Notice: This opinion is subject to correction before publication in the PACIFIC REPORTER.
Readers are requested to bring errors to the attention of the Clerk of the Appellate Courts,
303 K Street, Anchorage, Alaska 99501, phone (907) 264-0608, fax (907) 264-0878, email
corrections@akcourts.us.
THE SUPREME COURT OF THE STATE OF ALASKA
RAYMOND LEAHY, )
) Supreme Court No. S-16781
Appellant, )
) Superior Court No. 3AN-16-07272 CI
v. )
) OPINION
JOHN CONANT and )
CLARE SULLIVAN, ) No. 7342 – March 8, 2019
)
Appellees. )
)
Appeal from the Superior Court of the State of Alaska, Third
Judicial District, Anchorage, Catherine M. Easter, Judge.
Appearances: Raymond Leahy, pro se, Wasilla, Appellant.
Mary B. Pinkel, Assistant Attorney General, Anchorage, and
Jahna Lindemuth, Attorney General, Juneau, for Appellees.
Before: Stowers, Chief Justice, Maassen, Bolger, and
Carney, Justices. [Winfree, Justice, not participating.]
MAASSEN, Justice.
I. INTRODUCTION
A prisoner sued two prison superintendents, claiming that a mail policy
instituted by the Alaska Department of Corrections (DOC) violated his religious rights
because it prohibited him from writing letters to fellow Muslims in two other prisons.
He asked for damages and a declaratory judgment that the mail policy violated the
Alaska Constitution and the federal Religious Land Use and Institutionalized Persons Act
(RLUIPA).
DOC rescinded the policy while the case was pending. The superior court
granted summary judgment in favor of the superintendents, finding that the prisoner was
not entitled to damages because the superintendents had not been personally involved
in creating the policy and that his claims for non-monetary relief were mooted by the
policy’s rescission. The prisoner appeals.
We affirm the superior court’s decision that the prisoner is not entitled to
damages, though on different grounds. We conclude that the superintendents were
entitled to qualified immunity because the prisoner’s right to a religious exception from
the mail policy was not “clearly established” under existing law. We also affirm the
superior court’s decision that the prisoner’s claim for declaratory relief is moot. Finally,
we see no abuse of discretion in the superior court’s handling of the prisoner’s pro se
status or its failure to designate the prisoner as the prevailing party.
II. FACTS AND PROCEEDINGS
Raymond Leahy is a prisoner at Goose Creek Correctional Center (Goose
Creek). He is a practicing Muslim and identifies himself as the Imam of the “Ummah
of Incarcerated Alaskan Muslims.” John Conant and Clare Sullivan, the appellees, have
served as superintendents of Goose Creek and Spring Creek Correctional Facilities,
respectively.
Leahy’s complaint arose from a February 2014 DOC directive that
prohibited mail between prisoners residing at three correctional facilities: Goose Creek,
Spring Creek, and the Anchorage Correctional Complex. Though not in the record, the
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directive is described in several affidavits1 and an implementing memorandum, and its
substance is not in dispute. Sullivan attests that the directive was issued by former DOC
Commissioner Bryan Brandenburg and stemmed from a concern that prisoners returning
from private prisons outside Alaska were involved in gang and drug-trafficking activity
and could “use the prison mail system to pass information for planning and carrying out
assaults, conducting illegal business and drug activities, as well as recruiting and
communicating [gang] activities.” The directive contained exceptions for mail to
“immediate family members” and co-litigants in criminal cases.
According to Leahy, in June 2015 he attempted to send a letter to a prisoner
at Spring Creek who was the Imam in the Spring Creek community. Leahy sent his letter
during Ramadan; he explains that the teachings of the prophet Muhammad require that
he engage in dialogue with Muslims in “communities outside [his] own” and that he
“holds a sincere religious belief that it is obligatory for him to reach out and support
fellow Muslims within the Ummah of Incarcerated Alaskan Muslims.” DOC returned
Leahy’s letter to him as undeliverable.
Leahy sought unsuccessfully to meet with Superintendent Sullivan to
explain why his letter to the Imam was important to his religious practice. He then filed
a grievance, which was denied, and appealed it without success. In June 2016 he filed
a complaint in superior court, asserting that DOC’s refusal to allow him “to reach out and
support fellow Muslims within the Ummah of Incarcerated Alaskan Muslims” placed “a
substantial burden on his religious exercise,” violating his rights under RLUIPA and the
Alaska Constitution and supporting claims for damages and declaratory relief under 42
U.S.C. § 1983. The suit named Conant and Sullivan as defendants in both their official
1
Affidavits were filed by Sullivan and Kevin Horton, who was then acting
superintendent of Goose Creek. Horton’s affidavit described his knowledge of his
predecessor Conant’s actions with regard to the 2014 directive.
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and individual capacities. It sought a declaration “that the acts and ommissions described
herein violate Leahy’s rights”; an order that each of the superintendents “pay nominal
and punitive damages, in the amount of $20,000.00”; an award of “costs, fees, and
postage”; and “any other just and equitable relief [the superior court] deems
appropriate.”2
While the suit was pending — in November 2016 — the 2014 directive was
rescinded by new DOC Commissioner Bruce Busby. According to Sullivan, who had
become Deputy Commissioner, the directive was rescinded because while “the restriction
was appropriate at the time it was issued, it [was] no longer necessary . . . . [since DOC
was] now in a better position to monitor inmate mail than [it had been] two years ago,
and the threat posed by inmate to inmate mail at present [was] not as great as it [had
been] previously.” The new policy restricted mail “only on a case-by-case basis”; the
restriction was to “be no broader than necessary to address . . . safety or security
concerns.”
Leahy filed a motion for summary judgment, contending that the 2014
directive had violated his religious rights, that the rescission of the directive meant that
he was now “entitled to judgment as a matter of law,” and that he was entitled to
damages for the past violation. The superintendents filed a cross-motion for summary
judgment, arguing that Leahy’s claims were now moot, that the superintendents were
otherwise entitled to qualified immunity, and that the 2014 directive did not violate
Leahy’s rights.
The superior court denied Leahy’s motion and granted the superintendents’
cross-motion. The court reasoned that the superintendents could not be liable for
2
Although titled “Complaint for Injunctive Relief[,] Declaratory Judgment
and Damages,” the body of Leahy’s complaint, including its prayer for relief, did not
request an injunction.
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damages under 42 U.S.C. § 1983 because they “did not personally participate in the
decision to institute the mail restriction” and that Leahy’s claims for declaratory and
injunctive relief were moot because of the directive’s rescission.
Leahy appeals.
III. STANDARD OF REVIEW
“We review grants of summary judgment de novo, drawing all factual
inferences in favor of, and viewing the facts in the light most favorable to the
non-prevailing party (generally the non-movant).”3 We will “affirm grants of summary
judgment when there are no genuine issues of material fact, and the prevailing party
(generally the movant) was entitled to judgment as a matter of law.”4 “We may affirm
the superior court on any basis supported by the record, even if that basis was not
considered by the court below or advanced by any party.”5
“We review for abuse of discretion ‘decisions about guidance to a pro se
litigant . . . .’ ”6 Finally, “[w]e review for abuse of discretion a trial court’s prevailing
party determination,” which will be overturned only if it is “manifestly unreasonable.”7
3
Rockstad v. Erikson, 113 P.3d 1215, 1219 (Alaska 2005).
4
Id.
5
Brandner v. Pease, 361 P.3d 915, 920 (Alaska 2015) (quoting Smith v.
Stafford, 189 P.3d 1065, 1070 (Alaska 2008)).
6
Greenway v. Heathcott, 294 P.3d 1056, 1062 (Alaska 2013) (quoting
Shooshanian v. Dire, 237 P.3d 618, 622 (Alaska 2010)).
7
Gov’t Emps. Ins. Co. v. Gonzalez, 403 P.3d 1153, 1160 (Alaska 2017)
(quoting Progressive Corp. v. Peter ex rel. Peter, 195 P.3d 1083, 1092 (Alaska 2008)).
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IV. DISCUSSION
A. The Superintendents Were Entitled To Qualified Immunity From
Leahy’s Damages Claims.
Leahy did not sue the State or DOC; he sued only the two prison
superintendents, in both their official and their individual capacities, alleging that they
violated his rights under the Alaska Constitution and RLUIPA by “denying [his]
correspondence with fellow Muslims in other [DOC] facilities, without justification.”
The superintendents raised qualified immunity as a defense and argued for it as one
ground for summary judgment. The superior court did not rely on that defense when it
decided the case, however, holding instead that under 42 U.S.C. § 1983 the
superintendents could not be liable for violations of Leahy’s religious rights except
“upon a showing of personal participation,” and Leahy failed to show that the
superintendents “personally participate[d] in the decision to institute the mail restriction.”
We note first that the superintendents’ lack of involvement in the directive’s
implementation or say in its enforcement is not a defense to a § 1983 claim. “[S]ince
World War II, the ‘just following orders’ defense has not occupied a respected position
in our jurisprudence, and officers in such cases may be held liable under § 1983 if there
is a reason why any of them should question the validity of that order.”8 “[U]nder the
Supremacy Clause, [government] officials have an obligation to follow the [U.S.]
Constitution even in the midst of a contrary directive from a superior or in a policy.”9
Government officials may thus be liable for damages under § 1983 upon a showing that
they acted unreasonably in following a superior’s lead, or that they knew or should have
8
Kennedy v. City of Cincinnati, 595 F.3d 327, 337 (6th Cir. 2010) (quoting
O’Rourke v. Hayes, 378 F.3d 1201, 1210 n.5 (11th Cir. 2004)).
9
Id. (first alteration in original) (quoting N.N. ex rel. S.S. v. Madison Metro.
Sch. Dist., 670 F. Supp. 2d 927, 933 (W.D. Wis. 2009)).
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known that their conduct might result in a violation of the plaintiff’s constitutional
rights.10
That said, the superintendents were nonetheless entitled to summary
judgment on Leahy’s damages claims because there was no showing that they acted
unreasonably in following the directive; they are therefore protected by qualified
immunity. We “follow federal precedent for determining whether qualified immunity
should be conferred for [official] acts alleged to contravene a statutory or constitutional
mandate.”11 “Specifically, [in Breck v. Ulmer] we adopted a test established by the
United States Supreme Court in Harlow v. Fitzgerald,” under which “qualified immunity
shields public officials from civil liability ‘insofar as their conduct does not violate
clearly established statutory or constitutional rights of which a reasonable person would
have known.’ ”12 The inquiry is an objective one.13 “The burden of establishing that a
10
Hartsfield v. Lemacks, 50 F.3d 950, 956 (11th Cir. 1995); see Estate of
Brown v. Thomas, 771 F.3d 1001, 1005 (7th Cir. 2014) (“Of course if one is told by
one’s superiors to do something that is obviously illegal, it is no defense that one was just
obeying orders; that was a defense conclusively rejected at the Nuremberg trials of Nazi
war criminals.”). The superior court cited Taylor v. List, 880 F.2d 1040, 1045 (9th Cir.
1989) in support of the proposition that § 1983 liability requires “personal participation.”
But Taylor addressed whether superiors who did not participate in, direct, or know about
subordinates’ constitutional violations could be liable on a “respondeat superior” basis,
concluding they could not. Id. This case does not present that issue.
11
Breck v. Ulmer, 745 P.2d 66, 71-72 (Alaska 1987).
12
Maness v. Daily, 307 P.3d 894, 901 (Alaska 2013) (quoting Harlow v.
Fitzgerald, 457 U.S. 800, 818 (1982)).
13
State, Dep’t of Health &Soc. Servs., Office of Children’s Servs. v. Doherty,
167 P.3d 64, 69 (Alaska 2007).
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right is clearly established falls upon the plaintiff.”14
1. Federal precedent favors the constitutionality of similar mail
restrictions.
We conclude that Leahy did not demonstrate the existence of a “clearly
established right” of which a reasonable prison official would have known. Alaska case
law has not definitively addressed the issue of restrictions on prisoner-to-prisoner mail.
And federal law favors the constitutionality of the directive at issue; the United States
Supreme Court deferred to a prison system’s similar mail restrictions in Turner v. Safley,
a case with close parallels to this one.15
In Turner, Missouri prisoners brought a constitutional challenge against a
mail policy that only allowed “correspondence between inmates [at different state
prisons] . . . if ‘the classification/treatment team of each inmate deem[ed] it in the best
interest of the parties involved.’ ”16 The policy exempted mail sent between family
members and mail concerning legal matters.17 A federal district court held the policy
unconstitutional, finding that it was “unnecessarily broad . . . because prison officials
could effectively cope with the security problems raised by inmate-to-inmate
correspondence through less restrictive means, such as scanning the mail of potentially
14
Id.
15
482 U.S. 78 (1987). We applied the Turner analysis in Larson v. Cooper,
when we considered and rejected a prisoner’s claim that limits on physical contact with
visitors violated his religious rights under the federal constitution. 90 P.3d 125, 129-31
(Alaska 2004).
16
482 U.S. at 81-82.
17
Id. at 81.
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troublesome inmates.”18 The Court of Appeals for the Eight Circuit affirmed.19
The Supreme Court reversed. While acknowledging that “[p]rison walls
do not form a barrier separating prison inmates from the protections of the Constitution,”
the Court observed that “[r]unning a prison is an inordinately difficult undertaking that
requires expertise, planning, and the commitment of resources, all of which are
peculiarly within the province of the legislative and executive branches of
government.”20 The Court concluded that “when a prison regulation impinges on
inmates’ constitutional rights, the regulation is valid if it is reasonably related to
legitimate penological interests.”21 Such a deferential standard is necessary, the Court
reasoned, to ensure that “the difficult judgments concerning institutional operations” are
left primarily to prison administrators rather than judges.22 Factors relevant to
determining whether a regulation is reasonable include (1) whether there is “a ‘valid,
rational connection’ between the prison regulation and the legitimate governmental
interest put forward to justify it”;23 (2) “whether there are alternative means of exercising
the right that remain open to prison inmates”24; (3) “the impact accommodation of the
18
Id. at 83.
19
Id.
20
Id. at 84-85.
21
Id. at 89.
22
Id. (quoting Jones v. N.C. Prisoners’ Labor Union, Inc., 433 U.S. 119, 128
(1977)).
23
Id. at 89 (quoting Block v. Rutherford, 468 U.S. 576, 586 (1984)).
24
Id. at 90.
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asserted constitutional right will have on guards and other inmates, and on the allocation
of prison resources generally;”25 and (4) “the absence of ready alternatives.”26
The Supreme Court found the Missouri mail restriction constitutional under
this test. The Court first cited trial testimony that the restriction “was promulgated
primarily for security reasons” — much like those that prompted the directive at issue
here27 — and was “logically connected to these legitimate security concerns.”28 The
Court noted that the policy did not “deprive prisoners of all means of expression”
because it barred “communication only with a limited class of other people with whom
prison officials [had] particular cause to be concerned.”29 It observed that allowing
unrestricted mail between prisoners could affect the safety of guards and other prisoners,
and “[w]here exercise of a right requires this kind of tradeoff, we think that the choice
made by corrections officials — which is, after all, a judgment ‘peculiarly within [their]
province and professional expertise,’ — should not be lightly set aside by the courts.”30
Finally, the Court noted that there were “no obvious, easy alternatives to” the Missouri
mail policy; the one identified by the inmates — reviewing all inmate correspondence
25
Id.
26
Id.
27
Id. at 91 (discussing testimony about inter-institution mail being “used to
communicate escape plans and to arrange assaults and other violent acts” and the attempt
to combat gang violence “both by transferring gang members to different institutions and
by restricting their correspondence”).
28
Id.
29
Id. at 92.
30
Id. at 92-93 (quoting Pell v. Procunier, 417 U.S. 817, 827 (1974)).
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— “clearly would impose more than a de minimis cost on the pursuit of legitimate
corrections goals.”31
2. Federal precedent would not lead a state corrections official to
believe that the challenged mail policy violated a clearly
established right.
An objective application of the Turner analysis to DOC’s mail policy leads
to a similar conclusion in this case. Sullivan’s affidavit explained that the policy was
instituted in reaction to concerns “that Alaska inmates, in particular inmates who were
returning from private prisons out of state, were affiliated with gangs and involved with
drug trafficking” and that they “would use the prison mail system to pass information for
planning and carrying out assaults, conducting illegal business and drug activities, as
well as recruiting and communicating security threat group (‘STG’) activities.”
Addressing such concerns is a legitimate penalogical interest, and there is a rational
connection between this interest and the restrictions on prisoner-to-prisoner mail.32
Leahy had alternative means of exercising his faith’s requirement that he communicate
with Muslim communities outside his own; the only restriction was on letters to two
other prisons.33
Less clear is the application to this case of the third and final Turner factors
— “the impact accommodation of the asserted constitutional right will have on guards
and other inmates, and on the allocation of prison resources generally,” and “the absence
31
Id. at 93.
32
See id. at 89; Larson v. Cooper, 90 P.3d 125, 129 (Alaska 2004) (“Prison
security is a compelling governmental interest, and limitations on contact visits are
rationally related to this interest.”).
33
See Turner, 482 U.S. at 90.
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of ready alternatives.”34 In the superior court, Leahy urged that the way to accommodate
his constitutional rights was by compliance with the existing regulation, 22 AAC
05.520(c)(1), which contains no restrictions on addressees but rather contemplates DOC
review of individual pieces of mail “upon reasonable grounds to believe that the content
falls into any of the categories” of content specifically prohibited by the regulation,
including, for example, threats, plans for smuggling contraband, coded messages, and
unauthorized solicitations. And in fact DOC returned to a method of individualized
review after the directive was rescinded. This could imply that accommodating Leahy’s
asserted right to send mail to other prisoners while still maintaining an appropriate level
of security was not particularly challenging in terms of security or “the allocation of
prison resources generally.”
But Sullivan attested that the directive was rescinded “because, although
the restriction was appropriate at the time it was issued, it is no longer necessary,”
explaining that “[t]he correctional facilities are now in a better position to monitor inmate
mail than they were two years ago, and the threat posed by inmate to inmate mail at
present is not as great as it was previously.” This explanation lacks detail, but it was not
disputed on summary judgment, and we may therefore assume it to be true for purposes
of our review.35 We conclude that an analysis of the Turner factors leads to the same
result in this case as it did in Turner.
Courts in some cases have concluded that prisoner’s religious rights are
“clearly established” such that prison officials accused of violating them are not entitled
to qualified immunity. In Hayes v. Long, the Eighth Circuit affirmed a district court’s
34
Id.
35
Alaska Travel Specialists, Inc. v. First Nat’l Bank of Anchorage, 919 P.2d
759, 762 (Alaska 1996) (“[We] appl[y] [our] independent judgment in reviewing a [trial]
court’s application of law to undisputed facts.”)
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decision that prison officials were not entitled to qualified immunity after disciplining
a Muslim prisoner who refused to serve pork.36 The court observed that previous cases
in the Arkansas district where the prison was located had “clearly established . . . that
Muslim inmates have the right to avoid contact with pork or with any food that has been
contaminated by pork” and that the Arkansas Department of Corrections had been a
defendant in one such case.37 Courts have also rejected the immunity defense for prison
officials who refused to send mail for prisoners who used an assumed religious name,
reasoning that the issue “has been litigated extensively and courts have consistently
recognized an inmate’s First Amendment interest in using his new, legal name . . . .”38
But case law shows no similar “clearly established right” in the context of prisoner-to
prisoner mail.
Indeed, because the Supreme Court upheld similar prisoner-to-prisoner mail
restrictions in Turner, we would be hard pressed to conclude that existing case law
would have alerted reasonable corrections officials that a general ban on such
correspondence was unconstitutional absent an exception for religious communications.
The superintendents therefore had qualified immunity from suit and were entitled to
summary judgment on Leahy’s damages claims on that basis.
36
72 F.3d 70 (8th Cir. 1995).
37
Id. at 72, 74; see also Williams v. Bitner, 455 F.3d 186, 191-94 (3d Cir.
2006) (holding that prison official was not entitled to qualified immunity after forcing
Muslim prisoner to handle pork when other cases clearly established Muslims’ right to
avoid such contact).
38
Malik v. Brown, 71 F.3d 724, 729-30 (9th Cir. 1995); see also Masjid
Muhammad-D.C.C. v. Keve, 479 F. Supp. 1311, 1327 (D. Del. 1979) (disallowing
qualified immunity defense for prison superintendent who refused to deliver mail if
addressed to the prisoner only in his adopted Muslim name).
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B. Leahy Has No Viable Damages Claims Under RLUIPA Against The
Individual Superintendents, And His Declaratory Judgment Claim Is
Moot.
One basis of Leahy’s lawsuit was RLUIPA.39 The cause of action available
under RLUIPA for litigants like Leahy is a suit for injunctive or declaratory relief against
defendants in their official capacity. Qualified immunity does not bar such a suit under
federal law.40 RLUIPA does not authorize damage awards against states or individual
state actors.41
In his complaint, Leahy requested a declaratory judgment “that the acts and
omissions described herein violate [his] rights under the Alaska Constitution, the
[RLUIPA], and the Alaska [DOC’s] own Policies and Procedures.” He sought summary
judgment on this claim for declaratory relief, arguing that despite the directive’s
rescission the court should “call[] out defendants[] as having violated plaintiff’s
protected rights.” Though conceding in his summary judgment pleadings that any claim
39
42 U.S.C. § 2000cc et seq. (2012).
40
See Kentucky v. Graham, 473 U.S. 159, 166-67 (1985) (noting that
“personal immunity defenses, such as objectively reasonable reliance on existing law,”
are unavailable “[i]n an official-capacity action”); Vance v. Barrett, 345 F.3d 1083, 1091
n.10 (9th Cir. 2003) (“[A] defense of qualified immunity is not available for prospective
injunctive relief.”); Presbyterian Church (U.S.A.) v. United States, 870 F.2d 518, 527
(9th Cir. 1989) (“Qualified immunity is an affirmative defense to damage liability; it
does not bar actions for declaratory or injunctive relief.”).
41
See Sossamon v. Texas, 563 U.S. 277, 285-86 (2011) (holding that
“RLUIPA’s authorization of ‘appropriate relief against a government,’ is not the
unequivocal expression of state consent that [the Court’s] precedents require” for a
finding that the state has waived its sovereign immunity from damages suits (internal
citations omitted)); Jones v. Williams, 791 F.3d 1023, 1031 (9th Cir. 2015) (“RLUIPA
does not authorize suits for damages against state officials in their individual capacities
because individual state officials are not recipients of federal funding and nothing in the
statute suggests any congressional intent to hold them individually liable.”).
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for injunctive relief had “become moot,” he argued in his motion for reconsideration that
a declaratory judgment would serve essentially the same purpose: A “declaratory
judgment would have satisfied Plaintiff of no future relapse of the ban.”
The Declaratory Judgment Act provides in relevant part: “In case of an
actual controversy in the state, the superior court . . . may declare the rights and legal
relations of an interested party seeking the declaration, whether or not further relief is or
could be sought.”42 We have held that “[t]his provision requires declaratory judgment
actions to be associated with an actual case or controversy; they do not open the door for
hypothetical adjudications, advisory opinions, or answers to moot questions.”43
We have also held that “[c]laims for declaratory relief are commonly moot
when the statute or regulation at issue is no longer in effect or has been amended.”44
42
AS 22.10.020(g).
43
Laverty v. Alaska R.R. Corp., 13 P.3d 725, 729 (Alaska 2000); see also
Williams v. Alioto, 549 F.2d 136, 141 n.4 (9th Cir. 1977) (noting that the mootness
doctrine applies in the declaratory judgment context).
44
Alaska Judicial Council v. Kruse, 331 P.3d 375, 380 (Alaska 2014); see,
e.g., Ahtna Tene Nené v. State, Dep’t of Fish & Game, 288 P.3d 452, 458 (Alaska 2012)
(holding appeal moot because challenged hunting regulation was “no longer in effect”
after having been substantially amended, and noting: “We have long held that challenges
to administrative permitting decisions based on rules that are no longer valid are moot,
despite the fact that permit opponents seek declaratory judgments that the agency actions
were unlawful.”); State, Dep’t of Nat. Res. v. Greenpeace, Inc., 96 P.3d 1056, 1068
(Alaska 2004) (concluding that appeal from DNR decision to lift stay on issuance of
temporary water permit was moot when “the controlling statute and regulation were both
amended in 2001, after the permit expired and before the superior court ruled on the stay
issue”); Peninsula Mktg. Ass’n v. State, 817 P.2d 917, 920 (Alaska 1991) (interpreting
statute granting regulatory powers to Board of Fisheries under public interest exception
to mootness doctrine but declining to address claims “about the particular regulation in
this case” because it was no longer in effect); Carney v. State Bd. of Fisheries, 785 P.2d
(continued...)
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“This is because ‘[i]ssuing a decision regarding regulations that are no longer in effect
is merely an academic exercise; it provides no explanation of a party’s rights under the
existing law.’ ”45 Leahy does not dispute that the mail policy to which he objects was
changed in November 2016 to an individualized-review policy that he finds
unobjectionable. Judicial review to determine the constitutionality of the earlier policy,
in existence for less than three years and now replaced, would be a purely “academic
exercise.” The superior court did not err by deciding that Leahy’s claim for declaratory
relief was moot.46
44
(...continued)
544, 549 (Alaska 1990) (affirming dismissal of claims of set netters whose claims were
mooted after State amended regulation to remove restrictions from beach where they
fished).
45
Alpine Energy, LLC v. Matanuska Elec. Ass’n, 369 P.3d 245, 257 (Alaska
2016) (quoting Ahtna Tene Nené, 288 P.3d at 457).
46
We recognized in Slade v. State, Dep’t of Transp. & Pub. Facilities that,
under federal law, the “voluntary cessation” of a challenged practice might not moot the
challenge unless “subsequent events made it absolutely clear that the allegedly wrongful
behavior could not reasonably be expected to recur.” 336 P.3d 699, 700 (Alaska 2014)
(quoting Friends of the Earth, Inc. v. Laidlaw Envtl. Servs. (TOC), Inc., 528 U.S. 167,
189 (2000)). In Slade we determined that this test was satisfied by the Attorney
General’s “unambiguous policy statement,” which was binding in Slade and which
“other litigants [would] be aware of” because of our published order addressing it. Id.
at 701. The facts here are similar. The Commissioner’s express policy as of November
2018 is “that prisoners may correspond with anyone except those persons and businesses
limited by this [written] policy.” STATE OF ALASKA DEP’T OF CORR. POLICIES &
PROCEDURES 810.03 at 1 (2018), http://www.correct.state.ak.us/pnp/pdf/810.03.pdf.
Prisoner-to-prisoner mail may not be restricted except as required for reasons of safety
or security; restrictions will then be imposed “only on a case-by-case basis,” and “[t]he
restriction must be no broader than necessary to address the safety or security concerns.”
Id. at § IV(C)(1), (2). The prior policy is explicitly superceded, and the new one is not
due for review until November 2023. Id. at 1. We conclude that the Commissioner’s
(continued...)
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C. The Superior Court Did Not Abuse Its Discretion With Regard To
Leahy’s Status As A Pro Se Litigant.
Leahy asserts that the superior court erred by failing to advise him to add
former Commissioner Brandenberg as a defendant and by striking a pleading he filed in
response to the superintendents’ reply to his opposition to its cross-motion for summary
judgment. “In general, pro se litigants are granted considerable leeway with regard to
procedural requirements.”47 But while the court “should inform a pro se litigant of the
proper procedure for the action he or she is obviously attempting to accomplish,”48
judges “must be careful to maintain their impartiality” and “may not act as advocates for
pro se litigants on substantive legal issues.”49
Advising a litigant to add a particular party defendant would usually cross
the line from procedural advice to substantive advocacy.50 The superior court did not
abuse its discretion by failing to do so. Nor did the superior court abuse its discretion by
46
(...continued)
new “unambiguous policy statement” satisfies the test of Slade. See, e.g., Brown v.
Buhman, 822 F.3d 1151, 1167-68 (10th Cir. 2016) (“[W]e have indicated that
government ‘self-correction . . . provides a secure foundation for mootness so long as it
seems genuine.’ ” (quoting Rio Grande Silvery Minnow v. Bureau of Reclamation, 601
F.3d 1096, 1118 (10th Cir. 2010))).
47
Greenway v. Heathcott, 294 P.3d 1056, 1071 (Alaska 2013).
48
Breck v. Ulmer, 745 P.2d 66, 75 (Alaska 1987).
49
Rae v. State, Dep’t of Corr., 407 P.3d 474, 479 (Alaska 2017).
50
In any event, we note that under our discussion of qualified immunity,
above, former Commissioner Brandenberg would have been protected by the defense,
and the result of this suit would have been the same. See Tracy v. State, Dep’t of Health
& Soc. Servs., Office of Children’s Servs., 279 P.3d 613, 617-18 (Alaska 2012) (finding
no abuse of discretion in superior court’s failure to advise plaintiffs they could amend
complaint when their claims would have been dismissed regardless).
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striking Leahy’s response to the superintendents’ reply on summary judgment; the
response was not authorized by the Civil Rules,51 and the superior court’s obligation to
advise pro se litigants of the proper procedure does not require it to grant more
procedural rights than the Rules allow litigants generally.
D. An Argument That Leahy Should Have Been Designated The
Prevailing Party Is Waived.
Finally, Leahy contends that, “[g]iven that [DOC] decided to rescind the
ban, after having been served [with this lawsuit], [Leahy] naturally believed he won the
case,” and he asks that we award him “all costs and fees paid in the course of this case.”
Though he makes no substantive argument, his claim could be read leniently as one for
prevailing party status based on the catalyst theory, which may apply “when a lawsuit
brings about relief in a manner other than formal judgment.”52 A party seeking
prevailing party status under the catalyst theory “must demonstrate (1) that it achieved
the goal of the litigation by succeeding on any significant issue which achieves some of
the benefit sought in bringing the suit, and (2) that there is a causal connection between
the defendant’s action generating relief and the lawsuit.”53
But Leahy made no prevailing party argument in the trial court. After the
superior court granted summary judgment and denied Leahy’s subsequent motion for
reconsideration, the superintendents moved for entry of final judgment, disclaiming any
intent “to seek attorney’s fees or costs.” Leahy did not oppose the superintendents’
51
Alaska Rules of Civil Procedure Civil Rules 56(c) and 77(b)-(d)
contemplate a motion, an opposition, and a reply.
52
Interior Cabaret, Hotel, Rest. & Retailers Ass’n v. Fairbanks N. Star
Borough, 135 P.3d 1000, 1008 (Alaska 2006).
53
Progressive Corp. v. Peter ex rel. Peter, 195 P.3d 1083, 1094 (Alaska
2008) (quoting Interior Cabaret, 135 P.3d at 1008).
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motion, and the court signed a final judgment that made no determination of prevailing
party status and awarded no fees or costs. Having failed to raise a prevailing party
argument in the trial court, Leahy cannot raise one for the first time on appeal.54
V. CONCLUSION
The judgment of the superior court is AFFIRMED.
54
See Ivy v. Calais Co., 397 P.3d 267, 275 (Alaska 2017).
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