Harris v. Garner , 190 F.3d 1279 ( 1999 )


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  •                                                                    [PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ___________________________
    No. 98-8899
    ___________________________
    D.C. Docket No. 5:97-CV-79-4
    FREDERICK LAMAR HARRIS,
    DANNY CHADWICK, et. al.
    Plaintiffs - Appellants,
    versus
    WAYNE GARNER, Commissioner of the
    Georgia Department of Corrections,
    A.G. THOMAS, Director of Facilities
    Division of the Georgia Department of
    Corrections, et. al.
    Defendants - Appellees,
    UNITED STATES OF AMERICA,
    Intervenor-Appellee.
    ____________________________
    Appeal from the United States District Court
    for the Middle District of Georgia
    ____________________________
    (June 27, 2000)
    Before ANDERSON, Chief Judge, TJOFLAT, EDMONDSON, COX, BIRCH,
    DUBINA, BLACK, CARNES, BARKETT, HULL, MARCUS and WILSON,
    Circuit Judges.
    CARNES, Circuit Judge:
    In an effort to stem the flood of prisoner lawsuits in federal court, Congress
    enacted the Prison Litigation Reform Act of 1995, Pub. L. No. 104-134, 
    110 Stat. 1321
     (1996) (“PLRA”). One of the provisions of the PLRA states that:
    No Federal civil action may be brought by a prisoner confined in a
    jail, prison, or other correctional facility, for mental or emotional
    injury suffered while in custody without a prior showing of physical
    injury.
    42 U.S.C. § 1997e(e). We granted rehearing en banc in this case to decide whether
    the provision applies to lawsuits that are filed while the plaintiff is a confined
    prisoner but which are not decided until after he is released from confinement. We
    hold it does.
    I. BACKGROUND
    The factual and legal background of this case is set forth in some detail in
    the panel opinion, Harris v. Garner, 
    190 F.3d 1279
    , vacated, reh’g granted en
    banc, 
    197 F.3d 1059
     (11th Cir. 1999), and we will not repeat it at length here.
    Suffice it to say that eleven inmates of a Georgia prison filed a lawsuit claiming
    that their federal constitutional rights had been violated during a prison
    2
    “shakedown.” All eleven of them were confined in the prison when the lawsuit
    was filed, but by the time the district court entered judgment fifteen-and-a-half
    months later six of the inmate plaintiffs had been released from confinement.1 The
    district court nonetheless applied section 1997e(e) to bar those six prisoners’
    claims for monetary relief, because they had not alleged the requisite physical
    injury.
    A panel of this Court reversed the district court’s judgment insofar as it
    applied section 1997e(e) to the monetary claims of those six plaintiffs, see Harris,
    
    190 F.3d at 1284-85
    , but we granted rehearing en banc, see Harris, 
    197 F.3d 1059
    (11th Cir. 1999), which vacated the panel opinion. We now reinstate all of the
    panel opinion except for Part III A, which is the part that concerns this issue, and
    except for Part IV, the Conclusion, insofar as it relates to this issue. For the
    reasons that follow, we affirm the district court’s judgment in part and vacate and
    remand it in part.
    1
    The lawsuit was filed on March 10, 1997, and judgment was entered on June 24, 1998.
    The six plaintiffs who were released from confinement during that interval are Danny Chadwick,
    Lenois Cook, William Dailey, Frederick Harris, Willie Hooks, and Farrell Nation. See Harris,
    
    190 F.3d at 1283
    .The other five plaintiffs were still confined when judgment was entered in the
    district court but, according to the plaintiffs’ brief, some of them have been released since then.
    All eleven of the plaintiffs are jointly represented in this appeal, but their counsel does not argue
    that any of those who were released after the date of the district court’s judgment are, because of
    their release, free from the restrictions of section 1997e(e). Our references hereafter to
    “plaintiffs” are to those six who were released before the date of the district court’s judgment,
    but the reasoning and holding of this opinion obviously apply as well to those who were released
    thereafter.
    3
    II. DISCUSSION
    A. The Plain Language of the Statute
    We begin our construction of section 1997e(e) where courts should always
    begin the process of legislative interpretation, and where they often should end it
    as well, which is with the words of the statutory provision. See United States v.
    Gilbert, 
    198 F.3d 1293
    , 1298 (11th Cir. 1999) (citing United States v. Steele, 
    147 F.3d 1316
    , 1318 (11th Cir. 1998) (en banc) (“In construing a statute we must
    begin, and often should end as well, with the language of the statute itself.”)
    (citations omitted)); see also Connecticut Nat’l Bank v. Germain, 
    503 U.S. 249
    ,
    253 - 54, 
    112 S.Ct. 1146
    , 1149 (1992) (“[I]n interpreting a statute a court should
    always turn first to one, cardinal canon before all others,” which is “that courts
    must presume that a legislature says in a statute what it means and means in a
    statute what it says there;” and “[w]hen the words of a statute are unambiguous,
    then, this first canon is also the last: judicial inquiry is complete.”) (citations and
    marks omitted).
    Insofar as the issue before us is concerned, the operative language of section
    1997e(e) is “No federal civil action may be brought by a prisoner confined . . . , ”
    and the load- bearing word is “brought,” a derivative of the verb “bring” in the
    third person singular, passive voice. The dispositive question is whether “bring”
    4
    means to commence or start a lawsuit, or instead means to maintain or continue it
    to conclusion.2
    The standard legal dictionary answers that question as follows: “To ‘bring’
    an action or suit has a settled customary meaning at law, and refers to the initiation
    of legal proceedings in a suit.” Black’s Law Dictionary 192 (6th ed. 1990); accord
    5 Words and Phrases, “Begun” (1968) (defining ‘begun” or “brought” to mean
    “commenced”). That is the generally accepted meaning of the term, and this is not
    the first time we have had occasion to say so. In EEOC v. Eastern Airlines, Inc.,
    
    736 F.2d 635
    , 639 (11th Cir. 1984), we were called upon to interpret section
    7(c)(1) of the Age Discrimination in Employment Act, which provides that the
    right of any person “to bring” a private action under that statute terminates upon
    the commencement of an enforcement action by the EEOC. The defendant in the
    case argued that “to bring” means filing or continuing a lawsuit, so that once the
    EEOC starts an enforcement action, section 7(c)(1) bars a private plaintiff from
    continuing a previously filed lawsuit. See 
    id. at 639
    . We rejected that position,
    2
    The panel opinion focuses on the definition of “prisoner” in section1997e(h): “the term
    ‘prisoner’ means any person incarcerated or detained in any facility ...” See 
    190 F.3d at 1294
    .
    But it matters not if we characterize the status question in terms of whether the plaintiff is a
    prisoner, or in terms of whether the plaintiff is confined. Under the PLRA a confined plaintiff is
    a prisoner, and a plaintiff who is not confined is not a prisoner. The question is whether section
    1997e(e) covers a plaintiff who is a confined prisoner at the time the lawsuit is filed but who
    becomes a non-confined, former prisoner by the time judgment is entered. As we explain in the
    text, the answer lies in the plain meaning of the word “bring.”
    5
    agreeing instead with the Second Circuit’s decision in Burns v. Equitable Life
    Assurance Soc. of the U.S., 
    696 F.2d 21
    , 23 (2d Cir. 1982), that “the words ‘to
    bring’ mean only ‘to commence,’ rather than to ‘commence or maintain.’” See
    EEOC, 736 F.3d at 639-40. The same is true here.
    The Supreme Court has reached an identical conclusion about the meaning
    of “bring” and “brought.” Hoffman v. Blaski, 
    363 U.S. 335
    , 341, 
    80 S. Ct. 1084
    ,
    1089 (1960), involved 
    28 U.S.C. § 1404
    (a), the venue provision which permits the
    transfer of “any civil action to any other district or division where it might have
    been brought.” The argument was made that because the statute is remedial, the
    words “‘where it might have been brought’ should be held to relate not only to the
    time of the bringing of the action, but also to the time of the transfer.” See id. at
    342, 
    80 S. Ct. at 1089
    . The Supreme Court rejected that position, in large part
    because the statutory language was “unambiguous, direct [and] clear,” 
    id. at 343
    ,
    
    80 S.Ct. at 1089
    , and interpreting “might have been brought” to refer to anything
    other than the time the lawsuit was filed would “do violence to the plain words” of
    the statute. 
    Id. at 344
    , 
    80 S.Ct. at 1090
    . The same is true here.
    This is not new ground. The Supreme Court first broke it one hundred and
    seventeen years ago, when it had occasion to apply a legislative requirement that a
    6
    lawsuit be “brought within 90 days after the decision” of a government official.
    The Court said this:
    A suit is brought when in law it is commenced, and we see no
    significance in the fact that in the legislation of congress on the
    subject of limitations the word “commenced” is sometimes used, and
    at other times the word “brought.” In this connection the two words
    evidently mean the same thing, and are used interchangeably.
    Goldenberg v. Murphy, 
    108 U.S. 162
    , 163, 
    2 S. Ct. 388
    , 389 (1883). The same is
    true here: “brought” means “commenced.”
    The decisions we have laid out show that for more than a century before the
    enactment of the PLRA, it was well established that “brought” and “bring” refer to
    the filing or commencement of a lawsuit, not to its continuation. This long history
    of established meaning is important, because we readily presume that Congress
    knows the settled legal definition of the words it uses, and uses them in the settled
    sense. See Commissioner v. Keystone Consol. Indus., Inc., 
    508 U.S. 152
    , 159, 
    113 S. Ct. 2006
    , 2011-12 (1993) (explaining that Congress is presumed to be aware of
    settled judicial and administrative interpretations of words when it writes them into
    a statute); Alabama v. Tennessee Valley Authority, 
    636 F.2d 1061
    , 1065 (5th Cir.
    1981) (“When a word has a judicially settled meaning, it is presumed that
    Congress, by using that word in a statute, used it in that accepted sense.”) (citation
    omitted).
    7
    The meaning that we give section 1997e(e)’s “may be brought” – the plain
    and ordinary meaning of the words – is also mandated by our recent decision
    about the meaning of “shall be brought” as that phrase is used in another section of
    the same legislation. Congress included in the PLRA an administrative exhaustion
    requirement which provides that “No action shall be brought with respect to prison
    conditions ... until such administrative remedies as are available are exhausted.”
    42 U.S.C. § 1997e(a) (emphasis added). In Miller v. Tanner, 
    196 F.3d 1190
    , 1193
    (11th Cir. 1999), we interpreted the word “brought” in section 1997e(a) to mean
    the filing of the lawsuit, holding: “An inmate incarcerated in a state prison, thus,
    must first comply with the grievance procedures established by the state
    department of corrections before filing a federal lawsuit under section 1983.”
    (emphasis added). Indeed, the panel opinion in this case agrees with that
    interpretation. See Harris, 
    190 F.3d at 1286
     (holding that the “brought” language
    in section 1997e(a) “means that a prisoner must exhaust all administrative
    remedies that are available before filing suit . . . .”) (emphasis added).
    The language we have quoted from the Miller decision establishes that
    “brought,” as used in section 1997e(a)’s “No action shall be brought ...” language
    means filed. And the same word means the same thing in section 1997e(a)’s “No
    federal civil action shall be brought ...” language. See Atlantic Cleaners & Dyers,
    8
    Inc. v. United States, 
    286 U.S. 427
    , 433, 
    52 S. Ct. 607
    , 609 (1932) (“[T]here is a
    natural presumption that identical words used in different parts of the same act are
    intended to have the same meaning.”); Doctors Hosp., Inc. of Plantation v. Bowen,
    
    811 F.2d 1448
    , 1452 (11th Cir. 1987) (“A presumption is made that the same
    words used in different parts of an act have the same meaning.”).
    Our interpretation of section 1997e(e) is also consistent with the decisions of
    other courts of appeal which have interpreted that and similarly worded other
    provisions of the PLRA. In Kerr v. Puckett, 
    138 F.3d 321
    , 322-23 (7th Cir. 1998),
    the Seventh Circuit held that application of the section 1997e(e) bar depends on the
    confinement status of the plaintiff at the time the lawsuit was commenced. The
    Kerr case involved a prisoner who was no longer confined at the time he filed the
    lawsuit, having already been released on parole. Based on the plain language of
    the statute, the Seventh Circuit concluded that Congress intended to exclude the
    possibility “that ‘prisoner’ refers to the plaintiff’s status at the time of the injury
    rather than at the time the litigation begins.” 
    Id. at 323
    . The Court held section
    1997e(e) did not apply, because “Kerr brought the suit after he had been released
    on parole and was therefore no longer ‘confined in a jail, prison, or other
    correctional facility.’” 
    Id. at 322
    . Only because Kerr was not confined at the time
    9
    he filed his lawsuit did the Seventh Circuit hold that section 1997e(e) did not
    apply.
    Under the reasoning in Kerr, the Seventh Circuit would reach the opposite
    result, and the same one we do here, where the plaintiff was confined when he filed
    the lawsuit. It is confinement status at the time the lawsuit is “brought,” i.e., filed,
    that matters. The same rule of decision has been applied by the other circuits that
    have had occasion to speak to the issue. See Greig v. Goord, 
    169 F.3d 165
    , 167
    (2d Cir. 1999) (“Appellees acknowledge that Greig was a parolee at the time he
    filed his complaint . . . .”) (emphasis added); Doe v. Washington County, 
    150 F.3d 920
    , 924 (8th Cir. 1998) (“When he filed this complaint, Doe was neither
    incarcerated nor detained in any jail, prison, or correctional facility.”) (emphasis
    added). Plaintiffs have been unable to cite a single decision of any district court or
    court of appeals holding that section 1997e(e) turns upon the confinement status of
    the plaintiff at any time other than the time the lawsuit is filed.
    Not only is our conclusion about the meaning of “brought” reinforced by the
    decisions of the other circuits that have interpreted section 1997e(e), it is also
    consistent with decisions of the circuits that have interpreted “brought” and “bring”
    as those words are used in other provisions of the PLRA. Several of those
    decisions concern the PLRA’s “three strikes” section. That section, codified as 28
    
    10 U.S.C. § 1915
    (g), provides that a prisoner may not “bring a civil action or appeal”
    in forma pauperis if he has on three or more occasions brought an action or appeal
    that was dismissed on grounds it was frivolous, malicious, or failed to state a
    claim, unless the prisoner is under imminent danger of serious physical injury.
    The words “bring a civil action or appeal” in section 1915(g) have been held
    to mean the filing of a suit or appeal, not its continuation. See Chandler v. D.C.
    Dept. of Corrections, 
    145 F.3d 1355
    , 1359 (D.C. Cir. 1998). (“[W]e hold that the
    phrase ‘appeal a judgment’ in subsection (g) refers to the initiation of an appeal,”
    and “the phrase ‘bring a civil action’ means to initiate a suit.”); Banos v. O’Guin,
    
    144 F.3d 883
    , 885 (5th Cir. 1998) (“In order to implement this statutory scheme,
    we must determine if danger exists at the time the plaintiff seeks to file his
    complaint or notice of appeal IFP.”) (emphasis in original); Ashley v. Dilworth,
    
    147 F.3d 715
    , 717 (8th Cir. 1998) (“As the statute’s use of the present tense verbs
    “bring” and “is” demonstrates, an otherwise ineligible prisoner is only eligible to
    proceed IFP if he is in imminent danger at the time of filing.”) (emphasis in
    original); Abdul-Wadood v. Nathan, 
    91 F.3d 1023
    , 1025 (7th Cir. 1996) (holding
    that section 1915(g) “governs bringing new actions or filing new appeals – the
    events that trigger an obligation to pay a docket fee – rather than the disposition of
    existing cases”).
    11
    Decisions interpreting 
    28 U.S.C. §1915
    (b)(1), the PLRA’s full payment
    provision, are also relevant. That section states: “if a prisoner brings a civil action
    or files an appeal in forma pauperis, the prisoner shall be required to pay the full
    amount of a filing fee.” 
    42 U.S.C. § 1915
    (b)(1). Two of the three circuits which
    have interpreted that “bring” language have held it means the provision applies to
    prisoners who were confined when they filed a notice of appeal even though they
    were released before their appeal was decided. In Gay v. Texas Dept. of
    Corrections State Jail Div., 
    117 F.3d 240
    , 242 (5th Cir. 1997), the Fifth Circuit,
    “[b]ased on the plain language of § 1915(b)(1)” and that Court’s “desire to put
    some teeth into the PLRA’s front-end deterrent,” held that the filing fee
    requirement applied to a former prisoner, because when he filed an appeal he was
    confined, even though he was released before his appeal was decided. That he
    “was released from prison after he filed his notice of appeal is irrelevant,” the Fifth
    Circuit concluded. Id. The Seventh Circuit reached the same conclusion in
    Robbins v. Switzer, 
    104 F.3d 895
    , 897-98 (7th Cir. 1997) (“Robbins was a prisoner
    when he filed . . ., and therefore is obligated to pay. His current status does not
    alter the fact that he was a prisoner when he filed the appeals.”). But see McGann
    v. Comm’r, Social Security Administration, 
    96 F.3d 28
     (2d Cir. 1996) (reaching
    the opposite conclusion); see also 
    id. at 30-31
     (Miner, J., dissenting) (“My dissent
    12
    is compelled by the simple and familiar principle that when the language of a
    statue is plain and enacted within the constitutional authority of Congress, as it is
    here, the sole function of the courts is to enforce it according to its terms.”)
    (internal marks and citation omitted).
    In expressing its intent about which civil actions section 1997e(e) bars,
    Congress said it bars those federal civil actions “brought by a prisoner confined,”
    not those continued by, or litigated to judgment by a prisoner confined. Cf., W.J.
    Lake & Company, Inc. v. King County, 
    104 P.2d 599
     (Wash. 1940) (interpreting
    the statutory phrase “the court before whom such action is brought” and holding:
    “The statute cannot be extended beyond its plain terms. Had the word ‘pending’
    been used, instead of brought, a different question would be presented. This action
    was not ‘brought’ before this court.”) The plaintiffs and the dissenting opinion, in
    effect, ask us to rewrite the clear and unequivocal language Congress used, so that
    it will read: “No federal civil action may be brought by a prisoner confined . . .
    except if he is no longer confined at the time judgment is entered in the case.”
    (emphasized language added). That is exactly how the provision would read if it
    meant what they say it does. If Congress had wanted to weaken the section
    1997e(e) bar by adding that exception, it easily could have done so. We will not
    do to the statutory language what Congress did not do with it, because the role of
    13
    the judicial branch is to apply statutory language, not to rewrite it. See Badaracco
    v. Commissioner, 
    464 U.S. 386
    , 398, 
    104 S. Ct. 756
    , 764 (1984) (“Courts are not
    authorized to rewrite a statute because they might deem its effects susceptible of
    improvement.”); Blount v. Rizzi, 
    400 U.S. 410
    , 419, 
    91 S.Ct. 423
    , 429 (1971) (“it
    is for Congress, not this Court, to rewrite the statute”); Korman v. HBC Florida,
    Inc., 
    182 F.3d 1291
    , 1296 (11th Cir. 1999) (“It is not the business of courts to
    rewrite statutes.”).3
    B. The Congressional History
    When the import of the words Congress has used is clear, as it is here, we
    need not resort to legislative history, and we certainly should not do so to
    undermine the plain meaning of the statutory language. See United States v.
    Gonzales, 
    117 S.Ct. 1032
    , 1035 (1997) (“Given the straightforward statutory
    command, there is no reason to resort to legislative history.”); Ratzlaf v. United
    States, 
    510 U.S. 135
    , 147-48, 
    114 S. Ct. 655
    , 662 (1994) (“There are, we
    recognize, contrary indications in the statute’s legislative history. But we do not
    resort to legislative history to cloud a statutory text that is clear.”); Barnhill v.
    Johnson, 
    503 U.S. 393
    , 401, 
    112 S.Ct. 1386
    , 1391(1992) (“To begin, we note that
    3
    The dissenting opinion labels our interpretation of the plain language of section
    1997e(e) “judicial activism,” a label which would more aptly apply to an interpretative approach
    that writes language into a statute. Our interpretation neither adds anything to nor subtracts
    anything from the statutory language.
    14
    appeals to statutory history are well taken only to resolve statutory ambiguity.”);
    United States v. Steele, 
    147 F.3d 1316
    , 1318 (11th Cir. 1998) (en banc) (“Where
    the language Congress chose to express its intent is clear and unambiguous, that is
    as far as we go to ascertain its intent because we must presume that Congress said
    what it meant and meant what it said.”).
    Notwithstanding that well-recognized and bedrock principle, sometimes
    judges who find that legislative history supports and complements the plain
    meaning of statutory language cannot resist the temptation to set out that history.
    We have given in to that temptation more than once. See, e.g., United States v.
    Gilbert, 
    198 F.3d 1293
    , 1299 (11th Cir. 1999) (“Given the plain meaning of the
    statutory language, we could bypass any consideration of legislative history.
    Nevertheless, for the sake of completeness, and because this is our first occasion to
    decide a Hyde Amendment case, we will look at that history.”) (internal marks and
    citations omitted). We find the temptation to set out the legislative history of the
    PLRA irresistible – even though the plain meaning of the statutory language in
    section 1997e(e) makes it irrelevant – because we want to correct what we believe
    is a misreading or misapplication of that legislative history in the panel opinion,
    see Harris, 
    190 F.3d at 1284-85
    , and in the dissenting opinion.4
    4
    The dissenting opinion takes us to task for discussing the legislative history as it
    reflects the clear Congressional purpose behind section 1997e(e), and charges that it is
    15
    The panel opinion says that “Congress manifestly wanted to draw a bright
    line distinction between those who are prisoners, and those who are not prisoners.”
    
    Id. at 1284-85
    . That statement is true as far as it goes, of course, but the question is
    when did Congress want a plaintiff’s status as a prisoner or non-prisoner to be
    determined for purposes of the PLRA’s restrictive provisions. The legislative
    history of the PLRA shows that Congress was concerned with the number of
    prisoner cases being filed, and its intent behind the legislation was to reduce the
    number cases filed, which is why Congress made confinement status at the time of
    filing the decisive factor.
    Congress’ concern and intent is reflected in the floor statements of Senators
    Dole and Kyl, two of the principal architects of the PLRA.5 Their statements
    inconsistent for us to point out that the legislative history reinforces our conclusion about the
    plain meaning of the statutory language. See Dissenting Op. at 65 - 67. So long as legislative
    history is not used to contradict the plain meaning of the statutory language, we see no
    inconsistency in pointing out that both the statutory language and legislative history lead to the
    same interpretative result. Besides, if there were any inconsistency in relying upon both the
    statutory language and legislative history, the panel opinion would not have done it, see 
    190 F.3d at
    1284 - 85, nor would the dissenting opinion do it, see Dissenting Op. at 62 - 64, 69 - 72.
    5
    The evolution of the legislative language itself provides little guidance. In its original
    form, the provision that would become section 1997e(e) limited recovery in civil actions brought
    “by an adult convicted of a crime confined in a jail, prison, or other correctional facility.” S.
    866, 104th Cong. 1st Sess. § 7A (1995). The remarks during floor debate are more important
    than usual, as this Court has explained: “[B]ecause Congress enacted [the] PLRA as a rider to an
    appropriations bill, floor debate is more indicative of legislative intent than it otherwise would
    be, especially where the floor statements in favor of the bill remain uncontested.” Alexander v.
    Hawk, 
    159 F.3d 1321
    , 1325 n.8 (11th Cir. 1998) (internal marks and citations omitted). The
    statements of Senators Dole and Kyl are due special consideration, because they, along with
    Senators Hatch, Hutchison, and Abraham, were the architects of the PLRA. See 142 Cong. Rec.
    S3703-01, S3704 (daily ed. April 19, 1996).
    16
    reveal that it was the filing of the prisoner lawsuits that Congress viewed as a
    problem and set about to solve. See 141 Cong. Rec. S14408-01, S14413 (daily ed.
    Sept. 27, 1995) (statement of Sen. Dole) (explaining that the number of prisoner
    suits filed “has grown astronomically – from 6,600 in 1975 to more than 39,000 in
    1994.”); 141 Cong. Rec. S7498-01, S7524 (daily ed. May 25, 1995) (statement of
    Sen. Dole) (“Frivolous lawsuits filed by prisoners tie up the courts, waste valuable
    judicial and legal resources, and affect the quality of justice enjoyed by the law-
    abiding population.”) (emphasis added); 141Cong. Rec. S14408-01, S14418 (daily
    ed. Sept. 27, 1995) (statement of Sen. Kyl) (“Today’s system seems to encourage
    prisoners to file with impunity.”) (emphasis added).
    Confined prisoners have little to lose by filing frivolous lawsuits, and that
    is why Congress made the confinement status of the plaintiff at the time a lawsuit
    is filed the controlling factor. See 141 Cong. Rec. S7498-01, S7526 (daily ed. May
    25, 1995) (statement of Sen. Kyl) (“Filing frivolous civil rights lawsuits has
    become a recreational activity for long-term residents of our prisons.”) (emphasis
    added); 141 Cong. Rec. S7498-01, S7524 (daily ed. May 25, 1995) (statement of
    Sen. Dole) (“[P]risoners will now ‘litigate at the drop of a hat,’ simply because
    they have little to lose and everything to gain.” (quoting Chief Justice Rehnquist)).
    17
    As the Seventh Circuit has explained, “Congress deemed prisoners to be
    pestiferous litigants because they have so much free time on their hands and there
    are few costs to filing suit.” Kerr v. Puckett, 
    138 F.3d at 323
    . The distinction
    between current and former prisoners makes sense for that reason, and because
    “[o]pportunity costs of litigation rise following release, diminishing the need for
    special precautions against weak suits.” Id.; see also Madrid v. Gomez, 
    190 F.3d 990
    , 996 (9th Cir. 1999) (“[I]t is certainly conceivable that, because of significant
    potential gains and low opportunity costs, prisoners generally file a
    disproportionate number of frivolous suits as compared to the population as a
    whole.”); Tucker v. Branker, 
    142 F.3d 1294
    , 1301 (D.C. Cir. 1998) (noting that
    “prisoners have a lower opportunity cost for their time than other indigent (and in
    all likelihood, non-indigent) litigants”).
    Congress made confinement status at the time of filing the criterion, because
    that is the point at which the difference in opportunity costs was causing the
    problem Congress was trying to solve: the large number of filings. See generally
    Christiansen v. Clarke, 
    147 F.3d 655
    , 658 (8th Cir. 1998) (“Because prisoners,
    even under the PLRA, initially pay a reduced filing fee (they receive, in effect, an
    interest free loan to pay the full filing fee), see 
    28 U.S.C. § 1915
    (b), and because
    prisoners have excessive amounts of free time on their hands, they are more likely
    18
    than paying plaintiffs to file meritless suits.”) (emphasis added). Given the
    legislation’s overriding goal of reducing the number of prisoner cases filed, it
    would have made little or no sense for Congress to have made confinement status
    at any time after filing determinative.
    In considering why Congress chose to peg the application of section
    1997e(e) on confinement status at the time of filing, it is worth mentioning that
    confinement status can change several times during the course of the months or
    years it takes the overburdened district courts to enter judgment in a case.
    Consider this hypothetical and how episodic the application of section 1997e(e)
    would be if post-filing confinement status were the criterion: A plaintiff is
    confined when he files the lawsuit (the section applies); shortly thereafter he is
    released on parole (the section no longer applies); later he is picked up and jailed
    on a parole violation charge (the section applies again); he bails out after a few
    days (the section no longer applies); but after a hearing his parole is revoked, and
    he is returned to prison (the section applies again).6 No one has yet explained to us
    6
    The dissenting opinion at 85 n.18 dismisses our hypothetical as “somewhat exotic.” To
    the contrary, the latest information shows that more than 694,000 prisoners are on parole in this
    country. See Thomas P. Bonczar & Lauren E. Glaze, U.S. Dept. of Justice, Probation and Parole
    in the United States, 1998 5 (1999). Many are arrested and incarcerated for parole violations,
    then make bail, and so forth. Indeed, in the latest year for which statistics are available, over
    155,000 of the nation’s state prisoners were parole violators. See Robyn L. Cohen, U.S. Dept. of
    Justice, Probation and Parole Violators in State Prisons, 1991 2 (1995). Although no bail
    statistics are available, for those 155,000 potential plaintiffs there was at least initial
    incarceration, release from incarceration, and return to incarceration.
    19
    why Congress would have wanted the application of an important provision, such
    as section 1997e(e), to be such an on-again, off-again thing.
    Last year alone, there were 3,465 prisoner lawsuits filed in the district
    courts of this circuit. See Admin. Office of the U.S. Courts, Statistical Tables for
    the Federal Judiciary, Table C-3, 34-35 (for the twelve-month period ending June
    30, 1999).7 As this case illustrates, it often takes more than a year after filing for
    judgment to be entered by the district court in such a case. The best figures
    available indicate that more than 47,000 state and federal prisoners were released
    Thus, our parole violation hypothetical describes a situation occurring with far greater
    frequency than the “even worse scenario” upon which the dissent relies: a scenario where a
    prisoner has filed a claim for monetary damages, has gotten past a motion to dismiss on the
    physical injury requirement, has gotten past summary judgment on that issue, and goes to trial on
    that issue but is released before judgment is entered against him on it. See Dissenting Op. at 86 -
    87. If the inmate is not released until after judgment is entered against him on the physical injury
    issue then the dissent’s scenario is not a criticism of our interpretation of § 1997e(e), because
    everyone (including the dissent) agrees that § 1997e(e) applies with full force where judgment is
    entered before the release, even if by only a day. Moreover, the criticism the dissenting opinion
    attempts to mount through use of its scenarios would not apply even where the inmate was
    released before judgment, unless the inmate had not suffered any physical injury. All agree that
    the § 1997e(e) bar has no application at all where there is physical injury. The only cases that fit
    the dissent’s “even worse scenario” are those in which the plaintiff has not suffered any physical
    injury but nonetheless makes it past a motion to dismiss on that issue, then makes it past a
    summary judgment motion on that issue, then loses at trial on that issue, but is released before
    judgment is entered. That is truly a “somewhat exotic” hypothetical.
    7
    The statistic we cite does not include 
    28 U.S.C. §§ 2241
    , 2254, and 2255 filings,
    because they are not covered by the PLRA. See Anderson v. Singletary, 
    111 F.3d 801
    , 805 (11th
    Cir. 1997) (“Congress promulgated the PLRA to curtail prisoner tort, civil rights and conditions
    litigation, not the filing of habeas corpus petitions.”)
    20
    from confinement in this circuit in the most recent twelve-month period.8 Many of
    the tens of thousands of prisoners who are released from confinement each year in
    this circuit alone undoubtedly have federal lawsuits pending at the time of their
    release. The magnitude of the problem illustrates the wisdom of Congress’
    deliberate decision to draw the confinement line – with plain and unequivocal
    language – where it did in section 1997e(e), which is at the point of filing. We
    have no authority to move that line.9
    8
    The state corrections departments and the Federal Bureau of Prisons have different
    reporting years, but using the most recently completed reporting year for each, the figures are as
    follows: 8,421 state prisoners were released from confinement in Alabama, see Alabama Dep’t
    of Corrections, Monthly Reports (Oct. 1998 - Sept. 1999 data); 15,213 state prisoners were
    released from confinement in Georgia, see Georgia Dep’t of Corrections, Inmate Statistical
    Profile – Prison Departures (1998); 23,025 state prisoners were released from confinement in
    Florida, see Florida Dep’t of Corrections, Inmate Releases, Annual Report (1999); and 1,508
    inmates were released from confinement in federal prisons in this circuit in calendar year 1999
    (federal release figures obtained from the Southeast Regional Office of the Federal Bureau of
    Prisons).
    9
    The dissenting opinion constructs elaborate, multi-premised scenarios in an effort to
    show how its approach would yield better policy results than the one we think Congress
    embodied in section 1997e(e). See Dissenting Op. Part III at 82 - 88. There are many flaws to
    the reasoning underlying the dissent’s scenarios. To begin with, one of its essential factual
    premises is that a substantial number of prisoners who file complaints that fall within the scope
    of the provision will make it past a motion to dismiss, and past summary judgment to trial on the
    physical injury issue. Not only that, but the dissent posits that they will be released before
    judgment is entered. See Dissenting Op. at 83. That sounds to us like an unlikely scenario. See
    supra, at 19 n.6. The dissent cannot point to anything in this record or elsewhere that indicates
    those facts are likely to occur with any regularity. Those facts do not represent the typical case,
    or this case, either. These six plaintiffs were all released before the magistrate judge had even
    made any recommendation on the Rule 12(b)(6) motion to dismiss the complaint under section
    1997e(e). Nor is there any apparent basis for the dissent’s assumption that in the typical case a
    substantial amount of effort will be invested in determining whether the plaintiff has suffered
    physical injury. Here, that question was decided in a motion to dismiss, and even if the case had
    gone to summary judgment, there is no reason to believe that much effort would have been
    required to determine whether there was a triable issue of physical injury.
    21
    Because section 1997e(e) applies only to claims filed while an inmate is
    confined, it does not prevent a former prisoner from filing after release a monetary
    damages claim for mental and emotional injury suffered while confined, without a
    prior showing of physical injury. Accordingly, dismissal under this statutory
    provision of a claim that is filed during confinement should be without prejudice
    to re-filing the claim if and when the plaintiff is released. See Zehner v. Trigg, 952
    A second problem with the dissent’s reasoning relating to the scenarios it puts forward
    is that the very same reasoning argues just as strongly against application of section 1997e(e)
    in situations to which the provision indisputably does apply. All the effort the dissent’s
    scenarios posit also will have been spent in those cases in which the claim for monetary relief is
    held to be barred under section 1997e(e) in a judgment entered before the inmate plaintiff is
    released. Yet, no one disputes that if the judgment is entered before the plaintiff is released,
    section 1997e(e) applies with full force, and that is true even if the release happens just after
    judgment or while the case is on appeal. See supra, at 3 n.1. Yet, according to the dissent’s
    reasoning, all of that adjudication of the physical injury issue will have been a total waste, see
    Dissenting Op. at 38 (“the awful burden”), because it predicts the case will be re-filed after the
    plaintiff’s release and the monetary damages claim will have to be re-litigated free of the
    physical injury requirement of section 1997e(e). See Dissenting Op. at 84 (“All of the court’s
    work in determining whether the plaintiff suffered physical injury will have been for naught,
    because physical injury will no longer be an element of the plaintiff’s claim.”). Thus, it appears
    that the dissenting opinion’s stated policy disagreement applies equally to any application of
    section 1997e(e).
    A third defect with the dissent’s posited scenarios and reasoning is that its fundamental
    premise is at war with the congressional premise behind section 1997e(e). The dissent’s
    scenarios assume, without any basis, that all or most plaintiffs who file complaints while
    incarcerated and have them dismissed under section 1997e(e) will re-file those complaints after
    they are released. That is the only way that there will be the duplication of effort and “the awful
    burden” on the system the dissent fears. Yet, as we all agree, the congressional judgment behind
    section 1997e(e) is that because of a difference in opportunity costs, a released inmate is far less
    likely to file a lawsuit than an incarcerated inmate. See Harris, 
    190 F.3d at
    1284 -85; supra, at
    16 -19; Dissenting Op. at 69 - 71. The dissenting opinion’s scenarios and the assumptions
    underlying them reveal that the dissent’s disagreement with our position is actually a
    disagreement with what we believe to be the policy decisions and attendant judgments Congress
    made in enacting section 1997e(e).
    
    22 F.Supp. 1318
    , 1335 (S.D. Ind. 1997) (dismissal without prejudice of section
    1997e(e) barred claim), aff’d, 
    133 F.3d 459
     (7th Cir. 1997). Some, but not all,
    claims will be re-filed after the plaintiff is released, and more total effort may well
    be required to adjudicate those particular claims that are re-filed than if the section
    1997e(e) bar did not exist. But the provision reflects Congress’ belief that because
    of the difference in opportunity costs, a substantial number of such claims will not
    be re-filed after release and that will result in a significant net savings to the
    judicial system. That is the judgment Congress made about what the difference in
    opportunity costs between inmates and former inmates would mean, and it is the
    judgment underlying section 1997e(e).
    C. The Purported Amendment or Supplement
    The panel opinion says that after these six plaintiffs were released, and
    before the district court entered judgment against them, the court permitted them to
    amend the complaint to indicate their new status as former prisoners. That,
    according to the panel opinion, makes all the difference and allows these plaintiffs
    to escape the section 1997e(e) bar. See Harris, 
    190 F.3d at 1284
    . We are not
    entirely convinced that the complaint was actually amended in that or any other
    way.10 The panel opinion had no doubt there was an amendment. Now, the
    10
    No motion to amend the complaint was filed, and neither the magistrate judge nor the
    district court said the complaint had been amended. The plaintiffs did file a motion to withdraw
    23
    dissenting opinion says it there is no doubt that there was not an amendment, but a
    supplement. It appears that the requirements of Rule 15(d) were not met.11 But
    we are convinced that any such amendment or supplement is irrelevant to the
    application of section 1997e(e), and so we will assume for purposes of discussion
    that before judgment was entered against the plaintiffs the complaint was amended
    or supplemented to reflect that they had been released from confinement after they
    filed the lawsuit.
    The reason such an amendment or supplement makes no difference is that,
    for all of the reasons we have already discussed, the confinement status of the
    their request for injunctive relief, which simply acknowledged that there was no longer any need
    for an injunction in view of their release. But the court did not formally rule on that motion.
    Instead, the magistrate judge (whose recommendations were adopted by the district court
    without relevant change) concluded: “These plaintiffs cannot obtain monetary relief because
    they alleged only mental or emotional injuries and their injunctive claims are moot since they
    have been released from prison.” [R&R at 5]. The claims were dismissed with prejudice.
    11
    The rule provides that a supplement to the pleadings may be permitted “[u]pon motion
    of a party.” Fed. R. Civ. P. 15(d). There was no motion to supplement the pleadings. The rule
    also says that the court may permit a supplement “upon reasonable notice.” 
    Id.
     We can hardly
    say that the defendants had reasonable notice that a supplement to the pleadings was being
    considered when the first time it occurred to anyone that it was a Rule 15(d) supplement to the
    pleadings is when the case reached the en banc stage of appeal. The thought that a Rule 15(d)
    supplement was involved apparently never occurred to the parties in the district court, to the
    district judge, or to the panel judges. The rule also charges the district court with conditioning
    permission to supplement the pleadings upon “such terms as are just.” Id.; see also Fed. R.. Civ.
    P. 15(d) advisory committee note (“As in other situations where a supplemental pleading is
    offered, the court is to determine in the light of the particular circumstances whether filing
    should be permitted, and if so, upon what terms.”) The district court did not do what the rule
    requires a court to do before permitting a supplemental pleading, apparently because the court
    was not aware that it was being requested to permit a supplement to the pleadings.
    24
    plaintiffs at any time after the lawsuit is filed is beside the point. The status that
    counts, and the only status that counts, for purposes of section 1997e(e) is whether
    the plaintiff was a “prisoner confined in a jail, prison, or other correctional facility”
    at the time the federal civil action was “brought,” i.e., when it was filed. It is an
    undisputed historical fact that all of these plaintiffs were confined in a Georgia
    prison or correctional facility at the time their complaint was filed. No amendment
    or supplement to a pleading can change a historical fact, and the one in question
    did not purport to do so. The amendment or supplement did not deny that these six
    plaintiffs had been confined prisoners at the time the lawsuit was filed. All it noted
    was that they had been released since the lawsuit was filed which, of course, means
    that they were no longer “prisoner[s] confined.” But that change in their status
    after the lawsuit was filed is irrelevant under section 1997e(e).
    As we have discussed, the intent of Congress behind section 1997e(e) was to
    reduce the number of prisoner lawsuits filed, and specifically to reduce the number
    that are filed because the opportunity costs of filing a lawsuit are lower for an
    incarcerated plaintiff than for one in the free world. The opportunity costs of filing
    a lawsuit do not change after it has been filed. That is why the release of an inmate
    after he has filed a lawsuit is irrelevant for purposes of section 1997e(e).12
    12
    The opening and penultimate paragraphs of the dissenting opinion characterize our
    holding as being that the district court properly dismissed the complaint under section 1997e(e)
    25
    The opposing position essentially treats section 1997e(e) as if Congress had
    been concerned not with the opportunity costs of filing a lawsuit, but instead with
    the opportunity costs of continuing an already filed lawsuit. Only if that were true
    would an amendment or supplement noting that the plaintiff had been released
    after filing the lawsuit make any difference. But most of the damage to the
    overburdened system is already done, or put in motion, after the lawsuit is filed.
    That is why Congress made the operative fact the plaintiff’s status at the time of
    filing, not status at the time the lawsuit is decided. We know Congress did that,
    because it said: “No federal civil action may be brought by a prisoner confined ...”
    (emphasis added), and as we have explained “brought” means filed; it does not
    mean continued or maintained after filing. Congress chose its words and we will
    heed them.
    The difference between our position and that of the dissenting opinion is
    crystalized in its proposition that a prisoner who files his claim in direct
    contravention of section 1997e(e) while he is incarcerated ought to be allowed to
    “even though that section no longer applies to plaintiffs because they are no longer prisoners
    within the meaning of the Act,” Dissenting Op. at 37 & 90. Of course anyone would dissent
    from a holding that a statute was properly applied to cases to which it no longer applies. That is
    not what we hold. Instead, as explained in the text above, we hold that because these plaintiffs
    were incarcerated at the time they filed their complaint, section 1997e(e) applies to them even
    though they were later released before any judgment was entered in the case. Or to put it in the
    same terms the dissenting opinion uses, we hold that the district court properly dismissed the
    complaint because section 1997e(e) does apply to it.
    26
    continue with that claim after release, because “[p]risoners who are released while
    their suit is still pending immediately begin to face the same opportunity costs of
    prosecuting their action as everyone else.” Dissenting Op. at 71-72. Congress could
    have written the statute to focus on the opportunity costs of prosecuting actions,
    but it did not. Instead, Congress aimed at the opportunity cost of filing actions.
    That is clear in the language Congress used to express its will (“brought,” not
    “prosecuted” or “continued”), and in the legislative history, see 141 Cong. Rec.
    S7498-01, S7524 (daily ed. May 25, 1995) (statement of Sen. Dole) (“Frivolous
    lawsuits filed by prisoners tie up the courts, waste valuable judicial and legal
    resources, and affect the quality of justice enjoyed by the law-abiding population.”)
    (emphasis added); 141Cong. Rec. S14408-01, S14418 (daily ed. Sept. 27, 1995)
    (statement of Sen. Kyl) (“Today’s system seems to encourage prisoners to file with
    impunity.”) (emphasis added).
    If there were a conflict between Federal Rule of Civil Procedure 15 and the
    PLRA, the rule would have to yield to the later-enacted statute to the extent of the
    conflict. See Mitchell v. Farcass, 
    112 F.3d 1483
    , 1489 (11th Cir. 1997) (a PLRA
    case) (“a statute passed after the effective date of a federal rule repeals the rule to
    the extent that it actually conflicts.” (quoting and adopting the holding of Jackson
    v. Stinnett, 
    102 F.3d 132
    , 135 (5th Cir. 1996))); Floyd v. United States Postal
    27
    Serv., 
    105 F.3d 274
    , 278 (6th Cir. 1997). But there is no conflict. In proper
    circumstances and when the requirements contained in Rule 15 are met, the rule
    does permit amendments or supplements to pleadings in order to bring to the
    attention of the court changes in the facts, but other law – in this instance section
    1997e(e) – determines whether those changes in the facts make any difference. As
    we have said, the change in the facts (the post-filing release of the plaintiffs) that
    this purported amendment or supplement brought to the attention of the court
    makes no difference whatsoever under section 1997e(e).
    Rule 15(d) does authorize a court to permit a party to supplement a pleading
    “even though the original pleading is defective in its statement of a claim for relief
    or defense.” But that rule does not and cannot overrule a substantive requirement
    or restriction contained in a statute (especially a subsequently enacted one). The
    decisions the dissenting opinion relies upon are distinguishable. None of them
    involved a statutory purpose and requirement that the plaintiff be made to bear the
    differential opportunity cost of a re-filing in order to discourage filings, which is
    what section 1997e(e) is all about. In none of those decisions would the purpose
    behind the statutory requirement be defeated by treating subsequently occurring
    facts as though they had occurred before the complaint was filed. That is the
    28
    situation we would have here, and it was not present in any of the decisions upon
    which the dissenting opinion is based.
    Take, for example, Mathews v. Diaz, 
    426 U.S. 67
    , 
    96 S.Ct. 1883
     (1976).
    The statutory requirement that an applicant for Social Security benefits commence
    a civil action within sixty days after the mailing of the decision which is being
    appealed, see 
    42 U.S.C. § 405
    (g), is obviously intended to do what all filing
    deadlines do – ensure that the action is promptly filed while the facts and issues are
    fresh, and bring to the process to a close sooner instead of later. One of several
    plaintiffs in that case had joined in a civil action challenging an eligibility
    provision before he had actually filed an application with the Secretary of the
    Department of Health, Education, and Welfare. The Supreme Court held that
    plaintiff’s subsequent filing of the application sufficed, and that the Secretary
    “could waive the exhaustion requirements which this provision contemplates” and
    had done so in that case. 
    Id.
     at 75 - 76, 
    96 S.Ct. at 1889
    . As the Supreme Court
    explained, “For jurisdictional purposes, we treat the [Secretary’s] stipulation in the
    District Court as tantamount to a decision denying the application and as a waiver
    of the exhaustion requirement.” 
    Id.
     at 76 - 77, 
    96 S.Ct. at 1890
    .
    The defendants in our case have stipulated away or waived nothing about
    section 1997e(e). More fundamentally, permitting the plaintiff in Mathews to join
    29
    a civil action early, which is what happened in that case, does not undermine the
    statutory purpose that an action be filed promptly, and the sooner the better.
    Allowing that plaintiff to proceed was in keeping with a statutory purpose. See 
    id.
    at 75 n.9, 
    96 S.Ct. at
    1889 n.9. By contrast, in this case permitting the plaintiffs to
    proceed would undermine the statutory purpose of prohibiting these types of
    claims from being filed by prisoners with nothing but time on their hands.
    The other supplemental pleading cases the dissenting opinion relies upon are
    distinguishable in the same way as Mathews. In all of them Rule 15(d) was used
    to further the statutory purpose involved, not to defeat it. At the risk of being
    repetitive, the statutory purpose behind section 1997e(e) is to prevent prisoners
    from filing a certain type of claim, and to require that they shoulder the differential
    opportunity costs of filing that type of claim in the free world if they are released.
    An analogy may be useful to illustrate our point here. It is well established
    that the only citizenship of the original parties that matters for purposes of
    determining whether diversity jurisdiction exists is their citizenship at the time the
    lawsuit is filed; any changes in a party’s citizenship that occur after filing are
    irrelevant. See Freeport-McMoRan, Inc v. KN Energy, Inc., 
    498 U.S. 426
    , 428,
    
    111 S. Ct. 858
    , 860 (1991); Wichita R.R. & Light Co. v. Public Utilities
    Comm’n of Kansas, 
    260 U.S. 48
    , 54, 
    43 S.Ct. 51
    , 53 (1922) (“Jurisdiction once
    30
    acquired on that ground is not divested by a subsequent change in the citizenship
    of the parties.”). That is the substantive law. If an amendment or supplement to the
    pleadings is offered to show that the citizenship of one of the original parties has
    changed since the lawsuit was filed, that amendment or supplement should be
    denied as futile. The reason it should be denied as futile – and the reason it will
    make no difference if permitted – is that the parties’ citizenship at the time of
    filing determines that legal issue, which is whether diversity of jurisdiction exists.
    There is no conflict between the law that citizenship at the time of filing governs
    for diversity purposes and the liberal allowance of amendments or supplements to
    the pleading under Rule 15; it is simply that the change in the facts which the
    amendment or supplement in our diversity jurisdiction hypothetical seeks to bring
    to the court’s attention is irrelevant under the governing law. The same is true
    here.
    The dissenting opinion points out that the present case is not a diversity case.
    See Dissenting Op. at 57, n.11. That is true, but neither is it a social security case
    or a copyright case, or any of the other kinds of cases involved in the decisions the
    dissent relies upon. See 
    id.
     at 53- 57. The dissenting opinion places particular
    reliance upon a copyright case, M.G.B. Homes, Inc. v. Ameron Homes, 
    903 F.2d 1486
     (11th Cir. 1990), and it quotes with approval how that opinion swept aside
    31
    the district court’s lack of jurisdiction with the statement that it “was, at most,
    technically without jurisdiction.” Dissenting Op. at 53 (quoting 
    903 F.2d at 1489
    ).
    That is a problematic approach given the fact that virtually all jurisdictional rules
    and issues are “technical.” But we do not have the copyright pre-filing
    registration requirement at issue before us, so we do not pass upon the continuing
    validity of the panel decision in M.G.B. Homes. Suffice it to say that to the extent,
    if any, M.G.B. Homes supports the dissent’s position, it is to that extent
    inconsistent with the Supreme Court’s subsequent decision in Freeport-McMoRan,
    which we have already discussed, and we are guided by that Supreme Court
    decision.
    In closing out our discussion of this issue, we express our appreciation to
    the dissenting opinion for its candor in acknowledging that by bringing this type of
    claim while incarcerated these six plaintiffs have clearly violated section 1997e(e).
    As the dissenting opinion acknowledges: “The question is not, what is the meaning
    of the word ‘brought.’ It is, instead, what happens when a plaintiff violates section
    1997e(e) by bringing a federal civil action while in custody, but is later released,
    and seeks to supplement his pending complaint to reflect the fact of his release? In
    other words, what is the remedy for plaintiff’s violation of the statute?” Dissenting
    Op. at 45 - 47 (emphasis in original). The answer, according to the dissenting
    32
    opinion, is that there is no remedy for such a violation of the statute. Instead, the
    violation is to be treated as though it never occurred and the plaintiff is not to be
    sanctioned in any way for the violation – not even by being forced to re-file the
    claim after release. We disagree, because we do not think the way to enforce
    congressional enactments is by removing any burden, inconvenience, or expense
    from those who violate them.
    D. Application to Constitutional Claims
    We turn now to one final matter. Under the guise of seeking to avoid what
    they describe as “serious constitutional questions,” the plaintiffs ask us, in effect,
    to rewrite section 1997e(e) by construing it not to apply to constitutional claims.
    The panel at least implicitly held that section 1997e(e) does apply to constitutional
    claims, see Harris, 
    190 F.3d at 1286
    , and for three reasons we agree. First, the
    “avoidance” canon of construction plaintiffs rely upon applies where there is
    ambiguous statutory language, see Southlake Property Associates, Ltd. v. City of
    Morrow, Georgia, 
    112 F.3d 1114
    , 1119 (11th Cir. 1997), and here there is none.
    Section 1997e(e) unequivocally states that “No Federal Civil Action may be
    brought ...,” 42 U.S.C. § 1997e(e) (emphasis added), and “no” means no. The
    33
    clear and broad statutory language does not permit us to except any type of claims,
    including constitutional claims. See Cassidy v. Indiana Dep’t of Corrections, 
    199 F.3d 374
    , 376 (7th Cir. 2000) (rejecting the contention that section 1997e(e) does
    not apply to constitutional claims, and after quoting the first four words of the
    provision, explaining that “[i]n light of this plain language, we will not carve out
    exceptions for which Congress did not provide.”). Courts should not employ the
    canon of construction that ambiguous statutory language is to be construed to
    avoid constitutional questions as a pretext for rewriting clear statutory language.
    See Commodity Futures Trading Comm’n v. Schor, 
    478 U.S. 833
    , 841, 
    106 S.Ct. 3245
    , 3251 (1986) (“It is equally true, however, that this canon of construction
    does not give a court the prerogative to ignore the legislative will in order to avoid
    constitutional adjudication,” and a court “must not and will not carry this [canon]
    to the point of perverting the purpose of a statute or judicially rewriting it.”)
    (internal marks and citation omitted).
    Second, as we have already discussed, the legislative history of the PLRA
    clearly shows that its purpose is to substantially reduce the number of prisoner
    lawsuits. See supra, at 16 - 20. That purpose could never be attained if
    constitutional claims were not covered by the restrictive provisions, because the
    overwhelming majority of prison lawsuits raise one or more constitutional claims.
    34
    Construing section 1997e(e) to be inapplicable to constitutional claims would
    render it virtually meaningless.
    Third, the constitutional issues plaintiffs ask us to rewrite the statute to avoid
    were decided against them by the panel opinion in this case, see Harris, 
    190 F.3d at 1287-90
    , and we have reinstated that part of the opinion as the law of this circuit.
    See also Davis v. District of Columbia, 
    158 F.3d 1342
    , 1345-48 (D.C. Cir. 1998)
    (rejecting constitutional challenges to section 1997e(e)).
    V. CONCLUSION
    When plaintiffs Chadwick, Cook, Dailey, Harris, Hooks, and Nation brought
    this “federal civil action,” they were each a “prisoner confined in a jail, prison, or
    other correctional facility.” For that reason, and notwithstanding the fact that each
    of them was released from confinement before the district court entered judgment
    against them, 42 U.S.C. § 1997e(e) applies with full force and effect to them.
    Accordingly, the judgment of the district court is affirmed, except to the extent that
    it dismissed with prejudice under section 1997e(e) the claims of those six plaintiffs
    for monetary relief. To that extent only, the judgment is vacated and remanded
    with directions that the monetary relief claims of those six plaintiffs that are barred
    35
    solely because of section 1997e(e) are to be dismissed without prejudice to their
    being re-filed at a time when the plaintiffs are not confined.
    AFFIRMED in part and VACATED and REMANDED in part.13
    13
    We decide only the issues that we have expressly addressed and imply no view about
    any other issue.
    36
    ANDERSON, Chief Judge, concurring specially:
    I concur in the result, and in much of the reasoning of the majority. I agree
    with the majority that the statutory language evinces a congressional purpose to
    discourage, indeed to bar, a prisoner from bringing a suit for mental or emotional
    injury suffered while in custody without a prior showing of physical injury. I do
    not believe that it is contrary to the statutory language to routinely dismiss such
    suits, even if the prisoner has been released after the filing of the suit. Indeed, I
    believe dismissal would be the appropriate action in most such circumstances; and
    that dismissal would best serve the congressional language and purpose.
    However, I agree with the dissent that Fed.R.Civ.P. 15(d) would provide
    some discretion in a district judge to entertain a supplemental pleading setting forth
    the fact of a prisoner’s release, and to avoid dismissing a case under some of the
    more unusual circumstances described by the dissent. In my judgment, a district
    court should exercise such discretion only rarely (for example, when a prisoner had
    a colorable claim of physical injury which has been tried to a jury and when a
    dismissal would involve a manifest waste of judicial resources).
    Because it is clear to me that the instant case is not one in which the district
    judge would exercise discretion to avoid dismissal, a remand would be futile.
    Accordingly, I concur in the judgment affirming the district court.
    37
    TJOFLAT, Circuit Judge, concurring in part and dissenting in part in which BIRCH,
    BARKETT and WILSON, Circuit Judges, join:
    The majority states that Congress enacted 42 U.S.C. § 1997e(e) (passed as
    part of the Prison Litigation Reform Act of 1995, Pub. L. No. 104-134, 
    110 Stat. 1321
     (1996) (codified in scattered sections of 42 U.S.C. & 28 U.S.C.) (the
    “PLRA”)) “[i]n an effort to stem the flood of prisoner lawsuits in federal court.”
    Ante at 2. The majority opinion, however, will do just the opposite. For this
    reason, and because the majority’s interpretation of section 1997e(e) cannot be
    reconciled with either the text of the statutory provision, or the congressional
    purpose, I dissent from the court’s holding that the district court properly dismissed
    plaintiffs’ complaint under section 1997e(e) of the PLRA,1 even though that
    section no longer applies to plaintiffs because they are no longer prisoners within
    the meaning of the Act.2
    Today the court holds that a district court lacks discretion to allow a former
    prisoner to supplement his complaint to notice the fact of his release from
    incarceration. This means that whenever a prisoner files an action for mental or
    1
    The only issues remaining in this case involve plaintiffs Danny Chadwick, Frederick
    Harris, Lenois Cook, Willie Hooks, Farrell Nation, and William Dailey. All references to
    “plaintiffs” herein refer to these six plaintiffs only.
    2
    I concur in the majority opinion insofar as it reinstates those parts of the panel opinion
    that dispose of the claims of plaintiffs Samuel Locklear, Alan Kilgore, Leroy Langes, Dayton
    Brinkley, and James Wade. See Harris v. Garner, 
    190 F.3d 1279
    , 1281-84, 1285-90, vacated and
    reh’g en banc granted, 
    197 F.3d 1059
     (11th Cir. 1999).
    38
    emotional injury, the district court has an obligation to dismiss the case no matter
    what stage the litigation has reached, and regardless of whether section 1997e(e)
    has ceased to apply in his case. Because the district court must dismiss a former
    prisoner’s case without prejudice, the court will have to entertain the case a second
    time after essentially the same action is re-filed. Today’s decision requires this
    result even if the first suit reached the summary judgment stage or went to trial.
    Two full-blown court proceedings may now be required to dispose of one case; this
    hardly “stem[s] the flood of prisoner lawsuits in federal court.”
    In Part I, below, I set out the facts of the instant case. In Part II, I explain
    that because plaintiffs are allowed to supplement their complaint under Rule 15(d)
    of the Federal Rules of Civil Procedure to notice the fact of their release from
    incarceration, they should be able to continue their lawsuit against employees of
    the Georgia Department of Corrections (the “GDC”). Finally, in Part III, I discuss
    the awful burden that the majority has placed on the judiciary by requiring district
    courts to dismiss a former prisoner’s claims for mental or emotional injury under
    section 1997e(e), and then entertain his claims anew when the plaintiff re-files
    what is essentially the same lawsuit.
    39
    I.
    Eleven plaintiffs brought this civil rights suit for damages and injunctive
    relief in the United States District Court for the Middle District of Georgia against
    employees of the GDC;3 six of these plaintiffs are presently before the court.
    Plaintiffs alleged violations of their Fourth, Eighth, and Fourteenth Amendment
    rights as a result of actions allegedly taken by the defendants during a
    “shakedown” at Georgia’s Dooly State Prison facility.4 The district court referred
    the case to a magistrate judge in accordance with 
    28 U.S.C. § 636
     (1994).
    On February 4, 1998, before the magistrate judge had issued his report and
    recommendation to the district court, plaintiffs moved the court for leave to
    withdraw their claims for injunctive relief because they had been released from the
    custody of the GDC, and their release had mooted such claims. See Tucker v.
    Phyfer, 
    819 F.2d 1030
    , 1033 (11th Cir. 1987). In his report, the magistrate judge
    recognized that “[p]resently pending before” him was “the plaintiffs’ motion to
    3
    The complaint was filed against “Wayne Garner, Commissioner of the Georgia
    Department of Corrections; A.G. Thomas, Director of Facilities Division of the Georgia
    Department of Corrections; Duke Blackburn, Executive Assistant, Special Operations of the
    Georgia Department of Corrections; and Twenty-Two Unnamed Tactical Squad Officers of the
    Georgia Department of Corrections, in their individual and official capacities.”
    4
    In this context, a prison “shakedown” is a systematic search of a correctional institution
    during which prison officials search for illegal drugs and other contraband by means of body
    cavity searches, searches of inmates’ living quarters, and searches of other areas of the
    institution. For details regarding the alleged “shakedown,” see Harris, 
    190 F.3d at 1282-83
    .
    40
    withdraw the injunctive claims of six of their number who have been released.” He
    implicitly granted plaintiffs’ motion to withdraw their claims for injunctive relief,
    and despite the fact that plaintiffs were no longer incarcerated, he also
    recommended that their claims for compensatory and punitive damages be
    dismissed under 42 U.S.C. § 1997e(e).5 Section 1997e(e) provides that “[n]o
    Federal civil action may be brought by a prisoner confined in a jail, prison, or other
    correctional facility, for mental or emotional injury suffered while in custody
    without a prior showing of physical injury.” The magistrate judge reasoned that “§
    1997e(e) is applicable to the claims of prisoners who have been released,” citing
    Zehner v. Trigg, 
    952 F. Supp. 1318
    , 1324 (S.D. Ind. 1997), and Kerr v. Puckett,
    
    967 F. Supp. 354
    , 361-62 (E.D. Wisc. 1997), both of which were overturned by the
    Seventh Circuit in Kerr v. Puckett, 
    138 F.3d 321
    , 323 (7th Cir. 1998) (holding that
    section 1997e(e) does not apply to former prisoners who are no longer
    incarcerated). It is thus abundantly clear that the magistrate judge treated
    plaintiffs’ complaint as supplemented under Rule 15(d) to reflect the fact that
    plaintiffs had been released from the custody of the GDC.6 It is also clear that he
    5
    42 U.S.C. § 1997e(e) only precludes prisoners from bringing actions for compensatory
    and punitive damages. It does not apply to actions for declaratory or injunctive relief. See
    Harris, 
    190 F.3d at 1287-89
    .
    6
    The panel stated that the magistrate judge and district court treated the complaint as
    “amended” for purposes of noticing plaintiffs’ release from custody. Harris, 
    190 F.3d at 1284
    .
    Technically, this was an error since the magistrate judge and district court actually treated the
    41
    recommended dismissal of plaintiffs’ claims for compensatory and punitive
    damages despite the fact that plaintiffs were no longer incarcerated. His
    recommendation, in this regard, was based on an error in interpreting section
    1997e(e) to apply to the claims of former prisoners who are no longer incarcerated.
    The district court adopted the magistrate judge’s recommendation without relevant
    modification, and dismissed plaintiffs claims with prejudice.7
    complaint as “supplemented” under Rule 15(d); plaintiffs release from custody was a
    “transaction[] or occurrence[] or event[] which . . . happened since the date of the [original]
    pleading,” Fed. R. Civ. P. 15(d), and not an event which happened prior to the date of the
    original complaint. Only prior events are properly treated as amendments under Rule 15(a). The
    error is substantively unimportant, however. See Glatt v. Chicago Park Dist., 
    87 F.3d 190
    , 194
    (7th Cir. 1996) (holding that the standard applied to cases in which parties seek to supplement
    their pleadings under Rule 15(d) is the same as the standard applied to cases in which plaintiffs
    seek to amend their pleadings under Rule 15(a)).
    7
    I am thus uncertain why the majority is not “entirely convinced that the complaint was
    actually amended.” Ante at 23. The majority appears suspicious of the panel’s conclusion that
    “the magistrate judge treated the complaint as amended” to reflect the fact of plaintiffs’ release
    from the GDC, Harris, 
    190 F.3d at 1283
    , because
    [n]o motion to amend the complaint was filed, and neither the magistrate judge
    nor the district court said the complaint had been amended. The plaintiffs did file
    a motion to withdraw their request for injunctive relief, which simply
    acknowledged that there was no longer any need for an injunction in view of their
    release. But the court did not formally rule on that motion. Instead, the
    magistrate judge (whose recommendations were adopted by the district court
    without relevant change) concluded: “These plaintiffs cannot obtain monetary
    relief because they alleged only mental or emotional injuries and their injunctive
    claims are moot since they have been released from prison.”
    Ante at 23 n.10. The majority recognizes that plaintiffs did file a motion alerting the court that
    they had been released from custody, and seeking to withdraw their claims for injunctive relief
    because their release had mooted such claims. Therefore, it is simply not true that “[n]o motion
    to [supplement] the complaint was filed.” 
    Id.
     The motion was not titled “MOTION TO
    SUPPLEMENT PLAINTIFFS’ COMPLAINT TO REFLECT THE FACT OF PLAINTIFFS’
    RELEASE FROM CUSTODY, AND TO ALERT THE DISTRICT COURT THAT
    PLAINTIFFS ARE NO LONGER SUBJECT TO 42 U.S.C. § 1997e(e);” plaintiffs’ motion
    concerned, instead, their claims for injunctive relief (not covered by section 1997e(e)). But it is
    42
    clear that the magistrate judge treated the complaint as supplemented for the purpose of
    determining whether section 1997e(e) applied to plaintiffs’ claims for compensatory and
    punitive damages, even though plaintiffs were no longer incarcerated; the record reflects that the
    magistrate judge (1) recognized in his report and recommendation to the district court that
    plaintiffs had been released from the custody of the GDC, and (2) recommended dismissal of
    plaintiffs’ claims for compensatory and punitive damages based on the erroneous conclusion that
    “§ 1997e(e) is applicable to the claims of prisoners who have been released.” The district court,
    in its order adopting the magistrate judge’s recommendations, likewise treated plaintiffs’
    complaint as supplemented to reflect the fact of plaintiffs’ release, but nevertheless dismissed
    plaintiffs’ complaint under an erroneous reading of section 1997e(e).
    There is no doubt that the magistrate judge and the district court had the power, even the
    obligation, to treat plaintiffs’ complaint as supplemented to reflect the fact of their release. See
    Foman v. Davis, 
    37 U.S. 178
    , 181, 
    83 S. Ct. 227
    , 229-30 
    9 L. Ed. 2d 222
     (1962) (courts have an
    obligation to read the parties’ pleadings with the intent of the parties in mind); cf. Fed. R. Civ. P.
    15(b) (allowing parties to amend their pleadings to conform to the evidence, either at trial or
    even after judgment, and stating that “[i]f evidence is objected to at the trial on the ground that it
    is not within the issues made by the pleadings, the court may allow the pleadings to be amended
    and shall do so freely when the presentation of the merits of the action will be subserved thereby
    and the objecting party fails to satisfy the court that the admission of such evidence would
    prejudice the party in maintaining the party’s action or defense upon the merits”). The
    majority’s assertion that “the requirements of Rule 15(d) were not met,” ante at 24, is curious. In
    Matthews v. Diaz, 
    426 U.S. 67
    , 
    96 S. Ct. 1883
    , 
    48 L. Ed. 2d 478
     (1976), the Supreme Court
    made clear that Rule 15(d)’s “requirements” should not be read to impede a decision on the
    merits because of a technical error or omission. In Matthews, as in the instant case, “[t]here was
    no [formal] motion to supplement the pleadings.” Ante at 24 n.11. Despite this omission, the
    Supreme Court held that
    “[d]efective allegations of jurisdiction may be amended, upon terms, in the trial or
    appellate courts.” 
    28 U.S.C. § 1653
    . Although the defect in [plaintiff’s]
    allegations must be cured by supplemental pleading, instead of amended pleading,
    the statutory purpose of avoiding needless sacrifice to defective pleading applies
    equally to this case . . . . Despite [plaintiff’s] failure to supplement the complaint,
    the District Court was aware that he had filed his application; since the Secretary
    stipulated that the application had been filed, the defect in the pleadings surely did
    not prejudice him.
    Matthews, 
    426 U.S. at
    75 n.9, 
    96 S. Ct. at
    1889 n.9 (citations omitted) (emphasis added). As in
    Matthews, the district court in the instant case was obviously aware of the critical fact (that
    plaintiffs had been released from incarceration), since plaintiffs filed a motion alerting the court
    that they had been released from custody, and seeking to withdraw their claims for injunctive
    relief. Also, there is no reasonable argument that the court’s allowance of a motion to
    supplement the complaint in any way prejudiced the defendants, since defendants cited Zehner v.
    Trigg, 
    952 F. Supp. 1318
     (S.D. Ind. 1997) (holding that section 1997e(e) applies to the claims of
    prisoners who have been released from custody), in their motion to dismiss plaintiffs’ complaint.
    Defendants, therefore, anticipated that plaintiffs’ release would require them to convince the
    43
    II.
    Following, I discuss three elements necessary to resolve the question of
    whether to allow plaintiffs to supplement their complaint to reflect the fact of their
    release, and thus to allow them to continue their civil suit against employees of the
    GDC. These are: (1) under 42 U.S.C. § 1997e(e), prisoners cannot bring federal
    civil actions for “mental or emotional injury suffered while in custody without a
    prior showing of physical injury” while they are confined; (2) after they are
    released from confinement, former prisoners can bring federal civil actions for
    “mental or emotional injury suffered while in custody without a prior showing of
    physical injury;” and (3) Rule 15(d) of the Federal Rules of Civil Procedure allows
    litigants to supplement their pleadings to “set[] forth transactions or occurrences or
    events which have happened since the date of the [original] pleading . . . even
    though the original pleading is defective in its statement of a claim for relief or
    defense.” After discussing these elements, I then ask whether Congress has
    indicated, either in the statutory text or in the legislative history of the PLRA, its
    court that section 1997e(e) should bar plaintiffs’ claims for mental or emotional injury, even
    though plaintiffs were no longer incarcerated. Treating Rule 15(d) as if it has certain
    “requirements” that can never be waived by the district court, even if waiver would facilitate a
    proper decision on the merits, does not comport with the concept of notice pleading, and the
    purpose behind the Federal Rules. See infra at 49 - 60 (discussing the 1963 amendment to Rule
    15(d) and the philosophy of the Federal Rules of Civil Procedure).
    44
    intent to abrogate Rule 15(d) in applying section 1997e(e), so that prisoners should
    be precluded from supplementing their complaints to reflect the fact of their
    release.
    A.
    42 U.S.C. § 1997e(e) precludes prisoners from bringing federal civil actions
    “for mental or emotional injury suffered while in custody without a prior showing
    of physical injury” while they are “confined in a jail, prison, or other correctional
    facility.” For reasons not entirely clear to me, the majority spends most of its
    opinion focusing on this element, canvassing every part of the PLRA to come up
    with the totally unremarkable conclusion that when section 1997e(e) says “[n]o
    Federal civil action may be brought,” it means that no prisoner can “commence or
    start a lawsuit,” ante at 5, for “mental or emotional injury suffered while in custody
    without a prior showing of physical injury.” 42 U.S.C. § 1997e(e).
    I have no idea why the majority goes to such lengths to demonstrate this
    point, or what other definition of the word “brought” might be considered
    plausible. The majority appears to believe that the panel mistakenly interpreted
    “brought” to mean “maintain[ed]” or “continue[d],” ante at 5, and that this was the
    source of its supposed error in holding that plaintiffs should be allowed supplement
    45
    their complaint to reflect the fact of their release. But following the majority’s
    reasoning, it would make no difference if the statute prohibited the “commencing”
    of a federal civil action, or the “maintenance” of a federal civil action while in
    custody. According to the majority, a violation of the statute requires the district
    court to dismiss the plaintiff’s suit no matter what events transpire subsequent to
    the violation. If this is the case, then the district court would have to dismiss a suit,
    even after the prisoner’s release, that was “maintained” by a prisoner while in
    custody, just as the court would have to dismiss a suit that was “commenced”
    while in custody. I thus fail to understand the majority’s distinction, but in any
    case, it is of no moment. It is obvious that the word “brought” means
    “commence[d] or start[ed],” ante at 5, and so I have no quibble with this aspect of
    the majority opinion.8 The question is not what is the meaning of the
    8
    In its discussion of the statutory language, the majority suggests that one line of cases,
    interpreting the full payment provision of the PLRA, does more than establish that “brought”
    means “commenced.” 
    28 U.S.C. § 1915
    (b)(1) (1994 & Supp. II 1996) provides that
    if a prisoner brings a civil action or files an appeal in forma pauperis, the prisoner
    shall be required to pay the full amount of a filing fee. The court shall assess and,
    when funds exist, collect, as a partial payment of any court fees required by law,
    an initial partial filing fee of 20 percent of the greater of–
    (A) the average monthly deposits to the prisoner’s account; or
    (B) the average monthly balance in the prisoner’s account for the 6-month
    period immediately preceding the filing of the complaint or notice of appeal.
    In Gay v. Texas Dept. of Corrections States Jail Div., 
    117 F.3d 240
     (5th Cir. 1997), and in
    Robbins v. Switzer, 
    104 F.3d 895
     (7th Cir. 1997), the Fifth and Seventh Circuits held that this
    part of the PLRA requires former prisoners to pay amounts due under the statute through the
    time of their release in order to continue prosecuting claims filed while in custody. This
    interpretation of section 1915(b)(1) makes sense because, as the D.C. Circuit has observed, if a
    prisoner has not complied with the filing fee provisions of the statute, he still has “past due,
    46
    word “brought.” It is, instead, what happens when a plaintiff violates section
    1997e(e) by bringing a federal civil action while in custody, but is later released,
    and seeks to supplement his pending complaint to reflect the fact of his release? In
    other words, what is the remedy for plaintiff’s violation of the statute?
    unmet obligations” even if he is later released. In re Smith, 
    114 F.3d 1247
    , 1251-52 (D.C. Cir.
    1997). All of the circuits interpreting section 1915(b)(1) recognize that the statute ceases to
    apply when a prisoner is released; it has not been applied to require prisoners to pay fees that
    would accrue after the prisoner is released. As the D.C. Circuit held in Smith,
    [plaintiff’s] liability for the PLRA fees that should have been paid prior to his
    release from prison under § 1915(b) [should] be calculated, and [plaintiff] must
    pay that amount . . . . However, [plaintiff] may rely on in forma pauperis status
    for the balance of the filing fee . . . , as his current poverty does not pose a bar to
    relief, except with respect to past due amounts under the PLRA that were assessed
    based upon a calculation that Smith had means to pay them when due.
    Id. at 1252 (citations omitted); see also Robbins, 
    104 F.3d at 898
     (“[I]f according to the trust
    account statements [plaintiff] could (and therefore should) have paid $50 at the time he filed his
    appeals, and the trust accounts received no income before his release, then he must pay $50 now
    and may apply for in forma pauperis status on the balance. How much [plaintiff] actually must
    prepay depends on the application of the formula in § 1915(b) to the balances and income of his
    trust account through the day of his release.”). It is reasonable to require former prisoners to
    meet past due obligations that constitute a condition precedent to their ability to bring suit, even
    after they have been released from custody. The full payment provision of section 1915(b)(1) is
    not being applied to them as former prisoners, but as persons who have incurred a debt that has
    not yet been satisfied. In the instant case, the majority uses section 1997e(e) to bar plaintiffs
    claims, even though the statute no longer applies in their cases. The majority’s analogy would
    work if Congress had provided for a civil fine for violations of section 1997e(e) (e.g., a fine of
    $10 for each pre-release filing); in that circumstance, even after his release a former prisoner
    would still owe the fine for filing while incarcerated, because the fine owed would constitute a
    past due amount. But it seems odd to suggest, as the majority does, that plaintiffs in the instant
    case are owed a “past due dismissal” because they filed while incarcerated. Cf. Murphy v.
    Magnusson, No. Civ. 98-439-P-C. (D. Me. July 27, 1999) (refusing to dismiss plaintiff’s claim
    filed while incarcerated even though plaintiff had not complied with the administrative
    exhaustion requirement of 42 U.S.C. § 1997e(a), because plaintiff had since been released from
    custody; “where Plaintiff could immediately refile his claims without exhausting administrative
    remedies . . . it would not serve judicial efficiency to dismiss Plaintiff’s Complaint. Because
    circumstances have changed such that Plaintiff is no longer required . . . to exhaust
    administrative procedures, the Court will not now require Plaintiff to exhaust available
    administrative remedies.”).
    47
    The second element is that 42 U.S.C. § 1997e(e) does not apply to former
    prisoners who are no longer incarcerated. As the panel explained,
    42 U.S.C. § 1997e(e) provides: “[n]o Federal civil action may be
    brought by a prisoner confined in a jail, prison, or other correctional
    facility, for mental or emotional injury suffered while in custody
    without a prior showing of physical injury.” Section 1997e(h) defines
    a “prisoner” as “any person incarcerated or detained in any facility
    who is accused of, convicted of, sentenced for, or adjudicated
    delinquent for, violations of criminal law or the terms and conditions
    of parole, probation, pretrial release, or diversionary program.” 42
    U.S.C. § 1997e(h) (Supp. II 1996). According to the plain language
    of the statute, section 1997e(e) does not apply to former prisoners, or
    those who have been released from a correctional facility, because
    such persons are clearly not “confined in a jail, prison, or other
    correctional facility,” or “incarcerated or detained in any facility.”
    The statute could not be more plain: it applies to those who (a) seek a
    civil remedy for mental or emotional injury suffered while in custody,
    and (b) seek such a remedy while they are incarcerated. As the
    Seventh Circuit has noted in analyzing section 1997e(e), “[t]he
    statutory language does not leave wriggle room.” Kerr v. Puckett, 
    138 F.3d 321
    , 323 (7th Cir.1998). It does not apply to persons who have
    never been prisoners; nor does it apply to former prisoners who seek
    civil relief for injuries suffered while they were prisoners.
    Defendants argue that Congress’ purpose in enacting the PLRA
    was to curtail frivolous prisoner litigation, and that reading the statute
    to bar certain claims by current but not former prisoners is not faithful
    to congressional intent because, under our interpretation today, some
    claims “for mental or emotional injury suffered while in custody” can
    be brought “without a prior showing of physical injury.” Further,
    defendants see little sense in discriminating between prisoners who
    bring suit while they are incarcerated, and former prisoners who seek
    relief on the same day they are released.
    Absent mistake or absurdity, we implement the statutory
    language as enacted. Salinas v. United States, 
    522 U.S. 52
    , 57-58,
    
    118 S. Ct. 469
    , 473- 74, 
    139 L. Ed. 2d 352
     (1997). Here, the language
    of section 1997e(e) could not be clearer. And contrary to defendants’
    48
    congressional intent argument, Congress manifestly wanted to draw a
    bright line distinction between those who are prisoners, and those who
    are not prisoners. See 141 Cong. Rec. S7524-26 (daily ed. May 25,
    1995) (statements by Senators Dole and Kyl) (prisoners have a unique
    incentive to file frivolous lawsuits because litigation “has become a
    recreational activity for long-term residents of our prisons,” because
    prisoners “have little to lose and everything to gain,” and because
    filing frivolous complaints is “a means of gaining a short sabbatical in
    the nearest Federal courthouse”) (citations and internal quotation
    marks omitted). The distinction makes a good deal of sense because
    the “[o]pportunity costs of litigation rise following release,
    diminishing the need for special precautions against weak suits.”
    Kerr, 
    138 F.3d at 323
    . In light of the overwhelming clarity of the
    statutory text, we join the Seventh Circuit in holding that section
    1997e(e) applies only to prisoners who are incarcerated at the time
    they seek relief, and not to former prisoners who seek damages for
    injuries suffered while they were incarcerated. See id.; see also, Greig
    v. Goord, 
    169 F.3d 165
    , 167 (2d Cir.1999) (interpreting “prisoner” as
    used in section 1997e(a), dealing with administrative exhaustion, as
    not applying to former prisoners no longer incarcerated); Doe v.
    Washington County, 
    150 F.3d 920
    , 924 (8th Cir.1998) (interpreting
    “prisoner” as used in section 1997e(d), dealing with attorneys’ fees, as
    not applying to former prisoners).
    Harris, 
    190 F.3d at 1284-85
    . The majority concurs in this holding today. See ante
    at 22 (“Because section 1997e(e) applies only to claims filed while an inmate is
    confined, it does not prevent a former prisoner from filing after release a monetary
    damages claim for mental or emotional injury suffered while confined, without a
    prior showing of physical injury.”).
    The third and final element is that under Rule 15(d) of the Federal Rules of
    Civil Procedure, litigants are allowed to supplement their pleadings to “set[] forth
    49
    transactions or occurrences or events which have happened since the date of the
    [original] pleading . . . even though the original pleading is defective in its
    statement of a claim for relief or defense.” Prior to 1963, the text of Rule 15(d)
    read, in part, as follows:
    Upon motion of a party the court may, upon reasonable notice and
    upon such terms as are just, permit him to serve a supplemental
    pleading setting forth transactions or occurrences or events which
    have happened since the date of the pleading sought to be
    supplemented.
    Minnesota Mining and Mfg. Co. v. Superior Insulating Tape Co., 
    284 F.2d 478
    ,
    481 (8th Cir. 1960) (quoting Fed. R. Civ. P. 15(d)) (emphasis omitted). Because of
    this wording, “several federal courts held that a supplemental complaint could not
    be used to cure a complaint that failed to state a claim for relief, even though
    subsequent events had made plaintiff’s right to relief apparent and the later
    pleading effectively cured the deficiencies in the initial effort.” 6A Charles Alan
    Wright, Arthur R. Miller & Mary Kay Kane, Federal Practice and Procedure §
    1505 (2d ed. 1990). The theory these courts used was that “plaintiff’s right to
    relief had to be predicated on facts in existence at the time the complaint was
    filed.” Id.; see, e.g., La Salle Nat’l. Bank v. 222 East Chestnut St. Corp., 
    267 F.2d 247
    , 252 (7th Cir. 1959); Bonner v. Elizabeth Arden, Inc., 
    177 F.2d 703
    , 705 (2d
    Cir. 1949). But see Camilla Cotton Oil Co. v. Spencer Kellogg and Sons, Inc., 257
    
    50 F.2d 162
    , 165, 167-68 (5th Cir. 1958) (allowing plaintiff, under pre-1963 Rule
    15(d), to supplement claim for attorney’s fees with a pleading indicating that the
    statutory notice required for plaintiff to get attorney’s fees had been satisfied
    subsequent to the filing of the claim, even though the claim was “imperfect until
    proper notice was given”);9 United States v. Reiten, 
    313 F.2d 673
    , 674-75 (9th Cir.
    1963) (allowing plaintiff, under pre-1963 Rule 15(d), to supplement complaint
    with notice to the court that the ninety days required by federal statute before
    plaintiff had a “right to sue” had expired since the filing of the complaint because
    “[t]o require appellant to commence a new and separate action in these
    circumstances would have been to insist upon an empty formalism”). In response
    to what was perceived as the useless formality of forcing a district court to dismiss
    a suit without prejudice, so that the plaintiff could then re-file the suit based on
    subsequent events that had made clear his right to relief, Rule 15(d) was amended
    in 1963 to include the following language: “Permission may be granted even
    though the original pleading is defective in its statement of a claim for relief or
    defense.” The advisory committee’s note to the 1963 amendment emphasizes that
    the amended Rule is intended to allow both courts and litigants flexibility in
    9
    In Bonner v. City of Prichard, 
    661 F.2d 1206
    , 1209 (11th Cir. 1981) (en banc), this
    court adopted as binding precedent all of the decisions of the former Fifth Circuit handed down
    prior to the close of business on September 30, 1981.
    51
    addressing the substance of a plaintiff’s complaint, rather than require parties to
    engage in an empty ritual of mindless form:
    Rule 15(d) is intended to give the court broad discretion in allowing a
    supplemental pleading. However, some cases, opposed by other cases
    and criticized by the commentators, have taken the rigid and
    formalistic view that where the original complaint fails to state a claim
    upon which relief can be granted, leave to serve a supplemental
    complaint must be denied . . . . Thus plaintiffs have sometimes been
    needlessly remitted to the difficulties of commencing a new action
    even though events occurring after the commencement of the original
    action have made clear the right to relief.
    Under the amendment the court has discretion to permit a
    supplemental pleading despite the fact that the original pleading is
    defective.
    Fed. R. Civ. P. 15(d) advisory committee’s note (1963). Thus, it is now clear that
    plaintiffs are allowed to supplement their pleadings, even if their claim for relief is
    entirely dependent on events occurring subsequent to the filing of their original
    complaints.
    It is also clear that plaintiffs can cure jurisdictional defects in their original
    complaints by means of a supplemental pleading. In Matthews v. Diaz, 
    426 U.S. 67
    , 
    96 S. Ct. 1883
    , 
    48 L. Ed. 2d 478
     (1976), plaintiff filed a complaint under the
    Social Security Act, challenging the constitutionality of a provision of the Act
    which conditioned an alien’s eligibility for benefits on continuous residence in the
    United States for a five-year period and admission for permanent residence.
    Plaintiff filed his complaint on October 24, 1972; but it was not until two days
    52
    later, on October 26, that plaintiff actually filed an application for enrollment in the
    Social Security benefits program, and then brought the fact of his application to the
    attention of the district court (without formally supplementing his complaint). The
    statutory provision giving plaintiff a right of action, provided that
    [a]ny individual, after any final decision of the Secretary made after a
    hearing to which he was a party, irrespective of the amount in
    controversy, may obtain a review of such decision by a civil action
    commenced within sixty days after the mailing to him of notice of
    such decision or within such further time as the Secretary may allow.
    
    42 U.S.C. § 405
    (g) (1994) (emphasis added). Because plaintiff had filed his action
    before he had applied for benefits, the Supreme Court had to decide “whether the
    District Court had jurisdiction over [plaintiff’s] claim.” Matthews, 
    426 U.S. at 75
    ,
    
    96 S. Ct. at 1889
    . The Court responded as follows:
    We have little difficulty with [plaintiff’s] failure to file an application
    with the Secretary until after he was joined in the action. Although 
    42 U.S.C. § 405
    (g) establishes filing of an application as a nonwaivable
    condition of jurisdiction . . . , [plaintiff] satisfied this condition while
    the case was pending in the District Court. A supplemental complaint
    in the District Court would have eliminated this jurisdictional issue;
    since the record discloses, both by affidavit and stipulation, that the
    jurisdictional condition was satisfied, it is not too late, even now, to
    supplement the complaint to allege this fact. Under these
    circumstances, we treat the pleadings as properly supplemented by the
    Secretary’s stipulation that [plaintiff] had filed an application.
    
    Id.
     (citations omitted). The Court further elaborated,
    “[d]efective allegations of jurisdiction may be amended, upon terms,
    in the trial or appellate courts.” 
    28 U.S.C. § 1653
    . Although the
    53
    defect in [plaintiff’s] allegations must be cured by supplemental
    pleading, instead of amended pleading, the statutory purpose of
    avoiding needless sacrifice to defective pleading applies equally to
    this case . . . . Despite [plaintiff’s] failure to supplement the
    complaint, the District Court was aware that he had filed his
    application; since the Secretary stipulated that the application had
    been filed, the defect in the pleadings surely did not prejudice him.
    
    Id.
     at 75 n.9, 
    96 S. Ct. at
    1889 n.9 (citations omitted).
    Until today, this court has consistently followed the Supreme Court’s
    direction that a supplemental pleading should be liberally allowed if it will cure a
    defect in the complaint. In M.G.B. Homes, Inc. v. Ameron Homes, Inc., 
    903 F.2d 1486
     (11th Cir. 1990), plaintiff sued for infringement under the Copyright Act,
    which provides, in pertinent part,
    no action for infringement of the copyright in any work shall be
    instituted until registration of the copyright claim has been made in
    accordance with this title.
    
    17 U.S.C. § 411
    (a) (1994) (emphasis added). Plaintiff filed a complaint for
    infringement before applying for copyright registration, but later moved the court
    to supplement its pleading with notice that it had since filed the required
    application with the Copyright Office. The district court allowed the supplement
    and we affirmed, even though “[t]he registration requirement is a jurisdictional
    prerequisite to an infringement suit.” Id. at 1488. We stated,
    [the district court] was, at most, technically without jurisdiction to
    entertain [plaintiff’s] motion to amend its complaint. However, it is
    54
    entirely contrary to the spirit of the Federal Rules of Civil Procedure
    for decisions on the merits to be avoided on the basis of such mere
    technicalities.
    ....
    The amended complaint submitted by [plaintiff] contained all
    the required allegations. On its face it asserted that the trial court had
    jurisdiction over the new infringement action. Except for the
    technical distinction between filing a new complaint and filing an
    amended complaint, the case would have been properly filed.
    Id. at 1489 (internal citation and quotation marks omitted);10 see also Lussier v.
    Dugger, 
    904 F.2d 661
    , 669-70 (11th Cir. 1990) (holding that plaintiff should be
    allowed to supplement his complaint with the fact that since filing against a state
    agency under the federal Rehabilitation Act, the Act had been amended to abrogate
    the state’s Eleventh Amendment immunity, and thus the district court had
    jurisdiction over the case for any violations that took place subsequent to the date
    of the amendment’s enactment); Rowe v. United States Fidelity and Guar. Co., 421
    10
    The majority makes the remarkable assertion that the approach taken in M.G.B. Homes
    is “problematic,” and suggests that the “continuing validity” of the case may be in doubt in light
    of the Supreme Court’s decision in Freeport-McMoRan, Inc. v. KN Energy, Inc., 
    498 U.S. 426
    ,
    
    111 S. Ct. 858
    , 
    112 L. Ed. 2d 951
     (1991). Ante at 31-32. Freeport-McMoRan had nothing to do
    with a federal court’s ability to allow a plaintiff to supplement his complaint to cure a
    jurisdictional defect in the original pleading when, as in M.G.B. Homes and in the instant case,
    the court’s jurisdiction is premised on the existence of a federal question. In that case, the
    Supreme Court merely reaffirmed the longstanding rule that “diversity of citizenship is assessed
    at the time the action is filed . . . . [I]f jurisdiction exists at the time an action is commenced,
    such jurisdiction may not be divested by subsequent events.” 
    Id. at 428
    , 
    111 S. Ct. at 860
    . As I
    explain infra at 57 n. 11, the issue of diversity jurisdiction implicates unique considerations that
    do not apply in cases in which the federal court’s jurisdiction is premised on the existence of a
    federal question. It seems odd for the majority to assert casually that the “continuing validity” of
    M.G.B. Homes is in doubt, when the only evidence the majority cites for that proposition is a
    Supreme Court case that is clearly inapposite.
    
    55 F.2d 937
    , 940, 944 (4th Cir. 1970) (holding that district court abused its discretion
    in denying plaintiffs, as creditors of an insured, leave to supplement their
    complaint, originally filed before the insured had assigned his rights in the
    insurance to the creditors, with notice that the insured had since assigned his rights;
    this was so even though the “action [was] judicially cognizable at all . . . only
    through [the] assignment”); Roth Greeting Cards v. United Card Co., 
    429 F.2d 1106
    , 1108-09 (9th Cir. 1970) (holding that it was error for the district court to
    dismiss plaintiff’s complaint for lack of jurisdiction under the Copyright Act,
    which provided that no infringement action “shall be maintained” until the work is
    registered, when the plaintiff registered the work subsequent to the filing of its
    complaint, and a pretrial conference order evidenced that the court treated the
    complaint as supplemented); Security Ins. Co. v. United States, 
    338 F.2d 444
    , 449
    (9th Cir. 1964) (holding that plaintiff should be allowed to supplement his
    complaint under the Miller Act, originally filed before the statutory period of
    ninety days provided for in 40 U.S.C. § 270b(a) had elapsed, with notice that
    ninety days had since elapsed, because the federal rules encourage “decision[s] on
    the merits”); Katzman v. Sessions, 
    156 F.R.D. 35
    , 39 (E.D.N.Y. 1994) (holding
    that plaintiff should be allowed to supplement his complaint with notice that he had
    exhausted the administrative remedies required for him to file suit under the
    56
    Freedom of Information Act, 
    5 U.S.C. § 552
     (1994); the fact that he did not
    exhaust until after filing did not require dismissal); Montgomery Envtl. Coalition
    v. Fri, 
    366 F. Supp. 261
    , 265-66 (D.D.C. 1973) (holding that plaintiffs should be
    allowed to supplement their complaint with notice that the statutory period of sixty
    days required under the Water Pollution Control Act had elapsed since they filed
    their complaint; this was so even though 
    33 U.S.C. § 1365
    (b) provided that “[n]o
    action may be commenced . . . prior to sixty days after the plaintiff has given notice
    of the alleged violation”) (emphasis added); Amar v. Garnier Enters., Inc., 
    41 F.R.D. 211
    , 214-15 (C.D. Cal. 1966) (holding that plaintiff should be allowed to
    supplement his complaint with notice that since filing shareholder’s derivative
    action under California law, he had become a registered shareholder; this was so
    even though California Corporations Code provided that “[n]o action may be
    instituted or maintained in right of any . . . corporation . . . by the holder . . . of
    shares . . . unless . . . the plaintiff alleges in the complaint that he was a . . .
    registered shareholder . . . at the time of the transaction or any part thereof of
    which he complains”) (emphasis added); Lynam v. Livingston, 
    257 F. Supp. 520
    ,
    524-25 (D. Del. 1966) (holding that plaintiff should be allowed to supplement her
    complaint filed as a shareholder’s derivative action with notice that since filing,
    she had made a demand upon the board of directors to prosecute the claim; “the
    57
    fact that plaintiff was without standing to sue when suit was begun cannot deprive
    her of the right to allege in a supplemental complaint that after suit was instituted
    she complied with all conditions required to give her a right to sue”).11
    The courts’ liberal allowance of supplemental pleadings to enable parties to
    state a case or cure a jurisdictional defect is consistent with the underlying
    11
    The majority analogizes the instant case to a situation in which the federal court has
    jurisdiction over a claim only because of the diversity of the parties’ citizenship, and states,
    correctly, that “only citizenship of the original parties . . . matters for purposes of determining
    whether diversity jurisdiction exists.” Ante at 30. The unique considerations involved in
    addressing the existence of diversity jurisdiction, including concerns over parties acting
    strategically to defeat the statutory requirement, see Owen Equip. & Erection Co. v. Kroger, 
    437 U.S. 365
    , 374, 
    98 S. Ct. 2396
    , 2403, 
    57 L. Ed. 2d 274
     (1978), make necessary a “brightline
    policy of determining diversity as of the date of commencement of the action.” 13B Charles
    Alan Wright, Arthur R. Miller & Edward H. Cooper, Federal Practice and Procedure § 3608 (2d
    ed. 1984).
    This is not a diversity case, but a case in which our jurisdiction is premised upon the
    existence of a federal question of no less than constitutional dimension; plaintiffs sued for
    violations of their Fourth, Eighth, and Fourteenth Amendment rights. Therefore, the diversity
    analogy is inapposite. The distinction between diversity and federal question jurisdiction, as it
    relates to the issue of whether parties can supplement their pleadings to cure a jurisdictional
    defect, is made clear by the myriad cases I cite that allow plaintiffs to supplement their original
    complaints with notice that, since filing, they have fulfilled the jurisdictional prerequisites to
    bring suit. These cases include Supreme Court precedent which explicitly states, in a case in
    which the Court’s jurisdiction was premised on the existence of a federal question, that
    “[d]efective allegations of jurisdiction may be amended, upon terms, in the trial or
    appellate courts.” 
    28 U.S.C. § 1653
    . Although the defect in [plaintiff’s]
    allegations must be cured by supplemental pleading, instead of amended pleading,
    the statutory purpose of avoiding needless sacrifice to defective pleading applies
    equally to this case.
    Matthews, 
    426 U.S. at
    75 n.9, 
    96 S. Ct. at
    1889 n.9.
    The majority is correct to note that just as this is “not a diversity case . . ., neither is it a
    social security case or a copyright case.” Ante at 31. But that is not the point. The point is that
    this is a case in which our jurisdiction is premised on the existence of a federal question, and not
    a case in which we have jurisdiction only because the parties are diverse. Plaintiffs did not
    attempt to supplement their complaint to notice the fact of their acquired diversity; they sought
    to supplement their complaint to notice the fact that a federal law (section 1997e(e)) no longer
    applies in their case.
    58
    philosophy of the Federal Rules of Civil Procedure, that the Rules should “be
    construed and administered to secure the just, speedy, and inexpensive
    determination of every action.” Fed. R. Civ. P. 1. “The Federal Rules reject the
    approach that pleading is a game of skill in which one misstep by counsel may be
    decisive to the outcome and accept the principle that the purpose of pleading is to
    facilitate a proper decision on the merits.” Foman, 
    371 U.S. at 181-82
    , 
    83 S. Ct. at 230
    . Thus, courts routinely grant leave to parties to amend their pleadings under
    Rule 15(a) to set forth transactions, occurrences, or events that could have been
    included in the original pleading, but were omitted for one reason or another. See
    
    id.
     (“In the absence of any apparent or declared reason – such as undue delay, bad
    faith or dilatory motive on the part of the movant, repeated failure to cure
    deficiencies by amendments previously allowed, undue prejudice to the opposing
    party by virtue of allowance of the amendment, futility of amendment, etc. – the
    leave sought [to amend] should, as the rules require, be ‘freely given.’ Of course,
    the grant or denial of an opportunity to amend is within the discretion of the
    District Court, but outright refusal to grant the leave without any justifying reason
    appearing for the denial is not an exercise of discretion; it is merely abuse of that
    discretion and inconsistent with the spirit of the Federal Rules.”); Bank v. Pitt, 
    928 F.2d 1108
    , 1112 (11th Cir. 1991) (“If our precedent leaves any doubt regarding the
    59
    rule to be applied in this circuit, we now dispel that doubt by restating the rule.
    Where a more carefully drafted complaint might state a claim, a plaintiff must be
    given at least one chance to amend the complaint before the district court dismisses
    the action with prejudice.”); Warner v. Alexander Grant & Co., 
    828 F.2d 1528
    ,
    1531 (11th Cir. 1987) (holding that it was error for the district court to dismiss
    with prejudice without granting leave to amend because “[t]he district court’s order
    contravened the well established policy in the federal courts favoring liberal
    pleading requirements”); Czeremcha v. International Ass’n of Machinists &
    Aerospace Workers, 
    724 F.2d 1552
    , 1556 (11th Cir. 1984) (holding that leave to
    file an amendment should be “granted liberally”). And under Rule 15(b), courts
    should allow amendments to conform the pleadings to the evidence both during
    trial, and even after judgment, as long as the opposing party cannot prove that he is
    thereby prejudiced:
    When issues not raised by the pleadings are tried by express or
    implied consent of the parties, they shall be treated in all respects as if
    they had been raised in the pleadings. Such amendment of the
    pleadings as may be necessary to cause them to conform to the
    evidence and to raise these issues may be made upon motion of any
    party at any time, even after judgment; but failure so to amend does
    not affect the result of the trial of these issues. If evidence is objected
    to at the trial on the ground that it is not within the issues made by the
    pleadings, the court may allow the pleadings to be amended and shall
    do so freely when the presentation of the merits of the action will be
    subserved thereby and the objecting party fails to satisfy the court that
    60
    the admission of such evidence would prejudice the party in
    maintaining the party’s action or defense upon the merits.
    Fed. R. Civ. P. 15(b). All of this is in conformance with the “liberal system of
    notice pleading set up by the Federal Rules,” requiring only a “short and plain
    statement of the claim showing that the pleader is entitled to relief.” Leatherman v.
    Tarrant County Narcotics Intelligence and Coordination Unit, 
    507 U.S. 163
    , 168,
    
    113 S. Ct. 1160
    , 1163, 
    122 L. Ed. 2d 517
     (1993) (internal quotation marks
    omitted). The American legal system encourages the efficient resolution of claims
    on the merits, and not the avoidance of legal issues by means of tightfisted
    pleading requirements that constitute nothing more than traps for the unwary.
    With all three elements on the table, we can now answer the question of
    whether plaintiffs in the instant case can supplement their complaint to reflect the
    fact of their release, and thus continue their civil lawsuit against employees of the
    GDC; and the answer is obviously that they can. 42 U.S.C. § 1997e(e) provides
    that “[n]o Federal civil action may be brought by a prisoner confined in a jail,
    prison, or other correctional facility, for mental or emotional injury suffered while
    in custody without a prior showing of physical injury.” There is nothing in the
    plain language of the statute that suggests that Congress wanted federal courts to
    ignore Rule 15(d) in applying section 1997e(e). Given that the Federal Rules of
    Civil Procedure do, themselves, have statutory effect, see United States v. St. Paul
    61
    Mercury Ins. Co., 
    361 F.2d 838
    , 839 (5th Cir. 1966), and given the enormous body
    of caselaw applying Rule 15(d) to cases in which plaintiffs must supplement their
    complaints in order to state a case or cure a jurisdictional defect, we would expect
    Congress to speak with unmistakable clarity if it wanted to override the Federal
    Rules of Civil Procedure in PLRA cases. See Conroy v. Aniskoff, 
    507 U.S. 511
    ,
    516 & n.10, 
    113 S. Ct. 1562
    , 1566 & n.10, 
    123 L. Ed. 2d 229
     (1993) (holding that
    there is a presumption that Congress is aware of the relevant case law); Chisom v.
    Roemer, 
    501 U.S. 380
    , 396, 
    111 S. Ct. 2354
    , 2364, 
    115 L. Ed. 2d 348
     (1991)
    (holding that if Congress had an intent to deviate from an established legal rule,
    “Congress would have made it explicit in the statute”). But there is no such
    unmistakable statement of abrogation; there is not even a hint in the statute that
    federal courts should abandon the usual rules of pleading, and disallow
    supplements which have always (at least since 1963) been freely allowed in the
    normal course to cure a defective complaint. See Matthews, 
    426 U.S. at
    75 n.9, 
    96 S. Ct. at
    1889 n.9 (“[T]he statutory purpose of avoiding needless sacrifice to
    defective pleading applies equally” in cases in which plaintiffs must supplement
    their complaints, as it does to cases in which plaintiffs seek to amend.); Quaratino
    v. Tiffany & Co., 
    71 F.3d 58
    , 66 (2d Cir. 1995) (“[L]eave to file a supplemental
    62
    pleading should be freely permitted.”); Music Deli & Groceries, Inc. v. IRS, 
    781 F. Supp. 992
    , 997 (S.D.N.Y. 1991) (same).
    It does not appear that anyone in Congress even thought about the
    proposition that Rule 15(d) might not apply in PLRA cases. Despite the majority’s
    “irresistible” impulse to dive into the legislative history, ante at 15, there is not one
    word from anyone in Congress, or anyone commenting upon the ramifications of
    the Act, that indicates that Rule 15(d) might not apply in PLRA cases. See
    Chisom, 
    501 U.S. at
    396 & n.23, 111 S. Ct. at 2364 & n.23 (holding that if
    Congress had an intent to deviate from an established legal rule when it enacted a
    statute, “at least some of the Members would have identified or mentioned [the
    issue] at some point in the . . . legislative history . . . . Congress’ silence in this
    regard can be likened to the dog that did not bark.”). In light of today’s decision,
    whenever Congress enacts a statute that qualifies the right of a person to “bring” or
    “commence” or “institute” an action under federal law, district courts in the
    Eleventh Circuit will have to conclude that Rule 15(d) is inapplicable, and that
    courts lack discretion to allow supplemental pleadings to enable a party to state a
    case or cure a jurisdictional defect. See ante at 30 (“If an amendment or
    supplement to the pleadings is offered to show that the citizenship of one of the
    63
    original parties has changed since the lawsuit was filed, that amendment or
    supplement should be denied as futile.”).
    Further, it is clear from the text of the statute that if Congress had wanted to
    override a Federal Rule of Civil Procedure, it certainly knew how to do so. In the
    same statutory section as 42 U.S.C. § 1997e(e), Congress provided in section
    1997e(c)(1) that
    [t]he court shall on its own motion or on the motion of a party dismiss
    any action brought with respect to prison conditions under section
    1983 of this title, or any other Federal law, by a prisoner confined in
    any jail, prison, or other correctional facility if the court is satisfied
    that the action is frivolous, malicious, fails to state a claim upon which
    relief can be granted, or seeks monetary relief from a defendant who is
    immune from such relief.
    42 U.S.C. § 1997e(c)(1). This statutory provision clearly overrides a defendant’s
    normal obligation to file a Rule 12(b)(6) motion or other responsive pleading with
    the court in order to obtain a pre-answer dismissal, by allowing the court to dismiss
    sua sponte a plaintiff’s action if it is “frivolous, malicious, fails to state a claim
    upon which relief can be granted, or seeks monetary relief from a defendant who is
    immune from such relief.” Id. We read each statutory provision with reference to
    the whole Act. See Massachusetts v. Morash, 
    490 U.S. 107
    , 115, 
    109 S. Ct. 1668
    ,
    1673, 
    104 L. Ed. 2d 98
     (1989). Where Congress has demonstrated its ability to
    provide for a particular remedy with specific statutory language, we should not
    64
    read a statutory provision that contains no such specific language to allow for the
    particular remedy at issue. See Dean v. American Sec. Ins. Co., 
    559 F.2d 1036
    ,1039 (5th Cir. 1977); see generally Lexecon, Inc. v. Milberg Weiss Bershad
    Hynes & Lerach, 
    523 U.S. 26
    , 38, 
    118 S. Ct. 956
    , 963, 
    140 L. Ed. 2d 62
     (1998);
    West Virginia Univ. Hosps., Inc. v. Casey, 
    499 U.S. 83
    , 
    111 S. Ct. 1138
    , 
    113 L. Ed. 2d 68
     (1991). Congress knew how to abrogate the Federal Rules when it
    wanted to do so, in section 1997e(c)(1). Because Congress enacted no abrogating
    language in section 1997e(e), it could not have meant that courts should ignore
    Rule 15(d) of the Federal Rules of Civil Procedure in applying that section of the
    PLRA.
    So, the ultimate question remains: if Congress did not mean to override Rule
    15(d) in enacting section 1997e(e), what is the remedy for a violation of the
    statute? The answer, again, is simple. If a federal civil action is brought by a
    confined prisoner “for mental or emotional injury suffered while in custody
    without a prior showing of physical injury,” then the defendant should move the
    court to dismiss the case under 42 U.S.C. § 1997e(e). If the plaintiff cannot
    supplement his complaint to cure the defect, then the court should dismiss the case.
    If, on the other hand, the plaintiff can cure the defect with notice that section
    1997e(e) no longer applies to him, because he has been released from custody, then
    65
    absent “undue delay, bad faith, dilatory tactics, [or] undue prejudice . . . , the
    motion [to supplement under Rule 15(d)] should be freely granted.” Quaratino, 
    71 F.3d at 66
    . Neither this court, nor the Supreme Court, has ever held that when
    Congress restricts a plaintiff’s right to bring a cause of action, we should do
    anything other than obey the congressional command by using the usual
    procedures for pleading, adjudication, and dismissal. Absent explicit direction to
    the contrary, there is no reason to do so today.
    12 B. 12
    The majority calls this “no remedy” at all, ante at 32, because the practical effect of
    such a holding is that plaintiffs who have been released from incarceration following their
    violation of section 1997e(e) will suffer no sanction (other than the burden of alerting the court
    to the fact of their release). The majority states, “[w]e disagree, because we do not think the way
    to enforce congressional enactments is by removing any burden, inconvenience, or expense from
    those who violate them.” Ante at 32. Much like the rest of the majority opinion, this sounds
    good at first blush but it is ultimately without substance. First, the judicial task is to enforce
    Congress’ enactments as written, not to dream up “burden[s], inconvenience[s], [and]
    expense[s]” to levy on those who violate the congressional command. Where Congress has
    given us no indication that the remedy we would like to pursue is available under the statute,
    then it is a violation of the separation of powers for us to enact a remedial scheme that was never
    envisioned by the legislature. Second, for all its grandstanding about the need to sanction
    disobedient plaintiffs, the sum total of the “burden[s], inconvenience[s], [and] expense[s]” that
    the majority has imposed is a second filing fee on plaintiffs, when they re-file their suit after
    being released from incarceration. Finally, as discussed infra in Part III, the real “burden[s],
    inconvenience[s], [and] expense[s]” that flow from the majority’s holding are going to be visited
    upon the judiciary, when courts are forced to dismiss suits (sometimes at summary judgment or
    at trial), and then go through the administrative nightmare of entertaining the same suit again
    when the plaintiff re-files his action.
    66
    Lacking any textual or case support, the majority attempts to prop up the
    court’s holding with references to the legislative history that purportedly establish
    that Congress’ single-minded goal in enacting section 1997e(e) was to curtail
    prisoner “filing[s]” of lawsuits challenging conditions of confinement. See ante at
    16-17, 25-26. Congress was so driven by its objective to stamp out prisoner
    “filing[s],” we are told, that once a prisoner commits the unpardonable error of
    “filing” while still incarcerated, all other considerations are out; the suit must be
    dismissed come hell or high water. First, it is important to note how crucial this
    legislative history is to the majority’s argument, in an opinion that purports to take
    a textualist approach to statutory interpretation, see ante at 4 (“We begin our
    construction of section 1997e(e) where courts should always begin the process of
    legislative interpretation, and where they often should end it as well, which is the
    words of the statutory provision.”). The majority initially tries to justify its
    holding with the clear language of the statute; this is why its spends so much time
    trying to answer the mind-numbing question of “whether ‘bring’ means to
    commence or start a lawsuit, or instead means to maintain or continue it to
    conclusion.” Ante at 4-5. As we have already seen, however, the conclusion that
    “bring” means “commence” does nothing to buttress the court’s holding. Under
    the majority’s reading of the statute, it would not matter whether “bring” meant to
    67
    “commence,” to “maintain,” or to “immediately cease and desist.” No matter what
    the word means, if a prisoner does it while confined, then the case must be
    dismissed, no questions asked. This is the ultimate conclusion that the majority
    must establish – that whatever section 1997e(e) prohibits, if a person who is
    confined in a jail, prison, or other correctional facility does it, then Congress
    intended that courts ignore Rule 15(d) and dismiss the case regardless of whether
    section 1997e(e) has ceased to apply in the individual’s circumstances. The clear
    text cannot establish this conclusion because section 1997e(e) says nothing about
    overriding the existing and facially applicable Rules of Civil Procedure.
    Therefore, in an effort to find a leg to stand on, the “textualist” majority is forced
    to rely upon the legislative history to make an argument based upon congressional
    intent (and not the words that Congress actually enacted).13
    13
    The absence of textual support (and the resort to congressional intent) becomes
    especially apparent when the majority attempts to distinguish Matthews and all the other cases I
    cite for the proposition that plaintiffs in the instant case should be allowed to supplement their
    complaint under Rule 15(d) of the Federal Rules of Civil Procedure. See ante at 28-30. The
    difference between all of those cases and the instant case, we are told, is that “in this case
    permitting the plaintiffs to proceed would undermine the statutory purpose of prohibiting these
    types of claims . . . .” Ante at 29. “Congressional intent” is a tricky thing. Ever since the Legal
    Realist movement of the early 20th Century, scholars have criticized the whole concept of a
    legislative “intent” or “purpose” as undiscoverable at best, and at worst, a facade used by activist
    judges that can be endlessly manipulated in the service of a judge’s personal policy preferences.
    See, e.g., Max Radin, “Statutory Interpretation,” 
    43 Harv. L. Rev. 863
    , 870-71 (1930) (“That the
    intention of the legislature is undiscoverable in any real sense is almost an immediate inference
    from a statement of the proposition. The chances that several hundred men each will have
    exactly the same determinate situations in mind as possible reductions of a given [statutory
    issue], are infinitesimally small . . . . Even if the contents of the minds of the legislature were
    uniform, we have no means of knowing that content except by the external utterances or
    68
    While its attempt to glean from the legislative history a congressional
    fixation on prisoner “filing” is laudable, the majority misses the mark here as well.
    In the first place, the “filing” argument is belied by the plain language of the
    statute, which states that “[n]o Federal civil action may be brought by a prisoner
    behavior of these hundreds of men, and in almost every case the only external act is the
    extremely ambiguous one of acquiescence, which may be motivated in literally hundreds of
    ways . . . .”). Perhaps this is one reason why, in recent years, the federal courts have turned more
    and more to focus on the text of a statute, as opposed to the statutory purpose (often revealed in
    the legislative history). Though congressional intent (and legislative history) still have a
    legitimate place in the interpretive enterprise, this court has embraced the notion that we should
    always begin with the statutory text, and that where the congressional command is clear, we
    should follow the statute as enacted. See United States v. Gilbert, 
    198 F.3d 1293
    , 1298 (11th
    Cir. 1999) (“We begin our construction of the Hyde Amendment where courts should always
    begin the process of legislative interpretation, with the words of the statutory provision
    themselves.”); Kay v. Apfel, 
    176 F.3d 1322
    , 1325 (11th Cir. 1999) (“We begin, as we must, with
    the statutory text itself.”); United States v. Pielago, 
    135 F.3d 703
    , 712 (11th Cir. 1998) (“We
    begin, as always, with the text of the Sentencing Guidelines.”); Hunter v. United States, 
    101 F.3d 1565
    , 1574 (11th Cir. 1996) (“We begin where courts interpreting statutory and rule provisions
    should, with the language of the provisions.”).
    In the instant case, it is clear that Congress did not abrogate Rule 15(d) when it enacted
    section 1997e(e). No such abrogation is mentioned in the statutory text. Therefore, under our
    normal mode of statutory interpretation, we would allow plaintiffs to supplement their complaint
    to notice the fact of their release, and continue their lawsuit against employees of the GDC. This
    result is certainly not “absurd,” such that we might be entitled to reformulate the statute. See
    Rector, Holy Trinity Church v. United States, 
    143 U.S. 457
    , 
    12 S. Ct. 511
    , 
    36 L. Ed. 226
     (1892).
    The result the majority reaches, requiring a court to dismiss and then open the plaintiffs’ case
    anew when plaintiffs re-file their action, seems far more bizarre than simply allowing the suit to
    continue since section 1997e(e) no longer applies in the case. Because the text is clear, and the
    obvious result is not absurd, it is troubling that a court that has so adamantly embraced a
    textualist mode of statutory interpretation should now base its decision almost entirely on
    statutory “purpose.” See ante at 29-30. The difference between the majority position and my
    own is not “crystalized in [my] proposition that a prisoner who files his claim in direct
    contravention of section 1997e(e) while he is incarcerated ought to be allowed to continue with
    that claim after release, because ‘[p]risoners who are released while their suit is still pending
    immediately begin to face the same opportunity costs of prosecuting their action as everyone
    else.’” Ante at 26. The fact that the majority thinks that this is the crucial difference only
    exposes the degree to which the majority has eschewed the text of section 1997e(e), and has
    gotten carried away by considerations of policy.
    69
    confined . . . .” 42 U.S.C. § 1997e(e) (emphasis added). Part III.D.1 of the panel
    opinion (now reinstated) held that this language only precludes prisoners from
    bringing damages actions for mental or emotional injury suffered while in custody,
    and does nothing to prevent prisoners from bringing actions for declaratory or
    injunctive relief. See Harris, 
    190 F.3d at 1287-89
    . If Congress had wanted to
    stamp out all prisoner filings, why leave the injunctive avenue of relief available?
    Under the statute, prisoners can still seek injunctive relief from ongoing mental or
    emotional injury; they are just precluded from seeking damages.
    Moreover, the legislative history, itself, demonstrates that Congress’ purpose
    in enacting section 1997e(e) was a bit more nuanced than stamping out prisoner
    “filings.” The majority unwittingly stumbles upon this conclusion when it opines,
    [a]s the Seventh Circuit has explained, “Congress deemed prisoners to
    be pestiferous litigants because they have so much free time on their
    hands and there are few costs to filing suit.” Kerr v. Puckett, 
    138 F.3d at 323
    . The distinction between current and former prisoners makes
    sense for that reason, and because “[o]pportunity costs of litigation
    rise following release, diminishing the need for special precautions
    against weak suits.” Id.; see also Madrid v. Gomez, 
    190 F.3d 990
    ,
    996 (9th Cir. 1999) (“[I]t is certainly conceivable that, because of
    significant potential gains and low opportunity costs, prisoners
    generally file a disproportionate number of frivolous suits as
    compared to the population as a whole.”); Tucker v. Branker, 
    142 F.3d 1294
    , 1301 (D.C. Cir. 1998) (noting that “prisoners have a lower
    opportunity cost for their time than other indigent (and in all
    likelihood, non-indigent) litigants.”).
    70
    Ante at 17-18. As the majority indirectly recognizes, the real purpose of section
    1997e(e) was not simply to end prisoner “filings,” but to curtail what was viewed
    as the largely meritless litigation (money damages suits for mental or emotional
    injury) being pursued by a group of people (prisoners) who face uniquely low
    opportunity costs in pursuing such litigation. The legislative history is replete with
    references to the idea that prisoners put an especially heavy burden on courts’ civil
    dockets because they have little else to do other than think up ways to sue their
    jailors. See, e.g., 141 Cong. Rec. S7524-26 (daily ed. May 25, 1995) (statements
    by Senators Dole and Kyl) (prisoners have a unique incentive to file frivolous
    lawsuits because litigation “has become a recreational activity for long-term
    residents of our prisons,” because prisoners “have little to lose and everything to
    gain,” and because frivolous complaints are “a means of gaining a short sabbatical
    to the nearest Federal courthouse”) (citations and internal quotation marks
    omitted). If Congress just wanted to cut down on court “filings,” why focus on
    prisoners at all? Congress could have focused its attention on any number of
    groups that were deemed to be especially litigious. Instead, however, Congress
    chose to preclude the bringing of federal civil actions by prisoners because they
    constituted the group that was particularly well-positioned in the litigation arena.
    Prisoners have more free time, and often easier access to legal resources than most
    71
    of the American population. See Bounds v. Smith, 
    430 U.S. 817
    , 828, 
    97 S. Ct. 1491
    , 1498, 
    52 L. Ed. 2d 72
     (1977) (holding “that the fundamental constitutional
    right of access to the courts requires prison authorities to assist inmates in the
    preparation and filing of meaningful legal papers by providing prisoners with
    adequate law libraries or adequate assistance from persons trained in the law”); but
    see Lewis v. Casey, 
    518 U.S. 343
    , 
    116 S. Ct. 2174
    , 
    135 L. Ed. 2d 606
     (1996)
    (holding that Bounds did not eliminate the requirement that an inmate allege actual
    injury that has resulted from a deprivation of adequate legal resources before he
    can gain standing to sue in federal court). Because they often file as indigents,
    prisoners have less to lose and more to gain by bringing lawsuits than the average
    citizen.
    This understanding of the legislative purpose contradicts the majority’s
    holding that a court should dismiss a plaintiff’s action under section 1997e(e) even
    if the plaintiff is no longer incarcerated. As the Seventh Circuit has recognized, the
    “[o]pportunity costs of litigation rise following release, diminishing the need for
    special precautions against weak suits.” Kerr, 
    138 F.3d at 323
    .14 If the purpose
    14
    Aside from the majority’s bald assertion that “the Seventh Circuit would reach . . . the
    same [result as the majority reaches today,]” ante at 10 (thus invoking the “thin air” doctrine, see
    Carlisle v. United States, 
    517 U.S. 416
    , 429, 
    116 S. Ct. 1460
    , 1468, 
    134 L. Ed. 2d 613
     (1996)),
    there is no indication that the Seventh Circuit would agree with the majority’s holding today
    under the reasoning of Kerr. In that case, Judge Easterbrook went on at some length about the
    need for courts to “implement the [statutory] language actually enacted.” Kerr, 
    138 F.3d at 323
    .
    In response to the district court’s argument that “common sense” necessitated that section
    72
    of the PLRA was to curtail frivolous prisoner litigation, then there is no reason to
    apply it to persons who are no longer prisoners under the meaning of the Act.
    Prisoners who are released while their suit is still pending immediately begin to
    face the same opportunity costs of prosecuting their action as everyone else. They
    no longer have the same free time or access to legal resources as they did while in
    custody. Treating former prisoners as if they were still prisoners by dismissing
    their complaints under section 1997e(e) not only contravenes the clear language of
    the statute, and Rule 15(d) of the Federal Rules of Civil Procedure, but it also fails
    to make any sense in light of the statutory purpose.
    C.
    Because today’s holding is contradicted by the clear language of the PLRA,
    ignores Rule 15(d) of the Federal Rules of Civil Procedure, departs radically from
    1997e(e) bar the claims of former prisoners who had been released from custody, the court
    responded:
    “Common sense” is a treacherous guide to statutory interpretation. One person’s
    “common sense” is another’s bete noire. Statutes are compromises among
    legislators who may hold incompatible conceptions of the public weal. Some
    legislators opposed the PLRA outright; others wanted more sweeping restrictions
    on prisoners’ litigation; the actual statute satisfied few completely. Instead of
    relying on “common sense”, which is an invitation to treat the law as if one side
    or the other had its way, a court should implement the language actually
    enacted–provided the statute is not internally inconsistent or otherwise absurd.
    
    Id.
     How this language could support the majority’s contention that we should extend the PLRA
    to cover suits by former prisoners to whom the statute no longer applies, by reading the statute to
    preclude supplemental pleadings to notice the fact of the prisoners’ release, escapes me.
    73
    all applicable case law, is unsupported by the legislative history, and makes no
    sense in light of the statutory purpose (thus exhausting all legitimate avenues of
    statutory construction), I can only conclude that the majority is dissatisfied with
    what Congress has done in enacting section 1997e(e). The real problem the
    majority has in this case is that former prisoners can file suits “for mental or
    emotional injury suffered while in custody without a prior showing of physical
    injury” on the day they are released from incarceration. It is difficult to argue that
    Congress wanted courts to enforce the PLRA with such vigor that they should
    ignore the normal rules of pleading, and disallow supplements indicating that a
    plaintiff has been released from custody, when what Congress actually did was to
    enact a statute that ceases to apply on the same day a prisoner is released. The two
    notions do not gel; the majority’s “dog won’t hunt.” Reynolds v. Roberts, 
    207 F.3d 1288
    , __ (11th Cir. 2000).
    The majority has therefore sought to enhance the PLRA with an
    interpretation that is not supported by the statutory text. Seizing on a few passages
    from the legislative history (none of which are even remotely related to the issue of
    supplemental pleadings), the majority has tried to “put some teeth” into the PLRA,
    ante at 12 (quoting Gay v. Texas Dept. of Corrections State Jail Div., 
    117 F.3d 240
    , 242 (5th Cir. 1997)), by levying one all-purpose sanction on any prisoner who
    74
    seeks to prosecute a claim for mental or emotional injury, even if the PLRA no
    longer applies in his case. Why this dissatisfaction with the statute that Congress
    actually enacted? The answer can be found in the majority’s discussion of the
    number of prisoner filings, bemoaning the fact that “[l]ast year alone, there were
    3,465 prisoner lawsuits filed in the district courts of this circuit.” Ante at 20.15
    The PLRA may go some distance in reducing the volume of prisoner litigation, but
    the majority has decided that it does not go far enough. So, because Congress did
    not quite get it right, we will “help out the legislature” today by means of a judicial
    amendment that takes the unprecedented step of inferring a remedy for a violation
    of section 1997e(e) that can be found nowhere in the statute, and that was never
    mentioned during the legislative debates.
    Congress could have done a lot of things when it enacted the PLRA. It
    could have provided for criminal penalties for a violation of section 1997e(e), or a
    civil fine to be imposed every time a prisoner files while incarcerated. It even
    could have rendered Rule 15(d) inapplicable in prisoner litigation, so that a
    15
    I dislike frivolous prisoner litigation as much as my colleagues do. Suits that are truly
    meritless (such as Eighth Amendment claims that prisoners have a constitutional entitlement to
    chunky peanut butter, see 141 Cong. Rec. S14408-01, S14413 (daily ed. Sept. 27, 1995)
    (statement of Sen. Dole)) impair the courts’ judicial resources, and increase overall delay – at
    both the trial and appellate levels – in a circuit that is already extraordinarily burdened.
    Frustration with frivolous lawsuits, however, does not give us the authority to enact legislation to
    cure the problem. We are bound by Congress’ enactments, and where Congress has spoken to
    the question of remedies, we may go no further.
    75
    prisoner would be precluded from supplementing his complaint to reflect the fact
    of his release. We know that when Congress wanted to alter the Rules of Civil
    Procedure, as in section 1997e(c)(1) (court shall “on its own motion . . . dismiss
    any action . . . [that is] frivolous, malicious, fails to state a claim upon which relief
    can be granted, or seeks monetary relief from a defendant who is immune from
    such relief”), it certainly knew how to do so. Congress, however, provided for
    none of these remedies for a violation of section 1997e(e). It simply provided that
    “[n]o Federal civil action may be brought.” Without congressional authorization, it
    is utterly inconceivable that the majority could infer from these words such a
    drastic remedy as dismissal, regardless of whether the statute actually applies.
    In an effort to assist Congress in stamping out prisoner lawsuits, the majority
    has forgotten the one very basic, but fundamental truth that “there is no liberty if
    the power of judging be not separated from the legislative and executive powers.”
    The Federalist No. 78, at 466 (Alexander Hamilton) (Clinton Rossiter ed., 1961)
    (quoting Montesquieu, The Spirit of the Laws, vol. I, p. 181). Quite frankly, it is
    not our job to “put some teeth” into the PLRA, or any other statute that Congress
    enacts; our job is to follow the congressional command by enforcing the statute as
    written. “Courts are not authorized to rewrite a statute because they might deem its
    effects susceptible of improvements.” Badaracco v. Commissioner, 
    464 U.S. 386
    ,
    76
    398, 
    104 S. Ct. 756
    , 764, 
    78 L. Ed. 2d 549
     (1984); see also Bount v. Rizzi, 
    400 U.S. 410
    , 419, 
    91 S. Ct. 423
    , 429, 
    27 L. Ed. 2d 498
     (1971) (“[I]t is for Congress,
    not this Court, to rewrite the statute.”); Korman v. HBC Florida, Inc., 
    182 F.3d 1291
    , 1296 (11th Cir. 1999) (“It is not the business of courts to rewrite statutes.”);
    cf. Chevron, U.S.A., Inc. v. Natural Resources Defense Council, Inc., 
    467 U.S. 837
    , 865, 
    10 S. Ct. 2778
    , 2793, 
    81 L. Ed. 2d 694
     (1984) (“Courts must, in some
    cases, reconcile competing political interests, but not on the basis of judges’
    personal policy preferences.”); cf. also Chandler v. James, 
    180 F.3d 1254
    , 1275
    (11th Cir. 1999) (Tjoflat, J., specially concurring) (discussing the separation of
    powers concerns that arise when courts use the injunctive remedy beyond what
    Congress has prescribed). The fact that the majority thinks that it is following
    Congress’ purpose is no justification for encroaching upon the legislative domain
    by inferring remedies that cannot plausibly be drawn from the statutory language.
    When we blur the boundaries between the judicial and political branches, we
    threaten the supremacy of the legislature when it comes to the creation of law.
    III.
    The immediate effects of today’s decision are troubling. Despite the
    majority’s desire to cut down on prisoner litigation, today’s holding will simply
    77
    spawn needless litigation as the district courts in this circuit are forced to dismiss a
    prisoner’s case without prejudice, and then reconsider the case without the physical
    injury component after the prisoner is released from custody. I appreciate the
    majority’s candor in acknowledging that because “some . . . claims will be re-filed
    after the [prisoner] is released . . ., more total effort may well be required to
    adjudicate those particular claims than if [the majority’s interpretation of] the
    section 1997e(e) bar did not exist.” Ante at 22-23. I doubt, however, that the
    majority realizes the magnitude of the “total effort” that district courts will now
    have to invest in implementing today’s decision. The issue of whether a prisoner
    can meet section 1997e(e)’s physical injury requirement may not be decided, in
    many cases, until summary judgment or at trial. Thus, a district court now faces
    the prospect of bringing its resources to bear on a prisoner’s claim, only to
    conclude on motion for summary judgment or at trial that, since the prisoner
    suffered no physical injury, it must dismiss the case. The court’s efforts will have
    gone for naught because its determination that there was no physical injury will be
    of no moment in the court’s consideration of the former prisoner’s claim, asserted
    in a new suit filed subsequent to his release, that he suffered mental or emotional
    injury while in custody.
    78
    Following, I set out Congress’ purpose in enacting section 1997e(e). I then
    compare, in light of the congressional purpose, the practical effects of my
    interpretation of section 1997e(e), with the practical effects that will surely flow
    from the majority’s interpretation.
    A.
    As noted supra in Part II.B, the purpose of section 1997e(e) was not just to
    cut down on prisoner “filing.” Such a myopic view of the statute misses the forest
    for only one tree. The purpose of the statute was to curtail what was viewed as the
    largely meritless litigation (money damages suits for mental or emotional injury)
    being pursued by a group of people (prisoners) who face uniquely low opportunity
    costs in pursuing such litigation. This broad understanding of the congressional
    design actually imputes two, interrelated motives to Congress. In enacting the
    PLRA, Congress sought to (1) conserve judicial resources, and (2) continue to
    allow prisoners to pursue meritorious litigation.
    First, Congress sought to preserve judicial resources by enacting a series of
    measures that function as gate-keepers to the district courts.16 Prior to the
    enactment of the PLRA, 
    28 U.S.C. § 1915
    (d) was the only gate-keeping
    16
    In enacting the PLRA, Congress also sought to preserve state court resources. Because
    this case focuses on litigation in the federal courts, I tailor my remarks accordingly.
    79
    mechanism that district courts had at their disposal to screen out frivolous prisoner
    lawsuits. That section allowed a court to dismiss a case, sua sponte, if the court
    was “satisfied that the action [was] frivolous or malicious.” 
    28 U.S.C. § 1915
    (d)
    (1994). Because Congress deemed section 1915(d) inadequate to safeguard
    judicial resources from the onslaught of prisoner lawsuits, it enacted several
    provisions of the PLRA to serve as heightened gate-keepers.
    
    28 U.S.C. § 1915
    (b), for example, qualifies a prisoner’s right to bring a civil
    action in forma pauperis by requiring partial payment of the filing fee up-front, and
    then monthly payments to cover the balance of the fee. This provision increases
    the costs of bringing a civil action for the prisoner, and thus makes it more likely
    that prisoners will only bring suits that have some merit. Certainly, section
    1915(b) will decrease prisoner “filings.” But why is that, in the view of Congress,
    a good thing? The answer, of course, is because fewer “filings” means fewer
    judicial resources expended on prisoner lawsuits. The ultimate goal is not just to
    decrease prisoner “filings;” the goal is to save the judiciary the expenditure of time
    and resources.
    The same is true of section 1997e(e). The requirement that prisoners
    demonstrate physical injury serves as a gate-keeping mechanism by screening out a
    certain class of cases – cases in which a prisoner seeks damages for mental or
    80
    emotional injury only. This raises the bar on a prisoner who wants to bring a
    damages action while incarcerated, by forcing the prisoner to demonstrate an
    element (physical injury) that is not necessarily required to state a claim for relief
    under the Eighth Amendment.17 Thus, the district courts’ resources are preserved
    for cases in which a prisoner can demonstrate physical injury. A court is
    empowered to make an up-front determination of whether the prisoner has alleged
    injury sufficient to meet the section 1997e(e) requirement; if not, then the case can
    be disposed of without substantially taxing the court’s resources.
    The second purpose animating the PLRA is Congress’ desire to continue to
    allow prisoners to pursue meritorious litigation. The legislative history is replete
    with examples of frivolous prisoner lawsuits that were so ridiculous that they
    would be humorous, but for the fact that they were constituting a serious drain on
    judicial resources. See, e.g., 141 Cong. Rec. S7498-01, S7524 (daily ed. May 25,
    1995) (statement of Sen. Dole) (“[P]risoners have filed lawsuits claiming such
    grievances as insufficient storage locker space, being prohibited from attending
    anniversary party, and yes, being served creamy peanut butter instead of the
    17
    As Justice Blackman wrote in Hudson v. McMillian, “[i]t is not hard to imagine
    inflictions of psychological harm – without corresponding physical harm – that might prove to
    be cruel and unusual punishment.” He cited as an example, “Wisniewski v. Kenard, 
    901 F.2d 1276
    , 1277 (CA5) (guard plaining revolver in inmate’s mouth and threatening to blow prisoner’s
    head off), cert. denied, 
    498 U.S. 926
    , 
    111 S. Ct. 309
    , 
    112 L. Ed. 2d 262
     (1990).” Hudson v.
    McMillian, 
    503 U.S. 1
    , 16, 
    112 S. Ct. 995
    , 1004, 
    112 S. Ct. 995
    , 
    117 L. Ed. 2d 156
     (1992)
    (Blackmun, J., concurring).
    81
    chunky variety they had ordered.”); 141 Cong. Rec. S14408-01, S14418 (daily ed.
    Sept. 27, 1995) (statement of Sen. Hatch) (“In one frivolous case . . ., an inmate
    sued demanding that he be issued Reebok or L.A. Gear brand shoes instead of the
    Converse brand being issued. In another case, an inmate deliberately flooded his
    cell, then sued the officers who cleaned up the mess because they got his Pinochle
    cards wet.”); 141 Cong. Rec. S14611-01, S14626 (daily ed. Sept. 29, 1995)
    (statement of Sen. Reid) (among “top 10 lawsuits in Nevada filed by prisoners,”
    were claims that the prisoner should not be required to open his window slot when
    meals are served, that the delivery of mail interfered with prisoner’s usual sleeping
    pattern, and that the prisoner was given a size five tennis shoe, when the actual
    size of his foot was four and three-fourths). It is this class of litigation, frivolous
    prisoner lawsuits, that Congress sought to screen out. Congress had no intent to
    prevent meritorious suits filed by prisoners from being adjudicated in the courts.
    Section 1997e(e) perfectly illustrates the congressional desire to continue to
    allow prisoners to bring meritorious lawsuits. Congress could have eliminated all
    damages actions by plaintiffs confined in a jail, prison, or other correctional
    facility. This would certainly have been the most effective route if Congress’ sole
    purpose in enacting the PLRA was to conserve judicial resources. But section
    1997e(e) only affects actions brought solely for mental or emotional injury, and
    82
    does not impair a prisoner’s right to bring an action for physical injury. Why the
    distinction? Obviously, Congress made a determination that suits brought solely
    for mental or emotional injury were more likely to be without merit than cases in
    which a prisoner sustains some physical injury.
    This determination certainly comports with traditional legal principles; tort
    law, for example, is notorious for redressing the claims of those who have
    undergone a nonconsenual “touching,” while virtually ignoring those who claim to
    have suffered some damage from “verbal harassment.” Because Congress wanted
    to conserve judicial resources while still allowing prisoners to pursue meritorious
    litigation, it identified a certain class of cases as being particularly likely to be
    without merit – cases in which prisoners sued for mental or emotional injury only –
    and then screened off those cases as not deserving of judicial consideration.
    B.
    My interpretation of section 1997e(e) is faithful to the congressional purpose
    of conserving judicial resources while still allowing prisoners to pursue
    meritorious claims. Consider a case in which a prisoner alleges that prison guards
    physically abused him, and seeks damages for both the physical injury, and the
    mental or emotional distress that resulted. In one scenario, the case will move
    83
    along, the parties will engage in discovery, and the defendant will move for
    summary judgment, contending that the prisoner has failed to demonstrate physical
    injury and that the case should therefore be dismissed. Before the court rules on
    the defendant’s motion, assume that the plaintiff is released from incarceration, and
    seeks to supplement his complaint to notice the fact of his release and to delete his
    allegation of physical injury.
    If, as under my interpretation of section 1997e(e), the court has discretion to
    permit the supplement, then the court can adjudicate the plaintiff’s claim for mental
    or emotional injury only. The section 1997e(e) bar will no longer apply, and the
    court can adjudicate the case in one proceeding. The judicial machinery will only
    be set in motion one time in order to dispose of the whole case.
    Now consider a second scenario. It is entirely likely that many prisoners
    will be able to proffer enough evidence of physical injury to preclude the court
    from dismissing their claims for damages on motion for summary judgment. In
    that case, the issue of whether the prisoner suffered physical injury will go to trial.
    If a prisoner is released from incarceration during trial, then under my
    interpretation of section 1997e(e), the district judge will have discretion to allow
    the plaintiff to supplement his complaint, and to delete his allegation of physical
    injury. Because the court is able to exercise its discretion, the parties can litigate
    84
    the claim for mental or emotional injury to final judgment. Again, the section
    1997e(e) bar will no longer apply, and the court will only have to oversee one
    proceeding in order to dispose of the whole case.
    The key to understanding this interpretation of section 1997e(e) is to realize
    that the value of the statutory provision, in terms of conserving judicial resources,
    depends on how quickly the district judge acts on a prisoner’s complaint,
    specifically, the prisoner’s allegation of physical injury. If the district judge can
    determine from the pleading that the prisoner has failed to allege physical injury
    sufficient to withstand the section 1997e(e) bar, then the litigation has not cost very
    much in terms of judicial resources. It is true that the prisoner will be able to re-
    file his claim for mental or emotional injury once he is released, and thus subject
    the judiciary to two, almost identical lawsuits. But the costs of dismissing the suit
    while the prisoner was incarcerated were not very high; therefore, the sanction of
    forcing the prisoner to re-file the case once he is released has not come at a high
    cost to the judiciary.
    The further along the case proceeds, the more it costs in terms of judicial
    resources, and the closer the date of the prisoner’s release from custody. If the
    case reaches the summary judgment stage or goes to trial, then a substantial
    amount of judicial effort has been invested in determining whether the prisoner
    85
    suffered physical injury. If the prisoner is released from incarceration, and the
    court determines (either on summary judgment or at trial) that his evidence of
    physical injury is insufficient, the costs of dismissing the case, requiring the former
    prisoner to re-file it, and forcing the court to entertain the litigation all over again,
    impose a very high price on the judiciary. This is because once the case is re-filed,
    the court will have to address it anew. All of the court’s work in determining
    whether the plaintiff suffered physical injury will have been for naught, because
    physical injury will no longer be an element of the plaintiff’s claim. This seems
    like an exorbitantly high price to pay merely to extract a second filing fee from the
    plaintiff (who may not have to pay the filing fee after all, because he will likely be
    able to proceed in forma pauperis). Thus, the sensible solution, and the solution
    obviously intended by Congress when it fashioned section 1997e(e) not to abrogate
    Rule 15(d), is to allow released prisoners to supplement their complaints and
    continue their lawsuits.
    C.
    Today’s holding, on the other hand, requires a district court to engage in the
    administrative absurdity of dismissing a case no matter what stage the litigation has
    reached, and regardless of whether the plaintiff has been released from
    86
    incarceration, and then entertain the case anew when the former prisoner files his
    action again.18 In the first scenario discussed above (where plaintiff seeks to
    supplement his complaint to notice the fact of his release and withdraw his
    allegation of physical injury before summary judgment is entered), the court’s
    holding today will mean that the district court will lack discretion to permit the
    supplement. Thus, if the court resolves the issue of physical injury against the
    plaintiff – because it either treats the plaintiff’s motion as a concession that the
    plaintiff cannot demonstrate physical injury, or grants partial summary judgment
    on the issue of physical injury – it will have to dismiss (without prejudice) the case
    under section 1997e(e). The plaintiff will immediately re-file, seeking damages for
    mental or emotional injury only. The court will then be forced to consider, in a
    second proceeding, the plaintiff’s claim for mental or emotional injury, all because
    it had to dismiss the previous case under the court’s holding today. All the court’s
    work in the previous case will have been for naught.
    The even worse scenario, of course, is where the prisoner’s case actually
    goes to trial. If a court cannot grant the released prisoner’s motion to supplement
    18
    As opposed to the majority’s somewhat exotic hypothetical where a prisoner is
    confined, and then released, and then picked up again and jailed, and then bailed out, and then
    returned to prison, ante at 19, the spectacle of a court dismissing an action, just so it can entertain
    the action again when the former prisoner files his action anew is not hypothetical; it is the result
    of the majority opinion.
    87
    at trial, then the court faces the prospect of dismissing the case under section
    1997e(e) (even though the plaintiff has been released from incarceration), and then
    adjudicating the case once again when the plaintiff re-files for mental or emotional
    injury. In this scenario, the court’ s holding today will force the district court to
    engage in a full-blown trial that will ultimately serve no purpose other than
    requiring the plaintiff to pay a second filing fee (in the event that he is ineligible
    for in forma pauperis status).
    The majority’s interpretation not only wastes judicial resources; it is also
    unfaithful to the second congressional purpose of continuing to allow prisoners to
    pursue meritorious lawsuits. If a prisoner is able to surmount the summary
    judgment hurdle – that is, convince a district judge that his claim for physical
    injury has enough evidentiary support to warrant a fact determination – then his
    case is meritorious by definition. Thus, by forcing district courts to dismiss a
    plaintiff’s case whenever it becomes apparent that the plaintiff has suffered no
    physical injury (even if that determination is not made until trial), the court’s
    holding punishes plaintiffs who did not violate section 1997e(e). It is at least
    arguable that if a plaintiff can get by summary judgment on the issue of physical
    injury, then he did not bring a case “for mental or emotional injury suffered while
    88
    in custody without a prior showing of physical injury.” 42 U.S.C. § 1997e(e).19 It
    therefore seems odd to punish a plaintiff (by dismissing his case and forcing him to
    pay a second filing fee) after his release from incarceration, when the action, as
    originally brought, was meritorious. The majority punishes a whole class of
    plaintiffs (those who bring meritorious cases) who Congress never intended to
    subject to punishment.
    In addition to unduly taxing district court resources, the court also imposes a
    burden on defendants to defend the action all over again when plaintiffs re-file.
    After the defendant has already invested enormous amounts of time and money in
    defending the lawsuit, why would the defendant ever want the court to dismiss the
    19
    There are two ways that one could read section 1997e(e)’s proscription on bringing
    suits for mental or emotional injury suffered while in custody without a prior showing of
    physical injury. One could interpret the provision as precluding a prisoner from bringing all
    damages actions in which the trier of fact does not ultimately find that the prisoner suffered
    physical injury. Alternatively, one could read the statute as precluding only those lawsuits in
    which the prisoner does not have enough evidence of physical injury to get past summary
    judgment. It seems unlikely that Congress intended the first interpretation. The issue of whether
    the prisoner intentionally violated section 1997e(e) would become irrelevant to the statutory
    construction, because if the prisoner has enough evidence of physical injury to surpass the
    summary judgment hurdle, he obviously did not intend to violate the statute when he filed his
    suit. If a district court does not grant summary judgment to the defendant, then when the
    prisoner brought the action, the case was meritorious enough to preclude a district judge from
    throwing it out. Whether the prisoner’s violation of section 1997e(e) was intentional, however,
    must at least play some role in our interpretation; this is because, as discussed supra, in enacting
    section 1997e(e) Congress only intended to screen out frivolous suits from the district courts’
    dockets. The focus was on punishing those prisoners who repeatedly abuse the judicial process
    by filing claims that are patently without merit. This does not mean that we should impose some
    mens rea requirement on the functioning of section 1997e(e). But the issue of intent, as it relates
    to whether a prisoner’s case is so frivolous that he obviously knew he was violating section
    1997e(e) when he brought the action, is relevant to determining whether a violation has actually
    occurred.
    89
    case without resolving all of the plaintiff’s claims? If the court dismisses the
    action, then the plaintiff will re-file, and the defendant will have to defend a second
    time. Because a defendant will most likely want the court to address the plaintiff’s
    whole case (including the plaintiff’s claim for mental or emotional injury only) in
    one proceeding, the defendant may request the court to grant the plaintiff’s motion
    to supplement and carry the case to final judgment. If the court granted the
    defendant’s request, its ruling would be insulated from appellate review under the
    invited error doctrine.
    The majority’s sole justification for imposing on the district courts’ scarce
    resources is that a prisoner who violates section 1997e(e) must be made to suffer
    some “burden, inconvenience, or expense,” ante at 32. The sum total of this
    “burden, inconvenience, or expense” comes down to this: the former prisoner will
    have to pay a second filing fee when he re-files his claims for mental or emotional
    injury. There are two reasons why the majority’s “burden, inconvenience, or
    expense” may be no burden at all.
    First, because the PLRA will no longer apply, it is likely that many former
    prisoners will not have to pay a second filing fee, because they will be entitled to
    file in forma pauperis under 
    28 U.S.C. § 1915
    (a)(1). Second, even if they do have
    to pay the fee, this punishment will have been extracted at a disproportionate cost
    90
    to the judiciary, and the defendant. As discussed above, if the district judge is
    forced to dismiss the case at summary judgment or trial (even though the plaintiff
    has been released from incarceration, and thus relieved of the burden of
    demonstrating physical injury), then all the time and resources invested by the
    court and the defendant will have been wasted. When one compares the cost of a
    second filing fee to the plaintiff with the costs today’s decision imposes upon the
    judicial system, one wonders exactly who the majority seeks to punish in this case.
    IV.
    For the foregoing reasons, I dissent from the court’s holding that section
    1997e(e) of the PLRA required the district court to dismiss plaintiffs’ complaint,
    even though that section no longer applies to plaintiffs because they are no longer
    prisoners within the meaning of the Act. I would reinstate fully the panel opinion
    in this case, vacating the district court’s dismissal of claims for compensatory and
    punitive damages for plaintiffs Chadwick, Harris, Cook, Hooks, Nation, and
    Dailey, and remanding the case to the district court for further proceedings.
    I concur in the court’s judgment insofar as it reinstates those parts of the
    panel opinion that dispose of the claims of plaintiffs Locklear, Kilgore, Langes,
    Brinkley, and Wade.
    91
    92
    

Document Info

Docket Number: 98-8899

Citation Numbers: 190 F.3d 1279

Filed Date: 9/30/1999

Precedential Status: Precedential

Modified Date: 2/19/2016

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