled, to the extent the Plaintiff wanted
an accommodation in the nature of a continuance, he received it, and to the extent such a
continuance was a “benefit” of the court’s “services, programs or activities,” he received it.
The exchange between Plaintiff and Wallace on August 10, 2020, as pled does not, on its
own, rise to the level of a violation of the ADA. Plaintiff got what he asked for—a continuance—
and therefore was not “denied the benefits of the services, programs, or activities” of the state
court.
5. Incident 5: Wallace’s Refusal to Recuse
On August 24, 2020, Plaintiff filed a Complaint against Wallace with DOJ, alleging
violations of Title II. On September 2, 2020, Plaintiff filed a motion with Wallace requesting that
Wallace recuse himself from Plaintiff’s cases. Wallace denied the motion, stating that he “would
not recuse himself until [DOJ] ‘determine[s] it has authority to open an investigation’” and
“provide[s] written notice of the opening of the investigation.”
Plaintiff claims that the act of filing a complaint with DOJ is a protected activity under the
anti-retaliation provisions of the ADA, and that Defendant Wallace retaliated against Plaintiff in
that he issued an order of the court without a hearing; 4 refused to recuse himself from Plaintiff’s
Plaintiff claims that Wallace’s act of issuing an order without having a hearing “violat[ed] Plaintiff’s and his
client’s rights” and “the Pennsylvania Rules of Court.” (ECF No. 1, at 13.) However, Plaintiff has not specified how
Wallace’s failure to hold a hearing violated his clients’ rights or the Pennsylvania Rules of Court. And his assertions
in this regard are wholly conclusory.
4
17
cases so that Plaintiff was forced to continue to appear in front of him; and subjected Plaintiff “to
further discrimination.” 5 As discussed above, the Rooker-Feldman doctrine prevents this Court
from reviewing Plaintiff’s claims regarding the merits of Wallace’s recusal decision. This is a
particularly apt rule in this situation in that any duty of recusal that Wallace might have had would
have been generated by state law and/or the Code of Conduct for state judges, and not the ADA.
Thus, review of Wallace’s decision to not recuse best lies with the state court entities charged with
engaging in such review. However, even if this Court had jurisdiction to consider whether
Wallace’s refusal to recuse constituted retaliation in violation of the ADA, on the facts alleged
here, no violation has been sufficiently pled.
Plaintiff has not cited a Pennsylvania Rule of Court, nor is this Court aware of one,
prohibiting the entry of an order denying a recusal motion (or ruling on any other motion) without
the state court holding a hearing. Whether or not the Pennsylvania Rules of Court require a hearing
before entering an order denying a motion to recuse, in order to make out a claim for ADA
retaliation, Plaintiff would have to sufficiently allege a causal connection between Wallace’s
failure to hold a hearing and Plaintiff’s filing a complaint with DOJ. In other words, Plaintiff would
have to sufficiently allege that Wallace failed to hold a hearing 6 because Plaintiff filed a complaint
Defendant argues that Plaintiff’s retaliation claim is barred by judicial immunity. This claim is unavailing: when a
judge is sued in their individual capacity, they are indeed entitled to immunity for all actions taken in the scope of
carrying out their judicial duties. Stump v. Sparkman, 435 U.S. 349, 355–56 (1978). However, suits against state
actors “in their official capacities are tantamount to suits against the state qua state,” Cullen v. Pennsylvania
Department Corrections, No. 09-cv-1562, 2012 WL 6015721, at *1 (W.D. Pa. Dec. 3, 2012), and judicial actors
sued in their official capacities have “no immunity whatsoever.” Lonzetta Trucking & Excavating Co. v. Schan, 144
F. App’x 206, 211 (3d Cir. 2005). The claims asserted against Wallace here are in his official capacity, which in
any event means that they are treated as tantamount to claims against the Commonwealth as a State. Kentucky v.
Graham, 473 U.S. 159, 166 (1985) (“As long as the government entity receives notice and an opportunity to
respond, an official-capacity suit is, in all respects other than name, to be treated as a suit against the entity” because
“the real party in interest is the entity.”) (internal marks and citations omitted).
5
Plaintiff’s Complaint does not indicate that he moved the court to hold a hearing or filed a motion for
reconsideration seeking such a hearing after his recusal motion was denied. (See ECF No. 1.)
6
18
with DOJ and that Wallace would have held a hearing for another, similarly situated individual
who had not filed such a complaint, and that not holding a hearing (as opposed to the substantive
decision not to recuse) was an adverse action in and of itself. Plaintiff has not alleged facts
sufficient to support such inferences. And this Court is not aware of any statute, rule or decisional
law that mandates that a judge hold a hearing before ruling on a recusal motion, and Plaintiff points
to none. He also does not point to Judge Wallace procedurally or substantively treating his recusal
motion any differently than he treats other such motions.
Similarly, on the facts alleged in the Complaint, Wallace’s refusal to recuse himself does
not constitute retaliation because it is not, in and of itself, an “adverse action.” Though the meaning
of adverse action in the Title II context is not as well-explored as in the Title I employment context,
“[a]n adverse action must meet a ‘threshold level of substantiality’ before it can serve as the basis
of a retaliation claim.” Higdon v. Jackson, 393 F.3d 1211, 1219 (11th Cir. 2004) (quoting Wideman
v. Wal-Mart Stores, Inc., 141 F.3d 1453, 1456 (11th Cir. 1998) (rude behavior and bumping into
plaintiff’s car in a parking lot do not constitute adverse action)). “If the defendant’s actions had no
tangible, negative effect on the plaintiff, no adverse action exists.” Ganstine v. Sec’y, Fla. Dep’t
Corrs., 502 F. App’x 905, 911 (11th Cir. 2012) (confiscation of a prisoner’s notes and extra work
assignments do not constitute adverse actions).
With respect to Plaintiff’s ability to conduct his business in front of the court, the mere fact
that Wallace continued to preside over Plaintiffs’ cases is not in itself an adverse action. If Wallace
conducted proceedings, or issued orders, that were improvident, erroneous, or biased because of
the fact that Plaintiff was involved as counsel and had filed the DOJ complaint, rather than on the
merits, Plaintiff’s retaliation claim might be viewed through a different lens. But Plaintiff has not
made a “showing” sufficient to support such allegations.
19
Finally, Plaintiff also generically alleges that Wallace retaliated against Plaintiff in that he
“subject[ed] him to further discrimination.” This is a legal conclusion offered with no supporting
context or facts. In fact, the Complaint does not make any allegations whatsoever about what
happened (if anything) after Wallace denied Plaintiffs’ motion for recusal. (See ECF No. 1, at 10,
13.) Because this allegation is nothing more than an unsupported legal conclusion, it is not
sufficient to defeat 12(b)(6) motion. See Cambridge Ret. Sys., 908 F.3d at 878–79.
Any claim for retaliation must be premised on an adverse action having been taken against
a plaintiff by a defendant, with a sufficient causal link shown between statutorily protected conduct
and the adverse action. Moore v. City of Phila., 461 F.3d 331, 340–41 (3d Cir. 2006). What is
missing from the claims asserted here is the existence of any cognizable adverse action taken
against Plaintiff by Wallace that is causally linked to protected conduct by the Plaintiff. As a result,
Plaintiff’s effort at pleading such a claim is insufficient.
6. Incidents taken as a whole
As discussed above, the Court is not aware of authority holding that harassment generally,
free-standing from any deprivation of a service, activity, or program of a public entity, is actionable
under Title II. However, the Third Circuit has suggested that the “catchall” provision of Title II
should be broadly interpreted, see Haberle, 885 F.3d at 180, so the Court assumes without deciding
that Title II could in theory support such a cause of action.
Taken as a whole, the incidents Plaintiff complains of do not rise to an actionable level of
harassment. Typically, harassment must be sufficiently severe and pervasive to alter the overall
nature of the Plaintiffs’ experience in the relevant environment and thereby deprive him of a right
secured by statute. For instance, in the employment context, the Supreme Court has held that Title
VII is not a “general civility code” and “[t]he prohibition of harassment on the basis of sex . . .
20
forbids only behavior so objectively offensive as to alter the ‘conditions’ of the victim’s
employment.” Oncale v. Sundowner Offshore Svcs, Inc., 523 U.S. 75, 81 (1998). Moreover, to
prevail on a Title IX harassment claim, a plaintiff must allege that the harassment was severe
enough to deny the plaintiff “access to the educational opportunities or benefits provided by the
school.” Hall, 22 F.4th at 408.
In assessing such assertions, a court is generally required to consider the totality of the
circumstances, including the frequency of the allegedly discriminatory conduct, its severity,
whether it was physically threatening or humiliating, whether it was a “mere” offensive utterance,
and whether it unreasonably interfered with the right allegedly violated. See Thomas v. Bronco
Oilfield Svcs., 503 F. Supp. 3d 276, 298–99 (W. D. Pa. 2020).
Although the Court does not doubt that Plaintiff’s interactions with Wallace may have been
at times unpleasant, Plaintiff has not pled facts sufficient to support the inference that the overall
nature of his litigation of cases before Wallace was so altered by Wallace’s conduct relative to the
incidents alleged in the Complaint that they thereby deprived him of an ADA-protected right. In
the first two incidents, as pled, Wallace was responding to Plaintiff’s double or triple booking his
own court appearance calendar. There is no assertion that Plaintiff having done so was caused by
anything other than Plaintiff’s own choices, and Plaintiff has alleged no connection to any covered
disability. And in each episode pled, the Plaintiff was either not sanctioned in any way and/or
received the judicial relief he had requested. Considering these episodes in totality and as pled,
they do not objectively rise to the level at which they could be considered severe or pervasive.
7.
Intentional Discrimination
As discussed above, a plaintiff seeking compensatory damages under the ADA must allege
intentional discrimination, which requires pleading at least deliberate indifference. Haberle, 885
21
F.3d at 181. Deliberate indifference, in turn, involves actual knowledge that a federally protected
right is substantially likely to be violated. S.H., 729 F.3d at 266 n.26.
Even if the Court were persuaded that Wallace’s alleged actions constituted violations of
the ADA, Plaintiff has not alleged facts sufficient to support the inference that Wallace had actual
knowledge that his behavior would violate the statute. Though Plaintiff does not directly address
the deliberate indifference issue, the Court notes that Plaintiff’s asserting that Wallace “should
have known” that his conduct would violate the ADA is not enough to meet the mark. See id.
8. Ripeness
The Court has treated, and Defendant has framed, the issue here as whether, based on the
facts alleged in Plaintiff’s Complaint, a violation of the ADA or RA has occurred. As detailed
above, the Court has determined that, at this point, the Plaintiff has not “shown” that any such
violation has occurred. However, the Court notes that an alternative reading of Plaintiff’s
Complaint is that—particularly with respect to Defendant Wallace’s denial of Plaintiff’s recusal
motion, viewed in light of the other events alleged in Plaintiff’s Complaint—a violation of the
ADA might occur in the future. For instance, if Wallace fails to recuse in a situation where the law
would compel it, or in a situation in which Wallace would have recused, but in not recusing from
a case handled by the Plaintiff, subjected Plaintiff to differential treatment because of a disability
or his filing of the DOJ complaint, then perhaps an actual harm would have occurred. To the extent
that such is Plaintiff’s claim, it is both unstated and not yet ripe for adjudication. 7
Article III of the Constitution limits the “judicial Power” of the United States to the
adjudication of “Cases” or “Controversies.” U.S. Const. art. III, § 2. “Courts enforce the case-orcontroversy requirement through several justiciability doctrines that ‘cluster about Article III.’”
[C]onsiderations of ripeness are sufficiently important that the court is required to raise the issue sua sponte even
though the parties do not.” Peachlum v. City of York, 333 F.3d 429, 433 (3d Cir. 2003).
7
22
Pittsburgh Mack Sales & Serv., Inc. v. Int’l Union of Operating Eng’rs, 580 F.3d 185, 190 (3d Cir.
2009) (quoting Allen v. Wright, 468 U.S. 737, 750 (1984)). Those doctrines “include standing,
ripeness, mootness, the political-question doctrine, and the prohibition on advisory opinions.” Id.
Ripeness assesses “whether a party has brought an action prematurely[] and counsels
abstention until such time as a dispute is sufficiently concrete to satisfy the constitutional and
prudential requirements of the doctrine.” Id. (citing Peachlum, 333 F.3d at 433.) “Ultimately, the
case must involve a ‘real and substantial controversy . . . as distinguished from an opinion advising
what the law would be upon a hypothetical state of facts.” Presbytery of N.J. of Orthodox
Presbyterian Church v. Florio, 40 F.3d 1454, 1463 (3d Cir. 1994) (quoting North Carolina v. Rice,
404 U.S. 244, 246 (1971)).
In determining whether a case is ripe for review, courts generally examine: (1) “the fitness
of the issues for judicial decision;” and (2) the “hardship of the parties of withholding court
consideration.” Surrick v. Killion, 449 F.3d 520, 527 (3d Cir. 2006) (citing Abbott Lab’ys v.
Gardner, 387 U.S. 136, 149 (1967)). Under the “fitness for review” prong, courts consider
“whether the claim involves uncertain and contingent events that may not occur as anticipated or
at all; the extent to which a claim is bound up in the facts; and whether the parties to the action are
sufficiently adverse.” Phila. Fed’n Tchrs. v. Ridge, 150 F.3d 319, 323 (3d Cir. 1998). If an issue
“would . . . benefit from . . . further factual development” placing the court in a “better position to
adjudicate the issues in the future,” the fitness prong is not satisfied. See Pearson v. Holder, 624
F.3d 682, 684 (5th Cir. 2010) (quoting Simmonds v. INS, 326 F.3d 351, 359 (1st Cir. 2003)). Under
the “hardship” prong, courts consider whether the challenged action creates a “‘direct and
immediate’ dilemma for the parties” such that withholding review will impose costly choices on
the parties. Phila. Fed’n Tchrs., 150 F.3d at 323 (quoting Abbott Lab’ys, 387 U.S. at 152).
23
In some contexts—particularly those involving requests for declaratory or injunctive
relief—the threat of future harm can be sufficiently immediate to constitute a cognizable injury for
ripeness 8 purposes. See, e.g., Free Speech Coal., Inc. v. Att’y General, 825 F.3d 149, 167 n.15 (3d
Cir. 2016) (threat of future inspection under federal statute, which necessitated that plaintiffs
continually incur costs of compliance, sufficient to satisfy ripeness requirement even though no
inspection program had been in place for eight years); Travelers Ins. Co. v. Obusek, 72 F.3d 1148,
1154–55 (3d Cir. 1995) (dispute regarding insurance coverage for non-familial attendant care
services ripe even though record did not demonstrate that plaintiff had ever sought out or intended
to ever seek out attendant care services).
However, here, to the extent that Plaintiff’s Complaint amounts to an allegation that
Defendant Wallace’s conduct might evolve into a violation of the ADA in the future, that claim is
not ripe for review. The events forming the basis of that allegation are speculative, and to the extent
that the difficulty between Plaintiff and Wallace continues or escalates, adjudicating the issues at
a later date would afford the Court the benefit of additional factual assertions of actual present or
past cognizable harm. See Pearson, 642 F.3d at 684.
c. Eleventh Amendment Immunity
Defendants’ final argument in favor of dismissing Plaintiff’s Complaint is that they are
entitled to immunity under the Eleventh Amendment. (ECF No. 12, at 7–14.) Because of the nature
of the Eleventh Amendment analysis in Title II cases, and Plaintiff’s failure at this point to state a
claim under the ADA, the Eleventh Amendment analysis is premature.
The probability that a plaintiff will be harmed at some time in the future is often couched as bearing on the injuryin-fact requirement to show Article III standing. See, e.g., N.J. Physicians, Inc. v. President of U.S., 653 F.3d 234,
238 (3d Cir. 2011). However, the two concepts are conceptually intertwined: “[S]tanding is about who can sue while
ripeness is about when they can sue, though it is of course true that if no injury has occurred, the plaintiff can be told
either that she cannot sue, or that she cannot sue yet.” Presbytery, 40 F.3d at 1462 (quoting Smith v. Wisc. Dept’t of
Agric., Trade & Consumer Prot., 23 F.3d 1134, 1141 (7th Cir. 1994)).
8
24
Our Court of Appeals has long recognized that the Courts of Common Pleas in
Pennsylvania, and their Judges, are considered to be “the state” for Eleventh Amendment purposes.
See Banks v. Ct. of C.P. FJD, 342 F. App’x 818, 820 (3d Cir. 2009); Benn v. First Jud. Dist., 426
F.3d 233, 238–41 (3d Cir. 2005). In order to validly abrogate the immunity that states enjoy under
the Eleventh Amendment, Congress must (1) unequivocally express its intent to subject the states
to liability and (2) act pursuant to a valid exercise of power—that is, through a statute “passed
pursuant to a constitutional provisions granting Congress the power to abrogate.” Seminole Tribe
of Fla. v. Florida, 517 U.S. 44, 55, 59 (1996).
The first requirement is met in the case of Title II of the ADA. Title II provides that “a
State shall not be immune under the eleventh amendment to the Constitution of the United States
from an action . . . for violation of this chapter.” See 42 U.S.C. § 12202. The Supreme Court has
acknowledged this as an unequivocal expression of Congress’ intent to abrogate state sovereign
immunity. United States v. Georgia, 546 U.S. 151, 154 (2006).
However, whether the second requirement is met in this case is less clear. The Supreme
Court has identified only two constitutional provisions conveying to Congress the power to
abrogate States’ immunity: the Fourteenth Amendment and the Commerce Clause. See Seminole
Tribe, 517 U.S. at 59–60. Previously, the Supreme Court has held that, under the enforcement
power granted to it by § 5 of the Fourteenth Amendment, Congress validly abrogated states’
sovereign immunity for conduct that violates Title II of the ADA and at the same time also violates
the Fourteenth Amendment. Tennessee v. Lane, 541 U.S. 509, 533–34 (2004) (holding that
sovereign immunity was validly abrogated by Title II as to conduct that implicates “the
fundamental right of access to the courts”). However, because the Court has declined to consider
the validity of Title II “as an undifferentiated whole,” id. at 530, in cases where Title II creates a
25
private cause of action for damages against the States for conduct that does not also violate the
14th Amendment, the validity of Congress’s purported abrogation of state sovereign immunity is
unclear.
Courts considering whether sovereign immunity has been abrogated must “conduct a
‘claim-by-claim’ analysis.” Geness, 974 F.3d at 270 (quoting Georgia, 546 U.S. at 159). Courts
are directed to examine: (1) which aspects of the State’s alleged conduct allegedly violated Title
II; (2) to what extent the alleged conduct also violated the Fourteenth Amendment; and (3) insofar
as the conduct that forms the basis of the claim violated the ADA but not the Fourteenth
Amendment, whether Congress’s purported abrogation of sovereign immunity as to that class of
conduct is nevertheless valid. Georgia, 546 U.S. at 159.
Because Plaintiff has not stated a claim under the ADA, the Court cannot conduct the
analysis required by Georgia and, thus, any conclusions regarding sovereign immunity in this
context would be premature. However, the Court notes that Plaintiff has neither alleged a violation
of the Fourteenth Amendment nor pointed to case law to guide the Court’s analysis of sovereign
immunity in a situation where the ADA was violated but the Fourteenth Amendment was not.
d. Leave to Amend
It is well established under Third Circuit precedent that “district courts must offer amendment [in
civil rights cases]—irrespective of whether it is requested—when dismissing a case for failure to
state a claim unless doing so would be inequitable or futile.” Mulllin v. Balicki, 875 F.3d 140, 151
(3d Cir. 2017) (quoting Fletcher-Harlee Corp. v. Pote Concrete Contractors, Inc., 482 F.3d 247,
251 (3d Cir. 2007)). There is no suggestion in this case that amendment would necessarily be
futile—such as when the complaint would facially be time-barred, see Jackson v. Washington Auto
Mall, No. 20-cv-367, 2020 WL 1974764, at *1 & n.1 (W.D. Pa. Apr. 24, 2020)—or that allowing
26
amendment would be inequitable. Thus, the Court GRANTS Plaintiff leave to amend his
Complaint.
IV.
CONCLUSION
For the reasons set out above, the Court GRANTS Defendants’ Motion to Dismiss (ECF
No. 10) without prejudice. Plaintiff may file an Amended Complaint. Any Amended Complaint
must be filed within fourteen (14) days of the date of this order. If such is not so filed, the dismissal
of Plaintiff’s claims shall be converted to a dismissal with prejudice without further notice or
Order.
s/ Mark R. Hornak
Mark R. Hornak
Chief United States District Judge
Dated: September 30, 2022
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