No. 98-7663.United States Court of Appeals, Second Circuit.Argued November 17, 1998.
Decided: June 17, 1999.
Plaintiffs appeal from two decisions of the United States District Court for the District of Vermont (William K. Sessions, Judge) dismissing their federal and state law claims, which arose out of an investigation by the defendant social workers into reported child abuse by plaintiff Thomas Wilkinson. As to plaintiffs’ federal claims, we hold that plaintiffs have failed to present evidence sufficient to demonstrate a violation of their constitutional rights. As to plaintiffs’ remaining claims, we hold that defendants are shielded from liability on the basis of qualified immunity.
Affirmed.
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HAROLD B. STEVENS III, Stowe, Vermont, for Plaintiff-Appellants.
MICHAEL O. DUANE, Assistant Attorney General, Waterbury, Vermont (William H. Sorrell, Attorney General for the State of Vermont), for Defendant-Appellees.
Before: CALABRESI, SACK and SOTOMAYOR, Circuit Judges.
Judge Calabresi concurs by separate opinion.
SOTOMAYOR, Circuit Judge:
[1] Plaintiffs appeal from two decisions rendered by Judge William K. Sessions in an action before the United States District Court for the District of Vermont. First, plaintiffs contend that the trial court erred in its July 31, 1997 grant of summary judgment, which dismissed plaintiffs’ claims of libel and slander and negligence per se. Wilkinson v. Russell, 973 F. Supp. 437 (D. Vt. 1997). Second, plaintiffs appeal from the trial court’s April 3, 1998 grant of defendants’ Rule 50(a) motion for judgment as a matter of law, which dismissed plaintiffs’ remaining federal and state law claims. Wilkinson v. Russell, No. 2:94-CV-175 (D. Vt. Apr. 3, 1998). For the reasons to be discussed, we affirm both decisions.BACKGROUND
[2] Thomas Wilkinson initiated this action, on behalf of himself and his son, Benjamin, asserting various federal and state law claims arising out of an allegedly inadequate child abuse investigation conducted by the defendant social workers. Wilkinson complained that defendants wrongfully substantiated allegations by his estranged wife, Linda Wiegand, that he had sexually abused Benjamin. Wilkinson further complained that defendants improperly disclosed the results of their faulty investigation, which also implicated Wilkinson in the sexual abuse of his stepson, Jonathan, to officials working on behalf of the family court in Connecticut then presiding over divorce and custody proceedings between Wilkinson and Wiegand.
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A. Factual History
[3] Wilkinson initiated the Connecticut divorce proceedings against Wiegand in September 1992, seeking joint custody of their child Benjamin, who was born on January 8, 1989. Wiegand opposed joint custody and, almost immediately upon being served with the divorce complaint at her Connecticut home, moved to Stowe, Vermont with both Benjamin and Jonathan Wiegand, her son from a previous marriage.
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Benjamin described an incident in which his father “cut [his] eye out,” leaving Benjamin with only “one eye.” (Tr. at 17-18.) Although Adams conceded at trial that this claim was “a bit fantastic,” he had no explanation for failing to follow up on the child’s bizarre comments beyond the fact that “it was clear that he had both eyes.” (4/1/98 Trial Tr. at 141, testimony by James Adams.) Finally, although Benjamin at times insisted that his comments were true, at other times he expressly indicated that his mother had prompted him to make up his claims against Wilkinson. (See, e.g., Tr. at 11 (A: “She makes me say it. I did it for mom.”).) Despite these assorted problems, defendant Adams recommended that the SRS substantiate[1]
Wiegand’s report that Wilkinson was guilty of abusing Benjamin.
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responded by letter on February 25, 1993, declining to investigate possible abuse by Wiegand and indicating that the SRS considered its investigation complete and the “case . . . closed.”
[12] As the first stage in the appeal process, and in an effort to persuade the SRS to drop its substantiation determination, Wilkinson attended a meeting on March 16, 1993, with Adams, Jeffords and Caroline Russell, the Director of the SRS office. Russell received affidavits from Wilkinson and heard evidence, including testimony from Wilkinson explaining his view that Wiegand was mentally unstable and that she had coached her sons to make false allegations of abuse in order to retain custody of Benjamin. Following the hearing, Russell contacted Balsam, who once again confirmed his belief that Wilkinson was guilty of abuse and that no coaching had occurred. On the same day that she spoke with Balsam, March 19, 1993, Russell issued a letter decision upholding the SRS substantiation determination. [13] After receiving Russell’s decision, Wilkinson requested a hearing before the Human Services Board. On May 3, 1993, however, Wilkinson and the SRS entered into a written consent agreement to stay Wilkinson’s next level of appeal pending the outcome of the ongoing criminal and divorce actions. The agreement provided further that, “[i]n the interim, SRS will remove Thomas Wilkinson’s name from its registry as well as its substantiation of sexual abuse against him.” [14] On July 7, 1993, Judge Herbert Barall, the presiding judge in the child custody dispute between Wilkinson and Wiegand in Connecticut, ordered the Connecticut Department of Children and Families (“DCF”) to ask the Vermont SRS “to say what’s going on.” On July 13, Caroline Russell returned a phone call from Paul Shanley of the Connecticut DCF. Shanley told Russell that he had been ordered by the Connecticut court to contact the SRS to obtain information to answer Judge Barall’s concerns regarding the welfare of the children. Russell provided Shanley with information over the phone, explaining specifically that the SRS had substantiated claims of abuse against Wilkinson. [15] Following her phone call with Shanley, Russell contacted an attorney at the Deputy Attorney General’s Office, who advised her that the SRS had a responsibility to provide DCF with additional information about the SRS’s involvement in the case. Based on this advice, and notwithstanding the consent agreement, Russell wrote to the Connecticut DCF. In her July 15 letter, Russell explained that her office had substantiated claims of abuse by Wilkinson against Benjamin and that the SRS had further determined that Wilkinson had abused Jonathan. Russell urged the Connecticut court that granting custody of the children to Wilkinson’s sister, as was then under consideration, could place the children “at great risk of harm.” Shanley presented Russell’s letter, along with a report of his investigation, to the Connecticut Attorney General’s Office. The Attorney General’s Office, in turn, forwarded these materials to Judge Barall. [16] After receiving Shanley’s materials, and before making any final decision regarding custody, Judge Barall appointed Dr. Kenneth Robson to evaluate the family. Dr. Robson met with Wilkinson, Wiegand, both children, Dr. Balsam, and others. He also reviewed the transcripts of Adams’s interviews with the children, the sexually explicit drawings by both children and assorted other written material. Robson completed a report of his investigation in December 1993. Addressing Adams’s interview with Benjamin, Dr. Robson expressed grave concern about many of the problems already discussed — e.g., the leading questions, the express claims of coaching and Benjamin’s description of fantastic and implausible events. Robson’s report also included several quotations from Jonathan’s interview. These brief excerpts suggest that Jonathan denied being abused but claimed to have witnessed Wilkinson abusing Benjamin. These excerptsPage 96
also suggest that, unlike Benjamin, Jonathan never claimed that his mother prompted him to lie. Nevertheless, Jonathan’s answers were confused and, in Dr. Robson’s view, suggestive of possible coaching. Emphasizing these and other considerations, Robson’s report gave a scathing critique of the SRS investigation, finding Adams’ interviewing methods “particularly worrisome.” Dr. Robson concluded that the reported abuse was unlikely.
[17] After Dr. Robson filed his report with the Connecticut family court in January 1994, Wiegand disappeared with her children. Judge Barall proceeded with a hearing, awarding custody to Wilkinson and denying Wiegand visitation rights. In July 1996, Wiegand was arrested in Las Vegas, and both children were placed in Wilkinson’s care.B. Procedural History
[18] In June 1994, Wilkinson filed an action in Vermont state court against Dr. Balsam, Adams and Russell. Wilkinson’s complaint charged that Russell’s communications with the DCF (both the phone conversation and the subsequent letter to Shanley) constituted libel and slander. The complaint further charged the defendant social workers with several counts of negligence and with the intentional infliction of emotional distress, all relating to defendants’ misconduct in substantiating the alleged abuse. Lastly, Wilkinson charged the defendant social workers with the deprivation of plaintiffs’ civil rights without due process of law in violation of the Fourteenth Amendment of the U.S. Constitution and 42 U.S.C. § 1983.[3]
DISCUSSION
[21] This Court’s standard of review is the same with respect to both the district court’s grant of summary judgment and its decision granting defendants’ motion for judgment as a matter of law. We review both orders de novo, giving the nonmoving party, plaintiffs in this case, the benefit of all reasonable inferences that the evidence permits. See Indu Craft, Inc. v. Bank of Baroda, 47 F.3d 490, 494 (2d Cir. 1995) (setting out standard of review of judgment as a matter of law); Cronin v. Aetna Life Ins. Co., 46 F.3d 196, 202-03 (2d Cir. 1995) (setting out standard of review of grant of summary judgment). Under this standard, we affirm a district court’s grant of summary judgment only if, viewing the evidence most favorably to the
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plaintiffs, there are no genuine issues as to any material fact. See Cronin, 46 F.3d at 202-03. Likewise, we affirm a trial court’s judgment as a matter of law only if, “without weighing the credibility of the witnesses or otherwise considering the weight of the evidence, there can be but one conclusion as to the verdict that reasonable [persons] could have reached.” Indu Craft, 47 F.3d at 494 (internal quotation marks omitted) (alteration in original).
[22] In each of his decisions, Judge Sessions disposed of several of plaintiffs’ claims on the basis of immunity. Judge Sessions applied absolute immunity to shield defendant Russell from liability in connection with plaintiffs’ claims of libel and slander, and qualified immunity to shield all of the defendants from many of plaintiffs’ remaining claims. Absolute immunity prevents claims for damages, no matter how extreme the alleged wrongdoing, against “all persons — governmental or otherwise — who [are] integral parts of the judicial process.” Briscoe v. LaHue, 460 U.S. 325, 335 (1983). The Supreme Court has explained the rationale for this absolute protection as follows:[23] Id. (quoting Imbler v. Pachtman, 424 U.S. 409, 439 (1976) (White, J., concurring)). Although absolute immunity has traditionally been applied in favor of judges, prosecutors, and other judicial officers, this logic dictates that anyone, even non-judicial officers (e.g., witnesses), must be assured complete protection to the extent that they are fulfilling functions “closely related to the judicial process.” Burns v. Reed, 500 U.S. 478, 494 (1991). [24] By contrast, qualified immunity affords a lesser degree of protection in a broader range of circumstances. Where federal claims are involved, “[q]ualified immunity shields government officials performing discretionary functions `from liability for civil damages insofar as their conduct does not violate clearly established statutory or constitutional rights of which a reasonable person would have known.'” Zahra v. Town of Southold, 48 F.3d 674, 686 (2d Cir. 1995) (quoting Harlow v. Fitzgerald, 457 U.S. 800, 818 (1982)); see also Gottlieb v. County of Orange, 84 F.3d 511, 518 (2d Cir. 1996) (“A government employee sued in her individual capacity for damages arising out of her performance of discretionary functions is entitled to qualified immunity where it was objectively reasonable to believe that her acts did not violate clearly established federally protected rights.”). Under this formulation, all government officials are protected from liability in connection with their official acts provided that “it is objectively reasonable for [them] to believe that [they are] acting within constitutional and statutory bounds.” Zahra, 48 F.3d at 686 (quoting Natale v. Town of Ridgefield, 927 F.2d 101, 104-05 (2d Cir. 1991)). [25] The Vermont Supreme Court has established a nearly identical qualified immunity standard applicable to state law claims. See LaShay v. Department of Social Rehabilitation Serv’s, 160 Vt. 60, 65 (1993) (“Qualified immunity . . . protects lower-level officers, employees and agents `(1) acting during their employment and acting, or reasonably believing they are acting, within the scope of their authority; (2) acting in good faith; and (3) performing discretionary, as opposed to ministerial acts.’ . . . `Good faith exists where an official’s acts did not violate clearly established rights of which the official reasonably should have known.'”) (internal citations omitted).The ability of courts, under carefully developed procedures, to separate truth from falsity, and the importance of accurately resolving factual disputes in criminal (and civil) cases are such that those involved in judicial proceedings should be “given every encouragement to make a full disclosure of all pertinent information within their knowledge.”
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The only significant difference is that “[q]ualified immunity from a state law claim does not contain the `statutory or constitutional rights’ limitation because a state law claim is not so limited.” Murray v. White, 155 Vt. 621, 630 n. 4 (1991) see also Sabia v. Neville, 165 Vt. 515, 521, 687 A.2d 469, 473 (1996) (“Of course, when we consider state tort liability, the `clearly established law’ is not limited to federal constitutional and statutory rights, but may include Vermont statutes, regulations and common law.”). In other words, immunity does not shield a government employee from liability where he or she unreasonably violates a right clearly established under state law, whether statutory, constitutional, or common law (e.g., tort law). See id.
I. Libel/SlanderA. Absolute Immunity
[26] In his July 31 decision, Judge Sessions ruled that defendant Russell was entitled to absolute immunity in connection with plaintiffs’ claims of libel and slander arising out of Russell’s phone call and subsequent letter to Shanley (of the Connecticut DCF). Because Judge Barall had directed Shanley to consult with the Vermont SRS regarding the Wilkinson children, Judge Sessions reasoned that Russell, upon being contacted by Shanley, was effectively under a “court order” to share information with the Connecticut DCF. On this basis, the trial court determined that Russell was entitled to absolute immunity from any claim of libel or slander relating to her decision to cooperate with the Connecticut authorities.
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B. Qualified Immunity
[29] Although absolute immunity does not apply in the circumstances of this case, we agree with Judge Sessions’ alternative holding that qualified immunity is sufficient to protect defendants from plaintiffs’ claims of libel and slander. As a threshold matter, it is well settled that child protective services workers are entitled to qualified immunity for their conduct during the course of abuse investigations. See, e.g., Van Emrik v. Chemung County Dep’t of Social Servs., 911 F.2d 863 (2d Cir. 1990); Murray, 155 Vt. at 630. Under the Vermont qualified immunity standard, then, Russell is entitled to qualified immunity in her communications with Shanley unless Russell reasonably should have known that those communications violated clearly established law. See Murray, 155 Vt. at 630.
2 Negligence Per Se
[31] In his July 31, 1997 Order, Judge Sessions also disposed of four of plaintiffs’ claims of negligence per se, each of which is now before the Court on appeal. In those jurisdictions in which negligence per se applies, the “violation of a duty imposed by statute for the benefit of a particular class `is negligence itself.'” See Chen v. United States, 854 F.2d 622, 627 (2d Cir. 1988) (applying New York law). In a recent concurring opinion, Justice Dooley of the Vermont Supreme Court voiced his support for exactly this standard. See Marzec-Gerrior v. D.C.P. Indus., Inc., 164 Vt. 569, 575-76 (1995). In an extended discussion of state court precedent, however, he further found that the Vermont courts “have historically rejected the notion that violation of a safety statute is negligence per se,” and have instead veered between treating such a statutory violation as either a “disputable presumption” of negligence or as mere “evidence” of negligence. Id. at 572-75 (citing cases). As a result, the relationship between a statutory violation and negligence is simply not clear under current Vermont state law Id. For present
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purposes, we need not resolve this confusion. Even assuming that negligenc per se or some variation applies, qualified immunity shields defendants from liability unless they should reasonably have recognized that their alleged misconduct violated clearly established state statutory rights See LaShay, 160 Vt. at 65. As explained below, the record does not support such a finding, and Judge Sessions was therefore correct in rejecting plaintiffs’ claims.
A. Failure to Investigate Possible Abuse of Nephew
[32] Plaintiffs claim that defendants Adams and Jeffords committed negligence per se by failing to investigate a report that Wiegand had sexually abused her nephew. Plaintiffs maintain that defendants thereby violated their obligations under 33 Vt. Stat. Ann. § L4913(a), which directs that “any . . . social worker . . . who has reasonable cause to believe that any child has been abused or neglected shall report or cause a report to be made in accordance with the provisions of section 4914 of this title within 24 hours.” On the undisputed facts of this case, however, it was not at all clear that defendants had “reasonable cause” to believe that Wiegand was guilty of abusing her nephew.
B. Failure to Conduct Interviews in Presence of Disinterested Adult
[34] Plaintiffs also claim that defendant Adams committed negligenc per se by interviewing Benjamin and Jonathan outside the presence of a disinterested adult, contrary to the requirements of the following provision of the Vermont Code:
[35] 33 Vt. Stat. Ann. § 4915(b)(2). In other words, Vermont law authorizes a social worker investigating a claim of abuse to interview a possible child abuse victim outside of the presence of a disinterested adult only with the “approval of the child’s parents, guardian or custodian.” Id. Here, it is undisputed that Adams obtained permission to conduct his interviews only from Wiegand. It is also undisputed that Detective Merriam, the only adult other than Adams present during both child interviews, fails to qualify as a “disinterested adult” for purposes of § 4915(b)(2)[5] . Thus, a determination as to whether Adams violated § 4915(b)(2) depends upon whether Wiegand’s consent amounted to permission from the children’s “parents.” [36] Under Vermont’s general rules of statutory construction, “words importing the plural number may be applied as if singular” unless a contrary intention appears. . . . If the investigator elects to interview the child, that interview may take place without the approval of the child’s parents, guardian or custodian, provided that it takes place in the presence of a disinterested adult who may be, but shall not be limited to being a teacher, a member of the clergy, or a nurse.
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plainly within the terms of the statute. 1 Vt. Stat. Ann. § 175. Moreover, the Vermont Supreme Court has applied this rule of construction in circumstances similar to those now before us and, in particular, in the context of the child welfare provisions of the Vermont code. See In re N.H., 135 Vt. 230, 235 (1977) (“It is an accepted rule of statutory construction that words used in the singular may be read as to include the plural, and the plural the singular, except where a contrary intention plainly appears.”).
[37] The In re N.H. court examined a state code provision that defines a child to be “in need of care” whenever that child has been “abandoned or abused by his parents, guardian or other custodian.” 33 Vt. Stat. Ann. § 632(a)(12) (emphasis added). The court interpreted this provision to permit a finding of need even where only one parent was guilty of abuse. In re N.H., 135 Vt. at 234-35. Given this construction of the phrase “parents, guardian or other custodian” — the very phrase, in the very statutory scheme, presently at issue — it seems likely that the Vermont state courts (if confronted with the issue) would conclude that § 4915(b)(2) allows an interview, unattended by a disinterested adult, on the permission of only one “parent.” We need not, however, decide the question since the In re N.H.decision demonstrates, at a minimum, that it was not “clearly established” under Vermont law that Adams needed permission from both Wilkinson and Wiegand to proceed with the child interviews. Qualified immunity therefore applies to shield defendants from liability in connection with their alleged violation of § 4915(b)(2). Cf. Cook v. Nelson, 712 A.2d 382, 386 (Vt. 1998) (extending immunity where “[t]he criminal statute is subject to differing interpretations and has never been construed by this Court or the trial courts”).
C. Failure to Investigate Alleged Coaching
[38] Plaintiffs’ third claim of negligence per se is based on the allegation that defendants Russell, Adams and Jeffords violated Vermont law by failing to report and investigate the possibility that Wiegand was herself guilty of abusing both Benjamin and Jonathan. Plaintiffs contend that Wiegand’s alleged coaching, in and of itself, amounted to mental abuse. Because there was “reasonable cause” to suspect such coaching, plaintiffs argue that defendants failed to meet their statutory obligation to report and investigate Wiegand’s possible misconduct. See 33 Vt. Stat. Ann. §§ 4913-14 (requiring case workers to report and investigate where there is reasonable cause to suspect abuse).
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D. Disclosure to the Connecticut Investigator
[40] Relying on the same factual allegations underlying their libel and slander claims, plaintiffs charge that Russell committed negligence per se by alerting Shanley to the results of the SRS investigation in violation of the following provision of the Vermont code:
[41] 33 Vt. Stat. Ann. § 4916(d). [42] Although § 4916(d) purports to limit disclosure only to certain delineated individuals, and only under certain limited circumstances, the Vermont state courts have determined that this rule is “riddled with exceptions.” In re F.E.F. v. Cameron, 156 Vt. 503, 514 (1991). In In re F.E.F., for example, the Vermont Supreme Court held that the confidentiality provisions governing substantiation must give way when information is requested pursuant to a court order. Id. Although we have held today that Shanley’s request to Russell was not a court order, we have also held that it was reasonable for Russell to perceive it as such at the time of these events (see § I(B), supra). Thus, it was likewise reasonable for Russell to believe that in these unusual circumstances, her communications with Shanley did not contravene the clear requirements of § 4916(d).Written records maintained in the registry shall only be disclosed to the commissioner or person designated by the commissioner to receive such records, persons assigned by the commissioner to investigate reports, the person reported on, or a state’s attorney. In no event shall records be made available for employment purposes, for credit purposes, or to a law enforcement agency other than the state’s attorney . . .
III. Judgment as a Matter of Law
[43] In his April 3, 1998 decision granting defendants’ Rule 50(a) motion for judgment as a matter of law, Judge Sessions extended qualified immunity to the defendant case workers after finding that the “actions of these defendants were objectively reasonable . . . and no rational juror could conclude otherwise.” Plaintiffs dispute this holding. They argue that the evidence at trial revealed numerous errors in the abuse investigation. Plaintiffs emphasize that defendants substantiated the allegations against Wilkinson largely on the basis of two deeply flawed child interviews. Plaintiffs also note the absence of physical evidence of abuse and the significant evidence of possible maternal coaching. Finally, plaintiffs complain that defendants failed to interview Wilkinson, and that they mistakenly deferred to the opinion of a therapist acting as Wiegand’s advocate. In light of these problems, plaintiffs contend that defendants’ conduct ran afoul of clearly established standards in their profession and, therefore, defendants are not entitled to qualified immunity.[6] (Brief of Appellants at 32-39.)
A. Federal Claims
[44] “A court evaluating a claim of qualified immunity `must first determine
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whether the plaintiff has alleged the deprivation of an actual constitutional right at all.[7] ‘” Wilson v. Layne, 119 S.Ct. 1692, 1697 (1999) (quoting Conn v. Gabbert, 119 S.Ct. 1292, 1295 (1999)). In the event that this threshold determination reveals a possible constitutional violation, “`[a] qualified immunity defense is established if (a) the defendant’s action did not violate clearly established law, or (b) it was objectively reasonable for the defendant to believe that his action did not violate such law.'” Tierney v. Davidson, 133 F.3d 189, 196 (2d Cir. 1998) (quoting Salim v. Proulx, 93 F.3d 86, 89 (2d Cir. 1996)). This immunity determination, in turn, depends largely on whether the law was defined “with reasonable clarity” at the time of the disputed events and on whether a reasonable defendant would have “understood from the existing law that the conduct was unlawful.” Young v. County of Fulton, 160 F.3d 899, 903 (2d Cir. 1998).
[45] “[T]he objective reasonableness standard was designed to facilitate resolution of the [qualified immunity] defense” as a matter of law. See Warren v. Dwyer, 906 F.2d 70, 74 (2d Cir.) cert. denied, 498 U.S. 967 (1990); see also Hunter v. Bryant, 502 U.S. 224, 227 (1991) (stressing “the importance of resolving immunity questions at the earliest possible stage in litigation”). This is reflected in the fact that whether a defendant reasonably should recognize that he or she is acting illegally often depends on the extent to which courts have been precise in defining the scope of a particular right as of a particular point in time. That, of course, is a legal determination. Thus, although “[d]isputes over reasonableness are usually fact questions for juries,” this Court has recognized that “when `the factual record is not in serious dispute,'” the ultimate determination as to whether a defendant should have recognized that he or she violated a plaintiff’s clearly established rights “`is a question of law better left for the court to decide.'” Lennon v. Miller, 66 F.3d 416, 421 (2d Cir. 1995) (reversing denial of summary judgment and extending qualified immunity on behalf of police officers sued for false arrest, malicious prosecution and excessive force) (quotin Warren, 906 F.2d at 76); see also Tierney, 133 F.3d at 194 (holding that “when the facts that bear on the circumstances are not in dispute, the issue of whether the defendants acted reasonably should be determined by the court on a motion for summary judgment”).1. Alleged Constitutional Violation
[46] In support of their federal claims, plaintiffs invoke their “right to the integrity of their familial relationships.” (Appellants’ Brief at 47.) It has long been settled in this Circuit “that a parent’s interest in the custody of a child [is] a constitutionally protected liberty interest subject to due process protection.” Cecere v. City of New York, 967 F.2d 826, 829 (2d Cir. 1992); see also Gottlieb, 84 F.3d at 518 (“It is
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established that parents have a fundamental, constitutionally protected liberty interest in the custody of their children.”). In addition, nearly thirty years ago, the Supreme Court recognized that “[t]he integrity of the family unit has found protection in the Due Process Clause of the Fourteenth Amendment . . . the Equal Protection Clause of the Fourteenth Amendment . . . and the Ninth Amendment.” Stanley v. Illinois, 405 U.S. 645, 651 (1972) (citations omitted); see also Santosky v. Kramer, 455 U.S. 745, 753 (1982) (“The fundamental liberty interest of natural parents in the care, custody, and management of their child does not evaporate simply because they have not been model parents . . . .”). Moreover, the Vermont Supreme Court recognized this constitutional right to family integrity many years before defendant Adams ever commenced his allegedly faulty investigation. See In re N.H., 135 Vt. at 236 (“[T]he freedom of children and parents to relate to one another in the context of the family, free of governmental interference, is a basic liberty long established in our constitutional law.”).[8]
[47] Although parents enjoy a constitutionally protected interest in their family integrity, this interest is counterbalanced by the “`compelling governmental interest in the protection of minor children, particularly in circumstances where the protection is considered necessary as against the parents themselves.'”Manzano v. South Dakota Dep’t of Social Servs., 60 F.3d 505, 510 (8th Cir. 1995) (quoting Myers v. Morris, 810 F.2d 1437, 1462 (8th Cir. 1987), overruled on other grounds by Burns v. Reed, 500 U.S. 478 (1991)). This competing interest, though compelling, is not so compelling as to derogate a parent’s constitutional rights completely. Case workers cannot be free to substantiate a claim of abuse, for instance, by ignoring overwhelming exculpatory information or by manufacturing false evidence. Cf. Ricciuti v. New York City Transit Auth., 124 F.3d 123, 130 (2d Cir. 1997) (finding triable issue on whether officers were entitled to immunity from claim that they violated suspect’s “clearly established Constitutional rights by conspiring to fabricate and forward to prosecutors a known false confession”). The difficulty of balancing the weighty interests apparent in the abuse context, however, has prompted courts to impose few concrete restrictions on case workers, in exercising their discretion, short of these obvious extremes. [48] This Circuit has adopted a standard governing case workers which reflects the recognized need for unusual deference in the abuse investigation context. An investigation passes constitutional muster provided simply that case workers have a “reasonable basis” for their findings of abuse. Van Emrik, 911 F.2d at 866. Other circuits have adopted aPage 105
similarly deferential standard. See, e.g., Thomason v. SCAN Volunteer Servs. Inc., 85 F.3d 1365, 1371 (8th Cir. 1996) (requiring a “reasonable suspicion” of abuse). In applying a reasonableness standard in the abuse context, courts must be especially sensitive to the pressurized circumstances routinely confronting case workers, circumstances in which decisions between “difficult alternatives” often need to be made on the basis of limited or conflicting information. See Van Emrik, 911 F.2d at 866.
[49] In light of these considerations, we find it significant that we are not dealing with a situation in which the evidence should have suggested to Adams, unequivocally, that Benjamin and Jonathan had been coached rather than abused. The transcript of Benjamin’s interview, for instance, reveals that the child at times claimed that he had been coached by his mother, but at other times maintained that his allegations were true. (Tr. at 10-11 (Q: “Did somebody tell you to say that or did it really happen?” A: “It really happened”); Tr. at 5 (Q: “I need you to tell me if you’re making up these stories or if they’re the truth . . . . Which is it? The real stuff or makeup stuff?” A: “The real stuff.”).) Moreover, plaintiffs presented no evidence that Jonathan ever explicitly claimed that he was coached. The most that can be inferred from the Robson report, upon which plaintiffs depend, is that Jonathan’s responses in this area were “uncertain.” (Trial Ex. 74 at 24.) The evidence thus suggests that the children gave conflicting signals as to whether their father had abused them. [50] In his report, Dr. Robson, perhaps plaintiffs’ primary witness, identified a number of additional factors that he conceded “appear[ed] to support the credibility of the allegations of sexual abuse against the minor children by Thomas Wilkinson.” (Trial Ex. 74 at 76.) For example, the children’s allegations were “specific and consistent,” their drawings were “explicit,” and their allegations were at least “apparently” spontaneous. (Id. at 76-77.) Although Dr. Robson determined that such considerations were outweighed by countervailing evidence of coaching and fabrication (evidence that he collected and analyzed over the course of five months), the fact remains that he was able to identify a number of significant considerations providing defendants with a basis to conclude that Wilkinson was guilty of abuse. [51] The record reveals another key source of information supporting defendants’ decision to substantiate Wiegand’s abuse allegations. Throughout this litigation, and particularly during the time that Dr. Balsam remained a defendant, plaintiffs emphasized the doctor’s role in encouraging the SRS to substantiate the claimed abuse. According to plaintiffs, Balsam contacted SRS officials directly and repeatedly to accuse Wilkinson and to refute any possibility of coaching by Wiegand. In light of these communications with a trained psychiatrist, Adams was left with a seemingly credible indication, beyond his interpretation of the children’s statements, that Wilkinson was guilty.[9] Cf. Thomason, 85 F.3d at 1373 (“Where a treating physician has clearly expressed his or her reasonable suspicion that life-threatening abuse isPage 106
occurring in the home, the interest of the child . . . in being removed from that home setting to a safe and neutral environment outweighs the parents’ private interest in familial integrity as a matter of law.”).
[52] In short, between the children’s equivocal statements, the assorted other considerations identified by plaintiffs’ own expert, and the repeated communications from Balsam, defendants were left to make exactly the kind of “difficult” decision that goes to the heart of our reasonable basis standard. Van Emrik, 911 F.2d at 866. This is not to say that we approve of the SRS investigation, or agree with the conclusions that were reached. In fact, it appears that Adams should have been considerably more thorough in his work. Benjamin, by his express claims of coaching by his mother, raised significant doubt as to the likelihood of abuse, and that doubt was compounded by the absence of any medical evidence (particularly given the invasive types of physical abuse that Benjamin described). Nevertheless, Adams interviewed Benjamin only once, used leading questions, and did not fully explore the child’s comments suggesting possible maternal coaching. Furthermore, instead of seeking corroboration from additional witnesses, or from an independent psychiatrist or from elsewhere, Adams spoke only to Balsam, a child psychiatrist who had met with the children only two or three times. [53] Despite these assorted problems, we conclude that defendants had a reasonable basis for their substantiation determination and that they therefore did not violate plaintiffs’ constitutional rights. As we have emphasized, courts must apply the “reasonable basis” test to permit investigators considerable discretion in the abuse context. This is in keeping with the basic precept that a mere failure to meet local or professional standards, without more, should not generally be elevated to the status of constitutional violation. Cf. Young, 160 F.3d at 902 (“The procedure mandated by state family law is not the benchmark for evaluating whether or not there has been a federal constitutional violation.”). As a result, even a faulty investigation does not necessarily rise to the level of an unconstitutional investigation. See Van Emrik, 911 F.2d at 866 (acknowledging that defendant caseworkers should have been “more candid” in explaining the results of their investigation to a family court judge assigned to a make a custody determination, but holding that this omission “did not rise to the level of a constitutional violation”); see also Manzano, 60 F.3d at 513 (“Although the record reveals an [abuse] interrogation which appears far from textbook perfect, the record of the investigation . . . does not demonstrate conduct so outrageous that it offends the substantive component of the Due Process Clause.”). This is a case in point; even with its deficiencies, the SRS investigation generated significant information supporting a finding of abuse. In our view, this evidence was sufficient — though marginally — to establish the requisite reasonable basis for defendants’ substantiation determination to comport with plaintiffs’ constitutional right to family integrity.2. Qualified Immunity
[54] At the outset of our discussion, we noted the Supreme Court’s recent pronouncement that courts “must” reach the constitutional merits before addressing an immunity defense. See Wilson, 119 S.Ct. at 1697. In this case, that guidance makes particularly good sense. Parents complaining that a faulty abuse investigation has prompted a state court to separate them from their children are often barred either by the Rooker-Feldman or Younger
abstention doctrines from pursuing injunctive relief in a federal action. See, e.g., Martinez v. Scopetta, 1997 WL 316714 (S.D.N.Y. June 10, 1997) (applying the Younger doctrine to dismiss parents’ claims for injunctive relief arising out of an allegedly faulty abuse investigation); Duby v. Moran, 901 F. Supp. 215 (S.D.W. Va. 1995) (applying the Rooker-Feldman
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doctrine to deny jurisdiction over injunctive action by a mother seeking custody of a child removed from her in a state court proceeding); Renn v. Garrison, 845 F. Supp. 1127 (E.D.N.C. 1994) (applying the Younger doctrine to deny jurisdiction over action by parents seeking to enjoin ongoing abuse investigation). As a result, there have been few if any cases in which courts have considered a constitutional challenge to the adequacy of an abuse investigation unaccompanied by an immunity defense. Rather than separating the constitutional test from the immunity test in the cases that have arisen, courts have simply conflated the two and have routinely extended immunity even in instances of apparent serious abuse by case workers.[10] As an unfortunate consequence, defendants have been immunized in connection with an ever expanding range of misconduct since so little has ever been deemed either clearly “constitutional or non-constitutional.”County of Sacramento, 118 S.Ct. at 1714 n.5.
[55] By taking this opportunity to address constitutionality in advance of immunity, we have begun the difficult process of identifying particular conduct falling inside and outside of acceptable constitutional parameters. In this way, and at the Supreme Court’s urging, we hope to “promote clarity in the legal standards for official conduct.” Wilson, 119 S.Ct. at 1697. Indeed, from this day forward, these and other case workers should understand that the decision to substantiate an allegation of child abuse on the basis of an investigation similar to but even slightly more flawed than this one will generate a real risk of legal sanction. [56] For the reasons explained, however, past cases have been significantly more permissive. Indeed, there were numerous cases predating this one that would have left defendants with little or no indication that their alleged misconduct, as near as it was to the constitutional borderline, would have even implicated serious constitutional concerns. See, e.g., Stem v. Ahearn, 908 F.2d 1, 2-3, 6-7 (5th Cir. 1990), cert. denied, 498 U.S. 1069(1991); Frazier v. Bailey, 957 F.2d 920, 923-26, 931 (1st Cir. 1992). Although our finding on the constitutional merits is sufficient to resolve this case, we therefore consider it useful to undertake a qualified immunity style analysis demonstrating the extent to which there has been an absence of “clearly established law” in this area. By analyzing a number of past cases, it becomes readily apparent that however marginal defendants’ conduct was under the constitutional standard that we apply today, it was at least objectively reasonable for defendants to believe that their conduct was not inconsistent with plaintiffs’ clearly established rights. [57] In Frazier, the First Circuit upheld a grant of qualified immunity on behalf of case workers in circumstances strikingly similar to those before us. As in this case, the abuse allegations in Frazier grew out of a “bitter . . . custody battle” between the plaintiff father and his estranged wife, the mother of the alleged child victim. Frazier, 957 F.2d at 923. The mother in
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Frazier first claimed possible sexual abuse during a visit with one of her children to a family physician Id. Two state agencies subsequently investigated the matter, each of which allegedly made significant errors in substantiating the abuse claims against the plaintiff. The Massachusetts Department of Social Services (“DSS”), for example, found “reasonable cause” to conclude that the plaintiff was guilty of the alleged sexual abuse while ignoring a physician’s report of child neglect by the mother. Id. at 923. A case worker with the Children’s Aid and Family Service of Hampshire County (CAFS) also allegedly “coached and programmed” the child to make false allegations of sexual abuse against her father. Id. at 924. Nevertheless, the First Circuit held that immunity shielded the defendant case workers from liability. In reaching its conclusion, the Frazier court emphasized the murky nature of parental rights: “Because the right to family integrity has not been so particularized as to put defendants on notice that their conduct was unlawful, [the defendants] are entitled to qualified immunity as a matter of law.” Id. at 931.
[58] The Stem case, like this one (and like Frazier), involved abuse allegations leveled against the plaintiff father by his estranged wife during the course of an “acrimonious child-custody dispute.” Stem, 908 F.2d at 2. Also as in this case, the defendant case workers concluded that the plaintiff father was guilty of abuse “despite medical evidence to the contrary,” and without interviewing the father. Id. at 2-3. The Fifth Circuit held that even accepting these allegations as true, the plaintiff’s request for a hearing (which was provided in this case) was “completely devoid of merit.” Id. at 6. Although recognizing that the Constitution extends “certain fundamental parental rights,” the court held that plaintiff’s allegations did not even “implicate the constitutional guarantees at issue.” See id. [59] The decisions in Frazier and Stem, both issued before the events now under consideration, are representative of decisions rendered before and since by numerous federal courts, including this one. See, e.g., Van Emrik, 911 F.2d at 866 (upholding grant of qualified immunity in favor of protective services case workers charged, among other things, with failing to alert family court judge about information potentially exculpatory as to the defendant parents); Manzano, 60 F.3d at 511 (upholding grant of qualified immunity where “investigator concluded that the child was molested despite the lack of medical corroboration [and] the investigator reached this conclusion without interviewing the father”); Thomason, 85 F.3d at 1372 (“[W]hile we recognize that plaintiffs are justified in feeling that more background investigation could have been done and that [a defendant case worker] handled the initial encounter with Thomason in an unprofessional manner, we hold that plaintiffs’ constitutional rights were not violated as a result of the removal of [the child] from their home.”). This precedent demonstrates that courts have routinely granted qualified immunity, as a matter of law, even when plaintiffs have alleged the very types of investigative deficiencies now at issue, e.g., where case workers failed to pursue exculpatory information, ignored medical evidence, behaved “unprofessional[ly],” or even manipulated interviews. Moreover, as explained, few if any of these opinions provide any clear guidance as to the degree of investigative deficiencies that might rise to a level of constitutional concern. [60] In sum, we have attempted today to make clear that the reasonable basis test places certain constitutional limitations on case workers, i.e., their decisions to declare claims of abuse substantiated must be consistent with some significant portion of the evidence before them. Moreover, we have analyzed the particular allegations before us against this standard and have found that defendants did have a reasonable basis, though only marginally, to reach the conclusions that they did.Page 109
Before today, however, courts had excused a broad array of alleged investigative errors without even hinting at the particular circumstances in which such errors might amount to a constitutional violation. Accordingly, at the time of their investigation, defendants were left with little or no basis to conclude that their alleged misconduct could even potentially intrude upon plaintiffs’ constitutional rights. Thus, while we make a close call in holding that there was no constitutional violation on the record before us, it is abundantly clear that it was objectively reasonable for defendants, in light of prior case law, to conclude that their investigation, however flawed, was consistent with plaintiffs’ “clearly established” rights.
B. State Claims
[61] We agree with defendants that the Vermont Supreme Court decision in Murray, rendered two years prior to the events now in question, provides compelling authority requiring the dismissal of plaintiffs’ state law claims. As in this case, th Murray court considered a complaint in which plaintiffs essentially charged that the defendant case worker “did not conduct a sufficiently thorough investigation . . . and that the investigation that she did do was conducted in a manipulative manner.” Murray, 155 Vt. at 628. Moreover, the court i Murray immunized the defendant SRS case workers from some of the same state law claims presently at issue.
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[64] In sum, the Vermont Supreme Court decision in Murray provided defendants with a reasonable basis to believe that their abuse investigation was consistent with plaintiffs’ rights under state law at the time of their alleged misconduct. The district court was therefore correct that defendants are entitled to state qualified immunity.CONCLUSION
[65] For the reasons set forth above, we AFFIRM the judgment of the district court dismissing this action in its entirety.
was decided, a majority panel of this Court characterized that recommendation as dicta to be followed only in some circumstances Horne v. Coughlin, 178 F.3d 603 (2nd Cir. 1999). The Horne majority specifically suggested that the lower federal courts reach the constitutional merits in qualified immunity cases only where there is a “danger of sustained uncertainty” in the law. Id. at 606. It is not clear whether Wilson, with its seemingly mandatory language, permits such a limitation. We need not resolve majority view in Horne, we consider this an appropriate case in which to decide the constitutional issue before us. For reasons set out in Section IIIA2, infra, the extent of a parent’s constitutional protection in the abuse investigation context has been the subject of considerable uncertainty and confusion.
(a) The commissioner . . . shall cause an investigation to commence within seventy-two hours after receipt of a report . . .
(b) The investigation, to the extent that it is reasonable, shall include:
(1) A visit to the child’s place of residence or place of custody and to the location of the alleged abuse or neglect;
(2) An interview with, or observance of the child reportedly having been abused or neglected . . .
33 Vt. Stat. Ann. § 4915. In light of this provision, it was significant to the Murray Court that defendants commenced their investigation within 72 hours of the initial report of abuse, that defendants conducted interviews with the alleged victims, and that defendants visited the home where the alleged abuse took place. See Murray 155 Vt. at 631-32, 587 A.2d 975. Here too, however, plaintiffs commenced their investigation almost immediately upon receiving a report and conducted interviews with each of the children involved. Also, through defendants never visited Wiegand’s home, § 4915 requires that investigators take this step only”
I
[68] Relying on a line of recent Supreme Court decisions that stem from Footnote Five of County of Sacramento v. Lewis, 523 U.S. 833, ___ 118 S.Ct. 1708, 1714 n.5 (1998), see Wilson v. Layne, No. 98-83, 526 U.S. ___, ___, 1999 WL 320817, at *4 (May 24, 1999); Conn v. Gabbert, ___ U.S. ___, ___, 119 S.Ct. 1292, 1295 (1999), the majority argues that it is appropriate to separate the discussion of whether Wilkinson’s rights were violated from the question of whether those rights, even if infringed, were clearly established at the time the SRS investigation occurred Ante at 30 n.10. To accomplish this feat, the majority necessarily engages in a “dual reasonableness” analysis and considers first whether the conduct of the SRS officials was so unreasonable that it violated Wilkinson’s parental rights, and then whether, even if Wilkinson’s rights were infringed, the SRS officials could reasonably believe that they were not violating his rights and therefore still benefit from qualified immunity. I am skeptical that reasonableness can remain a coherent standard when it is piled layer upon layer in this fashion. On the other hand, I do believe that the majority’s effort to identify when a child abuse investigation goes beyond the constitutional pale is admirable, and so I would be inclined to adopt the majority’s framework despite my
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doubts as to whether this kind of analysis can be pulled off successfully.
[69] My reason for not joining the majority’s opinion derives instead from a different uncertainty, one based on the facts of the case. If I read the facts the way the majority does, I would probably join in its conclusion that Wilkinson’s parental rights were not violated. The majority asserts that the “evidence was sufficient — though marginally — to establish the requisite reasonable basis for defendants’ substantiation determination to comport with plaintiffs’ constitutional right to family integrity.” Ante at 29. While conceding that Adams “should have been considerably more thorough in his work” and that he conducted the interviews with the children in an unprofessional manner, the majority believes that Adams reasonably relied on Dr. Balsam’s emphatic statements that Wilkinson had abused the children. See ante at 27-28. Adams reasonably treated Dr. Balsam as fully credible, the majority states, despite the doctor’s relationship with Linda Wiegand — the children’s mother and Wilkinson’s estranged wife — since that relationship was too attenuated to matter. The majority adds that, in any event, the defendants had no basis “for suspecting the existence of such a conflicted relationship.” See ante at 27 n.9. [70] I believe that these statements rely on factual premises that are not clear enough to justify the district court’s grant of a Rule 50(a) judgment for the defendants (if that judgment is to be grounded not on qualified immunity, but on the notion that there was no violation of Wilkinson’s constitutional rights). The evidence that the SRS credited to substantiate Wilkinson as a child abuser was admittedly flimsy. All that the defendants had were (1) Wiegand’s allegations, (2) the seriously flawed interview of the children, and (3) Dr. Balsam’s assertions. It may well be, as the majority argues, that Adams should not have questioned Dr. Balsam’s judgment about who was abusing the children simply because Dr. Balsam had seen Wiegand professionally on some occasions. On the other hand, the record indicates (1) that Adams was aware — before the substantiation decision was made — that Dr. Balsam had seen Wiegand professionally,[1] and (2) that Adams failed to inquire into the extent of that relationship and the possible conflict that it might present for Dr. Balsam. Given the terrible consequences that flow from depriving a parent of his or her child, I believe that once a social worker knows that a crucial source of information in the investigation has a potential conflict, it is unreasonable for the worker to disregard that conflict without inquiry.[2] [71] The majority does not read the facts that way. Essentially, it says that when a child abuse investigation (1) instigated by a parent (2) unearths ambiguous statements made by children — during a negligently conducted interview — suggesting that they may have been horrendously abused, and (3) these charges are supported by reports from a doctor who had seen the children, but whom the social workers knew had also had what they believed was a minor professional relationship with the complaining parent, then the decision of the investigators to declare the other parent a sexual abuser does not violate that parent’s rights. But the majority does not adequately consider the possibility that a jury could properly find on the evidence in this case that the relationship between the reporting physician and the complaining parent was either sufficiently strong to make a reasonable social worker skeptical of the doctor’s opinions, or, atPage 112
least, to mandate further inquiry into that relationship. I believe instead that the reasonableness of Adams’ reliance on the doctor’s conclusion was, on the facts before us, a jury question (or would have been but for the existence of qualified immunity).
II
[72] The majority does state, and powerfully, that even a little less evidence would lead to the conclusion that Wilkinson’s rights were violated. With that statement I fully concur. There is, however, another consideration that has so far gone unmentioned in this regard. The discussion of whether or not Wilkinson’s rights were infringed comes in a post-Sacramento
qualified immunity context. That is, we are all in agreement that, whether or not a constitutional violation occurred, the defendants are still entitled to qualified immunity because the law in this area was not clearly established at the time the SRS investigation took place. In one sense, therefore, it does not matter whether the majority or I read the facts correctly, since the entire discussion of the scope of Wilkinson’s parental right is, necessarily, dicta.
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a subsequent court (and often a second panel of the same court of appeals) to take up a constitutional right in the absence of a qualified immunity defense, Sacramento increases the probability that the courts of appeals will receive full briefings and arguments before making final decisions on important constitutional issues. Cf. Horne, 1999 WL 318551, at *1-*3. (expressing the concern that deciding such constitutional issues in cases where the result would not be altered was dangerous). It goes without saying that dicta from a prior panel concerning a constitutional right deserves respect. It certainly ranks with holdings from other circuits. Nevertheless, it is not binding, and therein lies its unusual significance in the constitutional scheme.
III
[75] The majority today finds no violation of a constitutional right. And yet in doing so it draws a line beyond which it means for state actors to operate at their peril. That line is, of course, asserted in dicta. But, in a Sacramento context, it is dicta that cannot casually be ignored.