Court Opinion

ID: 8208554
Source: CourtListenerOpinion
Date Created: 2022-09-22 21:02:59.059983+00
Date Added: 2024-06-11T16:41:33.198667
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               DISTRICT OF COLUMBIA COURT OF APPEALS

                                   No. 20-CV-293

                           NAFISA HOODBHOY, APPELLANT,

                                          V.

                         DISTRICT OF COLUMBIA, APPELLEE.

                           Appeal from the Superior Court
                            of the District of Columbia
                                 (2019 CA 007484)

                        (Hon. Heidi M. Pasichow, Trial Judge)

(Argued December 8, 2021                              Decided September 22, 2022)

      Patrick M. Regan, with whom Christopher J. Regan and Emily C. Lagan were
on the brief, for appellant.

      Holly M. Johnson, Senior Assistant Attorney General, with whom Karl A.
Racine, Attorney General for the District of Columbia, Loren L. Alikhan, Solicitor
General at the time of argument, Caroline S. Van Zile, Principal Deputy Solicitor
General, and Carl J. Schifferle, Deputy Solicitor General, were on the brief, for
appellee.

      Before EASTERLY and DEAHL, Associate Judges, and KRAVITZ, Associate
Judge, Superior Court of the District of Columbia. *

      *
          Sitting by designation pursuant to D.C. Code § 11-707(a) (2001).
                                         2

      Opinion of the court by Associate Judge DEAHL.

      Concurring opinion by Associate Judge EASTERLY at page 19.

      DEAHL, Associate Judge: Hilman Jordan shot and killed Jawaid Bhutto in the

parking lot of the condominium building where they both lived. At the time of the

attack, Jordan was on conditional release from Saint Elizabeths Hospital, where he

had been committed two decades earlier following his acquittal, by reason of

insanity, on a first-degree murder charge. Jordan’s release from Saint Elizabeths

was granted via a Superior Court order requiring that both Jordan and the D.C.

Department of Behavioral Health (“DBH”) comply with certain conditions, intended

to ensure Jordan would “not pose a danger to himself or others” while living in the

community. In the months preceding the shooting, DBH failed to perform several

of the duties required by the court order. Most significantly, after Jordan tested

positive on multiple drug tests, DBH failed to return him to Saint Elizabeths or even

inform the Superior Court of those results.

      Bhutto’s widow, Nafisa Hoodbhoy, brought a wrongful death and survival

action—seeking damages for Bhutto’s emotional, psychological, and physical pain

in his final minutes, see D.C. Code § 12-101—against the District. She claimed the

District was liable for Bhutto’s death because it negligently failed to comply with

the conditions of Jordan’s release, to warn Jordan’s neighbors of his propensity for
                                          3

violence, and to ensure that Jordan was not using illegal drugs or obtaining firearms.

The trial court granted the District’s motion to dismiss Hoodbhoy’s complaint,

finding that the District was shielded from liability by the “public duty doctrine,”

under which we have said that the District has “no general duty to provide public

services, such as police protection, to any particular individual citizen,” but owes

such duty only to “the public at large.” Warren v. District of Columbia, 444 A.2d 1,

3 (D.C. 1981) (en banc). Citing that doctrine, the court found that, “even assuming

[] the District had a nondiscretionary duty” to abide by the conditions of Jordan’s

release, that duty was owed to the general public—not to Hoodbhoy or Bhutto as

individuals. Therefore, the District could not be held liable for negligently failing

to prevent Bhutto’s death.

      Hoodbhoy asks us to reverse. Specifically, she urges us to adopt one or both

of two new exceptions to the public duty doctrine, either of which would allow her

claims to proceed. Because neither exception is consistent with the doctrine’s

contours, we affirm.
                                          4

                                          I.

      In 1998, a grand jury indicted Hilman Jordan for first-degree murder after he

shot and killed his cousin. 1 Jordan was found not guilty by reason of insanity and

committed to Saint Elizabeths Hospital. In 2003, Jordan was conditionally released

from Saint Elizabeths, but was subsequently recommitted two years later, and placed

in a maximum security ward, after illegally obtaining a firearm and bringing it to the

hospital for the purpose of killing an acquaintance. In 2015, Jordan was once again

conditionally released. Shortly thereafter, the Superior Court authorized Jordan’s

transition to full convalescent leave, issuing an order imposing nineteen conditions

that Jordan and DBH were required to follow to ensure that Jordan was properly

supervised.

      Among the court-ordered conditions of release was a requirement that DBH

conduct monthly drug screenings and, if Jordan ever refused to participate or tested

      1
        We accept, as we must in considering a dismissal under Super. Ct. Civ. R.
12(b)(6), the allegations in Hoodbhoy’s complaint as true. Hillbroom v.
PricewaterhouseCoopers LLP, 17 A.3d 566, 572 (D.C. 2011). For the purposes of
this opinion, we also adopt the allegations in Hoodbhoy’s proffered amended
complaint, bearing in mind that Super. Ct. Civ. R. 15(a)(3) demands that leave to
amend a complaint be freely given “when justice so requires,” and that the sole
grounds on which the trial court denied Hoodbhoy’s motion to amend her original
complaint was that the public duty doctrine would bar her claims regardless.
                                         5

positive, notify the court and immediately return him to Saint Elizabeths. In

addition, the court order required that Jordan’s case manager conduct at least two

visits per week, submit monthly written reports to Saint Elizabeths and the court,

and notify the court if Jordan was assigned a new case manager or core service

agency.

        When Jordan was released from Saint Elizabeths, he rented a unit in the

condominium building at 2610 Wade Road SE. His unit was located directly above

the unit owned and occupied by Nafisa Hoodbhoy and Jawaid Bhutto. In January

2019, Bhutto emailed members of the condominium board, complaining that Jordan

was smoking cigarettes and marijuana, and that the stench permeated throughout his

unit.   Someone on the condominium board showed Jordan the email without

redacting Bhutto’s name or other identifying information. On March 1, 2019, Jordan

approached Bhutto in the condominium building’s parking lot, brandished a firearm,

chased Bhutto into a corner, shot him, beat him, then kicked him twice in the head.

Bhutto died later that day.

        According to an internal DBH review, in the months preceding Bhutto’s

death, DBH failed to comply with five of the nineteen mandatory conditions set forth

in the court order authorizing Jordan’s release. The most concerning breach was
                                          6

that, even though Jordan tested positive for marijuana on four occasions between

June and August 2018, DBH failed to notify the court or return him to Saint

Elizabeths as required. DBH also found that seven months preceding the shooting,

DBH’s contractor averaged only “weekly to bi-weekly” home visits, and that the

agency failed to ensure that the contractor submitted its required monthly reports.

Finally, DBH found that, though there was a change in Jordan’s case manager and

core service agency, the agency failed to notify the court.

      Bhutto’s widow, Hoodbhoy, brought a wrongful death suit against the

District. In her complaint, she alleged that the District had “breached the duty owed

to the public, including Mr. Bhutto” by: (1) recommending that the court release

Jordan into the community and permitting him to live among members of the public,

despite knowledge of his history of violence; (2) violating five of the nineteen court-

ordered conditions of Jordan’s leave; and (3) failing to use reasonable care to protect

the public from Jordan by ensuring he was not consuming illegal drugs or illegally

obtaining firearms and warning the public of Jordan’s “violent and dangerous

propensities.” The District moved to dismiss the complaint for failure to state a

claim. Hoodbhoy opposed the District’s motion, and at the same time moved to

amend her complaint with allegations relating to the results of DBH’s internal

review. The trial court granted the District’s motion to dismiss, finding that the
                                          7

public duty doctrine barred Hoodbhoy’s claims. The court also denied Hoodbhoy’s

motion to amend her complaint, finding that her proffered amendments would be

futile because the complaint would still fail to satisfy the requirements of the public

duty doctrine.

                                          II.

      We review de novo the dismissal of a complaint for failure to state a claim

under Rule 12(b)(6). Potomac Dev. Corp. v. District of Columbia, 28 A.3d 531, 543

(D.C. 2011). In conducting our review, we apply “the same standard the trial court

was required to apply, accepting the allegations in the complaint as true and viewing

all facts and drawing all reasonable inferences in favor of the plaintiffs.” Hillbroom

v. PricewaterhouseCoopers LLP, 17 A.3d 566, 572 (D.C. 2011).

      For a claim sounding in negligence, like wrongful death, the plaintiff must

show: “(1) that the defendant owed a duty to the plaintiff, (2) breach of that duty,

and (3) injury to the plaintiff that was proximately caused by the breach.” Hedgepeth

v. Whitman Walker Clinic, 22 A.3d 789, 793 (D.C. 2011). When the District or its

agents take action that “directly” harms an individual, the law of negligence applies

to it as it would to any other tortfeasor. District of Columbia v. Evans, 644 A.2d
                                           8

1008, 1017 n.8 (D.C. 1994). 2 However, when a plaintiff alleges the “District

negligently failed to protect [them] from harm,” the first element of a negligence

claim—duty—is governed by the public duty doctrine, under which the

“government and its agents are under no general duty to provide public services,

such as police protection, to any particular individual citizen.” Klahr v. District of

Columbia, 576 A.2d 718, 719-20 (D.C. 1990) (quoting Warren, 444 A.2d at 4). In

any case where the public duty doctrine applies, “a person seeking to hold the

District of Columbia liable for negligence must allege and prove that the District

owed a special duty to the injured party, greater than or different from any duty

which it owed to the general public.” Id. at 719. “Absent a special relationship

between the District and an individual, no specific legal duty exists, and . . . a claim

of simple negligence will fail as a matter of law.” Woods v. District of Columbia,

63 A.3d 551, 553 (D.C. 2013) (cleaned up) (quoting Warren, 444 A.2d at 3, 4).

      We have recognized that there are “at least two ways to demonstrate the

existence of a ‘special relationship’” between the District and an individual. Turner

v. District of Columbia, 532 A.2d 662, 667 (D.C. 1987). First, a special relationship

      2
          Even in those cases the doctrine of sovereign immunity may insulate the
District from suit, though that doctrine is not at issue in this appeal. See generally
Powell v. District of Columbia, 602 A.2d 1123, 1126 (D.C. 1992).
                                          9

can be established by “(1) a direct . . . or continuing contact between the victim and

the governmental agency or official; and (2) a justifiable reliance on the part of the

victim.” Platt v. District of Columbia, 467 A.2d 149, 151 (D.C. 1983). To satisfy

the first prong of Platt, a plaintiff must show that the District made contact with the

injured party as an individual, not as part of a larger “segment of the public” such as

“residents of a particular neighborhood, or . . . students and faculty members at a

particular institution.” Varner v. District of Columbia, 891 A.2d 260, 276 (D.C.

2006). Further, the contact must be “different from the type of contact that the

District has with the general public.” Nealon v. District of Columbia, 669 A.2d 685,

693 (D.C. 1995); see also, e.g., Wanzer v. District of Columbia, 580 A.2d 127, 132

(D.C. 1990) (finding that a 911 call, while a contact with a private party, does not

“exceed the response generally made to other members of the public”).

      Second, a special relationship can be established, in the absence of direct or

continuing contact, via a statute or regulation that “describe[s] a special duty to a

particular class of individuals.” Turner, 532 A.2d at 667 (quoting Morgan v. District

of Columbia, 468 A.2d 1306, 1314 (D.C. 1983) (en banc)). To create such a duty, a

statute or regulation must contain “explicit language” protecting “members of a

particularized class.” District of Columbia v. Forsman, 580 A.2d 1314, 1317 (D.C.

1990); see also Hines v. District of Columbia, 580 A.2d 133, 138 (D.C. 1990)
                                           10

(“[P]ersons who are seriously ill or injured and who receive emergency medical

care” are not a particularized class because “[v]irtually every citizen . . . could find

himself or herself in need of assistance . . . at one time or another.”).

      While the public duty doctrine originated and developed as a judicially created

precept, in 2015, we granted en banc review to consider “whether the public duty

doctrine should continue to be recognized by this court.” See Allen v. District of

Columbia, 100 A.3d 63 (D.C. 2014), vacated pending en banc review,

2015 WL 5725532 (June 15, 2015); see also id. at 75, 95 (Easterly, J., dissenting)

(describing the doctrine as “analytically bankrupt” and calling for this court “to put

it to rest”). In response, and before the en banc court could consider whether the

doctrine should endure (possibly in some altered form), the D.C. Council intervened

and codified it into law in 2016. See D.C. Code § 5-401.02. In that legislation, the

Council “ratifie[d] the interpretation and application of the public duty doctrine by

the District of Columbia Court of Appeals up through the decision of September 25,

2014, in Allen v. District of Columbia, No. 10-CV-1425,” thereby insulating the

existing doctrine from our then-pending reconsideration. Id.

      The effect of § 5-401.02 is (1) to resuscitate Allen, which we had vacated

pending en banc review, as binding authority, and (2) to constrain this court from
                                          11

overruling public duty doctrine precedents up to and including that opinion, such

that we may not adopt new “exceptions” to the public duty doctrine that are

incompatible with those previous rulings. Section 5-401.02 does not otherwise

preclude us from further clarifying the contours of the doctrine in the same way we

ordinarily refine common-law rules.       Nor would § 5-401.02 prevent us from

endorsing a new exception to the public duty doctrine, so long as that exception can

be squared with our previous holdings.

                                         III.

      Hoodbhoy does not dispute that her claim against the District is for negligently

failing to protect Bhutto from harm. 3 Nor does she argue that she can demonstrate

a special relationship between the District and either herself or Bhutto under the

      3
        Hoodbhoy’s complaint—in relevant part—alleges that the District, “[a]s the
entity charged with the custody, care, control, and/or supervision of Mr. Jordan, . . .
had the right and/or ability to protect the public from harm,” but “fail[ed] to use
reasonable care to protect the public, including Mr. Bhutto, from harm caused by
Mr. Jordan.” On appeal, she repeatedly emphasizes that the gravamen of her case is
that the District was negligent because it “repeatedly violat[ed] a court order
explicitly intended to protect members of the public from someone the District knew
to be dangerous.”
                                          12

frameworks we articulated in Platt and Turner. 4 Instead, she urges us to adopt either

one or both of two proposed exceptions to the public duty doctrine, each of which

would permit her claims to proceed. First, Hoodbhoy suggests a “narrow exception

to the public duty doctrine where the government negligently exposes foreseeable

members of the public to harm by an inmate or patient [it] has reason to know is

dangerous.” Second, Hoodbhoy asks us to “hold that the public duty doctrine does

not apply when the District violates explicit public-safety provisions of a court order

that afford it no discretion in fulfilling its duties to the public.” We consider each

proposal in turn.

                                          A.

      We first consider Hoodbhoy’s request that we carve out “a narrow exception

to the public duty doctrine where the government negligently exposes foreseeable

      4
        We agree with Hoodbhoy on this point. As for Platt, Hoodbhoy alleges no
contact (direct, continuing, or otherwise) with the District on the subject of Jordan’s
release that was “different from the type of contact that the District has with the
general public.” Nealon, 669 A.2d at 693. Nor does Hoodbhoy allege that either
she or Bhutto justifiably relied on any representations made by the District with
regard to Jordan. See Morgan, 468 A.2d at 1315. As for Turner, even assuming that
a court order is the equivalent of a statute or regulation for purposes of the public
duty doctrine, the order here contains no “explicit language” describing any special
duty to protect a “particularized class.” Forsman, 580 A.2d at 1317.
                                         13

members of the public to harm by an inmate or patient [it] has reason to know is

dangerous.” As support for her proposed rule, Hoodbhoy points to Klahr, in which

we found that the public duty doctrine barred a failure-to-protect claim after the

District failed to properly supervise a resident in a government-run halfway house,

who then “escaped” and murdered two members of the public. 576 A.2d at 718-19.

In Klahr, we addressed a then-recent (though non-binding) case from the D.C.

Circuit, which had held the federal government liable after it negligently allowed a

patient with a history of deadly violence to escape hospital grounds and “brutally”

attack his wife. See White v. United States, 780 F.2d 97, 98, 100-01 (D.C. Cir. 1986).

We noted that the escapee in White, unlike in Klahr, had previously been charged

with a “serious crime” (murder of a police officer, for which he was acquitted by

reason of insanity) and was therefore “presumed by law to be dangerous.” Klahr,

576 A.2d at 720-21 & n.7. We then qualified our holding in Klahr, stating that “we

need not consider whether this court should create an exception to the public duty

doctrine when dangerous patients or inmates escape from confinement.” Id. at 721

(emphasis added). Hoodbhoy urges us to adopt a modified—and broader—version

of that exception now. 5

      5
        In addition to White, Hoodbhoy points to Smith v. Hope Village, in which
the federal District Court for the District of Columbia held that a privately run
halfway house had a duty to the foreseeable victims of an escapee who was a “violent
offender . . . with a long history of perpetrating burglaries.” 481 F. Supp. 2d 172,
                                         14

      To craft an exception to the public duty doctrine that would permit liability in

this case but not in Klahr, Hoodbhoy focuses on the concept of foreseeability. Her

primary argument is that, due to Jordan’s violent history, it was more foreseeable

here than in Klahr “that upon his release he might pose a danger” to the community.

Hoodbhoy also alludes to a further narrowing of this proposed carve-out—arguing

that it was especially foreseeable that Jordan would harm those individuals, like

Bhutto, who “lived in the same condominium complex” as he did.

      To the extent Hoodbhoy relies on the foreseeability of harm to the general

public, her proposed exception is incompatible with the public duty doctrine. Under

the public duty doctrine, the District may not be liable for negligently failing to

protect an individual from harm without a special relationship, such that the

District’s liability would be based not on a duty owed to the general public but on a

duty owed to the injured party as an individual. See, e.g., Flemmings v. District of

Columbia, 719 A.2d 963, 964 (D.C. 1998) (“[L]aw enforcement officials and,

consequently, state and municipal governments generally may not be held liable for

195 (D.D.C. 2007). But that case did not involve the public duty doctrine, as the
defendant was not a government entity. Indeed, the key reasoning in Smith, that
there was “no need to pinpoint with precise accuracy which individuals are owed a
duty by the defendant, so long as [the court] can identify a class of individuals who
might foreseeably be injured” because the defendant owed a duty to the “community
at large,” id. at 192-93, is fundamentally at odds with the public duty doctrine. See,
e.g., Klahr, 576 A.2d at 719.
                                          15

failure to protect individual citizens from harm caused by criminal conduct” unless

“there has been a special relationship between the District and the injured party,

coupled with a reliance by the injured party on that relationship.” (internal quotation

marks removed)); Hines, 580 A.2d at 136 (“[A] government and its agents owe no

duty to provide public services to particular citizens as individuals . . . absent some

‘special relationship’ between the government and the individual.”).

      Whether a special relationship exists turns on the distinction between duty to

protect the public-at-large and duty to protect the injured party, not on the existence

or nature of that duty in the abstract. In other words, no matter how obvious or great

the general danger—or how blameworthy the District’s omissions with regard to that

danger—the public duty doctrine bars liability in a failure to protect case absent a

showing that the District assumed a special duty to the injured party above and

beyond what it owed the general public. See Klahr, 576 A.2d at 720 (emphasizing

that the District had no “reason to believe that [the killer] posed a danger to the

[victims] any greater in degree than, or different in kind from, the danger he posed

to anyone else”); see also Wanzer, 580 A.2d at 132 (“It is not enough to allege

ineptitude, even shameful and inexcusable ineptitude, by a municipal agency.”). It

is of no import, for purposes of the public duty doctrine, whether Jordan’s history

made him more likely to commit violent acts in general.
                                         16

      Hoodbhoy’s narrower argument—that the greater risk to Jordan’s neighbors

created a special duty to those neighbors—raises a harder question because it

suggests a distinction between a class of individuals and the general public. 6 That

said, it would be the rare risk of public harm that was evenly distributed among all

subsets of the population. While it is likely true that Jordan posed a greater risk to

people living in the same condominium building than he did to the public at large,

the same could be said of the people who lived on his block, in his neighborhood,

near his work, in his quadrant, or even along the route of his commute.

      The mere fact that the injured party comes from a subset of the population that

was at higher risk of harm than the general public has never been enough, without

more, to satisfy the public duty doctrine’s requirement that the District owe a duty

to protect the injured party as an individual. See, e.g., Nealon, 669 A.2d at 693 (the

District’s decision to lower the water pressure in a neighborhood’s fire hydrants

rendered one of those hydrants inadequate to stop the spread of a residential fire in

that neighborhood); Forsman, 580 A.2d at 1317 (the District’s failure to enforce

      6
        Hoodbhoy does not necessarily need to show that this case fits within either
the Platt or the Turner framework. We have never held that those frameworks are
the exclusive means for demonstrating a special relationship. See Turner, 532 A.2d
at 667 (“[T]here are at least two ways to demonstrate the existence of a ‘special
relationship’ between the city and the injured party.” (emphasis added)).
                                           17

permitting requirements led to the collapse of a home because of an unpermitted

excavation); Platt, 467 A.2d at 150, 152 (the District’s decision to allow a movie

theater to continue operating despite certain building and fire code violations led to

the death of several members of the public in a fire). Hoodbhoy offers no argument

to distinguish her case from those precedents. Accordingly, we conclude that

Hoodbhoy’s first proposed exception to the public duty doctrine is incompatible with

our precedents, and that we are therefore barred from adopting it here.

                                           B.

      Next, Hoodbhoy urges us to “hold that the public duty doctrine does not apply

when the District violates explicit public-safety provisions of a court order that

afford it no discretion in fulfilling its duties to the public.” 7 This proposed exception

is also incompatible with our precedents. It is true that we have occasionally justified

the public duty doctrine by observing “the need for public employees to have broad

      7
        Hoodbhoy also appears to suggest a broader rule—to “limit the public duty
doctrine to the exercise of discretionary, as opposed to ministerial, functions.” For
the same reasons we reject Hoodbhoy’s narrower modification (applying only to
mandatory duties that are set forth in court orders), we also reject this broader
proposal.
                                           18

discretion in responding to” the demands of the public. 8 See, e.g., Powell, 602 A.2d

at 1128 n.5. Nonetheless, we have explicitly rejected the proposition that the public

duty doctrine applies solely to discretionary acts. See id. at 1127 (“The public duty

doctrine . . . is not based on sovereign immunity considerations, but rather on

whether, even if the acts involved are ministerial in nature, an actionable duty

exists.”); Hines, 580 A.2d at 137 (the public duty doctrine applies even though

emergency medical providers “do not exercise discretion in carrying out their

duties”); Miller v. District of Columbia, 841 A.2d 1244, 1248 (D.C. 2004) (the

public duty doctrine applies even where the breach in duty is a “negligent

misrepresentation of fact” rather than a “discretionary assessment of the rescue

scene”). Hoodbhoy points to no contrary precedent in which we have suggested that

a mandatory duty—if not defined as a duty to a particularized class as it was in

      8
         It is also true, as Hoodbhoy points out, that several other jurisdictions have
found that the public duty doctrine does not apply to mandatory (or “ministerial”)
functions. See, e.g., Williams v. Mayor & City Council of Baltimore, 753 A.2d 41,
59 (Md. 2000) (“[The public duty doctrine] applies to the discretionary acts of public
officials. It does not apply to public officials’ ministerial acts.”); J.L. v. Barnes, 33
A.3d 902, 916 (Del. 2011) (“[F]or the public duty doctrine to apply, the plaintiff’s
claims must be based upon the exercise of discretion on the part of the actor in his
or her official capacity.”); see generally Allen, 100 A.3d at 90-92 (Easterly, J.,
dissenting) (surveying the various reasons other jurisdictions have moved away from
the public duty doctrine as it exists in the District).
                                          19

Turner, 532 A.2d at 667—should be treated any differently under the public duty

doctrine than a discretionary one.

       Because Hoodbhoy cannot show that the District owed any duty to her or to

Bhutto beyond what it owed the general public, the public duty doctrine bars her

claims. 9

                                         IV.

       We affirm the Superior Court’s judgment.

                                                                          So ordered.

       EASTERLY, Associate Judge, concurring: Before Hilman Jordan killed

Professor Jawaid Bhutto, the husband of appellant Nafisa Hoodbhoy, the

government (according to the allegations in Ms. Hoodbhoy’s complaint, which we

must accept as true at this juncture) both knew Mr. Jordan could kill someone and

       9
        Because we agree with the trial court that Hoodbhoy’s claims would still be
barred by the public duty doctrine even had she been permitted to amend her
complaint, we conclude that the trial court did not abuse its discretion in denying her
leave to do so.
                                          20

knew it had specific obligations to supervise him while he was out in the community.

Mr. Jordan had already shot and killed another person, had been committed to a

psychiatric hospital for decades, had previously been conditionally released only to

be rehospitalized after he obtained a gun with the apparent intent to use it to kill an

acquaintance, and was only again released into the community on special conditions

and subject to court-ordered supervision by District agents. But this time the District

failed to fulfill its court-ordered obligations and Mr. Jordan killed again, shooting

Professor Bhutto multiple times in the parking lot of his condominium building.

Because of the public duty doctrine that this court created out of whole cloth decades

ago and the Council of the District of Columbia recently codified in D.C. Code

§ 5-401.02 after this court signaled it might retire the doctrine, Ms. Hoodbhoy cannot

seek to hold the District accountable for its alleged failure to protect her husband

from the danger that Mr. Jordan posed—“no matter how obvious or great” that

danger, “or how blameworthy the District’s omissions with regard to that danger”

were. See ante at 15.

      Although I acknowledge this court is bound by our public duty doctrine, I

continue to view it as “analytically bankrupt,” see Allen v. District of Columbia, 100

A.3d 63, 75 (D.C. 2014) (Easterly, J., dissenting), vacated pending en banc review,

2015 WL 5725532 (June 15, 2015), and I find no reassurance in its codification by
                                           21

the Council, which took place with little or no debate. But the doctrine, even as

legislatively blessed, has its limits. It does not, for example, apply to “acts of

ordinary negligence,” “for which anyone—police or civilian—would be liable.”

Warren v. District of Columbia, 444 A.2d 1, 7-8 (D.C. 1981) (en banc). And where

its reach is unclear, this court should not look to expand it. We should decline to

apply the doctrine to claims of negligence that arise from various duties other than

the duty to protect and we should freely exercise our authority to recognize

additional exceptions to the doctrine where appropriate and compatible with our

previous holdings. See ante at 11; cf. Allen, 100 A.3d at 65 (noting that the special-

duty exception was but “an exception to the doctrine” (emphasis added)); Klahr v.

District of Columbia, 576 A.2d 718, 721 (D.C. 1990) (acknowledging the court’s

ability to “create an exception to the public duty doctrine” but declining to do so in

that case). After all, whether and when to insulate executive branch actors from

judicial scrutiny and civil liability for acts that are negligent (or worse) are

fundamentally questions of public policy that are supposed to be decided by the

legislature, which, after public debate and input, enacts laws that reflect the will of

the community. Although we are constrained to affirm the application of the public

duty doctrine in this case, this court should act with the utmost restraint in applying

the public duty doctrine beyond its preexisting boundaries and let the Council decide

if access to the courts to hold the District and its agents accountable should be further
              22

restricted.