F I L E D
United States Court of Appeals
Tenth Circuit
PUBLISH
AUG 8 2000
UNITED STATES COURT OF APPEALS
PATRICK FISHER
Clerk
TENTH CIRCUIT
FREDRICK J. LAURINO,
Plaintiff-Appellant,
v. No. 99-3170
KEITH O. TATE; KELLY G.
MCINTOSH; MICHAEL R. BERRY;
JEFFREY A. WEINMAN; STEVEN
HISER; CITY OF WICHITA;
WICHITA POLICE DEPARTMENT,
Defendants-Appellees.
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF KANSAS
(D.C. No. 98-CV-1074-MLB)
Submitted on the briefs:
Thomas C. McDowell of McDowell & Edingfield, Wichita, Kansas, for
Plaintiff-Appellant.
Gary E. Rebenstorf, City Attorney, and Blaise Plummer, Assistant City Attorney,
Wichita, Kansas, for Defendants-Appellees Tate, McIntosh, Berry, Weinman and
Hiser, and Edward L. Keeley of McDonald, Tinker, Skaer, Quinn & Herrington,
P.A., Wichita, Kansas, for Defendant-Appellee City of Wichita.
Before BRORBY , ANDERSON , and MURPHY , Circuit Judges.
BRORBY , Circuit Judge.
Plaintiff-appellant Fredrick J. Laurino appeals from the district court’s
order dismissing his claims brought against the defendants pursuant to 42 U.S.C.
§ 1983. Mr. Laurino’s counsel also challenges Fed. R. Civ. P. 11 sanctions
imposed against him as part of this appeal. 1 We affirm.
On July 21, 1995, Mr. Laurino was arrested for obstruction of legal process
under a Wichita, Kansas municipal ordinance. Mr. Laurino was initially
convicted in municipal court of the charge, but received a bench trial in state
district court on March 13, 1996, at which time he was acquitted. On March 3,
1998, he brought this action pursuant to § 1983, seeking damages and injunctive
and declaratory relief against the officers involved in his arrest, the City of
Wichita, and its police department. His complaint asserted claims against the
defendants for warrantless arrest without probable cause, unlawful deprivation of
liberty, malicious prosecution, intentional interference with a business interest,
and outrageous conduct. The district court denied Mr. Laurino’s request for
1
After examining the briefs and appellate record, this panel has
determined unanimously to grant the parties’ request for a decision on the briefs
without oral argument. See Fed. R. App. P. 34(f); 10th Cir. R. 34.1(G). The case
is therefore ordered submitted without oral argument.
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injunctive and declaratory relief and dismissed each of his claims, except for the
claim for malicious prosecution, 2
as barred by the statute of limitations.
The district court converted the motion to dismiss on the malicious
prosecution claim to a summary judgment motion and ordered a briefing schedule.
In its order setting the briefing schedule, the court noted with concern
Mr. Laurino’s statement in his brief in response to the City of Wichita’s motion
to dismiss that:
there were inconsistent statements, perhaps even some statements
rising to the level of perjury, between the officers’ police reports and
the officers’ subsequent testimony under oath in the Sedgwick
County District Court trial of Mr. Laurino in which he was acquitted.
Thus, if the Plaintiff was tried in municipal court on stipulated facts
and, if the Plaintiff is correct and the inconsistencies between the
officers’ reports and the officers’ testimony rise to the level of
“material, intentional misstatements of fact”, Plaintiff’s previous
conviction in municipal court may have been “obtained by fraud,
perjury or other corrupt means.”
Appellant’s App. at 56-57 (quoting Mr. Laurino’s brief); see Appellees’ Supp.
App. at 40.
The district court admonished counsel that this was a “serious accusation,”
and reminded him of his duties under Fed. R. Civ. P. 11. Appellant’s App. at 57.
It instructed counsel that if he wished to pursue the contention involving fraud,
2
The district court appears to have denied defendants’ motion to
dismiss the claim for malicious prosecution on statute of limitations grounds
because the claim accrued at the time Mr. Laurino was acquitted and was arguably
subject to a two-year statute of limitations.
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perjury or corruption, it should be supported by affidavits or other evidence
admissible in a summary judgment proceeding. See id.
The defendants subsequently filed their motions for summary judgment
within the deadline set by the district court. Mr. Laurino did not respond. When
the court clerk contacted his counsel about the lack of response, counsel stated
that Mr. Laurino had instructed him not to file a response, and to appeal instead.
On March 4, 1999, the district court, finding this response unsatisfactory, entered
an order requiring Mr. Laurino and his counsel to show cause why Rule 11
sanctions should not be imposed for their previous accusations of fraud, perjury
or corruption against the officers.
The district court held a hearing on the order to show cause. At the
hearing, Mr. Laurino’s attorney explained the factual basis for the claim of
perjury, fraud or other corrupt means against Officer Tate. He admitted, however,
that he was unable to provide any evidence that the other officers named had
committed acts of fraud, perjury or corruption. See Appellant’s App. at 218-20.
Counsel explained that he “was making a broad sweeping statement and I may
have overstepped my bounds.” Id. at 220.
The district court agreed. It entered summary judgment against
Mr. Laurino on the remaining claim and imposed Rule 11 sanctions against his
attorney, ordering him to pay $825.00 based upon time expended by the counsel
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for the officers, and $714.82 based upon time expended by counsel for the City of
Wichita. The district court subsequently entered an order inviting defendants to
file a motion for sanctions if they wished to have the sanctions paid to them.
The defendants filed a joint motion for sanctions, and the district court entered an
amended judgment awarding the sanctions to them.
I.
We consider first whether Mr. Laurino’s claims were barred by the statute
of limitations. We review de novo the district court’s determination of this issue.
See Sterlin v. Biomune Sys. , 154 F.3d 1191, 1194 (10th Cir. 1998). The district
court determined that Mr. Laurino’s claims for warrantless arrest without
probable cause, unlawful deprivation of liberty, intentional interference with
a business interest, and outrageous conduct accrued on the day of his arrest and
release from jail, July 21, 1995. It then borrowed and applied the two-year
Kansas statute of limitations for injury to the rights of another. See Kan. Stat.
Ann. § 60-513(a)(4); Wilson v. Garcia , 471 U.S. 261, 280 (1985). Under the
district court’s reasoning, Mr. Laurino’s complaint was filed more than seven
months after the statute of limitations had expired and was therefore time-barred.
On appeal, Mr. Laurino raises two arguments that his claims were not
time-barred. He argues that he could not have brought his claim for wrongful
arrest without probable cause until he had been acquitted of the underlying
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offense of obstructing legal process. He also argues that the statute of limitations
for § 1983 claims is four years, not two years as the district court determined.
A.
Mr. Laurino argues that his claim for arrest without probable cause did not
accrue until he was acquitted, citing Heck v. Humphrey , 512 U.S. 477 (1994).
Heck requires a court considering a § 1983 damage claim relating to a plaintiff’s
conviction to determine whether a judgment in favor of the plaintiff would
necessarily imply the invalidity of the conviction; if so, then the plaintiff must
obtain invalidation of the conviction before pursuing his action for damages.
See id. at 487.
Mr. Laurino’s Heck argument is foreclosed by our decision in Beck v. City
of Muskogee Police Department , 195 F.3d 553 (10th Cir. 1999). There, we held
that “nothing in Heck changes the general rule that causes of action relating to an
allegedly illegal arrest arise at the time of arrest.” Id. at 558. This is because
a suspect’s proof that police lacked probable cause to arrest him does not
necessarily imply the invalidity or unlawfulness of his conviction for the
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underlying offense. See Brooks v. City of Winston-Salem , 85 F.3d 178, 182
(4th Cir. 1996). 3
Mr. Laurino’s challenge to his arrest does not implicate any of the elements
of his conviction for obstructing legal process. We conclude that the accrual of
his claim for arrest without probable cause is unaffected by Heck .
B.
Mr. Laurino also argues that the district court improperly borrowed a state
statute of limitations and that a four-year federal “catch-all” statute of limitations
should instead apply to his § 1983 claims. Section 1983 is silent concerning the
applicable statute of limitations, leading federal courts to borrow the analogous
state statute for personal injury. Mr. Laurino cites 28 U.S.C. § 1658, however,
which reads as follows:
Except as otherwise provided by law, a civil action arising under an
Act of Congress enacted after the date of the enactment of this
section [December 1, 1990] may not be commenced later than 4 years
after the cause of action accrues.
By its terms, § 1658’s four-year statute of limitations applies only to
statutes enacted after December 1, 1990. Section 1983 was enacted prior to
3
Contrary to Mr. Laurino’s arguments, this case does not fall within
any of the exceptions to the Beck rule, such as when a plaintiff convicted of
resisting arrest challenges the underlying arrest, see Beck , 195 F.3d at 558, or
where all the evidence to be presented was obtained as the result of an illegal
arrest, see id. at 559 n.4.
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December 1, 1990. Mr. Laurino argues, however, that an “enactment” occurs for
purposes of § 1658 anytime Congress amends a statute. Section 1983 was
amended on October 19, 1996, to limit injunctive relief against judicial officers.
See Federal Courts Improvement Act of 1996, Pub. L. 104-317, Title III,
§ 309(c), 100 Stat. 3853. We must therefore determine whether this amendment
made § 1983 actions subject to the four-year statute of limitations provision of
§ 1658.
We have found no circuit decisions addressing this specific issue.
Our review of the legislative history of § 1658, however, convinces us that
Mr. Laurino’s position lacks merit. The House Report states that § 1658 was
intended to be “applicable to legislation enacted after the effective date of this
Act, which creates a cause of action but is silent as to the applicable limitations
period.” H.R. Rep. No. 101-734, at 24 (1990), reprinted in 1990 U.S.C.C.A.N.
6860, 6870 (emphasis added). The 1996 amendment to § 1983 did not create
a cause of action, and none of Mr. Laurino’s causes of action are based upon it in
any way. The district court therefore appropriately applied the two-year Kansas
state statute of limitations to his claims. 4
4
Mr. Laurino also raises an argument based upon Albright v. Oliver ,
510 U.S. 266 (1994), that a seizure continues for § 1983 purposes until the
defendant has been acquitted. He failed to show that he made this argument
in the district court, and we therefore decline to consider it. See Oyler v.
(continued...)
-8-
II.
We turn to the appeal from the Rule 11 sanctions. Appellees argue that we
lack jurisdiction over this portion of the appeal. They note that the sanctions
were entered solely against appellant’s attorney, Thomas C. McDowell, who
failed to file a separate notice of appeal. See, e.g. , Cabrera v. City of Huntington
Park , 159 F.3d 374, 382 (9th Cir. 1998) (holding that client lacks standing to
appeal order imposing sanctions against his attorney).
Mr. McDowell responds that he intended the notice of appeal in this case to
include his personal appeal from the order of sanctions. The notice of appeal
nowhere mentions Mr. McDowell, except for being signed by him as attorney for
appellant. See Appellant’s App. at 13. Appeals should not be dismissed,
however, “for failure to name a party whose intent to appeal is otherwise clear
from the notice.” Fed. R. App. P. 3(c)(4); see also Cole v. Ruidoso Mun. Sch. ,
43 F.3d 1373, 1385 (10th Cir. 1994). The notice of appeal here specifically
purports to appeal, among other things, from an order entered on May 18, 1999,
that only concerns the sanctions entered against Mr. McDowell. Designation of
this order provides sufficient evidence, by implication, of Mr. McDowell’s
intention to take an appeal from the order of sanctions. See Garcia v. Wash ,
(...continued)
4
Allenbrand , 23 F.3d 292, 299 n.8 (10th Cir. 1994).
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20 F.3d 608, 609-10 (5th Cir. 1994). We therefore proceed to consider the
merits of his arguments.
Mr. McDowell raises both substantive and procedural arguments against the
sanctions. We review all aspects of the district court’s Rule 11 determination for
abuse of discretion. See Cooter & Gell v. Hartmarx Corp. , 496 U.S. 384, 405
(1990). We conclude that none of Mr. McDowell’s arguments provides a basis
for reversal.
A.
In Mr. McDowell’s first substantive argument, he contends that he should
not have been sanctioned because he raised a nonfrivolous argument for reversal
of existing law. The district court sanctioned Mr. McDowell because he “had no
evidentiary support for his factual assertions that Officers McIntosh, Berry,
Weinman and Hiser may have committed perjury or that such contentions were
likely to have evidentiary support after a reasonable opportunity for further
investigation or discovery.” Appellant’s App. at 75 (footnote omitted).
Mr. McDowell argues that under a minority view taken by some other courts,
a plaintiff who pursues a malicious prosecution action is not obligated to show
that an overturned conviction in municipal court was the product of fraud, perjury
or other corrupt means. Therefore, he argues, he should not have been sanctioned
for failure to make such a showing.
-10-
This argument lacks merit. Mr. McDowell was not sanctioned for
attempting to modify existing law. He was sanctioned for making an allegation
that individual defendants in this case other than Officer Tate may have
committed perjury, when he had no evidentiary support for the allegation, and he
failed to show that investigation or discovery would lead to any evidence to
support his allegation. See Fed. R. Civ. P. 11(b)(3). Whether he could have also
established the elements of his claim without the unsubstantiated allegation is
irrelevant to the district court’s basis for imposing sanctions.
B.
Mr. McDowell next argues that he had a factual basis for arguing that
Officer Tate committed perjury. The district court conceded this might be true,
but concluded that his argument still deserved sanction because it accused the
other officers of perjury without a factual basis. Mr. McDowell presents no
argument in response to the district court’s conclusion concerning the other
officers. His argument therefore provides no basis for reversal of the district
court’s decision.
C.
Finally, Mr. McDowell attacks the procedural basis for the award of
sanctions. The district court initially assessed sanctions sua sponte, then, upon
invited motion by counsel, directed that the sanctions be paid to counsel rather
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than to the court clerk. Mr. McDowell contends that neither the initial nor the
amended award of sanctions can stand, because he withdrew the offending
pleading before the first order of sanctions was entered and thereby complied with
the “safe harbor” provisions of Rule 11.
We consider first the initial award of sanctions. Mr. McDowell argues that
he implicitly brought himself within the “safe harbor” provision by failing to
respond to the defendants’ motion for summary judgment. We need not determine
whether his nonresponse constituted a “withdraw[al]” within the meaning of Rule
11(c)(1)(A), however, because the “safe harbor” provision does not apply when a
court awards sanctions on its own initiative. See Rule 11(c)(1)(B); Hutchinson v.
Pfeil , 208 F.3d 1180, 1184 (10th Cir. 2000). Instead, a sua sponte award of
sanctions requires the issuance of a show cause order, with reasonable
opportunity to respond. See Hutchinson , 208 F.3d at 1184. As these procedural
requirements were complied with in this instance, Mr. McDowell’s procedural
argument for reversal of the initial award of sanctions fails.
Mr. McDowell has a stronger argument for application of the “safe harbor”
provision with respect to the amended judgment. 5
Defendants suggest that the
5
The district court correctly recognized that it required a motion for
sanctions before awarding them to defendants. See Hutchinson , 208 F.3d at 1184.
Where sanctions are ordered on motion, however, the “safe harbor” provision
does apply. See Fed. R. Civ. P. 11(c)(1)(A). It is therefore questionable whether
(continued...)
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“safe harbor” rule may be flexible in circumstances where sanctions have already
been awarded on the court’s own initiative. We need not resolve this issue,
however, because we hold we lack jurisdiction over Mr. McDowell’s appeal from
the amended order of sanctions.
At the time the notice of appeal in this case was filed, on May 28, 1999,
defendants’ motion seeking to amend the judgment to award Rule 11 sanctions to
them had been filed but not decided. The district court did not grant the motion
until June 18, 1999, after the notice of appeal had been filed. At that time, the
appeal from the award of sanctions ripened, and we gained jurisdiction over the
initial award of sanctions. Mr. McDowell failed to file an amended notice of
appeal from the district court’s amended judgment, however. We therefore lack
jurisdiction over his challenge to the amended judgment. 6
See Fed. R. App. P.
4(a)(4)(B)(ii); Breeden v. ABF Freight Sys., Inc. , 115 F.3d 749, 752 (10th Cir.
1997).
(...continued)
5
the district court could entertain defendants’ motion for Rule 11 sanctions after
final judgment, because at that point McDowell could no longer withdraw his
pleading pursuant to the “safe harbor” provision. See Hutchinson , 208 F.3d
at 1183-84.
6
The notice of appeal purports to appeal from “any and all other
subsequent amendments to or other final judgments entered in the above named
case after this notice of appeal has been filed.” Appellant’s App. at 13. This
designation was ineffective to appeal from the amended judgment. See Fed. R.
App. P. 3(c)(1)(B) (requiring specific designation in notice of appeal of order
appealed from).
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The judgment of the United States District Court for the District of Kansas
is therefore AFFIRMED.
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