Court Opinion

ID: 4691270
Source: CourtListenerOpinion
Date Created: 2021-05-28 20:00:37.211174+00
Date Added: 2024-06-11T08:05:07.291818
License: Public Domain

RECOMMENDED FOR PUBLICATION
                                Pursuant to Sixth Circuit I.O.P. 32.1(b)
                                       File Name: 21a0123p.06

                    UNITED STATES COURT OF APPEALS
                                  FOR THE SIXTH CIRCUIT

 FREDDIE GARLAND,                                            ┐
                                   Plaintiff-Appellant,      │
                                                             │
                                                              >        No. 20-1527
        v.                                                   │
                                                             │
                                                             │
 ORLANS, PC; LINDA M. ORLANS; ALISON ORLANS,                 │
                             Defendants-Appellees.           │
                                                             ┘

                         Appeal from the United States District Court
                        for the Eastern District of Michigan at Detroit.
                 No. 2:18-cv-11561—Denise Page Hood, Chief District Judge.

                                    Argued: March 10, 2021

                               Decided and Filed: May 28, 2021

             Before: McKEAGUE, GRIFFIN, and NALBANDIAN, Circuit Judges.
                                _________________

                                            COUNSEL

ARGUED: Andrew J. McGuinness, ANDREW J. MCGUINNESS, ESQ., Ann Arbor,
Michigan, for Appellant. I.W. Winsten, HONIGMAN LLP, Detroit, Michigan, for Appellees.
ON BRIEF: Andrew J. McGuinness, ANDREW J. MCGUINNESS, ESQ., Ann Arbor,
Michigan, for Appellant. I.W. Winsten, Andrew W. Clark, HONIGMAN LLP, Detroit,
Michigan, for Appellees.
                                      _________________

                                             OPINION
                                      _________________

       NALBANDIAN, Circuit Judge. Orlans, PC, a law firm acting on behalf of Wells Fargo
Home Mortgage Inc., sent a letter on law-firm letterhead to Freddie and Linda Garland. The
letter said Wells Fargo had referred the Garlands’ loan to Orlans for foreclosure. But the letter
 No. 20-1527                                 Garland v. Orlans, PC, et al.                 Page 2

also said that “[w]hile the foreclosure process ha[d] begun,” “foreclosure prevention
alternatives” might still be available if the Garlands reached out to Wells Fargo. (R. 1, Letter,
PageID 28.) It informed the Garlands that Wells Fargo might have already sent a letter about
possible alternatives, and it explained how the Garlands could contact Wells Fargo “to attempt to
be reviewed for possible alternatives to foreclosure.” (Id.) The letter’s signature was typed and
said, “Orlans PC.” (Id.)

       Freddie Garland says that the letter confused him because he was unsure if it was from an
attorney. And he says that the letter “raised [his] anxiety” by suggesting “that an attorney may
have conducted an independent investigation and substantive legal review of the circumstances
of his account, such that his prospects for avoiding foreclosure were diminished.”          (R. 1,
Complaint, PageID 9.)

       Garland alleges that Orlans sent a form of this letter to tens of thousands of homeowners
and that it did so without having any attorney provide a meaningful review of the homeowners’
foreclosure files, so the communications deceptively implied they were from an attorney. Both
the Fair Debt Collection Practices Act (FDCPA) and Michigan’s Regulation of Collections
Practices Act (RCPA) prohibit misleading debt-collection communications that falsely represent
or imply they are from an attorney. Garland brought class-action claims under both acts against
Orlans and its principals.1

       The district court dismissed Garland’s FDCPA claim and declined to exercise
supplemental jurisdiction over his RCPA claim. We AFFIRM, but on grounds that differ from
those articulated by the district court. Simply put, Garland lacks standing to assert either of his
claims, so we lack jurisdiction.

                                                           I.

       To sue in federal court, a plaintiff must have standing under Article III of the
Constitution, which “limits the judicial power to resolving actual ‘Cases’ and ‘Controversies.’”
Buchholz v. Meyer Njus Tanick, PA, 946 F.3d 855, 860 (6th Cir. 2020). The oft-repeated

       1
           We refer to the defendants collectively as Orlans.
 No. 20-1527                           Garland v. Orlans, PC, et al.                           Page 3

constitutional standing test has three elements: “The plaintiff must have (1) suffered an injury in
fact, (2) that is fairly traceable to the challenged conduct of the defendant, and (3) that is likely to
be redressed by a favorable judicial decision.” Spokeo, Inc. v. Robins, 136 S. Ct. 1540, 1547
(2016). Garland runs into trouble under the first two factors.

                                                  A.

        To have standing, a plaintiff must have suffered an injury in fact—“an invasion of a
legally protected interest which is (a) concrete and particularized and (b) actual or imminent, not
conjectural or hypothetical.” Lujan v. Defs. of Wildlife, 504 U.S. 555, 560 (1992) (citations and
internal quotation marks omitted). Garland’s complaint asserts that Orlans violated the RCPA
and FDCPA by sending misleading letters that confused him and made him anxious. None of
the “injuries” that we can tease out of Garland’s complaint satisfy standing’s concreteness
requirement.

        Garland’s complaint alleges statutory violations that led to confusion and increased
anxiety. The FDCPA and the RCPA both create causes of action against collectors who violate
their provisions. One might think that a clear statutory directive to open the doors to court would
be enough for standing. Not so. Because standing is a constitutional requirement, the fact that a
statute purports to create a cause of action does not in isolation create standing. A plaintiff
asserting a procedural claim (like an FDCPA violation) cannot bring a claim unless she has
suffered a concrete injury of some kind.

        In Spokeo, the Supreme Court addressed the concrete-injury requirement and said three
important things for resolving the question of concreteness in Garland’s case. First, the Court
explained that although concrete injuries are “‘real’ and not ‘abstract,’” they are not necessarily
tangible—intangible injuries can sometimes be concrete. Spokeo, 136 S. Ct. at 1548 (citations
omitted).

        Second, the Court crafted a framework for examining whether intangible injuries are
concrete. Id. at 1549. When trying to determine whether an intangible injury qualifies, Spokeo
says that we should look to history and congressional judgment. Id. If an “alleged intangible
harm has a close relationship to a harm that has traditionally been regarded as providing a basis
 No. 20-1527                          Garland v. Orlans, PC, et al.                         Page 4

for a lawsuit,” then it is likely sufficient. Id. Similarly, where Congress says a harm satisfies
Article III, the harm likely does for two reasons: 1) “Congress is well positioned to identify
intangible harms that meet minimum Article III requirements,” and 2) Congress has the power to
permissibly make some injuries “previously inadequate in law” constitutionally “cognizable.”
Id. (citation omitted). The Court, however, was quick to note that Congress’s “role in identifying
and elevating intangible harms does not mean that a plaintiff automatically satisfies the injury-in-
fact requirement whenever a statute grants a person a statutory right and purports to authorize”
suit. Id.

        Third, Spokeo specifically explained how courts should deal with plaintiffs who allege a
violation of a statute that purports to create a cause of action. Statutory violation plaintiffs can
show concrete injury in one of two ways. Id. First, a plaintiff can show a concrete harm
(if intangible, using the principles just explained) flowing from the violation. See id. Second, in
some cases a plaintiff could show that the procedural violation alone was enough with no other
showing of harm. Id. But the Court limited this second category to cases in which a plaintiff can
show 1) that Congress created the statutory right to protect a concrete interest (if intangible,
applying the principles just explained) and 2) the violation creates a “risk of real harm” to that
concrete interest. Id.

        Thus under Spokeo, Garland has standing if his complaint sufficiently alleges that
1) Orlans’s suspected FDCPA and RCPA violations caused him concrete harm or 2) the
violations in and of themselves create standing because Congress “conferred the procedural right
to protect a plaintiff’s concrete interests and the procedural violation presents a material risk of
real harm to that concrete interest.” Macy v. GC Servs. Ltd. P’ship, 897 F.3d 747, 756 (6th Cir.
2018). We need only address the first possibility because Garland’s complaint did not allege that
the violations are enough in isolation due to risk of harm. Compare Macy, 897 F.3d at 761
(explaining that “a risk-of-harm analysis” is unnecessary when “no risk of harm was alleged”),
with Donovan v. FirstCredit, Inc., 983 F.3d 246, 251 (6th Cir. 2020) (explaining that a risk-of-
harm analysis was necessary “because Donovan’s alleged injury is based on the risk” of harm
(emphasis omitted)). And the risk-of-harm inquiry is the only way under Spokeo to show that a
statutory violation by itself is a concrete injury. 136 S. Ct. at 1549.
 No. 20-1527                              Garland v. Orlans, PC, et al.                                 Page 5

        So the question that we resolve is whether Garland has sufficiently alleged that the
statutory violations caused him individualized concrete harm. And here his allegations come up
short. Garland’s alleged injuries are not concrete enough to support standing. Garland’s
complaint alleges two injuries—confusion and anxiety. Both are intangible, so we analyze them
under Spokeo’s intangible-harm framework.

        We can dispense with confusion easily under Spokeo. Confusion does not have “a close
relationship to a harm that has traditionally been regarded as providing a basis for a lawsuit.”
Spokeo, 136 S. Ct. at 1549. And Garland has not shown us that anything in the RCPA and
FDCPA suggests that the legislatures2 intended to make confusion cognizable. We have no
difficulty joining the Seventh Circuit in holding that “the state of confusion is not itself an
injury.” Brunett v. Convergent Outsourcing, Inc., 982 F.3d 1067, 1068 (7th Cir. 2020).

        The anxiety analysis is not as easy, but Garland’s anxiety allegation also fails. This is not
the first time this court has considered an attorney-letterhead allegation of anxiety. In Buchholz,
this court held that a similar attorney-letterhead plaintiff lacked standing because 1) fear of future
harm not certainly impending is not an injury in fact and 2) his injury was not traceable to the
defendant’s conduct. 946 F.3d at 865-67. In that case, the panel majority also questioned
whether a bare allegation of anxiety could be a concrete injury-in-fact at all. Id. at 863-65.
Though we did not answer that question in Buchholz, today we do.

        The plaintiff in Buchholz, Gustav Buchholz, received two letters from a law firm (on firm
letterhead and signed by an attorney) that said a bank had retained the firm to collect two debts.
Id. at 859-60. The letters did not threaten legal action. Id. at 860. Buchholz sued, alleging that
the firm processed too many collection letters to have meaningfully reviewed the claims against
him and “the letters made him feel anxious and fear that [the firm] would sue him if he did not
promptly pay.” Id. at 859. He did not dispute the debts. Id.

        2
          Spokeo speaks only to the judgment of the United States Congress that a harm should be cognizable before
federal courts. So it is unclear what role (if any) state legislatures play in the Spokeo framework. We need not
closely analyze this riddle here though because it does not appear that either legislative body intended to make
confusion a compensable harm.
 No. 20-1527                                Garland v. Orlans, PC, et al.                                    Page 6

         Faced with these facts, the Buchholz panel held that Buchholz did not have standing. In
so doing, it made three noteworthy moves. First, it expressed doubt that a “bare allegation of
anxiety” could ever qualify as a concrete injury. Id. at 863. An unadorned assertion of anxiety
seemed unlike any cognizable common-law harm, and the panel was “reluctant to find that” the
Supreme Court’s conclusion “that an allegation of a ‘bare procedural violation’ cannot satisfy
Article III” could “be undone by the simple addition of one word to a pleading.” Id. at 865; see
also Thomas v. TOMS King (Ohio), LLC, — F.3d —, No. 20-3977, 2021 WL 1881380, at *3
(6th Cir. May 11, 2021) (“After Spokeo, we know there is no such thing as an ‘anything-hurts-
so-long-as-Congress-says-it-hurts theory of Article III injury.’” (quoting Huff v. TeleCheck
Servs., Inc., 923 F.3d 458, 463 (6th Cir. 2019))). Second, it determined that Buchholz’s alleged
anxiety was not an injury in fact because fear of future harm is cognizable only when the feared
harm is “certainly impending.” Buchholz, 946 F.3d at 865 (quoting Clapper v. Amnesty Int’l
USA, 568 U.S. 398, 410 (2013)). Buchholz’s injury wasn’t sufficient because he only alleged
fear that the law firm might sue at some point in the future if he did not pay. Id. He had not
alleged that the letter threatened suit or that he would not pay the debt; he had merely alleged a
fear of something that might or might not happen. Id. at 865. Third, the panel went through the
Spokeo intangible-injury framework to reach the same conclusion—the letter had not caused
Garland a concrete intangible harm.3

         Buchholz and Spokeo create an insurmountable barrier for Garland because a bare
allegation of anxiety is not a cognizable, concrete injury.                     Buchholz all but reaches this
conclusion. See 946 F.3d at 864-65 (“Buchholz’s failure to allege anything other than anxiety
makes us skeptical about whether he has established an injury in fact. . . . Nevertheless, we need

         3
           Although some parts of Buchholz appear framed as if the panel intended to analyze whether the procedural
violation in isolation was concrete enough to be an injury in fact, the decision never gets to the Spokeo risk-of-harm
analysis required to assess whether a procedural violation in isolation counts as a concrete injury. See Macy,
897 F.3d at 756 (explaining that there is a concrete injury under Spokeo “where the violation of a procedural right
granted by statute is sufficient in and of itself . . . because Congress conferred the procedural right to protect a
plaintiff’s concrete interests and the procedural violation presents a material risk of real harm to that concrete
interest”). Rightfully so. Buchholz had only alleged that the FDCPA violation had caused him a personal
concrete—although intangible—harm. Buchholz, 946 F.3d at 859 (“[H]e alleges that the letters made him feel
anxious and fear that [the law firm] would sue him . . . .”). And so the Buchholz panel did not need to do the risk-of-
harm analysis for the same reason we decline to do so today; the complaint did not allege the statutory violation
should be enough given a real risk to a congressionally contemplated harm. See Macy, 897 F.3d at 761 (stating that
“a risk-of-harm analysis” is unnecessary when “no risk of harm was alleged”).
 No. 20-1527                                Garland v. Orlans, PC, et al.                                   Page 7

not decide whether a bare anxiety allegation, in the abstract, fails to satisfy the injury-in-fact
requirement.”). And we now close the loop Buchholz left open. A bare anxiety allegation is not
the key to federal court for three reasons.

         First, a bare allegation of anxiety is an intangible harm without “a close relationship to a
harm that has traditionally been regarded as providing a basis for a lawsuit.” Spokeo, 136 S. Ct.
at 1549. Buchholz’s reasoning on this point is persuasive. See 946 F.3d at 863-65. While it is
true that one could classify some forms of cognizable common-law harms as “anxiety,” there is
only a loose nexus between common-law harms and a bare allegation of anxiety for a simple
reason. Anxiety—a form of emotional harm—comes in many different shapes and sizes, and so
a bare allegation of anxiety doesn’t tell us much. Some forms of anxiety or emotional harm are
cognizable under the common law, but others are not. And this distinction appears to turn on
both the defendant’s conduct giving rise to the anxiety and the anxiety’s severity.

         As described in Buchholz, the closest common-law analogues about “psychological
injuries” emphasize the “extreme” or “outrageous” nature of the underlying conduct causing the
harm.4 946 F.3d at 864 (citation omitted). And that severely curtails the harms cognizable at
common law by defining that harm narrowly. While “[a] great deal of conduct may cause
emotional harm, . . . the requisite conduct for [these potential common-law analogues]—extreme
and outrageous—describes a very small slice of human behavior.”                           Id. (first alteration in
original) (quoting Restatement (Third) of Torts: Physical & Emotional Harm § 46 cmt. a (Am. L.

         4
           In some ways, it may seem odd to discuss the underlying conduct giving rise to a claim in analyzing
whether a “harm” is closely related to one sufficient at common law. Spokeo, 136 S. Ct. at 1549. But when setting
forth the intangible-harm framework, Spokeo uses the term “harm” in a broad sense to refer to actionable injury—an
injury that “has traditionally been regarded as providing a basis for a lawsuit.” Id. That concept turns both on a
defendant’s conduct and how that conduct impacts a plaintiff. See id. (noting Congress’s ability to “define injuries
and articulate chains of causation that will give rise to a case or controversy where none existed before” thus
elevating those injuries “to the status of legally cognizable” when describing the “intangible harm” analysis
(citations omitted)); id. (noting “Congress is well positioned to identify intangible harms” when it crafts statutory
causes of action); id. (grounding the common-law-analogue inquiry in “the case-or-controversy requirement”); see
also Muransky v. Godiva Chocolatier, Inc., 979 F.3d 917, 931-32 (11th Cir. 2020) (en banc) (analyzing whether
FACTA violation was similar to the “common-law breach of confidence tort” by looking to the elements of that tort
such as the disclosure of information to a third party); Kamal v. J. Crew Grp., Inc., 918 F.3d 102, 114 (3d Cir. 2019)
(analyzing whether a procedural violation had a close relationship with “common law privacy torts and an action for
breach of confidence”). We are mindful of course, that the common-law analogue need not be on all fours with the
statutory harm. So while these are relevant considerations, a plaintiff is not required to show that the alleged harm
would have supported a common-law cause of action. A “close relationship” is all that is required. Spokeo, 136 S.
Ct. at 1549.
 No. 20-1527                            Garland v. Orlans, PC, et al.                             Page 8

Inst. 2012)). And a “bare procedural violation” does not fit on that small slice. Id. at 865
(citation omitted). Moreover, a general allegation of emotional harm like anxiety or distress falls
“short of cognizable injury as a matter of general tort law,” id. at 864, because “liability [for
emotional harm] arises” “only where it is extreme,” id. (quoting Restatement (Second) of Torts
§ 46 cmt. j (emphasis added)). A bare anxiety allegation says nothing about severity. Someone
who feels slightly nervous has not suffered the type of severe emotional harm cognizable at
common law. Were that so, “everyone would have standing to litigate about everything.”
Brunet, 982 F.3d at 1068.

        Second, Garland has not shown us that anything in the RCPA and FDCPA suggests that
the legislatures intended to make anxiety cognizable. Rather, he simply argues that the alleged
violation here implicates a harm contemplated by Congress5 because Congress intended the
FDCPA to prevent abusive debt collection practices like communications that falsely imply they
are from attorneys. But a legislature’s attempt to prohibit a certain form of conduct—here,
misleading communications—doesn’t tell us anything about whether a legislature intended to
elevate the intangible injury Garland alleges—anxiety—to make it a cognizable harm in federal
court. Simply put, neither act creates a cause of action for anxiety.

        Third, Garland’s anxiety is too speculative to qualify as an injury in fact because it is
merely a fear of a future harm that is not “certainly impending”—an injury insufficient under
Supreme Court precedent. Clapper, 568 U.S. at 410. In his complaint, Garland claimed that the
appearance that the Orlans letter was from an attorney “raised [his] anxiety” and “suggested . . .
that an attorney may have conducted an independent investigation” of his case “such that his
prospects for avoiding foreclosure were diminished.” (R. 1, Complaint, PageID 9.) So his
ultimate fear was foreclosure. But while the letter stated that the foreclosure process was
underway, the letter (just like Buchholz’s) threatened nothing. (R. 1, Letter, PageID 28.) In fact,
the Orlans letter contained good news—although the foreclosure process is underway, it may not
be too late to avoid foreclosure. So Garland’s ultimate fear, foreclosure, was not “certainly
impending.” The whole point of the letter was that he might be able to avoid that fear.

        5
        He does not make an argument about the harm contemplated by the Michigan Legislature when it passed
the RCPA.
 No. 20-1527                          Garland v. Orlans, PC, et al.                            Page 9

       Because bare allegations of confusion and anxiety do not qualify as injuries in fact,
Garland’s injuries cannot create standing.

                                                 B.

       Garland’s anxiety allegation also fails standing’s traceability requirement.            Standing
requires “a causal connection between the injury and the conduct complained of,” which means
that the injury is “fairly . . . trace[able] to the challenged action of the defendant,” not
some “independent action of some third party.”           Lujan, 504 U.S. at 560 (alterations in
original) (citation omitted).   Self-inflicted injuries fail under this prong because they are,
“by definition, . . . not traceable to anyone but the plaintiff.” Buchholz, 946 F.3d at 866.

       Garland’s complaint runs into trouble under Buchholz here as well. In Buchholz, we held
that Buchholz’s allegations were self-inflicted and thus not traceable to the law firm’s letter. Id.
at 866-67. We explained that Buchholz did not dispute his debts or allege the letter contained
inaccurate information. Rather, he had merely alleged that he was anxious about the possible
consequences of refusing to pay his debts—possible legal action “if prompt payment was not
made.” Id. at 867 (citation omitted). And we concluded that “[t]he cause of that anxiety falls
squarely on Buchholz because he chose not to pay his debts—and now fears the consequences of
his delinquency. Id. So . . . the anxiety that Buchholz allege[d] is not traceable to anyone but
him.” Id. The only thing the letter had done was remind him that his creditors had not forgotten
him. Id.

       The substantial overlap between Buchholz and this case decides this issue. Garland, like
Buchholz, owed a debt and faced possible consequences for failing to pay. Both received a
letter. Buchholz’s said that a firm had been retained to collect his debt. And Garland’s said that
the foreclosure process was underway and might be avoided. Both felt anxious. Buchholz
worried that his creditor might sue if he didn’t pay. And Garland feared foreclosure was more
likely because of attorney involvement. The fear in both cases is rooted in the fact of default, not
the letters received. As in Buchholz, Garland’s letter didn’t say anything to support the alleged
fear. Just like Buchholz’s letter did not threaten suit, Garland’s said nothing that suggested that
 No. 20-1527                               Garland v. Orlans, PC, et al.                                Page 10

foreclosure was more likely because of attorney involvement. In fact, Garland’s letter contained
good news—foreclosure alternatives might be available.

        Simply stated, “the anxiety [Garland] alleges is not because of anything [Orlans] wrote.”
Id. Whether from the pen of an attorney or not, the letter said nothing that even remotely
implied Garland’s chance of avoiding foreclosure was “diminished.” (R. 1, Complaint, PageID
9.) Indeed, the letter took no position on that issue; it just said alternatives might be available if
Garland contacted his lender.

        “The cause of” Garland’s ultimate fear of foreclosure “falls squarely on” his own
shoulders “because he chose not to pay his debts” and “fear[ed] the consequences of his
delinquency.” Buchholz, 946 F.3d at 867. Ultimately, Garland’s anxiety, like Buchholz’s, “is
not traceable to anyone but him.” Id. And so he “cannot establish standing based on his
allegations of anxiety.”6 Id.

                                                        II.

        Because Garland lacks standing to assert his statutory claims, we lack jurisdiction.
We AFFIRM dismissal.

        6
            Garland’s confusion allegation likely does not run into the same traceability problems. But that
possibility doesn’t mean Garland has standing. Confusion is insufficiently concrete to support standing for reasons
already explained.