John Valente v. University of Dayton , 438 F. App'x 381 ( 2011 )


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  •                 NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
    File Name: 11a0522n.06
    No. 10-3292
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    FILED
    JOHN VALENTE,                                      )                    Jul 27, 2011
    )                LEONARD GREEN, Clerk
    Plaintiff-Appellant,                        )
    )
    v.                                                 ) ON APPEAL FROM THE UNITED
    ) STATES DISTRICT COURT FOR THE
    UNIVERSITY OF DAYTON,                              ) SOUTHERN DISTRICT OF OHIO
    )
    Defendant-Appellee.                         )
    Before: BOGGS, GILMAN, and COOK, Circuit Judges.
    COOK, Circuit Judge. In early 2008, the University of Dayton School of Law suspended
    John Valente for Honor Code violations.1 The decision followed an Honor Council disciplinary
    hearing where members found Valente guilty of cheating on an exam. Valente, proceeding pro se,
    sued Dayton for breach of contract, promissory estoppel, and various torts. After an extensive
    discovery period, the district court awarded summary judgment to the University on all claims.
    Valente now appeals. We affirm the lower court’s decision.
    1
    The Defendant-Appellee in this case is the University of Dayton, the sui juris entity. In all
    respects in this case, the University acted through its law school. For the purposes of this opinion,
    the terms “the University” and “Dayton” refer to the University of Dayton; meanwhile, “UDSL” and
    “the Law School” reference the University of Dayton School of Law specifically.
    No. 10-3292
    Valente v. Univ. of Dayton
    I.
    At the close of the Fall 2007 Semester, UDSL officials notified Valente that another student
    had accused him of Honor Code violations during final exams, and that they might summon him for
    a disciplinary hearing, should the Honor Council’s ongoing investigation reveal probable cause for
    the alleged offenses. Over the following weeks, the Council researched the complaint, interviewed
    potential witnesses and gathered relevant documents. After completing this task, the Council
    members concluded that there was probable cause to believe that Valente violated the Honor Code.
    In particular, their findings suggested that (1) Valente received test questions for his upcoming
    criminal-law examination from a classmate who had already taken that exam, and (2) Valente
    relayed these questions to another student—both in potential violation of the Honor Code.
    Toward the end of January, the Law School informed Valente of the specific allegations and
    scheduled a disciplinary hearing for early February. It also provided him a “Discovery Packet,”
    which included a summary of the Honor Council’s investigation, a list of potential witnesses (and
    their expected testimony), and copies of all documents that the prosecution intended to introduce.
    Upon receiving these materials, Valente sued the University in federal district court, moving to
    preliminarily enjoin the Honor Council hearing. When the district court denied Valente’s motion,
    he voluntarily dismissed the case and the hearing continued, albeit a few days delayed.
    The disciplinary hearing proceeded much like a criminal trial. First, a student prosecutor read
    the charges against Valente: five separate violations of the Law School Honor Code. Next, the court
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    heard opening statements. Then, during their respective cases-in-chief, both the prosecutor and
    Valente presented exhibits and interviewed witnesses, whom the other side then cross-examined.
    Finally, each side offered closing arguments. At the close of the proceedings, a seven-student panel
    retired for deliberation, then issued a written opinion in which it found Valente guilty of all five
    Honor Code violations. The Law School, adopting the panel’s recommended sentence, suspended
    Valente for at least three semesters.
    In July 2008, Valente reinstated his suit against the University, alleging various claims,
    including breach of contract and several torts. He also sought another preliminary injunction, this
    time demanding immediate reinstatement to UDSL. The district court held a two-day evidentiary
    hearing before denying Valente’s motion. It subsequently granted summary judgment in favor of
    the University. In its opinion, the court held that (1) Dayton had substantially complied with the
    terms of any implied contract resulting from the parties’ student-university relationship, and (2) to
    the extent it could construe Valente’s claims under tort and other theories, those claims were
    precluded by his contract claims or lacked sufficient evidence. Valente appeals.
    II.
    A.     Standard of Review
    We review de novo a district court’s grant of summary judgment. Ciminillo v. Streicher, 
    434 F.3d 461
    , 464 (6th Cir. 2006). Summary judgment is proper “if the movant shows that there is no
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    Valente v. Univ. of Dayton
    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). Once the moving party meets its initial burden, the nonmovant “must set forth
    specific facts showing that there is a genuine issue for trial.” Celotex Corp. v. Catrett, 
    477 U.S. 317
    ,
    322 n.3 (1986) (internal quotation marks and citation omitted). “Where the record taken as a whole
    could not lead a rational trier of fact to find for the non-moving party, there is no ‘genuine issue for
    trial.’” Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 
    475 U.S. 574
    , 587 (1986) (citation
    omitted). But in making our determination, we may not “weigh the evidence and determine the truth
    of [any disputed] matter,” Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 249 (1986); we must
    instead view the facts in the record and all inferences that can be drawn from those facts in the light
    most favorable to the nonmoving party, Matsushita, 
    475 U.S. at
    587–88.
    Because this action involves an Honor Code dispute between a university and its student,
    contractual theories underlie our analysis. See Behrend v. State, 
    379 N.E.2d 617
    , 620 (Ohio Ct. App.
    1977) (“Generally . . . when a student enrolls in a college or university, pays his or her tuition and
    fees, and attends such school, the resulting relationship may reasonably be construed as being
    contractual in nature.”) Yet, at the same time, “[c]ontracts for private education have unique
    qualities and must be construed to allow the institution’s governing body to meet its educational and
    doctrinal responsibilities.” Ray v. Wilmington Coll., 
    667 N.E.2d 39
    , 42 (Ohio Ct. App. 1995).
    Courts therefore will not interfere with a private university’s right to make regulations, establish
    requirements, set scholastic standards, and enforce disciplinary rules absent “a clear abuse of
    discretion.” Schoppelrei v. Franklin Univ., 
    228 N.E.2d 334
    , 336 (Ohio Ct. App. 1967) (emphasis
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    added); accord Wilmington Coll., 
    667 N.E.2d at 42
    ; see also State v. Adams, 
    404 N.E.2d 144
    , 149
    (Ohio 1980) (“The term ‘abuse of discretion’ connotes more than an error of law or of judgment; it
    implies that the [adjudicating body’s] attitude is unreasonable, arbitrary[,] or unconscionable.”).
    B.     Breach of Contract
    Valente alleges that, in conducting its disciplinary hearing, the Law School’s Honor Council
    failed to abide by some of the Honor Code’s terms, thus breaching the University’s contract with him
    in two ways: first, the Honor Council denied him the opportunity to impeach the prosecution’s
    student-witnesses; second, it misconstrued the Law School’s “Quiet Period” rule, applying terms
    explained in a school-wide email from the Registrar, rather than an alternate, oral explanation that
    Dean Lori Shaw purportedly gave Valente. Valente argues that either of these “errors” creates an
    issue of material fact as to whether Dayton breached the contract and thus precludes summary
    judgment. We disagree. Contrary to Valente’s assertions, the issue here is not whether the Law
    School strictly adhered to each of the Honor Code’s procedural rules, or whether it could have
    provided a better hearing, but rather whether it abused its discretion—whether it acted unreasonably,
    arbitrarily, or unconscionably. See Adams, 404 N.E.2d at 149; Wilmington Coll., 
    667 N.E.2d at 42
    .
    Addressing Valente’s first point, we note that, although the Honor Code does provide each
    party the right “to impeach any witness,” the Honor Council President may nevertheless “limit the
    amount of relevant but marginally probative evidence.” Valente states that he wished to introduce
    details about the prosecutorial witnesses’ own Honor Council hearings—evidence that, in addition
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    Valente v. Univ. of Dayton
    to receiving confidentiality protection under the Honor Code, offers little obvious probative value.
    Valente’s first argument thus gives us no reason to conclude that the Honor Council violated Honor
    Code procedures, let alone that it abused its discretion.
    We move to Valente’s second contention, which involves the correct interpretation of
    UDSL’s Quiet Period rule. Prior to the Fall 2007 exam period, the Law School’s Registrar circulated
    an email to students, reminding them of UDSL’s Quiet Period. As she explained, “AFTER you take
    [an] exam, you may not discuss the exam OR any legal concepts relating to the course with any
    member of the UDSL community . . . . If a discussion of [a] completed exam arises, you are to
    immediately remove yourself from the conversation.” But according to Valente, Dean Shaw told
    him that students “were allowed to accept material from [other] students who had taken [an] exam,”
    so long as “the student giving the material [did] not alter the material after taking the exam and a
    student [did] not accept any material he knew to have been altered” by another student after that
    student had taken the exam. He thus maintains that because he allegedly did not know that the
    questions he received were actual test questions (rather than hypothetical practice questions), he did
    not violate the Quiet Period rule, at least as he understood it.
    The terms governing a student-university contract generally reside in the school’s guidelines
    supplied to students, though the parties may alter these terms through mutual agreement. Bleicher
    v. Univ. of Cincinnati Coll. of Med., 
    604 N.E.2d 783
    , 787 (Ohio Ct. App. 1992). But even if we
    assume that the purported exchange with Shaw occurred, we need not determine whether it displaced
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    the Registrar’s official explanation of the Quiet Period rule, as Valente never raised the issue when
    given the opportunity to defend his actions during the disciplinary hearing. Instead, this “alternate
    interpretation” argument only surfaced months later, in Valente’s district-court action. Valente
    essentially faults the Honor Council for overlooking exculpatory evidence—his supposed
    conversation with Dean Shaw—evidence that he failed to present. Based upon these facts, we
    discern no abuse of discretion in the Honor Council’s disciplinary procedures or judgment.
    We accordingly affirm the district court’s grant of summary judgment on Valente’s breach-
    of-contract claim.
    C.       Breach of the Duty of Good Faith and Fair Dealing
    Valente also alleges that the University’s actions violated its duty of good faith and fair
    dealing. This contention has no merit because, excepting insurance contracts, see, e.g., Suver v.
    Pers. Serv. Ins. Co., 
    462 N.E.2d 415
    , 417 (Ohio 1984), “Ohio courts have been circumspect in
    allowing tort remedies for breaches of such duties,” In re Commercial Money Ctr., Inc., Equip. Lease
    Litig., 
    603 F. Supp. 2d 1095
    , 1122 (N.D. Ohio 2009). In fact, when addressing a contractual dispute
    between a school and its former employees and students, the Ohio Court of Appeals held that
    “[t]here is no separate tort cause of action for breach of good faith that is separate from a breach of
    contract claim.” Ne. Ohio Coll. of Massotherapy v. Burek, 
    759 N.E.2d 869
    , 875 (Ohio Ct. App.
    2001). Lacking sufficient grounds to form a separate cause of action, Valente’s second claim thus
    fails.
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    D.      Promissory Estoppel
    Valente next asserts that promissory estoppel should apply to Dean Shaw’s alleged
    representations about the Quiet Period rule. Though Valente’s brief offers no explanation
    whatsoever for this argument, we construe his filings liberally because he proceeds pro se. See, e.g.,
    Boswell v. Mayer, 
    169 F.3d 384
    , 387 (6th Cir. 1999). “Under Ohio’s promissory estoppel doctrine,
    a promise that the promisor should reasonably expect to induce action or forbearance on the part of
    the promisee or a third person and . . . [that] does induce such action or forbearance is binding if one
    can avoid injustice only by enforcing the promise.” Andersons, Inc. v. Consol, Inc., 
    348 F.3d 496
    ,
    503 (6th Cir. 2003) (alteration in original) (internal quotation marks and citation omitted).
    Because Valente does not develop his argument, we can only guess as to how he believes this
    equitable principle should bear upon the instant action. We presume that he wants the courts to
    enforce Dean Shaw’s supposed interpretation of the Quiet Period rule, rather than that of the
    Registrar. Yet even if we assume that Dean Shaw’s statement qualifies as a “promise,” we do not
    believe that “avoid[ing] injustice” mandates estoppel; as we discussed earlier, Valente had the
    opportunity to present this evidence to the Honor Council, but failed to do so. And, as a broader
    matter, the presence of an enforceable contract between Dayton and Valente generally precludes
    promissory-estoppel claims relating to the contract. See O’Neill v. Kemper Ins. Cos., 
    497 F.3d 578
    ,
    583 (6th Cir. 2007) (“In Ohio, [w]here the parties have an enforceable contract and merely dispute
    its terms, scope, or effect, one party cannot recover for promissory estoppel . . . .” (alteration in
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    Valente v. Univ. of Dayton
    original) (internal quotation marks and citation omitted)); accord Telxon Corp. v. Smart Media of
    Del., Inc., Nos. 22098, 22099, 
    2005 WL 2292800
    , at *21 (Ohio Ct. App. Sept. 21, 2005). We thus
    affirm the district court’s grant of summary judgment on Valente’s promissory-estoppel claim.
    E.         Tort Claims
    In his original complaint, Valente alleged eight separate tort claims; he preserves four on
    appeal: breach of fiduciary duty, negligence, intentional infliction of emotional distress, and fraud.
    As a preliminary matter, “under Ohio law the existence of a contract action generally excludes the
    opportunity to present the same case as a tort claim.” Wolfe v. Cont’l Cas. Co., 
    647 F.2d 705
    , 710
    (6th Cir. 1981). Because, as we explained, the relationship between a university and its students is
    contractual, see Behrend, 
    379 N.E.2d at 620
    , and all of Valente’s claims arise from the same course
    of events (namely, his suspension from UDSL for Honor Code violations), we could dispose of his
    tort claims summarily. But, because these claims nonetheless fail on the merits, we address each one
    briefly.
    1.     Breach of Fiduciary Duty
    Valente alleges that in conducting its Honor Council hearing and suspending him, Dayton
    violated a fiduciary duty that it owed to him as a student. The elements for a breach-of-fiduciary-
    duty claim include the following: “(1) the existence of a duty arising from a fiduciary relationship;
    (2) a failure to observe the duty; and (3) an injury resulting proximately therefrom.” Wells Fargo
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    Valente v. Univ. of Dayton
    Bank, N.A. v. Sessley, 
    935 N.E.2d 70
    , 83 (Ohio Ct. App.) (internal quotation marks and citation
    omitted), appeal denied, 
    935 N.E.2d 856
     (Ohio 2010). Parties form a “fiduciary relationship” when
    “special confidence and trust is reposed in the integrity and fidelity of another and there is a resulting
    position of superiority or influence, acquired by virtue of this special trust.” In re Termination of
    Emp’t of Pratt, 
    321 N.E.2d 603
    , 609 (Ohio 1974).
    Although the “fiduciary relationship” definition is somewhat vague, our search of Ohio case
    law yields no instances where courts have applied it to the university-student context. We find this
    observation telling, especially because Ohio “courts have been reluctant to characterize relationships
    between individuals as being fiduciary in nature, with the obvious exception of those relationships
    that involve statutorily-imposed duties.” Casey v. Reidy, 
    906 N.E.2d 1139
    , 1145 (Ohio Ct. App.
    2009) (collecting cases). Valente, in support of his argument, cites only one decision—from New
    Hampshire—which held that “[i]n the context of sexual harassment by faculty members, the
    relationship between a post-secondary institution and its students is a fiduciary one,” because the
    power differential between students and faculty makes it difficult for students to refuse professors’
    unwelcome advances. Schneider v. Plymouth State Coll., 
    744 A.2d 101
    , 105 (N.H. 1999) (emphasis
    added). Yet this case offers no insight into Valente’s claim, given its limited holding and obvious
    factual differences. Recognizing the Ohio courts’ hesitancy to impose fiduciary duties outside their
    traditional contexts, we accordingly see no reason to extend them now.
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    2.     Negligence
    Next, Valente argues that Dayton failed to train or supervise its employees and agents,
    thereby giving rise to a negligence claim. “To establish actionable negligence, one must show in
    addition to the existence of a duty, a breach of that duty and injury resulting proximately therefrom.”
    Mussivand v. David, 
    544 N.E.2d 265
    , 270 (Ohio 1989). But “an action of tort for negligence cannot
    be maintained unless the defendant’s conduct constituted the breach of a duty imposed by law, apart
    from it being a breach of an obligation created by agreement of the parties, either express or
    implied.” Bowman v. Goldsmith Bros. Co., 
    109 N.E.2d 556
    , 557 (Ohio Ct. App. 1952) (emphasis
    added); accord Textron Fin. Corp. v. Nationwide Mut. Ins. Co., 
    684 N.E.2d 1261
    , 1270 (Ohio Ct.
    App. 1996).
    In support of his negligence action, Valente recites a litany of duties that Dayton supposedly
    breached. Yet these obligations all arise from Dayton’s Honor Code (one of the sources of terms
    governing the student-university contract, see Bleicher, 
    604 N.E.2d at
    787–88) and mirror the duties
    that Valente lists in his breach-of-contract claim. Because the duties Valente identifies all arise from
    his contractual relationship with Dayton, he proffers no grounds upon which to base a negligence
    action.
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    3.      Intentional Infliction of Emotional Distress
    In his penultimate tort claim, Valente accuses the University of intentionally inflicting
    emotional distress. In Ohio, a plaintiff claiming intentional infliction of emotional distress must
    show the following: (1) the defendant intended to cause plaintiff’s emotional distress or should have
    known that such serious emotional distress would result, (2) the defendant’s conduct was outrageous,
    extreme, beyond all possible bounds of decency, and utterly intolerable in a civilized community,
    (3) the defendant’s conduct proximately caused the plaintiff’s psychic injury, and (4) the plaintiff’s
    emotional distress was so serious that no reasonable person could be expected to endure it. Talley
    v. Family Dollar Stores of Ohio, Inc., 
    542 F.3d 1099
    , 1110 (6th Cir. 2008).
    The most obvious reason to reject Valente’s emotional-distress claim is that he makes no
    showing that the University engaged in extreme and outrageous conduct. Quite the contrary, we
    view Dayton’s stringent enforcement of its academic standards proper, if not commendable. We
    accordingly affirm the district court’s grant of summary judgment to Dayton on this claim.
    4.      Fraud
    Finally, Valente argues that Dean Shaw, in offering her purported “alternate explanation” of
    the Law School’s Quiet Period rule, intentionally defrauded him. The elements of a fraud claim are
    (1) a misrepresentation of a material fact; (2) made with knowledge of its falsity, or with such utter
    disregard as to its truth that knowledge may be inferred; (3) with the intent to induce another’s
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    reliance on it; (4) justifiable reliance upon the representation or concealment; and (5) a resulting
    injury proximately caused by the reliance. Burr v. Bd. of Cnty. Comm’rs, 
    491 N.E.2d 1101
    , 1105
    (Ohio 1986).
    Although Valente’s filings provide several cursory allegations, he offers no facts
    demonstrating that Dean Shaw knew her statements were false, or that she acted with the intent to
    deceive. See Schwartz v. Bank One, Portsmouth, N.A., 
    619 N.E.2d 10
    , 12 (Ohio Ct. App. 1992)
    (“[A] cause of action cannot be classified a tort action simply because the appellant used the term
    ‘fraudulently’ in [the] pleading.”). Lacking a showing of scienter, Valente’s fraud claim fails.
    III.
    For these reasons, we affirm the district court’s decision granting summary judgment to the
    University on all claims.
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