Friday, July 7, 2017
ABA SIL YIR on Legal Education
The International Legal Education and Specialist Certification Committee of the American Bar Association Section of International Law has published an update of ABA Standards and other data regarding international legal education in U.S. law schools. Excerpted below, the full article is available (login required) at https://www.americanbar.org/groups/international_law/publications/the_year_in_review/51-yir-articles-by-committee.html.
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International Legal Education and Specialist Certification
Marissa Moran, Diane Penneys Edelman, and Richard Peltz-Steele
Introduction:
The American Bar Association (ABA) promulgates rules and regulations that apply to all United States law schools with ABA-accreditation and approval. Those rules apply specifically to schools offering programs leading to a J.D. degree. In August 2016, the ABA Council approved certain changes to the ABA Standards and Rules of Procedure for Approval of Law Schools, which became effective on August 9, 2016.1 The changes affected not only J.D. programs, but also study abroad programs offered by ABA member schools.
Outline:
I. Amendments to American Bar Association Criteria Relating to Foreign Programs
A. Summer and Intersession Programs
B. Student Study at a Foreign Institution
II. First-Year Courses That Focus on International or Comparative Law
Monday, June 26, 2017
Supreme Court chooses free exercise over anti-establishment today; does status-use distinction remain viable?
The U.S. Supreme Court ruled this morning in favor of the church
in the religious freedom case about public subsidy of playground
surfacing materials. The Court held that Trinity Lutheran (Mo.) could
not be excluded from the program to provide recycled tire rubber only because it is a church.
There is some strong religious freedom language in the majority opinion. From The Washington Post: <<Chief Justice John G. Roberts Jr., who authored the opinion, wrote, “The exclusion of Trinity Lutheran from a public benefit for which it is otherwise qualified, solely because it is a church, is odious to our Constitution … and cannot stand.”>>
The vote was 7-2 with Justices Ginsburg and Sotomayor in dissent.
The majority found the case rather easy, because Trinity Lutheran was excluded from a public program only because of its status as a church. A discrimination on that basis alone can be supported only under the most exacting scrutiny, which Missouri could manage. The Court left open the possibility that government discrimination against a church might be permissible, upon a much lesser burden, if a public benefit were to be converted to a religious use.
I
point this out--and mention the case at all, as much more able commentators will opine in droves in the hours and days to come--only to highlight an intriguing (and telling?)
paragraph in a separate opinion by new Justice Gorsuch, concurring, joined by Justice Thomas (citations omitted):
In contrast, in another concurring opinion, Justice Breyer would have sharply limited the case to its facts.
The full decision and opinions in Trinity Lutheran Church of Columbia, Inc., v. Comer (no, not Comey, but a Missouri official, Comer) are available online.
There is some strong religious freedom language in the majority opinion. From The Washington Post: <<Chief Justice John G. Roberts Jr., who authored the opinion, wrote, “The exclusion of Trinity Lutheran from a public benefit for which it is otherwise qualified, solely because it is a church, is odious to our Constitution … and cannot stand.”>>
The vote was 7-2 with Justices Ginsburg and Sotomayor in dissent.
The majority found the case rather easy, because Trinity Lutheran was excluded from a public program only because of its status as a church. A discrimination on that basis alone can be supported only under the most exacting scrutiny, which Missouri could manage. The Court left open the possibility that government discrimination against a church might be permissible, upon a much lesser burden, if a public benefit were to be converted to a religious use.
Justice Gorsuch |
[T]he Court leaves open the possibility a useful distinction might be drawn between laws that discriminate on the basis of religious status and religious use. Respectfully, I harbor doubts about the stability of such a line. Does a religious man say grace before dinner? Or does a man begin his meal in a religious manner? Is it a religious group that built the playground? Or did a group build the playground so it might be used to advance a religious mission? The distinction blurs in much the same way the line between acts and omissions can blur when stared at too long, leaving us to ask (for example) whether the man who drowns by awaiting the incoming tide does so by act (coming upon the sea) or omission (allowing the sea to come upon him)....
I don’t see why it should matter whether we describe that benefit, say, as closed to Lutherans (status) or closed to people who do Lutheran things (use). It is free exercise either way.
In contrast, in another concurring opinion, Justice Breyer would have sharply limited the case to its facts.
The full decision and opinions in Trinity Lutheran Church of Columbia, Inc., v. Comer (no, not Comey, but a Missouri official, Comer) are available online.
Tuesday, June 6, 2017
Exemplary court decision pries open 50-year-old murder investigation
Transparency (FOIA, open records, sunshine) advocates,
public information officers, and judges hearing FOIA cases throughout the
United States should heed a straightforward and concise decision this spring from
the Arkansas Supreme Court, per Justice Rhonda K. Wood, concerning ongoing police
investigations. The case is Arkansas State Police v. Keech Law Firm, P.A.,
No.
16-545 (Ark. Apr. 20, 2017). Bonus:
the case comes with interesting, if tragic, facts.
In 1963, the murder of Harding College (now University) alumna
and English Professor Ruby Lowery Stapleton shocked the community of Searcy,
Arkansas. According to the Harding College Bulletin, Stapleton was believed taken
from a self-service laundry in Searcy, Arkansas. Federal and state law enforcement officers
and Harding volunteers searched for her for 11 days, and Harding offered a
$1,000 reward for information leading to her detection. Her body was found by a squirrel hunter in a dry
creek bed 15 miles from the laundry. Stapleton
was survived by her husband and two children.
Professor Ruby Stapleton in the Harding College Bulletin, October 1963
Stapleton’s murder remains unsolved. Fifty years later, in November 2013, family
members sought access to the Arkansas State Police case file on the Stapleton
murder. The request spurred brief police
re-engagement with the cold case, apparently to no avail. Police refused access to the file under the
ongoing investigation exemption of the
Arkansas Freedom of Information Act.
After in camera review of the
file, the Arkansas Circuit Court rejected the police theory and ordered the
file disclosed. The Arkansas Supreme
Court affirmed.
Ongoing investigation exemptions are a FOIA universal across
the state and federal sunshine statutes.
The public policy supporting them is hardly disputed: police
investigations require secrecy, lest evidence be compromised or suspects tipped
off. At the same time, transparency is
nowhere more urgent a policy priority than when counterpoised with the enormity
of state police power to curtail liberty and even life. This balance proves exceptionally difficult
to achieve. Cases vary broadly in their
particulars, and judicial determinations are profoundly fact driven.
Therefore, though the language of ongoing investigation
exemptions varies considerably, the question usually boils down to a court’s
willingness to defer to, or to second-guess, police discretion. The Arkansas statute provides a good example
of the textual variability, because the statute actually protects only “undisclosed”
police records against disclosure. But
that nonsensical oddity has long been construed by the state courts to mean “ongoing
investigation,” in conformance with multistate FOIA norms.
In practice, on the whole across the states, courts tend to err
on the side of secrecy. To the
frustration of journalists especially, no local judge wants to be responsible
for obstructing or derailing a criminal investigation. Thus law enforcement officials are frequently
able to prolong the secrecy surrounding an investigation file well beyond arrest—to
charge, to trial, even to exhaustion of appeals. In fact, criminal investigation files might
remain sealed indefinitely, while co-conspirators remain at large—or crimes
remain unsolved.
Despite judicial patience that sometimes seems inexhaustible,
the imperative of accountability for law enforcement weighs heavily against
indefinite secrecy. The Arkansas Supreme
Court quoted a
treatise on the Arkansas FOIA co-authored by John J. Watkins, Robert E. Steinbuch,
and myself:
Police and prosecutors should not be permitted to apply this exemption as a matter of course until conviction or acquittal, or indefinitely until a charge is brought, if there is no genuine interest in enduring secrecy. To do so would excessively insulate the government against legitimate probes by the public and media into the performance of law-enforcement functions, even apart from the disadvantage to criminal defendants.
Long-cold cases such as the Stapleton murder squarely present
this problem. In reviewing the
investigation file in camera in 2014,
the Arkansas Circuit Court found “sparse activity” since 1965. Police cited no documentary evidence of
ongoing investigation from 1965 until the filing of the family’s FOIA request. The Arkansas Supreme Court summed up the case
simply: “This is a 54-year-old murder case. No charges have been brought or
appear to be imminent. The victim’s
family and the public are entitled to know how the officials in this case, i.e., law enforcement, performed their
duties.”
In the course of its concise analysis, the Court reiterated several
points of best practices in FOIA compliance and dispute resolution. These are multistate principles that warrant
review.
- A FOIA should be construed liberally to accomplish the objective of transparency.
- Inversely, FOIA exemptions should be construed narrowly to accomplish the objective of transparency.
- As usual in litigation, questions of law and interpretation of a FOIA are subject to de novo appellate review.
- A trial court should conduct in camera review of disputed records to determine the applicability of a statutory exemption from disclosure.
The Arkansas Supreme Court stated moreover another solid practice
point that had been lacking in state precedent:
Also as usual in litigation, questions of fact in a FOIA analysis are
subject to the more deferential appellate standard of review, clear error. As the Court observed, application of an ongoing
investigation exemption is especially prone to generate a question of fact, as a
qualitative, if not quantitative, assessment of purported police investigative
activity is part and parcel of the analysis.
In the Stapleton FOIA case, the Court applied the clear error standard
to defer to the circuit court’s assessment of the 1965-2014 police file.
As the Arkansas Court wrote, “A finding is clearly erroneous
when the appellate court is left with a definite and firm conviction that a
mistake has been committed.” Or as the
Seventh Circuit famously wrote in 1988: “To be clearly erroneous, a
decision must strike us as more than just maybe or probably wrong; it must, as
one member of this court recently stated during oral argument, strike us as
wrong with the force of a five-week-old, unrefrigerated dead fish.” A finding that is not clearly erroneous should
be left undisturbed.
Finally, full disclosure and point of privilege: Justice
Wood, who authored this case for the Arkansas Supreme Court, was a law
student, and then later a dean, when I taught at the University of Arkansas at
Little Rock Law School. She has shined in
her career as lawyer, academic, and judge, undoubtedly owing to her unyielding integrity,
character, and intellect—and decidedly owing in no part to me. Nevertheless, I assert pride by virtue of
mere association.
Wednesday, May 31, 2017
Anti-SLAPP gone wild: Massachusetts tightens the reins
The anti-SLAPP cases kept coming from the
Massachusetts appeals courts in May. I posted
previously on anti-SLAPP in the Massachusetts Supreme Judicial Court in
February. This posting describes three
recent holdings, the middle of which substantially revised—and tightened—the
anti-SLAPP qualification analysis. The
next two paragraphs recap some background on anti-SLAPP; skip right down to the
cases if you like. The Massachusetts
anti-SLAPP statute is Mass.
Gen. L. ch. 231, § 59H.
For a quick recap, “anti-SLAPP” refers to state statutes
designed to forestall tort claims in “strategic lawsuits against public
participation” (SLAPPs). The
prototypical SLAPP might be a land developer’s suit against environmental
protestors for interference with the developer’s prospective economic
relations. The protestors are motivated
by First Amendment right to speak and petition and are not acting
wrongfully. So, the logic goes, they
should not be tied up in pricey and complex litigation having to assert the
First Amendment as an affirmative defense.
Rather, they are entitled to a speedy dismissal. In various forms and fashion across the
states, anti-SLAPP statutes allow expedited process before the trial courts to
dispense summarily with cases that ultimately would or should come out in
defendants’ favor.
Furthermore for quick recap, I despise anti-SLAPP
statutes. They are yet another crutch
for defense lawyers—complementing a broad array of defense privileges in common
law and constitutional law—to cloak the perpetrators of defamation, privacy
invasion, interference, and other torts in the false light (if you will) of
constitutional holy writ. Through unduly
expedited process, anti-SLAPP deprives plaintiffs out of the gate of a fair chance
to discover the damning evidence of defendants’ wrongful conduct—evidence often
required by the aforementioned broad array of defenses, thus compounding the
already ratcheted-up hurdles a plaintiff with meritorious cause must clear.
At ABA meetings, I have heard the defense lawyers of
transnational mass media conglomerates speak of anti-SLAPP bills in the same
tender timbre one employs to share photos of a newborn. They are especially fond of anti-SLAPP laws
that award attorneys’ fees to the prevailing defendant; imagine that Goliath
bill arriving in David’s mailbox. Such cooing
should be evidence enough that the playing field has been unleveled. And I was a defense lawyer, so I know of whom
I speak.
That said, I would be foolish to assert that anti-SLAPP
motions don’t often reach just results.
An unlevel playing field does not mean that the winning team is not the
better. I contend instead that
anti-SLAPP gives a trial judge too much power to ballpark “right” and “wrong”
in the absence of the fair evidentiary confrontation that our adversarial
system requires. These cases illustrate how
the Massachusetts appellate courts are struggling to implement the state
anti-SLAPP law fairly.
(1) The Case of the Ex-Spouse Who Won’t Let It Go
After what must have been an ugly divorce in the 1990s, Ms.
St. Germain was left with a permanent protective order of no contact against
her former husband, Mr. O’Gara. In 2014,
after receiving contact via post, St. Germain complained to police that O’Gara
had violated the protective order.
Police arrested, charged, and then dismissed charges against O’Gara, who
in turn sued St. Germain on various civil theories—breach of contract, abuse of
process, malicious prosecution, tortious interference, and intentional
infliction of emotional distress—for the police report that had precipitated
his arrest.
Holding O’Gara’s civil suit “based entirely on [St.
Germain’s] petitioning activity,” the court dismissed the civil suit upon St.
Germain’s anti-SLAPP special motion, reversing the superior court. The court reiterated that petitioning
activity under the Massachusetts statute is to be construed broadly, “‘similar
in purpose to the protections afforded public officials by the doctrine of
governmental immunity’” (quoting precedent).
“Furthermore, § 59H covers petitioning activity regardless of
whether it concerns a public or purely private matter.”
The statute first burdened defendant St. Germain, as special
movant, with proving by preponderance that O’Gara’s lawsuit was based solely on
her police report as petitioning activity, without other substantial
basis. Second, under the burden-shifting
procedure of the statute, O’Gara would be compelled to prove by preponderance
that St. Germain’s petition “‘(1) … was devoid of any reasonable factual
support or any arguable basis in law and (2) … caused actual injury.’”
The trial judge had erred by skipping the first step of the
inquiry and justifying discovery upon a “credible claim of injury caused by
[St. Germain].” Rather, first, St.
Germain was correct in asserting that O’Gara’s suit concerned her police report
solely as petitioning. O’Gara had
asserted that St. Germain was motivated by hostility, besides petitioning. But the court concluded that whether or not
she bore such motive was immaterial to the purely petitioning nature of the
report. Second, St. Germain was
reasonable in believing her police report legally founded, despite the later
dismissal of charges. I.e., the police report was not a sham.
The case is O’Gara v.
St. Germain, No. 15-P-1711 (Mass. App. Ct. May 11, 2017) (Justia).
(2) The Case of “‘It’s
Too Late, Doctor Bob. We’ve Lost Him’”
Four incidents of alleged abuse or neglect of patients in a
unit of the Steward Carney Hospital in Boston resulted in a mass dismissal of
unit staff, including nurses. Discussing
the employment shake-up publicly in email to hospital staff and in statements
to The Boston Globe, with a state
investigation still underway, hospital administrators were vague on particulars. The state later blamed three incidents on only
one mental health counselor, and the fourth incident on staff, the latter
conclusion the subject of ongoing legal contest. Plaintiff nurses sued the hospital for
defamation, and the hospital responded with an anti-SLAPP special motion.
The Supreme Judicial Court, per Justice Barbara Lenk on May
23, reached a mixed result and remanded, furthermore finding occasion to
tighten the requirements for an anti-SLAPP motion to succeed.
Again illustrating the broad construction of petitioning
activity, on the first step of the anti-SLAPP test, the hospital successfully
asserted that the nurses’ lawsuit concerned statements to the press solely as protected
petitioning, because the statements were “‘made to influence, inform, or at the
very least, reach governmental bodies—either directly or indirectly’” (quoting
precedent). “The key requirement of this
definition of petitioning is the establishment of a plausible nexus between the
statement and the governmental proceeding.”
The Court held that statements to the Globe passed muster as indirectly aimed at state investigators However, email to hospital staff, intended
only for internal circulation, did not pass the test.
Here the Court steered off the road. Initially the Court was flummoxed: what to do
with a split outcome between allegedly defamatory statements? Recall that the defendant must show that plaintiff’s
suit concerned “solely” defendant’s petitioning activity. What happens when some statements are petitioning and some are not? Perhaps the anti-SLAPP motion must fail,
because the defendants’ activity was not, then, purely petitioning. Or perhaps the petitioning activity alone,
here the Globe statements, advance to
the second step of the test, burden shifting for the plaintiff to prove
sham. If plaintiff cannot prove sham
petitioning, defamation might be dismissed in part. The design of the complaint cannot be
dispositive, for plaintiffs could evade anti-SLAPP by parsing counts.
That issue, however, proved to be only the crest of a hill concealing
the drop off of a cliff. For then the
Court plunged into angst over the very enterprise of the anti-SLAPP
analysis. If a defendant cannot prove
that the lawsuit is about solely petitioning activity, can the lawsuit not be a
SLAPP? Inversely, if a defendant proves
that the lawsuit is about solely petitioning activity, and the petitioning was
not a sham, does it follow necessarily that the lawsuit should be dismissed as a
SLAPP?
Suppose, the Court proffered (quoting Illinois precedent),
that defendant “‘spread malicious lies about an individual while in the course
of genuinely petitioning the government for a favorable result.’” The defendant passes muster under step one
(if the statements are not parsed). And the
plaintiff cannot show sham under step two.
Case dismissed. Yet “[i]f a
plaintiff's complaint genuinely seeks redress for damages from defamation or
other intentional torts and, thus, does not constitute a SLAPP, it is
irrelevant whether the defendant[’s] actions were genuinely aimed at procuring
favorable government action, result, or outcome.”
Thus the Court exposed a basic constitutional dilemma in
anti-SLAPP: The plaintiff has a right to
petition, too; plaintiff’s lawsuit is a constitutionally protected petition
to the judiciary. I would add, ignorance of this fact is why
anti-SLAPP statutes, if not properly reined in by the courts, unfairly
overcorrect in defendants’ favor. One
can argue that this operation of anti-SLAPP is a prophylactic protection for
the petitioning rights of the defendant, thereby demanding that we tolerate
dismissal of some meritorious causes of action—like the problematic “actual
malice” rule of public-figure defamation.
But that argument fails to explain why the defendant’s petition right is
superior to the plaintiff’s.
To solve this problem and mitigate its constitutional
dilemma, the Supreme Judicial Court added a second
way for the plaintiff to prove its way out of anti-SLAPP dismissal in step
two of the test. Recall that plaintiff
bore the burden of prove sham petitioning by the defendant (and actual
injury). Well now the plaintiff may
prove sham petitioning or plaintiff’s
“suit was not ‘brought primarily to chill’ the [defendant]’s legitimate
exercise of its right to petition.”
Thus, recalling the “malicious lies” example above, suppose furthermore
that the plaintiff cared not one way or the other about the matter of
defendant’s petition to the government.
Plaintiff rather was concerned with the malicious lies, however the
matter was decided. “A necessary but not
sufficient factor in this analysis will be whether the [plaintiff]’s claim at
issue is ‘colorable or … worthy of being presented to and considered by the
court,’ … i.e., whether it ‘offers some
reasonable possibility’ of a decision in the party’s favor.”
On remand, then, the nurses would be able to avoid
anti-SLAPP dismissal on the Globe
statements, as well as the email, by showing the Globe statements a sham petition—unlikely—or by showing “that their defamation claim, viewed as a whole, is
nonetheless not a ‘SLAPP’ suit.” If they
cannot meet their burden either way, then the hospital will be entitled to
dismissal as to the Globe statements,
the case over the email persisting.
The change is a dramatic one. So modifying the plaintiff’s burden on step
two of the test forces the trial court to confront head on the undisguised,
central question of the anti-SLAPP inquiry.
Notwithstanding precedents that eschew focus on a plaintiff’s motives,
the analysis inevitably steers the court back to ask whether the plaintiff is
aggrieved by the hurtfulness of what the defendant did, or by the defendant’s
aim to influence government. For my
money, one might as well ask that question at the start and be done with it.
The case is Blanchard
v. Steward Carney Hospital, No. SJC-12141 (Mass. May 23, 2017) (Justia).
(3) The Case of a Beautiful Day for a
Neighbor
Justice Lenk issued a second opinion on anti-SLAPP for the
Supreme Judicial Court the same day, May 23.
The case better fits the prototype anti-SLAPP mold in being a dispute
over property development. The Court
remanded for application of its new Blanchard
standard (case (2), immediately above).
In 2011, the plaintiff purchased a five-story brick
building, 477 Harrison Avenue, Boston, to redevelop it for residential
use. Defendant JACE Boston owned
neighboring 1234 Washington Street, which shared a wall with the Harrison
property. Defendant intended at some
point to redevelop its property, too, and a competition ensued. The parties disputed redevelopment plans in
years of administrative process and litigation.
Finally in 2014, plaintiff sued defendant in superior court for abuse of
process and for violation of Mass.
Gen. L. ch. 93A, § 11, a broad state prohibition on unfair
competition.
Upon defendant’s anti-SLAPP motion, the trial court
determined that the defendant could not meet its step-one burden to show that the
lawsuit was about solely petitioning activity, without other substantial
basis. The Court rather found that the
abuse of process claim passed muster under step one, concerning solely
defendant’s petitioning. On step two,
the plaintiff could not show that defendant’s petitioning, with respect to the
abuse of process claim, was entirely a sham, that is devoid of factual and
legal basis. Nevertheless, under the
newly announced Blanchard standard,
the plaintiff on remand must be afforded the opportunity to resist dismissal by
proving that its lawsuit is not a SLAPP—that is, “the motion judge may conclude
with fair assurance,” “‘that [plaintiff’s] primary motivating goal in bringing
its claim, viewed in its entirety, was “not to interfere with and burden
defendants” … petition rights, but to seek damages for the personal harm to
[the plaintiff] from [the] defendant[’s] alleged … [legally transgressive]
acts.’”
Faced with “the novel issue as to whether all or only some
of a [defendant’s] petitioning activities must be shown to be illegitimate in
order to defeat a special motion to dismiss,” the Court decided that the
plaintiff must “show that the entirety of its abuse of process claim is not a
‘SLAPP’ suit” to resist dismissal in full.
Otherwise, dismissal (and fees) are granted only for the “portion of the
abuse of process claim arising out of the defendant[’s] protected petitioning
activities.”
The case is 477
Harrison Avenue v. JACE Boston, LLC, No. SJC-12150 (Mass. May 23, 2017) (Justia).
[UPDATE, Nov. 11, 2019: The SJC today issued another installment in 477 Harrison saga. Remanding, the Court determined that abutters' counterclaims were retaliatory, not substantive, so should not be sustained against the developer. I'll say again, anti-SLAPP was not designed to protect developers in land feuds, much less to generate multiple interlocutory dispositions, and this case speaks directly to the pathology of anti-SLAPP.]
[UPDATE, Nov. 11, 2019: The SJC today issued another installment in 477 Harrison saga. Remanding, the Court determined that abutters' counterclaims were retaliatory, not substantive, so should not be sustained against the developer. I'll say again, anti-SLAPP was not designed to protect developers in land feuds, much less to generate multiple interlocutory dispositions, and this case speaks directly to the pathology of anti-SLAPP.]
Court holds no duty/no cause in rape case against state
Sovereign immunity and affirmative duty were at issue in a state tort claims act case of tragic facts decided 3-2 upon rehearing in the Massachusetts Appeals Court on April 12. Pedagogically, the case well illustrates the famous interchangeability of duty and causation, my favorite articulation of which appeared in then-Circuit Judge Scalia’s footnote 4 in Romero v. NRA, 749 F.2d 77, ¶ 10 (D.C. Cir. 1984). On the nuts and bolts, the case well reiterates and demonstrates the strict application of the no-affirmative-duty rule under the state tort claims act, even in a famously progressive jurisdiction.
Plaintiff Jane J. alleged rape by a male patient while they
both occupied the recreational TV room of a locked unit of the Tewksbury State
Hospital. The court engaged solely with
the question whether failure to segregate male and female patients in the rec room
legally caused the rape under the state tort claims act. Holding no cause, the court, per Justice Diana
Maldonado, affirmed summary judgment for the Commonwealth.
Here illustrated in 1907, the Tewksbury State Hospital is on the National Register of Historic Places.
The classic American case of (no) affirmative state duty for
law students studying due process in constitutional law is DeShaney v. Winnebago County, 489 U.S. 189 (1989). The U.S. Supreme Court rejected liability for
state failure to intervene and prevent fatal child abuse. The case essentially restated the peculiarly
American “no duty” doctrine of common law for the context of “constitutional
tort.” Thus the rule of no affirmative
duty manifests across the contexts of common law, due process, and sovereign
immunity. The doctrine of federal law is
replicated in the states, though may be varied by statutory interpretation when
claims are controlled by state waivers of sovereign immunity in tort cases. In this Massachusetts case, statutory
interpretation of the state claims act molded the question into one of
causation—though the DeShaney
question nonetheless constitutes the heart of the inquiry.
Arguments focused on state claims act Mass.
Gen. L. ch. 258, § 10(j). In
relevant part (a list of exceptions omitted here), the section maintains
sovereign immunity against “any claim based on an act or failure to act to
prevent or diminish the harmful consequences of a condition or situation,
including the violent or tortious conduct of a third person, which is not
originally caused by the public employer or any other person acting on behalf
of the public employer.” Thus the
problem of affirmative duty is phrased in terms of “original[] cause[],” and
the appeals court set out to determine whether non-segregation could be said to
have been an “original cause” of the rape.
In the court’s interpretation, original cause is “strict,”
requiring “‘an affirmative act [not a failure to act] … that creates the “condition or situation”
that results in harm’” (quoting precedent; court’s added text; my
italics). The court recounted a series
of cases rejecting recovery under § 10(j), including one case that held state
lifeguards having negligently abandoned their posts was not the original cause
of a drowning. That result pertained
even though the argument for an intact causal chain was stronger for lack of an
intentional and criminal intervening actor.
Jane J.’s claim could not survive such strict examination.
Justice Gregory Massing, joined by Justice Peter Rubin,
filed a vigorous dissent predicated on special relationship duty arising from involuntary
commitment, or alternatively, on the merits, arguing in the latter vein that the
“hospital ‘materially contributed to creating,’ and did not merely fail to
prevent, the condition that resulted in the plaintiff’s being attacked in the
common room.”
The case is Jane J. v.
Commonwealth, No. 15-P-340 (Mass. App. Ct. Apr. 12, 2017) (Justia).
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