Michael Kingsley v. Stan Hendrickson

In the United States Court of Appeals For the Seventh Circuit No. 12‐3639 MICHAEL B. KINGSLEY, Plaintiff‐Appellant, v. STAN HENDRICKSON, ET AL., Defendants‐Appellees. Appeal from the United States District Court for the  Western District of Wisconsin. No. 3:10‐cv‐00832‐bbc — Barbara B. Crabb, Judge.  ARGUED APRIL 23, 2013 — DECIDED MARCH 3, 2014 Before  RIPPLE  and  HAMILTON,  Circuit  Judges,  and STADTMUELLER, District Judge.* RIPPLE, Circuit Judge. Michael Kingsley brought this action under  42  U.S.C.  §  1983  against  six  staff  members  of  a Wisconsin  county  jail,  where  he  had  been  held  as  a  pretrial detainee in 2010. Mr. Kingsley alleged that during his forcible *     The  Honorable  J.P.  Stadtmueller,  United  States  District  Court  for  the Eastern District of Wisconsin, sitting by designation. 2 No. 12‐3639 transfer to a new cell, which included the application of a taser, the defendants had violated various of his constitutional and statutory  rights.  The  district  court  granted  partial  summary judgment for the defendants; a single claim of excessive force against  Sgt.  Stan  Hendrickson  and  Deputy  Fritz  Degner proceeded  to  trial.  The  jury  returned  a  verdict  for  the defendants.  Mr.  Kingsley  now  appeals  the  judgment  entered  on  the verdict,  contending  that  the  jury  received  erroneous  and confusing instructions. Specifically, Mr. Kingsley contends that the district court conflated the standards for excessive force under the Eighth and Fourteenth Amendments and, as a result, wrongly instructed the jury to consider the subjective intent of the  defendants.  Mr.  Kingsley  also  contends  that  the instructions misstated the harm that he must prove to obtain relief. We hold that the instructions were not an erroneous or confusing  statement  of  the  law  of  this  circuit  and  that Mr.  Kingsley  affirmatively  acquiesced  to  the  instruction dealing with harm. Accordingly, we affirm the judgment of the district court. I BACKGROUND A. In April 2010, Mr. Kingsley was booked into the Monroe County  Jail  in  Sparta,  Wisconsin,  as  a  pretrial  detainee.  On May 1, he was transferred to the facility’s south cell block. No. 12‐3639 3 On  May  20,  2010,  a  deputy  performing  a  cell  check noticed a sheet of yellow legal paper covering the light above Mr.  Kingsley’s  bed  and  ordered  him  to  take  it  down. Mr. Kingsley refused the order and answered that he had not put the paper there.1 The deputy moved on. When he returned for a further cell check later in the evening, he noticed that the paper had not been removed and again ordered Mr. Kingsley to  take  it  down.  After  another  refusal  and  a  warning  of possible  disciplinary  action,  the  deputy  issued  him  a  minor violation and reported it to Sgt. Hendrickson. Sgt. Hendrickson informed Deputy Karl Blanton that Mr. Kingsley would have to remove the paper in the morning. When  Deputy  Blanton  made  his  morning  rounds,  he ordered Mr. Kingsley to take down the paper. Mr. Kingsley did not  respond  and  did  not  remove  the  paper.  A  few  minutes later,  Sgt.  Hendrickson  came  to  deliver  Mr.  Kingsley’s medication, and he again ordered Mr. Kingsley to take down the paper. After several requests, Mr. Kingsley again refused, stating  once  again  that  he  had  not  put  the  paper  there. Sgt. Hendrickson next called the jail administrator, Lieutenant Robert Conroy. Lt.  Conroy  then  went  to  Mr.  Kingsley’s  cell.  After Mr. Kingsley refused his order, Lt. Conroy said jail staff would take the paper down and would have to transfer Mr. Kingsley to another cell in the interim. He also threatened discipline. 1       Apparently,  covering  the  lights  with  paper  is  a  common  practice  by inmates in an effort to dim some of the brightness of the jail’s lights. 4 No. 12‐3639 A  few  minutes  later,  Sgt.  Hendrickson,  Deputy  Blanton, Lt. Conroy, Deputy Fritz Degner and Deputy Sheriff Shisler arrived at the cell. They ordered Mr. Kingsley to stand up and to  back  up  to  the  door  with  his  hands  behind  his  back. Mr.  Kingsley  asked  why  and  protested  that  he  had  done nothing wrong. Deputy Degner told Mr. Kingsley to follow the order or he would be tasered. He was again ordered to get up, but  he  continued  to  lie  facedown  on  his  bunk.  He  did, however, put his hands behind his back.  At this point, Sgt. Hendrickson and Deputy Blanton entered the  cell,  and,  with  some  difficulty  (which  they  attribute  to Mr. Kingsley “tensing” his arms and holding them apart),2 they were able to handcuff him. Mr. Kingsley would not follow an order to stand, so they pulled him to his feet. Mr. Kingsley then fell to his knees; he claimed that, in pulling him off of the bed, the officers had smacked his feet on the bedframe, causing him pain. He claimed that the pain was so severe that he could not stand or walk. The officer therefore carried him out of the cell by holding him under his arms and placed him facedown in the hallway. When he would not answer questions about his foot injury, he was taken in the same manner to a receiving cell and placed facedown on the bunk.  Once  he  was  on  the  receiving‐cell  bunk,  the  officers attempted to remove the handcuffs. The evidence at trial was conflicting on the later course of events.3 The defendants say 2    R.27 at 7. 3    The record contains several videos, including one of the transfer and one (continued...) No. 12‐3639 5 that Mr. Kingsley resisted their effort, pulling the handcuffs apart and trying to get up. Mr. Kingsley denied this resistance at  trial.  At  some  point,  Sgt.  Hendrickson  put  his  knee  in Mr.  Kingsley’s  back,  and  Mr.  Kingsley  told  him,  in  colorful language,  to  get  off  him.  Mr.  Kingsley  claims  that  the defendants then smashed his head into the concrete bunk, an allegation the defendants deny.  After  some  further  verbal  exchange,4  Deputy  Degner applied  a  taser  for  five  seconds  on  Mr.  Kingsley’s  back. Lt. Conroy then ordered all of the staff to clear the cell. Fifteen minutes later, the staff returned and were able to remove the handcuffs. Mr. Kingsley was placed on a medical watch, but refused the attention of a nurse.5 3   (...continued) of the incident in the receiving cell. However, the district court found them of limited value on the disputed points because the camera angle is such that Mr. Kingsley is nearly entirely blocked by the defendants. 4    Mr. Kingsley claims Sgt. Hendrickson ordered Deputy Degner to “[t]ase his ass.” R.157 at 52. The defendants deny that these words were used but agree  that  Sgt.  Hendrickson  told  Deputy  Degner  to  apply  the  taser  in contact stun mode to Mr. Kingsley.  5    Following the incident, Mr. Kingsley was given a major violation report showing four rule violations. The events surrounding the issuance of that report and the consequences were a part of Mr. Kingsley’s procedural due process claim, which is not at issue in this appeal. 6 No. 12‐3639 B. In  December  2010,  Mr.  Kingsley,  proceeding  pro  se, brought this action in the district court. His principal theory was that the defendants had violated his due process rights under  the  Fourteenth  Amendment.6  His  initial  complaint presented  several  claims  against  seven  Monroe  County defendants, including an excessive force claim relating only to Sgt. Hendrickson and Deputy Degner.  The  parties  cross‐moved  for  summary  judgment.  The district court granted partial judgment for the defendants on a procedural  due  process  claim  relating  to  Mr.  Kingsley’s discipline  by  jail  staff.  It  concluded,  however,  that  material issues  of  fact  remained  that  precluded  judgment  on  the excessive  force  claim  based  on  the  officers’  conduct  in  the receiving cell. Specifically, the court identified “a dispute about whether defendants slammed plaintiff’s head into the concrete bed  and  used  a  taser  against  him  solely  for  the  purpose  of causing  him  harm.”7  Although  the  officers  clearly  had difficulty removing the handcuffs, Mr. Kingsley claims that it was  because  they  had  been  applied  too  tightly  and Sgt. Hendrickson’s kneeling on his back had caused his body to tense; the officers claim that Mr. Kingsley was resisting. The court observed that, from the video, “it is not clear … whether 6    He brought the federal claims under 42 U.S.C. § 1983. A state law claim for assault and battery initially was presented as well. That claim is not at issue in this appeal. 7    R.69 at 12. No. 12‐3639 7 plaintiff was resisting or struggling. [He] does not appear to be moving his body around aggressively or very much at all.”8  The  court  noted  the  case  law  that  held  that  it  was reasonable  to  use  force  against  an  inmate  who  refused  to comply with orders but concluded that the issue in the case was  “whether  [the]  defendants’  response  to  plaintiff’s obstinance was reasonable under the circumstances or whether it was excessive and was intended to cause [the] plaintiff harm.”9 The court also concluded that, because a jury could find that the defendants had acted with malice, qualified immunity was not available. Although the court, in its ruling, concluded that the  relevant  constitutional  right  was  contained  within  the Fourteenth Amendment because of Mr. Kingsley’s status as a pretrial  detainee,  the  court  applied  Eighth  Amendment excessive force standards in assessing the claim. Following  the  grant  of  summary  judgment,  the  parties stipulated to the dismissal with prejudice of all outstanding claims  except  the  excessive  force  claim  against Sgt. Hendrickson and Deputy Degner. Counsel was appointed for  Mr.  Kingsley  and  the  case  proceeded  to  trial.  In  pretrial proceedings,  the  district  court  proposed  an  instruction  on excessive force to which both parties objected, and the court made various modifications. At the close of the evidence, the parties  revisited  the  instruction  and  again  objected  to  its content. Again, the district court made some modification and 8    Id. at 7. 9    Id. at 14 (emphasis added). 8 No. 12‐3639 added a clarifying instruction. The court finally settled on the following instruction: Excessive force means force applied recklessly that is  unreasonable  in  light  of  the  facts  and circumstances of the time. Thus, to succeed on his claim of excessive use of force, plaintiff must prove each of the following factors by a preponderance of the evidence: (1) Defendants used force on plaintiff; (2) Defendants’ use of force was unreasonable in light of the facts and circumstances at the time; (3) Defendants knew that using force presented a  risk  of  harm  to  plaintiff,  but  they  recklessly disregarded plaintiff’s safety by failing to take reasonable  measures  to  minimize  the  risk  of harm to plaintiff; and  (4) Defendants’ conduct caused some harm to plaintiff. In deciding whether one or more defendants used “unreasonable”  force  against  plaintiff,  you  must consider  whether  it  was  unreasonable  from  the perspective of a reasonable officer facing the same circumstances  that  defendants  faced.  You  must make this decision based on what defendants knew at the time of the incident, not based on what you know now. Also, in deciding whether one or more defendants used  unreasonable  force  and  acted  with  reckless No. 12‐3639 9 disregard  of  plaintiff’s  rights,  you  may  consider such factors as: • The need to use force; • The  relationship  between  the  need  to  use  force and the amount of force used; • The extent of plaintiff’s injury; • Whether  defendants  reasonably  believed  there was a threat to the safety of staff or prisoners; and • Any  efforts  made  by  defendants  to  limit  the amount of force used.[10] Mr. Kingsley’s counsel objected to the inclusion of “harm” as an element of an excessive force claim. He contended that the jury might confuse the element of harm for some sort of lasting or significant injury. Counsel first requested a clarifying instruction that “pain is considered harm.”11 When the court began  to  offer  a  preferred  alternative,  “[A]  person  can  be harmed  even  if  he  does  not  suffer  a  lasting  injury  or  …,” plaintiff’s counsel interjected, “Or severe injury.”12 Following this exchange, the jury was instructed that “[a] person can be harmed even if he did not suffer a severe injury.”13  10    R.146 at 3–4. 11    R.156 at 79. 12    Id. (internal quotation marks omitted). 13    R.146 at 4. 10 No. 12‐3639 The  jury  returned  a  verdict  for  the  defendants,  and  the district  court  entered  judgment  dismissing  the  case. Mr. Kingsley timely appeals the judgment. He submits that the instruction  misstated  the  law  and  confused  the  jury  on  the subjects of both the intent and harm necessary to establish an excessive force claim in the pretrial detainee context. II DISCUSSION On appeal, Mr. Kingsley raises two challenges to the jury instructions. First, he claims that  the instruction wrongfully conflated  the  standard  for  excessive  force  claims  under  the Eighth and Fourteenth Amendments and that, as a result, the instructions incorrectly required him to demonstrate that the defendants acted with reckless disregard for his safety. Second, Mr. Kingsley claims that the instruction regarding harm, which stated that harm was an element of the claim and that it could be demonstrated without a showing of “severe injury,” was both incorrect and confusing.  We shall assess each of his objections to the instructions in turn.  Our  review  of  jury  instructions  is  de  novo.  Huff  v. Sheahan, 493 F.3d 893, 899 (7th Cir. 2007). We must “determine whether,  taken  as  a  whole,  [the  instructions]  correctly  and completely informed the jury of the applicable law.” Id. “We defer  to  the  district  court’s  phrasing  of  an  instruction  that accurately states the law; however, we shall reverse when the instructions misstate the law or fail to convey the relevant legal principles  in  full  and  when  those  shortcomings  confuse  or No. 12‐3639 11 mislead  the  jury  and  prejudice  the  objecting  litigant.”  Id. (citation omitted) (internal quotation marks omitted).  A. 1. A claim of excessive force, like the one at issue here, is, at bottom,  one  that  seeks  to  impose  liability  for  “physically abusive  governmental  conduct.”  Graham  v.  Connor,  490  U.S. 386, 394 (1989). The right to be free from such abuse derives from  various  provisions  of  the  Bill  of  Rights.  The  Fourth Amendment affords protection to the person in the context of a seizure, id.; the Eighth Amendment applies when, following the constitutional guarantees of our criminal process, there has been an adjudication of guilt and an imposition of sentence, Ingraham v. Wright, 430 U.S. 651, 671 n.40 (1977). Between the status of arrestee and sentenced prisoner is the intermediate status of the detainee, who similarly is entitled to protection from  physically  abusive  government  conduct.  The constitutional source of that protection lies in the right to be free from deprivations of liberty without due process of law. Bell v. Wolfish, 441 U.S. 520, 535 & n.16 (1979).  In sum, we evaluate a claim of excessive force not under “some  generalized  ‘excessive  force’  standard,”  but  “by reference to the specific constitutional standard which governs that right.” Graham, 490 U.S. at 394. Mr. Kingsley was a pretrial detainee  at  the  time  of  the  tasing  incident;  therefore,  the Fourteenth Amendment’s Due Process Clause is the source of his substantive right and determines the applicable standards 12 No. 12‐3639 to evaluate his claim. See Ingraham, 430 U.S. at 672 n.40; Forrest v. Prine, 620 F.3d 739, 743–44 (7th Cir. 2010).  2. In  examining  the  contours  of  the  right  to  be  free  from excessive force as an element of due process, Bell v. Wolfish, 441 U.S. 520 (1979), is our primary touchstone. There, the Supreme Court  evaluated  a  claim  regarding  the  conditions  of confinement for pretrial detainees. “[U]nder the Due Process Clause, a detainee may not be punished prior to an adjudication of  guilt  in  accordance  with  due  process  of  law.”  Id.  at  535 (emphasis added). As a consequence, “the proper inquiry” is whether  the  treatment  of  the  detainee  “amount[s]  to punishment.” Id. The Supreme Court markedly contrasted due process  protections  for  detainees  against  the  rights  of sentenced inmates: “A sentenced inmate[] … may be punished, although  that  punishment  may  not  be  ‘cruel  and  unusual’ under  the  Eighth  Amendment.”  Id.  at  535  n.16  (emphasis added).  Our cases also have noted that the protection afforded by the Due Process Clause is broader than that afforded under the Eighth Amendment. See Lewis v. Downey, 581 F.3d 467, 474 (7th Cir.  2009)  (“[T]he  Due  Process  Clause,  which  prohibits  all ‘punishment,’  affords  broader  protection  than  the  Eighth Amendment’s protection against only punishment that is ‘cruel and unusual.’”); id. at 475 (noting that, in the excessive force context, “anything that would violate the Eighth Amendment would also violate the Fourteenth Amendment”); cf. Forrest, 620  F.3d  at  743–44  (acknowledging  that  “[t]he  Fourteenth No. 12‐3639 13 Amendment right to due process provides at least as much, and probably more, protection against punishment as does the Eighth Amendment’s ban on cruel and unusual punishment”). Of  course,  “[n]ot  every  disability  imposed  during  pretrial detention  amounts  to  ‘punishment’  in  the  constitutional sense.” Bell, 441 U.S. at 537.14 We must ask whether a particular action was taken “for the purpose of punishment or whether it  is  but  an  incident  of  some  other  legitimate  governmental purpose.” Id. at 538.15  Notably, the Due Process Clause provides its own limiting principle; the Clause protects against only abusive conduct that is more than negligence, Daniels v. Williams, 474 U.S. 327, 334 (1986), or even gross negligence, Archie v. City of Racine, 847 F.2d 1211, 1219 (7th Cir. 1988) (en banc). Indeed, we have said that the official conduct must be at least reckless. See Archie, 847  F.2d  at  1219–20.  Recklessness,  which  necessarily incorporates  some  measure  of  subjective  intent,  stands  in contrast to the rule under the Fourth Amendment that focuses only  on  whether  the  government  conduct  was  “objectively 14    As we already have noted, Bell v. Wolfish, 441 U.S. 520 (1979), was a conditions of confinement case, not a case concerning excessive force, and the Supreme Court has not applied its rule directly in the excessive force context. However, in Graham v. Connor, 490 U.S. 386, 395 n.10 (1989), the Court  noted  that  Bell  made  clear  the  right  of  a  detainee  to  be  free  from excessive force under the Due Process Clause. 15       The  Supreme  Court  has  noted,  at  least  in  the  context  of  the  Eighth Amendment, that “punishment” itself requires “‘a deliberate act intended to  chastise  or  deter.’”  Wilson  v.  Seiter,  501  U.S.  294,  300  (1991)  (quoting Duckworth v. Franzen, 780 F.2d 645, 652 (7th Cir. 1985)). 14 No. 12‐3639 reasonable”  in  light  of  all  of  the  facts  and  circumstances. Graham, 490 U.S. at 397 (emphasis added) (internal quotation marks omitted); see also Common v. City of Chicago, 661 F.3d 940, 943 (7th Cir. 2011).  While  these  cases  make  clear  the  basic  theoretical  and doctrinal  distinction  among  the  constitutional  standards governing the various categories of confinement, they do not provide  a  practical  framework  for  distinguishing  the obligations of those constrained by each of the constitutional provisions. Indeed, on more than one occasion, while noting the distinction between pretrial and posttrial incarceration, we have  decided  the  case  before  us  by  employing  the  more familiar Eighth Amendment standard. See, e.g., Rice ex rel. Rice v. Corr. Med. Servs., 675 F.3d 650, 664 (7th Cir. 2012) (“[C]ourts still  look  to  Eighth  Amendment  case  law  in  addressing  the claims of pretrial detainees, given that the protections of the Fourteenth  Amendment’s  due  process  clause  are  at  least  as broad  as  those  that  the  Eighth  Amendment  affords  to convicted  prisoners,  and  the  Supreme  Court  has  not  yet determined  just  how  much  additional  protection  the Fourteenth Amendment gives to pretrial detainees.” (citations omitted));  Forrest,  620  F.3d  at  744  (affirming  summary judgment  for  the  defendant  officers  where  the  plaintiff detainee  had  “not  explained[]  …  how  any  protections guaranteed by the Fourteenth Amendment provide him with more  protection  than  he  would  receive  under  traditional Eighth  Amendment  standards”);  Lewis,  581  F.3d  at  474 (reversing  summary  judgment  for  officer  in  Fourteenth Amendment case upon concluding that the plaintiff had raised No. 12‐3639 15 a genuine issue of fact even when considered under the more stringent standard set by the Eighth Amendment).  Here,  we  also  have  no  need  to  delineate,  in  any comprehensive fashion, the differences between the rights of pretrial detainees and adjudicated criminals. Our task is less ambitious. We must determine the adequacy of an instruction given  to  a  jury  tasked  with  determining  whether  excessive force  was  employed  against  a  pretrial  detainee.  We  simply must  determine  whether  the  instruction  at  issue  was sufficiently precise in its description of the due process right of a pretrial detainee to ensure that Mr. Kingsley’s case was fairly presented to the jury. Several  of  our  cases  have  explored  the  problem  of describing, in the due process context, the right of a detainee to be free from excessive force. In Titran v. Ackman, 893 F.2d 145  (7th  Cir.  1990),  we  expressed  concern  about  defining  a detainee’s due process right to be free from excessive force by use  of  highly  subjective  terms  such  as  “grossly disproportionate”  or  “shocks  the  conscience.”  Id.  at  147 (internal quotation marks omitted). We pointed out that, in the usual  course  of  events,  “the  propriety  of  using  force  on  a person  in  custody  pending  trial  will  track  the  Fourth Amendment: the court must ask whether the officials behaved in  a  reasonable  way  in  light  of  the  facts  and  circumstances confronting them.” Id. This emphasis on the objective standard of a reasonable prison officer was written, of course, against the  background  of  the  amorphous  “shocks  the  conscience” standard. See id. at 147–48. Notably, however, while giving us the objective criteria borrowed from the Fourth Amendment as a  more  concrete  touchstone  against  which  to  measure  the 16 No. 12‐3639 conduct  of  government  officials,  the  court  in  Titran  also pointedly  remarked  that,  because  “the  Due  Process  Clause does  not  proscribe  negligence  or  even  gross  negligence,  the search for ‘punishment’ cannot be wholly objective.” Id. at 147 (emphasis added).  Wilson v. Williams, 83 F.3d 870 (7th Cir. 1996), a case that came to us posttrial and that involved the correctness of the jury  instructions,  afforded  us  an  occasion  to  focus  more directly  on  the  requisite  intent  for  a  due  process  violation based  on  excessive  force.  The  jury  was  instructed  that  the plaintiff must establish that there was a “use of force that was clearly excessive to the need[,] … the excessiveness of which was  …  objectively  unreasonable  in  light  of  the  facts  and circumstances  at  the  time.”  Id.  at  873.  The  jury  was  further instructed that the plaintiff must establish that the defendant “acted deliberately or with callous indifference, evidenced by an  actual  intent  to  violate  plaintiff’s  constitutional  rights  or reckless disregard for his rights.” Id.  In  Wilson,  the  plaintiff  had  objected  that  the  instruction wrongfully  excluded  the  officer’s  subjective  intent  from  the jury’s consideration. We perceived no error in this regard. We stated that, where the issue of intent is contested, “a jury may properly  rely  on  objective  factors  to  arrive  at  their determination  of  that  intent.”  Id.  at  876.  Notably,  we  also reaffirmed the pointed holdings of Anderson v. Gutschenritter, 836 F.2d 346, 349 (7th Cir. 1988), and Shelby County Jail Inmates v. Westlake, 798 F.2d 1085, 1094 (7th Cir. 1986), that a plaintiff must  prove  that  the  defendants  “acted  deliberately  or  with callous indifference, evidenced by an actual intent to violate No. 12‐3639 17 [the  plaintiff’s]  rights  or  reckless  disregard  for  his  rights.” Wilson, 83 F.3d at 875 (internal quotation marks omitted). Again in Rice ex rel. Rice v. Correctional Medical Services, 675 F.3d  650  (7th  Cir.  2012),  when  we  confronted  a  situation analogous in many relevant respects to the situation before us today  (jail  guards  extricating  a  detainee  from  his  cell),  we wrote: Where, as here, force is employed in the course of resolving  a  disturbance,  the  pertinent  inquiry  is whether force was applied in a good faith effort to maintain  or  restore  discipline  or  maliciously  and sadistically for the very purpose of causing harm. Factors relevant to that inquiry include whether jail officials  perceived  a  threat  to  their  safety  and  the safety of other inmates, whether there was a genuine need for the application of force, whether the force used was commensurate with the need for force, the extent of any injury inflicted, and whatever efforts the officers made to temper the severity of the force they  used.  See  also  Forrest  v.  Prine,  620  F.3d  739, 744–45 (7th Cir. 2010); Lewis v. Downey, 581 F.3d 467, 475–77 (7th Cir. 2009). Id.  at  668  (additional  citations  omitted)  (internal  quotation marks omitted). Our dissenting colleague believes that our cases have been ambiguous  on the question  of  intent, but we see  no  serious ambiguity  here.  Our  cases  make  clear  that,  although  we employ the objective criteria of the Fourth Amendment as a touchstone by which to measure the gravity of the defendant 18 No. 12‐3639 officer’s conduct, we also recognize, quite clearly, the need for a  subjective  inquiry  into  the  defendant’s  state  of  mind  in performing  the  activity  under  scrutiny.  In  determining whether  the  defendant  officer  had  the  requisite  state  of mind—at least recklessness—the same criteria used to measure the defendant’s lack of care are a useful benchmark. This is because, as Titran intimated, the gravity of the offense and the requisite  intent  are  closely  linked.  Titran  is  clear  that  the strength of this link under a particular set of facts may mean that the inference of intent is so strong that no further inquiry need  be  made.  See  Titran,  893  F.2d  at  148  (“If  the  officers intentionally restrained, jolted, and roughed up Titran without physical  provocation  from  her,  their  behavior  was unreasonable.”).  But  when  the  inference  is  less  strong,  the cases  do  make  clear  that  some  examination  of  intent  is appropriate,  and  that  the  distinction  makes  a  mechanical application  of  Fourth  Amendment  objective  standards impossible. See id. at 147 (“Subtle differences between Fourth and  [Fourteenth]  Amendment  standards  are  inevitable  on account of this mental element.” (emphasis added)).16 We think at this point it is useful to pause and be certain that we have not lost sight of the basic point of Bell. Bell teaches 16   The dissent also suggests that under Daniels v. Williams, 474 U.S. 327 (1986), the only “intent” requirement applicable in Fourteenth Amendment cases is the general requirement of intentional rather than negligent acts, necessary to impose liability for any alleged constitutional violation. The difficulty with this view is that Titran v. Ackman, 893 F.2d 145 (7th Cir. 1990), and other of our cases already have held that there is something unique about  the  Fourteenth  Amendment  that  imposes  a  burden  not  imposed under the Fourth Amendment.  No. 12‐3639 19 that the central inquiry relevant in a Fourteenth Amendment case brought by a pretrial detainee is whether the state punished him—as opposed to whether it had merely held him, restricted him, or applied a measure of force in a manner consistent with and  expected  of  constitutional  restraints  on  liberty  prior  to trial. Bell was, of course, a conditions of confinement case, see supra n.14, but it notes the necessity of determining from the facts whether there is an intent to punish. Finally, we note that although some consideration of intent is embraced by our cases, it is limited in significant measure by the fact that it is discernable from objective considerations17. See Wilson, 83 F.3d at 876. 3. With  these  principles  in  mind,  we  now  turn  to  the  jury instruction at issue in the case before us.  On the subject of excessive force, the jury was instructed as follows: 17   We acknowledge and are grateful for the fine work of the Committee that  developed  this  circuit’s  impressive  Pattern  Civil  Jury  Instructions. Nevertheless, while those instructions represent learned studies of the law of this circuit, they are persuasive only to the extent that they accurately restate the law of this circuit. See United States v. Burke, 781 F.2d 1234, 1239 n.2 (1985) (“Although the pattern instructions are suggestive rather than absolutely binding, a decision of this court is authoritative.”). Moreover, it is not clear from the commentary to the Pattern Instruction that the issue we now confront was considered squarely. Notably, there is no mention of the above cases and the contrary language included within them. 20 No. 12‐3639 Excessive force means force applied recklessly that is  unreasonable  in  light  of  the  facts  and circumstances of the time. Thus, to succeed on his claim of excessive use of force, plaintiff must prove each of the following factors by a preponderance of the evidence: (1) Defendants used force on plaintiff; (2) Defendants’ use of force was unreasonable in light of the facts and circumstances at the time; (3) Defendants knew that using force presented a  risk  of  harm  to  plaintiff,  but  they  recklessly disregarded plaintiff’s safety by failing to take reasonable  measures  to  minimize  the  risk  of harm to plaintiff; and  (4) Defendants’ conduct caused some harm to plaintiff. In deciding whether one or more defendants used “unreasonable”  force  against  plaintiff,  you  must consider  whether  it  was  unreasonable  from  the perspective of a reasonable officer facing the same circumstances  that  defendants  faced.  You  must make this decision based on what defendants knew at the time of the incident, not based on what you know now. Also, in deciding whether one or more defendants used  unreasonable  force  and  acted  with  reckless disregard  of  plaintiff’s  rights,  you  may  consider such factors as: No. 12‐3639 21 • The need to use force; • The  relationship  between  the  need  to  use  force and the amount of force used; •  The extent of plaintiff’s injury; • Whether  defendants  reasonably  believed  there was a threat to the safety of staff or prisoners; and • Any  efforts  made  by  defendants  to  limit  the amount of force used.[18] Mr. Kingsley argues that the instructions were erroneous and confusing because he was required to establish that the officers  had  acted  with  “reckless  disregard”  for  his  safety, when the instruction should have allowed the jury to find the existence  of  punishment  on  the  basis  of  wholly  objective factors. A faithful adherence to the case law that we have discussed precludes  our  accepting  this  contention.  As  we  have  noted earlier, our cases are clear that the existence of intent—at least recklessness—is  a  requirement  in  Fourteenth  Amendment excessive  force  cases.  The  court’s  instruction  reflected  this requirement in our case law. The jury was told specifically that, in determining whether the intent element is satisfied, that is, whether  the  defendants  “acted  with  reckless  disregard  of plaintiff’s rights,” it “may consider” a non‐exhaustive list of five factors, drawn almost verbatim from Wilson. In short, the instruction  required  a  level  of  intent  at  least  equivalent  to 18    R.146 at 3–4. 22 No. 12‐3639 recklessness, measured largely by the objective factors that we already have identified.19  The  jury  was  instructed  adequately  on  the  elements  of Mr. Kingsley’s Fourteenth Amendment cause of action.20 19   The dissent contends that “[t]he clearest thing about Wilson is that it reversed the use of the confusing amalgam of an instruction.” Dissent at 31. In Wilson, this court approved an instruction that tracked very closely the language used in this case, and turned on “whether the prohibited punitive intent was present.” Wilson v. Williams, 83 F.3d 870, 877 (7th Cir. 1996). It reversed  only  on  another  element,  completely  absent  from  our  present instruction, of a “good faith” defense. Id. 20   The dissent also contends that the instruction was confusing not only because it introduced the extraneous concept of intent, but also because it did so in three separate and quite different ways. See dissent at 35‐36. We think this overstates the point and overly parses the instruction, which is not  our  settled  approach  on  review  of  such  matters.  True  enough,  the instruction uses the term “reckless” three times, in three separate phrases. Its first use, that the “force [must have been] applied recklessly” merely tracks the usage that the dissent essentially admits is legally proper; that is, it  says  that  the  force  must  be  applied  in  a  manner  displaying  more culpability than negligence (i.e., the taser did not go “off by accident,” id. at 39). The evidence admittedly did not suggest that it had, but no reasonable juror would have been confused as to the meaning under the circumstances. The  second  usage  is  less  clear,  but  the  surrounding  context  cures  any confusion.  Although  the  jury  is  asked  to  determine  if  the  defendants “recklessly disregarded plaintiff’s safety”—a less than ideal phraseology it is then told precisely how to determine it, by whether they had “failed to take  reasonable  measures  to  minimize  harm  to  the  plaintiff.”  The  final usage is part of the phrase which introduces the uncontroversial objective considerations.  No. 12‐3639 23 B. Mr. Kingsley next submits that the district court erred in instructing the jury on the issue of harm. He contends that he should not have been required to demonstrate harm at all and, if harm is an element, that  the use of a taser establishes the requisite injury as a matter of law. For this latter proposition, Mr. Kingsley relies on Lewis v. Downey, 581 F.3d 467, 475 (7th Cir.  2009),  in  which  we  held  that  use  of  a  taser  qualified  as more than a de minimis application of force. In the alternative, he argues that, even if the harm instruction itself were proper, the  jury  should  not  have  been  further  instructed  that  “[a] person  can  be  harmed  even  if  he  did  not  suffer  a  severe injury.”21 In his view, this clarifying instruction only confused the matter by “allow[ing] the jury to consider whether the use of the taser on Mr. Kingsley met some threshold standard of injury to qualify as harm.”22 The defendants counter that the plaintiff  waived  any  objection  and  that,  in  any  event,  the instruction as given was not erroneous. 1. We begin with the question of waiver. At trial, Mr. Kingsley did  object  to  the  inclusion  of  harm  as  an  element  of  the excessive  force  claim.  Our  reading  of  the  transcript  makes clear,  however,  that  his  objection  was  that,  because  the defendants repeatedly had contended that there had been no 21    R.146 at 4.  22    Appellant’s Br. 20.  24 No. 12‐3639 lasting injury, the inclusion of the element of harm might be misread as requiring more than de minimis harm. Counsel for Mr. Kingsley therefore requested a clarifying instruction that “pain is considered harm.”23 The court simply stated, “I think I’ll add ‘a person can be harmed even if he does not suffer a lasting  injury  or  …  .’”24  At  this  point,  plaintiff’s  counsel interjected, “Or severe injury.”25 Although Mr. Kingsley objected to the inclusion of “harm” as an element, counsel described the objection as concern that the inclusion of “harm” might be construed erroneously by the jury  to  require  some  lasting  injury.  Notably,  counsel  stated: “[W]e submit that in the Seventh Circuit, injury isn’t a required element of an excessive force claim. I think the use of harm is an element.”26 Counsel specifically further told the court that “[i]t’s just the extent that [the defendants are] going to argue and there will be any suggestion to the jury that some form of lasting injury is required under the law, that’s what we would have the objection to.”27 We do not discern on the record any argument presented to the district court that harm itself is not an element of the cause  of  action  or  that  tasing  constitutes  harm  per  se. 23    R.156 at 79. 24    Id. 25    Id. 26    Id. at 78 (emphasis added). 27    Id. at 79 (emphasis added).  No. 12‐3639 25 Consequently,  we  must  agree  that  Mr.  Kingsley’s  current position  on  the  question  of  harm  itself,  or  harm  per  se,  has been forfeited. 2. We now turn to the question whether the district court’s clarifying instruction introduced confusion by suggesting to the jury that some unspecified level of injury was required to establish harm. The transcript makes clear that, after voicing the objection to the inclusion of harm and stating that it was out  of  concern  that  the  defendants  would  argue  need  for  a lasting  injury,  counsel  for  Mr.  Kingsley  participated  in  the modification of the instruction and specifically suggested the inclusion of the “[o]r severe injury” language that ultimately was  given  by  the  district  court  to  ameliorate  the  concerns raised in the prior objection. In short, the clarifying instruction was offered at Mr. Kingsley’s request, and for the very purpose of minimizing any risk that the jury would construe harm as a significant injury. Mr. Kingsley’s counsel actively participated with the district court in achieving an instruction that would be satisfactory in that regard and did not continue an objection to the language as presenting further difficulty or insist on a more specific instruction that any amount of pain qualified as harm. Accordingly, the current objection is waived.  In  any  event,  even  if  the  merits  of  these  objections  were properly  before  us,  we  previously  have  approved  an instruction  in  this  context  that  included  a  requirement  of “some harm.” See Wilson, 83 F.3d at 876. Although it would not have been error for the district court to define injury in a taser 26 No. 12‐3639 case in terms of pain, see Lewis, 581 F.3d at 475; see also Hudson v. McMillian, 503 U.S. 1, 9–10 (1992), the instruction given by the district court adequately permitted counsel to argue that the pain inflicted fulfilled the injury requirement of the cause of action. Indeed, counsel so argued.  There  was  no  reversible  error  with  respect  to  the requirement of a showing of “harm” in this case. Conclusion Because the jury instructions were neither erroneous nor confusing statements of the law of this circuit, the judgment in favor of the defendants is affirmed. AFFIRMED No. 12-3639 27 HAMILTON, Circuit Judge, dissenting. I respectfully dissent. This case presents an important issue about the extent of a pretrial detainee’s constitutional right to be free from punishment and excessive force. If a pretrial detainee can prove that a correctional officer used objectively unreasonable force against him, it should be self-evident that the detainee was “punished” without due process of law. In this case, however, the district court’s jury instruction on excessive force added an unnecessary and confusing element of “reckless” conduct or purpose to the required elements of plaintiff’s claim. The Committee on Pattern Civil Jury Instructions of the Seventh Circuit considered this question in 2009. The committee wisely omitted such language of recklessness or purpose from its Pattern Instructions 7.08 and 7.09 for excessive force claims by pretrial detainees. We should remand for a new trial with instructions tracking those pattern instructions. That way we could avoid the puzzle posed by the majority opinion: When does the Constitution allow law enforcement and correctional officers to use objectively unreasonable force against a person not convicted of a crime? I. The Problem: Excessive Force Claims by Pretrial Detainees As the majority explains, when law enforcement officers apply physical force to suspects, detainees, or prisoners, the constitutional standard depends on the status of the person on the receiving end. A person who is not in custody and who is a target of police force, such as in an arrest or investigative stop, is protected by the Fourth Amendment’s prohibition on unreasonable seizures of the person. The Fourth Amendment standard is objective: was the application of force unreasonable 28 No. 12-3639 in light of all the relevant circumstances confronting the officer at the time? Graham v. Connor, 490 U.S. 386, 395–97 (1989); Federal Civil Jury Instructions of the Seventh Circuit No. 7.08 & 7.09. On the question of liability for a Fourth Amendment violation, the officer’s subjective purposes do not matter as long as the force was used intentionally rather than by accident. Graham, 490 U.S. at 397–99. A person convicted of a crime and serving a custodial sentence is protected by the Eighth Amendment’s prohibition on cruel and unusual punishment. The Eighth Amendment standard differs from the Fourth because the officer’s state of mind is critical. The plaintiff must prove that the correctional officer intentionally used extreme or excessive cruelty toward the plaintiff for the purpose of harming him, and not in a good faith effort to maintain or restore security or discipline. Whitley v. Albers, 475 U.S. 312, 320–21 (1986); Federal Civil Jury Instructions of the Seventh Circuit No. 7.15. In Graham, the Supreme Court explained that the less protective Eighth Amendment standard applies “only after the State has complied with the constitutional guarantees traditionally associated with criminal prosecutions.” 490 U.S. at 398–99, quoting Ingraham v. Wright, 430 U.S. 651, 671 n.40 (1977). Both the objective standard under the Fourth Amendment for free citizens and the subjective standard under the Eighth Amendment for sentenced prisoners are well established in the law. The person in between is the pretrial detainee. That person is protected from excessive force by the Due Process Clauses of the Fifth or Fourteenth Amendments because he may not be “punished” until he has been adjudged guilty No. 12-3639 29 through due process of law. Bell v. Wolfish, 441 U.S. 520, 535 & n. 16 (1979); Ingraham, 430 U.S. at 671 n. 40. We have recognized that pretrial detainees receive more protection than convicted prisoners. E.g., Lewis v. Downey, 581 F.3d 467, 474 (7th Cir. 2009). Just what the excessive force standard for a pretrial detainee looks like in detail is not as clear. The detainee may often be held in a jail with convicted offenders under conditions that seem indistinguishable from prison, yet he has not been convicted and is still entitled to a presumption of innocence. The Supreme Court has not settled the question of the standard for pretrial detainees. Graham explicitly left it open. 490 U.S. at 395 n.10. Our circuit’s case law points in the direction of a standard identical or close to the objective Fourth Amendment standard, but there are conflicting signals in our opinions that we should clarify here.1 1 There is a long-standing circuit split on the substantive standard for these excessive force claims by pretrial detainees. Compare, e.g., Gibson v. County of Washoe, 290 F.3d 1175, 1197 (9th Cir. 2002) (applying objective Fourth Amendment standard); and Pierce v. Multnomah County, 76 F.3d 1032, 1042–43 (9th Cir. 1996) (reversing defense verdict and ordering new trial with jury instructions using objective Fourth Amendment standard); with Bozeman v. Orum, 422 F.3d 1265, 1271 (11th Cir. 2005) (applying Eighth Amendment standard); and Fuentes v. Wagner, 206 F.3d 335, 346–48 (3d Cir. 2000) (applying Eighth Amendment standard to use of force to quell jail disturbance); see generally Karen M. Blum & John J. Ryan, Recent Develop- ments in the Use of Excessive Force by Law Enforcement, 24 Touro L. Rev. 569, 573 (2008) (standards “vary widely”); Baker, Wilson v. Spain: Will Pretrial Detainees Escape the Constitutional “Twilight Zone”?, 75 St. John’s L. Rev. 449 (2001). Because of the effect of qualified immunity in litigation of these (continued...) 30 No. 12-3639 My colleagues rely heavily on Wilson v. Williams, 83 F.3d 870 (7th Cir. 1996), where a pretrial detainee claimed that he had been punished by the use of excessive force, but its guidance does not support the majority here. In Wilson we approved the portion of a jury instruction that tracked the objective Fourth Amendment standard. Id. at 876 (“While this sentence, lifted verbatim from Graham…was intended to apply to excessive force claims raised explicitly under the Fourth Amendment, we do not consider it, nor the test which it espouses, inappropriate in the context here.”). In other respects, though, the instruction given in Wilson was a confusing amalgam of Fourth Amendment, Eighth Amendment, and punitive damages law, along with a defense of subjective good faith that we said was erroneous. See id. at 877. We also noted that convicted prisoners and pretrial detainees are often held together in the same facility, so it might be impractical to have different standards, at least in the context of a jail disturbance. Id. at 876. On this last point, though, recall the caution in Bell and Graham that the Eighth Amendment standard applies only after the state has complied with the constitutional protections needed to convict a person of crime. 441 U.S. at 535; 490 U.S. at 398–99. In light of Bell and Graham and their constitutional foundations, there is no apparent reason why a state’s unilateral decision to house pretrial detainees with convicted 1 (...continued) claims, I respectfully submit that our court and/or the Supreme Court needs to bring greater clarity to this question for the sake of both detainees and law enforcement and correctional personnel. No. 12-3639 31 prisoners—for financial or other institutional reasons— should have the effect of reducing the constitutional protections of pretrial detainees who are still presumed innocent. The clearest thing about Wilson is that it reversed the use of the confusing amalgam of an instruction. It does not support the recklessness instruction given here. More enlightening is Titran v. Ackman, 893 F.2d 145 (7th Cir. 1990), where a pretrial detainee brought a claim for excessive force. We applied the objective reasonableness standard identical to the Fourth Amendment: “It does not follow [from the transition from arrest to detention] that officers acquired greater ability to assault and batter Titran.” Id. at 147. We explicitly rejected one defendant’s effort to apply a subjective standard, and we noted: “Multiple standards of official conduct send confusing signals that undermine the force of the law….” Id. Our holding was clear: “If the officers intentionally restrained, jolted, and roughed up Titran without physical provocation from her, their behavior was unreasonable.” Id. at 148. That looks like an objective standard. My colleagues make much of a sentence in Titran between the two I have quoted: “Given Daniels v. Williams and Archie v. City of Racine, holding that the Due Process Clause does not proscribe negligence or even gross negligence, the search for ‘punishment’ cannot be wholly objective.” Id. at 147 (citations omitted). As explained below, however, the point of Williams and Archie is only that the officer’s conduct must be intentional. Negligent accidents do not violate the Constitution. Neither decision added a subjective element of wrongful purpose into the excessive force standard for a pretrial detainee, nor did 32 No. 12-3639 Titran do so. Nevertheless, I will cheerfully acknowledge that our few opinions on excessive force against pretrial detainees leave some room for debate. This case provides an opportunity to clarify the standard, but we are missing that opportunity. II. The Pattern Jury Instructions The Committee on Pattern Civil Jury Instructions of the Seventh Circuit took up this problem in 2009 and published with approval of the Circuit Council the pattern jury instructions that advise using the same objective reasonableness standards for excessive force claims by pretrial detainees as well as arrestees. The Circuit Council’s publication does not imply substantive approval for every line of the instructions, but the committee chaired by Judge Robert H. Miller, Jr., included talented judges and practitioners representing a range of perspectives, and the committee invited and received public comment on its draft instructions. The committee’s work deserves our respect and close attention. Pattern Instructions 7.08 and 7.09 were drafted for use in excessive force cases for both arrestees under the Fourth Amendment and pretrial detainees under the Fifth and Fourteenth Amendments. The full texts of the instructions and committee comments are attached as an appendix to this opinion. The elements instruction, 7.08, includes three elements: 1. Defendant used unreasonable force against Plaintiff; [2. Because of Defendant’s unreasonable force, Plaintiff was harmed;] No. 12-3639 33 [3. Defendant acted under color of law.] The second and third elements are in brackets because there will often be no dispute about them and because it is not clear whether “harm” is a distinct element, as the committee’s comment explains. Instruction 7.09 then explains what is meant by excessive or unreasonable force, and it does so in purely objective terms: You must decide whether Defendant’s use of force was unreasonable from the perspective of a reasonable officer facing the same circumstances that Defendant faced. You must make this decision based on what the officer knew at the time of the arrest, not based on what you know now. In deciding whether Defendant’s use of force was unreasonable, you must not consider whether Defendant’s intentions were good or bad. In performing his job, an officer can use force that is reasonably necessary under the circumstances. The committee chose not to identify specific factors, but offered a proposed list for judges who believe such a list might aid a jury: — the need for the use of force; — the relationship between the need for the use of force and the amount of force used; 34 No. 12-3639 — the extent of the plaintiff’s injury; — any efforts made by the defendant to temper or limit the amount of force; — the severity of the crime at issue; — the threat reasonably perceived by the officer(s); — whether the plaintiff was actively resisting arrest or was attempting to evade arrest by fleeing. These pattern instructions are more consistent with the applicable constitutional standard, see Graham, Titran, and Wilson, and much less confusing than the instruction used in this case. The problem is the concept of “recklessness” in the district court’s instruction. III. The Instruction Given in This Trial The jury instruction given in plaintiff Kingsley’s trial, quoted by the majority at pages 8–9, goes astray by introducing the concept of reckless conduct as an additional element the plaintiff must prove. The first line of the instruction given in this trial told the jury that excessive force is “force applied recklessly that is unreasonable in light of the facts and circumstances of the time.” In the Fourth Amendment context, excessive force is force that is unreasonable in light of the facts and circumstances the officer faced. Graham, 490 U.S. at 396–97; Fitzgerald v. Santoro, 707 F.3d 725, 733 (7th Cir. 2013); Phillips v. Community Ins. Corp., 678 F.3d 513, 519 (7th Cir. 2012). No. 12-3639 35 Assuming the pretrial detainee plaintiff can prove force “that is unreasonable in light of the facts and circumstances of the time,” which is the correct standard, the concept “recklessly” adds a vague and confusing extra hurdle for the plaintiff. Put another way, how and why would it be constitutional for an officer to use force against a pretrial detainee that was “unreasonable in light of the facts and circumstances of the time,” since this instruction invites that very possibility? How and why would objectively unreasonable force be deemed anything other than “punishment” that would be imposed on the detainee without due process of law? See Bell, 441 U.S. at 535 (“under the Due Process Clause, a detainee may not be punished prior to an adjudication of guilt in accordance with due process of law.”). The instruction here also introduced a second version of recklessness in the third element, saying the plaintiff must show: “Defendants knew that using force presented a risk of harm to plaintiff, but they recklessly disregarded plaintiff’s safety by failing to take reasonable measures to minimize the risk of harm to plaintiff.” I am not at all sure what that means, and I don’t know how a juror should have interpreted it. Must the plaintiff come forward with evidence of reasonable measures that would have minimized the risk of harm? Would simply refraining from the alleged use of force—in this case, using a taser on an allegedly compliant prisoner, or refraining from smashing his head into a concrete bed—have been sufficient? Or was something else required? (I realize that whether the plaintiff was actually compliant by that time and how force was used were hotly debated at trial, but jury instructions must 36 No. 12-3639 guide the jury on the law applicable to both sides’ versions of the facts.) Adding to the confusion, the same jury instruction then used a third version of recklessness, telling the jury: “in deciding whether one or more defendants used unreasonable force and acted with reckless disregard of plaintiff’s rights, you may consider such factors as….” A juror trying to follow the instructions carefully might ask at this point where the idea of reckless disregard of plaintiff’s rights came from and what it means. Something different from use of excessive force? Something different from the first two uses of recklessness? Does this instruction mean the defendant must have realized he was violating the detainee’s rights, or at least not cared whether he was doing so? Reckless disregard for the plaintiff’s rights will support a punitive damage award, so that admittedly subjective concept is used in punitive damage instructions. See Smith v. Wade, 461 U.S. 30, 56 (1983); Pattern Inst. No. 7.24. But reckless disregard of the plaintiff’s rights is simply not an element of the plaintiff’s core case for liability. It was an error to add it to the elements instruction. So the district court’s instruction was erroneous for two reasons. First, it introduced an extra element— recklessness—that is simply not required in a pretrial detainee’s claim for excessive force. Second, its treatment of that extra element in three different ways made this instruction a confusing amalgam that a jury could not reasonably be expected to follow. As we consider the district court’s instruction, we should also step back a moment from the details of the case law and No. 12-3639 37 ask whether and why a pretrial detainee’s claim for excessive force should differ at all from that of a person being arrested or stopped. The pretrial detainee is still cloaked in the presumption of innocence and may not be punished. Bell, 441 U.S. at 535; see also Graham, 490 U.S. at 398–99. Ordinarily, of course, a judge will have found probable cause to detain the person. If the detention is prolonged, a judge in the federal system ordinarily will have found either a risk of flight or a danger to the community. See 18 U.S.C. §3142(e). Even those federal detainees are still presumed innocent, though, and should not be subject to punishment before a conviction. And in many state justice systems, a pretrial detainee may remain in jail for weeks or even months simply because he cannot afford the premium for the presumptive bond set in his case. For those many thousands of people in the criminal justice system, we should recognize that the intentional use of objectively unreasonable force against them amounts to punishment without due process of law and violates the Constitution. They are not and should not be required to prove more in terms of reckless disregard for or intentional violation of their rights. The transition from arrest to pretrial detention does not give officers “greater ability to assault and batter” the detainees. Titran, 893 F.2d at 147. IV. The Role of Intentional or Reckless Conduct To support the subjective recklessness element in the district court’s instruction, my colleagues cite the case law holding that a plaintiff suing under 42 U.S.C. § 1983 for a constitutional violation must show intentional conduct. They then treat reckless conduct as a form of intentional conduct. 38 No. 12-3639 See above at 13, citing Daniels v. Williams, 474 U.S. 327, 334 (1986), and Archie v. City of Racine, 847 F.2d 1211, 1219 (7th Cir. 1988) (en banc). That reasoning mistakenly combines two separate issues. The same confusion appeared in Shelby County Jail Inmates v. Westlake, 798 F.2d 1085, 1094 (7th Cir. 1986), and was repeated in Anderson v. Gutschenritter, 836 F.2d 346, 349 (7th Cir. 1988), both also cited by the majority. The Pattern Instruction Committee carefully and correctly kept the two issues separate. In Daniels the Supreme Court resolved a circuit split on whether negligent conduct can violate the individual rights guaranteed by the Constitution. The Court’s answer was no. In Daniels a jail inmate claimed he had been deprived of liberty when he was injured by slipping on a pillow that an employee had negligently left on a staircase. The Court left such claims from accidental conduct to state tort law. 474 U.S. at 332. At the same time, the Court carefully drew the distinction that my colleagues overlook. In response to an argument that prison officials’ negligent failure to comply with procedural requirements in depriving a prisoner of good-time credit should be actionable, the Court explained: “We think the relevant action of the prison officials in that situation is their deliberate decision to deprive the inmate of good-time credit, not their hypothetically negligent failure to accord him the procedural protections of the Due Process Clause.” Id. at 333–34. Applying the same distinction here, the focus should be on a deliberate decision to use force, not a negligent or reckless or intentional failure to comply with the constitutional standard for using force. No. 12-3639 39 In the context of an excessive force claim, Daniels means that if, during the removal of Kingsley from his cell, the application of force was not intentional—the taser went off by accident, for example, or a guard slipped, fell, and knocked the handcuffed inmate down so that his head hit the floor—then there would have been no constitutional violation. Reckless conduct is generally recognized as equivalent to intentional conduct for these purposes, when it is equivalent to criminal recklessness, meaning that the actor is subjectively aware of the high risk of harm and then disregards it. See Farmer v. Brennan, 511 U.S. 825, 837 (1994); Slade v. Board of School Directors of City of Milwaukee, 702 F.3d 1027, 1029 (7th Cir. 2012); see also Archie, 847 F.2d at 1219. In an appropriate case, therefore, it could be appropriate to instruct a jury that if the defendant’s use of force was reckless (perhaps, for example, running through a crowd with a finger on the trigger of an unaimed gun), that would be sufficient to show intentional use of force. That would be an appropriate role for the concept of recklessness in an excessive force case. But there is no need for such an instruction unless the defense contends the use of force was unintended. The defense did not argue that here, so there was no need for a subjective element in the instruction.2 2 Section 1983 and Bivens excessive force cases in which defendants contend the application of force was accidental appear to be relatively unusual, but they do arise. The Pattern Instruction Committee allowed for them. Its comment on Instruction 7.08 advises judges in such cases to break the first element of unreasonable force into two parts: intentional use of force and unreasonable use of force. 40 No. 12-3639 My colleagues’ reliance on the need for intentional conduct to justify the subjective recklessness elements of the instruction given here also proves too much. As explained above, intentional conduct is needed to show any constitutional violation, including the Fourth Amendment, where the standard for excessive force is objective. See County of Sacramento v. Lewis, 523 U.S. 833, 849 (1998) (“liability for negligently inflicted harm is categorically beneath the threshold of constitutional due process”), citing Daniels, 474 U.S. at 328; Brower v. County of Inyo, 489 U.S. 593, 596–97 (1989) (“seizure” requires “intentional acquisition of physical control” through “means intentionally applied”). That is why an accidental police shooting is not actionable under the Fourth Amendment, see Watson v. Bryant, 532 Fed. Appx. 453, 457 (5th Cir. 2013); Pleasant v. Zamieski, 895 F.2d 272, 276–77 (6th Cir. 1990); Dodd v. City of Norwich, 827 F.2d 1, 7–8 (2d Cir. 1987) (on reargument), but an intentional shot that accidentally hits the wrong person is a seizure of that person that may be actionable under the Fourth Amendment, Fisher v. City of Memphis, 234 F.3d 312, 317–18 (6th Cir. 2000). The court in Fisher explained precisely the difference that my colleagues’ reasoning overlooks. After recognizing that a Fourth Amendment violation requires intent, not negligence, the Sixth Circuit explained: “However, the intent in question is the intent to commit the act, not the intent that a certain result be achieved. Therefore, Officer Taylor’s act of firing the gun was intentional, even if the result was not one he sought to achieve. Instructing the jury that more than negligence was required would likely confuse the jury as to the intent question.” Id. at 317. Again, because the defendants at this trial No. 12-3639 41 did not claim the use of force was accidental, there was no reason to introduce the concept of recklessness into the excessive force instruction. Before closing, I should add that I have considerable sympathy for both this district judge and any other judge trying to distill our case law into a coherent elements instruction for a pretrial detainee’s excessive force claim. Some of the cases cited by the majority—especially Wilson—reflect similar confusion. But that is why the work of the Pattern Instruction Committee was so valuable. We should endorse their work, not reject it. Finally, I agree with the majority that plaintiff Kingsley waived in the district court his challenge to the “harm” element of the court’s instruction on excessive force. As for the merits of that challenge, which the majority also addresses, I see no prejudicial error by including harm as an element. The Pattern Instruction Committee also confronted this issue as part of its Instruction 7.08 and could not come to a definitive conclusion. The committee’s comment gives good advice and leaves the choice to the sound judgment of the district court. In most excessive force cases, harm is likely to be so obvious that it does not require treatment as a separate element. (It will ordinarily be relevant in deciding whether the force applied was excessive or in deciding on an amount of damages.) If the defense argues that the force used was too minimal to violate the plaintiff’s rights, the plaintiff should not be prejudiced if the district judge includes harm as an element but also instructs the jury, as the court did here, that pain can be harm for purposes of proving that element. 42 No. 12-3639 For these reasons, I would reverse the judgment of the district court and remand for a new trial with jury instructions that track Seventh Circuit Pattern Jury Instructions 7.08 and 7.09. No. 12-3639 43 APPENDIX 7.08 FOURT H AMENDMENT/FOURTEENTH AMENDMENT: EXCESSIVE FORCE AGAINST ARRESTEE OR PRETRIAL DETAINEE — ELEMENTS In this case, Plaintiff claims that Defendant used excessive force against him. To succeed on this claim, Plaintiff must prove each of the following things by a preponderance of the evidence: 1. Defendant used unreasonable force against Plaintiff; [2. Because of Defendant’s unreasonable force, Plaintiff was harmed;] [3. Defendant acted under color of law.] If you find that Plaintiff has proved each of these things by a preponderance of the evidence, then you should find for Plaintiff, and go on to consider the question of damages. If, on the other hand, you find that Plaintiff did not prove any one of these things by a preponderance of the evidence, then you should find for Defendant, and you will not consider the question of damages. Committee Comments a. Unreasonable Force: For authority regarding the “unreasonable force” element of the claim, see Graham v. Connor, 490 U.S. 386 (1989); Tennessee v. Garner, 471 U.S. 1 (1985); Deering v. Reich, 183 F.3d 645 (7th Cir. 1999). Although Graham and Garner are Fourth Amendment cases involving arrestees, Wilson v. Williams, 83 F.3d 870, 876 (7th Cir. 1996), states that the same standard applies to pretrial detainees. A 44 No. 12-3639 separate instruction applies to cases involving convicted prisoners. If the defendant contends that the application of force was accidental, the court may wish to break the first element into two: 1. Defendant intentionally used force against Plaintiff; 2. The force Defendant used was unreasonable; b. Harm to Plaintiff: Although some other circuits include an element of “damage” in their pattern instruction, see, e.g., EIGHTH CIRCUIT MANUAL OF MODEL CIVIL JURY INSTRUCTIONS § 4.30 (1999), the Committee believes that there is significant doubt as to whether damage, or “harm” as that term is commonly understood, is actually required for a finding of liability under §1983. Though “harm” in the commonly- understood sense is likely to exist in most excessive force cases, some cases will arise in which it does not, e.g., a situation in which an officer strikes the plaintiff with his hand but leaves no mark and causes no lingering injury or pain. In such cases, the court will need to determine whether the jury should be instructed on this point. In Gumz v. Morrissette, 772 F.2d 1395, 1400 (7th Cir. 1985), the court held that an officer’s use of force was unconstitutional if it (1) caused severe injuries; (2) was grossly disproportionate to the need for action under the circumstances; and (3) was inspired by malice or shocked the conscience. Gumz, however, was overruled by Lester v. City of Chicago, 830 F.2d 706 (7th Cir. 1987), which used the same “totality of the circumstances test” that was later adopted by No. 12-3639 45 the Supreme Court in Graham v. Connor, 490 U.S. 386 (1989). In Lanigan v. Village of East Hazel Crest, Illinois, 110 F.3d 467 (7th Cir. 1997), the court upheld a claim based on force consisting of “one violent push and poke,” noting that the plaintiff “need not have been injured to have an excessive force claim.” Id. at 470 n.3. In McNair v. Coffey, 279 F.3d 463 (7th Cir. 2002), the court addressed a claim arising from an incident in which no physical force was used, but officers pointed their weapons at the plaintiffs. Though it determined that the officers were entitled to qualified immunity, and indicated that the Fourth Amendment appeared to require some use of force, id. at 467, the majority ended its opinion with the statement “we do not foreclose the possibility that the circumstances of an arrest could become ‘unreasonable’ without the application of physical force.” Id. at 468. See also Herzog v. Village of Winnetka, Ill., 309 F.3d 1041, 1043 (7th Cir. 2002) (refusal to loosen chafing handcuffs or shoving an arrestee would constitute actionable excessive force). Even if, as McNair indicates, an application of force is required in order to implicate the Fourth Amendment, it is not at all clear that the plaintiff must suffer “harm” in order to obtain a finding of liability; the availability of nominal damages in excessive force cases suggests that “harm” is not a requirement. See, e.g., Briggs v. Marshall, 93 F.3d 355, 360 (7th Cir. 1996) (indicating that nominal damages may be awarded in a Fourth Amendment excessive force case where no injury resulted from the use of excessive force, where the evidence of actual injury is not credible, or where the injury has no monetary value). Because the issue of whether a plaintiff must prove “harm” is not definitively resolved, the Committee 46 No. 12-3639 placed the second element in brackets, indicating that a court should give this part of the instruction to the jury at its discretion. c. Third element: The third element should be eliminated if the “color of law” issue is not in dispute. d. Single Element Instruction: If the second and third elements are eliminated, only one element will remain, and the instruction’s second sentence should read as follows: “To succeed on this claim, Plaintiff must prove by a preponderance of the evidence that Defendant used unreasonable force against him.” 7.09 FOURTH AMENDMENT/FOURTEENTH AMENDMENT: EXCESSIVE FORCE — DEFINITION OF “UNREASONABLE” You must decide whether Defendant’s use of force was unreasonable from the perspective of a reasonable officer facing the same circumstances that Defendant faced. You must make this decision based on what the officer knew at the time of the arrest, not based on what you know now. In deciding whether Defendant’s use of force was unreasonable, you must not consider whether Defendant’s intentions were good or bad. In performing his job, an officer can use force that is reasonably necessary under the circumstances. [An officer may use deadly force when a reasonable officer, under the same circumstances, would believe that the suspect’s actions placed him or others in the immediate vicinity in imminent danger of death or serious bodily harm. [It is not No. 12-3639 47 necessary that this danger actually existed.] [An officer is not required to use all practical alternatives to avoid a situation where deadly force is justified.]] Committee Comments a. Authority: Graham v. Connor, 490 U.S. 386, 396 (1989); Tennessee v. Garner, 471 U.S. 1, 8-9 (1985); Deering v. Reich, 183 F.3d 645 (7th Cir. 1999). b. Factors: Case law establishes a number of factors that may be relevant to the jury’s determination of whether a particular use of force was unreasonable. The Committee did not list these factors in the instruction because the jury is to consider all circumstances, and the listing of some might suggest that others are irrelevant. However, a court may wish to consider giving a list of factors for the jury’s consideration, and if it elects to do so the following is proposed: — the need for the use of force; — the relationship between the need for the use of force and the amount of force used; — the extent of the plaintiff’s injury; — any efforts made by the defendant to temper or limit the amount of force; — the severity of the crime at issue; — the threat reasonably perceived by the officer(s); — whether the plaintiff was actively resisting arrest or was attempting to evade arrest by fleeing. 48 No. 12-3639 See Graham v. Connor, 490 U.S. at 396 (fifth, sixth, and seventh factors). In Wilson v. Williams, 83 F.3d 870 (7th Cir. 1996), a Fourteenth Amendment excessive force case involving a pretrial detainee, the Seventh Circuit listed factors one, two, three, four, and six from the above list, and stated that they are “generally relied on in the Fourth Amendment excessive force context.” Id. at 876. For this proposition, however, the court cited Hudson v. McMillian, 503 U.S. 1, 7 (1992), which was an Eighth Amendment case, not a Fourth Amendment case. See generally Eighth Circuit Manual of Model Jury Instructions (Civil) 4.10 (1999) (using factors one, two, and three). c. Deadly Force: The final (bracketed) paragraph applies only in cases involving an officer’s use of deadly force. Tennessee v. Garner, 471 U.S. 1, 11-12 (1985); Sherrod v. Berry, 856 F.2d 802, 805 (7th Cir. 1988). With regard to the final (bracketed) sentence of this paragraph, see Deering v. Reich, 183 F.3d 645, 652-653 (7th Cir. 1999); Plakas v. Drinski, 19 F.3d 1143, 1148 (7th Cir. 1994). The fact that a particularized instruction is proposed for deadly force cases does not preclude the consideration or giving of a particularized instruction in other types of cases, for example, those involving a fleeing felon or an officer’s claim of self-defense.