Amgad Hessein v. The American Board of Anesthes ( 2015 )


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  •                                         NOT PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    ____________
    No. 15-2249
    ____________
    AMGAD A. HESSEIN. M.D.,
    Appellant
    v.
    THE AMERICAN BOARD OF ANESTHESIOLOGY
    INC; DOUGLAS B. COURSIN, M.D., Board of Directors,
    in their official capacity; CYNTHIA A. LIEN, M.D.,
    Board of Directors, in their official capacity; J. JEFFREY
    ANDREWS, M.D., Board of Directors, in their official
    capacity; DAVID L. BROWN, M.D., Board of Directors,
    in their official capacity; DANIEL J. COLE, M.D., Board
    of Directors, in their official capacity; DEBORAH J.
    CULLEY, M.D., Board of Directors in their official capacity;
    BRENDA G. FAHY, Board of Directors, in their official
    capacity; ROBERT R. GAISER, M.D., Board of Directors,
    in their official capacity; WILLIAM W. HESSON, M.D.,
    Board of Directors, in their official capacity; ANDREW J.
    PATTERSON, M.D., Ph.D., Board of Directors, in their
    official capacity; JAMES P. RATHMELL, M.D., Board of
    Directors, in their official capacity; SANTHANAM
    SURESH, Board of Directors, in their official capacity;
    MARY E. POST, Executive Staff, in her official capacity;
    DAVID H. CHESTNUT, Executive Staff, in his official
    capacity; SHIRLINE FULLER, Executive Staff, in her
    official capacity; JOHN DOES PERSONS; JOHN DOES
    BOARD, in official capacity; JOHN DOES AGENCIES
    __________________________________
    On Appeal from the United States District Court
    for the District of New Jersey
    (D.C. Civ. No. 3-14-cv-02039)
    District Judge: Honorable Peter G. Sheridan
    __________________________________
    Submitted Pursuant to Third Circuit LAR 34.1(a)
    October 6, 2015
    Before: FISHER, KRAUSE and VAN ANTWERPEN, Circuit Judges
    (Opinion filed: October 7, 2015)
    ____________
    OPINION*
    ____________
    PER CURIAM
    Amgad Hessein appeals from an order of the District Court granting summary
    judgment to the defendants. For the reasons that follow, we will affirm.
    Hessein, a physician and anesthesiologist, saw his licenses to practice medicine in
    New York and New Jersey temporarily suspended as a result of a pending criminal
    indictment in the Superior Court of Union County, New Jersey. He would eventually be
    charged with conspiracy, theft by deception, and 72 counts of health care insurance fraud.
    A trial is pending. Because Hessein’s licenses were suspended, in April, 2013, the
    credentialing committee of the American Board of Anesthesiologists (“the Board”)
    revoked his certifications in anesthesiology and pain management.1 Hessein commenced
    this civil action pro se in the United States District Court for the District of New Jersey
    against the Board and numerous Board members, alleging that the revocation of his
    specialty certificates violated his right to due process under the Fourteenth Amendment,
    and violated the Sherman and Clayton Acts, 
    15 U.S.C. § 1
    , et seq. He also asserted state
    1
    In originally obtaining Board certification -- in 1997 for anesthesiology and in 2009 for
    pain management – Hessein completed all of the Board’s requirements, including
    residency training and passing written and oral examinations.
    * This disposition is not an opinion of the full Court and pursuant to I.O.P. 5.6 does not
    constitute binding precedent.
    2
    claims for, among other things, breach of contract, tortious interference with contract, and
    defamation. Hessein sought reinstatement of his certificates and punitive damages.
    The defendants moved to dismiss the complaint for lack of personal jurisdiction
    pursuant to Fed. R. Civ. P. 12(b)(2). By order dated March 15, 2015, the District Court
    dismissed most of them for lack of personal jurisdiction.2 The Board, J. Jeffrey Andrews,
    and Robert R. Gaiser remained as defendants and the District Court converted their
    motion to one for summary judgment, Fed. R. Civ. P. 56(a), in which they would contend
    that the revocation of Hussein’s certifications was proper given the state of his medical
    licenses. Hessein was given an opportunity to show that a genuine issue of fact
    warranted a trial on his claims. In opposing summary judgment, Hessein contended that
    his specialty certificates were revoked without notice or a hearing and without authority,
    and that he was in any event exempt from the requirement that he maintain a license with
    no restrictions because he obtained his certificates before the Board instituted the
    challenged policy.
    On May 15, 2015, the District Court heard oral argument on the motion for
    summary judgment and determined that the Board properly revoked Hessein’s
    certifications, substantively and procedurally, because he had failed to maintain an active,
    unrestricted medical license. An order awarding summary judgment to the remaining
    defendants and against Hessein was entered on the docket on May 12, 2015. In
    particular, the District Court determined that Hessein was not entitled to relief under 
    42 U.S.C. § 1983
     for a violation of due process because Andrews, Gaiser and even the
    Board are not state actors. The Court determined that Hessein could not prevail under the
    2
    Hessein does not challenge this order on appeal.
    3
    Sherman and Clayton Acts because the revocation of his certifications was not an illegal
    or anti-competitive tactic. In addition, the Court determined that Andrews and Gaiser
    were not in the same geographical location as Hessein and were not in direct competition
    with him. Hessein’s state law claims did not present a triable issue either because, in
    essence, his medical licenses were, in fact, temporarily suspended due to an indictment
    for health care fraud and his exemption argument was meritless; he thus could not show
    that there was a breach of any agreement or duty of care owed to him by the Board, and
    could not show that the Board lied about his circumstances.
    Hessein appeals. We have jurisdiction under 
    28 U.S.C. § 1291
    . In his brief on
    appeal, he contends that he did not receive proper notice of the enforceability of the
    Board’s rule regarding revocation, that enforcement of the rule was arbitrary, and thus
    that his constitutional right to due process was violated. He also challenges the District
    Court’s disposition of his antitrust and state law claims.
    We will affirm. We review a District Court’s grant of summary judgment de
    novo. Alcoa, Inc. v. United States, 
    509 F.3d 173
    , 175 (3d Cir. 2007). Summary
    judgment is appropriate “if the movant shows that there is no genuine dispute as to any
    material fact and the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P.
    56(a). The moving party has the initial burden of identifying evidence that he believes
    shows an absence of a genuine issue of material fact. Celotex Corp. v. Catrett, 
    477 U.S. 317
    , 323 (1986). Moreover, we are required to view the facts in the light most favorable
    to the non-moving party, and make all reasonable inferences in his favor. See
    Armbruster v. Unisys Corp., 
    32 F.3d 768
    , 777 (3d Cir. 1994). But, if the moving party
    has carried its burden, the nonmovant must then come forward with evidence showing
    4
    that there is a triable issue. Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 
    475 U.S. 574
    , 587 (1986). A triable, or genuine, issue of material fact is one that could change the
    outcome of the litigation. Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 247 (1986).
    To establish a claim under section 1983, a plaintiff must show that there was (1) a
    violation of a federally protected constitutional or statutory right, (2) by state action or
    action under color of law. Jordan v. Fox, Rothschild, O’Brien & Frankel, 
    20 F.3d 1250
    ,
    1264 (3d Cir. 1994); see also Flagg Bros., Inc., v. Brooks, 
    436 U.S. 149
    , 156 (1978).
    Hessein claims a federally property interest in his Board certifications in anesthesiology
    and pain management, but he cannot show that the three remaining defendants are state
    actors, or that they acted under color of law. Specifically, the Board “is a private
    association. It does not issue licenses to practice; it simply certifies achievement of a
    standard of excellence. It does not wield any state power and therefore need not use the
    procedures the due process clause requires of the government.” Sanjuan v. American Bd.
    of Psychiatry and Neurology, Inc., 
    40 F.3d 247
    , 250 (7th Cir. 1994). We agree with the
    District Court that the Board is not a state actor, and that the requirement that Hessein
    have an unrestricted medical license in order to keep his Board certifications does not
    implicate state action. Therefore, due process protections do not apply.
    As to his antitrust claims, Hessein argued that the defendants conspired with the
    state medical boards to revoke his certifications and disrupt his medical practice, but his
    complaint does not state a plausible claim of an unlawful antitrust conspiracy. The
    summary judgment record shows that the Board’s actions were independent of the actions
    taken by the state medical boards, and “a conclusory allegation of agreement … does not
    5
    supply facts adequate to show illegality” under the federal antitrust laws. Bell Atlantic
    Corp. v. Twombly, 
    550 U.S. 544
    , 557 (2007).
    Hussein also argued that the Board has monopolized the academic certification of
    his specialties. We seriously doubt whether the revocation of a physician’s board
    certifications because his license has been temporarily suspended due to a pending
    criminal indictment could ever be considered anti-competitive under the federal antitrust
    laws, but, assuming arguendo, that Hessein asserts a challenge to an exclusionary scheme
    that keeps him out of the market, the narrow scope of his request for injunctive relief
    dooms his claim. In Daniel v. American Bd. of Emergency Medicine, 
    428 F.3d 408
    , 438-
    39 (2d Cir. 2005), the Second Circuit Court of Appeals held that the emergency medicine
    physician-plaintiffs did not suffer an antitrust injury and did not have standing to sue
    when their medical specialty certification board denied them an opportunity to take the
    certification examination because they had not completed a formal residency program in
    emergency medicine. The court reasoned that the physician-plaintiffs did not seek to
    eliminate the residency training requirement; rather, they sought to restore the practice
    track as an alternative to residency training so that they could qualify for the examination.
    “[B]y seeking relief that would permit them to join but not end the alleged exclusive
    arrangement, plaintiffs make plain that they are not complaining of an antitrust injury.”
    
    Id. at 441
    . As in Daniel, by seeking the restoration of his certificates, Hessein seeks to
    join the alleged exclusive arrangement and thus does not state an antitrust injury.
    Last, we discern no error in the District Court’s disposition of Hessein’s state law
    claims. The Court discussed each claim separately and properly applied governing New
    Jersey law. We write only to emphasize that the Board promulgated clear rules and
    6
    regulations and procedural mechanisms for issuing, maintaining, and revoking
    certifications.3 These rules apply to Hessein. To the extent that the Board promises
    certain protections to its diplomates, such as notice of revocation and an opportunity to
    challenge it, the summary judgment record establishes that Hessian received prior notice
    that his certificates were subject to revocation and an opportunity to defend. On or about
    August 1, 2012, the Board sent a letter by certified mail to Hessein to an address provided
    by him, which was signed for and accepted on his behalf, informing him that because his
    medical licenses had been suspended, it was initiating proceedings against him to revoke
    his Board certifications.4 That the Board has the authority, pursuant to its clearly stated
    policies, to revoke those certifications under the circumstances presented here cannot
    seriously be disputed. Moreover, no reasonable jury could find that the defendants dealt
    unfairly or in bad faith in revoking Hessein’s certifications.
    In sum, Hessein’s medical licenses were temporarily suspended, and whether or
    not he agrees that this action taken by the New Jersey and New York licensing boards
    was proper,5 the Board applied its policy that a diplomate’s certification shall be revoked
    if he or she does not maintain a medical license from at least one jurisdiction in the
    United States or Canada that is unrestricted. There can be no genuine dispute that a
    3
    The Board’s policies are set forth in a “Booklet of Information.”
    4
    Following revocation, Hessein’s counsel sought an explanation from the Board.
    Counsel for the Board wrote to Hessein’s counsel in April, 2013 and explained the
    Board’s reasons for revoking Hessein’s certifications.
    5
    Hessein claims that he was “framed” by “disgruntled employees.” Appellant’s Brief, at
    43. If Hessein ultimately is acquitted of the charges against him or the charges are
    withdrawn, he may reapply for certification, N.T., 3/26/15, at 11.
    7
    medical license is not unrestricted when it is temporarily suspended due to a pending
    criminal indictment. The Board breached no contract with Hessein, breached no duty of
    care owed to him, and did not defame him by noting on its website that his certifications
    had been revoked.
    For the foregoing reasons, we will affirm the order of the District Court awarding
    summary judgment to the defendants.
    8