F I L E D
United States Court of Appeals
Tenth Circuit
PU BL ISH
June 27, 2006
UNITED STATES CO URT O F APPEALS Elisabeth A. Shumaker
Clerk of Court
TENTH CIRCUIT
SH A U N A G O ME S; D O MIN G OS
GOM ES; and REBEKAH GOM ES,
Plaintiffs-A ppellants,
v. No. 04-4197
D EBOR AH A . WO O D ; M EG A N
ANNES; KERRI KETTERER; and
TESS BLACKM ER,
Defendants-Appellees.
A PPEA L FR OM TH E U NITED STA TES D ISTR IC T C OU RT FO R TH E
D ISTR IC T O F U TA H
(D .C . No. 2:01-CV-735-PGC)
Steven C. Russell, Affordable Legal Advocates, P.C., Salt Lake City, Utah, for
Plaintiffs-Appellants.
J. Clifford Peterson, Office of the Attorney General (Brent A. Burnett, Peggy E.
Stone, and Peter L. Rognlie, Assistant Attorneys General, and M ark L. Shurtleff,
Attorney General, on the brief), Salt Lake City, Utah, for D efendants-A ppellees.
Before H EN RY, M cKA Y, and T YM KOVICH, Circuit Judges.
H EN RY , Circuit Judge.
On April 30, 2000, M egan Annes, a child protection caseworker with the
Utah Division of Child and Family Services, removed nine-month-old Rebekah
Gomes from Rebekah’s home and placed her in protective custody. M s. Annes’s
decision was based on a four-inch linear skull fracture that Rebekah’s treating
physician had reported to Child and Family Services four days earlier. In
September 2000, the Division of Child and Family Services found that protective
custody was no longer w arranted and returned Rebekah to her family.
Rebekah and her parents, Shauna and Domingo Gomes, then filed this 42
U.S.C. § 1983 action against M s. Annes, Kerri Ketterer and Tess Blackmer (M s.
Annes’s supervisors), and Assistant Attorney General Deborah W ood. The
Gomeses alleged that the removal of Rebekah from their home without prior notice
and a hearing violated their due process rights under the Fourteenth Amendment.
The district court granted summary judgment to all the defendants. Relying
on Carey v. Piphus, 435 U.S. 247 (1978), the court reasoned that the state’s
affording the Gomeses a post-removal hearing on M ay 3, 2000 foreclosed their
claims for damages for failing to provide a pre-removal hearing. The court also
indicated that “it likely would have reached the same result” on alternative
grounds— that emergency circumstances justified removal without a hearing and
that the defendants w ere entitled to qualified immunity. Aplts’ A pp. at 941 (D ist.
Ct. Order, filed July 16, 2004).
2
W e disagree with the district court’s application of Carey to these facts, but
we affirm its decision for a different reason: we hold that because M s. Annes did
not violate clearly established law of which a reasonable official would have
known, she and the other defendants are entitled to qualified immunity.
I. BACKGROUND
A. The Removal of Rebekah
On April 26, 2000, Shauna G omes took Rebekah to her pediatrician, Dr.
Brent Knorr. She told Dr. Knorr that Rebekah had injured her head on the
previous day when she fell off the bed. She reported that Rebekah had slept a lot
since the fall and was “cranky” and “clingy.” Aplts’ A pp. at 585.
Dr. Knorr examined Rebekah and found a large amount of swelling. An x-
ray revealed a four-inch parietal fracture on Rebekah’s skull. However, there was
no depressed fracture— a significant finding because such fractures are more likely
to injure the brain. The fracture was linear, not star-shaped, which suggested to
Dr. K norr that it had been caused by a blunt trauma.
Dr. Knorr found M s. Gomes’s explanation of the injury “possible but
suspicious.” Id. at 930. He stated that the shape of Rebekah’s fracture was
“consistent with a fall on a flat object.” Id. at 929. However, in deposition
testimony, he explained that he had seen many children w ho had fallen from beds,
or objects of similar heights, but had not suffered the kind of fracture that he had
3
seen on Rebekah. Dr. Knorr w as also concerned that M s. Gomes had waited until
the day after Rebekah’s injury to seek medical attention. To Dr. Knorr, the delay
in seeking care was “one of the warning signs that maybe something--wasn’t on
par with what I was told.” Id. at 596.
Dr. Knorr prescribed M otrin. He told M s. Gomes that he was required to
report the fracture (and M s. Gomes’s explanation of it) to the Division of Child
and Family Services. Nevertheless, he sent Rebekah home and told M s. Gomes
that he was comfortable doing so.
Dr. Knorr then reported the incident to Child and Family Services by
telephone. The intake caseworker responded that, because the matter did not
appear to be an emergency, an investigator would call him back on the following
day.
On April 27, 2000, M s. Gomes returned to the doctor’s office with Rebekah.
She was concerned that Rebekah had been vomiting. Dr. Knorr was out of the
office, but his partner examined Rebekah and concluded that the vomiting was
caused by the stomach flu and not by the head injury.
On April 28, 2000, M s. Gomes again returned to D r. Knorr’s office for a
follow -up visit. She asked him if he had contacted Child and Family Services,
noting that no one had contacted her. Evidently, no one had contacted Dr. Knorr
either, as he responded that he would follow up with the agency. He concluded
that Rebekah was doing well, and he again “felt comfortable leaving the child in
4
her mother’s care.” Id. at 930-31.
On the same day, Dr. Knorr spoke by telephone with the defendant M egan
Annes, a caseworker in the Division of Child and Family Services. He told her
that “the mother’s explanation was possible but suspicious” but that he “felt
comfortable leaving [Rebekah] in her mother’s care.” Id. at 930.
After speaking with D r. Knorr, M s. Annes met with her supervisors, Tess
Blackmer and Kerri Ketterer (who are also named as defendants in this case).
They advised M s. Annes that it might be necessary to take Rebekah into protective
custody immediately— without first conducting a hearing. M s. Blackmer indicated
that “there were substantial reasons to believe that there was a substantial danger
to Rebekah’s physical health and safety.” Id. at 550. M s. Blackmer based that
conclusion on the severity of Rebekah’s skull fracture, Dr. Knorr’s suspicions
regarding M s. Gomes’s explanation of the fracture, the Gomeses’ apparent delay
in seeking medical treatment for the fracture, Rebekah’s young age, and the
possibility that further medical treatment for the skull fracture might be delayed.
Id. M s. Ketterer added that she did not find M s. Gomes’s explanation of
Rebekah’s injury to be credible. See id. at 556 (stating that “[b]ased on my
training and experience . . . I did not believe it was possible for a nine-month-old
child to receive a four-inch skull fracture from a two-foot fall off a bed because of
the softness of a baby’s skull bones”). Both supervisors advised M s. Annes to
investigate further and to seek legal advice.
5
M s. Annes then telephoned the defendant Deborah W ood, an Assistant
Attorney General for the State of Utah in the child services division (and the
fourth defendant in this case). M s. W ood also concluded that Rebekah’s “physical
health and safety were in substantial danger.” Id. at 563. M s. W ood and M s.
Annes agreed that M s. Annes should conduct a home visit. M s. W ood advised M s.
Annes that “if [M s. Annes] concluded there was substantial cause to believe that
placing Rebekah Gomes into protective custody was necessary to protect her from
a substantial danger to her physical health and safety, the decision would comply
with the applicable state statutes.” Id. at 564. M s. W ood added that she would
support the removal by filing a petition in the juvenile court seeking an out-of-
home placement. Id.
On the following day, April 29, 2000, M s. Annes contacted a police
detective and proceeded with him to the Gomeses’ home. They arrived at 12:30
p.m. but discovered that no one was there.
On April 30, 2000, M s. Annes and another police officer returned to the
Gomeses’ home and interviewed them there. M s. Annes asked how Rebekah had
been injured. After M s. Gomes offered the same explanation that she had given to
Dr. Knorr, M s. Annes inspected the bed and the floor where M s. Gomes
maintained that Rebekah had fallen. Her inspection confirmed her view that M s.
Gomes’s explanation was not plausible. M s. Annes was also concerned because
M s. Gomes told her that she had not noticed the fracture until the day after the
6
fall. Accordingly, M s. Annes decided to take Rebekah into protective custody and
removed her from the Gomeses’ home.
On M ay 3, 2000, Assistant Attorney General W ood filed a petition for
custody in the Utah County Fourth District Juvenile Court. The petition recited
the facts surrounding Rebekah’s skull fracture, alleged that there was a substantial
danger to Rebekah’s health and safety, and requested the court to award custody to
the Division of Child and Family Services for out-of-home care and placement.
The court conducted a hearing on the same day. The Gomeses were represented
by counsel, and they agreed that Rebekah could be placed in the temporary
custody of the Division of Child and Family Services. Rebekah remained in state
custody until September 2000, when the Division of Child and Family Services
determined that the circumstances warranted returning her to her family.
B. The G omeses’ Section 1983 Action
In September 2001, the G omeses filed this 42 U .S.C. § 1983 action against
M s. Annes, M s. Ketterer, M s. Blackmer, and M s. W ood. They asserted that taking
Rebekah into state custody without prior notice and a hearing violated their due
process rights under the Fourteenth Amendment, and they sought actual damages
for this alleged constitutional violation.
The G omeses and the defendant state officials each moved for sum mary
judgment, and the district court granted summary judgment to all the defendants.
7
The court reasoned that the state court’s finding after a post-removal hearing that
Rebekah should remain in state custody foreclosed the Gomeses’ claim for
damages arising out of failure to provide a pre-removal rehearing. According to
the district court, “[t]he Supreme Court had made clear that where an adverse
action would have nevertheless been taken had the plaintiff received adequate due
process, the plaintiff would not be entitled to recover damages to compensate her
for the adverse action.” Aplts’ App. at 939 (discussing Carey v. Piphus, 435 U.S.
247 (1978)). “In such circumstances, ‘the failure to accord procedural due process
could not properly be viewed as the cause of the [adverse action]’ and to ‘aw ard
damages for injuries caused by [such action] would constitute a windfall, rather
than compensation.’” Id. at 939-40 (quoting Carey, 435 U.S. at 260).
The district court also concluded that it would likely reach the same result
on two alternative grounds. First, the court stated, there were emergency
circumstances posing an immediate threat to Rebekah’s safety. As a result, the
Due Process Clause of the Fourteenth Amendment did not require a pre-removal
hearing. Id. at 941 & n.6 (citing Roska v. Peterson, 328 F.3d 1230, 1245 (10th
Cir. 2003)). 1 Second, the court suggested that the defendants might be entitled to
qualified immunity because they had relied on (a) a state statute, Utah Code Ann.
1
This court has issued three opinions in the cited case: Roska v. Peterson, 437
F.3d 964 (10th Cir. 2006) (Roska III); Roska v. Peterson, 328 F.3d 1230 (10th
Cir. 2003) (Roska II); and Roska v. Peterson, 304 F.3d 982 (10th Cir. 2002)
(R oska I).
8
§ 64A -4a-202.1 (1998), that authorized removal without a hearing if there was a
substantial danger to the physical health or safety of the child; and (b) the advice
of Assistant Attorney General W ood.
II. D ISC USSIO N
On appeal, the Gomeses first argue that the district court erred in ruling that
their claims were foreclosed by the state-court findings at the M ay 3, 2000 hearing
that the removal of Rebekah was justified. They then contend that they were
entitled to notice and a hearing before Rebekah was removed from their home on
April 30, 2000, and that they should be allowed to recover damages for this
violation of their due process rights.
In response, M s. Annes, M s. Ketterer, M s. Blackmer, and M s. W ood defend
the district court’s reliance on the state court’s findings. They also argue that the
district court’s grant of summary judgment may be affirmed on the alternative
ground that they are entitled to qualified immunity.
W e review the district court’s grant of summary judgment de novo, applying
the same legal standards as employed by the district court. B-S Steel Of Kan., Inc.
v. Tex. Indus., 439 F.3d 653, 660 (10th Cir. 2006). W e review the record in the
light most favorable to the party opposing summary judgment. Id. W hen, as here,
there are no genuine issues of material fact in dispute, w e review the case to
determine if the district court correctly applied the substantive law. Gamble,
9
Simmons & Co. v. Kerr-M cG ee Corp., 175 F.3d 762, 766 (10th Cir. 1999).
W e begin by reviewing the requirements of the Due Process Clause when
the state seeks to remove children from the home. Then, we proceed to the
parties’ arguments regarding the significance of the post-removal hearing and the
defense of qualified immunity.
A. Removing C hildren from the H ome in Emergency Circumstances
Under the Fourteenth Amendment to the United States Constitution, parents
have a protected liberty interest in the care, custody and control of their children.
Troxel v. Granville, 530 U.S. 57, 65 (2000). That interest is “perhaps the oldest of
the fundamental liberty interests recognized by [the Supreme] Court.” Id. (citing
Pierce v. Soc. of Sisters, 268 U.S. 510, 534-35 (1925); M eyer v. Nebraska, 262
U.S. 390, 399, 401 (1923)); see also W isconsin v. Yoder, 406 U.S. 205, 232,
(1972) (“The history and culture of Western civilization reflect a strong tradition
of parental concern for the nurture and upbringing of their children. This primary
role of the parents in the upbringing of their children is now established beyond
debate as an enduring American tradition.”). As a result, state officials may not
remove children from the home, through either temporary seizures or the
permanent termination of parental rights, without providing due process of law.
Santosky v. Kramer, 455 U.S. 745, 753-54 (1982); Roska II, 328 F.3d at 1245.
Nevertheless, the parents’ liberty interest is not absolute. States have a
10
parens patriae interest in preserving and promoting children’s welfare, Santosky,
455 U.S. at 766, including “a ‘traditional and transcendent’ interest” in protecting
children from abuse, J.B. v. W ashington County, 127 F.3d 919, 927 (10th Cir.
1997) (quoting M aryland v. Craig, 497 U.S. 836, 855 (1990)).
As a result, w hen a state agency seeks to remove children from the home,
due process requires that the parents receive prior notice and a hearing, except in
“extraordinary situations where some valid governmental interest is at stake that
justifies postponing the hearing until after the event.” Spielman v. Hildebrand,
873 F.2d 1377, 1385 (10th Cir. 1989) (quoting Smith v. Org. of Foster Families
for Equal. & Reform, 431 U .S. 816, 848 (1977)). These “extraordinary situations”
include “[e]mergency circumstances w hich pose an immediate threat to the safety
of a child.” H ollingsworth v. Hill, 110 F.3d 733, 739 (10th Cir. 1997). However,
“the ‘mere possibility’ of danger is not enough to justify a removal without
appropriate process.” Roska II, 328 F.3d at 1245 (quoting Tenenbaum v.
W illiams, 193 F.3d 581, 594 (2d Cir. 1999)).
Importantly, even when such a pre-hearing removal is justified, the state
must act promptly to provide a post-removal hearing. See K.D. v. County of Crow
W ing, 434 F.3d 1051, 1056 n.6 (8th Cir. 2006) (“Once a child is removed from
parental custody without a court order, the state bears the burden to initiate prompt
judicial proceedings to provide a post deprivation hearing.”); Brokaw v. M ercer
County, 235 F.3d 1000, 1020 (7th Cir. 2000) (“[D]ue process guarantees that the
11
post-deprivation judicial review of a child’s removal be prompt and fair.”);
Campbell v. Burt, 141 F.3d 927, 929 (9th Cir. 1998) (stating that “[f]ederal
procedural due process guarantees prompt post-deprivation judicial review in child
custody cases”); W eller v. Dep’t of Soc. Servs. for Baltimore, 901 F.2d 387, 396
(4th Cir. 1990) (“[E]ven if it is constitutionally permissible to temporarily deprive
a parent of the custody of a child in an emergency, the state has the burden to
initiate prompt judicial proceedings to ratify its emergency action.”).
Our cases have not offered a precise definition of “emergency circumstances
which pose an immediate threat to the safety of a child.” Hollingsworth, 110 F.3d
at 739. However, in several instances w e have concluded that the requisite
emergency circumstances did not exist. M ost recently, in Roska II, 328 F.3d at
1240, 1245-46, we held that the parents of a twelve-year-old boy who had been
removed from their home without prior notice or a hearing had sufficiently alleged
a violation of their due process rights. Despite evidence indicating that a mother
might be suffering from M unchausen Syndrome by Proxy (“a disorder where an
individual, usually a mother, inflicts physical harm upon a child to gain the
sympathy and attention of medical personnel,” id. at 1238), “[t]here was nothing
particularly unusual about [the boy’s] condition at the time he was removed,” id.
at 1241. M oreover, the boy’s physician had stated that it would be a mistake to
remove him from the home. W e also observed that state officials had not even
attempted to obtain an ex parte order authorizing the removal. Accordingly, “no
12
evidence indicate[d] that [the boy] was in immediate threat of death or severe
physical harm.” Id.; see also M alik v. Arapaho County Dep’t of Social Servs., 191
F.3d 1306, 1315 (10th Cir. 1999) (finding no “extraordinary circumstance
dangerous to the child” based on the uncle of a four-year-old girl having taken
nude photographs of her during a visit five months before the removal);
Hollingsworth, 110 F.3d at 739 (concluding that “the record contains no evidence
that [the plaintiff] actually endangered the welfare of her children prior to their
removal”). 2
Other courts have provided a somewhat more precise formulation of the
standard required under the Due Process Clause to remove a child from the home
without prior notice and a hearing. The First Circuit has concluded that a m ajority
of circuits addressing this issue have held that “a case worker . . . may place a
child in temporary custody when he has evidence giving rise to a reasonable and
articulable suspicion that the child has been abused or is in imminent peril of
abuse.” Hatch v. Dep’t for Children, Youth, & Their Families, 274 F.3d 12, 20
2
At the time of Rebekah’s removal, Utah law also addressed the state’s
responsibility to place children in protective custody. See Roska III, 437 F.3d at
971-72 (10th Cir. 2006) (discussing the Utah statutory scheme, particularly, Utah
Code Ann. § 62A-4a-202.1, 202.2 (1998) and Utah Code Ann. § 78-3a-301
(1998)). As we note below, there are instances in which state officials’ reliance
on a state statute may constitute an extraordinary circumstance warranting
qualified immunity even when the officials have violated clearly established
federal law. Roska II, 328 F.3d at 1251. However, because we conclude that the
defendants here did not violate clearly established federal law , we need not apply
the Utah statutory scheme to resolve this case.
13
(1st Cir. 2001) (citing Brokaw v. M ercer County, 235 F.3d 1000, 1019 (7th Cir.
2000)); Croft v. W estmoreland County Children & Youth Servs., 103 F.3d 1123,
1126 (3d Cir. 1997); Gottlieb v. County of O range, 84 F.3d 511, 518 (2d Cir.
1996); and M anzano, v. S.D. Dep’t of Soc. Servs., 60 F.3d 505, 511 (8th Cir.
1995)); see also Hatch, 274 F.3d at 21-22 (adopting the reasonable suspicion
standard); Thomason v. SCAN Volunteer Servs., Inc., 85 F.3d 1365, 1373 (8th
Cir. 1996) (explaining the justification for the reasonable suspicion standard by
stating that “[w]here a treating physician has clearly expressed his or her
reasonable suspicion that life-threatening abuse is occurring in the home, the
interest of the child (as shared by the state as parens patriae) in being removed
from that home setting to a safe and neutral environment outweighs the parents’
private interest in familial integrity as a matter of law ”).
The Ninth and Eleventh Circuits have formulated the standard somewhat
differently, requiring reasonable or probable cause of imminent danger. See
W allis v. Spencer, 202 F.3d 1126, 1138 (9th Cir. 2000) (stating that “[o]fficials
may remove a child from the custody of its parent without prior judicial
authorization only if the information they possess at the time of the seizure is such
as provides reasonable cause to believe that the child is in imminent danger of
serious bodily injury and that the scope of the intrusion is reasonably necessary to
avert that specific injury”) (emphasis added); Doe v. Kearney, 329 F.3d 1286,
1295 (11th Cir. 2003) (indicating that “a state may not remove a child from
14
parental custody without judicial authorization unless there is probable cause to
believe the child is threatened with imminent harm”) (emphasis added).
Notably, the Eleventh Circuit has indicated that this circuit has adopted the
probable cause standard. See Kearney, 329 F.3d at 1295 (citing Roska I, 304 F.3d
at 993). W e do not read our R oska opinions in that way. In those opinions, we
stated that “the mere possibility of danger” does not justify a warrantless removal.
Roska II, 328 F.3d at 1245; Roska I, 304 F.3d at 993 (internal quotation marks
omitted). However, we added that “emergency circumstances which pose an
immediate threat to the safety of a child” may do so. Roska II, 328 F.3d at 1245
(quoting Hollingsworth, 110 F.3d at 739); Roska I, 304 F.3d at 993 (quoting
Hollingsworth, 110 F.3d at 739). W e did not specify whether the state must have a
reasonable suspicion of such circumstances or must establish probable cause that
they exist.
In determining whether emergency circumstances exist, there is also some
disagreement as to the significance of another matter— whether state officials
lacked sufficient time to obtain judicial authorization for the removal without
jeopardizing the safety of the child. The Second Circuit has reasoned that:
W hile there is a sufficient emergency to w arrant officials’
taking a child into custody without a prior hearing if he or
she is immediately threatened w ith harm, the converse is
also true. If the danger to the child is not so imminent that
there is reasonably sufficient time to seek prior judicial
authorization, ex parte or otherw ise, for the child’s
15
removal, then the circumstances are not emergent; there is
no reason to excuse the absence of the judiciary's
participation in depriving the parents of the care, custody
and management of their child. If, irrespective of whether
there is time to obtain a court order, all interventions are
effected on an emergency basis without judicial process,
pre-seizure procedural due process for the parents and their
child evaporates.
Tennenbaum, 193 F.3d at 594 (emphasis supplied) (internal citations and
quotations omitted).
The Eleventh Circuit has criticized the Second Circuit’s “sole focus [on]
whether there is time to obtain a court order.” Kearney, 329 F.3d at 1297. In the
Eleventh Circuit’s view, “due process is a flexible concept— particularly where the
well-being of children is concerned— and deciding what process is due in any
given case requires a careful balancing of the interests at stake, including the
interests of parents, children, and the state.” Id. “This kind of subtle balancing,”
the court reasoned, “cannot be properly accomplished when courts blunt the
inquiry by simply asking whether there was time to get a warrant.” Id. at 1297-98.
In our view, the reasonable suspicion standard appropriately balances the
interests of the parents, the child, and the state. The failure to act when a child is
in danger may have “unthinkable consequence[s].” Jordan v. Jackson, 15 F.3d
333, 350 (4th Cir. 1994). As a result, social workers should be afforded some
discretion when they seek to protect a child whose safety may be at risk. See
Hatch, 274 F.3d at 22; Thomason, 85 F.3d at 1373. Following the majority
16
approach, we conclude that state officials may remove a child from the home
without prior notice and a hearing when they have a reasonable suspicion of an
immediate threat to the safety of the child if he or she is allowed to remain there.
W e emphasize again that even in these instances in which emergency removal is
justified, the state must afford the parents a prompt post-removal hearing. See
County of Crow W ing, 434 F.3d at 1056 n.6; Brokaw, 235 F.3d at 1020; Campbell,
141 F.3d at 929; W eller, 901 F.2d at 396.
As to whether state officials have time to seek judicial authorization for the
removal, we agree with the Eleventh Circuit that this consideration should not be
“the single focus” of the inquiry. Kearney, 329 F.3d at 1295. In many instances,
it may not be entirely clear either how long it would take to obtain judicial
approval or w hether this period of delay would jeopardize the safety of the child.
Nevertheless, we also agree with the Second Circuit’s observation that, if we do
not give any consideration to whether state officials might obtain judicial
authorization of the removal without additional risk to the child, then the
definition of an emergency may be broadened to such an extent that due process
rights are eroded. Tennenbaum, 193 F.3d at 584.
Accordingly, we conclude that in determining whether state officials have a
reasonable suspicion of an immediate threat to the safety of the child, we must
consider “all relevant circumstances, including the state’s reasonableness in
17
responding to a perceived danger, as well as the objective nature, likelihood, and
immediacy of danger to the child.” Kearney, 329 F.3d at 1295 (emphasis added).
Ordinarily, the question of whether state officials had time to seek and obtain
judicial authorization for the removal without jeopardizing the safety of the child
will be an important consideration, and the failure to establish that judicial
authorization was impracticable will undermine the contention that emergency
circumstances existed. However, neither this factor, nor any other single factor, is
necessarily dispositive.
W e now turn to the particular arguments raised by the parties in this appeal.
B. The Effect of the Post-Removal H earing on the Gomeses’ Claim for
Damages
As w e have noted, the district court concluded that it was not required to
fully decide the issue of whether emergency circumstances existed to justify
Rebekah’s removal. Aplts’ App. at 942. The court did state that it believed “that
the defendants have adequately established that Rebekah faced an immediate
threat, especially in light of the state court’s conclusion that she did.” Id. at 941-
42. 3 However, the court concluded that the defendants were entitled to summary
3
In the state court proceedings, the Gomeses stipulated that Rebekah could
remain in temporary custody of the Division of Child and Family Services. The
state court concluded that “[a]n emergency situation existed” and that “[t]he
removal of the child was appropriate and necessary.” Aplts’ A pp. at 578.
18
judgment on an alternative ground.
In particular, the court observed that the state had provided an adequate
post-removal hearing and that the G omeses did not challenge the state judge’s
decision that Rebekah remain in state custody. As a result, it concluded, the
Gomeses could not prevail on their due process challenge to the pre-hearing
removal. W e agree with the Gomeses that the district court erred in relying on
Carey v. Piphus, 435 U.S. 247 (1978), for this conclusion.
In Carey, the Supreme Court held that when a procedural due process
violation occurs and adverse action results, damages for injuries caused by the
adverse action may not be recovered if the defendant can prove the action would
have been taken even absent the violation. See id. at 260 (stating that “in such a
case, the failure to accord procedural due process could not properly be viewed as
the cause of the [adverse action]”). Significantly, however, the Court also
concluded that a plaintiff may recover nominal damages and actual damages
arising not from the deprivation of liberty or property but from the denial of
procedural due process itself. As to the latter category of damages, the Court
emphasized that the plaintiff is still required to prove causation:
In sum , then, although mental and emotional distress
caused by the denial of procedural due process itself is
compensable under § 1983, we hold that neither the
likelihood of such injury nor the difficulty of proving it is
so great as to justify awarding compensatory damages
without proof that such injury actually was caused.
19
Id. at 264; see also M cClure v. Ind. Sch. Dist. No. 16, 228 F.3d 1205, 1214 (10th
Cir. 2000) (stating that “[i]n a proper case, however, a plaintiff may recover such
damages by ‘producing evidence that mental and emotional distress actually was
caused by the denial of procedural due process itself’” (quoting Carey, 435 U.S. at
263)).
Here, the Gomeses have not contested the state judge’s finding that the
removal of Rebekah was justified. 4 M oreover, they have not sought nominal
4
At oral argument, counsel for the defendant officials also suggested that the
state court’s findings at the post-removal hearing might bar the G omeses’
allegation in this § 1983 action that emergency circumstances justifying the
removal did not exist. Counsel referred to the fact that the Gomeses had
stipulated “that the prehearing requirements had been met and that [Rebekah]
could remain in the temporary custody of [the Division of Child and Family
Services].” Aplts’ App. at 577. M oreover, counsel added, the state court’s order
also stated that “[a]n emergency situation existed” and that “the removal [of
Rebekah] was appropriate and necessary” under the applicable Utah statute. Id. at
578.
Counsel for the G omeses countered that, in light of the abbreviated nature
of the post-removal hearing and the lack of opportunity for discovery, the state
court’s findings should not be determinative in the instant action.
This argument involves principles of issue preclusion under Utah law. See
Career Serv. Review Bd. v. Utah Dep’t of Corr., 942 P.2d 933, 938 (Utah 1997)
(stating that “[f]our elements of issue preclusion are required for collateral
estoppel: (1) The issue decided in the prior adjudication must be identical to the
one presented in the action in question; (2) there must be a final judgment on the
merits; (3) the party against w hom the plea is asserted must be a party in privity
with a party to the prior adjudication; and (4) the issue in the first action must be
completely, fully, and fairly litigated”). The application of those principles to the
state court’s post-removal order appears to present some fairly close and difficult
questions.
In any event, in neither the federal district court proceedings nor in this
appeal did the defendants argue in their briefs that the state court order should be
afforded preclusive effect in this action. W e therefore decline to address the
20
damages. Accordingly, they may only recover damages arising from the denial of
due process itself. On this issue, the district court stated that “the only damage
[the Gomeses] claim to have suffered is the emotional damage that resulted from
[Rebekah’s] removal.” Aplts’ A pp. at 940.
In our view, the district court read the Gomeses’ allegations too narrowly.
W e acknowledge that the line drawn by the Supreme Court in Carey–between (a)
damages arising from the deprivation of liberty or property and (b) damages
arising from the denial of procedural due process itself–may be a fine one.
M oreover, in many instances, plaintiffs may offer the same evidence to support
both classes of damages claims.
Nevertheless, the Gomeses have alleged that they have suffered damages
from the denial of procedural due process itself (and thus recoverable under
Carey). In particular, Rebekah Gomes’s mother, Shauna Gomes, answered a
deposition question about the damages that she had suffered as follow s:
Q: Could you describe those [damages] for me, please. I understand
you’ve talked about pain and anguish earlier, so is there anything in
addition . . . that you’ve suffered?
argument here. See Gross v. Burggraf Constr. Co., 53 F.3d 1531, 1547 (10th Cir.
1995) (holding that parties cannot raise arguments for the first time at oral
argument).
M oreover, in light of our conclusion below that the defendant officials are
entitled to qualified immunity, resolution of this issue is not necessary to the
disposition of this appeal.
21
A: Yes. It’s–I compare it to being attacked by a terrorist. I mean they
come in and take something that is of most value to you, and I w as able
to get that thing back.
H owever, it’s always there. . . . I wonder when they’re going to strike
again. I wonder what could happen. I have no control over it, they
could come at any time. It doesn’t depend upon my actions.
I’ve had dreams . . . from the trauma I went through, . . . when my child
gets hurt with an accident or something, it just makes me sick to my
stomach to have to take him in to the doctor. W ho knows what might
happen?
Aplts’ App. at 783-84.
View ing the record in the light most favorable to the Gomeses, this
testimony concerns, in part, the manner in which Rebekah was removed (i.e.,
without prior notice and a hearing), and not merely the fact that she was removed.
M s. Gomes’s statement that “they could come at any time” and her analogy to
“being attacked by a terrorist” concern damages for the violation of procedural due
process itself; her testimony addresses both the lack of notice and the randomness
with which the Gomeses experienced the removal.
Accordingly, we conclude that the district court erred in ruling that the post-
removal hearing and the findings by the state-court judge precluded the Gomeses
from seeking damages for their due process claim. 5
5
W e emphasize that our application of Carey is based upon the damages
alleged by the Gomeses. That is because both the defendants and the district
22
C. Q ualified Immunity
In light of its conclusion that Carey forecloses the Gomeses’ claims for
damages, the district court did not definitively resolve the merits of their due
process claim. See id. at 942 (stating that “the court need not fully decide this
issue”). However, in the district court proceedings and in this appeal, the
defendant state officials have argued that they are entitled to summary judgment
on the grounds of qualified immunity. They focus on the removal decision made
by M s. Annes, but they argue that because M s. Annes is entitled to qualified
court have incorrectly stated that the only damages the G omeses have claimed are
those resulting from the removal of Rebekah. See Aplts’ A pp. at 519 (M em. in
Support of Defendant’s M otion for Summary Judgment) (stating that “[i]t is
undisputed that plaintiffs’ alleged damages are emotional damages allegedly
resulting from their not having their daughter with them” and that “[p]laintiffs
have alleged no damages as a result of the alleged denial of procedural due
process”); id. at 940 (Order Granting Defendants’ M otion for Summary
Judgment) (stating that “the only damage [the Gomeses] claim to have suffered is
the emotional damage that resulted from [Rebekah’s] removal”). As the
deposition testimony quoted above clearly shows, the Gomeses’ claim for
damages should be read more broadly.
W hether this deposition testimony, combined with other evidence that the
Gomeses might have offered, would be sufficient to support an award of
compensatory damages is a question that we need not address here. Because the
Gomeses have claimed damages for the violation of procedural due process itself,
we proceed to the issue of qualified immunity and resolve the case on that basis.
However, we note that, as a general rule, “a plaintiff’s testimony, standing alone,
may support a claim of emotional distress precipitated by a constitutional
violation,” but that “the case law [also] reveals that courts scrupulously analyze
an award of compensatory damages for a claim of emotional distress predicated
exclusively on the plaintiff’s testimony.” Price v. City of Charlotte, 93 F.3d
1241, 1251 (4th Cir. 1996).
23
immunity, the other defendants (who advised her regarding the removal decision)
are also entitled to the same immunity. Upon de novo review of this legal
question, see M aldonado v. City of A ltus, 433 F.3d 1294, 1315 (10th Cir. 2006),
we agree. See id. at 1302-03 (stating that “we have discretion to affirm on any
ground adequately supported by the record so long as the parties have had a fair
opportunity to address that ground”) (internal quotation marks and citation
omitted).
1. General Principles
Qualified immunity generally shields from liability for civil damages
“government officials performing discretionary functions . . . insofar as their
conduct does not violate clearly established statutory or constitutional rights of
which a reasonable person would have known.” Harlow v. Fitzgerald, 457 U.S.
800, 818 (1982). The Supreme Court has identified three purposes underlying this
grant of immunity. First, qualified immunity “protect[s] the public from
unwarranted timidity on the part of public officials.” Richardson v. M cKnight,
521 U.S. 399, 408 (1997). Second, the doctrine helps “to ensure that talented
candidates are not deterred by the threat of damages suits from entering public
service.” Id. (internal quotation marks omitted). Third, qualified immunity
reduces the chance that law suits will distract from the performance of public
duties. The doctrine seeks to balance the protection of constitutional rights and
24
the “substantial social costs” of imposing liability on public officials. Anderson v.
Creighton, 483 U.S. 635, 638 (1987).
In analyzing the qualified immunity defense, this court has adopted a three-
part inquiry. First, we ask whether the plaintiffs’ allegations, if true, establish a
constitutional violation. Lawrence v. Reed, 406 F.3d 1224, 1230 (10th Cir. 2005).
If the allegations do not meet that standard, we must dismiss the claim.
Second, if the plaintiffs have alleged a constitutional violation, we examine
“whether the law was clearly established at the time the alleged violations
occurred.” Roska II, 328 F.3d at 1247. The law is clearly established if a
reasonable official in the defendant’s circumstances would understand that her
conduct violated the plaintiff’s constitutional right. M oore v. Guthrie, 438 F.3d
1036, 1042 (10th Cir. 2006). Recently, the Supreme Court has “shifted the
qualified immunity analysis from a scavenger hunt for prior cases w ith precisely
the same facts toward the more relevant inquiry of whether the law put officials
on fair notice that the described conduct was unconstitutional.” Pierce v.
Gilchrist, 359 F.3d 1279, 1298 (10th Cir. 2004) (discussing Hope v. Pelzer, 536
U.S. 730 (2002)). Thus, government officials must make “reasonable applications
of the prevailing law to their own circumstances,” Currier v. Doran, 242 F.3d 905,
923 (10th Cir. 2001) (internal quotation marks omitted), and they “can still be on
notice that their conduct violates established law even in novel factual
25
circumstances.” Hope, 536 U.S. at 741. However, the defendant official may
demonstrate that she “neither knew nor should have known of the relevant legal
standard” because the law was not clearly established at the time she acted.
Harlow , 457 U.S. at 819. If the law is not clearly established, we “do not require
officials to anticipate its future developments.” Lawrence, 406 F.3d at 1230.
Finally, if the law was clearly established, we proceed to the third part of
the inquiry. W e ask whether, in spite of the fact that the law was clearly
established, “extraordinary circumstances”— such as reliance on the advice of
counsel or on a statute— “so prevented [the official] from knowing that [her]
actions were unconstitutional that [she] should not be imputed with knowledge of
a clearly established right.” Roska II, 328 F.3d at 1251 (internal quotation marks
omitted). “[W ]here the right is clearly established, a defendant should only rarely
be able to succeed with a qualified immunity defense.” Id. (internal quotation
marks omitted).
2. Application
a. existence of a constitutional violation
W e begin with the threshold inquiry of whether the Gomeses’ allegations, if
true, state a constitutional violation. Under the due process principles we have
outlined, we must determine whether M s Annes had a reasonable suspicion of
“emergency circumstances which pose an immediate threat to the safety of a
26
child,” Hollingsworth, 110 F.3d at 739, when she removed Rebekah from the
home. Because the defendant state officials raised the qualified immunity defense
in their motion for summary judgment, we must view the evidence in the light
most favorable to the Gomeses. Saucier v. Katz, 533 U.S. 194, 201 (2001) (noting
that, under the first part of the qualified immunity inquiry, the question is whether
“a violation could be made out on a favorable view of the parties’ submissions”);
Simkins v. Bruce, 406 F.3d 1239, 1241 (10th Cir. 2005) (stating that “[t]he
threshold inquiry is whether the alleged facts (or, on summary judgment, the
evidenced facts) taken in the light most favorable to the plaintiff show a
constitutional violation”).
Viewing the evidence in the light most favorable to them, genuine issues of
material fact exist as to whether the defendants had reasonable suspicion to
remove Rebekah before holding a hearing. First, although it was Rebekah’s
pediatrician, Dr. Knorr, who reported her injury to the Division of Child and
Family Services, his testimony may be plausibly read to conclude that there was
not an immediate threat to Rebekah’s safety. In particular, Dr. Knorr stated that
the shape of Rebekah’s fracture was “consistent with a fall on a flat object,”
Aplts’ App. at 929, and thus supported the Gomeses’ statements that she had
fallen onto the floor from a bed. M oreover, in his initial telephone call to the
Division of Child and Family Services on April 26, 2000, and again in his second
27
call to the agency on April 28, 2000, Dr. Knorr reported that he was
“comfortable” allowing M s. Gomes to take Rebekah home. Id. at 930-31. Dr.
Knorr added that “I never was highly suspicious that Rebekah had been the victim
of child abuse, and I never told anyone at DCFS, or anyone else, that I was highly
suspicious that the child had been abused.” Id. at 931. That testimony is
supported by the statement of the intake worker who answered Dr. Knorr’s initial
call and who told him that the circumstances did not sound like an emergency.
The Gomeses’ own conduct also offers some support for their allegations.
M s. Gomes took Rebekah to the doctor on three successive days, and she now
contends that these visits demonstrate that she was quite concerned about
Rebekah’s welfare. That behavior is at least arguably inconsistent with that of a
neglectful or abusive parent. M oreover, during the appointment with Dr. Knorr
on April 28, 2000, it was M s. Gomes herself who informed him that she had not
yet been contacted by the Division of Child and Family Services, thus leading
him to call the agency a second time.
Thus, viewed in the light most favorable to the G omeses, the record
supports their contention that the defendant officials removed Rebekah without
“reasonable and articulable suspicion that the child ha[d] been abused or [was] in
imminent peril of abuse.” Hatch, 279 F.3d at 20. W e therefore proceed to the
second part of the qualified immunity inquiry.
28
b. whether the defendants violated clearly established law
W e consider whether a reasonable official in the defendants’ circumstances
would understand that his or her conduct violated the Gomeses’ due process
rights. M oore, 438 F.3d at 1042. “[T]he salient question . . . is whether the state
of the law [at the time of the incident] gave the [defendants] fair warning that
their conduct was unconstitutional.” H ope, 536 U.S. at 741. Officials who are
mistaken about the lawfulness of their conduct may still be entitled to qualified
immunity if the mistake is reasonable in light of the applicable law and the facts
known to them at the time. Axson-Flynn v. Johnson, 356 F.3d 1277, 1300 (10th
Cir. 2004).
W e emphasize that when, as here, there is no dispute as to the material
facts, the question is a legal one for the court to decide. As the Eighth Circuit has
explained:
[O]nce the predicate facts have been established, for the
purposes of qualified immunity there is no such thing as a
“genuine issue of fact” as to whether the officer “should
have known” that his conduct violated constitutional
rights. The conduct was either “reasonabl[e] under settled
law in the circumstances,” or it was not . . . .
Pace v. City of Des M oines, 201 F.3d 1050, 1056 (8th Cir. 2000) (quoting Hunter
v. Bryant, 502 U .S. 224, 228 (1991) (second brackets in original)); see also
Cortez v. M cCauley, 438 F.3d 980, 990-91 (10th Cir. 2006) (noting that when the
29
parties agree on the “‘what-happened’ questions,” the question of whether “a[]
[reasonable] officer ‘should have known’ that his conduct violated constitutional
rights” is one of law ).
M oreover, “if officers of reasonable competence could disagree” about the
lawfulness of the challenged conduct, then “[qualified] immunity should be
recognized.” M alley v. Briggs, 475 U.S. 335, 341 (1986). In those instances, the
fact that the uncontroverted evidence supports opposite legal conclusions as to the
reasonableness of an official’s conduct demonstrates that the official has not
violated clearly established law. See id.; see also Anderson, 483 U.S. at 641
(stating that “[t]he relevant question . . . is the objective (albeit fact-specific)
question whether a reasonable officer could have believed [the official’s conduct]
to be lawful, in light of clearly established law and the information the . . .
officers possessed”) (emphasis added); Cortez, 438 F.3d at 990-91 (same); Pueblo
Neighborhood Health Ctrs., Inc. v. Losavio, 847 F.2d 642, 645 (10th Cir. 1988)
(same).
Here, in light of those principles, we must determine whether a reasonable
official, presented with the relevant information regarding Rebekah’s skull
fracture in April 2000, would have understood that there were no “[e]mergency
circumstances which pose an immediate threat to [her] safety,” Hollingsworth,
110 F.3d at 739, and that, as a result, removing her from home without prior
30
notice and a hearing violated the Gomeses’ due process rights. Resolution of that
question requires consideration of the case law in existence at that time.
As of April 2000, we had announced the emergency circumstances
exception to the notice and hearing requirement, see Hollingsworth, 110 F.3d at
739, and we had had two occasions to apply that standard: in Hollingsw orth itself
and in M alik, 191 F.3d at 1315. However, in neither case was their any evidence
whatsoever of an immediate threat. See M alik, 191 F.3d at 1315 (explaining that
“[o]fficials’ desire to circumvent an attorney’s attempt to negotiate protective
conditions for an interview does not rise to the level of an extraordinary
circumstance dangerous to the child”); Hollingsworth, 110 F.3d at 739 (stating
that “the record contains no evidence that [the plaintiff] actually endangered the
w elfare of her children prior to their removal”). M oreover, as of April 2000, w e
had not yet identified as an important consideration the time available to state
officials to seek and obtain judicial authorization for the removal without
jeopardizing the safety of the child. Nor had we held that the reasonable
suspicion standard applies to the determination of whether emergency
circumstances exist. Additionally, we had stated that “considerable deference
should be given to the judgment of responsible government officials in acting to
protect children from perceived imminent danger or abuse.” W ashington County,
127 F.3d at 925 (quotation marks omitted).
31
In applying that case law to the circumstances confronted by the
defendants, we conclude that “officers of reasonable competence could disagree”
as to whether there were emergency circumstances justifying the removal of
Rebekah without a hearing. M alley, 475 U.S. at 341. In conducting the first step
in the qualified immunity analysis (whether the Gomeses have alleged the
violation of a constitutional right), we have set forth the evidence that supports
their contention that emergency circumstances did not exist. However, other
evidence supports the opposite conclusion.
In particular, Dr. Knorr informed M s. Annes that M s. Gomes’s explanation
of R ebekah’s injury w as “possible, but suspicious.” Aplts’ App. at 797. He
added that he had seen many children who had fallen from beds or objects of
similar heights but who had not suffered such a fracture. Dr. Knorr’s suspicion
was supported by M s. Annes’s inspection of the bed at the Gomeses’ residence.
Based on her inspection, she too thought it unlikely that Rebekah could have
sustained her head injury from the reported fall. Dr. Knorr also expressed
concern about the Gomeses’ delay in seeking medical treatment. He explained
that Rebekah’s skull would have shown swelling and bruising within hours of the
reported fall from the bed but that M s. Gomes did not seek treatment until the
following day. Confronted with evidence of a significant head injury to an infant,
a questionable explanation from the parents, and a delay in seeking medical
treatment, a reasonable official could have believed that there was an immediate
32
threat to Rebekah’s safety.
That conclusion is supported by many reported decisions granting qualified
immunity to state officials responsible for removing children from the home. See,
e.g, Berman v. Young, 291 F.3d 976, 983-84 (7th Cir. 2002) (concluding that
defendant state officials were entitled to qualified immunity when they removed a
child from a home because they had a reasonable basis for believing that the child
was being abused); Hatch, 274 F.3d at 25 (holding that, when (a) a nine-year-old
boy asserted that he had been abused, (b) two school officials took the boy’s
claim seriously, and (c) a neutral physician reported that the boy’s injuries w ere
consistent with the claim of abuse, the defendant state official was entitled to
qualified immunity because the official “had a reasonable basis both for
suspecting child abuse and for believing [a child] to be in danger,” and noting that
“[t]he fact that this suspicion proved, in the long run, to be unfounded does not
strip [the defendant] of his entitlement to qualified immunity”); Foy v. Holston,
94 F.3d 1528, 1536-37 (11th Cir. 1996) (holding that the defendant officials were
entitled to qualified immunity when they placed a child in foster care because the
child had alleged abuse by her parents, had bruises on her arm, stated that she did
not wish to return to her parents, and threatened suicide and adding that immunity
was not lost “even if the investigation and custody determination procedures w ere
not textbook perfect”) (internal quotation marks omitted); Van Emrik v. Chemung
County Dept. of Social Services, 911 F.2d 863, 866 (2d Cir. 1990) (observing that
33
“protective services caseworkers [must] choose between difficult alternatives”
and that “[i]t is precisely the function of qualified immunity to protect state
officials in choosing between such alternatives, provided that there is an
objectively reasonable basis for their decision, whichever w ay they make it”).
Although there are instances in which qualified immunity has been
rejected, they generally involve circumstances in which “officers of reasonable
competence,” M alley, 475 U.S. at 341, would agree that an immediate threat to
the safety of a child did not exist. See, e.g, W ooley v. City of Baton Rouge, 211
F.3d 913, 924 (5th Cir. 2000) (concluding that police officers who removed a
child from the home were not entitled to qualified immunity because “[t]here is
no indication in this record of any threat to [the child’s] safety, nor were the
officers investigating allegations that he previously had suffered abuse”); Roska,
328 F.3d at 1250 (concluding that because the child’s health and safety “were not
in immediate danger,” “clearly established law put the defendants on notice that
their conduct [removal without pre-deprivation procedures] violated the
Constitution); M alik, 191 F.3d at 1314-15 & 1315 n.5 (affirming the district
court’s denial of qualified immunity based on the public officials’
acknowledgment that the child was not in imminent danger of abuse).
Our holding is also supported by the policies underlying the qualified
immunity doctrine. See Richardson v. M cKnight, 521 U.S. 399, 408 (1997)
34
(observing that the doctrine protects the public from unwarranted timidity on the
part of public officials, helps to ensure that talented candidates are not deterred
from entering public service, and reduces the chance that lawsuits will distract
from the performance of public duties). Here, as we have noted in discussing the
grounds supporting the reasonable suspicion standard, “[s]ocial workers face
extreme difficulties in trying simultaneously to help preserve families and to
serve the child’s best interests.” M artinez v. M afchir, 35 F.3d 1486, 1490 (10th
Cir. 1994). W hen confronted with evidence of child abuse, they may be required
to make “on-the-spot judgments on the basis of limited and often conflicting
information,” Hatch, 274 F.3d at 22, with limited resources to assist them. They
must balance the parents’ interest in the care, custody and control of their
children with the state’s interest in protecting the children’s welfare.
Additionally, social workers must consider “the vital importance of curbing
overzealous suspicion and intervention on the part of health care professional and
government officials, particularly when such overzealousness may have the effect
of discouraging parents or caretakers from communicating with doctors or seeking
appropriate medical attention for children with real or potentially life-threatening
conditions.” Thomason, 85 F.3d at 1373. In the circumstances of this case,
imposing the added burden of potential liability for damages under § 1983 would
interfere unnecessarily with the performance of a difficult and essential job.
Accordingly, we conclude that the defendants M egan Annes, Kerri
35
Ketterer, Tess Blackmer, and Deborah W ood are entitled to qualified immunity
from the Gomeses’ claim for damages under § 1983. 6
III. C ON CLU SIO N
W e therefore AFFIRM the district court’s grant of summary judgment to
the defendants.
6
In light of our holding, we do not consider the defendants’ alternative
arguments for qualified immunity— that they relied upon a state statute and advice
of counsel. See Roska II, 328 F.3d at 1251, 1253 (noting that these
“extraordinary circumstances” may support the defense of qualified immunity
even if the defendants have violated clearly established law, but that they are
“rare[]”) (internal quotation marks omitted).
36