Harlan v. United States et al
Filing
44
MEMORANDUM OPINION AND ORDER denying 35 Motion to Amend/Correct; denying as moot 23 Motion for Summary Judgment; granting 27 Motion to Dismiss for Lack of Jurisdiction; granting 27 Motion to Dismiss for Failure to State a Claim; denying as moot 27 Motion for Summary Judgment. Signed by U.S. District Judge Karen E. Schreier on 12/1/16. (DJP)
UNITED STATES DISTRICT COURT
DISTRICT OF SOUTH DAKOTA
SOUTHERN DIVISION
KENNETH HARLAN,
4:15-CV-04046-KES
Plaintiff,
vs.
UNITED STATES OF AMERICA
MEMORANDUM OPINION
AND ORDER
Defendant.
On February 5, 2015, plaintiff, Kenneth Harlan, having properly
exhausted his administrative remedies, filed his complaint against defendant,
the United States, seeking to recover under the Federal Tort Claims Act (FTCA),
28 U.S.C. § 1364. Harlan alleges that he received negligent dental treatment
from federal employees who were acting within the scope of their employment.
Docket 1. Harlan further alleges that the dental care he received between April
and June 2014 was deliberately indifferent to his medical needs. Id. On
August 14, 2015, Harlan moved to amend his complaint. Docket 17. This court
granted Harlan’s motion to amend the complaint on September 11, 2015,
because no objection was filed and good cause was shown. Docket 18.
Three motions are pending before the court. Harlan moves for summary
judgment on all claims within his amended complaint. Docket 23. The United
States moves to dismiss the complaint for lack of subject matter jurisdiction
and failure to state a claim upon which relief can be granted, and cross-moves
for summary judgment. Docket 28. In response, Harlan requests leave to
amend both his amended complaint and his motion for summary judgment.
Docket 35. The United States opposes Harlan’s motion to amend his amended
complaint and his motion for summary judgment. Docket 37.
For the following reasons, the court denies Harlan’s motion to amend his
amended complaint and his motion for summary judgment and grants the
United States’s motion to dismiss. The United States’s cross-motion for
summary judgment and Harlan’s motion for summary judgment are denied as
moot.
BACKGROUND
Harlan is currently an inmate in the Bureau of Prison’s (BOP) Yankton
Federal Prison Camp (FPC Yankton) located in Yankton, South Dakota, and
has been an inmate at FPC Yankton for all times relevant to this matter.
I.
Dental Care at FPC Yankton and BOP Dental Care Procedures.
Beginning in October 2013, FPC Yankton learned that the facility’s full-
time dentist was selected for a transfer to another BOP facility.1 As a result of
the impending transfer of its full-time dentist, FPC Yankton’s human resources
department immediately began to seek a replacement dentist. The process of
hiring a full-time replacement dentist to work at FPC Yankton lasted from
October 2013 to August 2014, when a full-time contract dentist was hired.2
FPC Yankton’s full-time dentist’s last day at the prison was scheduled to be
January 15, 2014. Docket 32 at 4, ¶ 11.
1
FPC Yankton’s human resources department began the hiring process of a
contract dentist in February 2014. In May 2014, the Warden of FPC Yankton
determined that, due to the candidate’s background, the candidate was not
appropriate to work in the correctional environment. Docket 32 at 4, ¶ 12.
2
2
During the period when FPC Yankton lacked a full-time dentist, the
prison provided inmates with dental care through a combination of visits from
other BOP dentists, as Temporary Duty (TDY) dentists,3 or having another BOP
dentist provide remote oversight as a supervisor to the on-site dental hygienist.
When providing remote oversight, a supervisory dentist relies on the on-site
hygienist to serve as “the eyes and ears of the supervising dentist.” Docket 31
at 3, ¶ 7. The job requirements of the on-site hygienist, when working under a
remote supervisory dentist, include listening to an inmate’s complaints, taking
x-rays when necessary, and entering a note into the BOP’s electronic medical
records system so that the supervisory dentist “can assess the complaint,
triage the inmate, and establish a treatment plan.” Id.
BOP dentist Dr. Donald Ross, Regional Chief Dentist, provided remote
dental oversight to FPC Yankton and FPC Yankton’s on-site registered dental
hygienist (RDH) Sheryl Fix, at all times relevant to this dispute. During the
months of May 2014 through August 2014 FPC Yankton attempted to solicit
other BOP dentists to visit FPC Yankton as TDY dentists. Unfortunately, due to
late cancellations by other BOP dentists, the only dentist actually on-site at
FPC Yankton was Dr. Ross, who visited from May 5-10, 2014, and August 1823, 2014.
BOP policy directs that dental treatment qualifies as either “emergent” or
“non-emergent.” Id. at 2, ¶ 5. Emergent dental care “includes treatment for
relief of severe dental pain, traumatic injuries, acute infections, sedative
TDY dentists visit BOP institutions that are without a full-time dentist to
provide periodic on-site dental services. Docket 31 at 3, ¶7-8.
3
3
fillings, extraction of non-restorable teeth, and gross debridement of
symptomatic areas.” Id. When dental treatment qualifies as emergent, the goal
is “to stabilize the patient’s immediate, urgent dental need pending a more
permanent treatment plan.” Id. Conversely, “non-emergent” dental care is
considered elective treatment. Id. Because of the differences in dental
treatment that result from a designation as “emergent” and “non-emergent,”
objective triage procedures are used to evaluate whether a purported dental
emergency requires immediate treatment or can be scheduled for a later time.
Id.
Dr. Ross further utilizes a personal system to triage and prioritize the
dental needs of inmates when providing remote dental oversight to BOP
facilities. Id. at 4, ¶ 9. This system is designed to ensure that dental patients
with the most pressing treatment needs are examined by either Dr. Ross or
another TDY dentist before inmates who only have routine dental issues. Id.
Assessments classified as “Priority 1” under Dr. Ross’s system are not
necessarily an emergent or urgent dental need. Id. Instead, “Priority 1”
designations are commonly given to inmates with cavities or drainage. Id. A
classification of “Priority 2” is given to inmates with a missing filling but who
previously had a root canal to remove the nerve. Id. A “Priority 3” classification
applies to inmates with broken dentures or who have no pain. Id. Dr. Ross
used this system when reviewing Harlan’s claims of tooth pain.
4
II.
Harlan’s Dental Care at FPC Yankton.
Harlan’s complaints of tooth pain began in April 2014, and lasted until
June 2014, when Harlan’s tooth was examined by a community dentist.
Throughout this period, Harlan made several formal and informal complaints
about his tooth pain. Harlan also had a number of conversations with FPC
Yankton officials regarding his tooth pain and potential treatment options.
On April 15, 2014, Harlan submitted an electronic inmate request to
RDH Fix, complaining of pain in his top left incisor.4 In response to his request,
Harlan was informed on April 18, 2014, that he was added to the routine
waiting list for dental care and that he would need to go to sick call if he
experienced severe pain. Harlan’s next complaints of tooth pain occurred on
May 14, 2014, when Harlan filed a sick call request, and May 15, 2014, when
Harlan spoke with Christina Woehl, FPC Yankton’s Health Services
Administrator (HSA), about his tooth pain.5 During this conversation, HSA
Woehl told Harlan to use over-the-counter pain relief to ease any pain.6
Harlan’s tooth was examined by RDH Fix on Monday, May 19, 2014.
During the examination, Harlan complained of tooth pain in his top left incisor
An incisor is a tooth with a chisel-shaped crown and a single conical tapering
root; there are four of these teeth in the anterior part of each jaw, in both the
deciduous and the permanent dentitions. STEDMAN’S MEDICAL DICTIONARY
925600 (28th ed. 2006).
4
Dr. Ross visited FPC Yankton as an on-site TDY dentist May 5-10, 2014.
Docket 31 at 5, ¶ 14. But, Dr. Ross did not examine Harlan during this visit as
Harlan had not reported to dental sick call. Id.
5
Although HSA Woehl was trained as a nurse, she does not practice in her
position as a Health Services Administrator. Docket 30-1 at 1-2.
6
5
and stated that the pain developed several days ago. Harlan subjectively rated
his pain as 8 out of 10 on a pain scale. RDH Fix took an x-ray of Harlan’s top
left incisor, that she preliminarily read as presenting a fractured tooth. During
this examination, RDH Fix informed Harlan that the next scheduled visit to
FPC Yankton by a TDY dentist was July 2014. Upon review of RDH Fix’s
clinical notes, Dr. Ross classified the x-ray as presenting distal caries.7
Because of this assessment, Dr. Ross classified Harlan as “Priority 1 with TDY
dentist for restorative evaluation.” See Docket 31-2 at 20. Dr. Ross also
indicated that Harlan could continue to take over-the-counter pain medication
for pain management.
The pain experienced by Harlan continued to increase after his initial
examination by RDH Fix. Due to his increasing tooth pain, Harlan had a
number of informal conversations with prison officials at FPC Yankton between
May 20, 2014, and his next examination by RDH Fix on May 28, 2014.8
Harlan’s amended complaint also alleges that between these dates he was
again told that FPC Yankton would not have an on-site dentist until July.
Docket 19 at 3.
A distal caries is the loss of structure on the tooth surface that is directed
away from the median plane of the dental arch. STEDMAN’S MEDICAL DICTIONARY
145610 (28th ed. 2006).
7
Some of these informal conversations resulted in emails being sent by
Physician’s Assistant (PA) Downing to a “Donald Ross” on Harlan’s behalf.
Docket 19 at 3-4. In its amended answer, the United States admits that PA
Downing sent emails to a “Donald Ross” but affirmatively avers that the emails
were sent to another “Donald Ross” employed by the BOP and not to
Dr. Donald Ross, the Regional Dentist. Docket 20 at 3.
8
6
On May 27, 2014, Harlan filed an administrative informal resolution
form in order to ease his tooth pain. In the informal resolution form, Harlan
complained about having a “broken tooth” and stated that waiting until July to
see a dentist was “unreasonable.” Docket 1-15. Harlan also specifically
requested “to be seen by a dentist immediately or sent to another prison that
has a dentist.” Id. Due to the lack of a full-time dentist at FPC Yankton, Unit
Manager Kathy Nelson informed Harlan on May 28, 2014, that his request was
referred to the Chief Dental Officer in the North Central Region (i.e. Dr. Ross).
Docket 1-16.
Harlan received another examination by RDH Fix on May 28, 2014.
During this examination, Harlan subjectively rated his pain as 10 out of 10 on
a pain scale. Due to the increase in Harlan’s pain, Dr. Ross prescribed Harlan
prescription pain medication and antibiotics. Harlan was informed about the
prescriptions on May 29, 2014. Although Harlan received the prescription
medication, he informed FPC Yankton dental that the medication prescribed
did “little to relieve” his pain. Docket 32-1 at 33. To that end, Harlan again
requested to have his tooth examined by a community dentist. Id. Despite
Harlan’s pain, he was directed by RDH Fix on May 30, 2014, to continue to
take his medication as prescribed.
As a result of his continued pain, Harlan filed a request for a formal
administrative remedy on May 29, 2014. FPC Yankton’s HSA office sent Harlan
a receipt on June 6, 2014, acknowledging that Harlan had filed a request
seeking a formal administrative remedy. See Docket 1-17. In an effort to meet
7
that request, HSA Woehl met with Harlan to discuss his pain and determine if
he would be willing to submit a consultation request to see a community
dentist. Dr. Ross approved Harlan’s request to be seen by a community dentist
on June 9, 2016. See Docket 31-2 at 14.
Harlan’s tooth was examined by a community dentist on June 16, 2014.
The community dentist performing the examination, Dr. Reardon, informed
Harlan that he had irreversible pulpitis9 and a form of periodontitis.10 Docket
31-2 at 30. Dr. Reardon also informed Harlan that “there was a lot of decay
and the tooth may require extraction depending on what his dentist says.” Id.
Dr. Ross visited FPC Yankton in August 2014 and examined Harlan on
August 21, 2014. Docket 31-2 at 25. During that visit, Dr. Ross performed a
root canal and composite restoration on Harlan’s tooth. Id. at 26.
DISCUSSION
I.
Harlan’s Motion to Amend the Amended Complaint and Motion
for Summary Judgment.
Harlan requests leave from the court to amend his amended complaint
and his pending motion for summary judgment. Docket 35. Through his
Irreversible pulpitis is an inflammation of the dental pulp from which the
pulp is unable to recover; clinically, may be asymptomatic or characterized by
pain that persists after thermal stimulation; microscopically, characterized by
marked acute or chronic inflammation, sometimes with partial pulpal necrosis.
STEDMAN’S MEDICAL DICTIONARY 739600 (28th ed. 2006).
9
Periodontitis is a chronic inflammatory disease of the periodontium
occurring in response to bacterial plaque on the adjacent teeth; characterized
by gingivitis, destruction of the alveolar bone and periodontal ligament, apical
migration of the epithelial attachment resulting in the formation of periodontal
pockets, and ultimately loosening and exfoliation of the teeth. STEDMAN’S
MEDICAL DICTIONARY 739600 (28th ed. 2006).
10
8
motion to amend, Harlan asks the court to consider exercising jurisdiction
under both the FTCA and Bivens v. Six Unknown Named Agents of Federal
Bureau of Narcotics, 403 U.S. 388 (1971). Id. Because Harlan’s motion to
amend was filed after the date for amending the pleadings as provided in the
court’s scheduling order, Docket 16, the amendment implicates both Rules 15
and 16 of the Federal Rules of Civil Procedure.11 See Sherman v. Winco
Fireworks, Inc., 532 F.3d 709, 715 (8th Cir. 2008).
A. Legal Standard.
A motion to amend a party’s pleadings is ordinarily governed by Rule 15
of the Federal Rules of Civil Procedure. Under Rule 15, a party may amend a
pleading with “the court’s leave,” and the Rule directs the court to “freely give
leave when justice so requires.” FED. R. CIV. P. 15(a)(2). But “[i]f a party files for
leave to amend outside of the court's scheduling order, the party must show
cause to modify the schedule” in accordance with Rule 16(b). Popoalii v. Corr.
Med. Servs., 512 F.3d 488, 497 (8th Cir. 2008) (citing FED. R. CIV. P. 16(b)).
Rule 16(b) is designed to guide the “issuance and modification of pretrial
scheduling orders and provides that ‘[e]xcept in categories of actions exempted
by local rule, the district judge . . . must issue a scheduling order,’ which ‘must
The United States argues that Harlan’s motion to amend his amended
complaint and motion for summary judgment should be denied as a procedural
matter for a failure to comply with Local Rule 15.1. Docket 37. Local Rule 15.1
provides that “any party moving to amend a pleading must attach a copy of the
proposed amended pleading to its motion to amend with the proposed changes
highlighted or underlined so that they may be easily identified.” Despite
Harlan’s failure to comply with this rule, the court will consider whether
amendment of his pleadings would otherwise be appropriate.
11
9
limit the time to join other parties, amend the pleadings, complete discovery,
and file motions.’ ” Sherman, 523 F.3d at 715 (quoting FED. R. CIV. P. 16(b)(1),
16(b)(3)(A)) (alterations in original). Under Rule 16(b), “[a] schedule may be
modified only for good cause and with the judge’s consent.” FED. R. CIV. P.
16(b)(4). The “good cause” requirement of Rule 16(b) necessitates a stronger
showing that the movant is entitled to relief than “the more liberal standard” of
Rule 15(a). Sherman, 532 F.3d at 716 (citing Popoalii, 512 F.3d at 497). “Thus,
a moving party must first make the requisite [good cause] showing. Even then
the district court retains discretion as whether to grant the motion.” Bradford
v. DANA Corp., 249 F.3d 807, 809 (8th Cir. 2001) (citation omitted) (explaining
that “[a]s a vehicle designed to streamline the flow of litigation through our
crowded dockets, we do not take [scheduling] orders lightly, and will enforce
them”).
“What constitutes good cause sufficient to justify the modification of a
scheduling order necessarily varies with the circumstances of each case.” 6A
Charles Alan Wright & Arthur R. Miller, Federal Practice & Procedure, § 1522.2
(3d. ed.). In Sherman, the Eighth Circuit explained the contours of the “good
cause” standard as follows:
The primary measure of good cause is the movant's diligence in
attempting to meet the order's requirements. Rahn v. Hawkins,
464 F.3d 813, 822 (8th Cir. 2006); see also Fed. R. Civ. P. 16(b),
advisory committee note (1983 Amendment) (“[T]he court may
modify the schedule on a showing of good cause if it cannot
reasonably be met despite the diligence of the party seeking the
extension.”). While the prejudice to the nonmovant resulting from
modification of the scheduling order may also be a relevant factor,
generally, we will not consider prejudice if the movant has not been
10
diligent in meeting the scheduling order's deadlines. . . . Our cases
reviewing Rule 16(b) rulings focus in the first instance (and usually
solely) on the diligence of the party who sought modification of the
order.
Sherman, 532 F.3d at 716-17 (alterations in original) (internal citations
omitted).12
B. Diligence.
Harlan’s diligence is the first factor the court must consider in deciding
whether good cause exists to amend the court’s scheduling order. See id. The
deadline for amending pleadings under the court’s scheduling order was
September 28, 2015.13 Docket 16. Harlan’s motion to amend was filed nine
months later on June 28, 2016. See Docket 35. Harlan’s motion to amend was
also filed approximately two months after the April 29, 2016 discovery deadline
and four days after the June 28, 2016 deadline for filing all motions, except
motions in limine. Docket 22. Further, Harlan filed his motion to amend two
weeks after the United States filed its motion to dismiss and its cross-motion
for summary judgment. See Docket 27 (motion filed by United States on June
13, 2016).
In Sherman, the Eighth Circuit found the defendant failed to establish
good cause to amend its answer to include an affirmative defense when: (1) the
The Rahn decision was abrogated on other grounds. See Avichail ex rel. T.A.
v. St. John’s Mercy Health Sys., 686 F.3d 548, 552-53 (8th Cir. 2012).
12
The court previously granted a request by the United States to amend
certain dates in the court’s original scheduling order. See Docket 22. This order
specified that “all other provisions of the Court’s original scheduling order
remain in effect[.]” Id. Thus, the date for amending pleadings in the court’s
original scheduling order—September 28, 2015—was not altered by this order.
13
11
motion to amend was filed over seventeen months after the scheduling deadline
for amending pleadings; (2) defendant admitted awareness of the defense eight
months prior to moving for the amendment; (3) defendant did not apply the
defense until the summary judgment stage; and (4) “no change in the law, no
newly discovered facts, or any other circumstance made the [affirmative]
defense more viable after the scheduling deadline for amending pleadings.”
Sherman, 532 F.3d at 717-18. Similarly, in Barstad v. Murray County, 420 F.3d
880, 883 (8th Cir. 2005), the court ruled the plaintiffs did not have good cause
to amend the complaint when they were almost two months past the deadline
but had known about the claim they sought to add for twenty-one months.
In Popoalii, the plaintiff moved to amend her complaint almost six
months after the court’s deadline to do so passed. Popoalii, 512 F.3d at 495.
Her original complaint alleged that the defendants were deliberately indifferent
to her medical needs, and she sought leave to add a claim for negligence. Id. at
495-96. In defense of the amendment, the plaintiff argued that “she decided to
add a negligence count only after extensive discovery[.]” Id. at 497. The Eighth
Circuit, however, found her argument unpersuasive because the facts
supporting her negligence claim should have been available to her even without
discovery. Id. (explaining the overlap between pleading a claim for deliberate
indifference and a claim for negligence).
In this case, Harlan’s main argument in support of his motion to amend
is that “[t]he COURT granting this amendment would save this court valuable
time and recources (sic) and save the PLAINTIFF from having to file a seperate
12
(sic) BIVENS complaint on the [] same issues and facts and alleged violations in
this case.” Docket 35 (caps in original). Harlan’s intent, by filing the motion to
amend his amended complaint and motion for summary judgment, appears to
be aimed at preserving the possibility of a deliberate indifference claim.
It cannot be said, however, that Harlan was unaware of the possibility
that his deliberate indifference claim, brought only against the United States,
might fail.14 The United States, in both its answer and amended answer, stated
as an affirmative defense that “Defendant has not waived sovereign immunity
for violations of the Eighth Amendment, and a Bivens action may not be
brought against the United States.” Docket 12 at 8; Docket 20 at 8. Harlan’s
past experience with Bivens claims is also telling. During discovery, Harlan
admitted to filing a Bivens claim in the past. Docket 38-1 at 4 (Harlan
admitting that he “[f]iled a Bivens Motion in approximately 2007-2008 against
ASST. U.S. ATTORNEY Brad Blackington, D.E.A. Special Agent Doug
Freyburger and D.E.A. Drug Task Force member Dennis Holt. . .”).
Given Harlan’s past experience with Bivens actions and his knowledge
that was obtained before the original deadline for amending pleadings had
passed that his “deliberate indifference” claim might fail if it was brought only
A Bivens action fails when the action is filed against the United States or
against a federal agency instead of being filed against an individual defendant.
See Schutterle v. United States, 74 F.3d 846, 848 (8th Cir. 1996) (concluding
that a Bivens action failed, in part, because the action was filed against the
United States and a federal agency both of which have sovereign immunity
from Bivens actions). Additionally, it is well-settled in the Eighth Circuit that
“constitutional tort claims are not cognizable under the FTCA.” Washington v.
Dug Enforcment Admin., 183 F.3d 868, 874 (8th Cir. 1999).
14
13
against the United States, Harlan appears similar to the plaintiffs in Sherman,
Barstad, and Popoalii. Further, Harlan had reason to know of the error
approximately four months prior to when he filed the first motion to amend his
complaint. Compare Docket 12 at 8 (United States’s answer, filed on April 14,
2015, indicating that a “Bivens action may not be brought against the United
States”) and Docket 17 (Harlan’s first motion to amend his complaint, filed on
August 14, 2015). And Harlan was aware of the potential problem with his
deliberate indifference claim when he filed his motion to amend his amended
complaint and motion for summary judgment. Docket 35 (“DEFENDANTS can
point to no disadvantage or hardship that would arise from this amendment
nor can they voice surprise by the BIVENS JURISDICTION as they themselves
mention BIVENS in their answer to PLAINTIFFS (sic) amended complaint under
their AFFIRMATIVE DEFENSES.”) (caps in original). Because Harlan has failed
to show diligence in attempting to comply with the court’s scheduling order,
the court finds that Harlan has failed to show “good cause” to amend the
court’s scheduling order under Rule 16(b).
C. Prejudice.
Even if this court were to find that Harlan was diligent, the court would
next consider whether the United States would be prejudiced by granting the
motion to amend. A secondary measure of good cause is “prejudice to the
nonmovant resulting from modification of the scheduling order.” Sherman, 532
F.3d at 717 (holding undue prejudice should only be explored if the movant
has been found diligent); see also Bradford, 249 F.3d at 809 (“ ‘[T]he existence
14
or degree of prejudice to the party opposing the modification’ and other factors
may also affect the decision.” (quoting Johnson v. Mammoth Recreations, Inc.,
975 F.2d 604, 609 (9th Cir. 1992)). The United States has the burden to show
that it would be prejudiced by the court granting Harlan’s motion to amend.
Planned Parenthood Minn., N.D. v. Daugaard, 946 F. Supp. 2d 913, 918 (D.S.D.
2013) (citing Roberson v. Hayti Police Dep't, 241 F.3d 992, 995 (8th Cir. 2001))
(“The burden of proving prejudice lies with the party opposing the motion.”).
In Kozlowski v. Palmquitst, No. 12-4174-KES, 2016 WL 1255711 (D.S.D.
March 28, 2016), the court found prejudice to the defendants where the
plaintiffs “waited until nearly a month after the discovery deadline passed
before filing their motion [to amend the plaintiffs’ complaint].” Kozlowski, 2016
WL 1255711, at *4. Similarly, in Pucket v. Hot Springs School Dist. No. 23-2,
239 F.R.D. 572 (D.S.D. 2006), the court concluded that allowing defendants to
raise third-party complaints three years after the pleadings deadline passed,
after “[d]iscovery is closed and the motions deadline has passed,” while “[t]here
are three pending motions for summary judgment,” and when “third-party
defendants would want to engage in [further] discovery” would further delay the
case and “prejudice plaintiffs.” Pucket, 239 F.R.D. at 590. And the Eighth
Circuit has identified the need to conduct additional discovery as “precisely the
sort of prejudice that justifies denial of a motion to amend” a complaint. In re
Milk Prods. Antitrust Litig., 195 F.3d 430, 438 (8th Cir. 1999).
The United States argues that it would be prejudiced if the court grants
Harlan’s motion to amend. Docket 37 at 6-8. According to the United States,
15
“[Harlan] has reshaped his claim a number of times.” Id. at 6. And each change
has required the United States to alter the way it has approached the case. Id.
Further, the United States asserts “litigation decisions like when and how to
file dispositive motions were made based first on the complaint and then the
amended complaint.” Id. at 6-7. At bottom, the United States argues that to
allow Harlan to amend his complaint at this stage in the litigation—while other
dispositive motions are pending—prejudices both the United States and the
individual parties who would be added into this case after discovery has
finished. Id. at 7.
The court agrees. The prejudice flowing to the defendants—and to
potential individual defendants—is an independently sufficient reason that
justifies the denial of Harlan’s motion to amend his amended complaint and
motion for summary judgment. After presenting his claims as proceeding only
under the FTCA for over a year-and-a-half, Harlan has failed to show good
cause for granting his motion to amend his amended complaint. Thus, Harlan’s
motion to amend is denied.
II.
Defendant’s Motion to Dismiss and Cross-Motion for Summary
Judgment.
The United States moves to dismiss Harlan’s amended complaint for lack
of subject-matter jurisdiction or failure to state a claim upon which relief can
be granted. Docket 27. The United States also cross-moves for summary
judgment “on all claims that are critical of the medical decision making
pertaining to Plaintiff’s dental care and/or treatment.” Id.
16
A. Legal Standard.
Federal Rule of Civil Procedure 12(b)(1) provides that a party may move
to dismiss an action for lack of subject-matter jurisdiction. FED. R. CIV. P.
12(b)(1); Osborn v. United States, 918 F.2d 724, 729 (8th Cir. 1990). A motion
to dismiss based on lack of subject-matter jurisdiction can be raised at any
time under Federal Rule of Civil Procedure 12(h)(3). And if the court concludes
that “it lacks subject-matter jurisdiction, the court must dismiss the action.”
FED. R. CIV. P. 12(h)(3). A plaintiff has the burden of establishing that subjectmatter jurisdiction exists. V S Ltd. P’ship v. Dep’t of Hous. & Urban Dev., 235
F.3d 1109, 1112 (8th Cir. 2000) (citation omitted).
Under a motion to dismiss based on lack of subject-matter jurisdiction,
the defendant may challenge either the plaintiff’s complaint on its face or the
factual deficiencies of the claims. Titus v. Sullivan, 4 F.3d 590, 593 (8th Cir.
1993). A facial challenge requires the court to examine the complaint and
determine if the plaintiff has sufficiently alleged a basis for subject-matter
jurisdiction, and the nonmoving party receives the same protections as it would
if defending a motion to dismiss under Rule 12(b)(6). Osborn, 918 F.2d at 729
n.6. A factual attack challenges the factual basis for subject-matter
jurisdiction, and the court may consider matters outside the pleadings without
giving the nonmoving party the benefit of the Rule 12(b)(6) safeguards. Id.
“Because at issue in a factual 12(b)(1) motion is the trial court’s jurisdiction–its
very power to hear the case–there is substantial authority that the trial court is
free to weigh the evidence and satisfy itself as to the existence of its power to
17
hear the case.” Id. at 730. Thus, the existence of disputed material facts does
not prevent the trial court from analyzing the merits of the jurisdictional
claims, and no presumption of truthfulness must attach to the facts alleged in
the complaint during a factual attack. Id. Here, the court views the United
States’s motion to dismiss Harlan’s deliberate indifference and FTCA claims as
presenting a factual attack under Rule 12(b)(1).
When reviewing a motion to dismiss for failure to state a claim upon
which relief may be granted under Rule 12(b)(6),15 the court accepts as true all
factual allegations in the complaint and draws all reasonable inferences in the
light most favorable to the complainant. Rochling v. Dep’t of Veterans Affairs,
725 F.3d 927, 930 (8th Cir. 2013). “To survive a motion to dismiss, a complaint
must contain sufficient factual matter, accepted as true, ‘to state a claim to
relief that is plausible on its face.’ ” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009)
(quoting Bell Atl. Corp. v. Twombly, 550 U.S. 544, 570 (2007)). “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. Legal conclusions and “[t]hreadbare recitals of the elements of a
cause of action, supported by mere conclusory statements,” do not plausibly
state a claim for relief. Id. (citing Twombly, 550 U.S. at 555). The court
determines plausibility by considering only the materials in the pleadings and
Because an answer was filed, the court may view the motion for failure to
state a claim as a Rule 12(c) motion for judgment on the pleadings. Rule 12(c)
motions, however, are reviewed under “the same standard as a 12(b)(6) motion
to dismiss.” Ginsburg v. InBev NV/SA, 623 F.3d 1229, 1233 n.3 (8th Cir. 2010).
15
18
exhibits attached to the complaint, drawing on experience and common sense,
and viewing the plaintiff’s claim as a whole. Whitney v. Guys, Inc., 700 F.3d
1118, 1128 (8th Cir. 2012). Here, the court views the United States’s motion to
dismiss Harlan’s negligence claim as a motion to dismiss for failure to state a
claim under Rule 12(b)(6).
B. Harlan’s Deliberate Indifference Claim.
Harlan alleges in his amended complaint that “[FPC Yankton’s] staff,
including MEDICAL and DENTAL employees acted with ‘Deliberate Indifference;
to [Harlan’s] serious Dental needs. . . in violation of [Harlan’s] 8th amendment
right to be free from cruel and unusual punishment.” Docket 19 at 2 (caps in
original). The amended complaint identifies the FTCA as the source of
jurisdiction for Harlan’s deliberate indifference claim. Docket 19 at 1. In
support of Harlan’s view that an “8th Amendment claim can be filed under the
[FTCA],” the amended complaint cites the Second Circuit’s decision of
Hernandez v. Lattimore, 621 F.2d 61 (2d Cir. 1979). Id.
The FTCA waives the government’s sovereign immunity, and provides
exclusive jurisdiction to federal district courts, with respect to
civil actions on claims against the United States, for money
damages, . . . for injury or loss of property, or personal injury or
death caused by the negligent or wrongful act or omission of any
employee of the Government while acting within the scope of his
office or employment, under circumstances where the United
States, if a private person, would be liable to the claimant in
accordance with the law of the place where the act or omission
occurred.
28 U.S.C. § 1346(b)(1). An important limitation under the FTCA is that the
government’s liability “depends upon the existence of a state cause of action
19
imposing liability were the United States a private person.” 14 Charles Alan
Wright & Arthur R. Miller, Federal Practice & Procedure, § 3658 (4th ed.) (citing
F.D.I.C. v. Meyer, 510 U.S. 471, 477 (1994) (state tort law is “the source of
substantive liability under the FTCA”)).
Here, Harlan has not pleaded a state-law cause of action of deliberate
indifference. Further, Hernandez v. Lattimore, 612 F.2d 61 (2d Cir. 1979), that
Harlan relies on as authority for the ability to bring a deliberate indifference
claim under the FTCA, does not advance his argument. Instead, Hernandez
stands for the well-settled proposition that individuals who bring suit under
the FTCA may also bring a separate Bivens claim for deliberate indifference in
the same law suit. Hernandez, 612 F.2d at 67 (explaining how “even a cursory
reading” of the congressional reports for the FTCA “demonstrates a
congressional intent to provide a remedy against the federal government in
addition to, but not wholly in the place of, the private cause of action created
by Bivens”).
The Eighth Circuit takes a similar view that a plaintiff may bring a
constitutional Bivens claim and a FTCA claim in the same lawsuit. Washington
v. Drug Enf’t Admin., 183 F.3d 868, 873 (8th Cir. 1999) (“Rather, victims of
purposeful wrongdoing on the part of federal law enforcement officers can bring
specified intentional tort claims under the FTCA and constitutional tort claims
under [Bivens].”). Thus, it is settled in the Eighth Circuit that “constitutional
tort claims are not cognizable under the FTCA.” Id. at 874. But a Bivens claim
fails when brought only against the United States or a federal agency.
20
Schutterle v. United States, 74 F.3d 846, 848 (8th Cir. 1996); accord Meyer, 510
U.S. at 485 (citing Bivens, 403 U.S. at 410 (Harlan, J. concurring in judgment))
(explaining that the Supreme Court “implied a cause of action against federal
officials in Bivens in part because a direct action against the Government was
not available”).
Harlan has not identified a source of federal jurisdiction over his
deliberate indifference claim other than the FTCA. And the United States is the
only named defendant in Harlan’s amended complaint. Therefore, an 8th
Amendment claim is the only type of claim which Harlan could have brought
against the United States. Because “constitutional tort claims are not
cognizable under the FTCA,” Washington, 183 F.3d at 874, and Harlan did not
allege any other cognizable claim against the United States, Harlan’s deliberate
indifference claim fails for lack of subject-matter jurisdiction.
C. Harlan’s Claims of Inadequate Prison Staffing and Inadequate
Delivery of Medical Services at FPC Yankton.
i. Discretionary Function Exception Standard.
Under the FTCA, 28 U.S.C. § 1346(b), the United States has affirmatively
waived its sovereign immunity to be sued in tort “in the same manner and to
the same extent as a private individual under like circumstances . . . .”
28 U.S.C. § 2674. The discretionary function exception to the FTCA bars the
United States from suit for all claims “based upon the exercise or performance
or the failure to exercise or perform a discretionary function or duty on the part
of a federal agency or an employee of the Government, whether or not the
discretion involved be abused.” 28 U.S.C. § 2680(a). “The purpose of the
21
[discretionary function] exception is to ‘prevent judicial second-guessing of
legislative and administrative decisions grounded in social, economic, and
political policy through the medium of an action in tort.’ ” Compart’s Boar
Store, Inc. v. United States, 829 F.3d 600, 604 (8th Cir. 2016) (quoting United
States v. Gaubert, 499 U.S. 315, 323 (1991)). And as the Supreme Court has
clarified, “ ‘[T]he proper objective of a court attempting to construe one of the
subsections of 28 U.S.C. § 2680 is to identify those circumstances which are
within the words and reason of the exception—no less and no more.’ ” Dolan v.
U.S. Postal Serv., 546 U.S. 481, 492 (2006) (quoting Kosak v. United States, 465
U.S. 848, 853 n.9 (1984)) (internal marks omitted).
Courts use a two-part test to determine if the discretionary function
exception applies. See Compart’s, 829 F.3d at 604. First, a court considers
“whether the suit concerns ‘acts that are discretionary in nature, [that is] acts
that involve an element of judgment or choice.’ ” Id. (quoting Gaubert, 499 U.S.
at 322) (alteration in original). “Government employees act with discretion
unless they are following a regulation or policy that is ‘mandatory and . . .
clearly and specifically define[s] what the employees are supposed to do.’ ” Id.
at 605 (quoting C.R.S. ex rel. D.B.S. v. United States, 11 F.3d 791, 799 (8th Cir.
1993)) (alterations in original). The United States has the burden to establish
that an employee’s action involved a judgment or choice. Demery v. U.S. Dep’t
of Interior, 357 F.3d 830, 832 (8th Cir. 2004).
Second, a court determines whether “the government acted or based its
decision ‘on considerations of public policy.’ ” Compart’s, 829 F.3d at 604
22
(quoting Gaubert, 499 U.S. at 323). An employee need not have actually relied
on public policy factors to satisfy this second step. Demery, 357 F.3d at 833.
This is because an employee’s “judgment or decision need only be susceptible
to policy analysis, regardless of whether social, economic, or political policy
was ever actually taken into account, for the [discretionary function] exception
to be triggered.” Demery, 357 F.3d at 833. Further, if the first step of the
discretionary function exception analysis is satisfied, the court “presume[s]
that the governmental action involved considerations of public policy.”
Compart’s, 829 F.3d at 604. “It is the plaintiff’s burden to rebut that
presumption.” Id. at 605.
ii. The Discretionary Function Exception Bars Harlan’s
Claims.
Harlan’s amended complaint contains several allegations regarding the
staffing of medical care professionals at FPC Yankton and the delivery of
medical services at FPC Yankton. First, Harlan alleges that the dental unit at
FPC Yankton is understaffed because the dental unit “does not recognize an
inmate in severe dental pain as a dental emergency which would require a
dentist[’s] immediate attention . . . .” Docket 19 at 2. Next, Harlan alleges that
there is a “[s]ystematic failure to provide adequate and/or necassary (sic)
dental treatment for the inmates at [FPC Yankton].” Id. Harlan also alleges that
FPC Yankton had “no viable plan” in place to treat dental emergencies during
the months of April 2014 through June 2014. Id. at 10-11. Finally, Harlan
alleges that by not having a full-time dentist on staff during that period, and
23
only providing on-site dental care once a month, “virtually assur[es] that
treatment would be delayed to inmates suffering severe dental pain for more
than three weeks . . . .” Id. at 11. Because Harlan’s allegations may implicate
discretionary decisions made by FPC Yankton, the court must address whether
the discretionary function to the FTCA, 28 U.S.C. § 2680(a), precludes the
court from having subject-matter jurisdiction over these allegations. Hart v.
United States, 630 F.3d 1085, 1088 (8th Cir. 2011). “To the extent an alleged
act falls within the discretionary function exception, a court lacks subject
matter jurisdiction.” Dykstra v. U.S. Bureau of Prisons, 140 F.3d 791, 795 (8th
Cir. 1998).
In Dudley v. United States, No. 09-4024-LLP, 2010 WL 5290024 (D.S.D.
December 17, 2010), the court addressed claims similar to those advanced by
Harlan here. Specifically, Dudley, a prisoner at FPC Yankton, argued that the
United States was liable under the FTCA for the lack of adequate medical
facilities and poor staffing at FPC Yankton. Dudley, 2010 WL 5290024, at *1.
The court, however, disagreed with Dudley and concluded that the
discretionary function exception to the FTCA barred Dudley’s claims. Id. at *3.
The court found that the first prong of the discretionary function test was
satisfied as “[n]o federal regulation or statute mandates the manner of medical
classification of federal inmates and institutions . . . [and because BOP]
administrators exercise their judgment, classifying inmates according to their
medical needs and institutions according to the type of healthcare resources
available.” Id. The court then found that the second prong of the discretionary
24
function exception was satisfied because “[t]he decision to classify inmates by
medical needs . . . necessarily involved both economic and policy
considerations.” Id. at *4; see also id. (citing Cohen v. United States, 151 F.3d
1338, 1344 (11th Cir. 1998) (“Deciding how to classify prisoners and choosing
the institution in which to place them are part and parcel of the inherently
policy-laden endeavor of maintaining order and preserving security within our
nation's prisons.”).
In Archambault v. United States, 82 F. Supp. 3d 961 (D.S.D. 2015), the
plaintiff alleged that the Department of Health and Human Services and Indian
Health Services (IHS) were liable for negligence under the FTCA due to the
failure “to reasonably screen, hire, investigate, train and/or supervise medical
employees,” who caused the death of the plaintiff’s wife. Archambault, 82 F.
Supp. 3d. at 963. In analyzing the plaintiff’s claims, the court noted how
actions by IHS employees were the product of a choice and were not governed
by specific mandates. Id. at 966. (remarking that individual IHS clinics
determine how the clinic operates, the order in which the clinic sees patients,
and whether all patients who visit the clinic must be seen on the same day).
The court also observed that policy implications could affect decisions made by
the IHS when it created staffing and operating procedures for IHS clinics. Id. at
965. (“There are finite resources available to [IHS]. Decisions as to staffing and
operating procedures need to be made in an effort to maximize the effectiveness
of the agency.”) Thus, because both prongs of the discretionary function
25
exception were present, the court concluded that the plaintiff’s FTCA claims
were barred. Id. at 965-66.
Like in Dudley and Archambault, the discretionary exception function
bars Harlan’s allegations challenging FPC Yankton’s level of medical care
professional staffing and the delivery of medical services. The BOP has a
statutory duty to provide medical and dental care to inmates. 18 U.S.C.
§ 4042(a)(2) (requiring that the BOP “provide suitable quarters and provide for
the safekeeping, care, and subsistence of all persons charged with or convicted
of offenses against the United States”). Individual BOP institutions are given
yearly budgets “to cover the care and subsistence of the inmate population, the
infrastructure of the institution, and the salary expense of staff.” Docket 32 at
2, ¶ 5. It is the job of decision makers at each institution to determine how to
allocate these funds across the institution’s individual units. Id. When
allocating these funds, an institution prioritizes its funds in order to determine
what vacancies are critical and must be filled. See id. at 3, ¶ 6.
The BOP’s dental services policy sets a goal of having at least one dentist
and one dental support staff at each BOP facility with over 1,000 inmates.
Docket 31-1 at 5-6. Even though this is the goal, institutions are not always
able to fill all their dental positions. Docket 31 at 3, ¶ 7; Docket 32 at 3, ¶ 7
(discussing geographic and financial concerns associated with candidates
interested in working as a dentist at a BOP institution). Here, FPC Yankton had
a vacant dental position from January 2014 through August 2014. Docket 32
at 4, ¶¶ 11-14. FPC Yankton began attempting to fill this position in October
26
2013. Id. at 4, ¶ 11. During the period when FPC Yankton lacked a full-time
dentist, it filled the void through a combination of visiting TDY dentists and
remote oversight by the regional chief dentist, Dr. Donald Ross. Docket 31 at
3-4, ¶¶ 8, 11. When providing remote oversight to FPC Yankton, Dr. Ross was
often able to “recommend a conservative treatment, such as pain medication or
antibiotics” to ease a patient’s pain “until the inmate may be seen by a TDY
dentist.” Id. at 3, ¶ 8. This was the model that Dr. Ross followed when
providing remote oversight to Harlan. See Docket 31 at 5-7, ¶¶ 13-26.
Here, no statutes or regulations dictated how FPC Yankton and Dr. Ross
must act in staffing dental services and in providing dental care to inmates.
See Dudley, 2010 WL 5290024, at *3; Archambault, 82 F. Supp. 3d at 966. And
the choices made by FPC Yankton, in staffing its dental services, and Dr. Ross,
in recommending treatment plans to Harlan, necessarily “ ‘involve[d] an
element of judgment or choice.’ ” Compart’s, 829 F.3d at 604 (quoting Gaubert,
499 U.S. at 322). FPC Yankton had elements of choice in deciding how it was
going to attempt to fill its vacant dentist’s position and provide dental care to
inmates during the interim period. Dr. Ross used elements of judgment in
deciding how to classify Harlan’s tooth pain and recommending treatment
plans to attempt to manage Harlan’s pain. Thus, the United States has met its
burden to establish that the actions here were discretionary and involved a
judgment or choice. Demery, 357 F.3d at 832.
Having shown that the decisions were discretionary, the court must
“presume that the governmental action involved considerations of public
27
policy.” Compart’s, 829 F.3d at 604. The burden now shifts to Harlan to rebut
this presumption. Id. at 605. FPC Yankton had numerous economic and
political reasons for deciding how it was going to fill its vacant dentist position
and provide dental care to inmates. For example, political and economic policy
considerations were at play in February 2014 when the Warden at FPC
Yankton determined that, due to a potential dentist’s background, the
candidate was not appropriate to work in the correctional setting. Docket 32 at
4, ¶ 12. Economic considerations were also at play during Dr. Ross’s treatment
of Harlan. See Docket 31 at 5-7, ¶¶ 17, 19, 25. It is cheaper to use a
conservative treatment plan, such as prescribing pain medication and waiting
for a TDY dentist to visit the institution, than it is to pay for an inmate to be
immediately examined by a community dentist. See Docket 31 at 3, ¶ 8.
Harlan has failed to rebut the presumption that considerations of public
policy supported the governmental actions here. Harlan’s response brief to the
United States’s motion to dismiss indicates that he disagrees with how FPC
Yankton staffed its dental services and disagrees with the treatment plan
executed by Dr. Ross. See Docket 34 at 1-2. But Harlan fails to identify any
specific policy that would mandate a staffing pattern or require a certain
treatment plan. Because Harlan has failed to rebut the presumption that the
actions here by FPC Yankton and Dr. Ross involved considerations of public
policy, the court must conclude that the discretionary function exception
applies. See Compart’s, 829 F.3d at 604. Thus, the court lacks subject-matter
jurisdiction over Harlan’s claims of improper staffing of dental services and
28
inadequate delivery of dental care. See Hart, 630 F.3d at 1088. Therefore, the
United States’s motion to dismiss is granted for lack of subject-matter
jurisdiction.
D. Harlan’s Negligence Claim.
Harlan alleges in his amended complaint that FPC Yankton was negligent
by “delaying treatment of [Harlan’s] emergency dental treatment need and
failing to prescribe pain medication in an efficient manner leaving [Harlan] to
suffer excruciating dental pain needlessly.” Docket 19 at 2. The alleged delay in
dental care, according to Harlan’s amended complaint, resulted in Harlan
having a five-day delay in triage, a nine-day delay in prescribing Harlan pain
medication, that only was prescribed for seven days, and a 61-day delay in the
treatment of Harlan’s injured tooth. Id. The source of jurisdiction for Harlan’s
negligence claim is the FTCA. Id.
The FTCA limits the United States’s liability for an employee’s alleged
negligence to situations “where the United States, if a private person, would be
liable to the claimant in accordance with the law of the place where the act or
omission occurred.” 28 U.S.C. § 1346(b)(1) (emphasis added). According to the
amended complaint, the relevant events occurred at FPC Yankton, which is
located in Yankton, South Dakota. Thus, the court must apply South Dakota
law to Harlan’s negligence claim. See Owen v. United States, 645 F. Supp. 2d
806, 825-26 (D.S.D. 2009) (applying South Dakota law to an FTCA claim,
alleging medical malpractice, arising from an Indian Health Services hospital
located on the Sisseton-Wahpeton Oyate reservation in South Dakota).
29
In South Dakota, “[t]he general rule in medical malpractice cases is that
negligence must be established by the testimony of medical experts.” Magbuhat
v. Kovarik, 382 N.W.2d 43, 46 (S.D. 1986). This is because “expert testimony is
required to establish the standard of care for a professional unless the issue is
within the common knowledge of the jury.” Luther v. City of Winner, 674
N.W.2d 339, 344 (S.D. 2004). But the general rule “does not exclude the
opinions and conclusions of lay witnesses on subjects which are within the
common knowledge and comprehension of persons possessed of ordinary
education, experience and opportunity.” Magbuhat, 382 N.W.2d at 46.
Here, Harlan alleges that he suffered severe tooth pain and that his
condition could have been diagnosed by a layperson. See Docket 19 at 2.
Harlan further alleges that the medical and dental staff at FPC Yankton failed
to properly diagnose and timely treat his condition. See Docket 19 at 2-7. While
individuals can subjectively rate their pain, only a qualified dental professional
can give an opinion as to the standard of care necessary to treat the dental
condition. The diagnosis and treatment plan of Harlan’s tooth, therefore, is not
an issue within the common knowledge of lay people. See Kostel v. Schwartz,
756 N.W.2d 363, 383 (S.D. 2008) (“The complexity of neurosurgery does not
pose that kind of self-evident situation [where expert opinion testimony is
unnecessary]”); Luther v. City of Winner, 674 N.W.2d at 344 (noting that “the
typical lay person would have no idea how to design and construct a sidewalk
under the conditions on Winner's Main Street”). Thus, Harlan needs an expert
witness to present evidence regarding the treatment of his tooth.
30
In essence, Harlan’s claims of negligence by the dental staff at FPC
Yankton are medical malpractice claims. And as Harlan himself admitted, he
dropped his medical malpractice claims when he filed his first motion to amend
his complaint. Docket 17 at 1 (“Claim (4) MALPRACTICE has been dropped as
the PLAINTIFF has not got the required proof to establish this claim nor does
he need to establish it to prevail in this case.” (caps in original)). Because
Harlan has dropped his claim of medical malpractice, he has no evidence to
state a claim that he received improper dental treatment. Thus, even viewing
the facts in the light most favorable to Harlan, he has failed to properly allege
facts to allow him to state a claim for negligence resulting from the
misdiagnosis or improper treatment of his tooth. Harlan’s claim of negligence,
therefore, is dismissed for failure to state a claim.
CONCLUSION
Harlan failed to show that he was diligent in attempting to amend his
amended complaint nine months after the deadline for amending pleadings had
passed. Thus, the court lacks good cause to amend its scheduling order.
Harlan’s deliberate indifference claim, brought only under the FTCA, fails for
lack of subject-matter jurisdiction. Similarly, the discretionary function
exception bars Harlan’s FTCA claims challenging the staffing of dental care
services at FPC Yankton and the delivery of dental care services at FPC
Yankton. Thus, those claims are also dismissed for lack of subject-matter
jurisdiction. Harlan’s remaining claims of negligence are dismissed for failure
to state a claim. Thus, it is
31
ORDERED that the Harlan’s motion to amend his amended complaint
and his motion for summary judgment (Docket 35) is denied.
IT IS FURTHER ORDERED that the United States’s motion to dismiss
(Docket 27) is granted, and the cross-motion for summary judgment is denied
as moot.
IT IS FURTHER ORDERED that Harlan’s motion for summary judgment
(Docket 23) is denied as moot.
DATED December 1, 2016.
BY THE COURT:
/s/ Karen E. Schreier
KAREN E. SCHREIER
UNITED STATES DISTRICT JUDGE
32
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