Lefebure v. D'aquila ( 2021 )


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  • Case: 19-30702     Document: 00516041830        Page: 1    Date Filed: 10/05/2021
    United States Court of Appeals
    for the Fifth Circuit
    _____________                       United States Court of Appeals
    Fifth Circuit
    No. 19-30702                               FILED
    consolidated with                       October 5, 2021
    No. 19-30989                         Lyle W. Cayce
    _____________                               Clerk
    Priscilla Lefebure,
    Plaintiff—Appellee,
    versus
    Samuel D’Aquilla, 20th Judicial District, individually
    and in his official capacity as District Attorney,
    Defendant—Appellant.
    Appeal from the United States District Court
    for the Middle District of Louisiana
    USDC No. 3:17-CV-1791
    ON PETITION FOR REHEARING EN BANC
    Before Owen, Chief Judge, and Graves and Ho, Circuit Judges.
    James C. Ho, Circuit Judge:
    Treating the Petition for Rehearing En Banc as a Petition for Panel
    Rehearing, the Petition for Panel Rehearing is denied. No member of the
    panel nor judge in regular active service of the court having requested that
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    the court be polled on Rehearing En Banc (Fed. R. App. P. and 5th Cir.
    R. 35), the Petition for Rehearing En Banc is denied.
    We withdraw the court’s prior opinion of February 9, 2021, and
    substitute the following opinion.
    ***
    If anyone deserves to have her day in court, it is Priscilla Lefebure.
    The allegations in her complaint are sickening: Barrett Boeker, her cousin’s
    husband, raped and sexually assaulted her on multiple occasions at his home
    on the grounds of the Louisiana state prison where he serves as an assistant
    warden. Boeker then conspired with the district attorney, Samuel D’Aquilla
    (as well as his own counsel, who happens to be a relative of D’Aquilla’s), to
    ensure that he would not be investigated or prosecuted for his crimes. In
    response, Lefebure filed this suit against D’Aquilla (as well as Boeker and
    others) on various constitutional and statutory grounds.
    It is difficult to imagine anyone who deserves justice more than
    Priscilla Lefebure. But her claim against D’Aquilla runs into a legal obstacle
    that the panel has no discretion to ignore. Supreme Court precedent makes
    clear that a citizen does not have standing to challenge the policies of the
    prosecuting authority unless she herself is prosecuted or threatened with
    prosecution. See Linda R.S. v. Richard D., 
    410 U.S. 614
    , 617–19 (1973).
    Under this established principle of standing, each of us has a legal
    interest in how we are treated by law enforcement—but not a legally
    cognizable interest in how others are treated by law enforcement. So people
    accused of a crime have an obvious interest in being treated fairly by
    prosecutors. And victims of crime have a strong interest in their own physical
    safety and protection. But victims do not have standing based on whether
    other people—including their perpetrators—are investigated or prosecuted.
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    Every court to have addressed this question prior to this case agrees
    that a crime victim may not challenge a prosecutor’s failure to investigate or
    prosecute her perpetrator. Neither Lefebure nor the amicus brief filed in her
    support cite any authority to the contrary. In sum, we have no choice but to
    reverse and remand with instructions to dismiss the complaint for lack of
    subject matter jurisdiction as to D’Aquilla.
    I.
    We accept, as we must at the motion to dismiss stage, the allegations
    contained in Lefebure’s complaint as true. They are as follows:
    Forced to evacuate her home in Baton Rouge due to flooding,
    Lefebure resided temporarily with her cousin and her cousin’s husband,
    Boeker. Their home is located on the grounds of the Louisiana State
    Penitentiary, where Boeker serves as an assistant warden.
    Boeker raped and sexually assaulted her on multiple occasions there.
    First, he raped her in front of a mirror, where he made her watch, while telling
    her that no one would hear her scream. Later, he sexually assaulted her with
    a foreign object, after picking the lock of the room where she was attempting
    to hide. Afterward, she tried to lock the door again, but he again proceeded
    to pick the lock and blocked her escape.
    A few weeks later, Boeker was arrested for second degree rape. But
    no indictment was ever brought.
    That’s because, shortly after his arrest, Boeker met on multiple
    occasions with D’Aquilla, the district attorney for Louisiana’s 20th Judicial
    District, along with Boeker’s defense counsel, a relative of the district
    attorney, and Austin Daniel, West Feliciana Parish Sheriff.           At those
    meetings, they conspired to protect Boeker from investigation and
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    prosecution. They agreed that Boeker was telling the truth and that Lefebure
    was lying.
    Furthermore, Boeker falsely represented to others that he was being
    investigated by D’Aquilla and Daniel, according to the complaint, “so as to
    hide the conspiracy and ensure he would not face criminal liability for raping
    Ms. Lefebure.”
    Lefebure filed suit against D’Aquilla and the others, seeking damages
    and declaratory and injunctive relief. With respect to D’Aquilla, she brought
    various claims under (1) the Equal Protection Clause of the Fourteenth
    Amendment, as well as Article I, Section 3 of the Louisiana Constitution
    (Right to Individual Dignity); (2) the Due Process Clause of the Fourteenth
    Amendment, as well as Article I, Section 2 of the Louisiana Constitution
    (Right to Due Process); (3) 
    42 U.S.C. §§ 1983
     and 1985 for civil conspiracy
    to violate civil rights; and (4) 
    42 U.S.C. § 1983
     for abuse of process.
    D’Aquilla filed a motion to dismiss under Federal Rule of Civil
    Procedure 12(b)(1) and 12(b)(6) for lack of subject matter jurisdiction and
    failure to state a claim upon which relief can be granted, and asserted various
    defenses.
    The district court granted in part and denied in part D’Aquilla’s
    motion to dismiss. Lefebure v. Boeker, 
    390 F. Supp. 3d 729
    , 768 (M.D. La.
    2019). It denied the motion to dismiss under Rule 12(b)(1), finding that
    Lefebure had standing. 
    Id. at 746
    . It also dismissed some of her claims, and
    rejected many of D’Aquilla’s asserted defenses as to her other claims. 
    Id.
     at
    747–50, 758, 763, 767–68.
    The district court certified the order for interlocutory appeal under
    
    28 U.S.C. § 1292
    (b). D’Aquilla moved in this court for leave to appeal from
    the interlocutory order. This court granted the motion.
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    On appeal, counsel for Lefebure declined multiple opportunities to file
    a response brief. Counsel made four requests to extend the briefing deadline,
    between June and August 2020. This court granted each of those requests.
    After all those deadlines came and went, this court gave counsel further
    opportunity to file a brief out of time within ten days. Counsel declined to
    respond to our request or file a brief in this appeal, so the case was submitted
    with only D’Aquilla’s brief. Counsel’s failure to submit a brief “does not
    preclude our consideration of the merits” of D’Aquilla’s appeal. Hager v.
    DBG Partners, Inc., 
    903 F.3d 460
    , 464 (5th Cir. 2018). It merely forfeits the
    appellee’s right to oral argument. See Fed. R. App. P. 31(c) (“An appellee
    who fails to file a brief will not be heard at oral argument unless the court
    grants permission.”).
    Following our initial decision in this case, counsel apologized for his
    previous oversights and sought rehearing en banc, supported by an amicus
    brief by three retired federal judges led by Alex Kozinski.
    We review questions of subject matter jurisdiction de novo. Jones v.
    United States, 
    625 F.3d 827
    , 829 (5th Cir. 2010). We now withdraw our
    earlier opinion in this matter and substitute this opinion in order to explain
    why the arguments presented in the petition for rehearing en banc and amicus
    brief are foreclosed to this court as a matter of Supreme Court precedent.
    II.
    “Over the years, our cases have established that the irreducible
    constitutional minimum of standing contains three elements.” Lujan v.
    Defenders of Wildlife, 
    504 U.S. 555
    , 560 (1992). “First, the plaintiff must have
    suffered an ‘injury in fact.’” 
    Id.
     “Second, there must be a causal connection
    between the injury and the conduct complained of.” 
    Id.
     “Third, it must be
    ‘likely,’ as opposed to merely ‘speculative,’ that the injury will be ‘redressed
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    by a favorable decision.’” 
    Id. at 561
     (quoting Simon v. Eastern Kentucky
    Welfare Rights Organization, 
    426 U.S. 26
    , 38, 43 (1976)).
    Lefebure seeks to hold the prosecutor accountable for injuries she
    suffered from her assailant. No one doubts, of course, that crime victims
    suffer an injury in fact. See Linda R.S., 
    410 U.S. at 618
     (“appellant no doubt
    suffered an injury”). And Lefebure suffered one of the most horrific crimes
    imaginable. But longstanding Supreme Court precedent confirms that a
    crime victim lacks standing to sue a prosecutor for failing to investigate or
    indict her perpetrator, due to lack of causation and redressability. See 
    id.
    (“the bare existence of an abstract injury meets only the first half of the
    standing requirement”).
    As Justice Marshall wrote for the Court in Linda R.S., even “if
    appellant were granted the requested relief, it would result only in the jailing
    of the child’s father.” 
    Id. at 618
     (emphasis added). As the majority
    concluded, it is “only speculative” that “prosecution will . . . result in [the
    deterrence of crime]”—“[c]ertainly the ‘direct’ relationship between the
    alleged injury and the claim sought to be adjudicated . . . is absent.” 
    Id.
    Accordingly, “[t]he Court’s prior decisions consistently hold that a citizen
    lacks standing to contest the policies of the prosecuting authority when he
    himself is neither prosecuted nor threatened with prosecution.” 
    Id. at 619
    .
    In reaching this holding, the Court repeatedly emphasized “the
    special status of criminal prosecutions in our system.” 
    Id.
     See also, e.g., 
    id. at 617
     (noting “the unique context of a challenge to a criminal statute”). It
    is a bedrock principle of our system of government that the decision to
    prosecute is made, not by judges or crime victims, but by officials in the
    executive branch. And so it is not the province of the judiciary to dictate to
    executive branch officials who shall be subject to investigation or
    prosecution.   As the Supreme Court has unanimously observed, “the
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    Executive Branch has exclusive authority and absolute discretion to decide
    whether to prosecute a case.” United States v. Nixon, 
    418 U.S. 683
    , 693
    (1974) (citing cases). Chief Justice Roberts has likewise noted that “[o]ur
    entire criminal justice system is premised on the notion that a criminal
    prosecution pits the government against the governed, not one private citizen
    against another.” Robertson v. U.S. ex rel. Watson, 
    560 U.S. 272
    , 278 (2010)
    (Roberts, C.J., dissenting from dismissal of the writ of certiorari as
    improvidently granted). “The terrifying force of the criminal justice system
    may only be brought to bear against an individual by society as a whole,
    through a prosecution brought on behalf of the government.” 
    Id. at 273
    .
    The standing analysis in Linda R.S. reinforces this constitutional
    allocation of power among the branches of government. The requirement of
    standing under Article III of the Constitution is, of course, a doctrine that is
    itself based on the separation of powers. “The law of Article III standing . . .
    is built on separation-of-powers principles,” for it “serves to prevent the
    judicial process from being used to usurp the powers of the political
    branches.” Town of Chester, N.Y. v. Laroe Ests., Inc., 
    137 S. Ct. 1645
    , 1650
    (2017) (quoting Clapper v. Amnesty Int’l USA, 
    568 U.S. 398
    , 408 (2013)). See
    also Raines v. Byrd, 
    521 U.S. 811
    , 820 (1997) (quoting Allen v. Wright, 
    468 U.S. 737
    , 752 (1984)) (“[T]he law of Art. III standing is built on a single basic
    idea—the idea of separation of powers.”).
    In short, it is not the province of the judiciary to dictate prosecutorial
    or investigative decisions to the executive branch. And if that is so, then it is
    understandable why plaintiffs would lack standing to seek judicial review of
    such executive decisions, as the Court held in Linda R.S. See, e.g., 
    410 U.S. at 619
     (invoking fundamental principles of “American jurisprudence” to
    explain why “a private citizen lacks a judicially cognizable interest in the
    prosecution or nonprosecution of another”).
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    As a result, courts across the country have dutifully enforced this rule
    in case after case—refusing to hear claims challenging the decision not to
    investigate or prosecute another person.           See, e.g., United States v.
    Grundhoefer, 
    916 F.2d 788
    , 792 (2nd Cir. 1990) (“[A] private citizen
    generally lacks standing ‘to contest the policies of the prosecuting authority
    when he himself is neither prosecuted nor threatened with prosecution.’”)
    (quoting Linda R.S.); Sattler v. Johnson, 
    857 F.2d 224
    , 227 (4th Cir. 1988)
    (rejecting claim that crime victims have “an enforceable right as a member
    of the public at large and as a victim to have the defendants criminally
    prosecuted”); Oliver v. Collins, 
    914 F.2d 56
    , 60 (5th Cir. 1990) (affirming
    dismissal of a prison inmate’s claim against the sheriff for failing to press
    criminal charges against correctional officers involved in an alleged assault
    because the plaintiff “does not have a constitutional right to have someone
    criminally prosecuted”); Mitchell v. McNeil, 
    487 F.3d 374
    , 378 (6th Cir.
    2007) (“There is no statutory or common law right, much less a
    constitutional right, to an investigation.”); Parkhurst v. Tabor, 
    569 F.3d 861
    ,
    866 (8th Cir. 2009) (“federal courts have maintained the distinction in
    standing between those prosecuted by the state and those who would urge
    the prosecution of others”); Sargeant v. Dixon, 
    130 F.3d 1067
    , 1069–70 (D.C.
    Cir. 1997) (if a person has “an interest in ‘being heard’ by the grand jury,” it
    is “only because” he has an “interest in seeing certain persons
    prosecuted”—which is “not legally cognizable within the framework of
    Article III” under Linda R.S.).
    And that is so whether the suit is for injunctive relief or damages. See,
    e.g., Parkhurst, 
    569 F.3d at 865
     (suit for damages and injunctive relief); Del
    Marcelle v. Brown Cnty. Corp., 
    680 F.3d 887
    , 901 (7th Cir. 2012) (en banc)
    (Easterbrook, C.J., concurring)) (crime victims are “not entitled to an order
    requiring arrest or prosecution of [their assailants], or to damages because of
    public officials’ decision not to do so”) (collecting cases).
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    Yet that is precisely what this suit is—a complaint that a prosecutor
    has failed to investigate and prosecute another person. See First Amended
    Complaint & Jury Demand at 2, 7, 16, 21–22, Lefebure v. Boeker, 
    390 F. Supp. 3d 729
     (M.D. La. 2019) (ECF No. 37) (alleging that D’Aquilla and other
    officials conspired to ensure that Boeker “would not be held accountable for
    his actions,” would be “protect[ed] . . . from prosecution,” “would not be
    convicted of the alleged rapes,” would “walk[] free,” and would be
    “protect[ed] . . . from criminal liability”). See also Lefebure, 390 F. Supp. 3d
    at 745 (acknowledging that “the alleged failure to fully investigate was
    motivated by a preference in the prosecutorial outcome”).
    Accordingly, established precedent requires us to conclude that
    Lefebure lacks standing to sue D’Aquilla based on his failure to prosecute or
    even investigate Boeker.
    A.
    On appeal, Lefebure contests none of this. She simply insists that
    courts must be able to review her case—notwithstanding Linda R.S.—
    because the decision not to prosecute Boeker may have been based on a
    broader, discriminatory non-prosecution policy.
    But her complaint is premised on allegations of a specific conspiracy
    between various officials and attorneys, including D’Aquilla, to shield Boeker
    in particular from prosecution.        Her complaint alleges a series of
    conspiratorial meetings between the defendants to discuss the Boeker case in
    particular, an agreement that Boeker was telling the truth and Lefebure was
    lying, and a strategy to conceal the conspiracy by falsely representing to the
    world that the case was being faithfully investigated and dutifully considered
    for prosecution, when in fact the parties had already agreed to sweep her
    claims under the rug.
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    And in any event, we do not see how we can in good faith distinguish
    Linda R.S. based on the theory that the decision not to prosecute in this case
    was in fact dictated by a broader, discriminatory policy not to investigate or
    prosecute cases involving a certain protected class of victims in violation of
    the Equal Protection Clause. After all, that was precisely the complaint in
    Linda R.S. as well. There the plaintiff alleged that “the policies of the
    prosecuting authority,” which require “declining prosecution” in cases like
    hers, unconstitutionally “discriminate[]” against victims like her “without
    rational foundation and therefore violate[] the Equal Protection Clause of the
    Fourteenth Amendment.” Linda R.S., 
    410 U.S. at 616, 619
    . See also 
    id. at 621
     (White, J., dissenting) (noting the implications of the Court’s logic for
    other equal protection claims, including those based on race).
    Our sister circuits have likewise construed Linda R.S. to foreclose
    suit—and that is so despite the fact that the plaintiffs there alleged
    unconstitutional discrimination.
    For example, in Parkhurst, the Eighth Circuit observed that, “[w]hile
    it is well settled that defendants subjected to or threatened with
    discriminatory prosecution have standing to bring an equal protection claim,
    this right has not been extended to crime victims. The lower federal courts
    have maintained the distinction in standing between those prosecuted by the
    state and those who would urge the prosecution of others, even when the
    failure to prosecute was allegedly discriminatory.” 
    569 F.3d at
    865–66 (cleaned
    up and emphasis added) (citing Linda R.S. and other authorities).
    Likewise, in Grundhoefer, the Second Circuit stated that “[t]he
    interest in the just administration of the laws, including the interest in
    nondiscriminatory criminal enforcement, is presumptively deemed
    nonjusticiable even if invoked by persons with something beyond a
    generalized bystander’s concern.” 
    916 F.2d at 792
     (quotations omitted).
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    Similarly, in Sattler, the Fourth Circuit noted that “counsel suggested
    that Sattler had an enforceable right . . . as a victim to have the defendants
    criminally prosecuted. He further urged that such a right was protected by
    the equal protection clause of the fourteenth amendment. There is, of
    course, no such constitutional right.” 
    857 F.2d at 227
    .
    As Professor Laurence Tribe explained in his widely noted treatise on
    constitutional law, “while discriminatory enforcement of criminal laws may
    be challenged by those against whom such laws are enforced, persons injured
    by criminal conduct which goes unpunished because of discriminatory law
    enforcement do not ordinarily have standing to challenge the
    discrimination.”           Laurence          H.       Tribe,       American
    Constitutional Law 417 (3rd ed. 2000) (citing Linda R.S.). “The
    upshot of Linda R.S. . . . is that the interest in the just administration of the
    laws, including the interest in nondiscriminatory criminal enforcement, is
    presumptively deemed nonjusticiable even if invoked by persons with
    something beyond a generalized bystander’s concern; only if the litigant is
    immediately affected as a target of enforcement can that presumption be
    overcome.” Id. at 418.
    B.
    Lefebure nonetheless suggests that various circuit precedents support
    her standing to sue the prosecutor here—and thus conflict with our earlier
    panel decision in this case.
    1.     Specifically, she claims that our decision conflicts with both
    Shipp v. McMahon, 
    234 F.3d 907
     (5th Cir. 2000), and Estate of Macias v. Ihde,
    
    219 F.3d 1018
     (9th Cir. 2000).
    But neither of these cases even mention, let alone analyze, standing—
    presumably because no one challenged standing in these cases. And the same
    is true with the case identified by amici, Elliot-Park v. Manglona, 
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    1003 (9th Cir. 2010). We cannot rely on these decisions to justify standing
    when they do not even mention standing—let alone offer a theory for
    distinguishing Linda R.S.—let alone a theory that applies to the specific facts
    presented here. See, e.g., United States v. Doe, 
    932 F.3d 279
    , 284 (5th Cir.
    2019) (noting that we do not give precedential effect to a jurisdictional
    holding in a previous case when “we never stated the basis of our
    jurisdiction”).
    The amicus brief suggests we look past all of this. It says it should be
    enough that the courts in these cases “fail[ed] to perceive any standing
    difficulties” anywhere in these opinions.
    But that would contradict over two centuries of Supreme Court
    teachings on this point—not to mention amici’s own prior observations.
    The Supreme Court has repeatedly instructed lower courts that,
    “[w]hen a potential jurisdictional defect is neither noted nor discussed in a
    federal decision, the decision does not stand for the proposition that no defect
    existed.” Arizona Christian Sch. Tuition Org. v. Winn, 
    563 U.S. 125
    , 144
    (2011). See also Steel Co. v. Citizens for a Better Env’t, 
    523 U.S. 83
    , 91 (1998)
    (although “Article III standing was . . . assumed by the parties, and was
    assumed without discussion by the Court,” “[w]e have often said that drive-
    by jurisdictional rulings of this sort . . . have no precedential effect”); United
    States v. L.A. Tucker Truck Lines, Inc., 
    344 U.S. 33
    , 38 (1952) (“[T]his Court
    has followed the lead of Mr. Chief Justice Marshall who held that this Court
    is not bound by a prior exercise of jurisdiction in a case where it was not
    questioned and it was passed sub silentio.”) (collecting cases).
    Indeed, amici have elsewhere expounded these very same principles,
    explaining that “courts routinely reject claims that plaintiffs have Article III
    standing based on the fact that prior similarly situated plaintiffs received a
    ruling on the merits, even though such a ruling must have implicitly held that
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    the prior plaintiff did have standing.” Bryan A. Garner et al., The
    Law of Judicial Precedent 87 (2016) (collecting cases). See also 
    id. at 121
     (same) (collecting cases).
    2.     There’s an additional problem with the two cases cited by
    Lefebure. As noted, under Linda R.S., victims of crime do not have a
    cognizable interest in the investigation or prosecution of others. But they of
    course have a compelling interest in their own physical safety and protection.
    As a result, crime victims have standing to sue when the police refuse to
    provide them with physical protection. That is because their complaint
    concerns their own treatment, not the treatment of others.
    That principle provides yet another basis for distinguishing Shipp and
    Estate of Macias—both of which allege the failure to protect the plaintiff,
    rather than the failure to prosecute another person.
    Cherie Shipp alleged that a group of sheriffs and deputies refused to
    provide police protection to women like her. She alleged that she was
    attempting to escape her abusive marriage with Dalton Shipp, and that she
    repeatedly called the sheriff’s office seeking protection from him—but that
    the deputy “informed Shipp that he would do nothing about Dalton.” Shipp,
    
    234 F.3d at 909
    . As a result, Dalton repeatedly beat and later raped and shot
    his wife. Each time, the sheriff’s office did nothing to stop the violence. See,
    e.g., 
    id. at 910
     (“Deputy Cropper . . . chose to take no action, despite his
    knowledge of Dalton’s propensity for violent behavior.”); 
    id.
     (“She
    screamed for help, but none of the deputies responded.”).
    In sum, Shipp is not about prosecutorial inaction but “police
    inaction.” 
    Id. at 912
    . “Specifically, Shipp claims that the defendants
    through their policies, practices, and customs afforded less protection to
    victims of domestic assault than other assault victims.” 
    Id. at 913
    .
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    The facts of Estate of Macias are similarly grotesque: A woman was
    repeatedly stalked and attacked by her former husband, with the full
    knowledge of the police—yet the police did nothing. See 
    219 F.3d at
    1020–
    26. Over time, the violent acts escalated, and her husband eventually killed
    her. Her relatives and estate brought suit alleging that the officers “denied
    [her] right to equal protection by providing her with inferior police protection
    on account of her status as a woman, a Latina, and a victim of domestic
    violence.” 
    Id. at 1019
    .
    Here, by contrast, Lefebure does not contend that the police refused
    to protect her before some future assault by her assailant. Instead, she
    contends that prosecutors refused to investigate or prosecute him after the
    assault took place. Here, the appeal concerns only the prosecutor—it does
    not involve any police officer or other law enforcement official who could
    have provided her physical protection from an assailant yet failed to do so.
    See also Parkhurst, 
    569 F.3d at
    866–67 (distinguishing Estate of Macias on the
    ground that “crime victims . . . have a right to challenge the allegedly
    discriminatory provision of police protection,” whereas “[t]he Parkhursts
    claim to have been injured by a failure to prosecute . . . rather than by a failure
    to provide police protection to [the victim]”) (emphasis added).
    In sum, none of the cases cited by Lefebure allow a victim to challenge
    a prosecutor’s decision not to investigate or prosecute another person.1
    1
    Lefebure also claims that our decision conflicts with Nader v. Saxbe, 
    497 F.2d 676
    (D.C. Cir. 1974). But the court there found that “plaintiffs lack standing to sue.” 
    Id. at 680
     (emphasis added).
    Finally, the amicus brief also invokes Bailey v. Patterson, 
    369 U.S. 31
     (1962). But it
    is unclear why amici think Bailey helps their cause. For one, Bailey simply recognized that
    railroad passengers have standing to challenge racial segregation on railroads—a
    proposition no one challenges here. See 
    id. at 33
     (“[A]s passengers using the segregated
    transportation facilities they are aggrieved parties and have standing to enforce their rights
    14
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    C.
    Both Lefebure and the amicus brief suggest that we should collapse
    this distinction between the failure to prosecute and the failure to protect—
    between the failure of police to protect the plaintiff from future crime and the
    failure of prosecutors to put a third party in jail for past crime.
    To be sure, their reasoning is certainly understandable: If word were
    to get out that a district attorney categorically refuses to prosecute a certain
    type of crime, or will not prosecute crimes committed against a certain victim
    demographic, that would surely lead to greater criminal activity of that kind.
    So we do not doubt the underlying premise: Less police, more crime.
    Likewise, less prosecution, more crime. Unquestionably, the denial of
    prosecution may very well be tantamount to a denial of protection.
    But we have no authority to take Lefebure’s premise where she wants
    it to go. For the Supreme Court made clear in Linda R.S. that any connection
    between a non-prosecution policy and subsequent criminal activity is too
    “speculative” to support standing.
    1.      The suit in Linda R.S. concerned a criminal statute for failure
    to pay child support. But the state applied that statute in an allegedly
    unconstitutional manner, by enforcing it as to legitimate children, but not as
    to illegitimate children.
    Notably, the premise of the suit in Linda R.S. is indistinguishable from
    the premise of Lefebure’s suit here:                  The prosecutor adopted a
    discriminatory policy of non-prosecution—and that policy resulted in
    to nonsegregated treatment.”). What’s more, Bailey expressly reaffirms the principle we
    dutifully enforce here—that individuals “lack standing to enjoin criminal prosecutions
    under Mississippi’s breach-of-peace statutes, since they do not allege that they have been
    prosecuted or threatened with prosecution under them.” 
    Id. at 32
    .
    15
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    criminal misconduct that directly injured the plaintiff. As the complaint in
    Linda R.S. put it: “Plaintiff sues on behalf of herself, her minor daughter,
    and on behalf of all other women and minor children who have sought, are
    seeking, or in the future will seek to obtain support for so-called illegitimate
    children from said child’s father. . . . Plaintiff, Linda R.S. has been and will
    continue to be subjected to economic coercion.” The plaintiff’s Supreme
    Court brief made this point as well: “[I]f the District Attorney of Dallas
    County would enforce Article 602 against the parents of illegitimate children,
    those parents would contribute to the support and maintenance of their
    children rather than face the possible consequence of jail. Clearly, because
    the State of Texas through its District Attorney will not enforce the language
    of this statute against fathers of illegitimate children those children are not
    receiving economic benefits which they would otherwise receive.”
    The Court nevertheless denied standing. As the Court explained, the
    connection between punishing the perpetrator and preventing crime was too
    “speculative” to support standing. After all, even “if appellant were granted
    the requested relief, it would result only in the jailing of the child’s father”—
    not the prevention of injury to the plaintiff. 
    410 U.S. at 618
     (emphasis
    added). To be sure, the jailing of the child’s father could have discouraged
    him from further criminal failure to pay child support. So failing to prosecute
    and jail the father could have caused the mother’s injury. And holding the
    prosecutor liable could have redressed the mother’s injury. But the majority
    in Linda R.S. held that any such connection was too attenuated and
    “speculative” to support standing: “The prospect that prosecution will, at
    least in the future, result in payment of support can, at best, be termed only
    speculative. Certainly the ‘direct’ relationship between the alleged injury
    and the claim sought to be adjudicated, which previous decisions of this
    Court suggest is a prerequisite of standing, is absent in this case.” 
    Id.
    16
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    2.     Reasonable minds can of course disagree about the wisdom of
    this conclusion. Indeed, Justice White did. In his dissent, he took on the
    majority on precisely this point.
    “The Court states that the actual coercive effect of those sanctions on
    Richard D. or others ‘can, at best, be termed only speculative.’” 
    Id. at 621
    (White, J., dissenting). “This is a very odd statement.” 
    Id.
     “I had always
    thought our civilization has assumed that the threat of penal sanctions had
    something more than a ‘speculative’ effect on a person’s conduct. This
    Court has long acted on that assumption in demanding that criminal laws be
    plainly and explicitly worded so that people will know what they mean and be
    in a position to conform their conduct to the mandates of law.”                
    Id.
    “[C]riminal sanctions are useful in coercing fathers to fulfill their support
    obligations to their legitimate children.” 
    Id.
    But the majority went the other way, holding instead that the plaintiff
    “made an insufficient showing of a direct nexus between the vindication of
    her interest and the enforcement of the State’s criminal laws.” 
    Id. at 619
    .
    See also, e.g., Garner, supra, at 192 (“One important reason to read
    dissenting opinions is that they may clarify what the majority is doing.”).
    3.     Our reading of Linda R.S. is further reinforced by Professor
    Tribe. As he put it, the standing analysis in Linda R.S. is not some “doctrinal
    quirk unique to the field of criminal law administration.” Tribe, supra, at
    418. Rather, it reflects the Court’s “broader insistence on a clear showing
    that the action challenged has in fact caused an individual injury, and that a
    judicial pronouncement of rights will be likely to redress that injury.” Id.
    In short, Lefebure lacks standing due to lack of causation and
    redressability. As Tribe explains, Linda R.S. is based on the premise that “a
    victim of an undeterred crime is not automatically a victim of
    nonenforcement.” Id. at 417 (emphasis added). And because the connection
    17
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    is not “automatic,” then it is too attenuated for purposes of causation and
    redressability under Linda R.S.
    D.
    Undeterred, amici point out that Linda R.S. is merely a “5-to-4”
    decision on the issue of standing. But that is wrong—not to mention
    irrelevant. Two of the four justices who declined to join the majority did not
    say that the plaintiff had standing—to the contrary, those two justices noted
    that they would have preferred not to reach the standing issue at all, one way
    or another. See Linda R.S., 
    410 U.S. at 622
     (Blackmun, J., dissenting). And
    regardless (and as amici should well know), federal judges have no right to
    ignore Supreme Court decisions based on whether they are decided
    unanimously or by a 5-4 (or 5-2) vote.
    Amici also float the notion that Linda R.S. “seems unlikely to have
    survived” various Supreme Court rulings issued over the “nearly fifty years”
    since that decision. But once again, amici ignore decades of Supreme Court
    teachings. As the Court has repeatedly reminded us, the only court that can
    overturn a Supreme Court precedent is the Supreme Court itself. See, e.g.,
    Agostini v. Felton, 
    521 U.S. 203
    , 237 (1997) (even “if a precedent of this Court
    . . . appears to rest on reasons rejected in some other line of decisions, the
    Court of Appeals should follow the case which directly controls, leaving to
    this Court the prerogative of overruling its own decisions.”) (quoting
    Rodriguez de Quijas v. Shearson/American Express, Inc., 
    490 U.S. 477
    , 484
    (1989)). Once again, amici know this. See, e.g., Carter v. Derwinski, 
    987 F.2d 611
    , 613 n.1 (9th Cir. 1993) (Kozinski, J.) (en banc) (same) (quoting
    Rodriguez).
    E.
    Our original decision in this case was unanimous. Today the court
    reaches the same conclusion, based on the same reasoning, but this time by a
    18
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    2-1 vote. Even so, there is substantial agreement over the substantive legal
    principles that decide this appeal, not to mention the likely ultimate outcome
    in this case.
    To begin with, the dissent “agree[s] with the majority’s view that a
    victim has no standing to pursue a claim against the district attorney for
    failure to prosecute her assailant under Linda R.S.” Post, at 25. “[T]he
    majority correctly observes [that] Linda R.S. precludes standing for those
    who allege an injury based solely on law enforcement’s failure to prosecute
    someone who had already harmed them.” 
    Id.
    In addition, the dissent agrees that “a dividing line exists between
    failure-to-protect and failure-to-prosecute claims—that is, claims alleging a
    failure to protect before harm occurs (ex-ante) and a failure to prosecute after
    the fact (ex-post). A plaintiff has standing to pursue the former, but not the
    latter.” Id. at 27. That is, of course, precisely our point. See ante, at 14
    (“Lefebure does not contend that the police refused to protect her before
    some future assault by her assailant. Instead, she contends that prosecutors
    refused to investigate or prosecute him after the assault took place.”)
    (emphasis added).2
    1.      The dissent nevertheless contends that this suit should be
    allowed to proceed based on the text and original understanding of the Equal
    Protection Clause: “As its words indicate, the Equal Protection Clause
    recognizes a right to equal enforcement of the law that encompasses equal
    protection for crime victims.”          Post, at 33.      The dissent quotes Judge
    Easterbrook, who distilled the original meaning of the Equal Protection
    2
    It is not clear what the dissent means by “the majority’s apparent avoidance” of
    the distinction between failure to prosecute and failure to protect claims. Post, at 27. Far
    from avoiding the issue, the distinction is essential to our analytical framework—indeed,
    it’s precisely why we are required to reverse.
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    Clause as follows: “if the police and prosecutors protect white citizens, they
    must protect black citizens too.” Id. at 34 (quoting Del Marcelle, 
    680 F.3d at 901
     (Easterbrook, C.J., concurring)).
    But Judge Easterbrook also explained that a faithful reading of
    precedent requires us to deny relief due to lack of standing. As he explained,
    “Linda R.S. [holds] that ‘a private citizen lacks a judicially cognizable
    interest in the prosecution or nonprosecution of another.’” Del Marcelle, 
    680 F.3d at 901
     (Easterbrook, C.J., concurring) (quoting Linda R.S., 
    410 U.S. at 619
    ). “That is a limit on standing; Linda R.S. holds that there is no justiciable
    controversy, which knocks out all substantive legal theories.” 
    Id.
     So a
    plaintiff “is not entitled to an order requiring arrest or prosecution of [his
    assailants], or to damages because of public officials’ decision not to do so.”
    
    Id.
     See also 
    id.
     (a plaintiff “needs to show how he was injured by what the
    defendants did to him, rather than by what they didn’t do to other people or
    what they didn’t do for him”).
    2.     The dissent attempts to avoid established precedent by
    recasting this case as a failure to protect case, rather than as a failure to
    prosecute case.     But the dissent acknowledges that at least “some of
    Lefebure’s allegations sound in failure to prosecute.” Post, at 30. And even
    setting those allegations aside, the dissent’s theory is foreclosed by Supreme
    Court precedent.
    In essence, the dissent theorizes that D’Aquilla’s failure to prosecute
    might very well have “led to her assault.” Id. at 32. And make no mistake—
    we have no quarrel with this logic as a conceptual matter. Indeed, we have
    said as much ourselves: Less prosecution can lead to more crime—and
    liability rules can encourage or deter law enforcement activity and thereby
    affect crime rates. See ante, at 15.
    20
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    But as we’ve explained, Supreme Court precedent prevents us from
    taking the dissent’s logic where it wants us to go. After all, the dissent’s
    theory is the same theory of standing that was pressed in the complaint in
    Linda R.S., and embraced in Justice White’s dissent, but rejected in Justice
    Marshall’s majority opinion. Professor Tribe has confirmed this. All agree
    that causation and redressability are too attenuated and speculative in cases
    such as this to warrant standing. And no one has cited a single case to the
    contrary. The cases cited by the dissent, much like the cases cited by
    Lefebure, involve the failure to protect, not the failure to prosecute recast as
    a failure to protect.
    3.      The dissent suggests that Linda R.S. is somehow
    distinguishable because the plaintiff here pleaded her case more carefully
    than the plaintiff did there. Post, at 31–32. But that ignores the passages from
    the complaint and substantive briefing in Linda R.S. that we noted earlier.
    See ante, at 15–16. Those passages confirm that, both here and in Linda R.S.,
    the plaintiff theorized that the defendant’s discriminatory failure to
    prosecute “led to” her injury.
    Moreover, if the dissent’s theory were correct, it could presumably be
    deployed in every discriminatory failure to prosecute case—just replead every
    failure to prosecute claim as a failure to protect claim. But there’s nothing in
    either the language or the logic of Linda R.S. to indicate that the Court saw
    this as a pleading problem, rather than as a standing problem. And the dissent
    certainly does not identify any such language in Linda R.S.
    4.      Finally, we note that the dissent ultimately concedes that the
    debate over the interpretation of Linda R.S. may not matter—that Lefebure
    might simply win the battle, only to lose the war. Because it’s not enough to
    merely plead causation to survive dismissal—the plaintiff also must prove it
    to obtain judgment. To survive summary judgment, the plaintiff needs
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    evidence that the prosecutor’s failure did in fact cause the criminal act that
    she suffered. And as the dissent notes, this might not be easy. “[I]t might be
    difficult for Lefebure to ultimately prove on the merits that the district
    attorney’s policy, custom, or practice played a role in her assault.” Post, at
    35. So there may be little difference between the majority and the dissent as
    a practical matter.
    III.
    Reasonable minds can of course disagree over whether Linda R.S. was
    correctly decided.
    As we have noted, for example, Justice White rejected the majority’s
    notion that the connection between criminal law enforcement and crime rates
    is too “speculative” to confer standing. 
    410 U.S. at 621
    . See ante, at 17
    (quoting Justice White). We have likewise observed that less police and less
    prosecution will indeed lead inevitably to more crime. See ante, at 15.
    In addition, Professor Erwin Chemerinsky has persuasively criticized
    Linda R.S. as inconsistent with how courts characterize the nature of the
    injury in other equal protection contexts. Ordinarily, he explained, “[w]hen
    a plaintiff alleges a denial of equal protection, the injury is the denial of the
    ability      to    evenly    compete.”            Erwin      Chemerinsky,
    Constitutional Law: Principles and Policies 87 (6th ed.
    2019) (citing, inter alia, Northeastern Fla. Chapter of the Assoc. Gen.
    Contractors of Am. v. Jacksonville, 
    508 U.S. 656
     (1993), and Regents of the Univ.
    of Cal. v. Bakke, 
    438 U.S. 265
     (1978)). So “[e]ven if ultimately the plaintiff
    would not receive the benefit, a favorable court decision redresses the harm
    by providing equal opportunity.” 
    Id.
     “Linda v. Richard seems inconsistent
    with [these principles] because there the claimed denial of equal protection
    was not deemed sufficient for standing.” 
    Id.
    22
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    Professor Tribe has likewise disparaged Linda R.S. as “harsh,”
    “bizarre,” and not based on “sound reason” considering how courts have
    analyzed standing in other equal protection contexts. Tribe, supra, at 417
    n.8.
    But if there is a case for revisiting Linda R.S. on these or other
    grounds, only the Supreme Court has the authority to do so.
    ***
    Lefebure’s story is one that is shared by all too many survivors who
    have been doubly victimized by the horrifying crime of sexual assault—first
    by their assailants, and then by a criminal justice system that fails to enforce
    the laws on the books. See, e.g., Pierre v. Vannoy, 
    891 F.3d 224
    , 229 & n.5 (5th
    Cir. 2018) (reversing district court for its “troubling” decision to release
    convicted child rapist on the ground that rape is a form of sexual activity, and
    therefore it was perjury not to disclose prior rape when asked about child’s
    prior sexual activity).
    Moreover, Lefebure’s story is particularly appalling because her
    alleged perpetrator holds a position of prominence in our criminal justice
    system as an assistant prison warden. We expect law enforcement officials
    to uphold the law, not to violate it—to protect the innocent, not to victimize
    them. “Nothing is more corrosive to public confidence in our criminal
    justice system than the perception that there are two different legal
    standards—one for the powerful, the popular, and the well-connected, and
    another for everyone else.” United States v. Taffaro, 
    919 F.3d 947
    , 949 (5th
    Cir. 2019) (Ho, J., concurring) (discussing lack of prison time for chief deputy
    sheriff in Jefferson Parish despite multiple criminal convictions).
    Put simply, Lefebure deserved to have the support of her state’s
    elected and appointed prosecutors, investigators, and other officials in her
    pursuit of justice. If her account is correct, then the system failed her—badly.
    23
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    We are horrified by the allegations in this case—the repeated acts of
    rape and sexual assault, followed by grotesque acts of prosecutorial
    misconduct.    But we have no authority to overturn Supreme Court
    precedent. If we are to take seriously our obligation to follow Supreme Court
    precedent, whether we like it or not, then we must conclude that Lefebure
    lacks standing to sue D’Aquilla. As the adage goes, a principle is not a
    principle until it costs you. Cf. Psalm 15:4 (honoring those who “keep[] an
    oath even when it hurts”).
    If Lefebure or amici believe the Supreme Court erred in Linda R.S.,
    they are of course welcome to petition for a writ of certiorari. But for us to
    do as counsel and amici suggest would “replace judicial hierarchy with
    judicial anarchy.” M.D. v. Abbott, 
    977 F.3d 479
    , 483 (5th Cir. 2020). See also
    The Federalist No. 78 (Alexander Hamilton) (“[t]o avoid an arbitrary
    discretion in the courts, it is indispensable that [judges] should be bound
    down by strict rules and precedents, which serve to define and point out their
    duty in every particular case that comes before them”).
    We have no choice but to reverse and remand with instructions to
    dismiss the complaint for lack of subject matter jurisdiction as to D’Aquilla.
    24
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    James E. Graves, Jr., Circuit Judge, dissenting:
    I agree with the majority’s view that a victim has no standing to pursue
    a claim against the district attorney for failure to prosecute her assailant
    under Linda R.S. v. Richard D., 
    410 U.S. 614
    , 618–19 (1973). But an individual
    may nevertheless have standing to pursue an equal protection claim against
    law enforcement for discriminatory underenforcement of the law. Because
    Lefebure seeks to do just that, I respectfully dissent.
    I. Failure to Prosecute v. Failure to Protect
    Linda R.S. holds that “a private citizen lacks a judicially cognizable
    interest in the prosecution or nonprosecution of another.” 
    410 U.S. at 619
    .
    Specifically, in that case, the Supreme Court determined that a plaintiff
    lacked standing to seek an injunction requiring her child’s father to be
    prosecuted for failing to make support payments. As the majority correctly
    observes, Linda R.S. precludes standing for those who allege an injury based
    solely on law enforcement’s failure to prosecute someone who had already
    harmed them. Parkhurst v. Tabor, 
    569 F.3d 861
    , 866 (8th Cir. 2009); see Leeke
    v. Timmerman, 
    454 U.S. 83
    , 85–86 (1981); United States v. Grundhoefer, 
    916 F.2d 788
    , 792 (2d Cir. 1990); Doe v. Mayor & City Council of Pocomoke City,
    
    745 F. Supp. 1137
    , 1139–40 (D. Md. 1990); see also Sattler v. Johnson, 
    857 F.2d 224
    , 227 (4th Cir. 1988) (noting that there is no “enforceable right . . . as a
    victim to have [] defendants criminally prosecuted”).
    In contrast, our circuit has recognized that equal protection suits
    based on discriminatory underenforcement of the law, known as failure-to-
    protect claims, can be brought against law enforcement officials. Shipp v.
    McMahon, 
    234 F.3d 907
    , 914 (5th Cir. 2000), overruled in part on other grounds
    by McClendon v. City of Columbia, 
    305 F.3d 314
     (5th Cir. 2002) (en banc); see
    Beltran v. City of El Paso, 
    367 F.3d 299
    , 304 (5th Cir. 2004); Cook v. Hopkins,
    795 F. App’x 906, 915 (5th Cir. 2019); Kelley v. City of Wake Village, 
    264 F. 25
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    App’x 437, 442–44 (5th Cir. 2008). In Shipp, on which the district court
    relied, we held that treating domestic violence allegations—a category of
    crimes disproportionately reported by women—as less of a priority than
    others violates the Equal Protection Clause. Shipp, 
    234 F.3d at 914
    ; see
    DeShaney v. Winnebago Cnty. Dep’t of Soc. Servs., 
    489 U.S. 189
    , 197 n.3 (1989)
    (“The State may not, of course, selectively deny its protective services to
    certain disfavored minorities without violating the Equal Protection
    Clause.”). In doing so, we joined every circuit to consider this issue1 and
    adopted the standard articulated in Watson v. City of Kansas City, 
    857 F.2d 690
     (10th Cir. 1988): “[T]o sustain a gender-based Equal Protection claim
    based on law enforcement policies, practices, and customs toward domestic
    assault and abuse cases, a plaintiff must show: (1) the existence of a policy,
    practice, or custom of law enforcement to provide less protection to victims
    of domestic assault than to victims of other assaults; (2) that discrimination
    against women was a motivating factor; and (3) that the plaintiff was injured
    by the policy, custom, or practice.” Shipp, 
    234 F.3d at 914
    . We also explained
    that under the last requirement—causation—“law enforcement would not
    be held liable for generalized harms that are not traceable to their conduct,
    policies, or customs” and “would not be called to answer for those injuries
    that are solely attributable to the perpetrators of the underlying domestic
    assault.” 
    Id.
    The basic holding of the Shipp line of cases is this: an equal protection
    violation may be found when women who have suffered domestic abuse
    1
    See Soto v. Flores, 
    103 F.3d 1056
    , 1066 (1st Cir. 1997); Eagleston v. Guido, 
    41 F.3d 865
    , 878 (2d Cir. 1994); Hynson v. City of Chester Legal Dep’t, 
    864 F.2d 1026
    , 1030–31 (3d
    Cir. 1988); Jones v. Union County, 
    296 F.3d 417
    , 426–27 (6th Cir. 2002); Hilton v. City of
    Wheeling, 
    209 F.3d 1005
    , 1007 (7th Cir. 2000); Ricketts v. City of Columbia, 
    36 F.3d 775
    ,
    780 (8th Cir. 1994); Estate of Macias v. Ihde, 
    219 F.3d 1018
    , 1028 (9th Cir. 2000); Watson v.
    City of Kansas City, 
    857 F.2d 690
    , 695–96 (10th Cir. 1988).
    26
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    allege that law enforcement’s discriminatory policy of underenforcing
    domestic violence laws provided a breeding ground for the abuse to occur.
    Shipp, 
    234 F.3d at 914
    ; see, e.g., Soto v. Flores, 
    103 F.3d 1056
    , 1066 (1st Cir.
    1997); Watson, 
    857 F.2d at 696
    . None of these cases suggests there is any
    standing problem with a failure-to-protect claim like that of a failure-to-
    prosecute claim.
    Thus, despite the majority’s apparent avoidance of it, a dividing line
    exists between failure-to-protect and failure-to-prosecute claims—that is,
    claims alleging a failure to protect before harm occurs (ex-ante) and a failure
    to prosecute after the fact (ex-post). A plaintiff has standing to pursue the
    former, but not the latter. See Parkhurst, 
    569 F.3d at 867
    ; see also Nader v.
    Saxbe, 
    497 F.2d 676
    , 681 & n.27 (D.C. Cir. 1974) (explaining that while Linda
    R.S. precludes standing for a plaintiff to seek the “prosecution of a particular
    individual,” it does not prevent standing in all suits in which “victims or
    potential victims of criminal acts sue to correct allegedly unlawful
    prosecutorial conduct”). In other words, one does not have standing to allege
    an injury based solely on law enforcement’s failure to prosecute someone
    who has already harmed her, but she does have standing to allege that a
    discriminatory underenforcement of the law played a part in causing the
    harm she suffered. See Kentucky v. Graham, 
    473 U.S. 159
    , 166 (1985) (“[I]n
    an official-capacity suit the entity’s ‘policy or custom’ must have played a
    part in the violation of federal law.”); M.D. by Stukenberg v. Abbott, 
    907 F.3d 237
    , 253 (5th Cir. 2018) (“[P]laintiffs must show that the State is the ‘moving
    force’ behind the deprivation.”) (quoting Kentucky, 
    473 U.S. at 166
    ); Bedford
    v. City of Mandeville, No. 98-31168, 
    1999 WL 33964096
    , at *3 (5th Cir. Oct.
    22, 1999) (“In an official capacity suit against a public official the government
    entity’s policy or custom must have played a role in the constitutional
    violation.”).
    27
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    Unlike in failure-to-prosecute cases, where a third-party wrongdoer is
    the source of the direct harm the plaintiff suffered as a crime victim, the
    allegation in failure-to-protect claims is that law enforcement practices
    played a role in the plaintiff’s victimization. See, e.g., Shipp, 
    234 F.3d at 909
    (failure to enforce laws meant to prevent domestic abuse led to plaintiff’s
    shooting at hands of estranged spouse); Estate of Macias v. Ihde, 
    219 F.3d 1018
    , 1022–26 (9th Cir. 2000) (repeated failure to enforce restraining order
    led to death at hands of abuser); Watson, 
    857 F.2d at 696
     (holding that a jury
    could infer the plaintiff’s “injuries were a result of the policy” of
    nonenforcement).
    Such failure-to-protect claims may include allegations that law
    enforcement’s discriminatory inaction increased the likelihood of crimes or
    even directly led to crimes against a certain group. This is implicit in some
    cases—that is, discriminatory refusal to enforce restraining orders and other
    domestic violence laws logically increases the risk of harm to women—but
    explicitly stated in others, like here. For example, a court held that a plaintiff
    stated a failure-to-protect claim by alleging that police officials’ “failure to
    prosecute known and identified perpetrators” of attacks against Indian
    Americans was based upon race and had the effect of encouraging such
    attacks, leading to the death of the plaintiff’s son. Mody v. City of Hoboken,
    
    758 F. Supp. 1027
    , 1028, 1031 (D.N.J. 1991), aff’d, 
    959 F.2d 461
     (3d Cir.
    1992). The plaintiff alleged that the “defendants refused to file criminal
    complaints against people who had engaged in attacks against Indians,
    sending a message to the larger community that if they committed violent
    acts against Indians they would not be held accountable.” Id. at 1031. These
    kinds of claims may be difficult to prove on the merits, see 
    959 F.2d at 461
    (noting verdict was for the defense), but they are cognizable; their ultimate
    success depends on the plaintiff’s establishing a causal link between the
    28
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    discriminatory policy and a subsequent injury.2 See Shipp, 
    234 F.3d at 914
    (noting the “causation requirement” for failure-to-protect claims); accord
    Mody, 
    959 F.2d at 466
     (stating a plaintiff must “establish[] a causal
    relationship between the discriminatory policy and the injury [suffered]”).
    Although failure-to-protect claims are usually brought against the
    police, the same logic applies to prosecutors. Prosecutors are, after all, part
    of law enforcement, and if anything, they may have more power to implement
    discriminatory policies than the average officer out on patrol. See Morrison v.
    Olson, 
    487 U.S. 654
    , 727 (1988) (Scalia, J., dissenting) (“Only someone who
    has worked in the field of law enforcement can fully appreciate the vast power
    . . . placed in the hands of a prosecutor with respect to the objects of his
    investigation.”); John F. Pfaff, Criminal Punishment and the Politics of Place,
    
    45 Fordham Urb. L.J. 571
    , 574 (2018) (“Perhaps the single most
    important actor in the criminal justice system today is the prosecutor.”). The
    paucity of failure-to-protect cases against prosecutors likely stems in part
    from absolute prosecutorial immunity. But while prosecutors enjoy
    immunity from suits filed against them in their individual capacity, see Imbler
    v. Pachtman, 
    424 U.S. 409
     (1976), Lefebure sued D’Aquilla in both his
    individual and official capacities. The latter is essentially a Monell claim of
    municipal liability, for which there is not an immunity defense. See Connick
    v. Thompson, 
    563 U.S. 51
    , 59–60 (2011) (addressing claim brought against
    Orleans Parish District Attorney in his official capacity under Monell
    standards); see also Owen v. City of Independence, 
    445 U.S. 622
    , 638 (1980)
    (refusing to apply immunities for personal liability to Monell claims against
    2
    As I discuss more fully below, we must carefully avoid conflating the
    requirements for ultimate success on the merits and that which is necessary to confer
    standing. See Lujan v. Defs. of Wildlife, 
    504 U.S. 555
    , 561 (1992) (“At the pleading stage,
    general factual allegations of injury resulting from the defendant’s conduct may suffice” to
    confer standing.”)
    29
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    local governments because “there is no tradition of immunity for municipal
    corporations”).
    Accordingly, if Lefebure were challenging only the failure to prosecute
    her attacker, then her claim would be barred by Linda R.S. But if Lefebure
    instead, or additionally, challenges an unconstitutional and discriminatory
    pattern of conduct that contributed to her assault, she has standing to pursue
    those allegations.
    II. Operative Complaint
    Though some of Lefebure’s allegations sound in failure to prosecute,
    her complaint does allege a failure to protect caused by Defendant
    D’Aquilla’s underenforcement of the law. We need not, as the majority
    suggests, recast Lefebure’s suit to reach this conclusion. Indeed, she
    expressly addressed the dividing line for these claims in a brief filed in the
    district court:
    Defendant mischaracterizes Plaintiff’s claims as asserting a
    right to have Boeker criminally prosecuted and/or convicted. .
    ..
    But, Plaintiff is not claiming a right to have Boeker prosecuted
    or convicted, she claims no more than what the Fifth Circuit
    has recognized for more than a decade, that where a law
    enforcement policy, practice, or custom provides less
    protection to victims of domestic violence, including rape and
    sexual assault, such a custom unconstitutionally violates the
    right to equal protection where discrimination against a specific
    class was a motivating factor and the plaintiff was injured by
    the policy, custom, or practice. Shipp v. McMahon, 
    234 F.3d 907
    , 914 (5th Cir. 2000) . . . .
    The district court agreed that Lefebure’s allegations sounded in failure to
    protect, noting the “distinction” between the Shipp cases and failure-to-
    prosecute claims like Linda R.S. See Lefebure v. Boeker, 
    390 F. Supp. 3d 729
    ,
    30
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    c/w No. 19-30989
    747–48 (M.D. La. 2019). After reviewing both lines of precedent, the court
    concluded that it “d[id] not view Plaintiff’s claim as one demanding the
    prosecution of her alleged attacker. Rather, Plaintiff’s claim is that the
    Defendants have an implied policy or custom to not properly investigat[e]
    claim[s] of sexual assault by women which violates their official duties to
    protect the public equally.” 
    Id. at 747
    .
    And Lefebure’s operative complaint directly alleges how the failure of
    the district attorney’s office to protect women violated her equal protection
    rights. She alleges, for example, that:
     D’Aquilla has “a history of discriminating against women . . . [and
    has] failed to investigate or take seriously reports of sexual assault
    from women and generally treat[ed] these allegations with less priority
    than other crimes.”
     D’Aquilla’s office “does not have a policy requiring rape kits and sex-
    ual assault examinations to be picked up and reviewed or sent to the
    state crime lab for testing.”
     D’Aquilla “created a danger of an increased risk of harm to Plaintiff
    and other victims of sexual assault, which are disproportionately
    women, by failing to investigate sexual assault crimes, [and] by foster-
    ing an environment whereby perpetrators of sexual assault are allowed
    to prey on victims without fear of investigation.”
    Lefebure also alleges that her rapist “knew of Defendant D’Aquilla’s
    longstanding refusal to properly investigate sexual assault crimes against
    women” and that this emboldened him to rape her. These allegations—that
    the district attorney had a policy of not prosecuting sex crimes against women
    and that Lefebure’s rapist knew about the policy (a plausible allegation since
    he worked in law enforcement)—support a classic failure-to-protect claim.
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    This conclusion is not premised on abstract or conjectural causation,
    and to the extent the majority relies on Linda R.S. to argue as such, I
    respectfully disagree. In Linda R.S., appellant “made no showing that her
    failure to secure support payments result[ed] from the nonenforcement, as
    to her child’s father” of the challenged law. 
    410 U.S. at 618
    . Under the Texas
    statute, even if the law was properly enforced, it would result in the child’s
    father being incarcerated, not actual payment of child support. Thus, the
    Supreme Court found only a speculative—not direct—relationship between
    the injury and the claim sought to be adjudicated.
    In contrast, Lefebure concretely alleges that Defendant D’Aquilla’s
    known failure to properly investigate sexual assault crimes against women led
    to her assault. Lefebure explains that after the attack, she saw for herself the
    allegedly discriminatory enforcement practices that allegedly led to her rape:
    the district attorney’s office did not pick up her rape kit for months and failed
    to present it to the grand jury; no one from the office spoke to her about the
    crime; and D’Aquilla failed to call relevant witnesses to testify before the
    grand jury.3 Lefebure’s injuries are, at minimum, “fairly . . . trace[able]” to
    Defendant D’Aquilla’s alleged failure to investigate. See Lujan v. Defs. of
    Wildlife, 
    504 U.S. 555
    , 560 (1992) (quoting Simon v. Eastern Ky. Welfare
    Rights Org., 
    426 U.S. 26
    , 41–42 (1976). Causation need only be “logical.”
    Linda R.S., 
    410 U.S. at 618
    . It appears, however, that the majority holds
    Lefebure to a higher standard.
    3
    As the majority points out, Lefebure’s pleadings also refer to her attacker “not
    be[ing] held accountable for his actions” and being “protect[ed] . . . from prosecution.”
    But these allegations can be read not to argue for Boeker’s prosecution but to illustrate
    D’Aquilla’s underenforcement of rape crimes. That is how the district court understood
    her claims. Lefebure, 390 F. Supp. 3d at 747.
    32
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    The bigger point is that even if some of Lefebure’s allegations are
    unviable failure-to-prosecute claims, the others I have noted describe a
    failure to protect. As the district court highlighted, Lefebure alleges a “long-
    standing” pattern of discrimination that played a role in her harm. Id. at 745–
    46. Lefebure has maintained from the beginning that the district attorney’s
    history of treating sexual assaults reported by women as less of a priority than
    other crimes “foster[ed] an environment whereby perpetrators of sexual
    assault [were] allowed to prey on victims,” including herself. She thus
    articulates a failure-to-protect injury that we have recognized for at least
    twenty years—and one that invokes the original concerns of the Equal
    Protection Clause.
    III. Origins of the Equal Protection Clause
    Although courts first recognized failure-to-protect claims in the
    1980s, see Shipp, 
    234 F.3d at 912
    , the seeds of these claims were sown more
    than a century earlier. As its words indicate, the Equal Protection Clause
    recognizes a right to equal enforcement of the law that encompasses equal
    protection for crime victims. “‘Protection of the laws’ is, after all, a peculiar
    way to express a general freedom from discrimination,” David P.
    Currie, The Constitution in the Supreme Court: The
    First Hundred Years, 1789-1888, at 349 (1985), and the language
    reflects that “achieving equal protection against lawbreakers was at the core
    of the Clause’s objectives.” Lawrence Rosenthal, Policing and Equal
    Protection, 21 Yale L. & Pol’y Rev. 53, 70 (2003).
    As a leading criminal law scholar explained: “When the Fourteenth
    Amendment’s guarantee of the ‘equal protection of the laws’ was enacted,
    one of its chief goals was to ensure that criminal law meant one law alike for
    blacks and whites—that both ex-slaves and ex-slaveowners would be held to
    the same legal standards, and that crime victims among both groups received
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    roughly the same measure of legal protection.” William J. Stuntz,
    The Collapse of American Criminal Justice 6 (2011). Judge
    Easterbrook succinctly described the Clause’s “original meaning”: “[I]f the
    police and prosecutors protect white citizens, they must protect black
    citizens too.” Del Marcelle v. Brown Cnty. Corp., 
    680 F.3d 887
    , 901 (7th Cir.
    2012) (en banc) (Easterbrook, C.J., concurring). Likewise, Professor Currie
    has observed that the equal protection was originally understood “to mean
    that the states must protect blacks to the same extent that they protect
    whites: by punishing those who do them injury.” Currie, supra, at 349.
    Congressional debates from the Fourteenth Amendment’s passage
    reveal this original understanding of equal protection. Congressman
    Thaddeus Stevens, co-chair of the Joint Committee on Reconstruction,
    noted that the Clause would ensure that “[w]hatever law protects the white
    man shall afford ‘equal’ protection to the black man. Whatever means of
    redress is afforded to one shall be afforded to all.” Cong. Globe, 39th
    Cong., 1st Sess. 2459 (1866). Another member of the Committee, Senator
    Jacob Howard, remarked that the Clause “gives the humblest, the poorest,
    the most despised of the race . . . the same protection before the law as it gives
    to the most powerful, the most wealthy, or the most haughty.” Id. at 2766.
    Failure-to-protect claims based on discriminatory enforcement of the law
    therefore touch on the original concern of equal protection.4
    This protection-centered understanding of the Clause has informed
    courts’ approaches to modern cases involving discriminatory police
    4
    The majority opines that any plaintiff could simply replead every failure-to-
    prosecute claim as a failure-to-protect claim. Maj. Op. at 21. This red herring conflates the
    requirements of plausibly alleging a claim and establishing a basis for standing. A failure-to-
    protect claim would still be subject to the standing requirements of injury, causation, and
    redressability. See Lujan, 
    504 U.S. at
    560–61. And most failure-to-protect claims arise in
    the context of a protected category—a scenario that does not always apply.
    34
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    practices. As one court put it, the “selective withdrawal of police protection,
    as when the Southern states during the Reconstruction era refused to give
    police protection to their black citizens, is the prototypical denial of equal
    protection.” Hilton v. City of Wheeling, 
    209 F.3d 1005
    , 1007 (7th Cir. 2000)
    (citing Slaughter–House Cases, 83 U.S. (16 Wall.) 36, 70 (1872); Currie,
    supra, at 349); see also Del Marcelle, 
    680 F.3d at 889
     (Posner, J.) (describing
    “law enforcers who systematically withdraw protection from a group against
    which they are prejudiced” as “the original target of the equal protection
    clause”); Mody, 
    758 F. Supp. at 1028
     (“An express or implied policy which
    permits or condones attacks upon members of a particular minority group is
    the very evil which the post-Civil War statutes sought to eradicate.”).
    IV. Conclusion
    Lefebure raises that prototypical equal protection claim, centered on
    the injuries she alleges resulted from a discriminatory failure to enforce the
    law when it comes to rape cases. A right to be free from discriminatory law
    enforcement policies that enable crime is distinct from an affirmative right to
    prosecution. As the injury Lefebure asserts is one caused by a policy of
    discrimination, it implicates the chief original concern of equal protection.
    This is an injury she has standing to vindicate.
    For these reasons, Lefebure has alleged the type of failure-to-protect
    claim that has long been cognizable. Such claims guard against the dangerous
    and discriminatory underenforcement of the law based on a victim’s status.
    Although it might be difficult for Lefebure to ultimately prove on the merits
    that the district attorney’s policy, custom, or practice played a role in her
    assault, she does have standing to pursue such a claim. Accordingly, I dissent.
    35
    

Document Info

Docket Number: 19-30702

Filed Date: 10/5/2021

Precedential Status: Precedential

Modified Date: 10/5/2021

Authorities (40)

Eyrle S. Hilton, IV v. City of Wheeling , 209 F.3d 1005 ( 2000 )

jamshid-r-mody-as-administrator-ad-prosequedum-for-the-heirs-at-law-of , 959 F.2d 461 ( 1992 )

Beltran v. City of El Paso , 367 F.3d 299 ( 2004 )

Samuel Bailey v. Joe T. Patterson , 82 S. Ct. 549 ( 1962 )

Connick v. Thompson , 131 S. Ct. 1350 ( 2011 )

Arizona Christian School Tuition Organization v. Winn , 131 S. Ct. 1436 ( 2011 )

Parkhurst v. Tabor , 569 F.3d 861 ( 2009 )

Sargeant, Donald B. v. Dixon, Harry , 130 F.3d 1067 ( 1997 )

estate-of-maria-teresa-macias-by-and-through-its-successors-in-interest , 219 F.3d 1018 ( 2000 )

cecelia-n-eagleston-v-daniel-guido-detective-rivera-dennis-donnelly , 41 F.3d 865 ( 1994 )

Regents of the University of California v. Bakke , 98 S. Ct. 2733 ( 1978 )

Owen v. City of Independence , 100 S. Ct. 1398 ( 1980 )

United States v. Nixon , 94 S. Ct. 3090 ( 1974 )

Agostini v. Felton , 117 S. Ct. 1997 ( 1997 )

Sherry Jones v. Union County, Tennessee Union County ... , 296 F.3d 417 ( 2002 )

Shipp v. McMahon , 234 F.3d 907 ( 2000 )

nancy-watson-and-jason-fitch-by-nancy-watson-next-friend-plaintiffs-v , 857 F.2d 690 ( 1988 )

Northeastern Florida Chapter of the Associated General ... , 113 S. Ct. 2297 ( 1993 )

Steel Co. v. Citizens for a Better Environment , 118 S. Ct. 1003 ( 1998 )

Mody v. City of Hoboken , 758 F. Supp. 1027 ( 1991 )

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