2015 IL App (2d) 140782
Nos. 2-14-0782 & 2-14-0998 cons.
Opinion filed August 6, 2015
______________________________________________________________________________
IN THE
APPELLATE COURT OF ILLINOIS
SECOND DISTRICT
______________________________________________________________________________
MATIAS MAGLIO, Individually and as ) Appeal from the Circuit Court
Father and Next Friend of Macailee Maglio,
) of Kane County.
a Minor, and on Behalf of All Others Similarly
)
Situated, and ALEXANDER GIL, Individually
)
and on Behalf of All Others Similarly Situated,
)
)
Plaintiffs-Appellants, )
)
v. ) No. 13-L-358
)
ADVOCATE HEALTH AND HOSPITALS )
CORPORATION, Individually and d/b/a )
Advocate Medical Group, ) Honorable
) James R. Murphy,
Defendants-Appellees. ) Judge, Presiding.
______________________________________________________________________________
VERONICA VIDES, Individually and as ) Appeal from the Circuit Court
Mother and Next Friend of I.X.A. and ) of Lake County.
B.K.A., Minors, PETER SINK, PAULA )
WISNIOWICZ, GREGG WISNIOWICZ, )
SHARI SLAVIN, ARTHUR COHEN, )
DAVID COHEN, JENNIFER COHEN, )
MARIANNA COHEN, AUDREY )
FRIEDLAND, JULIE MARDER, ERIC )
MARDER, AMY FRIEDLAND, LORI )
FRIEDLAND, SCOTT FRIEDLAND, )
MICHAEL FRIEDLAND, RENEE ROUSE, )
ROBIN FIELDS, MITCHEL A. FIELDS, )
Individually and on Behalf of All others )
Similarly Situated, )
)
Plaintiffs-Appellants, )
)
2015 IL App (2d) 140782
v. ) No. 13-CH-2701
)
ADVOCATE HEALTH AND HOSPITALS )
CORPORATION, d/b/a Advocate Medical )
Group, ) Honorable
) Mitchell L. Hoffman,
Defendant-Appellee. ) Judge, Presiding.
______________________________________________________________________________
JUSTICE JORGENSEN delivered the judgment of the court, with opinion.
Presiding Justice Schostok and Justice Birkett concurred in the judgment and opinion.
OPINION
¶1 In these consolidated cases, plaintiffs filed putative class actions against defendant,
Advocate Health and Hospitals Corporation, individually and d/b/a Advocate Medical Group
(Advocate), raising claims of negligence, violations of the Personal Information Protection Act
(Protection Act) (815 ILCS 530/1 et seq. (West 2014)), the Consumer Fraud and Deceptive
Business Practices Act (Fraud Act) (815 ILCS 505/1 et seq. (West 2014)), and invasion of
privacy, after four computers containing patient information were stolen from Advocate’s
offices. Plaintiffs did not allege that their personal information was used in any unauthorized
manner as a result of the burglary, but they claimed that they face an increased risk of identity
theft and/or identity fraud. In each case Advocate moved to dismiss under section 2-619.1 of the
Code of Civil Procedure (Code) (735 ILCS 5/2-619.1 (West 2014)) and the trial court dismissed
plaintiffs’ complaint, with prejudice, pursuant to: (1) section 2-619(a)(9) of the Code, finding
that the disclosure of confidential information did not constitute an injury-in-fact sufficient to
confer standing to pursue an action against Advocate; and, alternatively, (2) section 2-615 of the
Code, finding that the complaint failed to state a claim upon which relief could be granted.
Plaintiffs appeal. We affirm.
¶2 I. BACKGROUND
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¶3 Advocate is a network of affiliated doctors and hospitals that treat patients throughout the
state. On July 15, 2013, burglars stole from Advocate’s administrative building in Park Ridge
four password-protected computers that contained certain information relating to about 4 million
patients. Advocate subsequently notified the patients about the incident, set up a call center to
answer their questions, and offered them one year of free credit-monitoring services, including
identity theft resolution assistance and identity theft insurance.
¶4 On September 25, 2013, several plaintiffs sued Advocate in the circuit court of Lake
County (appeal No. 2-14-0998). On October 24, 2013, several plaintiffs sued Advocate in the
circuit court of Kane County (appeal No. 2-14-0782). Both actions were brought as putative
class actions.
¶5 The complaints asserted substantially similar allegations. Plaintiffs, who were patients or
former patients of Advocate, alleged that the personal information contained in the four stolen
computers, which have not been located, included their names, addresses, dates of birth, social
security numbers, health insurance data, Medicare and Medicaid data, medical diagnoses,
diagnosis codes, and medical record numbers. Advocate learned of the burglary on July 15,
2013, and notified plaintiffs on August 23, 2013. Plaintiffs alleged that the theft was caused by
Advocate’s failure to meet its obligation to abide by the best practices and industry standards
concerning the security of personal information and the computers associated therewith. They
also alleged that Advocate failed to timely notify them of the data breach and that Advocate’s
computers were not secure or encrypted. Thus, they further alleged, Advocate facilitated and
allowed for the unlawful disclosure of patients’ private and confidential health information.
(Plaintiffs did not allege that anyone had improperly accessed or used the information that was
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on the stolen computers or that they have suffered identity theft and/or identity fraud as a result
of the burglary.)
¶6 Specifically, in their negligence counts, plaintiffs alleged that Advocate had a duty,
pursuant to federal and state law, including the Protection Act and the Fraud Act, to securely
maintain and to not disclose or disseminate, without patient authorization, the personal
information at issue. They alleged that Advocate breached this duty when it used unsecured,
unencrypted computers to store such information and thus permitted the unlawful and
unauthorized disclosure of the information. Plaintiffs asserted that, as a result of Advocate’s
breach, they suffered personal and pecuniary damages.
¶7 In their Protection Act counts, plaintiffs alleged that Advocate was a “data collector”
(815 ILCS 530/5 (West 2014) (defined as an “entity that, for any purpose, handles, collects,
disseminates, or otherwise deals with nonpublic personal information”)) and did not timely
notify them of the breach (815 ILCS 530/10(a) (West 2014) (notice to be given “in the most
expedient time possible and without unreasonable delay, consistent with any measures necessary
to determine the scope of the breach and restore the reasonable integrity, security, and
confidentiality of the data system”)). Plaintiffs sought an injunction to require Advocate to
comply with the statute.
¶8 In their counts pursuant to the Fraud Act, plaintiffs alleged that Advocate committed
unfair trade practices by failing to maintain reasonable procedures to protect against
unauthorized access to plaintiffs’ personal information, that Advocate violated public policy
because class members had no choice but to submit their information, that Advocate intended
that members rely on its unfair practices, and that the practices were willful, wanton, continuing,
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and widespread. Also, plaintiffs noted that a Protection Act violation constituted an unlawful
practice under the Fraud Act. 815 ILCS 530/20 (West 2014).
¶9 In their counts alleging invasion of privacy, plaintiffs asserted that Advocate’s
impermissible and unauthorized disclosure and dissemination constituted an unauthorized
intrusion into plaintiffs’ privacy and seclusion, which was highly offensive to them and would be
so to a reasonable person. Plaintiffs also alleged that Advocate’s intrusion was an invasion of
private matters, causing them anguish and suffering. Additionally, the Lake County plaintiffs
included a count asserting intentional infliction of emotional distress. All plaintiffs sought class
certification, damages, attorney fees, costs, statutory interest, penalties, and injunctive and/or
declaratory relief.
¶ 10 Advocate moved to dismiss plaintiffs’ complaints, arguing that: (1) plaintiffs lacked
standing because they did not suffer the requisite injury-in-fact (735 ILCS 5/2-619(a)(9) (West
2014)), where their claimed injury—merely that the information was stolen—was insufficient
and any claim that plaintiffs face an increased risk of identity theft and identity fraud was
speculative; and (2) each count failed to state a claim upon which relief could be granted (735
ILCS 5/2-615 (West 2014)).
¶ 11 On May 27, 2014, the Lake County circuit court dismissed, with prejudice, plaintiffs’
complaint. The court found that allegations of possible future injury were insufficient to confer
standing. Plaintiffs did not allege facts that “would plausibly establish an ‘imminent’ or
‘certainly impending’ risk that they will be victimized.” The court further noted that “the harm
that Plaintiffs fear is contingent on a chain of attenuated hypothetical events and actions by third
parties independent of the defendant,” noting that these included: whether their data was actually
taken after the burglary, whether it was subsequently sold or otherwise transferred, whether
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anyone attempted to use it, and whether they succeeded. The increased risk that plaintiffs will be
identity theft victims at some indeterminate point in the future, the court determined, did not
constitute an injury sufficient to confer standing, where the occurrence of such future injury
rested on the criminal actions of independent decision-makers and where the complaint lacked
sufficient factual allegations that such future injury was imminent or certainly impending.
¶ 12 Addressing the Protection Act and the Fraud Act claims, and even assuming that
Advocate violated the statutes by inadequately notifying plaintiffs, the court found that the
violations, without any actual damages due to the data breach, were insufficient to establish
standing. The time and expenses that plaintiffs incurred to mitigate the risk of identity theft were
also insufficient to confer standing, because they involved a response to a speculative threat.
Next, addressing plaintiffs’ allegations concerning anxiety and emotional distress, the court
found that these, too, were insufficient to establish standing, as they were not based on an
imminent threat; rather, they alleged only speculative future criminal acts. Also, the court found
that plaintiffs’ loss-of-privacy allegations were insufficient to establish standing, where they did
not plead that the information was disclosed.
¶ 13 Next, the trial court addressed Advocate’s section 2-615 argument, finding in the
alternative that plaintiffs’ causes of action did not state claims upon which relief could be
granted. As to negligence, the court determined that plaintiffs failed to allege a compensable
present injury. Addressing the Protection Act and the Fraud Act claims, the court found that
plaintiffs did not allege actual damages arising from statutory violations and could not rely on
speculative future or presumed damages. As to the invasion-of-privacy-by-public-disclosure-of-
private-facts claim, the court found that plaintiffs failed to allege that Advocate disclosed and
disseminated plaintiffs’ private information; further, even if they did so allege, they failed to
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2015 IL App (2d) 140782
allege publicity. Next, as to intentional infliction of emotional distress, the court determined that
the allegations were insufficient to satisfy the extreme-and-outrageous and causation-of-severe-
emotional-distress elements of the cause of action. The complaint, it found, simply set forth
conclusory allegations.
¶ 14 Finally, the court addressed Advocate’s argument that the economic-loss doctrine, which
bars recovery in tort actions for solely economic losses, barred plaintiffs’ tort claims. The court
agreed with Advocate, noting that the plaintiffs did not respond to this argument and that case
law instructed that the alleged injuries were economic losses (except for emotional distress,
which the court found not to be viable where it was based on speculative harm) and, therefore,
were barred because plaintiffs did not allege that they suffered personal injury or property
damage and because no exception applied.
¶ 15 On July 10, 2014, the Kane County circuit court dismissed, with prejudice, plaintiffs’
complaint. It determined that plaintiffs did not sufficiently allege standing, where they made no
allegations of an actual or certainly impending identity theft. As to the damages element of the
negligence and the Fraud Act claims, the trial court found that dismissal was warranted because
plaintiffs alleged only an increased risk of possible future identity theft, rather than any present
harm. As to the invasion-of-privacy claim, the court similarly found it lacking, where, at most,
Advocate was negligent and where plaintiffs had voluntarily given Advocate the information at
issue. As to the public-disclosure-of-private-facts theory, the court found that the allegations did
not support two elements of such a claim: that Advocate had publicized the information or that
the information was publicized at all. Finally, addressing the economic-loss doctrine, the court
found that plaintiffs could not recover for purely economic losses under tort theories and that
none of the exceptions applied.
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2015 IL App (2d) 140782
¶ 16 Plaintiffs appeal.
¶ 17 II. ANALYSIS
¶ 18 On appeal, plaintiffs argue that the trial courts’ orders dismissing their complaints, for
both lack of standing and failure to state claims, were erroneous. For the following reasons, we
conclude that plaintiffs did not have standing to bring their suits. Accordingly, we need not
reach the alternative bases upon which the trial courts dismissed the complaints.
¶ 19 Advocate’s motions to dismiss were brought pursuant to section 2-619.1 of the Code,
which allows a party to move for dismissal under both sections 2-615 and 2-619. 735 ILCS 5/2-
619.1 (West 2014). A section 2-615 motion to dismiss attacks the legal sufficiency of a
complaint. Carr v. Koch, 2012 IL 113414, ¶ 27. In ruling on such a motion, a court must accept
as true all well-pleaded facts in the complaint, as well as any reasonable inferences that may
arise from them. Bonhomme v. St. James, 2012 IL 112393, ¶ 34. The critical inquiry is whether
the allegations in the complaint, when construed in the light most favorable to the plaintiff, are
sufficient to establish a cause of action upon which relief may be granted. Id. A cause of action
should not be dismissed under section 2-615 unless it is clearly apparent from the pleadings that
no set of facts can be proven that would entitle the plaintiff to recover. Khan v. Deutsche Bank
AG, 2012 IL 112219, ¶ 47.
¶ 20 A motion brought pursuant to section 2-619 admits the sufficiency of the complaint, but
asserts an affirmative defense or other matter that avoids or defeats the claim. Id. ¶ 18. In ruling
on a section 2-619 motion to dismiss, the court must interpret the pleadings and supporting
materials in the light most favorable to the nonmoving party. Van Meter v. Darien Park District,
207 Ill. 2d 359, 367-68 (2003) (quoting In re Chicago Flood Litigation, 176 Ill. 2d 179, 189
(1997)). Lack of standing is an affirmative matter that is properly raised under section 2-
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619(a)(9). Glisson v. City of Marion, 188 Ill. 2d 211, 220 (1999). Where a plaintiff lacks
standing, the proceedings must be dismissed because the lack of standing negates the plaintiff’s
cause of action. Wexler v. Wirtz Corp., 211 Ill. 2d 18, 22 (2004). We review de novo a dismissal
under either section 2-615 or section 2-619. Carr, 2012 IL 113414, ¶ 27.
¶ 21 The doctrine of standing ensures that issues are raised only by those parties with a real
interest in the outcome of the controversy. Wexler, 211 Ill. 2d at 23. Although determining
whether a plaintiff has standing depends on the allegations in the complaint (Barber v. City of
Springfield, 406 Ill. App. 3d 1099, 1101 (2011)), the plaintiff need not allege facts in the
complaint that establish standing (Chicago Teachers Union, Local 1 v. Board of Education, 189
Ill. 2d 200, 206 (2000)). Rather, a plaintiff’s lack of standing is an affirmative defense and, as
such, must be pleaded and proven by the defendant. Lebron v. Gottlieb Memorial Hospital, 237
Ill. 2d 217, 252 (2010). Further, in assessing standing in a class action, which plaintiffs seek
these cases to be, we focus on the named plaintiffs’ allegations, not the general class they purport
to represent. I.C.S. Illinois, Inc. v. Waste Management of Illinois, Inc., 403 Ill. App. 3d 211, 221
(2010).
¶ 22 Standing requires some injury-in-fact to a legally cognizable interest. Greer v. Illinois
Housing Development Authority, 122 Ill. 2d 462, 492-93 (1988) (diminution in value of property
is an injury-in-fact to a legally cognizable interest). To establish standing, the claimed injury can
be actual or threatened and it must be: (1) distinct and palpable; (2) fairly traceable to the
defendant’s actions; and (3) substantially likely to be prevented or redressed by the grant of the
requested relief. Carr, 2012 IL 113414, ¶ 28. These cases focus on the first element.
¶ 23 Turning first to Illinois case law, in Chicago Teachers Union, Local 1, certain high
school physical education teachers and others challenged the constitutionality of a school code
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provision that allowed school districts to petition the State Board of Education for a waiver from
statutory mandates related to the daily requirement for physical education. The supreme court
held that the teachers did not have standing to challenge the statute, rejecting the teachers’
allegations that they would be injured by lost employment opportunities if the waiver were
granted. Chicago Teachers Union, Local 1, 189 Ill. 2d at 208. The court noted that any adverse
consequences, such as diminished need for physical education teachers, was “purely
speculative,” as such classes would be available as electives if a waiver were granted, the scope
of any reduction was “purely conjectural,” and the teachers, who were tenured, would still have
the opportunity to teach ninth and tenth grade students, to whom the waiver would not apply. Id.
at 207-08. The court concluded: “the teachers cannot be said to have sustained or be in
immediate danger of sustaining a direct injury as a result of enforcement of the challenged
statute that is distinct and palpable and substantially likely to be prevented or redressed by the
grant of the requested relief.” (Emphasis added.) Id. at 208.
¶ 24 Here, plaintiffs’ allegations of injury are clearly speculative, and therefore plaintiffs lack
standing to bring suit. Their claims that they face an increased risk of, for example, identity theft
are purely speculative and conclusory, as no such identity theft has occurred to any of the
plaintiffs. Thus, their allegations fail to show a distinct and palpable injury.
¶ 25 Federal standing principles are similar to those in Illinois, and the case law is instructive.
In a federal court, to show standing under article III of the United States Constitution, a plaintiff
must establish the existence of an injury that is: (1) concrete, particularized, and actual or
imminent; (2) fairly traceable to the challenged action; and (3) redressable by a favorable ruling.
Clapper v. Amnesty International USA, 568 U.S. ___, ___, 133 S. Ct. 1138, 1147 (2013). As to
the first prong, an “allegation of future injury may suffice if the threatened injury is ‘certainly
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impending,’ or there is a ‘ “substantial risk” ’ that the harm will occur.” (Emphases added.)
Susan B. Anthony List v. Driehaus, 573 U.S. ___, ___, 134 S. Ct. 2334, 2341 (2014) (quoting
Clapper, 568 U.S. at ___, ___ n.5, 133 S. Ct. at 1147, 1150 n.5). The Clapper Court noted,
however, that “ ‘[a]llegations of possible future injury’ are not sufficient.” (Emphasis added.)
Clapper, 568 U.S. at ___, 133 S. Ct. at 1147 (quoting Whitmore v. Arkansas, 495 U.S. 149, 158
(1990)). It also rejected the objectively-reasonable-likelihood standard, as inconsistent with the
requirement that the threatened injury be certainly impending to constitute an injury-in-fact; a
theory that relies on a highly attenuated chain of events, it noted, does not meet the certainly-
impending standard. Id. at ___, 133 S. Ct. at 1147-48; see, e.g., Peters v. St. Joseph Services
Corp., No. 4:14-CV-2872, 2015 WL 589561, at *7 (S.D. Tex. Feb. 11, 2015) (putative class
action against hospital system following data breach dismissed, where the plaintiff did not have
standing to bring her federal claims; the heightened risk of future identity theft/fraud posed by
the data breach did not confer article III standing on persons whose information might have been
accessed).
¶ 26 Clapper and Susan B. Anthony are the Supreme Court’s most recent pronouncements on
standing that address the injury-in-fact requirement. However, plaintiffs rely on Pisciotta v. Old
National Bankcorp., 499 F.3d 629 (7th Cir. 2007), a pre-Clapper decision, to argue that a mere
increased risk of harm is sufficient to serve as the basis for an injury-in-fact and confer standing.
Id. at 634 (noting that “the injury-in-fact requirement can be satisfied by a threat of future harm
or by an act which harms the plaintiff only by increasing the risk of future harm that the plaintiff
would have otherwise faced, absent the defendant’s actions” (emphasis added)). We agree with
the courts that have held that Clapper “compels rejection of [the plaintiffs’] claim that an
increased risk of identity theft is sufficient to satisfy the injury-in-fact requirement for standing.”
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Strautins v. Trustwave Holdings, Inc., 27 F. Supp. 3d 871, 876 (N.D. Ill. 2014); see also In re
Barnes & Noble Pin Pad Litigation, No. 12-CV-8617, Sept. 3, 2013 WL 4759588, at *3 (N.D.
Ill. 2013); Peters, 2015 WL 589561, at *7. 1 Thus, we do not view Pisciotta, which would be
merely persuasive authority at best (Westlake Financial Group, Inc. v. CDH-Delnor Health
System, 2015 IL App (2d) 140589, ¶ 43), as instructive. 2 As another court has noted, “an
increased risk or credible threat of impending harm is plainly different from certainly impending
harm, and certainly impending harm is what the Constitution and Clapper require.” (Emphases
in original.) In re: Science Applications International Corp. (SAIC) Backup Tape Data Theft
Litigation, 45 F. Supp. 3d 14, 28 (D.D.C. 2014). As plaintiffs here have not alleged that their
personal information has actually been used or that they have been victims of identity theft or
1
There appears to be an intra-circuit split in the Seventh Circuit, with two courts ruling
that Clapper abrogated Pisciotta and one court ruling otherwise. Compare Strautins, 27 F. Supp.
3d at 879, and Barnes & Noble, 2013 WL 4759588, at *3, with Moyer v. Michaels Stores, Inc.,
No. 14C561, 2014 WL 3511500, at *5 (N.D. Ill. July 14, 2014) (disagreeing that Clapper
overruled Pisciotta).
2
It has also been criticized as poorly reasoned. Peters, 2015 WL 589561, at *6 n.9
(noting that medical-device, toxic-substance, and environmental-injury cases, to which Pisciotta
drew analogies, were separate and distinguishable from data-breach cases; in environmental-
injury cases, the standing question was not whether damage had occurred, but rather how it
would manifest; further, monetary awards would likely restore data-breach victims to their
original position, whereas they might not adequately remedy the harms suffered by
environmental-injury victims).
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fraud, the arguably increased risk of such acts as a result of Advocate’s data breach is
insufficient to confer standing as that concept is applied in federal cases.
¶ 27 Plaintiffs further argue that the medical information at issue here warrants a finding that
the harm is implicit. They urge that an actual injury occurs when a medical professional fails to
keep a patient’s medical information private. Such information is, they assert, inherently
personal and particularized to the individual. We reject plaintiffs’ argument. They rely on
Tabata v. Charleston Area Medical Center, Inc., 759 S.E.2d 459 (W. Va. 2014), where the court
held that the petitioners, whose medical records were accidentally placed on the Internet, had
standing under state law to bring causes of action for breach of confidentiality and invasion of
privacy. Id. at 517-18. Tabata is distinguishable because the data in that case was actually
published on the internet for six months (id. at 515 n.1), whereas, here, there has been no known
public disclosure or identity theft or fraud with respect to plaintiffs’ data in the nearly two years
since the burglary.
¶ 28 Plaintiffs also argue that their claims rest not on a speculative chain of possibilities, but
rather on actions that already occurred: the computers were stolen; unencrypted information is
accessible and recoverable by anyone having access to the computers; 3 the data has significant
monetary value; there is a known market for the sale of the data; and “it can be deduced that the
data is being used to the detriment of the” victims. They also point to a similar lawsuit filed in
federal court, also involving victims of the Advocate burglary, where two of the plaintiffs
documented actual exposure to identity theft and fraud. Tierney v. Advocate Health & Hospitals
Corp., No. 13CV6237, 2014 WL 5783333, at *2 (N.D. Ill. Sept. 4, 2014). With respect to the
two plaintiffs who alleged that they were injured, where each was notified of fraudulent activity,
3
Advocate alleged in its filings that the computers were password-protected.
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such as attempted access to bank accounts and opened cell phone accounts, the court found that
they sufficiently alleged standing. However, four of the plaintiffs alleged only a speculative fear
that the information could have been bought and sold and placed them at risk for identity theft,
identity fraud, and medical fraud, and the court concluded that “[w]ithout any allegations to
support their mere conclusion of imminent harm, they fail to establish standing.”
¶ 29 We reject plaintiffs’ arguments and note again that their allegations are merely
speculative. They alleged in their complaints that the records of 4 million patients were affected
by the Advocate burglary. The fact that two plaintiffs to date (out of those 4 million) have
received notification of fraudulent activity, i.e., have suffered actual injury arising from
Advocate’s alleged wrongful acts, does not show that plaintiffs here face imminent, certainly
impending, or a substantial risk of harm as a result of the burglary, where no such activity has
occurred with respect to their personal data. Plaintiffs here are like the four plaintiffs in Tierney
who were unable to allege actual injury and who the district court found had no standing.
¶ 30 We also reject plaintiffs’ claims that they sufficiently alleged “appreciable emotional
injury” as a result of the burglary. Plaintiffs again point to the two Tierney plaintiffs who
received notification of fraudulent activity. They argue that it can be deduced that their data is
being viewed and used in a malicious way, causing them anxiety and emotional distress. Again,
given the speculative and conclusory nature of their allegations and the lack of imminent,
certainly impending, or a substantial risk of harm, this argument fails. See, e.g., Crisafulli v.
Ameritas Life Insurance Co., No. 13-5937, 2015 WL 1969176, at *4 (D.N.J. 2015) (noting that
courts “across the country have rejected ‘emotional distress’ as a basis for standing” (citing
SAIC, 45 F. Supp. 3d at 26 (the plaintiffs “do not have standing based on risk alone, even if their
fears are rational”))); Barnes & Noble, 2013 WL 4759588, at *5 (anxiety insufficient to establish
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standing, where there was no imminent threat of the plaintiff’s information being used in a
malicious way).
¶ 31 Finally, plaintiffs argue that their invasion-of-privacy claims should not have been
dismissed for lack of standing. They contend that the release of the information is sufficiently
egregious without their having to show that it was accessed, because the privacy of their health
care has been compromised. We reject this argument, because case law requires actual
disclosure to a third party and plaintiffs have made no such allegations. See SAIC, 45 F. Supp.
3d at 28-29 (citing cases and holding that the plaintiffs, who did not contend that their personal
information was viewed or exposed in any way that would facilitate easy imminent access, did
not have standing based on invasion of privacy; rather, they were “out of luck”); Barnes &
Noble, 2013 WL 4759588, at *4 (lack of facts alleging disclosure fatal to privacy argument); see
also Ainsworth v. Century Supply Co., 295 Ill. App. 3d 644, 648 (1998) (public disclosure is an
element of invasion-of-privacy tort).
¶ 32 Because we affirm the trial courts’ dismissals under section 2-619(a)(9) based on
plaintiffs’ lack of standing, we need not reach Advocate’s alternative arguments under section 2-
615.
¶ 33 III. CONCLUSION
¶ 34 For the reasons stated, the judgment of the circuit court of Kane County is affirmed, as is
the judgment of the circuit court of Lake County.
¶ 35 Affirmed.
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