Source: s3://data.kl3m.ai/documents/govinfo/USCOURTS/USCOURTS-alnd-7_14-cv-01537/USCOURTS-alnd-7_14-cv-01537-0/pdf.json

Nature of Suit Code: 360
Nature of Suit: Other Personal Injury
Cause of Action: 42:1983 Civil Rights Act

---

IN THE UNITED STATES DISTRICT COURT

FOR THE NORTHERN DISTRICT OF ALABAMA

WESTERN DIVISION

GENNIE V. BYRD, et al., )

)

Plaintiffs, )

)

v. ) Case No. 7:14-cv-01469-TMP

)

D.A. JONES, et al., )

)

Defendants. )

__________________________________________________________________

BRIDGET BYRD, )

)

Plaintiff, )

)

v. ) Case No. 7:14-cv-01537-TMP

)

LENORA WILLIAMS, et al., )

)

Defendants. )

MEMORANDUM OPINION

These two cases, originally filed by separate plaintiffs, were consolidated by 

the court on September 25, 2014, because both cases involve the same series of 

events arising out of the disputed custody of a minor child. Now pending before 

the court is a Motion for Summary Judgment by defendants David A. Jones, 

FILED

 2015 May-11 PM 04:34

U.S. DISTRICT COURT

N.D. OF ALABAMA

Case 7:14-cv-01537-TMP Document 53 Filed 05/11/15 Page 1 of 58
Dornell Cousette, and the City of Tuscaloosa,

1 filed October 7, 2014, (doc. 17),2

which was joined by defendant Smith (doc. 32) on November 25, 2014. Also 

pending are Motions to Strike the affidavits of defendants Jones and Cousette by 

the plaintiffs in Byrd I.

3

 (Docs. 36, 37). The motions have been fully briefed. The 

parties have consented to the exercise of dispositive jurisdiction by the undersigned

(doc. 44).

SUMMARY JUDGMENT STANDARD

Under Federal Rule of Civil Procedure 56(a), summary judgment is proper 

“if the movant shows that there is no genuine dispute as to any material fact and 

the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a). The 

1

 This motion originally was filed as a Motion to Dismiss, but was converted to a 

Motion for Summary Judgment by the court because additional materials have been offered in 

support of the motion. (Doc. 31).

2

 Unless otherwise specified, all document numbers are taken from the lead case, Byrd 

v. Jones, et al., Case No. 7:14-cv-01469-TMP. For purposes of clarity, hereinafter the lead case, 

Case No. 7:14-cv-01469-TMP, will be referred to as Byrd I, and the member case, Case No. 

7:14-cv-01537-TMP, will be referred to as Byrd II. 3

 The Byrds argue that the affidavits of the two police defendants are hearsay or 

otherwise inadmissible because the information related in them is not based on the officers’ 

personal knowledge. To the extent the statements objected to in the motions were offered to

prove the truth of the matters asserted, it is true that such would be inadmissible hearsay. 

However, the motions to strike (docs. 36, 37) are due to be and hereby are DENIED because the 

affidavits reflect the information possessed by the officers, whether true or not, at the time they 

acted to apply for arrest warrants. Police officers may base assessments of probable cause on 

hearsay and may seek arrest warrants on the basis of hearsay. What the officers believed at the 

time they sought the arrest warrants is crucial to the issue of whether they had at least arguable 

probable cause to seek the warrants. The court will consider the affidavits, therefore, only to the 

extent they are offered to show what officers Jones and Cousette thought to be probable cause to 

seek arrest warrants.

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Case 7:14-cv-01537-TMP Document 53 Filed 05/11/15 Page 2 of 58
party asking for summary judgment “always bears the initial responsibility of 

informing the district court of the basis for its motion, and identifying those 

portions of ‘the pleadings, depositions, answers to interrogatories, and admissions 

on file, together with the affidavits, if any’ which it believes demonstrate the 

absence of a genuine issue of material fact.” Celotex Corp. v. Catrett, 477 U.S. 

317, 323 (1986) (quoting former Fed. R. Civ. P. 56(c)). The movant can meet this 

burden by presenting evidence showing there is no dispute of material fact or by 

showing that the nonmoving party has failed to present evidence in support of 

some element of its case on which it bears the ultimate burden of proof. Celotex, 

477 U.S. at 322-23. There is no requirement, however, “that the moving party 

support its motion with affidavits or other similar materials negating the 

opponent’s claim.” Id. at 323. 

Once the moving party has met its burden, Rule 56 “requires the nonmoving 

party to go beyond the pleadings and by her own affidavits, or by the ‘depositions, 

answers to interrogatories, and admissions on file,’ designate ‘specific facts 

showing that there is a genuine issue for trial.’” Id. at 324 (quoting former Fed. R. 

Civ. P. 56(e)). The nonmoving party need not present evidence in a form 

necessary for admission at trial; however, he may not merely rest on his pleadings. 

Celotex, 477 U.S. at 324. “[T]he plain language of Rule 56(c) mandates the entry 

of summary judgment, after adequate time for discovery and upon motion, against 

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a party who fails to make a showing sufficient to establish the existence of an 

element essential to that party’s case, and on which that party will bear the burden 

of proof at trial.” Id. at 322. 

After the plaintiff has properly responded to a proper motion for summary 

judgment, the court “shall” grant the motion if there is no genuine issue of material 

fact, and the moving party is entitled to judgment as a matter of law. Fed. R. Civ. 

P. 56(a). The substantive law will identify which facts are material and which are 

irrelevant. Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248 (1986). A dispute 

is genuine “if the evidence is such that a reasonable jury could return a verdict for 

the nonmoving party.” Id. at 248. “[T]he judge’s function is not himself to weigh 

the evidence and determine the truth of the matter but to determine whether there is 

a genuine issue for trial.” Id. at 249. His guide is the same standard necessary to 

direct a verdict: “whether the evidence presents a sufficient disagreement to require 

submission to a jury or whether it is so one-sided that one party must prevail as a 

matter of law.” Id. at 251-252; see also Bill Johnson’s Restaurants, Inc. v. 

N.L.R.B., 461 U.S. 731, 745 n. 11 (1983). 

However, the nonmoving party “must do more than show that there is some 

metaphysical doubt as to the material facts.” Matsushita Elec. Indus. Co., Ltd. v. 

Zenith Radio Corp., 475 U.S. 574, 586 (1986). The evidence supporting a claim 

must be “substantial,” Marcus v. St. Paul Fire and Marine Ins. Co., 651 F.2d 379 

4

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(5th Cir., Unit B, 1981); a mere scintilla of evidence is not enough to create a 

genuine issue of fact. Young v. City of Palm Bay, 358 F.3d 859, 860 (11th Cir. 

2004); Kesinger ex rel. Estate of Kesinger v. Herrington, 381 F.3d 1243, 1249-

1250 (11th Cir. 2004). If the non-movant’s evidence is so thoroughly discredited 

by the rest of the record evidence that no reasonable jury could accept it, the 

evidence fails to establish the existence of a genuine issue of fact requiring a jury 

determination. See Scott v. Harris, 550 U.S. 372, 127 S. Ct. 1769, 1776, 167 L. 

Ed. 2d 686 (2007) (“Respondent’s version of events is so utterly discredited by the 

record that no reasonable jury could have believed him. The Court of Appeals 

should not have relied on such visible fiction; it should have reviewed the facts in 

the light depicted by the videotape.”); Lewis v. City of West Palm Beach, Fla., 561 

F.3d 1288, 1290 n. 3 (11th Cir. 2009). If the evidence is merely colorable, or is not 

significantly probative, summary judgment may be granted. Anderson, 477 U.S. at 

249 (citations omitted); accord Spence v. Zimmerman, 873 F.2d 256 (11th Cir. 

1989). Furthermore, the court must “view the evidence presented through the 

prism of the substantive evidentiary burden,” so there must be sufficient evidence 

on which the jury could reasonably find for the plaintiff. Anderson, 477 U.S. at 

255. The non-movant need not be given the benefit of every inference but only of 

every reasonable inference. Brown v. City of Clewiston, 848 F.2d 1534, 1540 

n. 12 (11th Cir. 1988). Utilizing these standards, the court undertakes the analysis 

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of whether the defendant has shown that it is entitled to judgment as a matter of 

law.

FACTS

The facts, taken in the light most favorable to the non-moving plaintiffs, are 

as follows. Bridget Byrd (the original plaintiff in Byrd II), a resident of Michigan, 

is the mother of two minor children, B.B. and B.B.’s brother. In the summer of 

2011 Bridget Byrd’s mother and step-father, defendants Lenora and Samuel

Williams (“the Williamses”) picked up B.B. and her brother from Bridget Byrd’s 

home in Michigan for what Bridget Byrd believed to be a summer visit. The 

Williamses brought B.B. and her brother to their home in Tuscaloosa, Alabama, 

with Bridget Byrd’s consent. In July 2011, Bridget Byrd gave her father and stepmother permission, plaintiffs Lamond and Gennie Byrd (“the Byrds” are the 

original plaintiffs in Byrd I), to retrieve B.B. and her brother from the Williamses’ 

home and return them to Michigan for a funeral. The Williamses allowed B.B.’s 

brother to return to Michigan, but did not allow the Byrds to take B.B.

Controversy over the custody of B.B. has existed for some time. In 2003, a 

Michigan probate court appointed Bridget Byrds’ mother, defendant Lenora 

Williams, as the guardian of B.B. (Doc. 17-1). The docket sheet from the 

Michigan court, annexed as an exhibit to the Byrds’ complaint, shows that a 

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petition to terminate the guardianship was filed in October 2005, but the hearing to 

address the petition was “put on hold” because “visitation agreement already 

worked out.” (Exhibit to Amended Complaint in Byrd I, Doc. 23-1, p. 2). In July 

of 2006, the docket sheet noted the “case [was] closed.” On July 7, 2006, a letter 

was mailed to Lenora Williams from the Michigan probate court, stating:

A review of the court's file in this matter indicates that you, as the 

Guardian for the ward and the ward himself have recently moved 

outside the State of Michigan. The purpose of this letter is to inform 

you that you have one (1) month from today to establish a 

guardianship in your new community before the present guardianship 

here in Washtenaw County is administratively closed. Unfortunately, 

Letters of Guardianship issued in the State of Michigan are only valid 

as long as the individual is a resident of the state.

(Exhibit to Amended Complaint in Byrd I, Doc. 23-1, p. 4). And, indeed, on 

July 10, 2006, the docket sheet indicates that the “CASE [was] CLOSED.” (Id. at 

p. 2).

Five years later, an entry on the docket sheet of the Michigan proceeding

dated September 8, 2011, stated:

MOTHER CAME IN TO COURT LOOKING FOR ORDER 

TERMINATING GUARDIANSHIP INFORMED HER THAT THE 

CASE WAS ADMINISTRATIVELY CLOSED AND AT THAT 

TIME ORDERS WERE NOT PREPARED FOR 

ADMINISTRATIVE CLOSURES. TOLD HER THAT i WOULD 

BE HAPPY TO SPEAK WITH HER CONTACT IN TUSCALOOSA 

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Case 7:14-cv-01537-TMP Document 53 Filed 05/11/15 Page 7 of 58
COUNTY PROBATE COURT TO INFORM HER OF THE 

STATUS HERE.

(Exhibit to Amended Complaint in Byrd I, Doc. 23-1, p. 2)

4 (all as in original).

A year later, in the summer of 2012, the controversy moved to Tuscaloosa 

County. On July 3, 2012, Bridget Byrd talked with defendant Cousette at the 

Tuscaloosa Police Department to obtain assistance in getting custody of her 

daughter from her mother. (Cousette Affidavit, Doc. 35). She showed Cousette a 

“Withdrawal of Parental Guardianship” petition filed in the Probate Court of 

Tuscaloosa County the day before (Doc. 19-1, ¶ 5), and she showed him “a letter 

from the court in Michigan” showing that Lenora Williams’s guardianship of B.B. 

was terminated years before. (Bridget Byrd Affidavit, Doc. 20-1, ¶ 3). Cousette 

understood the Tuscaloosa petition to indicate that court proceedings had begun to 

gain custody of the child.5

 (Cousette Affidavit, Doc. 35). Officer Cousette 

4 The contents of the docket sheet fit hearsay exceptions under FRE 803(6) as a record 

of a regularly conducted activity and FRE 803(8) as a “public record.” As the plaintiffs 

themselves attached the docket sheet in support of their complaint, its authenticity cannot be 

challenged by them. Cf. Wells v. XPEDX, 2007 WL 2696566, *4 (M.D. Fla. 2007) (a document 

produced by a party in discovery is “deemed authentic” when offered by a party opponent).

5 After these events, the Alabama Court of Civil Appeals made the following finding of 

fact in September 2014, which is binding on Bridget Byrd and Lenora Williams as parties in that 

matter:

On July 5, 2012, the mother filed an emergency petition in the trial court seeking 

a writ of assistance and delivery of the child to her. The mother also filed in the 

Tuscaloosa Probate Court (“the probate court”) a withdrawal of parental 

guardianship in which she withdrew her consent to the legal guardianship of the 

grandmother over the child, and, additionally, she filed in the probate court a 

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advised Bridget Byrd to allow the court proceedings to work. (Id.) Later that day, 

Cousette received a report from another officer, stating that Bridget Byrd had gone 

to the home of the Williamses, unsuccessfully seeking to get the child. Over the 

next several days, Cousette told Bridget Byrd that he had spoken with Lenora 

Williams, who confirmed that B.B. had been living with Bridget Byrd in Michigan 

for four years prior to the summer of 2011.

 A month later, on August 6, 2012, Officer Cousette received a police 

dispatch regarding an alleged kidnapping at a restaurant. Responding to the 

dispatch, he interviewed defendant Lenora Williams, who told him that Bridget 

Byrd and Lamond and Gennie Byrd took B.B. from the Williamses’ custody 

during an agreed visitation at a restaurant. She said that Lamond Byrd grabbed the 

certificate of appointment of guardian in which she appointed L.B., the child's 

maternal grandfather ("the grandfather"), as guardian of the child.

* * * 

The grandmother [Lenora Williams] filed an answer to the mother's emergency 

petition and a counterclaim in the trial court on August 3, 2012, in which she 

alleged that the mother had physically abused the child and that it was in the 

child’s best interest for custody to be awarded to the grandmother.

* * * 

It is undisputed that the child had returned to Michigan to live with the mother in 

April 2007. It is further undisputed that the child had come to Alabama in June 

2011 with the mother’s permission to visit the grandmother with the intention of 

returning to Michigan in August 2011.

(Bridget Byrd Aff., Ex. B, Doc. 20-2).

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child in the restaurant parking lot and ran to a vehicle being driven by Bridget 

Byrd. Gennie Byrd was a passenger in the car, according to Mrs. Williams. After 

the Byrds left with B.B., they returned to Michigan and the Williamses contacted 

the Tuscaloosa Police Department. Mrs. Williams complained that B.B. had been 

unlawfully removed from her custody. She explained to him that, at a hearing 

earlier that day, an Alabama judge had found Bridget Byrd’s petition for custody 

of B.B. to be “improper.” She gave Officer Cousette the cellphone numbers for all 

three Byrds, and he attempted unsuccessfully to contact them several times that 

day. The next day, August 7, 2012, Officer Cousette telephoned Bridget Byrd, 

who confirmed that she had B.B. and would not return her to Alabama. (Doc. 35, 

p. 4). Cousette asked Bridget Byrd for the telephone number of the probate court 

or judge in Michigan who had presided over B.B.’s case. (Doc. 20-1, ¶ 8).

As an investigator in the Juvenile Division of the Tuscaloosa Police 

Department, defendant David A. Jones also received a report of the August 6 

incident. In an incident report prepared by Officer Sanders (who is not a defendant 

in this action), it was reported as follows:

Officers responded to the parking lot of Ryan's Steakhouse and spoke 

with Mr. Williams. He advised that he is married to Lenora Williams 

who has legal custody of [B.B.]. [B.B.] is the biological granddaughter of Lenora Williams. He stated that Bridget Byrd, the child's 

biological mother; and Lemond [sic] Byrd, the child’s biological

grandfather and Lenora Williams’ ex-husband were invited to the 

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restaurant for a supervised visitation with the child. He stated that Mr. 

Byrd grabbed the child in the parking lot and ran to his black chevy

[sic] car and forced her inside. Bridget Byrd was already in the car 

with it running. Both Mr. and Mrs. Williams attempted to stop the 

kidnapping and reached into the cars' [sic] back doors which were still 

open to try and get the child out. Bridget Byrd spead [sic] away with 

both of the Williams subjects still partially inside the car. Ms. 

Williams was ran [sic] over according to the witnesses. Both 

witnesses also advised that the car was a newer model Chevy Impala 

with Michigan plates. She was transported to DCH by Rescue Truck 

27 for treatment. Officers informed SGT Huff of the kidnapping and 

YA [Youth Aid] was also notified. Officers got written statements 

from the two witnesses. Investigator Cousette from Youth Aid 

responded.

(Doc. 34, p. 7).6

 Based on this report and “other information learned by the 

Juvenile Division,”7 Investigator Jones “prepared depositions” to be presented to a 

magistrate of the Tuscaloosa County courts, Rosina Smith. In the complaint filed 

by Investigator Jones against Gennie Byrd, he alleged under oath the following:

 

[W]ithin twelve months of the commencement of this action, and 

within said county, the defendant, GENNIE BODDIE BYRD, who is 

otherwise unknown to the complainant did commit the offense of

Interference with Custody in that the said defendant did on or about 

AUGUST 6TH ,2012 @ 4373 COURTNEY DR,TUSCALOOSA, AL 

35401 interfere with with [sic] [B.B.] custody by knowingly taking or 

enticing [B.B.] who is under the age of 18 from the custody of its 

6

 Once again, to be clear, the court does not consider this report or the information in it 

for the purpose of proving the truth of the matters recorded it in, but simply as evidence of what 

Defendant Jones believed the facts to be, regardless of whether, in fact, they were true.

7 The nature of this “other information” is not revealed, but one may conjecture that it 

includes the conversations Officer Cousette had with Bridget Byrd in early July 2012 and 

knowledge of the filing of the emergency petition for custody on July 5, 2012, which she showed 

him.

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parent, guardian or other lawful custodian who is SAMUEL AND 

LENORA WILLIAMS To wit: THE DEFENDANT HELD THE 

DOOR OPEN FOR THE CO-DEFENDANT AS HE FORCED THE 

CHILD/VICTIM ([B.B.]) INTO THE VEHICLE. THE CHILD IS

10 YEARS OF AGE AND WAS TAKEN DURING A 

SUPERVISED VISITATION WITH THE WITNESSES SAMUEL 

WILLIAMS AND LENORA WILLIAMS WHO ARE THE LEGAL 

CUSTODIANS OF THE CHILD. in violation of Section 13A-6-45 

[Code] of Alabama, 1975, against the peace and dignity of the State of 

Alabama.

(Exhibit to Complaint in Byrd I, doc. 1-2). The complaints against Bridget Byrd 

and Lamond Byrd are substantially similar in their description of the child being 

taken from the parking lot of the restaurant and the assertion that Lenora Williams 

was the lawful custodian of the child. (See Exhibits annexed to Complaint in 

Byrd II, Doc. 1). Based on these complaints by Jones, Magistrate Smith issued 

felony arrest warrants for each of the three Byrds based on a charge of interference 

with custody that same day, August 6, 2012. (Id.) Bridget Byrd was arrested in 

Michigan on August 7, 2012, pursuant to the warrant, and was imprisoned in the 

Washtenaw County Jail for ten days. On or about August 17, 2012, the State of 

Alabama withdrew the charges against Bridget Byrd,8 and she was released from 

jail. On August 9, 2012, Lamond and Gennie Byrd also were arrested after turning 

8

 There is no explicit indication in the record why the charges were withdrawn. 

However, on August 7, 2012, the day Bridget Byrd was arrested, the clerk of the Michigan 

probate court wrote a letter “To whom it may concern,” noting that the guardianship of B.B. by 

Lenora Williams was “closed” in 2006 when she and B.B. moved out of Michigan. (See Exhibit 

to Amended Complaint, Doc. 23-1, p. 1). The letter was certified by the probate judge of the 

court.

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themselves in to authorities in Tuscaloosa, Alabama.9

 Ultimately, the case against 

the Byrds also was dismissed.

In September 2014, two years after these events, the Alabama Court of Civil 

Appeals found that Lenora Williams’s custodial rights to B.B. expired in 2006, 

when her Michigan guardianship expired after she moved out of state. The court 

also concluded that Alabama courts have no jurisdiction over the question of the 

custody of B.B. (Bridget Byrd Affidavit, Ex. B, Doc. 20-2).

DISCUSSION

Defendants Jones and Cousette assert in the Motion for Summary Judgment 

that they are entitled to qualified immunity and state agent immunity, and the City 

of Tuscaloosa asserts direct and derivative immunity. (Doc. 17, pp. 14, 16). In her 

joinder of the Motion for Summary Judgment, defendant Smith asserts that she is 

entitled to judicial immunity with regard of each of the claims against her. (Doc. 

32, p. 2). Because different types of immunity may be applicable to different 

defendants, the defendants, along with their potential immunity, will be addressed 

separately.

9 The Amended Complaint alleges that Officer Cousette telephoned Gennie Byrd on 

August 9, 2012, to inform her that a warrant for her arrest had been issued for interference with 

custody. (Doc. 23, ¶ 5). She and Lamond Byrd then turned themselves in to Tuscaloosa 

authorities, but it is not clear who actually placed them in physical custody.

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Defendant Smith

Defendant Smith is a magistrate for the District Court of Tuscaloosa County, 

Alabama. She is named as a defendant only in Byrd II, and joined defendants 

Jones, Cousette, and the City of Tuscaloosa in the pending Motion for Summary 

Judgment on November 25, 2014. (Doc. 32). Bridget Byrd, the plaintiff in 

Byrd II, sets out the following counts in her complaint: 

Count I – Violations of 42 U.S.C. § 1983 in the form of false arrest, false 

imprisonment, malicious prosecution, violation of her right to freedom of 

association under the 1st Amendment, violation of her right to be free from cruel 

and unusual punishment, violation of her right to due process and equal protection 

under the 14th Amendment, and violation of her right to care for her own child;

Count II10 – Alabama state law claim of intentional infliction of emotional 

distress;

Count III – Alabama state law claim for false arrest;

Count IV – Alabama state law claim for false imprisonment;

Count V – Alabama state law claim for defamation;

Count VI – Alabama state law claim for malicious prosecution;

Count VII – Alabama state law claim for negligent infliction of emotional 

distress;

Count VIII – Violation of 42 U.S.C. § 1985(3) for conspiracy to deprive a 

person of rights and immunities under law, including the right to free association, 

freedom from cruel and unusual punishment, right to interstate travel, equal 

10 The Complaint in Byrd II erroneously denominates the second count as “Count I –

Intentional Infliction of Emotional Distress.”

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protection and due process of law, and freedom from illegal search and seizure;

and

Count IX – Alabama state law claim for felonious injury/interference with 

custody under Alabama Code § 6-5-370 (1975). 

The plaintiff in Byrd II does not specify which claims she intends to bring against 

each defendant.11 Therefore, the court presumes that each of the claims is asserted 

against all defendants. Smith is entitled to absolute judicial immunity as to all of 

the claims in the complaint. 

A. Federal Claims

To the extent the plaintiff alleges that Magistrate Smith, acting in her official

capacity as a magistrate, improperly issued an arrest warrant for Bridget Byrd, 

Smith was acting as an Alabama state official, entitled to the same immunity as the 

state itself from any federal-court judgment imposing a duty to pay money. 

Indeed, suing Smith in her official capacity is nothing more than suing the State of 

Alabama, which is barred by Eleventh Amendment immunity. See Kentucky v. 

Graham, 473 U.S. 159, 165-66, 105 S. Ct. 3099, 3105, 87 L. Ed. 2d 611 (1978). 

11 The Complaint is an example of a “shotgun pleading,” repeatedly condemned by the 

court of appeals in many cases. The complaint fails to specify which counts are pleaded against 

what defendants, or to identify the facts each defendant is alleged to have engaged in that gives 

rise to potential liability under each count. Plainly, not every count applies to every defendant. 

For example, there is no allegation that the Williamses swore to the complaint against Byrd or 

were otherwise involved in her actual arrest in Michigan, yet they are named as defendants in the 

false arrest/false imprisonment and malicious prosecution counts. Each succeeding count 

incorporates the allegations of all previous counts, thereby incorporating into each count multiple 

theories of liability that have nothing to do with the subject of the count.

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There is no allegation that Smith was acting in any capacity other than as a

magistrate, and indeed, absent that authority, she could not have entered an arrest

warrant. 

Assuming, however, that the plaintiff in Byrd II is attempting to sue Smith 

in her individual capacity, Smith is entitled to judicial immunity. The plaintiff 

alleges that Smith used her authority as a magistrate to issue an arrest warrant 

against her. There is no allegation that Smith is not a magistrate or that she did not 

have jurisdiction over the matter about which the warrant was issued. There is a 

long line of Supreme Court cases recognizing the absolute immunity of judges 

from damages against them personally for actions taken in their capacity as judge. 

See Stump v. Sparkman, 435 U.S. 349, 98 S. Ct. 1099, 55 L. Ed 2d 331 (1978); 

Pierson v. Ray, 386 U.S. 547, 87 S. Ct. 1213, 18 L. Ed. 2d 288 (1967); Mireles v. 

Waco, 502 U.S. 9, 112 S. Ct. 286, 287, 116 L. Ed. 2d 9 (1991). The immunity 

afforded to judges protects them from having to defend a lawsuit, as well as from 

the ultimate assessment of damages. Mireless v. Waco, 502 U.S. 9, 11, 112 S. Ct. 

286, 116 L. Ed. 2d 9 (1991), citing Mitchell v. Forsyth, 472 U.S. 511, 526, 105 

S. Ct. 2806, 2815, 86 L. Ed. 2d 411(1985). A judge loses her immunity in only 

two circumstances:

First, a judge is not immune from liability for nonjudicial actions, i.e., 

actions not taken in the judge’s judicial capacity. Forrester v. White, 

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484 U.S., at 227-229, 108 S. Ct., at 544-545; Stump v. Sparkman, 435 

U.S., at 360, 98 S. Ct., at 1106. Second, a judge is not immune for 

actions, though judicial in nature, taken in the complete absence of all 

jurisdiction. Id., at 356-357, 98 S. Ct., at 1104-1105; Bradley v. 

Fisher, 13 Wall., at 351.

Mireles v. Waco, 502 U.S. 9, 11-12, 112 S. Ct. 286, 288, 116 L. Ed. 2d 9 (1991). 

Neither of these circumstances is alleged here. The plaintiff unmistakably alleges 

that Smith, acting in her capacity as a magistrate, issued the arrest warrant for the 

plaintiff, and there is no assertion that Smith lacked jurisdiction to do so. This 

absolute judicial immunity extends to Alabama magistrates, such as Smith, who 

are performing judicial functions. See Ex parte City of Greensboro, 948 So. 2d 

540, 542-43 (Ala. 2006). Plainly, reviewing complaints for probable cause and 

issuing arrest warrants is a judicial function. Accordingly, all federal claims 

asserted against Smith by the plaintiff in Byrd II are due to be dismissed. 

B. State Law Claims

Alabama law also grants Smith absolute judicial immunity. The Supreme 

Court of Alabama made clear in City of Bayou La Batre v. Robinson that judicial 

immunity extends “to the discretionary judicial acts of magistrates.” 785 So. 2d 

1128, 1133 (Ala. 2000), citing Almon v. Gibbs, 545 So. 2d 18, 20 (Ala. 1989) 

(“[W]here a clerk of court is performing a duty that requires the exercise of 

judgment and discretion in its performance, it is considered a judicial act entitling 

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the clerk to judicial immunity. This absolute immunity for acts within the 

jurisdiction of the judicial officer is extended even where the officer acts in error, 

maliciously, or in excess of his authority.”) Accordingly, all state law claims

asserted against Smith by the plaintiff in Byrd II also are due to be dismissed. 

Defendants Cousette and Jones

Federal claims against defendants Cousette and Jones are asserted in both

Byrd I and Byrd II. The plaintiffs in Byrd I and Byrd II assert federal claims 

pursuant to 42 U.S.C. § 1983 and (in Byrd II) § 1985(3). Defendants Cousette and 

Jones, at all relevant times, were police officers for the Tuscaloosa Police 

Department and, therefore, were state actors for purposes of claims asserted under 

42 U.S.C. § 1983. In Byrd I and Byrd II the plaintiffs assert under § 1983 claims

of false arrest, false imprisonment, and malicious prosecution in violation of the 4th

and 14th Amendments. In Byrd II, Bridget Byrd also asserts federal claims under § 

1983 for interference with her First Amendment right to freedom of association, 

her Eighth Amendment right to be free from cruel and unusual punishment,12 her

12 Any claim grounded on the Eighth Amendment is clearly meritless because Bridget 

Byrd was never convicted of any offense. The Eighth Amendment applies only to the rights of 

convicted prisoners. “The eighth amendment, however, applies only to confinement that occurs 

subsequent to and as a consequence of a person’s lawful conviction of a crime.” Hamm v. 

DeKalb County, 774 F.2d 1567, 1572 (11th Cir. 1985), citing Ingraham v. Wright, 430 U.S. 651, 

97 S. Ct. 1401, 51 L. Ed. 2d 711 (1977). This claim will be DISMISSED WITH PREJUDICE.

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Fifth13 and Fourteenth Amendment rights to due process and equal protection, and 

her fundamental right to parental care and custody of her minor child.14 She also 

asserts a conspiracy claim pursuant to 42 U.S.C. § 1985(3), alleging that 

defendants conspired to deprive her of all of these rights. 

The claims against the defendants are brought pursuant to events occurring 

in two distinct chronological periods – before the arrest warrants were issued, and 

after. The plaintiffs’ claims of malicious prosecution must arise from the seeking

of the arrest warrants, whereas the claims of false arrest and false imprisonment 

can pertain only to actions taken pursuant to the arrest warrant. The distinction is 

of paramount importance because whether there was a facially valid warrant in 

place determines whether the defendants may be entitled to absolute quasi-judicial 

immunity or to qualified immunity.

A. Quasi-Judicial Immunity 

The Eleventh Circuit has determined that “law enforcement personnel, 

acting in furtherance of their official duties and relying on a facially valid court 

13 Any claim grounded on the Fifth Amendment is meritless because the due process 

and equal protection rights of that amendment apply only against federal officials, not state 

officials as are sued in this case. “[T]he Due Process Clause of the Fifth Amendment applies 

only to conduct committed by officials of the federal government; it does not apply to state 

actors.” McCall v. Dep't of Human Resources, 176 F. Supp. 2d 1355, 1363 (M.D. Ga. 2001), 

citing Riley v. Camp, 130 F.3d 958, 972 n. 19 (11th Cir. 1997) (Tjoflat, J., dissenting from the 

denial of rehearing en banc). Her Fifth Amendment claim will be DISMISSED WITH 

PREJUDICE.

14 The court assumes this is the basis for her reference to the Ninth Amendment.

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order, are entitled to absolute quasi-judicial immunity from suit in a section 1983 

action.” Roland v. Phillips, 19 F.3d 552, 556 (11th Cir. 1994). Therefore, actions 

taken in effectuating the arrest warrant once it had been issued are protected by 

absolute quasi-judicial immunity. The plaintiffs may argue that, because the 

charges against the plaintiffs in Byrd I and Byrd II ultimately were dismissed, the 

arrest warrant was not valid, removing the shield of quasi-judicial immunity. 

Immunity is not so easily lost, however. A warrant does not have to be correct, or 

even lawful, to be facially valid. Roland, 19 F.3d at 556. The fact that the charges 

upon which the warrant was issued later were found to be erroneous, does not 

signal that the warrant was facially invalid at the time it was executed. Because 

the arrest warrants pursuant to which the plaintiffs were arrested were facially 

valid, the officer who arrested the plaintiffs is entitled to quasi-judicial immunity in 

regard to the claims of false arrest and false imprisonment in Byrd I and Byrd II. 

Likewise, to the extent that officer also is sued under the First Amendment on the 

theory that the arrest interfered with Bridget Byrd’s freedom of association with 

her child, or under the Ninth Amendment for interfering with her fundamental right 

to the custody of her child, quasi-judicial immunity protects the arresting officer.

In Byrd I, the plaintiffs assert claims of false imprisonment and false arrest 

against both defendants Jones and Cousette. However, the complaint in Byrd I

states that defendant Cousette arrested the Byrds. (Doc. 23, ¶ 5). The Complaint 

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does not allege that Jones was present when the arrests took place. Because 

defendant Jones did not actually arrest any of the plaintiffs, claims against him of 

false arrest and false imprisonment cannot stand. Further, defendant Cousette is 

protected by quasi-judicial immunity, because he arrested the plaintiffs in Byrd I

pursuant to a facially valid court order issued by defendant Smith. Accordingly, 

the claims in Byrd I against Jones and Cousette for false arrest and false 

imprisonment are due to be dismissed.

In Byrd II, the plaintiff alleges claims of false arrest and false imprisonment 

against all defendants. However, Bridget Byrd was arrested and held in Michigan, 

and never was extradited to Alabama. She was released from Washtenaw County 

Jail in Michigan ten days after her arrest there. No defendant named in this lawsuit 

ever arrested or imprisoned the plaintiff in Byrd II. To state a claim of Fourth 

Amendment violation under § 1983 for false arrest or false imprisonment, there 

must be an actual “seizure.” No defendant named in Byrd II ever “seized” Bridget

Byrd for purposes of arrest or imprisonment, nor does the plaintiff allege that they 

did. Accordingly, the claims of false arrest or false imprisonment in Byrd II

cannot stand against any defendants, and are due to be dismissed.

For the same reason, Bridget Byrd’s First and Ninth Amendment claims 

against Cousette are due to be dismissed. There is no factual allegation that he did 

anything to interfere with Bridget’s association with or custody of B.B. He did not 

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execute the complaint against her or seek the warrant on which she was arrested by 

Michigan officials, and there is no allegation that he caused B.B. to be separated 

from Bridget Byrd. Accordingly, Bridget Byrd’s First and Ninth Amendment 

claims against Cousette are due to be dismissed.

B. Qualified Immunity 

Under federal law, it is well settled that qualified immunity protects 

government officials performing discretionary functions from civil suit, and from 

liability, where their conduct does not violate “clearly established statutory or 

constitutional rights.” Hope v. Pelzer, 536 U.S. 730, 739, 122 S. Ct. 2508, 153 L. 

Ed. 2d 666 (2002), quoting Harlow v. Fitzgerald, 457 U.S. 800, 818, 102 S. Ct. 

2727, 2738, 73 L. Ed. 2d 396 (1982). The shield of qualified immunity has been 

expanded to include acts that may not involve the exercise of “actual discretion,” 

and can include acts that may be ministerial but are “job-related functions” and are 

through means that are within the official’s authority to utilize. Holloman ex rel. 

Holloman v. Harland, 370 F.3d 1252, 1265-66 (11th Cir. 2004), quoting Hill v. 

DeKalb Reg’l Youth Detention Center, 40 F.3d 1176, 1185 n. 17 (11th Cir. 1994). 

Furthermore, it is the general rule that qualified immunity will protect government 

actors from liability, and only in “exceptional cases” will the immunity be 

unavailable as a shield. Harris v. Board of Education of the City of Atlanta, 105 

F.3d 591, 595 (11th Cir. 1997). Even so, qualified immunity does not apply in 

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those instances where the case law establishes a “bright line” in such a “concrete 

and factually defined context” to make it obvious to all reasonable government 

actors, in the defendant’s place, that the actions violate federal law. Scarbrough v. 

Myles, 245 F.3d 1299, 1301 (11th Cir. 2001). 

The initial burden of demonstrating that the public official is acting within 

the scope of his position lies with the defendant asserting that defense. Holloman, 

370 F.3d at 1264. The test is not, for example, whether the defendant had the 

authority to make an illegal arrest, but whether their jobs entailed making arrests, 

generally. See id. at 1266. In other words, the court does not ask whether the 

defendant had the right to illegally arrest the plaintiff, or swear out an illegal 

warrant, but simply whether making arrests and swearing out warrants was within 

the general scope of the officer’s duties. The answer in the instant case is in the 

affirmative. 

Once the defendant has met this burden, which the defendants in this case 

have, the burden shifts to the plaintiff to show that the defendant is not entitled to 

qualified immunity. Id. To prevail against an assertion of qualified immunity, the 

plaintiff must demonstrate that: “(1) the defendant violated a constitutional right, 

and (2) this right was clearly established at the time of the alleged violation.” Id. at 

1264, citing Wilson v. Layne, 526 U.S. 603, 609, 119 S. Ct. 1692, 1697, 143 L. Ed. 

2d 818 (1999). 

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i. Malicious Prosecution

The § 1983 malicious prosecution claims in Byrd I and Byrd II must be 

discussed in terms of qualified immunity because, at the time that the defendants 

sought the arrest warrants commencing the criminal proceedings against the 

plaintiffs, they were not acting under the authority of a judge and, therefore, are not 

entitled to quasi-judicial immunity. To determine whether the plaintiffs have 

adequately set forth a § 1983 claim of malicious prosecution, the court looks to 

both federal and state law. The Eleventh Circuit Court of Appeals has stated:

To establish a federal malicious prosecution claim under § 1983, the 

plaintiff must prove a violation of his Fourth Amendment right to be 

free from unreasonable seizures in addition to the elements of the 

common law tort of malicious prosecution. See Uboh, 141 F.3d at 

1002-04; Whiting, 85 F.3d at 584-86; Kelly, 21 F.3d at 1553-55. As to 

the constituent elements of the common law tort of malicious 

prosecution, this Court has looked to both federal and state law and 

determined how those elements have historically developed. Uboh, 

141 F.3d at 1002-04; Whiting, 85 F.3d at 584-86. For example, in 

Uboh, this Court examined both federal law and Georgia law and 

indicated that, for purposes of a § 1983 malicious prosecution claim, 

the constituent elements of the common law tort of malicious 

prosecution included: (1) a criminal prosecution instituted or 

continued by the present defendant; (2) with malice and without 

probable cause; (3) that terminated in the plaintiff accused’s favor; 

and (4) caused damage to the plaintiff accused. 141 F.3d at 1004. We 

note that these are also the same elements required under Alabama 

law for the tort of malicious prosecution. Delchamps, Inc. v. Bryant, 

738 So. 2d 824, 831-32 (Ala. 1999).

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Wood v. Kesler, 323 F.3d 872, 881-82 (11th Cir. 2003)(footnotes omitted), cert.

denied, 540 U.S. 879 (2003) (italics in original), citing Uboh v. Reno, 141 F.3d 

1000, 1002-04 (11th Cir. 1998); Whiting v. Traylor, 85 F.3d 581, 584 (11th Cir. 

1996). 

The plaintiffs in Byrd I and Byrd II allege that defendant Jones executed the 

complaint for the arrest warrant and swore that there was probable cause for the 

arrest. Accordingly, the first prong for malicious prosecution (commencing a 

judicial action) applies only to defendant Jones, not defendant Cousette. Because 

he swore out the arrest warrants, Jones meets the first prong of the common-law 

tort of malicious prosecution as to all plaintiffs. Because the charges against all 

plaintiffs ultimately were dismissed, the third prong is met as well. All plaintiffs 

allege that they were damaged by the arrest and subsequent proceedings. 

Accordingly, prong four is met for the purposes of summary judgment. The only 

remaining prong is whether defendant Jones swore out the arrest warrant with 

malice and without probable cause – the second prong of the common-law tort of 

malicious prosecution. 

The Eleventh Circuit has comprehensively discussed the issue of probable 

cause in a § 1983 malicious prosecution claim in Carter v. Gore:

In Malley v Briggs, the Supreme Court established that even if a 

magistrate approves an arrest warrant, the officer who applied for the 

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warrant may be liable for violating the Constitution if the evidence 

presented to the magistrate was insufficient to establish probable 

cause. 475 U.S. at 345, 106 S. Ct. at 1098. Under this standard, 

however, the question is not whether probable cause actually existed; 

rather, the question is whether the officer had “arguable” probable 

cause. Von Stein v. Brescher, 904 F.2d 572, 578 (11th Cir. 1990). 

Moreover, in order to defeat an officer’s qualified immunity defense, 

the plaintiff must show that “a reasonably well-trained officer ... 

would have known that his affidavit failed to establish probable cause 

and that he should not have applied for a warrant.” Malley, 475 U.S. 

at 345, 106 S. Ct. at 1098.

Specifically, this court has applied Malley to hold an officer liable 

where she secured an arrest warrant based on an affidavit that 

“articulate[d] neither the basis for her belief that [the suspect] violated 

the law nor any affirmative allegation that she had personal 

knowledge of the circumstances of [the] alleged crime.” Kelly, 21 

F.3d at 1555; see also Garmon v. Lumpkin County, 878 F.2d 1406, 

1408-09 (11th Cir. 1989) (holding an officer liable where the affidavit 

states only that the suspect “did . . . commit the offense” because 

without “information providing the basis for the affiant’s belief nor 

any affirmative allegation that the affiant had personal knowledge of 

the circumstances surrounding the alleged commission of the crime,” 

the “conclusory assertion clearly is insufficient to establish probable 

cause” (citations omitted)).

Carter v. Gore, 557 Fed. App’x 904, 908-09 (11th Cir. 2014).

The plaintiffs in Byrd I and Byrd II allege that arrest warrants were issued 

against them based solely on the Williamses’ allegations that Lenora Williams was

B.B.’s legal custodian and that the plaintiffs took B.B. without permission. An 

officer requesting a warrant is afforded qualified immunity even if the warrant 

causes an unconstitutional arrest, if the officer was “objectively reasonable” in 

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seeking the warrant. Malley v. Briggs, 475 U.S. 335, 344, 106 S. Ct. 1092, 1098, 

89 L. Ed. 2d 271, (1986). “Only where the warrant application is so lacking in 

indicia of probable cause as to render official belief in its existence unreasonable, 

will the shield of immunity be lost.” Id. at 345, citing United States v. Leon, 468 

U.S. 897, 923, 104 S. Ct. 3405, 3421, 82 L. Ed. 2d 677 (1984). 

Taking the facts in the light most favorable to the non-moving plaintiffs, 

defendant Jones requested the arrest warrants based on false and misleading 

statements the Williamses gave to the Tuscaloosa police. Magistrate Smith issued 

the requested arrest warrants for felonious interference with custody. Jones signed 

an affidavit swearing that Lenora Williams was B.B.’s legal custodian, and that 

statement was not true. Jones could have contacted the Washtenaw County 

Probate Court in Michigan and discovered that Lenora Williams’s guardianship of

B.B. had been closed in 2006 when they left the State of Michigan. A letter was 

sent to Lenora Williams from the Washtenaw County Probate Court, stating that 

Williams’s guardianship would administratively close on July 5, 2006. Because

this letter was filed in the Michigan probate court, it was available for Jones to 

look at prior to seeking a warrant. Jones did not have any court order or document 

from the State of Alabama showing that the Williamses were B.B.’s legal 

custodians. At the preliminary criminal hearing for the plaintiffs, the court ordered 

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the officers to produce documents showing that Williams had custody of B.B. and, 

when the officers could not do so, the cases against the plaintiffs were dismissed. 

Although the Motion for Summary Judgment, response, and reply do not 

include copies of the affidavits supporting the arrest warrants, the plaintiff in Byrd 

II, attached copies of the affidavits as exhibits to her complaint. (Case No. 7:14-

cv-1537-TMP, Doc. 1-1, pp. 2, 4-5). The following statements were on Jones’s

affidavits submitted to support the issuance of the arrest warrants. As to plaintiff 

Bridget Byrd he states, “[t]he defendant was driving the vehicle that left the scene 

where a co-defendant grabbed [B.B.] who is 10 years of age and ran to his vehicle 

and forced her into the car during a supervised visitation with the witnesses Samuel 

Williams and Lenora Williams who are the legal custodians of the child.” (Case 

No. 7:14-cv-1537-TMP, Doc. 1-1, p. 2). As to plaintiff Gennie Byrd he states, 

“[t]he defendant held the door open for the co-defendant as he forced the 

child/victim ([B.B.]) into the vehicle. The child is 10 years of age and was taken 

during a supervised visitation with the witnesses Samuel Williams and Lenora 

Williams who are the legal custodians of the child.” (Case No. 7:14-cv-1537-

TMP, Doc. 1-1, p. 4). And, as to plaintiff Lamond Byrd he states, “[t]he defendant 

grabbed [B.B.] who is 10 years of age and ran to his vehicle and forced her into the 

car during a supervised visitation with the witnesses Samuel Williams and Lenora 

Williams who are the legal custodians of the child.” (Case No. 7:14-cv-1537-

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TMP, Doc. 1-1, p. 5).15 Jones does not claim to have personally witnessed the 

alleged interference with custody, but bases his statements on the assertions of the 

witnesses and his investigation.

In Carter v. Gore, 557 Fed. Appx. 904 (11th Cir. 2014), the Eleventh Circuit 

discussed why the facts set out by the plaintiff in that case were “sufficient to 

plausibly suggest that [the police officer] secured an arrest warrant without 

arguable probable case.” Id. at 910. The Court explained:

Just as in Kelly and Garmon, Gore’s affidavit contained only a 

conclusory assertion that the suspect committed a crime. By listing 

specific steps taken to commit the crime, the assertion in Gore’s 

affidavit is longer and more specific than was the assertion in 

Garmon, which simply stated that the suspect committed the alleged 

crime. But Gore’s affidavit was legally deficient in precisely the same 

way: it provided no evidence to support Gore’s assertions, nor did 

Gore allege personal knowledge about the crime. As in Garmon, a 

reasonable officer in Gore’s position would have known that such a 

conclusory affidavit did not allege facts sufficient to establish 

arguable probable cause. 

In support of his allegation that Gore lacked arguable probable cause, 

Carter claims that Gore had a number of reasons to believe that Carter 

did not commit the crime and no proof that he did. Without 

witnesses, photographic evidence, or any evidence placing Carter at 

the scene of the crime, what evidence did Gore have? . . . 

Carter v. Gore, 557 Fed. App’x 904, 910-11 (11th Cir. 2014). 

15 The version of events leading to the plaintiffs’ arrests that is set out the in the 

affidavits is very different than what is asserted in the case at bar. However, the precise details 

of the day B.B. was taken by the plaintiffs are not at issue.

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Unlike the officer in Carter, the affidavits submitted by Jones referenced

“the witnesses Samuel Williams and Lenora Williams.” The analysis in Carter

does not suggest that an officer must have some evidence other than an eyewitness account to have arguable probable cause to swear out a warrant. Because 

the standard is “arguable” probable cause, the fact it was later determined that 

Lenora Williams did not have custody of B.B. does not mean Jones did not have 

arguable probable cause, unless Jones had some reason not to believe the 

Williamses’ assertion that they had lawful custody. The plaintiffs argue that Jones 

should have investigated further to confirm that the Williamses had custody of 

B.B. The plaintiffs state with no factual support at all that Jones “knew” the 

Williamses did not have custody of B.B. and signed the complaint affidavits 

anyway. The plaintiff in Byrd II argues that, on July 3, 2012, before the affidavits 

were sworn, she provided the Tuscaloosa Police Department with documents 

reflecting that Lenora Williams’s guardianship had been terminated. She states 

that she spoke with defendant Cousette on July 5 and 6, at which time Cousette 

admitted that he knew B.B. had been living in Michigan for 4 years prior to the 

incident, he knew of the termination of guardianship, and he knew that Bridget 

Byrd was B.B.’s mother.

Jones, not Cousette, was the officer who swore out the arrest warrants. 

Because Cousette did not swear out the warrants, what he may have known is not 

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relevant to whether Jones had arguable probable cause to seek a warrant. The 

plaintiff asks the court to require a full investigation into an alleged crime, before

warrants are issued. Such a requirement would be overly burdensome to police

and dangerous to the public at large. In this case, the statements of the witnesses in 

the police report were sufficient to give Jones arguable probable cause that a crime 

had been committed by the plaintiffs and justify his seeking a warrant. The fact 

that the witnesses may have lied to Jones about their custodial claim does not mean 

that Jones lacked arguable probable cause unless he had some reason not to believe 

the truthfulness of what the witnesses told him. The Eleventh Circuit has 

explained:

“[W]hen the Fourth Amendment demands a factual showing sufficient 

to comprise ‘probable cause,’ the obvious assumption is that there will 

be a truthful showing.” [Franks v. Delaware, 438 U.S. 154, 164-65, 

98 S. Ct. 2674, 2674, 57 L. Ed. 2d 667 (1978) (emphasis in original)]. 

While this condition does not dictate that the statements be objectively 

accurate, it does require that they “be ‘truthful’ in the sense that the 

information put forth is believed or appropriately accepted by the 

affiant as true.” Id. at 165, 98 S. Ct. 2674. Thus, a police officer may 

be held liable under 42 U.S.C. § 1983 for submitting an application 

for an arrest warrant that contains false information. See Malley v. 

Briggs, 475 U.S. 335, 346, 106 S. Ct. 1092, 89 L. Ed. 2d 271 (1986); 

Cannon, 174 F.3d at 1285. If “a reasonable police officer would have 

known that [the witness’s] testimony was not just negligently false, 

but recklessly so,” then [the officer] is not entitled to qualified 

immunity. Kelly v. Curtis, 21 F.3d 1544, 1554 (11th Cir. 1994).

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Holmes v. Kucynda, 321 F.3d 1069, 1083 (11th Cir. 2003). There is no evidence 

that Jones had any reason not to believe the statements made to him by the 

Williamses. Because a reasonable officer investigating the complaint by the 

Williamses would have no reason to believe what they told him was false, Jones 

has qualified immunity from liability based on seeking the arrest warrants. 

Accordingly, the federal malicious prosecution claims in Byrd I and Byrd II, to the 

extent they are set out against Jones, are due to be dismissed. 

Defendant Cousette’s arrest of the plaintiffs in Byrd I does not constitute the 

commencement of a judicial action and, because it is not alleged that he otherwise 

was involved in seeking the arrest warrant, claims of malicious prosecution against 

him cannot stand. All the federal malicious prosecution claims in Byrd I and Byrd 

II, as they pertain to defendant Cousette, also are due to be dismissed.

ii. Interference with Associational and Parental Rights

 In Byrd II, Bridget Byrd alleges claims for interference with her First 

Amendment right of association (with B.B.) and interference with her fundamental 

right as a parent to the custody of her child.16 As already discussed above, there is 

no factual basis for finding that Cousette is liable for interfering with the Bridget 

Byrd’s First Amendment associational rights or her fundamental right as a parent 

16 Lamond and Gennie Byrd do not allege these claims in Byrd I, and thus the court will 

discuss any such claims with respect to Lamond and Gennie Byrd.

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to the custody of her child. First, Cousette was not involved in the arrest of 

Bridget Byrd by Michigan authorities. Second, even if he were involved in her 

arrest, he remains entitled to absolute quasi-judicial immunity for carrying out the 

commands of the warrant. An officer executing a facially valid arrest warrant has 

no obligation to question the magistrate’s judicial decision to issue the warrant, and 

he is not liable for faithfully executing the warrant’s command to arrest the subject 

of the warrant.

Investigator Jones also is not liable for interfering with these rights as he had 

arguable probable cause to seek the warrants. Based on the information then 

possessed by Jones, none of the Byrds had any legal custodial right to B.B. and, 

indeed, had illegally deprived Lenora Williams of her custodial rights. Even 

though this information turned out not to be true, an objectively reasonable officer 

possessing the same information as Jones would have had at least arguable 

probable cause to seek the warrants. As such, Jones is entitled to qualified 

immunity from liability on these counts in Byrd II.

C. Denial of Due Process and Equal Protection

Because Officer Cousette and Investigator Jones are not federal officers, any 

invocation of the Fifth Amendment is meritless. The claim for deprivation of due 

process and equal protection, if it exists at all against them, arises from the 

Fourteenth Amendment. For the reasons already discussed, both Cousette and 

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Jones are entitled to qualified immunity, and for Cousette, absolute quasi-judicial 

immunity. Furthermore, the Byrds received all the process to which they were 

due. Arrest warrants were obtained and executed. Ultimately, court procedures 

resulted in the dismissal of the charges against them. Plaintiffs fail to identify any 

other procedural right to which they were entitled.

Insofar as they allege a denial of equal protection, they have not alleged that 

they were the victims of any arbitrary or invidious discrimination prohibited by the 

Fourteenth Amendment. The essence of the equal protection clause of the 

Fourteenth Amendment is its prohibition against State and local governments 

exercising purposeful, invidious discrimination against citizens on the basis of 

“race, religion, national origin, or some other constitutionally protected basis.”

Jones v. Ray, 279 F.3d 944, 946–47 (11th Cir. 2001); Damiano v. Florida Parole 

and Prob. Comm'n, 785 F.2d 929, 932–33 (11th Cir. 1986); Sweet v. Secretary, 

Department of Corrections, 467 F.3d 1311, 1318–1319 (11th Cir. 2006); Jones v. 

Thomas, 2014 WL 903313, at *1 (M.D. Ala. Mar. 7, 2014). “To state an equal 

protection claim, a plaintiff must demonstrate that similarly situated persons 

outside his protected class were treated more favorably and that ‘the state engaged 

in invidious discrimination against him based on race, religion, national origin, or 

some other constitutionally protected basis.’” Watson v. Div. of Child Support 

Services, 560 F. App'x 911, 913 (11th Cir. 2014), quoting Sweet v. Sec'y, Dep't of 

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Corrections, 467 F.3d 1311, 1318–19 (11th Cir. 2006); see also Amnesty Int'l, 

USA v. Battle, 559 F.3d 1170, 1180 (11th Cir. 2009).

In the instant case, Bridget Byrd does not allege any protected-class status or 

that the actions against her were invidious or arbitrary. She does not allege that the 

reason a warrant was issued and executed for her arrest was purposeful 

discrimination on the basis of her race, religion, national origin, or other suspect 

classification. Absent some factual allegation of invidious discrimination, her 

equal protection claim is meritless.

D. 42 U.S.C. § 1985

The plaintiff in Byrd II (Bridget Byrd) claims that the individual defendants 

conspired with one another, in violation of 42 U.S.C. § 1985(3), to deprive her of 

“due process and equal protection under the 14th Amendment, freedom of 

association under the 1st Amendment, freedom against cruel and unusual 

punishment, and the fundamental liberty interests associated with a parent’s right 

to rear and raise their children without undue interference.” (Case No. 7:14-cv01537-TMP, Doc. 1, ¶ 88). The Complaint, however, fails to state facts sufficient 

to support a claim under § 1985(3).

The elements of a cause of action under § 1985(3) are: (1) a 

conspiracy; (2) for the purposes of depriving, either directly or 

indirectly, any person or class of persons of the equal protection of the 

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laws, or of equal privileges and immunities under the laws; and (3) an 

act in furtherance of the conspiracy; (4) whereby a person is either 

injured in his person or property or deprived of any right or privilege 

of a citizen of the United States.

Griffin v. City of Clanton, Ala., 932 F. Supp. 1359, 1371 (M.D. Ala. 1996),

quoting Lucero v. Operation Rescue, 954 F.2d 624, 627 (11th Cir. 1992).

The plaintiff fails to put forth any facts alleging that a conspiracy existed

and, therefore, fails to satisfy the first element required to support a claim under 

§ 1985(3). The plaintiff states that the “[d]efendants conspired . . . [to] deprive 

Plaintiff of her constitution[al] rights,” and that the “[d]efendants engaged in a 

conspiracy to directly or indirectly deprive Byrd of [her] fundamental liberty 

interest of rearing and raising her own child,” but she does not support these 

statements with any factual allegations whatsoever. Her purely conclusory 

statements are not sufficient to support her claim, and, in her response to the 

Motion for Summary Judgment the plaintiff fails even to address her § 1985(3)

claim. Because the plaintiff fails to meet the first prong of a cause of action under 

§ 1985(3), her claims cannot stand against any defendant.

The plaintiff also fails to satisfy the second element required to support a 

cause of action under § 1985(3), because she fails to allege – even in the most 

cursory fashion – the required motivation for sustaining such a claim. “The second 

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element of the cause of action requires the Plaintiffs to make a showing that the 

Defendants’ actions were motivated by a racial or other class-based invidious 

discrimination.” Griffin, 932 F. Supp. at 1371, citing Griffin v. Breckenridge, 403 

U.S. 88, 102, 91 S. Ct. 1790, 1798, 29 L. Ed. 2d 338 (1971). The Supreme Court 

of the United States determined that, although it is not explicitly stated in the 

statute, the legislative intent of § 1985(3) was that it be applied only in cases where 

deprivation of equal protection occurred due to the plaintiff’s membership in a

protected class.

For, though the supporters of the legislation insisted on coverage of 

private conspiracies, they were equally emphatic that they did not 

believe, in the words of Representative Cook, ‘that Congress has a 

right to punish an assault and battery when committed by two or more 

persons within a State.’ Id., at 485. The constitutional shoals that 

would lie in the path of interpreting s 1985(3) as a general federal tort 

law can be avoided by giving full effect to the congressional

purpose—by requiring, as an element of the cause of action, the kind 

of invidiously discriminatory motivation stressed by the sponsors of 

the limiting amendment. See the remarks of Representatives Willard 

and Shellabarger, quoted supra, at 1797. The language requiring 

intent to deprive of equal protection, or equal privileges and 

immunities, means that there must be some racial, or perhaps 

otherwise class-based, invidiously discriminatory animus behind the 

conspirators’ actions. The conspiracy, in other words, must aim at a 

deprivation of the equal enjoyment of rights secured by the law to all.

Griffin v. Breckenridge, 403 U.S. 88, 101-02, 91 S. Ct. 1790, 1798, 29 L. Ed. 2d 

338 (1971). The plaintiff does not assert, even in a conclusory fashion, that any of 

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the actions taken against her were motivated by racial animus or by animus toward 

another protected class, of which the plaintiff may be a member. Therefore, her 

claim cannot stand. The plaintiff’s claim pursuant to 42 U.S.C. § 1985(3) is due to 

be dismissed against all defendants.

E. State Law Claims

Only the plaintiff in Byrd II pursues claims under Alabama state law. 

Accordingly, all claims discussed in this section can be found in Document 1 of 

Case Number 7:14-cv-01537-TMP. The plaintiff in Byrd II asserts the following 

state law claims: intentional infliction of emotional distress (also known as the tort 

of outrage), false arrest, false imprisonment, defamation, malicious prosecution, 

negligent infliction of emotional distress, and felonious interference with custody. 

In response to the claims, the defendants Jones and Cousette argue they are entitled 

to state-agent and/or discretionary function immunity under Alabama state law.

i. Discretionary Function Immunity

As state actors, defendants Jones and Cousette assert that they are entitled to

immunity. According to Alabama Code § 6-5-338(a), a police officer of any 

municipality in the state “shall have immunity from tort liability arising out of his 

or her conduct in performance of any discretionary function within the line and 

scope of his or her law enforcement duties.” Id. Discretionary functions have 

been deemed to be “those acts as to which there is no hard and fast rule as to the 

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course of conduct that one must or must not take, and those acts requiring exercise 

in judgment and choice and involving what is just and proper under the 

circumstances.” Moore v. Adams, 754 So. 2d 630, 632 (Ala. 1999), citing Wright 

v. Wynn, 682 So. 2d 1, 2 (Ala. 1996), and L.S.B. v. Howard, 659 So. 2d 43 (Ala. 

1995). The Alabama Supreme Court has held that immunity applies to the conduct 

of officers in the effectuation of an arrest. See Ex parte City of Montgomery, 758 

So. 2d 565, 570 (Ala. 1999).

In Ex parte Cranman, 792 So. 2d 392 (Ala. 2000), the state supreme court 

set out a detailed test for determining when a state employee is entitled to 

immunity under § 6-5-338, and changed the focus of such immunity from whether 

the employee is engaged in a “discretionary function,” to the specific provisions of 

the immunity articulated in Cranman. That restatement of state-agent immunity 

includes the provision that a state employee is entitled to immunity when 

“exercising judgment in the enforcement of the criminal laws of the state, 

including, but not limited to, law enforcement officers’ arresting or attempting to 

arrest persons.” 792 So. 2d at 205. Since Cranman, a peace officer’s entitlement 

to immunity under § 6-5-338(a) is judged by the principles set forth in Cranman, 

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and not under an analysis of discretionary versus ministerial functions.17 Ex parte 

City of Tuskegee, 932 So. 2d 895, 904 (Ala. 2005).

The statutory immunity extends not only to the officers, but to the 

governmental unit that employs them. See, e.g., Howard v. City of Atmore, 887 

So. 2d 201, 211 (Ala. 2003); Montgomery v. City of Montgomery, 732 So. 2d 305 

(Ala. Civ. App. 1999) (holding that both the officer and the city were immune 

under § 6-5-338 for mistaken arrest of man). The immunity shields the officers 

and the city from liability “unless [the] actions were conducted with willful or 

malicious intent or in bad faith.” Ex parte City of Montgomery, 758 So. 2d at 570. 

Accordingly, the court evaluates a claim of discretionary function immunity by 

first determining whether the defendant has demonstrated that he was exercising 

judgment when the alleged wrongful conduct occurred. If so, the burden shifts to 

the plaintiff to prove that the defendant acted in “bad faith, with malice or 

willfulness.” Wood v. Kesler, 323 F. 3d 872, 883 (11th Cir. 2003).18 

 

17 It should be noted, however, that even before Cranman, the state courts recognized 

that discretionary functions were akin to those that required the exercise of judgment. Ex parte 

City of Tuskegee, 932 So. 2d at 905, citing Ex parte City of Montgomery, 758 So. 2d at 569.

18 It has been noted that discretionary function immunity and qualified immunity both 

involve a “core issue” of whether a defendant violated clearly established law. Qualified 

immunity, however, cannot be defeated by a showing of bad faith, malice, or willfulness. 

Scarbrough v. Myles, 245 F.3d 1299, 1303 n. 9 (11th Cir. 2001).

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(a). Intentional Infliction of Emotional Distress

In Byrd II, the plaintiff claims that the defendants “intentionally or 

recklessly inflicted severe emotional distress” on the plaintiff, and that the conduct 

of the defendants was “so extreme and outrageous as to exceed all possible bounds 

of decency and must be regarded as atrocious and utterly intolerable in a civilized 

community.” (Case No. 7:14-cv-1537-TMP, Doc. 1, ¶¶ 50-51). The elements of 

the tort upon which the plaintiff must offer evidence are the following:

“The tort or outrage requires that: (1) the actor intended to inflict 

emotional distress, or knew or should have known that emotional 

distress was likely to result from his conduct; (2) the conduct was 

extreme and outrageous; (3) the defendant’s actions caused the 

plaintiff distress; and (4) . . . the distress was severe. With respect to 

the conduct element, this court has stated that the conduct must be ‘so 

outrageous in character and so extreme in degree as to go beyond all 

possible bounds of decency, and to be regarded as atrocious and 

utterly intolerable in a civilized society.’”

Thomas v. Williams, 21 So. 3d 1234, 1237-38 (Ala. Civ. App. 2008), quoting 

Gunter v. Huddle, 724 So. 2d 544, 547 (Ala. Civ. App. 1988); see also American 

Road Service Co. v. Inmon, 394 So. 2d 361, 365 (Ala. 1980). “[T]he tort of 

outrage is ‘a limited remedy to be applied only in flagrantly egregious 

circumstances.’” Gunter v. Huddle, 724 So. 2d 544, 547 (Ala. Civ. App. 1988), 

quoting Turner v. Hayes, 719 So. 2d 1184, 1187 (Ala. Civ. App. 1997), aff’d in 

pertinent part, 719 So. 2d 1190 (Ala. 1998).

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The tort of outrage . . . is so limited that this court has recognized it in 

regard to only three kinds of conduct (1) wrongful conduct in the 

family-burial context, Whitt v. Hulsey, 519 So. 2d 901 (Ala. 1987); (2) 

barbaric methods employed to coerce an insurance settlement, 

National Sec. Fire & Cas. Co. v. Bowen, 447 So. 2d 133 (Ala. 1983); 

and (3) egregious sexual harassment, Busby v. Truswal Sys. Corp., 

551 So. 2d 322 (Ala. 1989). See also Michael L. Roberts and Gregory 

S. Cusimano, Alabama Tort Law, § 23.0 (2d ed. 1996). 

Potts v. Hayes, 771 So. 2d 462, 465 (Ala. 2000). This is not to say, 

however, that the tort of outrage is viable in only the three 

circumstances noted in Potts. Recently, this Court affirmed a 

judgment on a tort-of-outrage claim asserted against a family 

physician who, when asked by a teenage boy’s mother to counsel the 

boy concerning his stress over his parents’ divorce, instead began 

exchanging addictive prescription drugs for homosexual sex for a 

number of years, resulting in the boy’s drug addiction. See O’Rear v. 

B.H., 69 So. 3d 106 (Ala. 2011). It is clear, however, that the tort of 

outrage is viable only when the conduct is “ ‘so outrageous in 

character and so extreme in degree as to go beyond all possible 

bounds of decency, and to be regarded as atrocious and utterly 

intolerable in a civilized society.’ ” Horne v. TGM Assocs., L.P., 56 

So. 3d 615, 631 (Ala. 2010)(quoting Inmon, 394 So. 2d at 365).

Little v. Robinson, 72 So. 3d 1168, 1172-73 (Ala. 2011).

The plaintiff does not allege facts that propel the actions of Jones and 

Cousette to the level of outrageous conduct. The plaintiff does not state what 

specific conduct she claims to be an intentional infliction of emotional distress, but 

she does incorporate by reference the fact portion of her complaint. She asserts 

that: Jones and Cousette failed to confirm the Williamses’ claims, Jones swore out 

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the arrest warrant for the plaintiff based on false and unsubstantiated information 

and without documents showing that Lenora Williams had custody of B.B.; Jones 

and Cousette’s actions led to the plaintiff’s arrest and imprisonment, caused the 

plaintiff’s reputation to suffer, and caused her to experience emotional and mental 

trauma. The plaintiff makes the baseless allegation that Jones and Cousette acted 

“in a malicious, reckless, grossly negligent and wanton manner,” and that they 

“acted in concert to aid, abet and facilitate spurious felony charges” against the 

plaintiff. (Case No. 7:14-cv-1537, Doc. 1, ¶¶ 23-28). However, she makes no 

factual claims to support her statements. The factual allegations that she does 

assert do not suggest conduct, even if proved, that was of such a nature that it is 

intolerable in civilized society. 

The court already has determined that defendant Jones had at least arguable 

probable cause to seek the arrest warrant. Further, Cousette was not involved in 

Bridget Byrd’s arrest by Michigan authorities, but even if he was, he is entitled to 

quasi-judicial immunity for execution of the arrest warrant. The court also has 

determined that the plaintiff failed to allege sufficient facts to support a claim of 

any sort of conspiracy. The conduct in question does not fall into the categories 

for which the tort of outrage claim originally was intended. It also does not rise to 

the level of conduct that can support a tort of outrage claim beyond those 

categories. The Alabama Supreme Court has held that a police officer’s failure to 

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comply with applicable rules, policies, and/or procedures does not fit within the 

category of “atrocious and utterly intolerable” behavior supportive of a viable 

outrage claim. See Stabler v. City of Mobile, 844 So. 2d 555, 560-62 (Ala. 2002) 

(holding that a sergeant’s transmission of libelous correspondence about a 

subordinate officer in an attempt to detrimentally impact that officer’s ability to 

obtain a position with another law enforcement agency, while in violation of the 

internal rules of the Mobile Police Department, was not “so outrageous in 

character, and so extreme in degree, as to go beyond all possible bounds of 

decency.”) (quoting American Road Serv. Co. v. Inmon, 394 So. 2d 361, 368 (Ala. 

1980)). 

The plaintiff in the case at bar does not even claim that the defendant 

officers violated any applicable rules or policies of the Tuscaloosa Police 

Department. Absent some factual showing that Jones and Cousette acted 

maliciously or beyond their authority, it cannot be said that they engaged in 

atrocious or outrageous conduct. The plaintiff’s claim of outrage against Jones and 

Cousette in Byrd II is due to be dismissed. 

(b). False Arrest and False Imprisonment

The plaintiff in Byrd II alleges state-law claims of both false arrest and false 

imprisonment against defendants Jones and Cousette. Under Alabama state law, 

the claims of false arrest and false imprisonment may be used interchangeably. 

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See Kmart Corp. v. Perdue, 708 So. 2d 106, 110 (Ala. 1997) (“False arrest, or false 

imprisonment, consists of ‘the unlawful detention of the person of another for any 

length of time whereby he is deprived of his personal liberty.’ Ala. Code 1975, § 

6-5-170.”). A wrongful or false arrest, therefore, supports an Alabama state law 

claim of false imprisonment. Upshaw v. McArdle, 650 So. 2d 875, 878 (Ala. 

1994). Although Jones swore out the warrant that lead to the plaintiff’s arrest, 

neither of the defendant police officers ever physically seized, detained, arrested, 

or imprisoned the plaintiff. She was physically arrested by Michigan police on the 

basis of the Tuscaloosa County warrant. “For there to be a false imprisonment, 

there must be some direct restraint of the person; however, it is not necessary that 

there be confinement in a jail or a prison.” Crutcher v. Wendy’s of North 

Alabama, 857 So. 2d 82, 92 (Ala. 2003), citing Crown Central Petroleum Corp. v. 

Williams, 679 So. 2d 651, 653 (Ala. 1996). 

Even assuming one of the defendants actually arrested the plaintiff, the 

defendants are entitled to quasi-judicial immunity, because the arrest took place 

pursuant to a court order. See Ex parte Phelps, 612 So. 2d 1777, 1181 (Ala. 1992) 

(“Public officers carrying out judicial orders are normally entitled to quasi-judicial 

immunity.” Id. quoting International Molders & Allied Workers, AFL-CIO v. 

Buchanan Lumber Birmingham, 459 F. Supp. 950, 952 (N.D. Ala. 1978), aff’d 

without opinion, 618 F.2d 782 (5th Cir. 1980)). Accordingly, the plaintiff’s state 

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law claims of false arrest and false imprisonment are due to be dismissed against 

both Jones and Cousette. 

(c). Defamation

The plaintiff alleges that the defendants, on numerous occasions, “made 

false and malicious statements” about her. (Case No. 7:14-cv-01537-TMP, Doc. 1, 

¶ 71). She claims that the statements “caused [her] to be shamed, ridiculed, held in 

contempt, lowered in the estimation of the community,” caused her to lose her 

employment and standing, and damaged her reputation. (Id. at ¶ 72). Again, the 

plaintiff relies on her initial fact statement to support her defamation claim. She

alleges that the arrest warrant issued against her was based on the false statement 

that she, along with the plaintiffs in Byrd I, took B.B. during a supervised 

visitation. She claims that Jones falsely swore out the warrant for her arrest, and 

did so in a reckless, harmful, grossly negligent and wanton manner. (Id. at ¶¶ 21, 

23). The plaintiff argues that by applying for and issuing the arrest warrant, 

defendants Jones and Smith “supported and perpetuated the false reports,” which 

caused the plaintiff “severe harm.” (Id. at ¶ 37). The actions, the plaintiff alleges, 

resulted in her public humiliation when “the story of her arrest warrants, [sic] and 

arrest were published in numerous news articles and over the internet,” and that the 

allegations caused her to be investigated by her employer. (Id. at ¶¶ 38-39).

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Alabama law recognizes four elements for a defamation claim. 

The elements of a cause of action for defamation are: 1) a false and 

defamatory statement concerning the plaintiff; 2) an unprivileged 

communication of that statement to a third party; 3) fault amounting at 

least to negligence; and 4) either actionability of the statement 

irrespective of special harm [(per se)] or the existence of special harm 

caused by the publication of the statement [(per quod)].

Jackson v. WAFF, LLC, 109 So. 3d 1123, 1126 (Ala. Civ. App. 2012), quoting 

Dudley v. Bass Anglers Sportsman Soc’y, 777 So. 2d 135, 140 (Ala. Civ. App. 

2000) (quoting Drill Parts & Serv. Co. v. Joy Mfg. Co., 619 So. 2d 1280, 1289 

(Ala. 1993), quoting in turn McCaig v. Talladega Publ’g Co., 544 So. 2d 875, 877 

(Ala. 1989)). 

The plaintiff’s claim cannot stand, however, because all of the 

communications to which she objects are privileged under Alabama Code § 13A11-161, which states:

The publication of a fair and impartial report of the return of any 

indictment, the issue of any warrant, the arrest of any person for any 

cause or the filing of any affidavit, pleading or other document in any 

criminal or civil proceeding in any court, or of a fair and impartial 

report of the contents thereof, or of any charge of crime made to any 

judicial officer or body, or of any report of any grand jury or of any 

investigation made by any legislative committee, or other public body 

or officer, shall be privileged, unless it is proved that the same was 

published with actual malice. . . 

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Jackson v. WAFF, LLC, 109 So. 3d 1123, 1126 (Ala. Civ. App. 2012), quoting 

Ala. Code § 13A-11-161 (emphasis added). The communications that the plaintiff 

alleges were defamatory all fall within the purview of the privilege discussed in 

§ 13A-11-161. The issuance of the arrest warrant by Magistrate Smith is 

privileged, and the completion of the affidavit by Jones seeking the arrest warrant 

is privileged. The plaintiff asserted the mere legal conclusion that the defendants’ 

statements were “false and malicious.” (Case No. 7:14-cv-1537-TMP, Doc. 1, ¶ 

71). However, the plaintiff offers no factual allegations that either of the 

defendants acted maliciously. The plaintiff has failed to assert that any 

nonprivileged statements were made by any defendant, and the plaintiff’s state-law 

defamation claim is due to be dismissed against all defendants. 

(d). Malicious Prosecution

A claim of malicious prosecution under Alabama law requires a showing of 

“‘(1) a judicial proceeding initiated by the defendant, (2) the lack of probable 

cause, (3) malice, (4) termination in favor of the plaintiff, and (5) damage.’” Moon 

v. Pillion, 2 So. 3d 842, 845-46 (Ala. 2008), quoting Lee v. Minute Stop, Inc., 874 

So. 2d 505, 512 (Ala. 2003) (quoting Cutts v. American United Life Ins. Co., 505 

So. 2d 1211, 1214 (Ala. 1987)). Malicious prosecution is “an action disfavored in 

the law.” Id. quoting Mitchell v. Folmar & Assocs., LLP, 854 So. 2d 1115, 1117 

(Ala. 2003). “‘The reason for such disfavor is clear: “[P]ublic policy requires that 

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all persons shall resort freely to the courts for redress of wrongs and to enforce 

their rights, and that this may be done without the peril of a suit for damages in the 

event of an unfavorable judgment by jury or judge.”’” Id., quoting Mitchell, 854 

So. 2d at 1117.

The elements required to support a claim of malicious prosecution under 

Alabama law are virtually identical to those for a malicious prosecution claim 

brought pursuant to § 1983. For the reasons discussed, supra, Jones had arguable 

probable cause to seek an arrest warrant against the plaintiffs. The second and 

third prongs of a state law malicious prosecution claim cannot be met as the claim 

pertains to Jones. Therefore, the plaintiff’s claim of state law malicious 

prosecution is DISMISSED as to Jones. Because Jones sought the arrest warrants 

for all of the plaintiffs, he is the only defendant that can be said to have initiated a 

judicial proceeding against the plaintiffs. Therefore, the plaintiff’s state law 

malicious prosecution claims cannot stand against any of the other defendants, and 

is due to be dismissed. 

(e). Negligent Infliction of Emotional Distress

The plaintiff argues that the defendants acted recklessly, outrageously, and 

in a grossly negligent manner. She does not indicate what actions by the 

defendants support these allegations, other than to incorporate by reference the 

entire fact statement once again. The court assumes she contends that the 

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defendant officers’ seeking of an arrest warrant without conducting a full 

investigation into the custodial status of B.B. was reckless, outrageous, and grossly 

negligent. The plaintiff alleges that the defendants’ actions caused her to suffer 

“severe emotional trauma, increased anxiety and other serious symptoms which 

required therapy and treatment.” (Case No. 7:14-cv-1537-TMP, Doc. 1, ¶¶ 80-82). 

Whatever actions the plaintiff believes constitute the negligent infliction of 

emotional distress, her claim cannot stand, because there is no cause of action for 

negligent infliction of emotional distress under Alabama state law.

The Supreme Court of Alabama has expressly stated that “there is no cause 

of action for the negligent infliction of emotional distress,” the Court “has 

repeatedly stated that only intentional infliction of severe emotional distress is 

actionable.” Allen v. Walker, 569 So. 2d 350, 352 (Ala. 1990), citing Green Tree 

Acceptance, Inc. v. Standridge and El-Jay’s, Inc., 565 So. 2d 38 (Ala. 1990); 

Busby v. Truswal Systems Corp., 551 So. 2d 322, 324 (Ala. 1989); Whitt v. 

Hulsey, 519 So. 2d 901, 903-04 (Ala. 1987); American Road Service Co. v. 

Inmon, 394 So. 2d 361, 365 (Ala. 1980) (emphasis in the original). Accordingly, 

the plaintiff’s claim of negligent infliction of emotional distress is due to be 

dismissed against all defendants. 

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(f). Felonious Interference with Custody

Finally, the plaintiff Bridget Byrd asserts a civil complaint against the 

defendants for felonious interference with custody. The Alabama Code allows for 

a civil action to be commenced by the injured party if the injury complained of 

amounts to a felony. See Alabama Code § 6-5-370. The plaintiff argues that the 

defendants committed an act equivalent to felonious interference with custody. 

The Alabama criminal code defines felonious interference with custody as follows:

(a) A person commits the crime of interference with custody if he 

knowingly takes or entices:

(1) Any child under the age of 18 from the lawful custody of its 

parent, guardian or other lawful custodian. . . 

(b)A person does not commit a crime under this section if the actor’s 

sole purpose is to assume lawful control of the child. 

The burden of injecting the issue is on the defendant, but this does 

not shift the burden of proof.

(c) Interference with custody is a Class C felony. 

Alabama Code § 13A-6-45 (1975). 

The plaintiff argues that the defendants “feloniously injured the plaintiff by, 

among other things, making false statements, swearing out a false warrant, issuing 

said warrant, unlawfully incarcerat[ing] Byrd, and illegally remov[ing] the child 

from her custody. Said actions resulted in an interference with custody as Byrd 

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was the sole legal custodian of the minor child at the time the child was illegally 

removed from her custody.” (Case No. 7:14-cv-1537-TMP, Doc. 1, ¶¶ 91-93). 

The Supreme Court of Alabama has explained that a plaintiff, to state a claim of 

interference with custody, must plead facts tending to show the following:

(1) [S]ome active or affirmative effort by [the] defendant to detract 

the child from the parent’s custody or service, (2) [that] the enticing or 

harboring [was] willful, [and] (3) [that the enticing or harboring was 

done] with notice or knowledge that the child had a parent whose 

rights were thereby invaded.”

Anonymous v. Anonymous, 672 So. 2d 787, 790 (Ala. 1995) quoting 67A C.J.S. 

Parent and Child § 131, p. 513 (1978) (citing in turn Kipper v. Vokolek, 546 S.W. 

2d 521 (Mo. Ct. App. 1977)). None of the actions by Smith, Jones, or Cousette, 

fall into the definition of felonious interference with custody. 

First, taking custody of B.B. for the purpose of returning her to the person 

who was believed to be her legal guardian falls into the category of “assuming 

lawful control of the child,” and, therefore, does not constitute a crime under the 

Alabama criminal statute. Even without the shield of subsection (b) the facts, as 

they were believed at the time, were that the plaintiff was not B.B.’s lawful 

custodian, and therefore would have no claim under § 13A-6-45. Finally, the 

plaintiff has alleged no facts that B.B. was “enticed” or “harbored” by any 

defendants (with the possible exception of the Williamses, who are not a part of the 

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current motion). The swearing of a complaint, the issuance of an arrest warrant, 

and the execution of the arrest warrant cannot be regarded as “enticing” or 

“harboring” the child for purposes of civil liability under the criminal statute. 

Additionally, as to defendants Smith and Cousette, both are entitled to 

judicial or quasi-judicial immunity. Smith did nothing more than act in her judicial 

capacity to issue an arrest warrant. That act is entirely immune from civil liability. 

Likewise, Cousette can be alleged to have done nothing more than execute the 

arrest warrant (even though it was actually Michigan authorities that did so), and 

this is absolutely immune under quasi-judicial immunity. Accordingly, the 

plaintiff’s claim of a civil action pursuant to Alabama Code § 6-5-370 based on the 

violation of Alabama Code § 13A-6-45 is due to be dismissed.

Municipal Liability

The plaintiff in Byrd II names as defendants the City of Tuscaloosa (“the 

City”) and the City of Tuscaloosa Police Department19 (“the Department”), and 

alleges all claims set forth in her complaint equally against those defendants. The 

plaintiffs in Byrd I also name the City (but not the Police Department separately)

19 A city’s police department is not a legal entity subject to suit for purposes of § 1983 

or under Alabama law. See Higginbotham v. City of Pleasant Grove, 2013 WL 5519557 *6 

(N.D. Ala. Sept. 30, 2013),citing Rule 17 of the Federal Rules of Civil Procedure; Dean v. 

Barber, 951 F.2d 1210, 1214 (11th Cir. 1992); Ex parte Dixon, 55 So. 3d 1171, 1171-72 & n. 1 

(Ala. 2010). Accordingly, the claims against the Tuscaloosa Police Department by the plaintiff 

in Byrd II are due to be dismissed.

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as a defendant and allege all claims in the complaint against the City. The 

plaintiffs in Byrd I claim that the city of Tuscaloosa had a “pattern or practice of 

issuing felony arrest warrants based upon the sworn affidavit of its police officers 

without any supporting facts of probable cause.” (Doc. 1, ¶ 19). The plaintiffs in 

Byrd I and Byrd II request punitive damages be awarded against the City. 

A. Federal Claims

It is well-settled that a municipality cannot be liable for a constitutional tort 

under § 1983 unless the deprivation of the constitutional right occurred as a result 

of an official policy or custom of the governmental body. See Monell v. 

Department of Social Services of New York, 436 U.S. 658, 690-691, 98 S. Ct. 

2018, 2036, 56 L. Ed. 2d 611 (1978). Moreover, “a municipality cannot be held 

liable under § 1983 on a respondeat superior theory.” Id. at 691. The Eleventh 

Circuit Court of Appeals has further determined that a municipality may be liable 

under § 1983 for the actions of a police officer only when the city’s “official policy 

caused the violation.” Gold v. City of Miami, 151 F.3d 1346, 1350 (11th Cir. 

1998).

In order to survive summary judgment on the § 1983 claims, the plaintiffs

must have come forward with evidence to show that the City had a policy – even if 

unwritten or informal – of having officers seek out arrest warrants without 

probable cause. Other than making the blanket statement that the City “had a 

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pattern or practice of issuing felony arrest warrants based upon the sworn affidavit 

of its police officer without any supporting facts,” the plaintiffs in Byrd I do not 

assert factual support for a claim against the City. (Emphasis added). Under Bell 

Atlantic Corp. v. Twombly, 550 U.S. 544 (2007) and Ashcroft v. Iqbal, 556 U.S. 

662 (2009), however, this is a conclusion masquerading as a factual allegation. 

Even if it can be regarded as a factual allegation sufficient to allow the plaintiffs to 

conduct discovery on the question, the factual allegations in plaintiffs’ own 

complaint make clear that the warrants in this case were issued not by any official 

of the City of Tuscaloosa, but by Rosina Smith, a magistrate with the Tuscaloosa 

County District Court. Because these were felony arrest warrants, they were 

obtained from the district court, an agency of the State, not from the Tuscaloosa 

Municipal Court, which has jurisdiction only of misdemeanors. Thus, it is clear 

that no policy of or practice by the City of Tuscaloosa was implicated in the 

issuance of the arrest warrants.

The plaintiff in Byrd II does not set out any specific claims against the City; 

she simply names the City as a defendant and brings all of her claims against all 

“defendants” generally. In Byrd II, the plaintiff discusses the City only in terms of 

the case at bar. She does not make any allegations or offer any evidence that the 

City has a pattern or practice of doing anything at all. Because the plaintiffs in 

Byrd I and Byrd II fail to set forth sufficient factual allegations that the City has a 

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pattern or practice of doing anything improper, all federal claims against the City 

in both complaints are due to be dismissed.

B. State-Law Claims

To the extent the plaintiff in Byrd II asserts her state law claims against the 

City, those claims, as well, are due to be dismissed. The state law claims alleged 

in Byrd II are as follows: malicious prosecution, intentional infliction of emotional 

distress, false arrest, false imprisonment, defamation, negligent infliction of 

emotional distress, and felonious interference with custody. First, a state law claim 

of malicious prosecution “cannot lie against a municipality, because a municipality 

cannot be deemed to act with malice.” Franklin v. City of Huntsville, 670 So. 2d 

848, 850 (Ala. 1995), citing Neighbors v. City of Birmingham, 384 So. 2d 113 

(Ala. 1980). Secondly, “under the principles of vicarious responsibility, where the 

employee . . . had immunity, the municipality likewise had immunity.” Franklin, 

670 So. 2d at 851, citing Gore v. City of Hoover, 559 So. 2d 163 (Ala. 1990). This 

court already has found that Magistrate Smith,20 Officer Cousette, and Investigator 

Jones are entitled either to judicial, quasi-judicial, or discretionary function 

immunity for the state law claims of false arrest, false imprisonment, and 

interference with custody. Therefore, to the extent any of these claims are alleged 

20 Of course, as already explained, Magistrate Smith was an employee of the 

Tuscaloosa County District Court, not the City of Tuscaloosa. Whatever she did cannot be 

attributed to the City.

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against the City, they are due to be dismissed. The court also has determined that 

none of the allegations by the plaintiff in Byrd II rise to the level of intentional

infliction of emotional distress, and that any communications alleged to be 

defamatory were privileged. Therefore, these claims, to the extent they are 

asserted against the City, also are due to be dismissed. Finally, there is no state 

law claim of negligent infliction of emotional distress. So, any such claim that is 

brought against the City under state law also is due to be dismissed.

C. Punitive Damages

The plaintiffs in Byrd I and Byrd II assert that they are entitled to punitive 

damages against all defendants, including the City of Tuscaloosa. To the extent 

that the plaintiffs seek such damages against the municipal defendant, those 

damages are unavailable as a matter of law. See Kentucky v. Graham, 473 U.S. 

159, 105 S. Ct. 2099, 87 L. Ed. 2d 114 (1985); City of Newport v. Fact Concerts, 

453 U.S. 247, 101 S. Ct. 2748, 69 L. Ed. 2d 616 (1981) (A municipality may not 

be held liable for punitive damages in a § 1983 action). Under Alabama law, 

punitive damages against a municipality are precluded by statute. See Alabama 

Code § 6–11–26 (1975); Carson v. City of Prichard, 709 So. 2d 1199, 1205 (Ala. 

1998). Thus, as against the City, there is no possibility of the recovery of punitive 

damages under any theory. 

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CONCLUSION

For the reasons set forth herein, the Motion to Dismiss by defendants Jones, 

Cousette, and the City, and later joined by Smith and converted into a Motion for 

Summary Judgment (doc. 17), is due to be GRANTED. All claims in Byrd I and 

Byrd II against these four defendants are due to be DISMISSED WITH 

PREJUDICE. A separate order of judgment will be entered contemporaneously 

herewith consistent with Rule 58.

DONE and ORDERED on May 11, 2015.

_______________________________

T. MICHAEL PUTNAM

UNITED STATES MAGISTRATE JUDGE

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