Filed 4/28/15 Harrington-Wisely v. California CA2/7
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IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA
SECOND APPELLATE DISTRICT
DIVISION SEVEN
GAIL MARIE HARRINGTON-WISELY B248565
et al.,
(Los Angeles County
Plaintiffs and Appellants, Super. Ct. No. BC227373)
v.
THE STATE OF CALIFORNIA et al.,
Defendant and Respondent.
APPEAL from a judgment of the Superior Court of Los Angeles County,
Victoria G. Chaney, Judge. Affirmed in part and reversed in part.
Kaye, McLane, Bednarski & Litt and Barrett S. Litt for Plaintiffs and Appellants.
Kamala D. Harris, Attorney General, Jonathan L. Wolff, Senior Assistant Attorney
General, Thomas S. Patterson and Jose A. Zelidon-Zepeda, Deputy Attorneys General,
for Defendants and Respondents.
___________________________
Gail Marie Harrington-Wisely and several additional plaintiffs (collectively
Wisely) sued the State of California, the California Department of Corrections (now the
California Department of Corrections and Rehabilitation) (CDC), the California State
Prison at Lancaster and five senior prison officials (collectively government defendants)
in a class action complaint alleging violations of state and federal constitutional rights
and several common law tort claims relating to the use of a backscatter X-ray machine,
the Secure 1000, to scan visitors at 11 California prisons as a means of detecting
concealed weapons and other contraband. After the trial court granted summary
adjudication on 10 causes of action for damages in favor of the government defendants,
the parties entered into a settlement and stipulated judgment, thereby avoiding trial on
Wisely’s claims for equitable relief. On May 24, 2013 all remaining claims, including
open issues reserved in the earlier stipulated judgment, were dismissed pursuant to a
further stipulation; and a final judgment was entered. Wisely now appeals several aspects
of the trial court’s rulings on the damage claims. We reverse in part as to the State and
other public entity defendants, affirm as to the individual defendants and remand for
further proceedings.
FACTUAL AND PROCEDURAL BACKGROUND
1. California State Prisons’ X-ray and Search of Visitors
From 1999 through March 2001 eleven institutions operated by the CDC required
all visitors to pass through the Secure 1000 to detect weapons and other contraband, such
as money and narcotics. The Secure 1000 discharged low-level backscatter X-rays that
penetrated a few centimeters into a person’s skin, producing a spectral-like computer
image of the body, including an outline of breasts, genitalia and folds of skin. If an
image showed a gray or darkened area that could not be conclusively identified, visitors
were required to undergo an unclothed visual inspection and possibly a visual body
cavity search (called a “proximate search”). Darkened areas were found to include
feminine hygiene products, breast implants, brassiere underwire and diapers. Visitors
who did not agree to be screened with the Secure 1000 were denied access to the prison
for that day and told they may be subject to unclothed visual inspections on future visits.
2
2. The Initial Complaint; Suspension of Use of the Secure 1000
On March 30, 2000 Wisely filed a class action complaint alleging violations of
state and federal constitutional rights to privacy and several tort claims relating to the use
of the Secure 1000. On March 23, 2001, after Wisely had moved for a preliminary
injunction, the CDC directed the institutions to discontinue use of the Secure 1000 until
further notice. The CDC agreed it would provide 90 days’ notice before resuming use of
the Secure 1000 to give Wisely time to renew her motion for a preliminary injunction.
3. The Fifth and Sixth Amended Complaints and Motions to Strike
On June 6, 2003 Wisely filed a fifth amended complaint, which included claims
under title 42 United States Code section 1983 for violation of visitors’ federal
constitutional rights; a claim for violation of the right to privacy recognized by the
California Constitution article I, section 1; a claim for interference by threats,
intimidation or coercion with the exercise or enjoyment of constitutional or statutory
rights under Civil Code section 52.1, including treble damages made available pursuant
to Civil Code section 52; claims for violation of mandatory duties under Government
1
Code section 815.6; and claims for negligence and negligent supervision. The complaint
sought both damages and equitable relief. Wisely alleged, among other things, the State
violated prison visitors’ constitutional rights by X-raying them as a condition of entry
into the prison without reasonable suspicion the visitors were carrying contraband or
2
posed a threat to prison security.
1 The amended complaint also asserted claims against the manufacturers of the
Secure 1000, which were ultimately resolved in their favor on summary judgment.
Wisely does not challenge the dismissal of those claims (the eleventh through fourteenth
causes of action in the eighth amended complaint).
2 On October 15, 2004 the trial court certified a class comprised of visitors scanned
with the Secure 1000 from approximately March 19, 1999 through March 23, 2001 as a
condition of a prison visit. Although Wisely had moved to certify a class based on
visitors scanned with the Secure 1000 and a subclass of visitors subsequently required to
undergo strip/body cavity searches, the class was instead divided into subclasses based on
the prison visited “because policies vary from prison to prison” and the court was “not
satisfied common issues predominate[d] across the entire prison system.”
3
On October 24, 2003 the trial court granted the government defendants’ motion to
strike references to damages under Civil Code section 52, subdivision (a), holding a state
prison is not a business establishment, a prerequisite to recovering damages under the
statutory scheme.
On November 18, 2003 Wisely filed a further amended complaint, removing
reference to treble damages under Civil Code section 52, subdivision (a), but seeking
civil penalties and exemplary damages under Civil Code section 52, subdivision (b). On
February 4, 2004 the court granted the government defendants’ motion to strike all claims
for damages (including civil penalties characterized as damages) under Civil Code
section 52, subdivision (b).
4. The Motions for Summary Adjudication; the Motions for Reconsideration
Following additional motion and pleading practice by the parties, on July 1, 2005
the court granted the government defendants’ motions for summary adjudication of the
3
first 10 causes of action seeking damages in the operative eighth amended complaint.
Wisely does not challenge the trial court’s rulings foreclosing claims for violation of
federal constitutional rights (the first, second and third causes of action), violation of
mandatory duties based on provisions of the California Code of Regulations (the seventh
cause of action) or intentional infliction of emotional distress (the eighth cause of action).
As to the remaining five causes of action at issue in this appeal, the court found violence
or intimidation by threat of violence was required to establish a violation of Civil Code
section 52.1 (the fifth cause of action), and it was undisputed no violence or threat of
violence was used to compel visitors to be scanned with the Secure 1000. With respect to
violation of Government Code section 815.6 (the seventh cause of action), the court
found none of the predicate statutory or constitutional violations (for example, violation
of the right to privacy or Civil Code section 52.3) created mandatory duties. As to the
remaining causes of action for violation of the right to privacy under the California
3 The eighth amended complaint, filed in January 2005, added plaintiff and subclass
allegations after the trial court had granted Wisely’s motion for class certification.
4
Constitution (fourth cause of action), negligence (ninth cause of action) and negligent
supervision and retention (tenth cause of action), the court found the government
defendants were immune from liability under Government Code section 820.2 because
Wisely’s damages claims were all based on acts requiring the exercise of discretion. The
court denied summary adjudication of the final cause of action asserted against the
government defendants (the fifteenth cause of action), styled as a taxpayer’s suit seeking
declaratory and injunctive relief.
On July 7, 2005 Wisely moved for clarification or reconsideration contending, in
part, the court had failed to consider whether the State was vicariously liable for the
ministerial conduct of line staff who had conducted the scans—conduct not protected by
discretionary immunity. In opposition the government defendants argued liability based
on respondeat superior was not available to Wisely because she had sued only policy
makers and had pleaded facts regarding policies, not the ministerial conduct of line
officers actually conducting the scans. Wisely replied she was not required to identify or
name low-level employees to maintain an action against the State based on a respondeat
superior theory and the government defendants’ argument they did not know Wisely had
intended to assert such a theory was disingenuous. The court denied Wisely’s motion for
reconsideration.
Although it denied Wisely’s motion, the court sua sponte ordered reconsideration
of issues related to the cause of action for negligent supervision and training and the
request for injunctive relief. Regarding negligent supervision, the court had found there
was no factual allegation or evidence any individually named defendant had personally
trained or hired anyone or had personally used the Secure 1000 to scan a visitor. The
court sought additional briefing whether Wisely contended (and had properly alleged) the
named defendants had personally trained or hired anyone; if Wisely had not alleged it,
should the government defendants’ motion be treated as one seeking judgment on the
pleadings and granted with leave to amend; or if the amended complaint adequately
stated the cause of action and defendants had failed to carry their burden on summary
judgment, were the defendants nevertheless immune from liability.
5
At a hearing on August 19, 2005 the trial court asked Wisely’s attorney, Barrett
Litt, to identify allegations in the eighth amended complaint indicating the State or CDC
was liable for the misconduct of line staff—that is, the people actually doing the scanning
4
and intake. Litt contended the complaint alleged fictitiously named defendants one
through 20 were California public entities responsible for the unlawful policies and
practices alleged in the complaint and argued, in any event, the State is generally liable
for the acts of its agents under the Government Claims Act (Gov. Code, § 810 et seq.)
and there is no requirement a respondeat superior theory be specifically alleged or
individual line staff be named as defendants. Litt further argued, although the invasion of
privacy claim had been the focus of Wisely’s damages claim, “throughout the case
we’ve raised several issues: They proximately searched people when they shouldn’t,
they had the monitor in view where it shouldn’t be, they had cross-gender scanning when
they shouldn’t.” “[O]ur backup position has been that basically the way they did this was
wrong. So even if we lost on the constitutionality of this scanning . . . then we still have
the issue of the fact that they did it wrong in various ways.” The court acknowledged
“there’s been two levels of issues that have been discussed frequently in our status
conferences, and the focus of discovery has been—and for you the higher issue, the more
important issue, the constitutionality, and then there has been a less important issue but
there nonetheless, and I know discovery has been done on that, which is your claim that
the scans were done somehow improperly . . . . But that’s true, I’ve been hearing about
that for a goodly long time.”
In a September 22, 2005 ruling the court reaffirmed its order granting summary
adjudication “with the clarification that plaintiffs’ class claims for injunctive and
declaratory relief survive.”
4 Although the court was primarily focused on whether the complaint sufficiently
alleged a respondeat superior theory for the negligent supervision claim, its questions
during the hearing occasionally encompassed the broader question whether the amended
complaint alleged any misconduct by the line staff conducting the scans. Because Wisely
argues on appeal the State is liable on a respondeat superior theory for all of the state law
claims, we focus on the broader discussion of the allegations in the amended complaint.
6
5. The Settlement and Request for an Order Entering Judgment
On March 7, 2006, on the eve of trial on Wisely’s claims for injunctive relief, the
parties reached a settlement and filed a stipulation and request for an order entering final
judgment, which was intended to permit an immediate appeal by Wisely from the rulings
granting summary adjudication as to her damage claims. The stipulated judgment barred
further use of the Secure 1000 and created a protocol to govern further employment of
screening devices in California prisons, while also preserving the trial court’s jurisdiction
to resolve issues concerning use of backscatter or similar technology if the CDC decided
5
to reinstitute that manner of scanning at any time during the following seven years. The
trial court signed the stipulation and order; and Wisely appealed from the judgment,
challenging several aspects of the damages rulings.
We dismissed the appeal, holding the judgment was in effect a nonappealable
interlocutory decision because it left open for determination by the trial court several
constitutional and statutory issues related to Wisely’s claim for injunctive relief if the
CDC decided to use backscatter technology. (Harrington-Wisely v. State of California
(2007) 156 Cal.App.4th 1488, 1495-1496.) On May 24, 2013, more than seven years
after the 2006 stipulation and request for an order entering final judgment, all remaining
claims and open issues were dismissed; and a final, appealable judgment was entered.
5 Following entry of the stipulated judgment requested by the parties, described as a
“form of consent decree,” Wisely moved for an award of attorney fees and costs as the
prevailing party. The trial court denied the motion, concluding Wisely’s complaint had
not been the catalyst for the decision to suspend use of the backscatter X-ray. Wisely
subsequently renewed her motion based on intervening legal authority. The renewed
motion was also denied. Because we reverse the underlying judgment and remand for
further proceedings on several of Wisely’s damages claims, we necessarily reverse the
order denying her motion for attorney fees, as well. (See Lafferty v. Wells Fargo Bank
(2013) 213 Cal.App.4th 545, 572; Gilman v. Dalby (2009) 176 Cal.App.4th 606, 620.) In
doing so, we express no view on the merits of Wisely’s specific arguments. Wisely’s
requests for judicial notice of documents relating to her argument she is entitled to
attorney fees are denied.
7
CONTENTIONS
Wisely contends the trial court improperly granted summary adjudication as to her
claim under Civil Code section 52.1 because that section does not require proof of
violence or a threat of violence, as the court ruled; there were triable issues of fact that
precluded summary adjudication on her cause of action under Government Code
section 815.6 for violation of mandatory duties created by the privacy provision of the
California Constitution (but not the separate cause of action for violation of mandatory
duties purportedly created by provisions of the California Code of Regulations); and the
government defendants failed to meet their burden of demonstrating entitlement to
summary adjudication on the causes of action for violation of the state constitutional right
to privacy, negligence and negligent supervision under a theory of vicarious liability
(Gov. Code, § 815.2) based on nondiscretionary activities of CDC line employees.
DISCUSSION
1. Standard of Review
A motion for summary judgment is properly granted only when “all the papers
submitted show that there is no triable issue as to any material fact and that the moving
party is entitled to a judgment as a matter of law.” (Code Civ. Proc., § 437c, subd. (c).)
We review a grant of summary judgment de novo and decide independently whether the
facts not subject to triable dispute warrant judgment for the moving party as a matter of
law. (Schachter v. Citigroup, Inc. (2009) 47 Cal.4th 610, 618; Intel Corp. v. Hamidi
(2003) 30 Cal.4th 1342, 1348.) The evidence must be viewed in the light most favorable
to the nonmoving party. (Ennabe v. Manosa (2014) 58 Cal.4th 697, 703; Schachter, at
p. 618.)
When a defendant moves for summary judgment in a situation in which the
plaintiff would have the burden of proof at trial by a preponderance of the evidence, the
defendant may, but need not, present evidence that conclusively negates an element of
the plaintiff’s cause of action. Alternatively, the defendant may present evidence to
“‘show[] that one or more elements of the cause of action . . . cannot be established’ by
the plaintiff.” (Aguilar v. Atlantic Richfield, Co. (2001) 25 Cal.4th 826, 853; see Code
8
Civ. Proc., § 437c, subd. (p)(2).) “‘“‘. . . The moving party bears the burden of showing
the court that the plaintiff “has not established, and cannot reasonably expect to
establish,”’ the elements of his or her cause of action.”’” (Ennabe v. Manosa, supra,
58 Cal.4th at p. 705; accord, Wilson v. 21st Century Ins. Co. (2007) 42 Cal.4th 713, 720
[same].) Once the defendant’s initial burden has been met, the burden shifts to the
plaintiff to demonstrate, by reference to specific facts, not just allegations in the
pleadings, there is a triable issue of material fact as to the cause of action. (Code Civ.
Proc., § 437c, subd. (p)(2); Aguilar, at p. 850.)
A defendant may also move for summary judgment on the ground there is an
affirmative defense to the action. (Code Civ. Proc., § 437c, subds. (o)(2), (p)(2).) Once
the defendant meets the burden of establishing all the elements of the affirmative defense,
the burden shifts to the plaintiff to show there is one or more triable issues of material
fact regarding the defense. (Jessen v. Mentor Corp. (2008) 158 Cal.App.4th 1480, 1484-
1485; Mirzada v. Department of Transportation (2003) 111 Cal.App.4th 802, 806-807;
see Huynh v. Ingersoll-Rand (1993) 16 Cal.App.4th 825, 830.)
2. Summary Adjudication Was Properly Granted on Wisely’s Cause of Action for
Violation of Civil Code Section 52.1 Because There Was No Actionable
Coercion
Civil Code section 52.1, also known as the Tom Bane Civil Rights Act (Bane
Act), provides a state law remedy for constitutional or statutory violations accomplished
through the use of threats, intimidation or coercion. Subdivision (a) of section 52.1
authorizes the Attorney General or any district attorney or city attorney to bring a civil
action for injunctive and other appropriate equitable relief “in order to protect the
peaceable exercise or enjoyment of the right or rights secured.” Subdivision (b) creates a
private right of action for individuals whose rights have “been interfered with, or
attempted to be interfered with, as described in subdivision (a).” (Civ. Code, § 52.1,
subd. (b).) “The essence of a [Civil Code section 52.1] claim is that the defendant, by the
specified improper means (i.e., ‘threats, intimidation, or coercion’), tried to or did prevent
the plaintiff from doing something he or she had the right to do under the law or to force
9
the plaintiff to do something that he or she was not required to do under the law.”
(Austin B. v. Escondido Union School Dist. (2007) 149 Cal.App.4th 860, 883; see Jones
v. Kmart Corp. (1998) 17 Cal.4th 329, 334.)
The trial court granted summary adjudication for the government defendants on
Wisely’s Bane Act claim, finding the undisputed evidence established that no violence or
threat of violence had been used to compel visitors to be scanned with the Secure 1000
and ruling that a violation could not be proved by evidence of coercion. Wisely contends
that the trial court erred and that a violation of the Bane Act may also be predicated on
coercion, “defined as ‘to restrain or constrain by legal authority,’ or ‘to compel to do
something by the use of power.’ Webster’s New World Dictionary, Third College
Edition, New York (1988).” Wisely asserts the requirement visitors submit to scanning
by the Secure 1000 as a condition of visitation was “clearly a form of coercion” within
the ambit of the Bane Act.
We agree the trial court erred in interpreting the Bane Act to require proof of
violence or a threat of violence. Nonetheless, its order granting summary adjudication
must be affirmed because Wisely failed to present any evidence in opposition to the
motion demonstrating her claim was predicated on actionable coercion under the statute.
In concluding the Bane Act requires proof of violence or a threat of violence, the
trial court relied on Cabesuela v. Browning-Ferris Industries of California, Inc. (1998)
68 Cal.App.4th 101, holding the statute must be read in conjunction with Civil Code
section 51.7, the Ralph Civil Rights Act, providing a right to be free from violence or
threat of violence committed because of discriminatory classifications—commonly
referred to as hate crimes. (See Cabesuela, at p. 111 [“[I]t is clear that to state a cause of
action under section 52.1 there must first be violence or intimidation by threat of
violence. . . . [T]he violence or threatened violence must be due to plaintiff’s
membership in one of the specified classifications set forth in Civil Code section 51.7 or
a group similarly protected by constitution or statute from hate crime.”]; Boccato v. City
of Hermosa Beach (1994) 29 Cal.App.4th 1797, 1809.) However, more than a year prior
to the trial court’s ruling, the Supreme Court in Venegas v. County of Los Angeles (2004)
10
32 Cal.4th 820 had held, although the Bane Act “was adopted ‘to stem a tide of hate
crimes,’” the statute is not “limited to such crimes” and does not require plaintiffs to
demonstrate defendants “had a discriminatory purpose . . . that is, that they committed an
actual hate crime.” (Venegas, at p. 843; see Shoyoye v. County of Los Angeles (2012)
203 Cal.App.4th 947, 956 (Shoyoye) [“[n]otably, the statute does not require a plaintiff to
allege the defendant acted with discriminatory animus or intent based upon the plaintiff’s
membership in a protected class of persons”]; see also Quezada v. City of Los Angeles
(2014) 222 Cal.App.4th 993, 1007.) The Court explained the Legislature in 2000
amended Civil Code section 52.1, subdivision (g), which had already provided the statute
is independent of any other remedy or procedure, to make it clear the Bocatto court, upon
which the Cabesuela court had relied, misconstrued Civil Code section 52.1 when it held
the statute must be read in conjunction with Civil Code section 57.1. (Venegas, at p. 842;
see generally Civ. Code, § 52.1, subd. (g) [“[a]n action brought pursuant to this section is
independent of any other action, remedy, or procedure that may be available to an
aggrieved individual under any other provision of law, including, but not limited to, an
action, remedy, or procedure brought pursuant to Section 51.7”].)
The Venegas Court did not need to address the contours of the “coercion” element
of the Bane Act, the question now before us. (See Venegas, supra, 32 Cal.4th at p. 843
[“we need not decide here whether section 52.1 affords protections to every tort claimant,
for plaintiffs in this case have alleged unconstitutional search and seizure violations
extending far beyond ordinary tort claims”].) In Shoyoye, supra, 203 Cal.App.4th 947
our colleagues in Division Four of this court confronted one aspect of that issue in a case
involving the detention of a county jail inmate because of a clerical error more than two
weeks after he should have been released. The court framed the issue as involving two
related questions: First, whether the statute proscribes only intentional interference with
a protected right or also incidental interference brought about by negligent conduct; and
second, when coercion is inherent in the constitutional violation alleged, as it is in an
unreasonably prolonged detention, “is the statutory requirement satisfied or does the
11
statute require a showing of coercion independent from the coercion inherent in the
wrongful detention itself?” (Id. at p. 958.)
Regarding the “type of interference,” the Shoyoye court held “[t]he statutory
framework of [Civil Code] section 52.1 indicates that the Legislature meant the statute to
address interference with constitutional rights involving more egregious conduct than
mere negligence.” (Shoyoye, supra, 203 Cal.App.4th at p. 958; see ibid. [“apparent
purpose of the statute is not to provide relief for an overdetention brought about by
human error rather than intentional conduct”].) “The act of interference with a
constitutional right must itself be deliberate or spiteful.” (Id. at p. 959.) As for the
second question the court held, when “coercion is inherent in the constitutional violation
alleged, i.e., an overdetention in County jail, the statutory requirement of ‘threats,
intimidation, or coercion’ is not met. The statute requires a showing of coercion
6
independent from the coercion inherent in the wrongful detention itself.” (Ibid.)
Earlier this year our colleagues in the Third District examined, and reaffirmed, the
Shoyoye court’s analysis in Allen v. City of Sacramento (2015) 234 Cal.App.4th 41, a
case involving a challenge to an ordinance prohibiting camping on public or private
6 The Shoyoye court was guided in part by a federal district court case, Gant v.
County of Los Angeles (C.D. Cal. 2011) 765 F.Supp.2d 1238,1253, affd. in part and revd.
in part in (9th Cir. 2014) 2014 U.S.App. Lexis 22192 and (9th Cir. 2014) 772 F.3d 608,
that in turn had relied on Massachusetts authority because the Bane Act “was modeled
closely on the Massachusetts Civil Rights Act of 1979.” (Shoyoye, supra,
203 Cal.App.4th at p. 960.) Massachusetts authority provides a far more appropriate
definition of “coercion” than the dictionary definition quoted by Wisely. In Buster v.
George W. Moore, Inc. (2003) 438 Mass. 635 [783 N.E.2d 399], the Supreme Judicial
Court of Massachusetts explained coercion could be physical, moral or even economic:
“[A]ctionable coercion is ‘the application to another of such force, either physical or
moral, as to constrain him to do against his will something he would not otherwise have
done’ (emphasis added). [Citation.] It is ‘the active domination of another’s will’
[Citation.] Thus, we have recognized that coercion may take various forms, and we have
not limited its scope to actual or attempted physical force. [Citations.] For example, we
have suggested that coercion may be found where one party deprives another of rights
due under a contract, [citation], or makes it impossible, due to sexual harassment, for
another to continue her employment, [citation].” (Id. at pp. 646-647.)
12
property without a permit. Plaintiffs included homeless individuals who contended the
ordinance violated their constitutional rights to travel, equal protection and due process.
After the trial court sustained the City of Sacramento’s demurrer to the cause of action
for violation of Civil Code section 52.1, plaintiffs argued on appeal the first amended
complaint “sufficiently allege[d] ‘coercion’ because City police officers arrested
plaintiffs and an arrest is inherently coercive.” (Allen, at p. 66.) The Allen court rejected
that argument, holding “a wrongful arrest or detention, without more,” does not state a
cause of action under the Bane Act. (Id. at p. 69.) “Similar to Shoyoye, this case
involves an allegedly unlawful arrest but no alleged coercion beyond the coercion
inherent in any arrest. (Cf. Bender v. County of Los Angeles (2013) 217 Cal.App.4th 968,
978 [although coercion is inherent in any arrest, where an arrest is unlawful and
excessive force is applied, there is coercion independent of the wrongful detention].)
Consistent with Shoyoye, we conclude a wrongful arrest or detention, without more, does
not satisfy both elements of section 52.1.” (Allen, at p. 69.) Significantly, although both
Shoyoye and Allen “involve[d] an allegedly unlawful arrest but no alleged coercion
beyond the coercion inherent in any arrest,” Allen considered intentional conduct that
allegedly violated plaintiff’s rights, not negligence or human error as in Shoyoye.
7
We have no reason to disagree with the analysis in Shoyoye and Allen: The
coercion necessary for a Bane Act claim must be independent of the coercion, if any,
7 We are aware, as Wisely points out, that there are United States District Court
cases—decided prior to Allen—that disagree with Shoyoye (see, e.g., Bass v. City of
Fremont (N.D. Cal., Mar. 8, 2013, No. C12-4943 TEH) 2013 U.S. Dist. Lexis 32590 at
pp. *13-*14 [“Defendants urge upon the court a broad reading of Shoyoye—one that
would, perversely, preclude any [Civ. Code, §] 52.1 action in which the underlying
statutory or constitutional violation involved ‘threats, intimidation, or coercion.’ This
reading is contrary to the plain language of the statute, which specifically provides for a
civil action based on interference with a right ‘by threats, intimidation, or coercion.’
[Citation.] [¶] A broad reading of Shoyoye is also contrary to Venegas . . . .”]) or that
narrowly read Shoyoye’s holding as limited to situations in which the rights violation
occurred through negligence, rather than an intentional act (see, e.g., Davis v. City of San
Jose (N.D. Cal., Sept. 24, 2014, No. 14-cv-02035-BLF) 2014 U.S. Dist. Lexis 136015 at
p. *17 [“Shoyoye court limited its denial of Bane Act relief to cases where the
13
inherent in the constitutional violation itself. Citing Walker v. City of Lakewood (9th Cir.
2001) 272 F.3d 1114, Wisely contends the coercion in the instant case satisfies that
requirement. She argues the CDC had a policy of subjecting visitors who refused to be
scanned with the Secure 1000 to even more intrusive strip and/or visual body cavity
searches for an indefinite period of time as a condition of future visitation. (See id. at
p. 1130 [evidence of coercion or threats under federal and California fair housing acts
included city’s threat to independent fair housing services provider that it would not
renew contract and would withhold payments if provider did not apologize to apartment
complex owner for facilitating lawsuit by tenant and former tenants alleging racial
discrimination and harassment].)
If Wisely had alleged and presented evidence in opposition to the motion for
summary adjudication that the CDC had a policy to penalize visitors who refused to
submit to a scan by subjecting them for an indefinite period to even more intrusive
searches on future visits, even if they were subsequently willing to be scanned, and that
visitors were told of this policy as a means of coercing their “consent” to the scan, we
would reinstate her Bane Act claim. But her evidentiary presentation fell well short of
this threshold.
To be sure, in opposition to the government defendants’ motion Wisely proffered
as an undisputed fact, “Pursuant to CDC policy, if an inmate visitor refused to submit to a
Secure 1000 search, that would result in a proximate body and/or visual cavity search for
constitutional or statutory violation ‘occurs because of mere negligence rather than a
volitional act intended to interfere with the exercise of a constitutional right’”].) Other
district court cases, however, follow Shoyoye. (See, e.g., Ortega v. San Diego Police
Dept. (S.D. Cal., Nov. 14, 2014, No. 13cv87-LAB (JMA)) 2014 U.S. Dist. Lexis 160572
at p. *31-*32 [no dispute officer had probable cause to stop plaintiff or arrest decision
was lawful; although plaintiffs raised genuine factual dispute whether officer used
excessive force, “they have not shown (nor attempted to show) that Officer McCarthy
interfered with Victor’s exercise or enjoyment of separate rights covered by the Bane
Act”]; Muhammad v. Garrett (E.D. Cal., Dec. 11, 2014, No. 1:12-cv-01199-JLT) 2014
U.S. Dist. Lexis 171744 at pp. *18-*19 [plaintiff alleged officers used excessive force
when he was arrested].) Of course, none of these federal decisions is binding on us.
14
all further visits to an inmate for an indefinite measure of time, determined at the
discretion of the prison staff.” However, the evidence cited to establish the existence of
such a policy—a regulation governing the conditions for visiting inmates and excerpts
from various prison operational manuals—does not support her characterization of the
CDC policy. Then-in-effect California Code of Regulations, title 15, section 3177,
subdivision (c)(3)(a), generally provided, “Refusal to submit to a requested search shall
result in the visitor not being permitted to visit on that day. Future visits may be
conditioned upon the visitor’s willingness to submit to a search prior to each visit for as
long as prison officials have reasonable cause to believe that the visitor will attempt to
smuggle contraband into the institution.” The prison operational manuals were consistent
with this, and some further provided the type of search to be conducted would be based
upon reasonable cause. Nothing in the language of the quoted policy or operational
manuals suggests the arbitrary or punitive government action described in Wisely’s
opposition papers. Moreover, there was no allegation in the operative pleading, let alone
any evidence in opposition to summary adjudication, that visitors were told they would
be subjected to strip and body cavity searches on future visits if they refused to be
scanned with the Secure 1000 even if they were subsequently willing to be scanned.
Accordingly, on this record there was no actionable coercion under the Bane Act, and the
order granting summary adjudication of the fifth cause of action for violation of Civil
8
Code section 52.1 must be affirmed.
8 The government defendants’ argument Wisely cannot state a Bane Act claim
because state prisons are not business establishments is without merit. Civil Code section
52.1, subdivision (b), permits any person whose exercise of rights has been interfered
with, or attempted to have been interfered with, by the specified improper means to bring
an action for compensatory damages against any individual or entity. That section also
permits an aggrieved party to seek treble damages, civil penalties and attorney fees under
Civil Code section 52. In light of our conclusion there is no actionable Bane Act claim,
we need not address the secondary issues whether a party may only seek damages or
penalties under Civil Code section 52 from a business establishment and whether a state
prison qualifies as a business establishment.
15
3. Summary Adjudication Was Properly Granted on Wisely’s Sixth Cause of
Action for Violation of Government Code Section 815.6 Because the State
Constitutional Right to Privacy Does Not Impose a Mandatory Duty on
9
Government Officials
Public entities are generally not liable for injuries they cause, either by act or
omission. (Gov. Code, § 815; see Guzman v. County of Monterey (2009) 46 Cal.4th 887,
10
897 (Guzman).) The Government Claims Act provides limited exceptions to this
general rule. (See Zelig v. County of Los Angeles (2002) 27 Cal.4th 1112, 1127-1128
[“‘“intent of the [Government Claims Act] is not to expand the rights of plaintiffs in suits
against governmental entities, but to confine potential governmental liability to rigidly
delineated circumstances”’”].) Under the Act, public entities cannot be held liable for
injuries arising from their acts or omissions except as provided by statute. (Gov. Code,
§ 815.)
One such exception to the general no-liability rule, set forth in Government Code
section 815.6, permits a finding of liability when a public entity’s failure to discharge “a
mandatory duty imposed by an enactment” has proximately caused an injury within the
enactment’s protective purpose “unless the public entity establishes that it exercised
11
reasonable diligence to discharge the duty.” (See Eastburn v. Regional Fire Protection
9 Wisely’s sixth and seventh causes of action for violating mandatory duties were
not asserted against any individual defendant. As discussed, Wisely appeals only from
the grant of summary adjudication under Government Code section 815.6 alleging
violations of mandatory duties imposed by the California Constitution (her sixth cause of
action), not the parallel claim alleging violation of duties purportedly imposed by the
California Code of Regulations (her seventh cause of action).
10 Government Code section 815 provides, “Except as otherwise provided by statute:
[¶] (a) A public entity is not liable for an injury, whether such injury arises out of an act
or omission of the public entity or a public employee or any other person. [¶] (b) The
liability of a public entity established by this part . . . is subject to any immunity of the
public entity provided by statute, including this part, and is subject to any defenses that
would be available to the public entity if it were a private person.”
11 Government Code section 815.6 provides, “Where a public entity is under a
mandatory duty imposed by an enactment that is designed to protect against the risk of a
particular kind of injury, the public entity is liable for an injury of that kind proximately
16
Authority (2003) 31 Cal.4th 1175, 1178 (Eastburn) [Gov. Code, § 815.6 imposes direct
liability for breach of statutory mandatory duty].)
“A private cause of action lies against a public entity only if the underlying
enactment sets forth the elements of liability set out in [Government Code]
12
section 815.6.” (Guzman, supra, 46 Cal.4th at p. 897.) Those elements are “‘[f]irst and
foremost, . . . the enactment at issue [must] be obligatory, rather than merely
discretionary or permissive, in its direction to the public entity; it must require, rather
than merely authorize or permit, that a particular action be taken or not taken. . . .’
Courts have construed this first prong rather strictly, finding a mandatory duty only if the
enactment ‘affirmatively imposes the duty and provides implementing guidelines.’” (Id.
at p. 898.) “‘Second, but equally important, [Government Code] section 815.6 requires
that the mandatory duty be “designed” to protect against the particular kind of injury the
plaintiff suffered. The plaintiff must show the injury is “‘one of the consequences which
the [enacting body] sought to prevent through imposing the alleged mandatory duty.”’
[Citation.] Our inquiry in this regard goes to the legislative purpose of imposing the
duty. That the enactment “confers some benefit” on the class to which plaintiff belongs
is not enough; if the benefit is “incidental” to the enactment’s protective purpose, the
enactment cannot serve as a predicate for liability under section 815.6. [Citation.]’
[Citations.] If these two prongs are met, the next question is whether the breach of the
duty was a proximate cause of the plaintiff’s injury.” (Guzman, at p. 898.) It is a
question of law whether an enactment creates a mandatory duty. (See ibid.; Haggis v.
City of Los Angeles (2000) 22 Cal.4th 490, 499.)
caused by its failure to discharge the duty unless the public entity establishes that it
exercised reasonable diligence to discharge the duty.”
12 “Enactment” includes constitutional provisions, statutes, charter provisions,
ordinances and regulations. (Gov. Code, § 810.6.)
17
Wisely contends the right to privacy recognized by article 1, section 1 of the
13
California Constitution, read in conjunction with article I, section 26’s directive that
“provisions of this Constitution are mandatory and prohibitory, unless by express words
they are declared to be otherwise,” imposes a mandatory duty on public entities
subjecting them to liability under Government Code section 815.6 for infringements of
that right absent proof of reasonable diligence by the government actors. Wisely’s
argument fundamentally misperceives the nature of a “mandatory duty” within the
meaning of Government Code section 815.6.
While constitutional directives are unquestionably “mandatory” or obligatory in
the sense that government officials must obey them (see State Board of Education v.
Levit (1959) 52 Cal.2d 441, 460 [article I, section 26 “not only commands that [the
Constitution’s] provisions shall be obeyed, but that disobedience of them is prohibited”]),
that principle is largely irrelevant to a determination whether violation of an enactment,
even one phrased as mandatory, gives rise to Government Code section 815.6 liability.
(Cf. Haggis v. City of Los Angeles, supra, 22 Cal.4th at p. 506 [despite use of word
“shall,” municipal code provisions regarding development of property in landslide zones
did not create mandatory duty].) No such liability can exist here: Article I, section 1 of
the California Constitution, as important as it is, simply declares (that is, recognizes) the
“inalienable” right of privacy, as well as to due process, to equal protection and to be free
from unreasonable searches. Neither alone nor in combination with article I, section 26,
does it impose any affirmative obligation on public entities to ensure a citizen’s privacy is
protected. (See Hill v. National Collegiate Athletic Assn. (1994) 7 Cal.4th 1, 16
[“Article I, section 1 of the California Constitution is an enumeration of the ‘inalienable
rights’ of all Californians. ‘Privacy’ is declared to be among those rights. Typical of
broad constitutional declarations of rights, the section does not define ‘privacy’ or
13 Article I, section 1 of the California Constitution states, “All people are by nature
free and independent and have inalienable rights. Among these are enjoying and
defending life and liberty, acquiring, possessing, and protecting property, and pursuing
and obtaining safety, happiness and privacy.”
18
explain its relationship to other rights or interests.”]; Clausing v. San Francisco Unified
School Dist. (1990) 221 Cal.App.3d 1224, 1238 [“Although citizens have a private cause
of action against public entities for violation of the right to privacy, no case has ever held
that California Constitution, article I, section 1, imposes a mandatory duty on public
entities to protect a citizen’s right to privacy. The constitutional mandate is simply that
the government is prohibited from violating the right; if it does, an aggrieved citizen may
seek an injunctive remedy in court.”]; see also O’Toole v. Superior Court (2006)
140 Cal.App.4th 488, 510 [statute permitting campus personnel to direct nonstudents to
leave campus if they are or appear likely to interfere with peaceful conduct of activities
on campus, but prohibiting impingement upon rights of free speech and assembly, did not
create mandatory duty; “it merely prohibits certain conduct and does not set forth
guidelines or rules for schools to follow in implementing an affirmative duty”].)
A rule of nonliability for a failure to enforce broad constitutional directives is
consistent with the purpose of Government Code section 815.6 to apply “to public
entities the familiar rule of tort law that violation of a legislatively prescribed standard of
care creates a rebuttable presumption of negligence.” (Lehto v. City of Oxnard (1985)
171 Cal.App.3d 285, 292.) The declaration of rights in the California Constitution does
not provide any implementing guidelines and thus does not set forth the kind of specific,
particularized duties the Legislature intended could give rise to government liability for
damages under Government Code section 815.6. The trial court properly granted
summary adjudication in favor of the public entity defendants on Wisely’s cause of
action under Government Code section 815.6 predicated on violations of the California
Constitution.
19
4. Wisely’s Claims Against the State for Violating Her Constitutional Right to
Privacy, Negligence and Negligent Supervision Based on Its Responsibility for
the Misconduct of Prison Staff Employees Were Not Properly Resolved on
Summary Adjudication
Government Code section 820.2 states, “[e]xcept as otherwise provided by statute,
a public employee is not liable for an injury resulting from his act or omission where the
act or omission was the result of the exercise of the discretion vested in him, whether or
not such discretion be abused.” Government Code section 815.2, subdivision (b), extends
that discretionary act immunity to the public entity whose employee’s conduct is at issue,
“Except as otherwise provided by statute, a public entity is not liable for an injury
resulting from an act or omission of an employee of the public entity where the employee
is immune from liability.” These statutes provide immunity for “basic policy decisions”
by government officials, but not “for the ministerial implementation of that basic policy.”
(Johnson v. State of California (1968) 69 Cal.2d 782, 796.) The Johnson Court explained
this distinction might be characterized as “between the ‘planning’ and ‘operational’ levels
of decision-making.” (Id. at p. 794.) “[T]here is no basis for immunizing lower level
decisions that merely implement a basic policy already formulated. [Citation.] The
scope of the discretionary act immunity ‘should be no greater than is required to give
legislative and executive policymakers sufficient breathing space in which to perform
their vital policymaking functions.’” (Barner v. Leeds (2000) 24 Cal.4th 676, 685.)
The trial court ruled the decision to purchase and use the Secure 1000 machines at
California prisons, drafting and approving policies and procedures for their use, and
implementing those policies and procedures all fell within the scope of the discretionary
immunity conferred by Government Code section 820.2. On that basis the court granted
the motions for summary adjudication directed to Wisely’s claims alleging violation of
her state constitutional right to privacy (fourth cause of action), negligence (ninth cause
14
of action) and negligent supervision and training (tenth cause of action).
14
Discretionary immunity under section 820.2 would also defeat Wisely’s claim
under Civil Code section 52.1 even if it otherwise had been properly supported by
evidence of actionable coercion under the statute. (See County of Los Angeles v.
20
Wisely does not challenge that ruling on appeal. However, she argues the court
erred in granting summary adjudication on these three causes of action in favor of the
public entity defendants (the State, the CDC and the California State Prison at Lancaster)
because the moving papers failed to address her theory the State was liable under the
doctrine of respondeat superior (or vicarious liability) for the nondiscretionary conduct of
prison line staff who had violated her rights (and those in the class she represents) when
conducting scanning with the Secure 1000 without reasonable suspicion those visitors
were carrying contraband and for the faulty training those employees had received from
their immediate supervisors. (See Zelig v. County of Los Angeles, supra, 27 Cal.4th at
p. 1128 [“[v]icarious liability is a primary basis for liability on the part of a public entity,
and flows from the responsibility of such an entity for the acts of its employees under the
principle of respondeat superior”].) Although her opposition papers did not identify that
significant omission, as plainly would have been the better practice, to the extent
Wisely’s eighth amended complaint contained allegations sufficient to support these
claims of vicarious liability, summary adjudication in favor of the public entity
defendants should not have been granted. (See, e.g., Scripps Clinic v. Superior Court
(2003) 108 Cal.App.4th 917, 929 [summary judgment in favor of defendant inappropriate
when defendant failed to address cause of action alleged, albeit not separately pleaded in
complaint; defendant cannot defeat for first time in reply cause of action it failed to
address in its moving papers]; Crouse v, Brobeck, Phleger & Harrison (1998)
67 Cal.App.4th 1509, 1534 [if defendant fails to meet its initial burden of showing
entitlement to judgment as a matter of law, burden does not shift to plaintiff and motion
15
is properly denied without regard to plaintiff’s opposition].)
Superior Court (2009) 181 Cal.App.4th 218, 231; O’Toole v. Superior Court, supra, 140
Cal.App.4th at pp. 504-505.)
15
The individually named defendants cannot be liable under a theory of respondeat
superior. (Gov. Code, § 820.8 [“a public employee is not liable for an injury caused by
the act or omission of another person”]; see generally Hansen v. Black (9th Cir. 1989)
885 F.2d 642, 645-646 [“supervisory officials are not liable for actions of subordinates on
any theory of vicarious liability”]; Hunt v. Dental Dept. (9th Cir. 1989) 865 F.2d 198,
21
a. Law governing vicarious liability for public entities
Government Code section 815.2, subdivision (a), imposes vicarious liability on a
public entity for its employees’ wrongful conduct: “A public entity is liable for injury
proximately caused by an act or omission of an employee of the public entity within the
scope of his employment if the act or omission would, apart from this section, have given
rise to a cause of action against that employee or his personal representative.” “Under the
doctrine of respondeat superior, the vicarious liability of an employer or principal is not
based on fault. The liability is imposed as a rule of policy, ‘a deliberate allocation of a
risk,’ regardless of the employer’s control or fault.” (Lathrop v. Healthcare Partners
Medical Group (2004) 114 Cal.App.4th 1412, 1423; see Eastburn, supra, 31 Cal.4th at
p. 1180 [Gov. Code, § 815.2, subd. (a), “makes a public entity vicariously liable for its
employee’s negligent acts or omissions within the scope of employment”].) “In other
words, ‘the general rule is that an employee of a public entity is liable for his torts to the
same extent as a private person ([Gov. Code,] § 820, subd. (a)) and the public entity is
vicariously liable for any injury which its employee causes ([Gov. Code,] § 815.2,
subd. (a)) to the same extent as a private employer ([Gov. Code,] § 815, subd. (b)).’”
(C.A. v. William S. Hart Union High School Dist. (2012) 53 Cal.4th 861, 868.)
“A plaintiff seeking to hold an employer liable for injuries caused by employees
acting within the scope of their employment is not required to name or join the
employees as defendants. [Citations.] [¶] The plaintiff may be unable to identify which
employee committed the wrongful act, but this is not fatal to the employer’s liability, if
the evidence establishes that some employee in the scope of employment committed the
wrongful act.” (Perez v. City of Huntington Park (1992) 7 Cal.App.4th 817, 820; accord,
County of Los Angeles v. Superior Court (2002) 102 Cal.App.4th 627, 644
[“‘[i]dentification of a specific employee tortfeasor is not essential to County liability
under [Gov. Code, §] 815.2’”]; see Legis. Com. com., pt. 1 West’s Ann. Gov. Code
200 [supervisor not “vicariously liable for the fault of personnel”; director of Arizona
Department of Corrections not liable for actions of prison personnel].)
22
(2012 ed.) foll. § 815.2, p. 240 [“[I]t will not be necessary in every case to identify the
particular employee upon whose act the liability of the public entity is to be predicated.
All that will be necessary will be to show that some employee of the public entity
tortiously inflicted the injury in the scope of his employment under circumstances where
he would be personally liable.”]; C.A. v. William S. Hart Union High School Dist., supra,
53 Cal.4th at p. 872 [although complaint failed to identify public entity employees who
allegedly failed to properly hire and train guidance counselor accused of sexual
harassment, “the District cites no statute or decision requiring a plaintiff to specify at the
pleading stage which of the defendant’s employees committed the negligent acts or
omissions for which a public entity is allegedly liable under section 815.2”]; but see
Munoz v. City of Union City (2004) 120 Cal.App.4th 1077, 1113, disapproved on other
grounds in Hayes v. County of San Diego (2013) 57 Cal.4th 622, 639, fn. 1 [stating in
appeal from judgment in favor of plaintiff after a jury trial, “unless the employee is
identified, the trier of fact will not be able to determine if the elements needed to assert
vicarious liability have been proved”].)
b. The eighth amended complaint sufficiently alleged the State’s vicarious
liability for the conduct of line staff
As Wisely acknowledges, the primary focus of the eighth amended complaint was
the decision to buy the Secure 1000 and the overarching policies associated with its use,
such as screening every visitor even in absence of reasonable suspicion that a visitor may
be attempting to smuggle weapons or narcotics into the prison. Nevertheless, the 54-page
complaint, although not a model of clarity, alleged additional wrongful conduct by line
staff related to the actual implementation of the screening program, including permitting
cross-gender screening and failing to adequately separate the screening area so personnel
not directly involved in the screening could not view the graphic images. It thus provided
an adequate basis for claims of vicarious liability. For example, paragraph 45 alleged, on
information and belief, that “CDC employees frequently monitor the x-ray scans of
visitors of the opposite sex . . .”; paragraph 61 identified among common questions of
fact, “[w]hether the x-ray examination scans are conducted in an area of privacy so that
23
the results of the scan cannot be observed by persons not participating in the scan, or
whether the scans are conducted in open areas where they may be observed by persons
not participating in the scans . . . .” In addition, paragraph 137, after specifically referring
to Government Code section 815.2, the statutory foundation for a vicarious liability
claim, expressly alleged the public entity defendants are liable for the wrongful acts of
CDC employees “whether or not named in this complaint, acting within the scope of his
or her employment.” Even the trial court acknowledged, although the case was primarily
about overarching policies, it had heard for a “goodly long time” Wisely’s claim “that the
scans were done somehow improperly.”
Although the complaint does not identify any particular individual whose conduct
in conducting or reading the scans violated Wisely’s rights, as discussed, it did not need
to do so to allege liability under a respondeat superior theory. (See County of Los
Angeles v. Superior Court, supra, 102 Cal.App.4th at p. 644.) Indeed, implicit in the
allegations of injury to the named class representatives by the manner in which the scans
were used, and the subsequent strip and body cavity searches conducted, is that line staff
were the actors.
It may be, as the government defendants contend and the trial court observed in its
ruling on Wisely’s motion for reconsideration, class certification would not have been
obtained had that battle not been focused on the broad policy issues such as mandatory
scanning in the absence of reasonable suspicion. Whether class certification remains
viable—subclasses were created on a prison-by-prison basis and many of the allegedly
objectionable practices appear to have occurred on a facility-wide basis—is a question for
the trial court to address on remand; it is not germane to our determination that summary
adjudication was improperly granted because the respondeat superior claims were not
addressed.
24
c. Government Code section 815.2 is a sufficient statutory basis for the
negligence and negligent supervision causes of action
16
Wisely’s vicarious liability theory encompassed her constitutional privacy claim,
as well as her causes of action for negligence and negligent supervision. Relying on
Munoz v. City of Union City, supra, 120 Cal.App.4th 1077, the government defendants
argue both of these latter causes of action are, in actuality, direct actions against the
public entities and thus both fail because there is no statutory authorization for them.
(See Eastburn, supra, 31 Cal.4th at p. 1183 [“direct tort liability of public entities must
be based on a specific statute declaring them to be liable, or at least creating some
specific duty of care, and not on the general tort provisions of Civil Code section 1714”].)
In Munoz relatives of a woman killed by a police officer after being summoned to a home
because she was brandishing knives and acting erratically sued the officer, police
department and city for claims including wrongful death, negligence and a direct claim
for negligent employment and failure to supervise and train employees. (Munoz, at
p. 1082.) The jury returned a special verdict finding the officer and city liable for
negligence and battery (unreasonable force). The Court of Appeal reversed the portion of
16
The government defendants argued in support of summary adjudication in the trial
court that there was no private cause of action for damages for violating the state
constitutional right to privacy. The court rejected that argument, relying on Porten v.
University of San Francisco (1976) 64 Cal.App.3d 825, which, the court explained,
although not specifically holding that plaintiff’s cause of action under the constitution
would entitle him to damages, rather than only equitable relief, “implie[d]” a damage
remedy was available to remedy a violation of article I, section 1 of the Constitution. In
fact, whether violation of the privacy clause permits an action for damages remains an
open question. (See Katzberg v. Regents of University of California (2002) 29 Cal.4th
300, 313, fn. 13 [“[w]e have no occasion to consider in the present case the circumstances
under which the privacy clause of the state Constitution may support a cause of action for
damages”]; see also Richardson-Tunnell v. Schools Ins. Program for Employees (SIPE)
(2007) 157 Cal.App.4th 1056, 1066 [“[o]ur Supreme Court has not yet considered
whether violation of the privacy clause permits an action for damages”].) Moreover, the
Supreme Court has dismissed the significance of Porten, noting, “[T]he court appears to
have assumed damages would be available for such a violation, but it did not analyze or
discuss that question.” (Katzberg, at p. 313, fn. 13.) Nonetheless, the government
defendants have not raised this issue on appeal; and we do not consider it here.
25
the jury verdict based on direct negligence, explaining under Eastburn the direct cause of
action against the city for “not having done more to prevent the confrontation from
developing, either through the promulgation of clearer police procedures, or by better
officer training and supervision” was barred. (Munoz, at pp. 1112, 1113.) As for the
separate cause of action for respondeat superior, which alleged the city “bears legal
responsibility for the conduct charged against [the officer] only, pursuant to Government
Code section 815.2, subdivision (a),” the court held, “while respondents are correct
insofar as they state public entities always act through individuals, that does not convert a
claim for direct negligence into one based on vicarious liability. . . . To accept
respondents’ argument would render the distinction between direct and vicarious liability
completely illusory in all cases except where the employer is an individual.” (Munoz, at
p. 1113.)
The Supreme Court in C.A. v. William S. Hart Union High School Dist., supra,
53 Cal.4th 861 distinguished Munoz and declined to adopt its restrictive approach to
public entity vicarious liability for claims of negligence: “Unlike the theory rejected in
Munoz, plaintiff’s theory of the District’s liability does not depend on blurring the line
between direct and vicarious liability or on an assumption that a public entity’s
negligence liability is inherently vicarious. Plaintiff alleges the District’s administrators
and employees knew or should have known of [the school guidance counselor’s]
dangerous propensities, but nevertheless hired, retained and failed to properly supervise
her. These allegations, if proven, could make the District liable under a vicarious liability
theory encompassed by section 815.2.” (Id. at p. 875.)
Similarly, Wisely’s claims of negligence and negligent supervision are not simply
a disguised direct action. Although arguably amorphous as pleaded in the eighth
amended complaint, by the time of summary judgment Wisely’s theory was focused. As
she explained, with evidentiary support, in opposition to the government defendants’
motion for summary adjudication, “Specifically, after having evaluated the Secure 1000
at the R.J. Donovan prison, the CDC’s own recommendation was that for a novice, 16 to
24 hours of training was necessary to ‘come-up-to-speed and to be accurate with the
26
identification process.’ ‘Ninety Day Test Evaluation of the “Secure 1000, Concealed
Object Detention System.”’ [Citation.] In deposition after deposition, however, CDC
officers testified that they received anywhere from thirty minutes to two hours of training
before using the machine on visitors. [Citation.] The Secure 1000’s manufacturer
offered operator training at a cost, but the CDC declined. [Citation.] [¶] The lack of
training and supervision directly resulted in officer’s inability to discern contraband from
non-contraband when viewing images on the Secure 1000. As a result, hundreds of
visitors were subjected to a more intrusive proximate search, when in fact there was no
legitimate basis to do so. . . . [¶] . . . [¶] The CDC approved the Secure 1000 for use on
visitors to inmates without establishing any procedures prior to its use. [Citation.]
Without any centralized procedures in place, visitors were scanned by members of the
opposite sex, visitors were subjected to more intrusive physical searches without a
reasonable basis for doing so, some visitors were scanned twice . . . and viewing monitors
were placed in locations where non-essential personnel or other visitors could see the
screen. [Citation.]”
The negligent supervision cause of action thus asserts a theory of liability against
lower level supervisors who failed to properly train the line staff conducting the scans.
Similarly, the cause of action for negligence is also predicated on the line staff’s alleged
misconduct in conducting scans of visitors of the opposite sex and in locations where
people not directly involved in the scanning could observe the monitors. Although these
claims for negligent breach of duty by line staff and next level supervisors significantly
overlap (or, perhaps, completely duplicate) Wisely’s cause of action for violation of her
right to privacy, they were adequately pleaded and not properly challenged in the motion
for summary adjudication. Accordingly, the order granting the motion as to the ninth and
tenth causes of action as to the public entity defendants, responsible for this alleged
misconduct under the doctrine of respondeat superior, must be reversed.
27
d. The issue of good faith immunity for prison line staff was not properly
before the trial court
Government Code section 820.4 provides, in part, “A public employee is not liable
for his act or omission, exercising due care, in the execution or enforcement of any law.”
Similarly, Government Code section 820.6 provides, “If a public employee acts in good
faith, without malice, and under the apparent authority of an enactment that is
unconstitutional, invalid or inapplicable, he is not liable for any injury caused thereby
except to the extent that he would have been liable had the enactment been constitutional,
valid and applicable.” Even if CDC staff employees are engaged in ministerial conduct
in connection with scanning of visitors, if they are entitled to good faith immunity under
either of those provisions, the State and other public entity defendants would likewise be
immune from liability under Government Code section 815.2, subdivision (b). (See, e.g.,
Richardson-Tunnell v. Schools Ins. Program for Employees (SIPE) (2007)
157 Cal.App.4th 1056, 1066 [“[t]he constitutional right to privacy does not limit the
scope of a preexisting statutory immunity”].)
Because their motions for summary adjudication focused on activities within the
scope of senior correctional officials’ discretionary immunity, the applicability of
Government Code sections 820.4 and 820.6 was not raised by the government defendants
in their motions for summary adjudication and, therefore, was not properly before the
trial court. Although the parties briefed the issue at the request of the trial court as part of
its sua sponte order for reconsideration, the court did not reach the issue, rejecting the
respondeat superior claim on the ground it had not been properly pleaded by Wisely.
Thus, the issue of good faith immunity remains for determination on remand and will
depend on resolution of two underlying issues: whether prison employees were
executing, enforcing or otherwise acting under the apparent authority of a “law” or
17
“enactment”; and if they were, whether they were acting with due care or in good faith.
17
“Enactment” is defined in Government Code section 810.6 as “a constitutional
provision, statute, charter provision, ordinance or regulation.” “‘Law’ includes not only
enactments but also the decisional law applicable within this State . . . .” (Gov. Code,
28
Wisely has argued no “enactment” authorized the decision to purchase and use the
Secure 1000 or approved the search policies associated with it that might immunize the
CDC staff employees under the Government Code. That position finds some support in a
decision by a magistrate judge for the United States District Court in Northern California.
(See Hansen v. California Dept. of Corrections (N.D.Cal. 1996) 920 F.Supp. 1480, 1501-
1502 [regulation governing drug testing sample collection procedures provides
“department shall specify procedures to ensure that true samples are obtained”; because
regulation is silent whether urine testing should be directly observed, CDC’s direct
observation policy “does not rise to the level of an ‘enactment’”].) It may be, however,
that the regulation authorizing inspection of prison visitors “to whatever degree is
consistent with the institution’s security needs” (Cal. Code Regs., tit. 15, § 3173, former
subd. (e)), although quite general, is sufficient for purposes of Government Code sections
820.4 or 820.6. For example, in Peterson v. Long Beach (1979) 24 Cal.3d 238, the
Supreme Court observed the definition of regulation in Government Code section 811.6
“surely includes the standards for use of weapons when the standards have the force of
law and were adopted, as they were here, by the public entity’s employees (city manager
and police chief), pursuant to authority vested by charter or ordinance to implement,
interpret, or make specific the law administered by those employees and their
subordinates.” (Peterson, at p. 246; see Posey v. State of California (1986)
180 Cal.App.3d 836, 849 [“[R]egulations having the ‘force of law’ have been defined as
‘“those regulations . . . that are promulgated pursuant to an authorization to ‘implement,
interpret, or make specific’ a law being enforced or administered by the promulgator.
This excludes informal ‘guides,’ ‘policy manuals,’ and ‘recommended procedures’
helpful in establishing the standards of statutes, but lacking the force of law.”’”].) The
§ 811.) “Regulation” is defined as “a rule, regulation, order or standard, having the force
of law, adopted . . . as a regulation by an agency of the state pursuant to the
Administrative Procedure Act (Chapter 3.5 (commencing with Section 11340) of Part 1
of Division 3 of Title 2).” (Gov. Code, § 811.6.)
29
answer to that question requires development of a more complete record, and we express
no view on it at this time.
Similarly, because the issue was not properly presented in connection with the
motions for summary adjudication, there is nothing in the record from which it can be
determined, even if one of these immunity statutes was applicable, that the CDC line
officers were exercising due care or acting in good faith when operating the Secure 1000.
(See Ogborn v. City of Lancaster (2002) 101 Cal.App.4th 448, 462 [reversing summary
judgment, finding triable issue of fact whether public employee exercised due care in
executing warrant in connection with nuisance abatement program].) That question, too,
must be addressed in the first instance by the trial court on remand.
DISPOSITION
The judgment is affirmed as to the individually named defendants. The judgment
is reversed as to the State of California and other public entity defendants. The trial court
is directed on remand to vacate its orders granting the public entity defendants’ motions
for summary adjudication as to all damage causes of action and to issue a new and
different order granting the motions on the first, second, third, fifth, sixth, seventh and
eighth causes of action and denying the summary adjudication motions as to the fourth,
ninth and tenth causes of action; to vacate its order denying Wisely’s motion for attorney
fees; and to conduct further proceedings not inconsistent with this opinion. The parties
are to bear their own costs on appeal.
PERLUSS, P. J.
We concur:
ZELON, J. IWASAKI, J.*
* Judge of the Los Angeles Superior Court, assigned by the Chief Justice pursuant to
article VI, section 6 of the California Constitution.
30