FILED
United States Court of Appeals
Tenth Circuit
May 17, 2010
PUBLISH Elisabeth A. Shumaker
Clerk of Court
UNITED STATES COURT OF APPEALS
TENTH CIRCUIT
JEFFREY W. LEWIS, D.C.,
Plaintiff-Appellee,
v.
RONALD TRIPP, D.C.,
Defendant-Appellant,
and
No. 09-6105
OKLAHOMA STATE BOARD OF
CHIROPRACTIC EXAMINERS;
RUSSELL GILSTRAP, D.C.; HUGH
MCCLURE, D.C.; SHAYNE
JAVERSAK, D.C.; BILL MEAD,
D.C.; CORDER, D.C.; DR. JAMES
TOY; KENT CARTER, D.C.; VIKI
RASLER, D.C.; JEANIE GARDNER;
BETH CARTER; JOSEPH ENGLISH,
Defendants.
Appeal from the United States District Court
for the Western District of Oklahoma
(D.C. No. 08-CV-382-HE)
Grant E. Moak, Assistant Attorney General (M. Daniel Weitman and Tricia L.
Everest, Assistant Attorneys General, on the briefs), Oklahoma Attorney
General’s Office, Oklahoma City, OK, for Defendant-Appellant Ronald Tripp.
Daniel J. Gamino, Daniel J. Gamino & Associates, P.C., Oklahoma City, OK, for
Plaintiff-Appellee Jeffrey W. Lewis, D.C.
Before BRISCOE, Chief Judge, BALDOCK, and GORSUCH, Circuit Judges.
GORSUCH, Circuit Judge.
After Oklahoma state authorities revoked Jeffrey Lewis’s license to practice
chiropractic medicine, they suspected him of continuing his practice unlawfully.
In short order, they swore out an administrative subpoena and searched his office
to confirm their suspicions. Believing that the search was carried out in violation
of his Fourth Amendment rights, Dr. Lewis sued. He named as a defendant,
among others, Ronald Tripp, the president of the Oklahoma Board of Chiropractic
Examiners. At summary judgment, the district court denied Dr. Tripp’s claim of
qualified immunity, but it did not set forth with specificity the facts supporting its
conclusion that Dr. Tripp violated Dr. Lewis’s Fourth Amendment rights. In these
circumstances, our precedent instructs us to “review the entire record . . . and
determine de novo whether the plaintiff in fact presented sufficient evidence to
forestall summary judgment on the issue of qualified immunity.” Armijo v. Wagon
Mound Pub. Sch., 159 F.3d 1253, 1259 (10th Cir. 1998). Doing just that, we see
no evidence in this record to suggest that Dr. Tripp was personally involved in the
Fourth Amendment violation Dr. Lewis alleges. Accordingly, we hold that Dr.
Tripp is entitled to qualified immunity.
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I
Dr. Lewis started practicing chiropractic medicine in Norman, Oklahoma in
1997, and for almost ten years ran his own business, West Norman Chiropractic.
In March 2006, however, the Oklahoma State Board of Chiropractic Examiners
revoked Dr. Lewis’s medical license, apparently due to untrue statements Dr.
Lewis made in his license application. The Board stayed the revocation for one
month to allow Dr. Lewis time to find a replacement to take over his practice.
During this period, Dr. Lewis hired Ben Sanders, who began treating Dr. Lewis’s
patients on May 1, 2006.
Two weeks later, the Board’s executive director, Beth Carter, received an
anonymous tip that Dr. Lewis was still practicing medicine, though now without a
license. To work out what the Board’s response should be, Ms. Carter consulted
the Board’s legal counsel and the Board’s president, Dr. Tripp. Later that same
day, Ms. Carter swore out an administrative subpoena requiring Dr. Lewis to turn
over “[a]ll medical records, claims, documents and/or forms which indicate
name[s] of patient(s) from . . . March 28, 2006 to present.” Aple. App. at 71.
Ms. Carter, accompanied by her assistant, Joseph English, and two sheriff’s
deputies, then went to West Norman Chiropractic to serve the subpoena on Dr.
Lewis. When they arrived, Dr. Lewis was out of the office, so Ms. Carter gave the
subpoena to an employee. A receptionist then handed over patient treatment cards
she had at the front desk. According to Dr. Lewis, though hotly disputed by Dr.
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Tripp, someone also took records from inside Dr. Lewis’s personal desk. Ms.
Carter next told various employees, as well as several patients sitting in the
waiting room, that the clinic had to close. The clinic remained closed for one
week, later reopening under Dr. Sanders’s supervision, though the seized patient
records weren’t returned until approximately two months later. Meanwhile, Dr.
Lewis’s repeated requests for reinstatement of his license have failed.
Upset with the search of his office, Dr. Lewis responded with this lawsuit,
contending that the search violated the Fourth Amendment of the United States
Constitution. Dr. Lewis named as defendants the Board, the individual Board
members, Ms. Carter, and Mr. English. After motions practice, however, all that
remains for resolution at this point are Dr. Lewis’s claims against Dr. Tripp. At
summary judgment before the district court, Dr. Tripp argued that he was entitled
to qualified immunity. The district court rejected that defense, and Dr. Tripp now
seeks to appeal that ruling to us. 1
1
Before reaching the question of qualified immunity, Dr. Tripp initially
argues that Dr. Lewis doesn’t have Article III standing to pursue this case at all,
because only West Norman Chiropractic and its patients — and not Dr. Lewis —
were injured by the alleged search and seizure. See U.S. Const. art. III, § 2; see
also Friends of the Earth, Inc. v. Laidlaw Envt’l Servs., Inc., 528 U.S. 167, 180
(2000) (requiring an “injury in fact” for Article III standing). When we determine
our jurisdiction at the summary judgment stage, however, we generally accept as
true all well-pleaded facts supported by the record and draw all reasonable
inferences in favor of standing. See United States v. Colo. Supreme Court, 87
F.3d 1161, 1164 (10th Cir. 1996). Even putting to the side that Dr. Lewis is the
sole shareholder of West Norman Chiropractic and may have sustained injuries
that overlap with those the business admittedly suffered, cf. Guides, Ltd. v.
(continued...)
-4-
II
Dr. Tripp argues that the district court erred in denying him qualified
immunity because there are no facts in the record from which a reasonable jury
could find that he participated in any of the allegedly unlawful conduct that Dr.
Lewis complains of. For his part, Dr. Lewis disputes all this, arguing to us that
the facts are sufficient to suggest Dr. Tripp was personally involved. Before we
can address the parties’ factual dispute, however, we must first confront a
preliminary question concerning our authority to do so.
A
“[T]o shield them from undue interference with their duties [to the public]
and from potentially disabling threats of liability,” public servants, including Dr.
Tripp, are entitled to qualified immunity. Harlow v. Fitzgerald, 457 U.S. 800, 806
(1982). Qualified immunity is “an immunity from suit rather than a mere defense
to liability.” Mitchell v. Forsyth, 472 U.S. 511, 526 (1985) (emphasis omitted). It
represents “the norm” for public officials, Harlow, 457 U.S. at 807, and serves to
insulate from suit “all but the plainly incompetent or those who knowingly violate
1
(...continued)
Yarmouth Group Prop. Mgmt., Inc., 295 F.3d 1065, 1072 (10th Cir. 2002), Dr.
Lewis has offered some (albeit contested) evidence suggesting that records from
inside his personal desk were searched and seized. See Aple. App. at 47-48.
Because it is “well established” in this circuit that “an employee has a reasonable
expectation of privacy in his office,” United States v. Anderson, 154 F.3d 1225,
1230 (10th Cir. 1998), Dr. Lewis has suffered a sufficient injury to invoke our
jurisdiction under our precedents.
-5-
the law,” Malley v. Briggs, 475 U.S. 335, 341 (1986). A plaintiff may overcome a
public official’s qualified immunity only by showing, first, that the official
violated the plaintiff’s federal statutory or constitutional rights, and, second, that
the rights in question were clearly established at the time of their alleged violation.
Pearson v. Callahan, 129 S. Ct. 808, 815-16 (2009).
Despite all this, in Johnson v. Jones the Supreme Court indicated that, at the
summary judgment stage at least, it is generally the district court’s exclusive job
to determine which facts a jury could reasonably find from the evidence presented
to it by the litigants. 515 U.S. 304, 313 (1995). After doing so, the district court
and we may then consider the “abstract” legal questions whether those facts
suffice to show a violation of law and whether that law was clearly established at
the time of the alleged violation. Id. at 317. Ordinarily speaking, it is only these
latter two questions — and not questions about what facts a jury might reasonably
find — that we may consider in appeals from the denial of qualified immunity at
summary judgment. Of course, “determining whether there is a genuine issue of
material fact at summary judgment is [itself] a question of law,” Ashcroft v. Iqbal,
129 S. Ct. 1937, 1947 (2009), one we routinely review de novo in appeals from the
grant of summary judgment. Still, Johnson held that this practice doesn’t
normally pertain to appeals from the denial of qualified immunity. See 515 U.S. at
313. So, for example, if a district court concludes that a reasonable jury could
find certain specified facts in favor of the plaintiff, the Supreme Court has
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indicated we usually must take them as true — and do so even if our own de novo
review of the record might suggest otherwise as a matter of law.
Johnson’s rule might appear, at first glance, to foreclose at least a good
portion of Dr. Tripp’s appeal. After all, his primary complaint seems to be that the
district court erred when it found sufficient facts in the record from which a jury
could infer his involvement in the allegedly illegal search. But that isn’t the end
of the matter, because Johnson’s rule has attracted exceptions that we must also
consider. Without attempting an exhaustive list of those exceptions, the Supreme
Court has drawn our attention to at least three.
First, the Court has indicated that, when the district court at summary
judgment fails to identify the particular charged conduct that it deemed adequately
supported by the record, we may look behind the order denying summary judgment
and review the entire record de novo to determine for ourselves as a matter of law
which factual inferences a reasonable jury could and could not make. See Behrens
v. Pelletier, 516 U.S. 312, 313 (1996); see also Johnson, 515 U.S. at 319 (If a
district court does not state the facts a reasonable jury could find at summary
judgment, “a court of appeals may have to undertake a cumbersome review of the
record to determine [those] facts.”). Second, when the “version of events” the
district court holds a reasonable jury could credit “is blatantly contradicted by the
record,” we may assess the case based on our own de novo view of which facts a
reasonable jury could accept as true. Scott v. Harris, 550 U.S. 372, 380 (2007).
-7-
Third, we need not defer to the district court’s assessment of the reasonable factual
inferences that arise from a complaint at the motion to dismiss stage, but may
instead assess for ourselves the sufficiency of the complaint as a matter of law de
novo. Iqbal, 129 S. Ct. at 1947. 2
B
This case falls within the first of these exceptions. The initial obligation of
the district court in assessing a qualified immunity defense at summary judgment
is to set forth with specificity the facts — the who, what, when, where, and why —
that a reasonable jury could infer from the evidence presented by the parties. See
Armijo, 159 F.3d at 1259 (the district court must “set forth with specificity the
facts . . . that support a finding that the defendant violated a clearly established
right”); see also Behrens, 516 U.S. at 313; Johnson, 515 U.S. at 319. Only then
can the district court (and we, on appeal) undertake the job of answering the
2
Whether, and to what extent, these exceptions are reconcilable with
Johnson’s stated rationale that only “abstract” legal questions are immediately
appealable orders; or the fact that when we assess the sufficiency of a record at
summary judgment we do so, as Iqbal noted, only as a matter of law, just as we
do at the motion to dismiss stage; or the fact that in other areas we decline to
opine on the legal consequences of factual scenarios that we would hold
implausible as a matter of law because doing so risks offering advisory opinions,
are all questions that have engaged commentators. See, e.g., Mark R. Brown, The
Fall and Rise of Qualified Immunity: From Hope to Harris, 9 Nev. L.J. 185, 217-
24 (2008); Thomas Healy, The Rise of Unnecessary Constitutional Rulings, 83
N.C. L. Rev. 847 (2005). Happily, however, this appeal doesn’t require us to
handle any of these thorny questions, and we take Johnson’s rule and its
exceptions as currently posited by the Supreme Court as controlling our analysis
in this case.
-8-
question whether the defendant is entitled to qualified immunity on those facts as a
matter of law. Put differently, unless the district court undertakes the essential
task of specifying what a reasonable jury could find the facts to be, there is no way
it (or, later, we) can rationally determine whether those facts constitute a violation
of clearly established law.
In this case, the district court failed to set forth the facts it believed a
reasonable jury could find with respect to the critical question before us — the
nature of Dr. Tripp’s involvement, if any, in an unlawful search and seizure.
Instead, the court merely stated that Dr. Tripp phoned the Board’s office on
May 16 and sent two emails to the Board’s legal counsel. The court then
immediately and summarily concluded that
[t]his and other [unspecified] evidence proffered by the plaintiff
creates a jury question as to whether Dr. Tripp personally directed, or
had actual knowledge of and acquiesced in, the asserted [but
unspecified] constitutional violation. See Poolaw v. Marcantel, __
F.3d. __, __, 2009 WL 1176466, at *7 (10th Cir. 2009) (“For liability
under section 1983, direct participation is not necessary. Any
official who ‘causes’ a citizen to be deprived of her constitutional
rights can also be held liable. The requisite causal connection is
satisfied if the defendant set in motion a series of events that the
defendant knew or reasonably should have known would cause others
to deprive the plaintiff of her constitutional rights.”) (internal
quotation omitted).
D. Ct. Op. at 7-8.
The problem with this discussion is that it doesn’t tell us what Dr. Tripp did
or where, when, or why he took any action that might have violated Dr. Lewis’s
-9-
Fourth Amendment rights. In other words, it does not “set forth with specificity
the facts . . . that support a finding that the defendant violated a clearly established
right.” Armijo, 159 F.3d at 1259. Instead, the opinion merely advances the legal
conclusion that Dr. Tripp did so, paraphrasing the legal standard for “supervisory
liability” under 42 U.S.C. § 1983 we set forth in Poolaw and then holding the
standard satisfied. Such a “conclusory legal ruling” does not constitute findings of
fact to which we can defer. Armijo, 159 F.3d at 1262. 3
According to the district court, a reasonable jury could conclude that Dr.
Tripp “personally directed, or had actual knowledge of and acquiesced in,” some
constitutional violation. D. Ct. Op. at 7-8. But the court offered no indication
3
In Ashcroft v. Iqbal, the Supreme Court recently held that “purpose rather
than knowledge is required to impose Bivens liability on . . . an official charged
with violations arising from his or her superintendent responsibilities.” 129 S. Ct.
1937, 1949 (2009); see also id. (“each Government official . . . is only liable for
his or her own misconduct”). This announcement has generated significant
debate about the continuing vitality and scope of supervisory liability not only in
Bivens actions, but also in § 1983 suits like the one before us. At one end of the
spectrum, the Iqbal dissenters seemed to believe that the majority opinion
“eliminates . . . supervisory liability entirely,” overruling cases like Poolaw. Id.
at 1957 (Souter, J., dissenting). At the other end of the spectrum, the Ninth
Circuit has read Iqbal as possibly holding that “purpose . . . is required” merely in
cases of alleged racial discrimination by governmental officials, given that Iqbal
itself involved allegations of racial discrimination and such discrimination only
violates the Constitution when it is intentional. See al-Kidd v. Ashcroft, 580 F.3d
949, 976 n.25 (9th Cir. 2009). Many intermediate positions are also surely
plausible. See, e.g., Sheldon Nahmod, Constitutional Torts, Over-Deterrence and
Supervisory Liability after Iqbal, 14 Lewis & Clark L. Rev. 279, 294-98 (2010)
(discussing some alternatives). We need not stake out a position in this debate
today because, as will become clear, Dr. Lewis’s claims fail even under our
preexisting Poolaw standard.
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what that constitutional violation was, and thus what Dr. Tripp allegedly did.
Could a reasonable jury find that Dr. Tripp didn’t offer his staff sufficient training
in administrative subpoena work? That he told Ms. Carter to swear-out an
administrative subpoena? Or to rifle through Dr. Lewis’s papers? Or to close Dr.
Lewis’s practice? Some or all of these things? Or something else still? We don’t
know because the district court never told us. It goes without saying that different
facts demand different legal analyses and call for different outcomes. And we
cannot discharge our duty to say whether or not Dr. Tripp violated Dr. Lewis’s
clearly established constitutional rights without first knowing, as a factual matter,
what a reasonable jury could find he did.
That said, we scarcely have the district court to blame for the paucity of
facts. The reason the district court couldn’t tell us anything about the “asserted
constitutional violation” is that the plaintiff, Dr. Lewis, never described it in his
complaint. Instead, Dr. Lewis just presented his own conclusory legal allegation
that “[all of the] Defendants’ unlawful conduct . . . violates Plaintiff’s rights to be
free from warrantless seizures as guaranteed” by the Fourth Amendment. Complt.,
Aplt. App. at 21. Dr. Lewis thus left the precise contours of that “unlawful
conduct” to the court’s imagination. Perhaps recognizing this infirmity, he did
offer one version of the facts in his opposition to summary judgment in the district
court, suggesting that the Board (including Dr. Tripp) facilitated Ms. Carter’s
conduct by “fail[ing] to fulfill [state] statutory requirements to promulgate
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administrative rules governing internal procedures, . . . ‘direct’ the Executive
Director, . . . provide training, and . . . timely hire an investigator.” Objection to
Motion for Summary Judgment, Aplt. App. at 133-34. But that doesn’t clear up
the confusion because in his appellate briefing Dr. Lewis has now suggested a
different version of the facts — that Dr. Tripp “directed [Ms. Carter] by telephone
and email . . . to prepare a subpoena . . . and to not only seize clinic and financial
records, but to close the business and run off the staff.” Answer Br. at 22. Given
Dr. Lewis’s own indecision about the wrongs he allegedly suffered at Dr. Tripp’s
behest, it’s little wonder that the district court found that “[s]ome ambiguity
exist[ed] as to the exact nature of the underlying constitutional violation” alleged
by Dr. Lewis, D. Ct. Op. at 1 n.3, and did not make specific factual findings about
Dr. Tripp’s conduct.
III
Given that we lack from the district court a set of facts about Dr. Tripp’s
conduct to guide our qualified immunity analysis, it falls on us to review the entire
record, construing the evidence in the light most favorable to Dr. Lewis as the
plaintiff, and to ask de novo whether sufficient evidence exists for a reasonable
jury to conclude that Dr. Tripp trenched upon Dr. Lewis’s clearly established
rights. Armijo, 159 F.3d at 1259 (when the district court fails to specify the facts
in play, the court of appeals must “review the entire record, construing the
evidence in the light most favorable to the plaintiff” to “determine de novo
- 12 -
whether the plaintiff in fact presented sufficient evidence to forestall summary
judgment on the issue of qualified immunity”); see also Behrens, 516 U.S. at 313;
Johnson, 515 U.S. at 319. And it is here that we again pick up the parties’ merits
arguments about the content and significance of the record evidence.
Viewing the record before us in the light most favorable to Dr. Lewis, a
reasonable jury could find the following facts about Dr. Tripp’s alleged
involvement in the search and seizure. Dr. Tripp was the Board president, and Ms.
Carter, as the Board’s executive director, worked for him. On the same day that
Ms. Carter went to Dr. Lewis’s office to serve the subpoena, Dr. Tripp copied Ms.
Carter on two emails he sent to the Board’s legal counsel. Aple. App. at 24-25.
According to Ms. Carter’s deposition, these emails concerned Dr. Lewis’s
unlicensed medical practice and indicated that Dr. Tripp had spoken with the city
attorney’s office and the police department. Id. at 25-26. One of the emails
contained legal citations, though Ms. Carter may have received that email after the
incident at Dr. Lewis’s office. Id. at 33; Aplt. App. at 83. 4 According to Dr.
Lewis, Dr. Tripp also called the Board office sometime that same day, though Ms.
Carter didn’t remember the phone call or its contents. Aple. App. at 27-28.
4
The emails are not in the record, though Ms. Carter’s deposition
testimony describing them is. At no time has Dr. Tripp raised any objection to
the consideration of that testimony. Cf. Simpson v. Univ. of Colo. Boulder, 500
F.3d 1170, 1179 n.3 (10th Cir. 2007) (discussing waiver of challenge to admission
of hearsay evidence at summary judgment).
- 13 -
These facts readily lend themselves to the inference that Dr. Tripp suspected
Dr. Lewis of practicing medicine without a license. They also fairly suggest that
Dr. Tripp wanted to report Dr. Lewis’s activities to other state authorities who
could obtain and execute a search of and perhaps close his practice. But there’s
nothing illegal, let alone clearly illegal, about any of this. Indeed, it would seem
perfectly normal that the president of a state medical society would wish to report
the unauthorized practice of medicine and see it investigated. As it happens,
Oklahoma law expressly “authoriz[es] and empower[s]” the Board to adopt and
seek to enforce professional standards and accreditation requirements. See Okla.
Stat. tit. 59 § 161.6(B). 5 To avoid summary judgment, there has to be record
5
Under the Oklahoma Chiropractic Practice Act,
The Board is authorized and empowered to: (1) Establish and
maintain a procedure or system for the certification or accreditation
of chiropractic physicians who are qualified in chiropractic
post-doctorate Diplomate and all other chiropractic specialties; (2)
Establish a registration system and adopt and enforce standards for
the education and training of chiropractic physicians who engage in
the business of issuing professional opinions on the condition,
prognosis or treatment of a patient; (3) Adopt and enforce standards
governing the professional conduct of chiropractic physicians,
consistent with the provisions of the Oklahoma Chiropractic Practice
Act, for the purpose of establishing and maintaining a high standard
of honesty, dignity, integrity and proficiency in the profession; . . .
(7) Employ legal counsel, as needed, to represent the Board in all
legal matters and to assist authorized state officers in prosecuting or
restraining violations of the Oklahoma Chiropractic Practice Act, and
pay the fees for such services; (8) Order or subpoena the attendance
of witnesses, the inspection of records and premises and the
production of relevant books and papers for the investigation of
(continued...)
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evidence from which a reasonable jury could infer something more than this. It’s
not enough that Dr. Tripp, acting pursuant to his statutory authority, set in motion
a series of events that would naturally lead to the lawful execution of a search
warrant or the lawful closure of Dr. Lewis’s practice. Under Poolaw, a reasonable
jury must be able to conclude that Dr. Tripp deliberately set into motion a series of
events he knew or should’ve known would lead to unlawful action against Dr.
Lewis.
Recognizing this obstacle, Dr. Lewis replies, as best we can tell, that his
clearly established Fourth Amendment rights were violated in two ways. First, he
suggests, the administrative subpoena itself was invalid, so Ms. Carter’s collection
of his records, including from his desk, was actually a warrantless seizure. As he
reads Oklahoma law, the Board only has the authority to “subpoena . . . papers for
the investigation of matters that may come before [it],” Okla. Stat. tit. 59
§ 161.6(B)(8), and once Dr. Lewis had his license revoked, his unlicensed practice
of medicine no longer qualified as a “matter[] . . . before” the Board. On this
view, then, the Board had no jurisdiction to issue or execute the subpoena, and Ms.
Carter seized Dr. Lewis’s documents without any legal authority. See Mancusi v.
5
(...continued)
matters that may come before the Board; . . . (11) Establish minimum
standards for continuing education programs administered by
chiropractic associations . . . ; [and] (19) . . . promulgate a code of
ethics.
Okla. Stat. tit. 59 § 161.6(B)(1)-(3), (7)-(8), (11), (19).
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DeForte, 392 U.S. 364, 370-71 (1968); United States v. Anderson, 154 F.3d 1225,
1229-34 (10th Cir. 1998) (holding that warrantless search of private office usually
violates Fourth Amendment). 6
Second, even if Ms. Carter had the authority to issue the administrative
subpoena, Dr. Lewis appears to suggest that she wrongfully treated it like a search
warrant. Instead of serving the subpoena on Dr. Lewis and waiting for a response,
she used it to seize records without a warrant, including records from Dr. Lewis’s
desk. While an administrative subpoena permits the government to compel the
production of documents, Dr. Lewis argues, it doesn’t allow the unfettered access
that comes with a search warrant. See, e.g., See v. City of Seattle, 387 U.S. 541,
544-45 (1967) (“while the demand to inspect may be issued by the [state] agency,
in the form of an administrative subpoena, it may not be made and enforced by the
inspector in the field” unless he or she also has a search warrant).
Even assuming without deciding that all this is so, an insuperable difficulty
remains. The record before us lacks any evidence suggesting Dr. Tripp’s
involvement in any of these — allegedly — unlawful activities. We have no
6
We harbor doubts about this view of Oklahoma law. After all, it asks us
to accept that the Oklahoma Chiropractic Practice Act entrusts the Board “to
apply to a court of competent jurisdiction for an order enjoining an unlicensed
person from practicing chiropractic,” Okla. Stat. tit. 59 § 161.14(B), and yet at
the same time prohibits the Board from investigating whether someone is
practicing chiropractic medicine without a license. But we need decide none of
this because, as will be come apparent, Dr. Lewis’s argument fails for another,
more fundamental reason.
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evidence, for example, that Dr. Tripp instructed Ms. Carter to obtain an
administrative subpoena. Or that Dr. Tripp advised Ms. Carter to treat the
subpoena as a search warrant and search Dr. Lewis’s personal desk. In short,
while the record before us permits the inference that Dr. Tripp was doing his
lawful — and statutorily-charged — duty of alerting the authorities to a possible
case of the unauthorized practice of medicine, the record lacks any facts
suggesting Dr. Tripp “knew or reasonably should have known” that doing so
would lead to an unlawful search or seizure, let alone one in violation of clearly
established law. Poolaw, 565 F.3d at 732-33.
Instead, Dr. Lewis’s case rests on the speculative assumption that one state
officer seeking to report a violation of law to other state officers “just should’ve
known” that those other officers would respond to the report by themselves
violating the law. We have, however, previously and consistently rejected exactly
this assumption, emphasizing that “more than pure speculation” is required “to
defeat a motion for summary judgment.” Setliff v. Mem’l Hosp. of Sheridan
County, 850 F.2d 1384, 1393 (10th Cir. 1988). Most recently, in Serna v.
Colorado Department of Corrections, 455 F.3d 1146 (10th Cir. 2006), we held that
the Colorado director of prisons was entitled to qualified immunity because his
mere authorization of a prison’s special operations response team in circumstances
calling for its use — without more — didn’t implicate him in the team’s
subsequent use of excessive force against inmates. See id. at 1152-54. We did so
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explaining that “no evidence suggests [the director] used [his authorizing]
communications to instruct the officers to act unconstitutionally.” Id. at 1153-54.
Exactly the same can be said here. There is no question that Dr. Tripp was
legally authorized to report the unlicensed practice of medicine and solicit help
from other state authorities to ensure its investigation and cessation. To survive
summary judgment under Poolaw, Dr. Lewis had to come forward with some
evidence that Dr. Tripp somehow knew or should’ve known that an unlawful
investigation would follow from his decision to report Dr. Lewis’s unauthorized
practice of medicine. In the record before us, there is no evidence of this.
Accordingly, Dr. Lewis hasn’t demonstrated a constitutional violation, let alone a
clearly established one. If qualified immunity is to mean anything, it must mean
that public employees who are just doing their jobs are generally immune from
suit. And Dr. Lewis has presented no evidence to suggest that Dr. Tripp was doing
anything other than that. 7
7
In addition to pursuing a claim under the Fourth Amendment, Dr. Lewis
also pursued a claim based on Article II § 30 of the Oklahoma Constitution.
Throughout these proceedings, the parties and district court have proceeded on
the premise that Dr. Lewis’s state law claim is coextensive, and rises or falls,
with his Fourth Amendment claim. See D. Ct. Op. at 1 n.2. On appeal, the
parties don’t mention that assumption, let alone challenge it or give us any reason
to believe that it was erroneous. Cf. Long v. State, 706 P.2d 915, 916-17 (Okla.
Crim. App. 1985) (declining the opportunity to interpret Article II § 30 in tension
with the U.S. Supreme Court’s interpretation of the Fourth Amendment because
the former is “almost an exact copy” of the latter (quoting DeGraff v. State, 103
P. 538, 541 (Okla. Crim. App. 1909))). Accordingly, we hold Dr. Lewis’s
Oklahoma constitutional claim fails for the same reasons as his Fourth
(continued...)
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* * *
The district court’s order denying summary judgment is reversed, and this
matter is remanded with instructions that the district court enter summary
judgment in favor of Dr. Tripp.
7
(...continued)
Amendment claim does.
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09-6105, Lewis v. Tripp, et al.
BRISCOE, Chief Judge, dissenting.
I respectfully dissent. First, I disagree with the notion that because the
district court “doesn’t tell us what Dr. Tripp did or where, when, or why he took
any action that might have violated Dr. Lewis’s Fourth Amendment rights,”
see Maj. Op. at 9-10, “it falls on us . . . [to determine] whether sufficient evidence
exists for a reasonable jury to conclude that Dr. Tripp trenched upon Dr. Lewis’s
clearly established rights,” see id. at 12. And second, even if we must engage in
the fact-finding expedition which the majority suggests, I disagree with the facts
the majority finds.
The district court found that Dr. Lewis had “create[d] a jury question as to
whether Dr. Tripp personally directed . . . the asserted constitutional violation,”
explicitly noting its reliance on the evidence which demonstrated that “Ms. Carter
. . . was copied on emails Dr. Tripp sent the Board’s legal counsel regarding
Lewis,” and that “Dr. Tripp . . . phoned the Board office on May 16th.” D. Ct. Op.
at 7 (emphasis added). The majority contends that because the district court
“doesn’t tell us what Dr. Tripp did or where, when, or why he took any action that
might have violated Dr. Lewis’s Fourth Amendment Rights,” Maj. Op. at 9-10,
pursuant to Johnson v. Jones, 515 U.S. 304, 319 (1995), “it falls upon us to review
the entire record . . . and to ask de novo whether sufficient evidence exists for a
reasonable jury to conclude that Dr. Tripp trenched upon Dr. Lewis’s clearly
established rights,” id. at 12. I disagree.
Though the district court did not elaborate on what it meant by “personally
directed,” I do not think such an explanation was necessary. Rather, it is clear
from the district court’s language what it thought a reasonable jury could find
based upon the allegations and evidence presented by Dr. Lewis: that Dr. Tripp
called and/or emailed Ms. Carter and explained that he wanted her to serve a
subpoena on Dr. Lewis and that he wanted her to shut down West Norman
Chiropractic. Because the district court adequately set forth the facts it believed a
reasonable jury could find, the limited nature of our jurisdiction to entertain an
appeal from a denial of qualified immunity requires us to accept as true Dr.
Lewis’s assertion that Dr. Tripp directed all of Ms. Carter’s relevant behavior on
the day in question. And accepting these allegations as true, I would conclude that
based upon the clearly established nature of Lewis’s Fourth Amendment rights,
and pursuant to our decision in Poolaw v. Marcantel, 565 F.3d 721, 733 (10th Cir.
2009) (noting that a supervisor may be held liable under § 1983 if he or she “set in
motion a series of events they knew or reasonably should have known would result
[in a constitutional violation]”), Dr. Tripp is not entitled to summary judgment on
qualified immunity grounds.
Further, even if we must engage in the fact-finding suggested by the
majority, I would reach the same conclusion. The majority contends that:
The record before us lacks any evidence suggesting Dr. Tripp’s
involvement in any of these—allegedly—unlawful activities. We have
no evidence, for example, that Dr. Tripp instructed Ms. Carter to obtain
2
an administrative subpoena. Or that Dr. Tripp advised Ms. Carter to
treat the subpoena as a search warrant and search Dr. Lewis’s personal
desk.
Maj. Op. at 16-17 (emphasis omitted). I disagree with the absolutes used in
describing the absence of evidence presented. There was sufficient evidence
presented here to enable Dr. Lewis to withstand a motion for summary judgment.
As the majority explains, “[t]o work out what the Board’s response [to the
allegations against Lewis] should be, Ms. Carter consulted . . . the Board’s
president, Dr. Tripp.” Id. at 3. If we view this consultation—which occurred in
the form of two emails and one phone call—in the light most favorable to Dr.
Lewis, it is reasonable to infer that Dr. Tripp told Ms. Carter both to obtain the
subpoena and to execute it in the manner that she did. 1 See Scott v. Harris, 550
U.S. 372, 378 (2007) (“[C]ourts are required to view the facts and draw reasonable
inferences in the light most favorable to the party opposing the summary judgment
motion. In qualified immunity cases, this usually means adopting . . . the
plaintiff’s version of the facts.” (citations and alteration omitted) (internal
quotation marks omitted)). And because this inference can be reasonably drawn, I
would, once again in light of Dr. Lewis’s clearly established rights and our
1
I acknowledge that reasonableness of this inference might have been
called into question had more details regarding the nature of the communications
between Ms. Carter and Dr. Tripp been properly admitted into evidence.
3
decision in Poolaw, conclude that Dr. Tripp is not entitled to summary judgment
on qualified immunity grounds.
4