Smedley v. Corrections Corp. of America , 175 F. App'x 943 ( 2005 )


Menu:
  •                                                                         F I L E D
    United States Court of Appeals
    Tenth Circuit
    UNITED STATES COURT OF APPEALS
    December 20, 2005
    TENTH CIRCUIT
    Clerk of Court
    LETICIA SMEDLEY,
    Plaintiff - Appellant,
    No. 04-5113
    v.                                               (D.C. No. 02-CV-905-E)
    (N.D. Okla.)
    CORRECTIONS CORPORATION OF
    AMERICA,
    Defendant - Appellee,
    ROY JOHNSON; CITY OF TULSA,
    OKLAHOMA; JANE DOE, Sued as
    Jane Doe Number One, Jane Doe
    Number Two;
    Defendants.
    ORDER AND JUDGMENT *
    Before KELLY, MURPHY, Circuit Judges and ARMIJO, ** District Judge.
    Plaintiff-Appellant Leticia Smedley (“Smedley”) filed suit alleging
    generally that she had been unlawfully arrested and deprived of her civil rights
    *
    This order and judgment is not binding precedent, except under the
    doctrines of law of the case, res judicata, and collateral estoppel. This court
    generally disfavors the citation of orders and judgments; nevertheless, an order
    and judgment may be cited under the terms and conditions of 10th Cir. R. 36.3.
    The Honorable M. Christina Armijo, District Judge, United States District
    **
    Court of New Mexico, sitting by designation.
    while incarcerated. She appeals from the district court’s grant of Defendant-
    Appellee Corrections Corporation of America’s (“CCA”) motion for summary
    judgment. Ms. Smedley also appeals the district court’s denial of her post-
    judgment motion to amend her complaint.
    Ms. Smedley argues that the district court erred because (1) she did not
    waive her argument that her claim under 
    42 U.S.C. § 1983
     was based on the
    “inadequate training, supervision, or policy” of CCA and its employees, (2) the
    rule announced by the Supreme Court in Monell v. Dep’t of Social Services of
    New York, 
    436 U.S. 658
     (1978), which held that a state actor cannot be held
    vicariously liable for claims brought under 
    42 U.S.C. § 1983
    , does not apply to a
    private corporation that has contracted to perform a traditional government
    function, and (3) that her post-judgment Rule 15(a), Fed. R. Civ. P., motion to
    amend her complaint to include state tort claims should have been granted. Our
    jurisdiction arises under 
    28 U.S.C. § 1291
    , and we affirm.
    Background
    On November 15, 2001, Ms. Smedley worked all day from her home. She
    began working early that morning, and did not finish until approximately 1:30
    a.m. on November 16th. Aplt. Br. at 5. Throughout the course of the day, Ms.
    Smedley ingested her prescription medications as directed by her physician, as
    -2-
    well as some coffee, tea, or coke. 
    Id.
     In her deposition, Ms. Smedley denied that
    she imbibed any alcoholic beverages or took any illegal drugs. Aplt. App. at 57-
    58. Upon completion of her day’s work, Ms. Smedley left her home in order to
    find something to eat. Ms. Smedley, who was previously diagnosed as
    hypoglycemic, needed food in order to maintain her blood glucose level, which
    she perceived to be low early in the morning of the 16th. 
    Id.
    While Ms. Smedley was searching for a restaurant, she was stopped by
    Officer Roy Johnson (“Johnson”), a Tulsa police officer. Officer Johnson,
    thinking Ms. Smedley was intoxicated, administered a breathalyzer test. After an
    apparently negative result, Ms. Smedley was taken to the Saint Francis Hospital
    for further testing. Aplt. App. at 64-65. The medical personnel at Saint Francis
    determined that Ms. Smedley had a history of hypoglycemia. Ms. Smedley’s
    blood glucose level was measured at 57 mg/dL. Aplt. App. at 64. According to
    the hospital staff, symptoms of hypoglycemia “usually develop if the blood
    glucose is less than 50 mg/dL.” 
    Id.
     Thereafter, Ms. Smedley was transported and
    booked into the David L. Moss Criminal Justice Center (“Moss”), a CCA facility.
    Aplt. App. at 30.
    According to Ms. Smedley, she was subjected to a pattern of abuse by CCA
    prison officials. Aplt. Br. at 16. She was handcuffed roughly and her feet were
    kicked apart during a pat down. 
    Id. at 7
    . Upon a request for medical attention,
    -3-
    she was told to “[s]it down white bitch.” 
    Id. at 8
    . On two separate occasions a
    nurse took a reading of Ms. Smedley’s blood glucose level, and even though she
    found it to be lower than appropriate, the nurse did not suggest to the prison
    official that Ms. Smedley needed food or water. 
    Id. at 8-9
    . Ms. Smedley further
    contends that a CCA official “came running after her at full speed” and picked
    her “off the ground and . . . dragged [her] approximately 20 feet.” 
    Id. at 9
    .
    Thereafter, a CCA official then threw Ms. Smedley to the floor, grabbed her by
    the “right shoulder and right arm and hair,” and proceeded to drag Ms. Smedley
    into an adjacent holding area, at which point she began to kick Ms. Smedley and
    yelled some permutation of “get the f. . . out of my way you stupid white bitch.”
    
    Id. at 9-10
    . Ms. Smedley was thrown up against the cell wall, sustaining
    scratches and bruises to her face. 
    Id. at 10
    . For the remainder of her stay in the
    holding cell, Ms. Smedley was denied food and medical treatment by CCA
    officials. She also claims that CCA personnel intentionally delayed her release
    from Morris. 
    Id. at 11
    . Though these allegations are troubling, the case is
    resolved on purely legal grounds.
    Discussion
    On appeal, Ms. Smedley advances three arguments: (1) she did not waive
    her argument that her claim under 
    42 U.S.C. § 1983
     was based on the “inadequate
    -4-
    training, supervision, or policy” of CCA and its employees, (2) CCA can be held
    vicariously liable under 
    42 U.S.C. § 1983
    ; and (3) her post-judgment motion to
    amend her complaint to include state tort claims should have been granted. We
    address each argument in turn.
    A.    Inadequate Training, Supervision, or Policy
    According to Ms. Smedley, she has properly preserved her inadequate
    training argument because she argued the issue before the district court at the
    summary judgment hearing. Aplt. Reply Br. at 7. CCA, on the other hand, argues
    that because Ms. Smedley (1) never raised or briefed the issue before the district
    court, (2) only vaguely referenced CCA’s alleged “pretty poor policy” and “pretty
    poor supervision” during argument at the summary judgment hearing, and (3) did
    not identify any offending policy, custom, or practice on the part of CCA, that
    this argument should be deemed waived. Aplee. Br. at 15.
    In her brief in opposition to CCA’s motion for summary judgment, Ms.
    Smedley’s primary argument was that Monell did not apply to an action involving
    a private corrections facility, and that there was ample evidence that her civil
    rights were violated. Aplt. App. at 50-54. Thus, the inadequate training and
    supervision claim was not raised below. We have repeatedly held that absent
    “extraordinary circumstances,” we do not consider arguments raised for the first
    time on appeal. Hill v. Kansas Gas Serv. Co., 
    323 F.3d 858
    , 866 (10th Cir. 2003).
    -5-
    B.    Monell Doctrine
    Ms. Smedley argues that the Monell doctrine should not apply to private
    corporations who perform government functions. Aplt. Br. at 32-43. CCA, on
    the other hand, argues that Monell does apply, and that as such, CCA cannot be
    held vicariously liable for the tortious acts of its employees. Aplee. Br. at 10.
    The district court granted CCA’s motion for summary judgment on the issue. We
    review the grant of summary judgment de novo. Wolf v. Prudential Ins. Co. of
    Amer., 
    50 F.3d 793
    , 796 (10th Cir. 1995).
    In Monell, the Supreme Court held that a municipality cannot be held liable
    under 
    42 U.S.C. § 1983
     merely on account of the unauthorized acts of its agents.
    Monell, 
    436 U.S. 658
    , 691 (1978). While it is quite clear that Monell itself
    applied to municipal governments and not private entities acting under color of
    state law, it is now well settled that Monell also extends to private defendants
    sued under § 1983. See e.g., Dubbs v. Head Start, Inc., 
    336 F.3d 1194
    , 1216
    (10th Cir. 2003) (collecting circuit court cases). As such, a private actor such as
    CCA “cannot be held liable solely because it employs a tortfeasor - or, in other
    words . . . cannot be held liable under § 1983 on a respondeat superior theory.”
    Monell, 
    436 U.S. at 691
     (emphasis in original). Therefore, in order to hold CCA
    liable for the alleged tortious acts of its agents, Ms. Smedley must show that CCA
    directly caused the constitutional violation by instituting an “official municipal
    -6-
    policy of some nature,” 
    id.,
     that was the “direct cause” or “moving force” behind
    the constitutional violations. Pembaur v. City of Cincinnati, 
    475 U.S. 469
    , 480-
    85 (1986); City of Oklahoma City v. Tuttle, 
    471 U.S. 808
    , 820 (1985).
    The district court found, despite Ms. Smedley’s contention that her
    allegations were sufficient to raise a policy of “looking away,” that such was not
    the case. The court correctly concluded that no such allegation had been made
    and no policy was ever identified. Aplt. App. at 13. We agree. Nothing in the
    complaint, the brief in opposition to summary judgment, or the brief on appeal,
    adequately alleges or provides evidence of such a policy. 
    Id.
     No evidence
    suggests that CCA was or should have been aware of the problems confronted by
    Ms. Smedley.
    As we understand it, Ms. Smedley appears to argue that because
    corporations could be held liable under 
    42 U.S.C. § 1983
     both before and after
    Monell, it “simply defies logic to state that the traditional liability that existed for
    corporations prior to” Monell “should somehow be abrogated as a result of the
    Supreme Court extending liability under § 1983 to municipalities where no such
    liability existed before.” Aplt. Br. at 37. We disagree. The Tenth Circuit, along
    with many of our sister circuits, has rejected vicarious liability in a § 1983 case
    for private actors based upon Monell. Dubbs, 
    336 F.3d at 1216
    . As Ms. Smedley
    has failed to provide any evidence that CCA had an official policy that was the
    -7-
    “direct cause” of her alleged injuries, summary judgment for CCA was
    appropriate.
    C.    Denial of Post-Judgment Motion to Amend
    Ms. Smedley also argues that the district court erred in denying her post-
    judgment Rule 15(a) motion to amend her complaint to include two state tort
    claims. Aplt. Br. at 43-50. CCA argues, on the other hand, that the district court
    did not err in denying the motion because Ms. Smedley’s motion to amend came
    approximately six months after an already-extended filing deadline. Aplee. Br. at
    24. The district court also denied Ms. Smedley’s Rule 59(e) motion to alter or
    amend the judgment. That ruling has not been appealed and is not before us.
    While we review a district court’s denial of a Rule 15(a) motion to amend a
    complaint for an abuse of discretion, The Tool Box, Inc. v. Ogden City Corp., 
    419 F.3d 1084
    ,1086-87 (10th Cir. 2005), it is well settled that once judgment has been
    entered, “the filing of an amended complaint is not permissible until judgment is
    set aside or vacated pursuant to Rule 59(e) or Rule 60(b).” 
    Id. at 1087
     (internal
    citations and quotations omitted). Furthermore, even though Rule 15(a) states
    that “leave [to amend] shall be freely granted when justice so requires,” it is also
    true that this presumption is inverted where a plaintiff seeks to amend her
    complaint after judgment has been rendered. 
    Id.
    Therefore, on appeal, Ms. Smedley is required to argue that the denial of
    -8-
    her Rule 59(e) motion was error as a prerequisite to her contention that the denial
    of her Rule 15(a) motion was error. 
    Id.
     As such, Ms. Smedley’s waiver of any
    Rule 59(e) argument precludes review as it renders her Rule 15(a) argument moot.
    Combs v. Pricewaterhouse Coopers, LLC, 
    382 F.3d 1196
    , 1205 (10th Cir. 2004).
    In closing, we note that this case highlights the need for counsel’s
    conscientious and careful review of written legal materials prior to court
    submission. While this is not a school, and we are not grading papers, hardly a
    page of material in support of the appeal passed without a spelling or grammatical
    error – or both. Our concern is for a persuasive case on behalf of the client, one
    that can be readily understood by opposing counsel and the court. A brief that is
    difficult to comprehend not only consumes more time, but also may be somewhat
    less than persuasive. We hope that this serves upon counsel ready notice of the
    problem and the responsibility to correct it.
    AFFIRMED.
    Entered for the Court
    Paul J. Kelly, Jr.
    Circuit Judge
    -9-