Sharp, Robert v. Numsen, John et al
Filing
48
ORDER that defendants' motion to dismiss (dkt. # 25 ) is GRANTED, although as specifically set forth in this order, defendants Revell and Connors dismissal is without prejudice. Plaintiff Robert Sharp's motion for a preliminary injunction (dkt. # 21 ) and renewed motion for assistance in recruiting counsel (dkt. # 31 ) are DENIED as moot. The clerk of court is directed to enter final judgment in defendants' favor and close this case. Signed by District Judge William M. Conley on 3/21/2022. (lam),(ps)
IN THE UNITED STATES DISTRICT COURT
FOR THE WESTERN DISTRICT OF WISCONSIN
ROBERT SHARP,
Plaintiff,
OPINION AND ORDER
v.
18-cv-195-wmc
JOHN NUMSEN, T. ROBERTS,
LOUIS WILLIAMS, II, SARA REVELL,
and IAN CONNORS,
Defendants.
Pro se plaintiff Robert Sharp is proceeding under Bivens v. Six Unknown Federal
Narcotics Agents, 403 U.S. 388 (1974), claiming that a prison mailroom supervisor
interfered with his legal mail while a federal prisoner at the Federal Correctional Institution
in Oxford, Wisconsin, in violation of the First Amendment, and that four, other defendants
did as well by declining to intervene. Defendants have since filed a motion to dismiss,
which asserts a combination of defenses under Federal Rule of Civil Procedure 12(b).
Specifically, the out-of-state Bureau of Prisons (“BOP”) defendants, Revell and Connors,
seek dismissal under Rule 12(b)(2) for lack of personal jurisdiction as a threshold matter,
while all defendants seek dismissal of plaintiff’s complaint for failure to state a claim under
Rule 12(b)(6). (Dkt. #25.) The court agrees and will dismiss (1) without prejudice the
claims against the BOP defendants for lack of personal jurisdiction and (2) with prejudice
the claims against the Oxford defendants, Numsen, Roberts and Williams, because Bivens
does not extend to the circumstances of this case. Because all defendants will be dismissed
and this case closed, the court will also deny as moot plaintiff’s pending motions for a
preliminary injunction (dkt. #21) and for assistance in recruiting counsel (dkt. #31).
ALLEGATIONS OF FACT1
A. The Parties
Sharp is currently incarcerated at the McDowell Federal Correctional Institution
located in Welch, West Virginia. At all times relevant to this lawsuit, he was incarcerated
at the Oxford Federal Correctional Institution (“FCI-Oxford”). The defendants working
at FCI-Oxford are: John Numsen, the prison mailroom supervisor; Tiffany Roberts, a legal
administrative assistant for inmates complaints; and Louis Williams II, the warden. Sharp
is also proceeding against two BOP administrators: Defendant Sara Revell was, at all times
relevant to this lawsuit, the Regional Director for the North Central Region with her
business office in Kansas City, Kansas (dkt. #27); and defendant Ian Connors is the
National Inmate Appeals Administrator who oversees the BOP’s grievance process at the
national level from the BOP Central Office in Washington, D.C. (dkt. #28 at 2).
Both Revell and Connors assert that they have never resided, worked, been
professionally licensed in, or owned real property in Wisconsin. (Dkt. ##27, 28 at 2.)
Revell further maintains that she has never attended school in Wisconsin either. (Dkt.
#27.) For his part, Connors indicates that he earned a master’s degree from the University
of Wisconsin-Platteville, but through an online distance education program while living in
California. (Dkt. #28 at 2.)
In addressing any pro se litigant’s complaint, the court must read the allegations generously. Haines
v. Kerner, 404 U.S. 519, 521 (1972). Unless otherwise noted, the court assumes the following facts
when viewed in a light most favorable to plaintiff and drawing all inferences in his favor.
1
2
B. The Processing of Sharp’s Legal Mail at FCI-Oxford
Sharp alleges that defendant Numsen improperly processed some of his legal mail
at FCI-Oxford while he was still appealing his criminal conviction. After being transferred
from FCI-Oxford to Iowa to face new criminal charges in 2015, Sharp returned to FCIOxford in December 2016 following his conviction. Sharp then appealed his Iowa criminal
conviction, and in February 2017, he began receiving letters from his appellate counsel, as
well as both state and federal courts and two state attorney disciplinary boards. Sharp’s
lawyers would mark their envelopes either as “special mail” or “legal mail” intended to be
opened only in Sharp’s presence. Although Sharp does not allege that his lawyers expressly
identified themselves as lawyers on these envelopes, they at least included the name and
address of the sender law firm or legal aid organization along with the lawyer’s name.
Sharp’s court mail from the United States Court of Appeals for the Eighth Circuit was also
marked as “legal mail” to be opened in Sharp’s presence, while mail from other courts and
the disciplinary boards indicated the name and address of that sender institution. (Dkt.
#21-2.)
That same month, Sharp informed Oxford’s prison mailroom supervisor Numsen
that the first few letters sent by his appellate lawyers had been opened outside his presence
by mailroom staff. Sharp also showed Numsen the envelopes and provided Numsen with
his lawyers’ names, addresses and phone numbers, as well as caselaw instructing “how
prisons should treat privileged legal mail from attorneys and courts.” (Dkt. #1 at 2.)
However, Numsen responded that he was already following BOP policy and would
continue to do so. When Sharp subsequently informed Numsen that staff had now opened
3
six attorney letters in Sharp’s presence that were stamped and addressed identically to those
opened outside his presence, Numsen acknowledged that none of the legal letters should
have been opened outside of Sharp’s presence.
Sharp also turned in frustration to FCI-Oxford’s legal department in March 2017,
filing grievances about his opened mail. However, mailroom assistant Roberts allegedly
refused to sign off on Sharp’s grievances or otherwise intervene, again stating that FCIOxford was following BOP policy. Warden Williams allegedly gave the same response in
July 2017, when one of Sharp’s attorneys also notified him that prison staff were opening
Sharp’s legal mail outside his presence.
Next, in July 2017, a corrections counselor
allegedly gave Sharp two opened attorney letters that the mailroom supervisor Numsen left
while the counselor was out of the office. According to Sharp, one letter “was 7 days past
the post mark,” the other “was 18 days past [its] post mark,” and both letters contained
time-sensitive affidavits that had to be returned to his attorney immediately. (Id. at 3.)
Sharp then sent a grievance to defendant Revell as the Regional Director for the BOP’s
North Central Region in September 2017, alleging that FCI-Oxford’s mailroom supervisor
Numsen and his staff were opening Sharp’s legal mail outside his presence. Sharp received
a response back less than a month later indicating that staff was opening his mail in
accordance with BOP policy. (Dkt. #27-1.) While Revell asserts that she had “general
supervisory responsibility for facilities and inmate care at FCI Oxford,” she generally “did
not exercise control over the day-to-day operations” or personally sign responses to
administrative remedy appeals, and specifically did not review or deny Sharp’s appeal.
(Dkt. #27.) Although Revell acknowledges that her name appears in the signature block
4
of the response to Sharp’s appeal, she also explains that the signature itself is that of a nondefendant, deputy regional director to whom Revell assigned her signature authority. (Id.)
As the BOP’s National Inmate Appeals Administrator, defendant Connors similarly
responded in kind to the October 20, 2017, grievance he later received from Sharp.
Finally, while the Eighth Circuit affirmed his Iowa criminal conviction in February
2018, Sharp now suggests that defendant Numsen, having opened some of Sharp’s legal
mail while the appeal was pending, showed “an overzealous interest” in his appeal and
“may have shared privileged information with the agency prosecuting” him. (Dkt. #1 at
5.)
C. Sharp’s Complaint
Sharp filed this lawsuit in March 2018 under 42 U.S.C. § 1983, alleging that all
defendants violated his First and Sixth Amendment rights. The court screened Sharp’s
complaint as required by 28 U.S.C. § 1915A and evaluated his claims under Bivens because
§ 1983 does not apply to federal actors. (Dkt. #15 at 1.) The court allowed Sharp to
proceed only on his First Amendment claim that: (1) FCI-Oxford’s mailroom supervisor
Numsen repeatedly either opened his mail outside his presence or delayed the delivery of
Sharp’s correspondence from his attorneys; and (2) the other defendants (Roberts,
Williams, Revell and Connors) each validated Numsen’s unconstitutional behavior. (Id.
at 8.) The court cautioned, however, that the United States Supreme Court had yet to
declare a First Amendment claim actionable under Bivens. (Id. at 4.) In lieu of answering
the complaint, defendants moved to dismiss.
5
OPINION
As noted, all defendants seek dismissal under Rule 12(b)(6), arguing that plaintiff’s
First Amendment claim is not available under Bivens.2 The two BOP defendants (Revell
and Connors) also seek dismissal for lack of personal jurisdiction under Rule 12(b)(2). The
court will address each argument in turn.
I. Dismissal for Failure to State a Claim
A motion to dismiss under Rule 12(b)(6) is designed to test the complaint’s legal
sufficiency. See Fed. R. Civ. P. 12(b)(6). “To survive a motion to dismiss under Rule
12(b)(6),” a plaintiff must allege sufficient facts to “state a claim for relief that is plausible
on its face.” Spierer v. Rossman, 798 F.3d 502, 510 (7th Cir. 2015). Moreover, a Rule
12(b)(6) motion is the proper means for dismissal when Bivens does not authorize a claim.
See Massey v. Helman, 196 F.3d 727, 738 (7th Cir. 1999) (“[T]he appropriate basis for
dismissing a Bivens claim . . . is failure to state a claim upon which relief can be
granted . . . .”).
In Bivens, the Supreme Court recognized an implied cause of action for damages
against federal officers for a constitutional violation. Engel v. Buchan, 710 F.3d 698, 703
(7th Cir. 2013). However, the Supreme Court has only allowed an implied damages
remedy under Bivens in three cases: (1) a Fourth Amendment claim against FBI agents for
handcuffing a man in his home without a warrant, Bivens, 403 U.S. 388; (2) a Fifth
Defendants argue in the alternative that they are entitled to qualified immunity. Because the
court finds that plaintiff’s claim is not cognizable under Bivens, it need not consider defendants’
qualified immunity argument. Even so, given questions regarding the viability of the claim, this
defense would appear to preclude any claim by plaintiff to monetary relief
2
6
Amendment sex discrimination claim against a congressman for firing his female
administrative assistant, Davis v. Passman, 442 U.S. 228 (1979); and (3) an Eighth
Amendment claim brought by a prisoner’s estate against prison officials for failure to
provide adequate medical care for his asthma, Carlson v. Green, 446 U.S. 14 (1980). More
recently, in Ziglar v. Abbasi, 137 S. Ct. 1843 (2017), the Supreme Court also expressed
concern about further expansion of the implied rights recognized in Bivens, holding that
expanding Bivens to a new context would be a “disfavored judicial activity” and cautioning
that “even a modest extension is still an extension.” Id. at 1857, 1864. Accordingly, the
Court established a three-step inquiry that district courts must follow before finding a
Bivens remedy applies: (1) whether the claim “presents a new Bivens context”; (2) whether
there is any “alternative, existing process for protecting the interest” at stake; and (3)
whether any other “special factors counsel[ ] hesitation” before authorizing a new kind of
federal litigation. Id. at 1856-60. For the reasons set forth below, the court concludes that
the answer to each of these questions counsels against extending a Biven-type remedy on
the facts presented here.
A. Plaintiff’s First Amendment Claim Arises in a New Bivens Context
“If the case is different in a meaningful way from previous Bivens cases decided by
[the Supreme] Court, then the context is new.” Abbasi, 137 S. Ct. at 1859. A “meaningful”
difference can be found based on:
the rank of the officers involved; the constitutional right at
issue; the generality or specificity of the official action; the
extent of judicial guidance as to how an officer should
respond . . .; the statutory or legal mandate under which the
officer was operating; the risk of disruptive intrusion by the
7
Judiciary into the functioning of other branches; or the
presence of potential special factors that previous Bivens cases
did not consider.
Id. at 1860.
Given its different constitutional footing, plaintiff’s First Amendment interferencewith-legal mail claim is meaningfully different on its face from the Fourth Amendment
unreasonable seizure claim recognized in Bivens, as well as the Fifth Amendment gender
discrimination claim recognized in Davis and the Eighth Amendment deliberate
indifference claim recognized in Carlson. Indeed, the Supreme Court has yet to recognize
a First Amendment Bivens claim. See Abbasi, 137 S. Ct. at 1857 (noting that the Court
declined to create an implied damages remedy in a First Amendment suit against a federal
employer); see also Wood v. Moss, 572 U.S. 744, 757 (2014) (assuming without deciding
that Bivens applied to a First Amendment claim); Reichle v. Howards, 566 U.S. 658, 663
n.4 (2012) (the Court has “never held that Bivens extends to First Amendment claims”);
Ashcroft v. Iqbal, 556 U.S. 662, 675 (2009) (“we have declined to extend Bivens to a claim
sounding in the First Amendment”); Bush v. Lucas, 462 U.S. 367, 390 (1983) (declining to
create a Bivens remedy for a First Amendment claim against a federal employer because
“Congress is in a better position to decide” the issue). Similarly, the Supreme Court “has
refused to extend Bivens contexts beyond the specific clauses of the specific amendments
for which a cause of action had been implied, or even to other classes of defendants facing
liability under those same clauses.” Gonzalez v. Hasty, 269 F. Supp. 3d 45, 58 (E.D.N.Y.
2017) (comparing cases). Numerous district courts have followed suit post-Abbasi with
respect to mail interference claims in particular. E.g., Wise v. Maruka, No. 1:20-00056,
8
2021 WL 1603819, at *16 (S.D. W. Va. Jan. 5, 2021) (First Amendment retaliation and
improper opening of mail present a new Bivens context); White v. Sloop, No. 3:17-cv-1059JPG-DGW, 2018 WL 6977336, at *3 (S.D. Ill. Aug. 31, 2018) (concluding that plaintiff’s
First Amendment interference with mail claim arose in a new Bivens context); Harris v.
Dunbar, No. 2:17-cv-00536-WTL-DLP, 2018 WL 3574736, at *2 (S.D. Ind. July 25,
2018) (same); Stratmon v. Morris, No. 1:12-cv-01837, 2018 WL 3388406, at *3 (E.D. Cal.
July 10, 2018) (same).
Because the Supreme Court has not yet recognized a Bivens remedy for plaintiff’s
First Amendment claim, it follows that this is a new context, requiring an alternativeremedy and special-factors analysis. Plaintiff acknowledges as much but emphasizes that
at least one pre-Abbasi federal court decision assumed the validity of a First Amendment
claim under Bivens. (Dkt. #41 at 7.) However, Abbasi made clear that “lower courts must
scrutinize attempts to expand the Bivens remedy, even where courts had previously
assumed the availability of such a remedy.” Gonzalez, 269 F. Supp. 3d at 58 (citing Abbasi,
137 S. Ct. at 1865); see also Smadi v. True, 783 F. App’x 633 (7th Cir. 2019) (remanding
so that district court could develop full record on whether Bivens-style damages remedy was
available for alleged violations of prisoner’s First Amendment rights after Ziglar).
B. Plaintiff has Alternative, Existing Processes Available to Address his Claim
Moving to the next step in the analysis, the court must ask “whether any alternative,
existing process for protecting the interest amounts to a convincing reason for the Judicial
Branch to refrain from providing a new and freestanding remedy in damages.” Wilkie v.
Robbins, 551 U.S. 537, 550 (2007). Where “there is an alternative remedial structure
9
present . . . that alone may limit the power of the Judiciary to infer a new Bivens cause of
action.” Abbasi, 137 S. Ct. at 1858.
As defendants note, plaintiff had available, alternative remedial structures to
address his claims, which also counsels against providing a new Bivens remedy. For one,
plaintiff could have sought relief under the Mandamus and Venue Act, which grants
“original jurisdiction” of mandamus actions to compel federal officers “to perform a duty
owed to the plaintiff.” 28 U.S.C. § 1361; see also Silva v. Ward, No. 16-cv-185-wmc, 2019
WL 4721052, at *5 (W.D. Wis. Sept. 26, 2019) (“[I]f the conditions of Silva’s cell and
safety were actually so egregious as to give rise to constitutional violations in a Bivens claim,
there would appear no reason why he could not have invoked the Mandamus and Venue
Act to compel BOP officials at FCI-Oxford to address those conditions.”).
Plaintiff
responds that the court should have sua sponte “recharacterize[d] his original complaint
as” an action brought under that Act, rather than as a Bivens action. (Dkt. #41 at 8.) But
that is not an argument of unavailability, and in any event, that is not the court’s
responsibility in screening plaintiff’s complaint.
See 28 U.S.C. § 1915A (court shall
identify cognizable claims or dismiss the complaint, or any portion of the complaint, on
specified grounds).
For another, plaintiff could (and did) seek injunctive relief while still housed at FCIOxford through the Bureau of Prison’s Administrative Remedy Process. (See dkt. ##2, 21,
41-1 at 1-20.) Indeed, prisoners like plaintiff can seek “an injunction requiring the warden
to bring his prison into compliance” or “some other form of equitable relief.” Abbasi, 137
S. Ct. at 1865. Moreover, the BOP’s Administrative Remedy Program allows “an inmate
10
to seek formal review of an issue relating to any aspect of his/her own confinement,” and
“applies to all inmates in institutions operated by the” BOP. Administrative Remedy
Program Purpose and Scope, 28 C.F.R. § 542.10(a)-(b) (2018).
Similarly, defendants note that plaintiff could have filed a motion seeking to prevent
the misuse of his legal mail during the pendency of his appeal from his Iowa conviction.
See Kadamovas v. Siereveld, No. 2:18-cv-00490-jrs-mjd, 2019 WL 2869674, at *2 (S.D. Ind.
July 3, 2019) (alternative remedies to redress legal mail claim include “motions in any
pending litigation to prevent misuse of privileged documents”). Rather than file such a
motion, however, plaintiff contacted the clerk of court for the Court of Appeals for the
Eighth Circuit, who declined to intervene with FCI-Oxford because the correspondence
sent by the court was “a matter of public record” also sent to the government’s lawyer, so
“[t]he government would gain no advantage from opening and reading” plaintiff’s copies.3
(Dkt. #41-1 at 20.)
Plaintiff argues that these avenues of relief are inadequate because none were
resolved in his favor, and in fairness, injunctive relief may no longer be available to him for
his claims now that he has been transferred to another institution. However, plaintiff is
not entitled to the remedy of his choice. See Robinson v. Sherrod, 631 F.3d 839, 842 (7th
Cir. 2011) (monetary damages “is not an automatic entitlement no matter what other
means there may be to vindicate a protected interest”) (quoting Wilkie, 551 U.S. at 550).
Indeed, as the Seventh Circuit has similarly observed, court mail “is a public document” so “[i]t
is therefore not apparent to us why it should be regarded as privileged and how [plaintiff] could be
hurt if the defendant read these documents before or after [plaintiff] does.” Martin v. Brewer, 830
F.2d 76, 78 (7th Cir. 1987).
3
11
At bottom, the alternative procedure inquiry does not ask whether the remedy available to
the plaintiff offers “complete relief.” Lucas, 462 U.S. at 388.
Accordingly, since the undisputed facts establish that plaintiff had at least one
alternative process available to him, this factor weighs against extending Bivens to his claims
as well. See Goree v. Serio, 735 F. App’x 894, 895 (7th Cir. 2018) (“Where Congress has
established an alternative remedial structure to protect a constitutional right, the Supreme
Court has strongly cautioned that the courts should not create a secondary remedy”) (citing
Abbasi, 137 S. Ct. at 1857-58)); Vega v. United States, 724 F. App’x 536, 539 (9th Cir.
2018) (affirming district court’s refusal to extend Bivens to prisoner plaintiff’s access to
courts and due process claims based on finding that plaintiff had adequate alternative
processes available to him); Silva, 2019 WL 4721052, at *5 (alternative process factor
weighed against Bivens remedy where injunctive relief, the Mandamus and Venue Act, and
the BOP’s administrative remedies program were available to plaintiff); see also Gonzalez,
269 F. Supp. 3d at 60, 63 (declining to expand Bivens cause of action for Eighth
Amendment conditions-of-confinement and Fifth Amendment due process claims because
administrative complaint process and other “special factors” counseled against expansion).
C. Additional Special Factors Counsel Hesitation
Finally, the “special factors” analysis similarly weighs against implying Bivens
remedies here. This “inquiry must concentrate on whether the Judiciary is well suited,
absent congressional action or instruction, to consider and weigh the costs and benefits of
allowing a damages action to proceed.” Abbasi, 137 S. Ct. at 1858. A “special factor
counselling hesitation” should cause the court to “hesitate before answering that question
12
in the affirmative.” Id. As the Court explained in Abbasi,
if there are sound reasons to think Congress might doubt the
efficacy or necessity of a damages remedy as part of the system
for enforcing the law and correcting a wrong, the courts must
refrain from creating the remedy in order to respect the role of
Congress in determining the nature and extent of federal court
jurisdiction under Article III.
Id. (emphasis added). Defendants identify five such special factors here.
1. Interference with Sensitive Government Functions
To begin, defendants argue that implying a Bivens remedy here would interfere with
the “delicate process of prison administration.” (Dkt. #26 at 14.) The Supreme Court
has recognized that prison administration is immensely challenging, requiring “expertise,
planning and the commitment of resources, all of which are peculiarly within the province
of the legislative and executive branches of government.” Turner v. Safley, 482 U.S. 78, 8485 (1987). For that reason, the Turner Court encouraged “a policy of judicial restraint” in
prison administration. Id. at 85. Here, plaintiff argues that a Bivens remedy is necessary
to correct what he views as FCI-Oxford’s overly strict interpretation of BOP’s adequate
identification requirement for special mail. (Dkt. #41 at 11.) Setting aside the fact that
plaintiff is no longer subject to this institutional rule, his challenge to how such regulations
are interpreted and supplemented at the institutional level based on institution-specific
concerns including preventing the flow of contraband into the prison in light of the
sophistication of the inmates there runs squarely counter to Turner.
Plaintiff’s reliance on a non-binding, pre-Abbasi decision in support of his position
that defendants arbitrarily opened his legal mail in defiance of BOP regulations is
13
unavailing. In Merriweather v. Zamora, 569 F.3d 307 (6th Cir. 2009), the Court of Appeals
for the Sixth Circuit examined the alleged conduct of several mailroom employees at a
federal prison in Milan, Michigan.
However, Merriweather does not instruct that a
supplemental sender identification requirement like that which FCI-Oxford imposes would
be violative of any inmate rights. See id. at 313-14. In Merriweather, Milan employees had
learned at a required training session that writing “attorney/client” somewhere on the
envelope would satisfy the BOP requirements for special mail handling, but opened several
properly-labeled envelopes outside of the plaintiff’s presence anyway. Id. at 314. At issue
in Merriweather was the conduct of individual employees who had disregarded the prison’s
specific interpretation of BOP special mail rules. Here, plaintiff takes issue with the useof-title requirement itself and would proceed against defendants for adhering to the
institution’s policy.
Moreover, BOP regulations generally allow for correspondence to be handled as
special mail if, among other requirements, the sender is “adequately identified” on the
envelope. 28 C.F.R. § 540.18(a). Legal mail from a lawyer must be “marked with the
attorney’s name and an indication that the person is an attorney.” 28 C.F.R. § 540.19(b).
At FCI-Oxford, the sender must indicate his or her status as an attorney specifically
through use of a “title, i.e., John Doe, Attorney.” (Dkt. #36-1 at 5.) In opposition to
Sharp’s motion for injunctive relief, defendants assert that with one exception, the
envelopes at issue here were non-compliant with this institutional rule. (Dkt. #34 at 3,
5.) Sharp responds that FCI-Oxford, in requiring the use of a title, has misinterpreted BOP
regulations, construing them too strictly. (Dkt. #41 at 11.) However, “a Bivens action is
14
not the proper vehicle for altering an entity’s policy.” Ziglar v. Abbasi, 137 S. Ct. 1843,
1860 (2017) (quoting Correctional Services Corp. v. Malesko, 534 U.S. 61, 74 (2001)).
Moreover, to the extent Sharp still seeks injunctive relief from this institutional rule, that
request would likely be moot as he is no longer incarcerated at FCI-Oxford. See Higgason
v. Farley, 83 F.3d 807, 811 (7th Cir. 1996) (quoting Moore v. Thieret, 862 F.2d 148, 150
(7th Cir. 1988)) (“If a prisoner is transferred to another prison, his request for injunctive
relief against officials of the first prison is moot unless ‘he can demonstrate that he is likely
to be retransferred.’”).
2. Congress has Regulated the Prison Field Extensively without Creating
Damages Remedies
Defendants also advance a separation of powers argument, noting that Congress has
not created a private remedy for federal inmates to pursue monetary damages against
federal officials and has in fact restricted or eliminated those remedies. Congress is “most
often” in the best position to decide if a damages remedy serves the public interest. Abbasi,
137 S. Ct. at 1857.
As defendants note, Congress has regulated the field of prison
administration and prisoners’ rights without creating new causes of action against federal
prison officials. Indeed, the Civil Rights Act of 1871, 42 U.S.C. § 1983, created a private
cause of action against state officials for constitutional violations. Notwithstanding the
Supreme Court’s narrowing of an analogous cause of action in Bivens, Congress has still
not taken the opportunity to fill in that gap.
Rather, since Bivens, Congress has taken further steps to limit prisoner rights. For
example, when it promulgated the Civil Rights of Institutionalized Persons Act of 1980
15
(“CRIPA”), 42 U.S.C. § 1997a, Congress created a “weak exhaustion provision, which
authorized district courts to stay actions” for a limited period of time while a prisoner
exhausted his claims using the administrative remedies available. Woodford v. Ngo, 548
U.S. 81, 84 (2006).
More substantively, in 1995, Congress promulgated the Prison
Litigation Reform Act (“PLRA”), 28 U.S.C. § 1997e, which: (1) requires exhaustion of
available administrative remedies before filing suit, 42 U.S.C. § 1997(e)(a); (2) bars
prisoners from recovering from “mental or emotion injury” unless they show a “physical
injury” or “sexual act,” 42 U.S.C. § 1997(e)(e); and (3) prohibits prisoners from proceeding
in forma pauperis if they have filed three or more prior actions that were dismissed without
legal basis, 28 U.S.C. § 1915(g). “Each of these limitations certainly suggest that Congress
intended to reign in prisoners’ ability to obtain relief in federal court, not expand it.” Silva,
2019 WL 4721052, at *8; see also Badley v. Granger, No. 2:17-cv-41-jms-dlp, 2018 WL
30226553, at *4 (S.D. Ind. June 18, 2018) (“Congress has been active in the area of
prisoners’ rights, and its action -- not creating new rights -- do not support the creation of
a new Bivens claim.”). Finally, defendants further note that in passing the Prison Rape
Elimination Act of 2003 (“PREA”), Congress again sought to address the substantial
problem of prison sexual assaults, but declined to create a private cause of action in doing
so.
Plaintiff concedes that “it is telling that Congress has never created private damages
remedies for First Amendment violations,” but argues that this is because such violations
“are so rare” and emphasizes that it is the domain of the judiciary to determine what the
law is. (Dkt. #41 at 13.) However, to the extent that the Supreme Court has never
16
recognized a private remedy for a First Amendment claim under Bivens, it is not because
such claims concerning mail or legal mail are rare. Regardless, the Supreme Court has
explained that providing for a damages remedy is a decision best left for Congress. Abbasi,
137 S. Ct. at 1857. Plaintiff offers no counters to defendants’ varied examples of Congress
declining to create new causes of action against federal prison officials, and even restricting
such causes of action. Accordingly, the separation of powers factor also weighs heavily
against implying a Bivens remedy for plaintiff’s claims.
3. System-Wide Costs and the Effect on Duty-Performance
Defendants also argue that system-wide costs could result from the extension of a
Bivens remedy to plaintiff’s First Amendment claims. Before extending any new Bivens
remedy, the Supreme Court specifically emphasized the importance of considering the
“impact on governmental operations systemwide,” including “the burdens on Government
employees who are sued personally, as well as the projected costs and consequences to the
government itself when the tort and monetary liability mechanisms of the legal system are
used to bring about the proper formulation and implementation of public policies.” Abbasi,
137 S. Ct. at 1858.
Defendants point out that the BOP faces significant staffing shortages in addition
to heavy workloads, since its staffing levels have been reduced in recent years. Citing to
the BOP’s FY2019 Budget Report, defendants note that there were just 36,000 BOP
employees responsible for monitoring a prisoner population of approximately 177,000
17
prisoners.4 Defendants reason that extending individual liability for mail interference
claims could make recruiting qualified prison staff even more difficult, increase the tension
inherent in officer-inmate relationships, and thus the chances of frivolous lawsuits. This
dovetails with defendants’ last point: requiring the BOP and the Department of Justice to
defend these actions, many of which could be frivolous, stands to divert substantial
resources away from orderly prison administration.
Plaintiff responds that a ruling in his favor would only impact those facilities that
have an institutional rule applied as strictly as FCI-Oxford’s, which he speculates would be
few in number and, therefore, not result in system-wide costs. Even more theoretical,
plaintiff posits that since some BOP employees “could become prisoners,” ensuring that
the rights of prisoners are protected is important to “making the BOP a desirable place to
work.” (Dkt. #41 at 14.) Given the speculative nature of the plaintiff’s responsive
arguments, this factor, at worst, favors defendants.
4. Workable Remedy
Defendants next contend that a Bivens remedy would be unworkable in the legal
mail context because “there is no bright line rule as to when prison officials actually violate
an inmate’s rights,” so there would need to be further development in the law and courts
would have to engage in a “subjective, fact-intensive assessment” to shape the cause of
action. (Dkt. #26 at 19.) Thus, in defendants’ view, recognizing a damages claim in this
These numbers have not shifted significantly since 2019. As of March 2022, the BOP’s website
indicated that there were 36,348 BOP employees responsible for the custody and care of 154,194
inmates. BOP, “About Our Agency,” https://www.bop.gov/about/agency/ (last visited March 18,
2022).
4
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case would only invite an increase in litigation involving claims that will often afford
“virtually no monetary recovery.” (Dkt. #26 at 20-21.)
Certainly, the Seventh Circuit has indicated that prison officials potentially violate
an inmate’s rights if they open properly marked legal mail outside of his presence. Kaufman
v. McCaughtry, 419 F.3d 678, 685-86 (7th Cir. 2005); see also Guajardo-Palma v. Martinson,
622 F.3d 801, 805 (7th Cir. 2010) (noting that the case law “has yet to converge on
whether the unjustified opening of [legal] mail is a violation” or merely “a potential
violation”); Vasquez v. Raemisch, 480 F. Supp. 2d 1120, 1138-41 (W.D. Wis. 2007)
(prisoners do not have a freestanding right to be present when prison officials open mail,
legal or otherwise). While courts are generally familiar with resolving claims that are factbound, and where there are no bright-line rules, Abbasi recognizes that where the legal
standard for a claim is “less [than] clear,” that, too, is a factor weighing against extension.
137 S. Ct. at 1864-65. Moreover, “[p]roof of damages (other than nominal damages) often
will be impossible” in legal mail interference cases. Guajardo-Palma, 622 F.3d at 806.
Accordingly, this factor also weighs against an extension of Bivens.
5. The Chilling Effect of Bivens Remedies on the Discharge of Prison Duties
The final factor defendants point to as weighing against extending Bivens remedies
to plaintiff’s claims was alluded to above: the threat of personal liability standing in the
way of prison officials executing their duties to their utmost degree. Again, the Abbasi
Court warned that creating a new Bivens cause of action may result in officers “refrain[ing]
from taking urgent and lawful action in a time of crisis”; plus, “the costs and difficulties of
later litigation might intrude upon and interfere with the proper exercise of their office.”
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137 S. Ct. at 1863. While plaintiff argues that defendants have “overstated the dangers”
given that this case involves mail handling (dkt. #41 at 17), he is attempting to sue prison
officials for adhering to an institutional policy meant to prevent contraband from entering
FCI-Oxford. Accordingly, this factor also counsels against implying a Bivens remedy here.
On balance, therefore, the court will decline to imply a new Bivens remedy on the
facts presented in this case, and will grant the FCI-Oxford defendants’ motion to dismiss
under Rule 12(b)(6).
II. Dismissal for Lack of Personal Jurisdiction
As for the BOP defendants, Revell and Connors have moved separately for dismissal
under Rule 12(b)(2) for lack of personal jurisdiction. (Dkt. #25 at 1.) The Seventh Circuit
has repeatedly warned against bypassing jurisdictional questions to reach easier issues on
the merits. E.g., Kromrey v. U.S. Dept. of Justice, 423 F. App’x 624, 626 (7th Cir. May 11,
2011) (“Before deciding any case on the merits, a federal court must ensure the presence
of both subject-matter jurisdiction and personal jurisdiction”); Davis v. Carter, 61 F. App’x
277, 279 (7th Cir. March 13, 2003) (explaining that the district court “could not wrap up
the merits” before addressing a defendant’s Rule 12(b)(2) motion).5 Accordingly, the court
will separately address the BOP defendants’ 12(b)(2) defense, and dismiss them from this
5
See also 5B Wright & Miller, Fed. Prac. and Proc. Civ. § 1351 n. 15 (3d ed.) (“As a general rule,
when the court is confronted by a motion raising a combination of Rule 12(b) defenses, it will pass
on the jurisdictional issues before considering whether a claim was stated by the complaint” and
collecting cases from other courts); but see N. Am. Catholic Educ. Programming Found., Inc. v. Cardinale,
567 F.3d 8, 12 (1st Cir. 2009) (explaining that a court may forgo the jurisdictional inquiry “where
an appeal presents a difficult jurisdictional issue, yet the substantive merits underlying the issue are
facilely resolved in favor of the party challenging jurisdiction”) (citation omitted)).
20
lawsuit on that ground alone.
The jurisdictional question is not difficult in this case. Where, as here, no federal
statute authorizes nationwide service of process, personal jurisdiction is governed by the
law of the forum state. Smith v. Jefferson Cnty. Bd. of Educ., 378 Fed. App’x. 582, 585 (7th
Cir. 2010); see also Stafford v. Briggs, 444 U.S. 527, 541-43 (1980) (the phrase “civil action”
in 28 U.S.C. § 1391(e) does not include actions for money damages brought against federal
officers in their individual capacities). In Wisconsin, personal jurisdiction depends on two
factors:
(1) whether defendants fall within the state’s long-arm statute, Wis. Stat.
§ 801.05; and (2) whether the exercise of jurisdiction over each defendant comports with
due process requirements of the Fourteenth Amendment. Purdue Rsch. Found. v. SanofiSynthelabo, S.A., 338 F.3d 773, 779 (7th Cir. 2003); Kopke v. A. Hartrodt S.R.L., 245 Wis.
2d 396, 408-09, 629 N.W.2d 662, 667-68 (Wis. 2001).
Because of the breadth of
Wisconsin’s statute, the constitutional and statutory inquiries tend to merge into one
question: whether jurisdiction complies with federal due process requirements. See Felland
v. Clifton, 682 F.3d 665, 678-79 (7th Cir. 2012) (“Once the requirements of due process
are satisfied, then there is little need to conduct an independent analysis under the specific
terms of the Wisconsin long-arm statute itself because the statute has been interpreted to
go to the lengths of due process.”). The touchstone of this inquiry is whether defendants
have sufficient “minimum contacts” with Wisconsin, such that this suit “does not offend
traditional notions of fair play and substantial justice” and defendants “should reasonably
anticipate being haled into court” here. Tamburo v. Dworkin, 601 F.3d 693, 700-01 7th
Cir. 2010) (internal quotations and citations omitted).
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Faced with defendants’ motion, plaintiff bears the burden of demonstrating the
existence of jurisdiction. See Purdue Rsch. Found., 338 F.3d at 782. To prevail, plaintiff
need only make out a prima facie case of personal jurisdiction based on written materials,
and any disputes of fact are to be resolved in his favor. Tamburo, 601 F.3d at 700. Even
so, plaintiff has not met his relatively light burden of proof on this record.
At most, plaintiff alleges that defendants Revell and Connors each received an
inmate grievance appeal from him while he was incarcerated in Wisconsin. Plaintiff does
not dispute these defendants’ assertions that they have never resided, worked, been
professionally licensed in, or owned real property in Wisconsin, and perform their
employment responsibilities and maintain their business offices elsewhere. Neither does
plaintiff dispute that Revell played no personal role in her office’s review of his
administrative appeal,6 nor that Connors’ involvement was limited to briefly reviewing and
signing the Central Office’s response to his grievance. Rather, plaintiff maintains that
because both Revell and Connors held supervisory positions within the administrative
remedy process, and the facilities within the purview of their overall responsibilities
included FCI-Oxford, they should have anticipated being haled into court in Wisconsin,
where the “violations they defended” had allegedly occurred. (Dkt. #41 at 2-3.) In other
words, to the extent defendants allegedly played some role in decision making with effects
As for Revell, plaintiff suggests that the court substitute the deputy regional director that actually
reviewed and signed his grievance. (Dkt. #41 at 2-3.) Even if the court were to do so, and could
exercise personal jurisdiction over that individual, that would not save this lawsuit because, as
explained above, plaintiff has failed to state a claim under Bivens, so any new defendant would
certainly be entitled to dismissal under Rule 12(b)(6) if not under Rule 12(b)(2). See Hukic v.
Aurora Loan Servs., 588 F.3d 420, 432 (7th Cir. 2009) (“courts have broad discretion to deny leave
to amend where . . . the amendment would be futile).
6
22
felt in Wisconsin, they may be sued generally for any alleged constitutional violations by
their respective offices despite having no personal involvement.
In support of his position, plaintiff generally references two cases in which he
maintains federal district courts in Illinois allowed a plaintiff there to proceed against
Revell or Connors, but he does not detail the circumstances of those cases, or specify any
reason why either case is at all relevant here, beyond the shared defendants, nor explain
how this limited fact satisfies plaintiff’s burden in light of the record in this case.7
Defendants, in contrast, are on far firmer footing. As other courts from around the
country have concluded, simply playing a broad supervisory role in overseeing the BOP’s
facilities or its regional and national administrative grievance program, or reviewing a
grievance is not enough to establish personal jurisdiction over a non-resident, BOP
administrator. E.g., Dugan v. Jarvis, 725 F. App’x 813, 816-17 (11th Cir. 2018) (receiving
two administrative grievances from a Florida inmate is insufficient to establish personal
jurisdiction over non-resident national inmate appeals administrator); Hill v. Pugh, 75 F.
App’x 715, 719 (10th Cir. 2003) (“It is not reasonable to suggest that federal prison
officials may be hauled into court simply because they have regional and national
supervisory responsibilities over facilities within a forum state”); Mays v. Hudgins, No. 3:20-
Specifically, plaintiff references Iglesias v. True, no. 19-cv-415-NJR (S.D. Ill. 2019), and Borowski
v. Baird, no. 16-cv-848-JPG-GCS (S.D. Ill. 2016). As for Borowski, public docket information
available through Public Access to Court Electronic Records indicates that Revell and Connors were
dismissed from that case in 2017. See Borowski, no 16-cv-848-JPG-GCS, at dkt. #45. Publicly
available docket information about Iglesias indicates that Revell was never a defendant, and while
Connors is, his motion to dismiss does not assert the same defenses as asserted in this case, see
Iglesias, no. 19-cv-415-NJR, at dkt. #129, so that court did not consider whether Connors is subject
to personal jurisdiction in Illinois. In sum, these cases have no particular relevance to the facts
before this court.
7
23
cv-181, 2021 WL 4469646, at *7-8 (N.D. W. Va. June 9, 2021) (finding lack of personal
jurisdiction over non-resident defendant Connors in West Virginia “for monitoring the
administrative remedy program”); Hopper v. Barr, No. 5:18-cv-01147-MGL-KDW, 2019
WL 3938076, at *8 (D. S.C. July 31, 2019) (supervisory role over prisons in forum state
and overseeing the denial of an inmate’s appeal are insufficient contacts to establish
personal jurisdiction); Sutter v. Goetz, No. 16-cv-02552-DME-KLM, 2018 WL 582403, at
*3 (D. Colo. Jan. 26, 2018) (finding that receiving information regarding potentially
unconstitutional actions by local prison personnel insufficient to establish personal
jurisdiction over defendant Revell); Stone v. Derosa, No. 07-0680-PHX-PGR (CRP), 2009
WL 798930, at *2 (D. Ariz. March 25, 2009) (rejecting an unsolicited grievance appeal
from an inmate who happened to be in Arizona was insufficient to establish personal
jurisdiction over non-resident BOP administrator in that state); Georgacarakos v. Wiley, No.
07-cv-01712, 2008 WL 4216265, at *5 (D. Colo. Sept. 12, 2008) (finding that personal
jurisdiction did not arise simply because the director of the BOP received notice of allegedly
unconstitutional conditions); cf. Wag–Aero, Inc. v. United States, 837 F. Supp. 1479, 1485
(E.D. Wis. 1993) (“the mere fact that federal government officials enforce federal
laws . . . on a nationwide basis is not sufficient in and of itself to confer personal
jurisdiction” in a Bivens action); compare Shorter v. Barr, No. 19cv108-WS/CAS, 2020 WL
1942785, at *10-11 (N.D. Fla. March 13, 2020) (declining to dismiss defendant Connors
for lack of personal jurisdiction where he personally participated in three teleconferences
which resulted in the plaintiff being denied surgery).
24
Accordingly, plaintiff’s claims against defendants Revell and Connors will be
dismissed without prejudice for lack of personal jurisdiction.
ORDER
IT IS ORDERED that:
1) Defendants’ motion to dismiss (dkt. #25) is GRANTED, although as specifically
set forth above, defendants Revell and Connors dismissal is without prejudice.
2) Plaintiff Robert Sharp’s motion for a preliminary injunction (dkt. #21) and
renewed motion for assistance in recruiting counsel (dkt. #31) are DENIED as
moot.
3) The clerk of court is directed to enter final judgment in defendants’ favor and
close this case.
Entered this 21st day of March, 2022.
BY THE COURT:
/s/
__________________________________
WILLIAM M. CONLEY
District Judge
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