Document ID: s3://data.kl3m.ai/documents/govinfo/USCOURTS/USCOURTS-ca10-06-01516/USCOURTS-ca10-06-01516-0/pdf.json

Parties Involved:
Michael Casper
Not Party
Jay Bob Klinkerman
Appellant
Leslie Weise
Appellee
Alex Young
Appellee

Document Text:

FILED

United States Court of Appeals

Tenth Circuit

November 20, 2007

Elisabeth A. Shumaker

Clerk of Court

PUBLISH

UNITED STATES COURT OF APPEALS

TENTH CIRCUIT

LESLIE WEISE; ALEX YOUNG,

Plaintiffs - Appellees,

v.

MICHAEL CASPER, in his individual

capacity,

Defendant - Appellant,

 and

JAY BOB KLINKERMAN, in his

individual capacity; JOHN/JANE

DOES 1-5, all in their individual

capacities,

 Defendants.

No. 06-1504 and 06-1516

APPEAL FROM THE UNITED STATES DISTRICT COURT

FOR THE DISTRICT OF COLORADO

(D.C. No. 05-CV-2355-WYD-CBS)

Sean R. Gallagher (and Dugan Bliss, Hogan & Hartson, L.L.P. (for Defendant -

Appellant Michael Casper) and Brett R. Lilly and John S. Zakhem, Doyle,

Zakhem, Suhre & Lilly, L.L.C., (for Defendant - Appellant Jay Bob Klinkerman),

with him on the briefs), Denver, Colorado.

Christopher A. Hansen (and Catherine Crump, American Civil Liberties Union,

New York, New York, Martha M. Tierney and Jerremy M. Ramp, Kelly, Haglund,

Garnsey, Kahn, L.L.C., Denver, Colorado, and Mark Silverstein, American Civil

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Liberties Union of Colorado, Denver, Colorado, on the brief), for Plaintiffs -

Appellees.

Before KELLY, ANDERSON, and McCONNELL, Circuit Judges.

KELLY, Circuit Judge.

Defendants-Appellants Michael Casper and Jay Bob Klinkerman

(collectively “Defendants”) appeal the district court’s denial, without prejudice,

of their Fed. R. Civ. P. 12(b)(6) motions to dismiss based on qualified immunity. 

As the district court ruled only that the evidentiary record was insufficient to rule

on the merits of Defendants’ motions, we grant Plaintiffs-Appellees’ motion to

dismiss this appeal for lack of appellate jurisdiction.

Background

Plaintiffs-Appellees Leslie Weise and Alex Young (collectively

“Plaintiffs”) brought an action pursuant to Bivens v. Six Unknown Named Agents

of Federal Bureau of Narcotics, 403 U.S. 388 (1971), alleging that Defendants

and five others, acting under color of law and pursuant to White House policy,

violated their First and Fourth Amendment rights by ejecting them from a public

appearance by President George W. Bush. Plaintiffs contend that they were

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1

 The Complaint can be found at pages 12-20 of Appellants’ Appendix.

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ejected because a bumper sticker on their car expressed a viewpoint contrary to

that of the President’s.

According to the complaint, on March 21, 2005, the President delivered a

speech on Social Security at the Wings Over the Rockies Air and Space Museum,

in Denver, Colorado. See Complaint ¶ 9.1

 The White House set the policies and

procedures as to who could attend the President’s speech, and tickets were made

available to the public. See id. at ¶¶ 10-12. The White House also solicited the

assistance of staff and volunteers, including Defendants, to carry out its

attendance policies at the event. See id. at ¶¶ 11-12; Aplt. Br. at 4.

Plaintiffs obtained tickets to the event and arrived at the event in a vehicle,

owned and driven by Plaintiff Weise, which had a bumper sticker that read “No

More Blood For Oil.” See id. at ¶¶ 13, 15-16. After parking, Plaintiffs

approached security. See id. at ¶¶ 17, 19. While Plaintiff Young was permitted

to enter, Plaintiff Weise was directed to wait with Defendant Klinkerman, who

identified himself as a “volunteer” from Colorado, and told Plaintiff Weise that

the Secret Service wanted to speak with her. See id. at ¶¶ 19, 21. Soon

thereafter, Defendant Casper, who wore a dark blue suit, earpiece and lapel pin

approached and Defendant Klinkerman said, “that’s him” or “here he comes.” Id.

at ¶ 22. Defendant Casper told Plaintiff Weise that “she had been ‘ID’d’, and that

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if she had any ill intentions” or “tried any ‘funny stuff’ [she] would be arrested,

but that he was going to let [her] in.” Id. at ¶ 23. 

Shortly thereafter, Defendant Casper consulted with one or more of the

unnamed defendants and was advised that one or more of them had, at the

direction of a White House official, set a policy prohibiting anyone from

attending the event if they held a viewpoint contrary to that held by the President. 

See id. at ¶ 25. A few minutes later, Defendant Casper approached Plaintiffs,

who had reached their seats, and directed them to leave the event. See id. at ¶ 27. 

Plaintiffs were escorted out of the event and not allowed to reenter. See id. at ¶¶

27-30. After the event, Secret Service confirmed that Plaintiffs were ejected

because of the bumper sticker on their vehicle. See id. at ¶ 32. Plaintiffs claim

they had no intention of disrupting the event, but if given the opportunity, one of

them would have asked the President a question. See id. at ¶ 18. 

Plaintiffs brought a Bivens action against Defendants in their individual

capacities, alleging that Defendants acted under “color of federal law” and that

“[a]t all times, the policies concerning attendance at the event were set by federal

officials acting as federal officials, including some of the Doe defendants,” and

that “Defendants Klinkerman and Casper ejected the plaintiffs at the direction of

and pursuant to policies of those federal officials.” Id. at ¶¶ 33, 36. Plaintiffs

further allege that Defendants “conspired” with and “acted in concert with the

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Doe defendants who directed the ejection and who established the policies that

were being enforced by the ejection.” Id. at ¶ 34.

Each Defendant filed a motion to dismiss the action on qualified immunity

grounds. See Aplt. Br. at 2-3. In addition, both sought a protective order

prohibiting all discovery until the issue of qualified immunity was resolved. See

Motion to Dismiss for Lack of Appellate Jurisdiction of Plaintiffs-Appellees

Leslie Wiese and Alex Young, Nov. 30, 2006, at 3. In response, Plaintiffs

requested discovery on the issue of whether Defendants were entitled to qualified

immunity as private parties alleged to have been acting under color of law. See

id. The magistrate granted Defendants’ motions for a protective order and stayed

all discovery until the pending motions to dismiss based on qualified immunity

were decided. See id. 

The district court denied Defendants’ motions to dismiss, without

prejudice. See Weise v. Casper, No. 05-02355, 2006 WL 3093133, at *4 (D.

Colo. October, 30, 2006). Although the district court found that Plaintiffs

sufficiently alleged federal action to support their Bivens claim, it was unclear to

the district court whether Defendants could assert a qualified immunity defense. 

Relying on Richardson v. McKnight, 521 U.S. 399 (1997), the district court

explained that because Defendants were private parties, they were entitled to

assert a qualified immunity defense only if they were acting as federal officials or

as private parties at the direction and close supervision of federal officials. See

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2

 Following the district court’s ruling, we allowed Plaintiffs to take

depositions of Casper and Klinkerman for the limited purpose of identifying other

potential defendants so Plaintiffs could file claims against them within the

relevant statute of limitations. See Order, Feb. 15, 2007. As a result of

information obtained during those depositions, Plaintiffs now agree that

Defendants were closely supervised by public officials and are entitled to assert

qualified immunity. See Aplee. Br. at 7-8. However, Plaintiffs’ concession

cannot confer appellate jurisdiction on this court. See Garrett v. Stratman, 254

F.3d 946, 951 (10th Cir. 2001) (even if a party concedes it, “we have a ‘special

obligation to satisfy’ ourselves of appellate jurisdiction” (quoting Bender v.

Williamsport Area Sch. Dist., 475 U.S. 534, 541 (1986))). We still must examine

whether the district court’s order is one where an interlocutory appeal would lie.

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Weise, 2006 WL 3093133, at *4 (citing Richardson, 521 U.S. at 413; Rosewood

v. Sunflower Diversified Servs., Inc., 413 F.3d 1163, 1167 (10th Cir. 2005)). The

district court noted that Plaintiffs requested discovery on this “threshold issue,”

that Defendants did not address it in their moving papers, and thus the district

court found the record to be insufficient for it to rule on the merits of the motions. 

See id. at *2-*4. Accordingly, the district court ordered that Plaintiffs would be

allowed limited discovery on the issue of “Defendants’ status at the time of the

conduct at issue, whether Defendants were ‘closely supervised’ by government

officials, and whether Defendants are entitled to assert [a] qualified immunity

[defense] . . . .” Id. at *4.2

 This appeal followed.

Discussion

Under the Supreme Court’s collateral order doctrine, Cohen v. Beneficial

Indus. Loan Corp., 337 U.S. 541, 546 (1949), “a district court’s denial of a claim

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of qualified immunity, to the extent that it turns on an issue of law, is an

appealable ‘final decision’ within the meaning of 28 U.S.C. § 1291

notwithstanding the absence of a final judgment.” Mitchell v. Forsyth, 472 U.S.

511, 530 (1985). Accordingly, the Supreme Court has limited appeals of

interlocutory decisions denying the defense of qualified immunity “to cases

presenting neat abstract issues of law.” Johnson v. Jones, 515 U.S. 304, 317

(1995) (internal quotation omitted); see also Behrens v. Pelletier, 516 U.S. 299,

313 (1996). In contrast, pretrial determinations of evidentiary sufficiency in

qualified immunity cases are not immediately appealable. See Behrens, 516 U.S.

at 313; Jones, 515 U.S. at 314-18. The Supreme Court has provided two

rationales to support this distinction. First, evidentiary sufficiency determinations

are not separable from a plaintiff’s claim and thus do not constitute final

decisions under Cohen and Mitchell. See Behrens, 516 U.S. at 313; Jones, 515

U.S. at 314-15. Second, “considerations of delay, comparative expertise of trial

and appellate courts, and wise use of appellate resources argue in favor of

limiting interlocutory appeals of ‘qualified immunity’ matters to cases presenting

more abstract issues of law.” Jones, 515 U.S. at 317. These principles apply to

interlocutory appeals at either the dismissal or summary judgment stage of a

litigation. See Behrens, 516 U.S. at 306-07.

Notwithstanding these principles, Defendants argue that we have appellate

jurisdiction over their appeal. We disagree. First, they argue that there can be no

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factual dispute on a Fed. R. Civ. P. 12(b)(6) motion to dismiss and that the

complaint on its face establishes they are entitled to assert qualified immunity. 

See Defendant-Appellant’s Response to Motion to Dismiss for Lack of Appellate

Jurisdiction of Plaintiff-Appellees Leslie Weise and Alex Young, Dec. 15, 2006

(“Defendants-Appellants’ Response”), at 2-6; Aplt. Br. at 9-12; Reply Br. at 2-4. 

However, it is well-established that denials of qualified immunity based on a

motion to dismiss are only immediately appealable to the extent they turn on

issues of law. See Prager v. LaFaver, 180 F.3d 1185, 1190 (10th Cir. 1999). If a

district court cannot rule on the merits of a qualified immunity defense at the

dismissal stage because the allegations in the pleadings are insufficient as to some

factual matter, the district court’s determination is not immediately appealable. 

United States v. Yonkers Bd. of Educ., 893 F.2d 498, 502-03 (2d Cir. 1990)

(denial of motion to dismiss on grounds of immunity not appealable where

applicability of immunity cannot be decided from the face of the pleadings and

requires discovery); Lawson v. Abrams, 863 F.2d 260, 262-63 (2d Cir. 1988)

(same); see also Almonte v. City of Long Beach, 478 F.3d 100, 110 (2d Cir.

2007).

Second, Defendants argue that the district court should have first analyzed

the purely legal issue of whether a constitutional violation occurred based on the

facts contained in the complaint and, if so, whether the constitutional right

alleged to have been violated was clearly established. See DefendantsAppellate Case: 06-1516 Document: 010172186 Date Filed: 11/20/2007 Page: 8 
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Appellants’ Response at 6-9; Aplt. Br. at 8-9; Reply Br. at 2-3. While this would

be the ordinary course, see Siegert v. Gilley, 500 U.S. 226, 229-33 (1991), this

analysis can only proceed after the court determines that a defendant is entitled to

assert qualified immunity in the first instance. See id. at 231 (“Qualified

immunity is a defense that must be pleaded by a defendant official”); Wyatt v.

Cole, 504 U.S. 158, 168 (1992) (private parties who conspire with public officials

to violate constitutional rights are not automatically immune from suit). The

district court recognized that Defendants are not public officials and decided more

inquiry was necessary before engaging in any further aspect of qualified

immunity analysis. The district court did not abuse its discretion in ordering

limited discovery given its concerns. 

Third, Defendants rely on Behrens, 516 U.S. at 305-14, in arguing that the

district court’s discovery order forces them to renew their defense on summary

judgment, thus depriving them of their right to dispose of the case at the dismissal

stage. See Defendant-Appellants’ Response at 6. Behrens does not provide that

Defendants are automatically entitled to appeal both the denial of a motion to

dismiss and a motion for summary judgment. Rather Behrens rejects the “oneinterlocutory-appeal” approach and clarifies that the denial of qualified immunity

at the dismissal stage does not preclude a renewal of that defense at summary

judgment after further factual development has occurred. Behrens, 516 U.S. at

305-11; see also Walker v. City of Orem, 451 F.3d 1139, 1146 n.5 (10th Cir.

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2006). Further, it is well established that limited discovery may be necessary to

resolve qualified immunity claims on summary judgment. See Anderson v.

Creighton, 483 U.S. 635, 646 n.6 (1987) (explaining that although qualified

immunity should be resolved at the earliest possible stage of litigation, “tailored”

discovery may be necessary to resolve factual questions before disposing of the

case on summary judgment).

Finally, Defendants argue that some of our sister circuits have exercised

appellate jurisdiction in analogous cases. See Defendants-Appellants’ Response

at 6-9. We disagree as each of the cases relied upon by Defendants are

distinguishable from this case. Defendants principally rely on the Second

Circuit’s holdings in Locurto v. Safir, 264 F.3d 154, 164-65 (2d Cir. 2001) and XMen Sec., Inc. v. Pataki, 196 F.3d 56, 66 (2d Cir. 1999) and the Fourth Circuit’s

holding in McVey v. Stacy, 157 F.3d 271, 275-76 (4th Cir. 1998). These cases

hold that when a district court denies a qualified immunity motion on the ground

that a factual question exists as to whether the defendant’s conduct violated a

constitutional right, that denial is reviewable by the court of appeals because the

district court’s denial constitutes at least an implicit legal decision that the

complaint alleges a constitutional claim on which relief can be granted, and that

the constitutional right alleged to have been violated was clearly established at

the time of defendant’s conduct. See Locurto, 264 F.3d at 164 (citing X-Men,

196 F.3d at 66); McVey, 157 F.3d at 276. In such cases, the district court must

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rely only on the facts as alleged in the complaint and assume that those facts, for

the purposes of a motion to dismiss, are true. See Locurto, 264 F.3d at 164-65

(citing X-Men, 196 F.3d at 66-67); McVey, 157 F.3d at 276. Indeed, we have

recognized that a district court cannot avoid ruling on the merits of a qualified

immunity defense when it can resolve the purely legal question of whether a

defendant’s conduct, as alleged by plaintiff, violates clearly established law. 

See Medina v. Cram, 252 F.3d 1124, 1130 (10th Cir. 2001) (citing Malik v.

Arapahoe County Dep’t of Soc. Servs., 191 F.3d 1306, 1315 (10th Cir. 1999)).

The decisions relied upon by Defendants, however, are clearly

distinguishable from the instant case. Here, the factual issue involves not whether

Defendants’ conduct violated a constitutional right, the factual issue involves the

threshold question of whether Defendants are entitled to assert qualified immunity

in the first instance. Indeed, even the Second Circuit has recognized this

distinction in squaring its Locurto holding with its Lawson holding. See Locurto,

264 F.3d at 165 (citing Lawson, 863 F.2d at 263). In this case, the district court

made no legal decision whatsoever, explicit or implicit, on the merits of

Defendants’ motions. The district court only determined that the allegations in

the complaint even taken as true did not adequately address whether Defendants

were entitled to assert qualified immunity, and thus ordered discovery on that

question. Accordingly, the district court’s interlocutory order is not appealable.

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3

 Notwithstanding its conclusion that we have jurisdiction over this

interlocutory appeal, the dissent contends that we should remand this case to the

district court because the complaint, on its face, makes it “extremely difficult” for

us to analyze the merits of Defendants’ qualified immunity defense. See Dissent

at 1 n.1. It appears that the dissent concedes that further factual development is

necessary to decide the merits of Defendants’ defense, which would support our

position that there are times when the allegations contained in the complaint are

inadequate to determine whether qualified immunity is even available as a

defense. In any event, remand is not the proper course because we do not have

appellate jurisdiction in the first place. The only way this case is immediately

appealable is if the district court’s ruling turned on a question of law, whereby

our merits review would not be “extremely difficult.”

4

 To our knowledge, the Second Circuit is the only circuit to address

whether the denial of immunity at the dismissal stage is immediately appealable

when the applicability of that defense could not be determined from the face of

the pleadings.

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The dissent argues we have jurisdiction over this appeal, contending

evidentiary issues can never arise on a motion to dismiss and the district court

effectively decided the legal issue that the facts, as alleged in the complaint, do

not entitle Defendants to qualified immunity.3

 We disagree.

First, we reject the dissent’s attempt to suggest a circuit split on the issue

presented by this appeal, as the cases it cites by the Fifth and Seventh Circuits are

inapposite to the Second Circuit cases on which we rely. Neither of the cases

relied upon by the dissent involved the review of a district court’s determination

that the complaint was insufficient on its face to determine whether the defense of

qualified immunity was properly before the court.4

 In fact, in both cases, the

district court denied defendants’ motions to dismiss on their merits, making the

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5

 Indeed, the Second Circuit has exercised appellate jurisdiction in

analogous cases. See, e.g., Iqbal v. Hasty, 490 F.3d 143, 152 (2d Cir. 2007) (“[A]

defendant may appeal a district court’s ruling denying qualified immunity when,

if a plaintiff’s allegations are assumed to be true, the only question is whether the

alleged conduct violated a clearly established right.”).

6

 Furthermore, the only dispute in these cases concerned whether

defendants’ alleged conduct violated plaintiffs’ constitutional rights and whether

those rights were clearly established. See Levenstein,164 F.3d at 351-53;

Hillsboro, 81 F.3d at 1406. Therefore, these cases are distinguishable from the

instant case for the same reason we earlier distinguished the Second and Fourth

Circuit cases relied upon by Defendants, namely that this type of factual dispute

does not preclude appellate review. Supra at 10-11. For the same reason, we

disagree with the dissent’s contention that our decision in this case “would make

nearly every denial of a motion to dismiss unappealable.” Dissent at 6.

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exercise of appellate jurisdiction entirely appropriate.5

 See Levenstein v.

Salafsky, 164 F.3d 345, 347 (7th Cir. 1998); Doe ex rel. Doe v. Hillsboro Indep.

Sch. Dist., 81 F.3d 1395, 1399 (5th Cir. 1996).6 Further, that these cases state the

general proposition that the denial of qualified immunity on a motion to dismiss

constitutes a legal decision because Rule 12(b)(6) requires a court to accept as

true all well-pleaded facts in the complaint is beside the point. Of course this

proposition is true, but we emphasize that it is only true when the facts alleged in

the complaint are well-pleaded. Here, the district court determined that whether

qualified immunity was even available as a defense was unclear because the

allegations in the complaint were not well-pleaded, and ordered limited discovery

to correct that problem. Surely the district court has discretion to undertake this

course, but regardless, its determination clearly does not constitute a decision on

an abstract point of law and is not reviewable under the collateral order doctrine.

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7

 To the contrary, the assertion of qualified immunity does not

automatically act as a complete bar to discovery. See Mitchell, 472 U.S. at 526

(“Indeed, Harlow emphasizes that even such pretrial matters as discovery are to

be avoided if possible . . . .”) (emphasis added). The ordering of narrow

discovery in qualified immunity cases is entirely permissible. See Garrett, 254

F.3d at 953 (“[q]ualified immunity does not shield government officials from all

discovery but only from discovery which is either avoidable or overly broad”)

(alteration in the original). More importantly, narrowly tailored discovery orders

designed to “uncover only those facts needed to rule on the immunity claim” are

not immediately appealable. Id.

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Second, the dissent’s argument that evidentiary issues can never arise on a

motion to dismiss is belied by Rule 12(b) itself. As acknowledged by the dissent,

Rule 12(b) contemplates the possibility of factual insufficiency at the pleading

stage and expressly permits the conversion of a motion to dismiss into one for

summary judgment to resolve that problem. Dissent at 3. Further, it is wellsettled that a district court has the discretion to effect such a conversion, sua

sponte, by requesting information outside the pleadings. See 5C Charles Alan

Wright & Arthur P. Miller, Federal Practice and Procedure § 1366. 

Notwithstanding the apparent position of the dissent that defendants who assert

qualified immunity must always be spared from discovery,7

 the Federal Rules of

Civil Procedure do not operate differently in the context of qualified immunity. 

See id. (“There is considerable authority to the effect that the conversion

provision applies to affirmative defenses raised on a Rule 12(b)(6) motion. As a

result, when a defendant’s motion to dismiss raises an affirmative defense that is

not apparent on the face of the pleadings and outside matter is presented and

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accepted, federal courts will generally treat the motion as if it were one for

summary judgment.”) (footnotes omitted); see also Anderson, 483 U.S. at 646 n.6

(“tailored” discovery may be necessary to resolve factual questions concerning

qualified immunity before disposing of the case on summary judgment).

Finally, the dissent claims that Defendants make the legal argument that the

issue of whether they were closely supervised by federal officials is “not a

necessary predicate to their invocation of qualified immunity” and that our

holding denies Defendants the “valuable right to obtain a ruling on this significant

legal question, and exposes them to the burden of discovery on an issue that, they

contend, should be resolved as a matter of law.” Dissent at 5-6. Although

Defendants argue the district court’s denial of their motions to dismiss constituted

an implicit decision that they are not entitled to invoke qualified immunity,

see Defendants-Appellants’ Response at 9, Defendants do not argue that

Richardson does not extend to the facts of this case. To the contrary, Defendants

explicitly argue that “this case presents the precise situation envisioned by the

Supreme Court in Richardson,” and claim that the facts, as alleged in the

complaint, demonstrate they were closely supervised. See Aplt. Br. at 9-12; see

also Reply Br. at 4-5.

Even if Defendants made this argument (which they do not), it would not

change our holding. The district court made no legal ruling whatsoever as to

whether Richardson extends to the facts of this case. The district court

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recognized that Richardson might apply to this case, but failed to rule either way

on this issue because the factual predicate necessary to conduct that analysis,

namely Defendants’ status at the time their alleged conduct occurred, was unclear

from the face of the pleadings. Therefore, the dissent’s claim that the district

court’s decision constituted a “legal conclusion about the scope of qualified

immunity for private parties” does not seem to have record support. 

APPEAL DISMISSED.

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1

It seems highly unlikely that a motion to dismiss could be granted at this

stage in the proceedings. The allegations in the complaint do not set forth the

terms of the alleged federal policy the defendants were enforcing or its asserted

authority or justifications, which would make constitutional analysis extremely

difficult. But because the district court addressed only the issue of whether the

defendants, as private individuals, are entitled to invoke the protections of

qualified immunity, the proper course is for this court to remand and allow the

district court to sort through the merits issues in the first instance.

Weise v. Casper, 06-1504, 06-1516.

McCONNELL, J., dissenting.

Contrary to the majority’s holding, the district court’s decision denying the

defendants’ motions to dismiss on qualified immunity grounds is an appealable

order, turning as it does on a pure question of law: whether private citizens

voluntarily assisting at a federally-sponsored event, when sued for alleged

constitutional violations under Bivens, are entitled to invoke the protections of

qualified immunity in the absence of proof that they were closely supervised by

federal officials. Because the district court answered that legal question in the

negative, it denied the defendants’ motions for qualified immunity at the

dismissal stage and ordered limited discovery to determine whether they were so

supervised. As explained below, the court’s legal conclusion was in error. The

court should have gone on to the merits of the qualified immunity claim: whether

the plaintiffs’ complaint alleged a constitutional violation, and if so, whether that

violation was clearly established.1

 This court has jurisdiction to review that

erroneous decision. I therefore respectfully dissent.

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2

The complaint alleges that Mr. Klinkerman identified himself as a

volunteer. Compl. at 4. Mr. Casper was identified as a Secret Service agent. Id. 

If either of them is in fact an agent rather than a volunteer, his right to invoke

qualified immunity is not disputed, so for purposes of discussion I will assume

arguendo that both are volunteers.

-2-

I. Background and Proceedings Below

The plaintiffs claim that the defendants violated their First Amendment

rights by ejecting them from a public meeting, paid for by public funds, at which

President George W. Bush was speaking. Allegedly they were ejected because a

bumper sticker on their vehicle (“No Blood for Oil”) indicated they disagreed

with the President. The defendants are two private citizens who volunteered to

assist at the event.2

 The complaint alleges that the defendants acted “at the

direction of and pursuant to polic[i]es of . . . federal officials.” Compl. at 7. It

does not allege that, in the conduct of their responsibilities, the defendants were

closely supervised by federal officials. 

The defendants each filed a motion to dismiss based on qualified immunity. 

The district court, based on Richardson v. McKnight, 521 U.S. 399 (1997),

reasoned that whether the defendants were entitled to invoke the protections of

qualified immunity “turn[ed] on whether Defendants Casper and Klinkerman were

acting as federal officials or whether they were private parties acting at the

direction of federal officials, and whether they were closely supervised.” Weise

v. Casper, No. 05-02355, 2006 WL 3093133, at *4 (D. Colo. Oct. 30, 2006). On

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the face of the complaint, it was not evident whether the “close supervision”

condition was satisfied. The district court denied the motions to dismiss “without

prejudice,” and granted the plaintiffs’ motion for “limited discovery” on this

“threshold issue.” Id. The defendants appealed.

It is not entirely clear what the district court meant by denying the motions

“without prejudice.” Id. Every denial of a motion for qualified immunity is

“without prejudice” in the sense that, as the case moves from the dismissal stage

to summary judgment to trial to verdict, if facts emerge under which the

defendants are entitled to qualified immunity, they may make appropriate motions

in district court and take appeals to the court of appeals; the denial of a motion

for qualified immunity at an earlier stage does not stand as a bar. Behrens v.

Pelletier, 516 U.S. 299, 308–09 (1996). On the other hand, having denied the

defendants’ motions based on the pleadings and ordered discovery, the district

court necessarily precluded any renewal of a motion to dismiss. Once

discovery—even “limited discovery”—takes place on this point, the defendants’

invocation of qualified immunity must be in the form of a motion for summary

judgment. See Fed. R. Civ. Pro. 12(b)(6) (reference to and reliance on any

“matters outside the pleading” causes a motion to dismiss to “be treated as one for

summary judgment”); see also 5C Charles Alan Wright & Arthur R. Miller,

Federal Practice & Procedure §1366. Despite the district court’s use of the

words, “without prejudice,” the defendants would not be able to renew their

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-4-

motions at the dismissal stage, and thus would not be able to vindicate their

asserted right to qualified immunity as a matter of law, prior to discovery. 

II. Appellate Jurisdiction

In Mitchell v. Forsyth, the Supreme Court addressed whether a district

court’s decision to deny a claim of qualified immunity on legal grounds is

appealable under the collateral order doctrine. 472 U.S. 511, 530 (1985). 

Ordinarily, denial of a motion to dismiss or a motion for summary judgment is not

a final order and is therefore not appealable; but because those entitled to

qualified immunity have a right to dispose of the legal proceedings against them

as quickly as possible, and because the claim to immunity is sufficiently separable

from the merits of a defense, the Court held that defendants are entitled to

interlocutory appeals when their motions for dismissal or summary judgment on

qualified immunity are denied. Id. at 525–28. In Behrens, the Court emphasized

that immunity “is meant to give government officials a right, not merely to avoid

‘standing trial,’ but also to avoid the burdens of ‘such pretrial matters as

discovery. . . .’” 516 U.S. at 308 (quoting Mitchell, 472 U.S. at 526). The Court

explained that “denial of a motion to dismiss is conclusive as to this right [to

avoid discovery],” and deemed it “settled . . . that this right is important enough

to support an immediate appeal.” Behrens, 516 U.S. at 308.

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To be sure, as the majority notes, interlocutory appeals are limited “to cases

presenting neat abstract issues of law.” Johnson v. Jones, 515 U.S. 304, 317

(1995) (internal quotation omitted); see also Behrens, 516 U.S. at 313. Johnson

holds that an interlocutory appeal is not permitted when the district court denies a

motion for summary judgment on the basis of “a fact-related dispute about the

pretrial record, namely whether or not the evidence . . . was sufficient to show a

genuine issue of fact for trial.” 515 U.S. at 307 (emphasis in original). But such

evidentiary issues can arise only on motions for summary judgment, where the

presence of a disputed issue of material fact is a basis for denial. The majority

errs in extending this principle to the context of motions to dismiss. A motion to

dismiss does not test “evidentiary sufficiency,” Maj. Op. at 7, because no actual

evidence is or can be offered by either side. Rather, at this stage the court is

asked to decide whether, assuming the allegations of the complaint are true, the

defendants are entitled to dismissal as a matter of law. That is a legal question,

not a factual one. 

 In this case, the district court conclusively resolved that the defendants had

no “right . . . to avoid the burden[] of . . . discovery,” Behrens, 516 U.S. at 308,

on the issue of whether they were closely supervised by federal officials,

notwithstanding the defendants’ legal argument that such supervision is not a

necessary predicate to their invocation of qualified immunity. See Appellant’s

Br. 10–11. Whether the defendants are correct depends on resolution of an

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“abstract”—and important—question of law: whether the Supreme Court’s

holding that employees of a private, for-profit corporation conducting government

functions are not entitled to qualified immunity, Richardson v. McKnight, 521

U.S. 399 (1997), also eliminates immunity for private citizens who voluntarily

assist in performing such functions at the behest of federal officials. The

majority’s holding that the district court’s order is not appealable denies the

defendants the valuable right to obtain a ruling on this significant legal question,

and exposes them to the burden of discovery on an issue that can be resolved as a

matter of law, on the pleadings. The majority’s holding thus directly conflicts

with Behrens and Mitchell. 

 The majority’s interpretation of Johnson—that an order denying a motion

to dismiss is not appealable if it concludes that “the pleadings are insufficient as

to some factual matter,” Maj. Op., at 8—would make nearly every denial of a

motion to dismiss unappealable. Denial of a motion to dismiss can always be

characterized as resting on the conclusion that the facts alleged in the complaint

are insufficient to establish the defendant’s right to dismissal. Of course, proof of

additional facts might well show that the defendant was entitled to prevail, but

that does not convert the dismissal question into a “fact-related dispute,” Johnson,

515 U.S. at 307. Rather, a motion to dismiss raises only a question of law:

whether, taking the facts in the complaint as true, the plaintiff has a legal claim. 

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Indeed, the Supreme Court has warned against overreading Johnson as the

majority does. In Behrens, the Court explained that although summary judgment

is often denied because “there are controverted issues of material fact . . . 

Johnson surely does not mean that every such denial . . . is nonappealable.” 516

U.S. at 312–13. All that the district court has held here—because it is all that can

be held on a Rule 12(b)(6) motion—is that the facts in the complaint do not show

that the defendants are entitled to invoke qualified immunity. That is a legal

conclusion about the scope of qualified immunity for private parties, and we must

decide whether it is correct.

The majority cites neither Supreme Court nor Tenth Circuit precedent to

support its assertion that denials of motions to dismiss raise factual issues and

hence may be unappealable. It does cite several cases from the Second Circuit,

which also deny jurisdiction over appeals from motions to dismiss on qualifiedimmunity grounds. E.g., Almonte v. City of Long Beach, 478 F.3d 100, 110 (2d.

Cir. 2007). The Second Circuit’s view, however flies in the face of a betterreasoned decision from the Seventh Circuit, Levenstein v. Salafsky, 164 F.3d 345

(7th Cir. 1998) (Wood, J.). The Seventh Circuit explained that “unlike a motion

for summary judgment, which raises in part the question whether the opposing

party has demonstrated the existence of disputed facts, a motion to dismiss for

failure to state a claim raises only legal issues. This is because a Rule 12(b)(6)

motion requires the court to accept as true all well-pleaded facts in the complaint,

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Although the Supreme Court has never said so, I assume that Richardson

applies not only to the immunities available to state actors under § 1983, but also

to those available to federal actors under Bivens v. Six Unknown Named Agents of

Federal Bureau of Narcotics, 403 U.S. 388 (1971), because the two immunities

are generally taken to be coterminous. Butz v. Economou, 438 U.S. 478, 501

(1978). 

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drawing all reasonable inferences in favor of the opposing party.” Id. at 347. 

The Fifth Circuit has reached the same conclusion. Doe ex rel. Doe v. Hillsboro

Indep. Sch. Dist., 81 F.3d 1395, 1401 (5th Cir. 1996), vacated en banc on other

grounds, 113 F.3d 1412 (5th Cir. 1997) (“In the Rule 12(b)(6) context, there can

never be a genuine-issue-of-fact-based denial of qualified immunity, as we must

assume that the plaintiff's factual allegations are true. Thus, denials of motions to

dismiss on the basis of qualified immunity are always ‘purely legal’ denials.”). 

This is the better view of the law.

I therefore conclude that we have jurisdiction to review the legal question

decided by the district court.

III. The Defendants’ Right to Invoke Qualified Immunity

The district court interpreted Richardson v. McKnight as holding that

private persons sued for constitutional violations committed under color of state

or federal law3

 are not entitled to invoke qualified immunity unless these actions

were “closely supervised by government officials.” Weise v. Casper, No. 05-

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02355, 2006 WL 3093133, at *4 (internal quotation marks omitted). This was an

overbroad interpretation of Supreme Court precedent. 

Prior to Richardson the rule in our circuit was that “a private individual

who performs a government function pursuant to a state order or request is

entitled to qualified immunity if a state official would have been entitled to such

immunity had he performed the function himself.” Eagon ex rel. Eagon v. City of

Elk City, 72 F.3d 1480, 1489 (10th Cir. 1996) (cited in Richardson, 521 U.S. at

402) (internal quotation marks omitted). In Richardson, however, the Court held

that prison guards employed by private, for-profit corporations may not invoke

qualified immunity. In so doing, the Court described its holding as “narrow[,]”

and limited to “the context in which it arose.” Richardson, 521 U.S. at 413. The

Court expressly noted that the case “does not involve a private individual briefly

associated with a government body, serving as an adjunct to government in an

essential governmental activity, or acting under close official supervision.” Id. 

In its review of the historical scope of qualified immunity for private

persons in Richardson, the Supreme Court found that although there was no

general immunity for “private individuals working for profit,” nonetheless “the

[common] law did provide a kind of immunity for certain private defendants, such

as doctors or lawyers who performed services at the behest of the sovereign.” Id.

at 407 (citing Tower v. Glover, 467 U.S. 914, 921 (1984) & Joel Prentiss Bishop,

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Commentaries on Non-Contract Law, §§ 704, 710 (1889)). The Court then

offered two functional justifications for concluding that private prison guards are

not entitled to qualified immunity. First, “[c]ompetitive pressures mean . . . that a

firm whose guards are too timid will face threats of replacement by other firms

with records that demonstrate their ability to do both a safer and a more effective

job.” Richardson, 521 U.S. at 409. This competitive pressure thus substitutes for

the protection of qualified immunity as a means of ensuring “the vigorous

exercise of official authority.” Id. at 408, quoting Butz, 438 U.S. at 506 (1978). 

Second, private prison firms faced a labor market with different economic

incentives—they were required to buy comprehensive insurance for civil rights

torts, and were free to offer higher pay or extra benefits to their guards because

they were liberated from civil service restraints. Richardson, 521 U.S. at 411–12.

Similar considerations explain the Court’s earlier decision in Wyatt v. Cole,

504 U.S. 158 (1992), which denied the protection of qualified immunity to 

private persons who had invoked state replevin, garnishment, and attachment

statutes later held to be unconstitutional. Because the defendants were acting out

of their own economic interest and not for any public purpose, the traditional

purposes of qualified immunity would not be served by extending it to the

defendants. Id. at 167–68. 

Neither of those justifications applies to private persons who volunteer to

assist federal officials in the conduct of public functions. There are no

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“[c]ompetitive pressures,” Richardson, 521 U.S. at 409, that would spur private

volunteers to a vigorous performance of their responsibilities in the face of the

prospect of Bivens suits. Such persons receive no higher pay or benefits or other

economic advantage, and no private employer is forced to obtain insurance on

their behalf. Indeed, in terms of the functional justification identified in

Richardson, qualified immunity might well be of greater necessity for persons

voluntarily assisting the government than it is for government officials, who at

least are being paid to do the job and might be fired for lax performance. If

government officials need qualified immunity lest the “fear of being sued . . .

dampen the ardor of all but the most resolute, or the most irresponsible,” Harlow

v. Fitzgerald, 457 U.S. 800, 814 (1982) (internal quotation marks omitted), then

private citizens who cooperate with the government out of motives of public

service need it a fortiori.

Richardson is best read not as a broad denial of qualified immunity to lessthan-closely-supervised private persons, but as a narrow holding that the incentive

system created by immunity can be eliminated where the competitive pressures of

the private market provide a substitute. The general rule of Eagon should

continue to control for those not subject to the competitive pressures deemed

relevant in Richardson.

This view of Richardson is confirmed by our decision in Rosewood Servs.,

Inc., v. Sunflower Diversified Servs., Inc., 413 F.3d 1163, 1164 (10th Cir. 2005),

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where we held that a non-profit “community developmental disability

organization[]” and its president were not entitled to immunity under Richardson. 

There, we examined the market for such disability organizations and concluded

that even though the market was heavily regulated, the “competitive market forces

[were] sufficiently present” to provide a substitute incentive system. 413 F.3d at

1169. Thus, “sufficient competitive market pressures exist[ed] to lessen timidity

on the part of” the organization and its employees and eliminated the need for

qualified immunity. Id. 

The defendants here more resemble the “private individual briefly

associated with a government body, serving as an adjunct to government in an

essentially governmental activity,” which the Court excluded from its rule in

Richardson, than they do the employee of “a private firm, systematically

organized to assume a major lengthy administrative task (managing an institution)

with limited direct supervision by the government, [which] undertakes that task

for profit and potentially in competition with other firms.” Richardson, 521 U.S.

at 413. Therefore, the allegation that the defendants here were directed by federal

officials and acted pursuant to federal policy is enough for me to conclude that

they are entitled to raise a qualified immunity defense at this stage of the

litigation, without proof that their activities were closely supervised by federal

officials. 

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III. Conclusion

The district court’s order denying the defendants’ motions to dismiss is

appealable under the collateral order doctrine, and the court’s holding that the

defendants are not entitled to invoke qualified immunity without proof that they

acted under close official supervision should be reversed. I therefore respectfully

dissent from the majority’s opinion.

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