Source: s3://data.kl3m.ai/documents/govinfo/USCOURTS/USCOURTS-azd-3_15-cv-08163/USCOURTS-azd-3_15-cv-08163-2/pdf.json

Nature of Suit Code: 440
Nature of Suit: Other Civil Rights
Cause of Action: 42:1983 Civil Rights Act

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WO 

IN THE UNITED STATES DISTRICT COURT 

FOR THE DISTRICT OF ARIZONA 

Donna L. Stypeck, 

Plaintiff, 

v. 

City of Clarkdale et al., 

Defendants.

No. CV-15-08163-PCT-DGC

ORDER 

 On March 4, 2016, Plaintiff filed an amended complaint, asserting claims against 

Defendant Kathy Parker under 42 U.S.C. §§ 1983 and 1985. Doc. 54. Defendant Parker 

moves for judgment on the pleadings. Doc. 62. The issues are fully briefed, Docs. 67-

68, and no party has requested oral argument. The Court will grant the motion. 

I. Background.

 In June 2015, Plaintiff’s dog was involved in an altercation with Richard Calvert’s 

horse. Doc. 1. Calvert told the authorities that Plaintiff’s dog bit his horse and that 

veterinary treatment was required. Id. In August 2015, Defendant Parker sent a letter to 

Plaintiff asking to interview her about the incident. Doc. 54, ¶ 4. The letter was signed 

by Jonathan Millet, an attorney with the firm Boyle, Pecharich, Cline, Whittington, & 

Stallings, P.L.L.C. (“Boyle PLLC”). Id. at 12. Boyle PPLC has contracted with the 

Town of Clarksdale to serve as its town prosecutor. Doc. 21 at 18-22. 

 When Plaintiff called Parker, Parker allegedly told Plaintiff: “And here’s how it 

goes. If you don’t pay the vet bill [for Calvert’s horse], then charges will be filed.” 

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Doc. 54, ¶ 4. Plaintiff agreed to pay the vet bill. Parker sent a follow-up letter, signed by 

Millet, confirming this agreement and stating that Millet would “reconsider [his] decision 

not to file charges” if she did not pay the vet bill as agreed. Id., ¶ 5, and p. 13. 

 Plaintiff filed claims under 42 U.S.C. §§ 1983 and 1985 against Millett and 

Parker, asserting that they violated the Fourth, Fifth, Sixth, Eighth, and Fourteenth 

Amendments. Doc. 1. Defendants filed a Rule 12(c) motion. The Court dismissed the 

claims against Millet, finding that his conduct was protected by absolute prosecutorial 

immunity. Doc. 40 at 2-3. The Court held that Parker was not entitled to absolute 

immunity because she performed only an administrative role and was not “‘responsible 

for the decision to initiate or continue a proceeding.’” Id. at 4 (quoting Butz v. 

Economou, 438 U.S. 478, 515 (1978)). The Court further found that Plaintiff had not 

adequately pleaded any claim against Parker. Id. at 5. The Court therefore dismissed the 

claims against Parker, but granted Plaintiff leave to amend her complaint. Id. at 6. 

Plaintiff filed an amended complaint which asserts that Parker violated the Fourth, Fifth, 

Sixth, and Fourteenth Amendments, and is therefore liable under 42 U.S.C. §§ 1983 and 

1985. Doc. 54. 

II. Legal Standard.

A Rule 12(c) dismissal is proper when “the moving party clearly establishes on the 

face of the pleadings that no material issue of fact remains to be resolved.” Hal Roach 

Studios, Inc. v. Richard Feiner & Co., Inc., 896 F.2d 1542, 1550 (9th Cir. 1989). The 

Court applies the “same standard of review” in ruling on a 12(c) motion as a Rule 

12(b)(6) motion. Dworkin v. Hustler Magazine, Inc., 867 F.2d 1188, 1192 (9th Cir. 

1989). Dismissal is appropriate if the complaint does not contain “sufficient factual 

matter, accepted as true, to ‘state a claim to relief that is plausible on its face.’” Ashcroft 

v. Iqbal, 556 U.S. 662, 678 (2009) (citation omitted). 

III. Analysis. 

 Defendant argues that she enjoys absolute or qualified immunity, and that Plaintiff 

fails to state a claim. Doc. 62. 

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 A. Absolute Immunity. 

In dismissing Plaintiff’s original complaint, the Court concluded that Parker was 

not entitled to absolute immunity because she performed only an administrative role and 

was not “‘responsible for the decision to initiate or continue a proceeding.’” Id. at 4 

(quoting Butz, 438 U.S. at 515). Defendant disagrees with this ruling, and offers new 

reasons why she believes absolute immunity applies. Doc. 62 at 5-8. If Defendant 

disagreed with an aspect of the Court’s prior ruling, however, she should have filed a 

motion for reconsideration. The deadline for filing such a motion has long since passed, 

LRCiv 7.2(g)(2), and Defendant fails to identify any good cause for her delay. Even if 

the Court were inclined to reconsider its prior ruling, Defendant has not shown that the 

ruling rested on manifest error or is undermined by new facts or legal authority. LRCiv. 

7.2(g)(1). The Court will not depart from its prior ruling. 

 B. Qualified Immunity.

 Under the doctrine of qualified immunity, government officials are protected from 

civil damages liability “insofar as their conduct does not violate clearly established 

statutory or constitutional rights of which a reasonable person would have known.” 

Pearson v. Callahan, 555 U.S. 223, 231 (2009) (citation and quotation marks omitted). 

To overcome this immunity, a plaintiff must plead facts showing “(1) that the official 

violated a statutory or constitutional right, and (2) that the right was clearly established at 

the time of the challenged conduct.” Wood v. Moss, 134 S. Ct. 2056, 2066-67 (2014) 

(citation and quotation marks omitted). 

 In Filarsky v. Delia, 132 S. Ct. 1657 (2012), the Supreme Court held that private 

individuals hired by the government are entitled to qualified immunity from lawsuits 

related to their work. 132 S. Ct. at 1665. The Court noted that “the common law did not 

draw a distinction between public servants and private individuals engaged in public 

service in according protection to those carrying out government responsibilities.” Id. at 

1663. The Court also noted that the policies underlying the qualified immunity doctrine 

– the public interests in ensuring that the government can perform its duties free from 

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litigation-related distractions and apprehensions, and ensuring that talented candidates are 

not deterred from entering public service – apply equally to public servants and private 

individuals hired to perform government functions. Id. at 1665-66. 

 Courts have also recognized, however, that the historical and policy rationales for 

qualified immunity are less convincing where the government hires a private firm to 

discharge a significant public function and allows it to perform this function with 

minimal public oversight. In many instances, there is no firmly rooted tradition of 

immunity for private contractors performing particular public functions because private 

contractors have only recently begun to perform the function. See United Pet Supply, 

Inc. v. City of Chattanooga, Tenn., 768 F.3d 464, 483 (6th Cir. 2014) (finding no 

historical tradition of immunity for private individuals providing animal welfare services 

for the state, because state did not provide these services prior to the enactment of 42 

U.S.C. § 1983). In other cases, the common law explicitly denied immunity to private 

actors performing a public function. See Richardson v. McKnight, 521 U.S. 399, 404 

(1997) (finding that the common law did not confer immunity on privately employed 

prison guards); Gregg v. Ham, 678 F.3d 333, 340 (4th Cir. 2012) (“there is no evidence 

that bail bondsmen have historically been afforded immunity for their actions”). 

Moreover, the policy concerns underlying qualified immunity are less present when a 

large, private entity is employed to discharge public functions. Unlike government 

agencies, private firms are subject to market pressures which counteract any tendency 

towards excessive restraint. Richardson, 521 U.S. at 404. Private firms can also offer 

their employees indemnification, higher pay, and additional benefits to offset the risk of 

liability. Id. at 411. In light of these considerations, the Supreme Court has held that a 

private contractor’s employees are not entitled to qualified immunity if the contractor 

(1) has been hired to perform a major governmental function for an extended period, 

(2) operates with limited direct supervision by the government, and (3) operates for profit 

and in competition with other firms. Filarsky, 132 S. Ct. at 1667 (citing Richardson, 521 

U.S. at 413). 

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 The facts of this case are similar to those in Richardson. Defendant’s employer, 

Boyle PLLC, was retained to serve as Town Prosecutor for an indefinite period. Doc. 21 

at 18. It operated without any direct supervision from the Town’s elected officials; 

according to its contract, “[t]he Town does not have the authority to supervise or control 

the actual work of the [Boyle PLLC] or [its] employees or agents.” Id. at 21. Drawing 

all reasonable inferences in favor of Plaintiff, it is plausible to conclude that Boyle PLLC 

operates for profit and in competition with other firms. Given these facts, the Court 

cannot conclude that Defendant, as an employee of Boyle PLLC, is entitled to qualified 

immunity. 

 That is particularly so given the absence of a compelling historical or policy 

reason for extending immunity. While “private lawyers were regularly engaged to 

conduct criminal prosecutions on behalf of the State” at the time § 1983 was adopted, and 

these lawyers were generally accorded immunity at common law, Filarsky, 132 S. Ct. at 

1663, Defendant has not cited any evidence that non-legal employees of private law firms 

were accorded immunity.1

 As for policy concerns, it is reasonable to infer that Boyle 

PLLC is subject to market pressures which counteract any tendency towards excessive 

restraint, and that Boyle PLLC can offer indemnification and higher pay to offset the risk 

of liability. Cf. Richardson, 521 U.S. at 404. The Court therefore concludes that 

Defendant is not entitled to qualified immunity.2

/ / / 

 

1

 Nor is it clear from the history discussed in Filarsky that immunity extended to cases where a private law firm operated without direct governmental supervision. 

2

 The Court’s approach, and its conclusion, are supported by the Sixth Circuit’s decision in United Pet Supply, 768 F.3d 464. The defendant in that case was employed by a non-profit organization under contract to provide animal welfare services to the City of Chattanooga. Id. at 471. The defendant was sued under § 1983 for allegedly conducting an unconstitutional search, and she asserted qualified immunity. The court held that she was not entitled to qualified immunity because (1) her employer was under contract to perform a major governmental function for an extended period; (2) her employer operated with limited direct supervision by the government; (3) her employer, though a non-profit, was subject to market pressure insofar as it might lose its contract if it failed to discharge its duties with sufficient zeal; (4) there was no history of providing immunity to similarly situated defendants; and (5) the policy underlying the qualified immunity doctrine did not support extending the doctrine to the defendant. Id. at 481-82. 

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 C. Failure to State a Claim. 

 1. Count 1. 

Plaintiff’s first count asserts that Defendant violated the Equal Protection Clause 

by failing to disclose a page of the police report at issue in this case, and by ordering 

Plaintiff “to admit guilt without the benefit of an attorney or an impartial, fair tribunal.” 

Doc. 54, ¶¶ 8-9. The Supreme Court has “recognized successful equal protection claims 

brought by a ‘class of one,’ where the plaintiff alleges that she has been intentionally 

treated differently from others similarly situated and that there is no rational basis for the 

difference in treatment.” Vill. of Willowbrook v. Olech, 528 U.S. 562, 564 (2000). 

Plaintiff has not stated a claim under this standard because she has not shown that 

Defendant intentionally treated her differently from other individuals facing minor 

criminal charges. Nor has she shown that it was irrational for Defendant to request that 

she pay Calvert’s vet bill. According to the documents Plaintiff attached to her original 

complaint, the police officer who investigated the incident requested that charges be filed 

against Plaintiff for allowing her dogs to run at large. Doc. 1-1 at 14. These documents 

also confirm that Calvert incurred a vet bill in the amount which Defendant requested 

Plaintiff to pay. See id. at 18.3

 Plaintiff’s first count argues that the same conduct violates the Due Process 

Clause. But the government can, consistent with the Due Process Clause, “openly 

present[] [the accused] with the unpleasant alternatives of forgoing trial or facing charges 

on which [s]he was plainly subject to prosecution.” Bordenkircher v. Hayes, 434 U.S. 

357, 365 (1978). When Defendant told Plaintiff that charges would be filed if she 

refused to pay the vet bill, Defendant was effectively offering a plea bargain. Plaintiff 

has not alleged facts which give rise to the plausible inference that she was forced to 

accept this offer. Nor has she alleged facts that give rise to the plausible inference that 

the charges against her were meritless. To the contrary, the police report and vet bill 

 

3

 These documents are properly considered in ruling on a motion to dismiss. United States v. Ritchie, 342 F.3d 903, 908 (9th Cir. 2003). 

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attached to Plaintiff’s complaint suggest that there was a plausible basis to prosecute her. 

The Court will dismiss this claim. 

 2. Count 2. 

 Plaintiff’s second count asserts that Defendant violated the Fourth Amendment, as 

incorporated by the Fourteenth Amendment, but she does not identify any search or 

seizure initiated by Defendant. The Court will dismiss this claim. 

 3. Count 3. 

 Plaintiff’s third count asserts that Defendant violated her Fifth Amendment right 

against self-incrimination by ordering her to admit guilt. That right does not attach until 

the government “use[s] an incriminating statement to initiate or prove a criminal charge.” 

Stoot v. City of Everett, 582 F.3d 910, 925 n.15 (9th Cir. 2009). Plaintiff does not allege 

that the government ever initiated criminal charges. The Court will dismiss this claim. 

 4. Count 4. 

Plaintiff’s fourth count asserts that Defendant violated her Sixth Amendment right 

to effective representation of counsel. That right “does not attach until a prosecution is 

commenced, that is, at or after the initiation of adversary judicial criminal proceedings.” 

McNeil v. Wisconsin, 501 U.S. 171, 175 (1991) (citations and internal formatting 

omitted). Plaintiff does not allege that criminal proceedings were ever initiated against 

her. The Court will dismiss this claim. 

 5. Count 5. 

Plaintiff’s fifth count asserts that Defendant violated the rule of corpus delicti. 

She does not identify any federal law that incorporates this rule, as would be required to 

state a claim under § 1983. The Court will dismiss this claim. 

 6. Count 6. 

 Plaintiff’s sixth count asserts that Defendant engaged in malicious prosecution. 

“In order to prevail on a § 1983 claim of malicious prosecution, a plaintiff must show that 

the defendants prosecuted him with malice and without probable cause, and that they did 

so for the purpose of denying him equal protection or another specific constitutional 

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right.” Awabdy v. City of Adelanto, 368 F.3d 1062, 1066 (9th Cir. 2004) (citations 

omitted and alterations incorporated). The complaint does not allege that any charges 

were filed against Plaintiff. The Court will dismiss this claim. 

 7. Remaining Counts. 

 Plaintiff’s seventh count asserts that Defendant violated § 1983. This count fails 

because Plaintiff has not adequately pleaded any deprivation of a federal constitutional or 

statutory right. Her eighth count asserts that Defendant violated 42 U.S.C. § 1985. Such 

a claim cannot proceed absent a valid claim under § 1983. See Olsen v. Idaho State Bd. 

of Medicine, 363 F.3d 916, 930 (9th Cir. 2004) (“[T]o state a claim for conspiracy under 

§ 1985, a plaintiff must first have a cognizable claim under § 1983”). Plaintiff has 

abandoned her ninth count. Doc. 67 at 12. 

D. Leave to Amend.

 “A pro se litigant must be given leave to amend his or her complaint unless it is 

absolutely clear that the deficiencies of the complaint could not be cured by amendment.” 

Karim-Panahi v. L.A. Police Dep’t, 839 F.2d 621, 623 (9th Cir. 1988) (quotation marks 

omitted). But “[a] district court does not err in denying leave to amend where the 

amendment would be futile.” Gardner v. Martino, 563 F.3d 981, 990 (9th Cir. 2009) 

(citing Thinket Ink Info. Res., Inc. v. Sun Microsystems, Inc., 368 F.3d 1053, 1061 (9th 

Cir. 2004)). 

 The Court has already given Plaintiff leave to amend her complaint once to assert 

claims against Defendant. Any additional amendment would likely be futile. As Plaintiff 

has consistently maintained that she was never prosecuted, there are no facts that she 

could add to her complaint that would salvage her malicious prosecution, Fifth 

Amendment, or Sixth Amendment claims. Plaintiff cannot cure her Fourth Amendment 

claim because no search or seizure has been identified. Plaintiff’s corpus delicti claim is 

unavailable as a matter of law because the doctrine is not incorporated by any federal 

law. Finally, the Court has no reason to believe that Plaintiff could, in a second amended 

complaint, establish that Defendant violated the Due Process or Equal Protection Clauses. 

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The documents Plaintiff attached to her original complaint – including the police report 

and the vet bill for Calvert’s horse – establish a rational basis for pursing charges against 

her, or, in the alternative, offering to drop the charges in exchange for her payment of the 

vet bill. 

IT IS ORDERED that the Defendant’s motion to dismiss (Doc. 62) is granted 

without leave to amend. 

 Dated this 16th day of May, 2016. 

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