Bag of Holdings, LLC v. City of Philadelphia , 682 F. App'x 94 ( 2017 )


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  •                                                                  NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    No. 16-1808
    _____________
    BAG OF HOLDINGS, LLC,
    Appellant
    v.
    CITY OF PHILADELPHIA; KENYATTA JOHNSON, individually and in his official
    capacity as Councilman for the Second District of Philadelphia
    ______________
    On Appeal from the United States District Court
    for the Eastern District of Pennsylvania
    (D.C. Civil No. 2-14-cv-06774)
    District Judge: Honorable Wendy Beetlestone
    ______________
    Submitted Under Third Circuit LAR 34.1(a)
    November 8, 2016
    ______________
    Before: McKEE and RESTREPO, Circuit Judges, and HORNAK,* District Judge.
    (Filed: March 16, 2017)
    ______________
    OPINION**
    ______________
    *
    Honorable Mark R. Hornak, District Judge for the United States District Court for
    the Western District of Pennsylvania, sitting by designation.
    **
    This disposition is not an Opinion of the full Court and, pursuant to I.O.P. 5.7,
    does not constitute binding precedent.
    HORNAK, District Judge.
    Bag of Holdings, LLC (“BOH”) appeals from the order of the United States
    District Court for the Eastern District of Pennsylvania granting summary judgment for
    Kenyatta Johnson, a Philadelphia City Councilman. We will affirm the District Court’s
    judgment in favor of Councilman Johnson.
    I.
    Because we write primarily for the parties, we set forth only those facts relevant to
    our conclusion.
    The Philadelphia City Code requires that all City-owned real property be
    advertised to the public and opened to competitive bids before it is sold. No sale becomes
    final without the approval of the City Council. In 2012, a City land-sale policy was issued
    for the sale of real property owned by the Philadelphia Redevelopment Authority and
    other City agencies. Although the City policy was never codified into law, it directed
    agencies to utilize an “open market” approach for the sale of a property when a
    prospective purchaser offered less than the asking price or when multiple entities
    expressed an interest in purchasing it.
    In 2014, the City land-sale policy was revised so that City agencies could use
    several different methods to sell a parcel of land: by giving preference to a buyer who
    intended that the land be used for a public purpose, determining the most qualified
    applicant, utilizing a competitive bidding process, or engaging in a direct sale. In the
    event of a direct sale, the sale price would be determined by an appraisal and the Real
    Estate Review Committee would review the agency’s decision to sell. In any case, once
    2
    the selling agency signed off on the sale, the Vacant Property Review Committee would
    assess the sale and supporting rationale. If the Vacant Property Review Committee
    approved the sale, it would draft a final-approval resolution for introduction in City
    Council. Then, if the City Council passed the resolution, the sale would be finalized and
    the property transferred to the buyer.
    Between 2012 and 2014, BOH submitted expressions of interest for approximately
    twenty City-owned lots. Each of these lots also received expressions of interest from
    other prospective purchasers. Nevertheless, all of the lots were sold outside of the
    competitive sales process, and BOH was therefore unable to purchase any of them. On at
    least some occasions, a representative from Councilman Johnson’s office had requested
    that the Redevelopment Authority approve the direct sale of a property over multiple
    expressions of interest. As it turned out, seven of the lots were sold directly to friends or
    political contributors of Johnson. And some were sold below market value and without
    the completion of an appraisal or a review by the Real Estate Review Committee—
    allegedly in violation of the City’s land sale policy.
    BOH filed this suit claiming that Councilman Johnson violated his constitutional
    right to equal protection under the Equal Protection Clause of the Fourteenth
    Amendment. Johnson raised the defense of qualified immunity, and the District Court,
    concluding he was entitled to it, granted summary judgment in Johnson’s favor. The
    District Court held that the constitutional right alleged to have been violated was not
    clearly established for qualified immunity purposes.
    3
    II.
    The District Court had jurisdiction over this case under 28 U.S.C. § 1331. We
    have jurisdiction over this appeal under 28 U.S.C. § 1291.
    Our review of the District Court’s grant of summary judgment is plenary, and we
    apply the same standards that the District Court applied in determining whether summary
    judgment was appropriate. Giles v. Kearney, 
    571 F.3d 318
    , 322 (3d Cir. 2009). Viewing
    the evidence in the light most favorable to the nonmovant, summary judgment is
    appropriate if there is “no genuine issue as to any material fact and . . . the moving party
    is entitled to judgment as a matter of law.” 
    Id. (quoting Fed.
    R. Civ. P. 56(c)). “The mere
    existence of some evidence in support of the nonmovant is insufficient to deny a motion
    for summary judgment; enough evidence must exist to enable a jury to reasonably find
    for the nonmovant on the issue.” 
    Id. (citing Anderson
    v. Liberty Lobby, Inc., 
    477 U.S. 242
    (1986)).
    The doctrine of qualified immunity shields government officials “from civil
    damages liability unless the official violated a statutory or constitutional right that was
    clearly established at the time of the challenged conduct.” Reichle v. Howards, 
    132 S. Ct. 2088
    , 2093 (2012). It “protects all but the plainly incompetent or those who knowingly
    violate the law.” Taylor v. Barkes, 
    135 S. Ct. 2042
    , 2044 (2015). To determine whether a
    government official is entitled to qualified immunity, we ask: (1) whether the facts
    alleged by the plaintiff show the violation of a constitutional right, and (2) whether that
    right was clearly established at the time of the violation. Saucier v. Katz, 
    533 U.S. 194
    ,
    4
    201 (2001). We need not undertake the inquiry in that order. Pearson v. Callahan, 
    555 U.S. 223
    , 235-36 (2009).
    For a government official to have “fair warning” that his or her actions violate a
    person’s rights, see United States v. Lanier, 
    520 U.S. 259
    , 270 (1997), the contours of the
    right alleged to have been violated “must be sufficiently clear ‘that every reasonable
    official would [have understood] that what he is doing violates that right.’” 
    Reichle, 132 S. Ct. at 2093
    . Although it is not necessary to have a case “directly on point,” see
    Mullenix v. Luna, 
    136 S. Ct. 305
    , 308 (2015), “existing precedent must have placed the
    statutory or constitutional question beyond debate.” 
    Reichle, 132 S. Ct. at 2093
    . The
    Supreme Court has repeatedly cautioned that courts should “not . . . define clearly
    established law at a high level of generality.” 
    Mullenix, 136 S. Ct. at 308
    . “The
    dispositive question is ‘whether the violative nature of particular conduct is clearly
    established.’” 
    Id. “This inquiry
    ‘must be undertaken in light of the specific context of the
    case, not as a broad general proposition.’”1 
    Id. Recognizing its
    discretion to do so, the District Court bypassed the question of
    whether BOH’s rights were violated and considered first whether the right allegedly
    violated was clearly established, concluding that it was not. Whether the right allegedly
    violated was clearly established is a question of law over which our review is
    unrestricted. Atkinson v. Taylor, 
    316 F.3d 257
    , 261 (3d Cir. 2003).
    1
    The Supreme Court recently reiterated these longstanding principles in a per curiam
    decision addressing the application of qualified immunity in an excessive force case. See
    White v. Pauly, 
    137 S. Ct. 548
    , 551-52 (2017).
    5
    III.
    Broadly speaking, the Equal Protection Clause of the Fourteenth Amendment
    requires that similarly situated individuals be treated alike absent a rational basis to
    distinguish between them. City of Cleburne, Tex. v. Cleburne Living Ctr., 
    473 U.S. 432
    ,
    439-42 (1985). BOH argues that Councilman Johnson violated its equal protection rights
    under a “class of one” theory, which was endorsed by the Supreme Court in Village of
    Willowbrook v. Olech, 
    528 U.S. 562
    (2000). Given the particular facts alleged in this
    case, we conclude, as did the District Court, that the right at issue was not clearly
    established for qualified immunity purposes.
    In Olech, a property owner asked the Village of Willowbrook to connect her
    property to the municipal water supply. 
    Id. at 563.
    Although the Village required only a
    15-foot easement from other property owners seeking to access the water supply, it
    conditioned the connection of Olech’s water on the grant of a 33-foot easement. 
    Id. Olech sued
    the Village, claiming that the demand of an additional 18-foot easement violated the
    Equal Protection Clause of the Fourteenth Amendment. 
    Id. The Supreme
    Court granted
    certiorari to determine whether, under the Equal Protection Clause, a plaintiff may
    maintain an action as a “class of one”—in other words, without alleging membership in a
    class or group. 
    Id. at 564.
    The Supreme Court concluded, in general terms, that a plaintiff
    may proceed on a “class of one” theory under the Equal Protection Clause where “she
    alleges that she has been intentionally treated differently from others similarly situated
    and that there is no rational basis for the difference in treatment.” 
    Id. Allegations of
    6
    irrational and wholly arbitrary disparate treatment were sufficient, regardless of
    subjective motivation, to state a claim for relief. 
    Id. at 565.
    BOH urges us to read Olech so broadly that Councilman Johnson’s alleged
    conduct in this case—operation of the City’s land sale process in a way that resulted in
    the sale of one-third of the lots in which BOH was interested to friends and political
    contributors—amounts to a clear violation of the Equal Protection Clause. But even
    assuming Olech’s holding allows BOH to state a constitutional claim on equal protection
    grounds,2 it does not necessarily follow that Olech’s holding, so read, is sufficiently clear
    to strip Johnson of his qualified immunity on these facts. That conclusion would require
    us to attribute to “every reasonable official” the knowledge that favorable treatment for
    political contributors in the context of a city land sale so clearly amounts to an equal
    protection violation that the question is “beyond debate.” 
    Reichle, 132 S. Ct. at 2093
    .
    When addressing qualified immunity in the context of equal protection claims, we
    have cautioned that “[i]t is not enough to address the plaintiffs’ equal protection claim in
    the broad sense.” Hynson ex rel. Hynson v. City of Chester Legal Dep’t, 
    864 F.2d 1026
    ,
    1032 (3d Cir. 1988). Instead, a court “must focus on [the] particularized right,” 
    id., defining “the
    right allegedly violated at the appropriate level of specificity.” Sharp v.
    Johnson, 
    669 F.3d 144
    , 159 (3d Cir. 2012). Stripping qualified immunity based upon
    broadly stated abstractions of the right at issue “would . . . convert the rule of qualified
    immunity that our cases plainly establish into a rule of virtually unqualified liability”
    2
    We need not, and do not, decide here whether the reach of Olech was sufficiently
    sweeping to allow BOH to state a constitutional claim on equal protection grounds.
    Further, like the District Court, we need not address the question of legislative immunity.
    7
    where a party alleges the “violation of extremely abstract rights.” Spady v. Bethlehem
    Area Sch. Dist., 
    800 F.3d 633
    , 638 (3d Cir. 2015) (citing Anderson v. Creighton, 
    483 U.S. 635
    , 639 (1987)).
    In Olech itself, Justice Breyer, concurring in the result, recognized a concern that
    the Court not turn “ordinary violations of city or state law into violations of the
    
    Constitution.” 528 U.S. at 565
    (Breyer, J., concurring). He cautioned against, for
    example, “transforming run-of-the-mill zoning cases into cases of constitutional right.”
    
    Id. at 566.
    “It might be thought that a rule that looks only to an intentional difference in
    treatment and a lack of a rational basis for that different treatment would work such a
    transformation.” 
    Id. at 565.
    Examining its own decision in Olech, the Supreme Court later clarified that not
    every instance of individualized differential treatment gives rise to an equal protection
    violation. Equal protection suits under a “class of one” theory are appropriate where “it
    appears that an individual is being singled out by the government” such that “the specter
    of arbitrary classification is fairly raised.” Engquist v. Oregon Dep’t of Agr., 
    553 U.S. 591
    , 602 (2008). The equal protection claim was sufficiently pled in Olech because the
    municipality singled out Olech for differential treatment when it required a 33-foot
    easement from him rather than the 15-foot easement it had required in all other
    instances.3 
    Id. at 602-03.
    3
    The Supreme Court went on to restrict the scope of “class of one” equal protection
    claims, holding that they have no place in the public employment context. 
    Engquist, 553 U.S. at 594
    .
    8
    Here, “fram[ing] the right at issue ‘in a more particularized, and hence more
    relevant, sense,’ ‘in light of the case’s specific context,’” see 
    Spady, 800 F.3d at 638
    (citation omitted), we cannot charge Councilman Johnson with notice of a clearly
    established constitutional right based upon an open-ended application of Olech. For one
    thing, Olech dealt with disparate treatment in the provision of municipal water where
    there was a clearly established, uniform practice in place—a context quite different from
    the sale of City-owned land under an evolving City policy which may in its details be at
    odds with the actual text of the City Code. Importantly, even if BOH’s allegations are
    true, Johnson did not intentionally single out BOH alone for uniquely differential
    treatment—a fact the Supreme Court subsequently recognized as critical to its holding in
    Olech. See 
    Engquist, 553 U.S. at 602-03
    .
    BOH does not cite, and the Court has not found, any precedent clearly establishing
    that operation of a governmental land sale process which results in more favorable
    treatment for friends and political contributors amounts to an equal protection violation.
    To now say that Olech established that principle of law would be too near to concluding
    that any disparate treatment by a government actor without a rational basis—regardless of
    the factual circumstance—so clearly establishes a violation of the Equal Protection
    Clause of the Fourteenth Amendment that the question is beyond debate. Such a broad
    pronouncement would fail to define the right at issue with sufficient specificity, and it
    would run contrary to a long-recognized purpose of qualified immunity: to shield public
    9
    officials from potentially disabling threats of constitutional liability except in those
    situations where they have fair warning that their conduct violates federal law.4
    Accordingly, we agree with the District Court’s conclusion that Councilman
    Johnson is entitled to qualified immunity.
    IV.
    BOH also contends that the District Court erred when it denied BOH’s Motion for
    Leave to File a Second Amended Complaint. In its Notice of Appeal, however, BOH
    cites only the District Court’s opinion and order granting summary judgment in favor of
    Councilman Johnson on qualified immunity grounds. We conclude that BOH’s Notice of
    Appeal does not provide appellate jurisdiction to consider whether the District Court
    erred when it denied BOH leave to file a Second Amended Complaint.
    Federal Rule of Appellate Procedure 3(c) specifies that a notice of appeal must
    “designate the judgment, order, or part thereof being appealed.” Fed. R. App. P. 3(c).
    Rule 3(c) is “jurisdictional in nature” and “[we] may not waive its jurisdictional
    requirements, even for good cause.” Massie v. U.S. Dep’t of Hous. and Urban Dev., 
    620 F.3d 340
    , 348 (3d Cir. 2010) (citing Torres v. Oakland Scavenger Co., 
    487 U.S. 312
    , 317
    (1988)). Therefore, despite the fact that Appellees do not contest our jurisdiction to
    consider the District Court’s order denying leave to amend, we have the obligation to
    consider that issue sua sponte. See United States v. Scarfo, 
    263 F.3d 80
    , 87 (3d Cir. 2001)
    (“[C]onsent does not confer appellate jurisdiction.”).
    4
    The question of whether Councilman Johnson’s conduct would violate city or state law
    if BOH’s allegations were true is not before us, and we take no position on it. See 
    Olech, 528 U.S. at 565
    (Breyer, J., concurring).
    10
    Although “we liberally construe the requirements of Rule 3(c),” see Pacitti v.
    Macy’s, 
    193 F.3d 766
    , 776 (3d Cir. 1999), “[w]hen an appeal is taken from a specified
    judgment only or from a part of a specified judgment, the court of appeals acquires
    thereby no jurisdiction to review other judgments or portions thereof not so specified or
    otherwise fairly to be inferred from the notice as intended to be presented for review on
    the appeal.” Elfman Motors, Inc. v. Chrysler Corp., 
    567 F.2d 1252
    , 1254 (3d Cir. 1977).
    “[U]nder the merger rule, the designated final judgment ‘draws in question all prior non-
    final orders and rulings which produced the judgment’ where ‘(1) there is a connection
    between the specified and unspecified order; (2) the intention to appeal the unspecified
    order is apparent; and (3) the opposing party is not prejudiced and has a full opportunity
    to brief the issues.’” Pension Trust Fund for Operating Engineers v. Mortg. Asset
    Securitization Transactions, Inc., 
    730 F.3d 263
    , 269 (3d Cir. 2013) (quoting Weist v.
    Lynch, 
    710 F.3d 121
    , 127 (3d Cir. 2013); 
    Elfman, 567 F.2d at 1254
    ) (citations omitted).
    Here, although the intention to appeal the District Court’s order denying leave to
    file a Second Amended Complaint is apparent from BOH’s principal brief, and although
    Appellees appear to have had a full opportunity to address that issue, we cannot say—
    even liberally applying Federal Rule of Appellate Procedure 3(c)—that the District
    Court’s denial of leave to file a Second Amended Complaint “produced” the District
    Court’s Judgment applying qualified immunity to Councilman Johnson or that the two
    orders are “connect[ed]” such that the Notice of Appeal confers appellate jurisdiction to
    consider that issue. 
    Id. BOH’s Motion
    for Leave to File a Second Amended Complaint
    proposed to add a supplemental state law claim against the City, an entity which was no
    11
    longer a party to the case at the time of the final judgment from which BOH appealed.
    The City was no longer a party because, some months earlier, BOH had conceded that the
    District Court should dismiss all of its claims against the City, and the District Court,
    recognizing BOH’s concession, did so—months before it granted Johnson summary
    judgment on qualified immunity grounds.
    We therefore lack appellate jurisdiction to review the District Court’s denial of
    leave to file a Second Amended Complaint.
    V.
    For the foregoing reasons, we will affirm the District Court’s judgment in favor of
    Councilman Johnson.
    12