All Courts |
Federal Courts |
US Court of Appeals Cases |
Court of Appeals for the Seventh Circuit |
2017-08 |
-
In the United States Court of Appeals For the Seventh Circuit ____________________ No. 16‐2417 CYNTHIA ARCHER, Plaintiff‐Appellant, v. JOHN T. CHISHOLM, et al., Defendants‐Appellees. ____________________ Appeal from the United States District Court for the Eastern District of Wisconsin. No. 2:15‐cv‐00922‐LA — Lynn Adelman, Judge. ____________________ ARGUED JANUARY 6, 2017 — DECIDED AUGUST 29, 2017 ____________________ Before WOOD, Chief Judge, and BAUER and ROVNER, Circuit Judges. WOOD, Chief Judge. While Governor Scott Walker was leading the charge for controversial changes to Wisconsin’s public union laws, plaintiff‐appellant Cynthia Archer was at his side, drafting the law and advocating for its passage. At the same time, the Milwaukee County State’s Attorney’s Office was investigating allegations of misconduct against Archer and several of the governor’s close associates, using 2 No. 16‐2417 Wisconsin’s unique “John Doe” procedure. Archer sees a connection between the legislative campaign and the John Doe investigation. She alleges that she was targeted because of her work on the union bill and her affiliation with Governor Walker. Although Archer was never charged with wrongdoing, she filed this section 1983 action against three prosecutors and three members of the investigative team. The district court dismissed the case on the basis of immunity. We affirm. I As Archer tells it (and that is the perspective we adopt at this stage), this case is about a top Republican policy staffer who was dragged unfairly into a criminal investigation by members of a rabidly political prosecutor’s office. The story begins in 2006, when Archer joined Milwaukee County Executive Scott Walker’s administration as the budget director for the Department of Administrative Services. Archer was no government neophyte; she had served before, usually in Republican administrations. Two years later, Walker promoted Archer to Director of Administrative Services. There she played a key role in developing and implementing Walker’s policies. She was well suited for the work, thanks to her master’s degree in public policy and administration and her policy experience. Walker, a Republican, launched his bid for governor in April 2009. In May 2010, with the gubernatorial campaign underway, Milwaukee County District Attorney John Chisholm’s office began investigating activities in Walker’s Milwaukee County Executive’s office. The impetus for the investigation was a re‐ port from Thomas Nardelli, Walker’s chief of staff, concerning some money that the county had given to a non‐profit and No. 16‐2417 3 that had since vanished. Nardelli had reported the missing money to David Budde, an investigator in the Milwaukee D.A.’s office (and a defendant‐appellee here), back in April 2009. His report stated that the county had asked the re‐ cipient charity to document how the money was spent, but it failed to submit a satisfactory accounting. Nardelli identified the charity’s treasurer, Kevin Kavanaugh, as the likely thief. To get the investigation started, Assistant D.A. Bruce Landgraf asked a state judge to open a “John Doe” investigation into the missing charity funds, although the purpose of his investigation was not limited to that topic. A “John Doe” is a unique Wisconsin device that permits the prosecutor, under the supervision and direction of a judge, to conduct a secret investigation. Wis. Stat. § 968.26; State ex rel. Two Unnamed Petitioners v. Peterson, 866 N.W.2d 165, 197–99 (Wis. 2015). After the proceeding is opened, the John Doe judge may issue subpoenas and examine witnesses. State v. Doe, 254 N.W.2d 210, 211 n.1 (Wis. 1977). The Wisconsin Supreme Court believes that, if conducted appropriately, the John Doe process “provides much greater protections to the target of an investigation” than other types of investigations, because the supervising judge acts as a check on the prosecutor. Two Unnamed Petitioners, 866 N.W.2d at 198. In this case, the petition for the John Doe investigation said that it was “reasonable to expect” that county officials, including those from the county executive’s office, would be witnesses. The John Doe investigation expanded several times as it uncovered evidence of wrongdoing, including illegal cam‐ paign fundraising and anomalies in the bidding process for two county projects (a 2009 housekeeping contract and a 2010 lease for agency space at a building known as Reuss Plaza). 4 No. 16‐2417 The bidding investigation was exploring whether county of‐ ficials were giving companies associated with Walker’s cam‐ paign treasurer, John Hiller, an improper advantage. Along the way, D.A. Chisholm’s office learned that Archer had com‐ municated with members of Walker’s inner circle, including Hiller, about bid proposals. In December 2010, after Walker was elected governor but before he had taken office, the de‐ fendants searched Archer’s county office pursuant to a search warrant. By that point, Archer had left her position with the county. Walker had invited her to join his transition team and had ap‐ pointed her Deputy Secretary of Administration. The deputy secretary job was a high‐ranking political position; its head drafted policy and oversaw state departments. Walker hired Archer because of her experience working on his policies in the county office. Soon after Walker became governor, he began advocating for legislation that would significantly weaken bargaining rights for public sector unions. He announced a legislative proposal in February 2010. Public protests and national headlines followed. At the same time, Archer was playing a lead role crafting legislation. This sort of policy work was not inherent in her position as deputy secretary, but she took the initiative to participate in the drafting and implementation process of what became known as Act 10. She advised the governor and other members of the staff about the bill and became a self‐described point person for fielding questions from lawmakers and other officials. The law passed in early March. Recall campaigns targeting some lawmakers and Governor Walker followed. No. 16‐2417 5 While the State Capitol was focused on the public union legislation, the John Doe investigation rolled on. By this time, Archer says, the Milwaukee County D.A.’s Office had “bec[o]me a hotbed of pro‐union, anti‐Act 10, and anti‐Walker activity.” D.A. Chisholm had been a vigorous opponent of Walker for years, ever since Walker’s stint as county executive. (The Milwaukee District Attorney is an elected office, and Chisholm had run as a Democrat.) Archer asserted that Chisholm had promoted Landgraf and David Robles, assistant district attorneys, “at least in part” because they shared Chisholm’s political views; she makes the same claim for the three detective defendants—David Budde, Robert Stelter, and Aaron Weiss. The John Doe investigation, Archer alleges, was a veiled attempt by the defendants to stop Walker and harass his al‐ lies. (Although she claims that D.A. Chisholm’s office had conducted “a continuous campaign of harassment and intim‐ idation” against Walker’s allies since at least May 2010, she alleges facts concerning only the defendants’ opposition to Act 10.) All six defendants worked on the John Doe investiga‐ tion in some capacity. And although the John Doe proceeding was being conducted under the judge’s secrecy order, word of it seeped out to the news media. Archer believes that this, too, was the work of the defendants, who leaked information in order to sully Archer’s reputation. The efforts to stop Act 10 failed, and it became law on March 11, 2011. Six months later, the defendants sought and received from the John Doe judge a search warrant for Archer’s home in Madison. The application was supported by a 33‐page affidavit from investigator Stelter. As relevant here, the affidavit described the investigation and the facts Stelter 6 No. 16‐2417 believed gave rise to probable cause that Archer and others had violated a handful of laws, including the state’s statute addressing misconduct in public office, an ethics code, and the prohibition against solicitation. It also listed the Wisconsin statute under which aiders, abetters, and co‐conspirators are treated as principals. Stelter added that Archer had sent notes regarding a contract from her personal e‐mail account and had communicated with other Walker allies about the pro‐ jects. The affidavit identified, as materials to be seized, “all documents, e‐mails, records, correspondence, and infor‐ mation” relating to the Reuss Plaza and housekeeping con‐ tracts, as well as “any computer or electronic communication device of Archer related to the above including a search of the documents within said computer or device.” The John Doe judge authorized the search warrant on September 13, 2011, and the D.A.’s office executed it early the next day. It was so early, in fact, that Archer was sleeping when officers arrived. Their tactics were rough; they “thunderous[ly] hammered on her front door” and shouted that she had to open it or they would break it down. Archer saw a battering ram on her lawn. Panicked, she ran downstairs and quickly got dressed in the officers’ line of sight. When she opened the door, the officers entered with their guns drawn and proceeded to search every nook and cranny. Just after the search began, Archer noticed a reporter standing on the sidewalk outside her home; other reporters showed up later. The search was widely reported. The search lasted several hours. During this time, the officers prohibited Archer and her partner from leaving the house, even though her partner needed to get to work. Detective Weiss attended and supervised the operation. He No. 16‐2417 7 allegedly told Archer that the investigation was “politically charged” and “touched a lot of people.” Officers seized Archer’s computer and cell phone; when Archer asked to copy her brother’s phone number from her cell phone contacts list, the officers refused. After the search, Archer was interviewed several times, in‐ cluding by Stelter and Budde, as part of the John Doe investi‐ gation. She was granted immunity, however, and she never was charged with any crimes. But at least four people were convicted as a result of the investigation, including some members of Walker’s staff who had violated state campaign finance and fundraising laws. Walker’s former deputy chief of staff, Tim Russell, pleaded guilty to stealing from the charity, and Kavanaugh, the charity’s treasurer, was convicted of fel‐ ony theft. Those convictions did not exhaust the investigation. Along the way, the D.A.’s office unearthed evidence suggest‐ ing unlawful coordination during the recall effort between Walker’s gubernatorial campaign committee and “independ‐ ent” political groups, including the Wisconsin Club for Growth. Based on this evidence, Chisholm’s office sought from a Wisconsin judge, and was granted, the authority to begin a second John Doe investigation (“John Doe II”). The second investigation did not concern Archer, but it is relevant to a document preservation issue in this case. John Doe II led to people outside Milwaukee County; they were beyond the reach of the John Doe II judge. D.A. Chisholm therefore asked Wisconsin’s Attorney General, J.B. Van Hollen, to take over the entire matter. Van Hollen (a Republican) declined to do so because of possible conflicts, but he recommended that the state 8 No. 16‐2417 Government Accountability Board—the nonpartisan body in charge of state elections—take charge. It did so. A former Republican legislator on the Board later observed that the Board had been presented with “credible, hard evidence” of a violation of the law. In addition, the district attorneys for the other counties in which targets of the investigation resided also became involved. Eventually the John Doe II judge appointed a special prosecutor to run the operation. Targets of John Doe II, including the director of the Wisconsin Club for Growth, brought various lawsuits to try to shut it down. The one that matters for our purposes resulted in the Wisconsin Supreme Court’s decision in Two Unnamed Petitioners, 866 N.W.2d 165 (Wis. 2015). There, the court held that the First Amendment prohibited the enforcement of Wisconsin’s anti‐coordination laws against entities such as the Wisconsin Club for Growth. The decision expressly ended John Doe II for the reason that “the special prosecutor’s legal theory is unsupported in either reason or law.” Id. at 179. It ordered the return of all seized items, and the destruction of “all copies of information and other materials” obtained. Id. But on December 2, 2015, the court modified its “destroy” directive, ordering instead that all records from John Doe II—including records from the first investigation that were used in the second investigation—be filed with the supreme court clerk; all other copies were to be destroyed. State ex rel. Three Unnamed Petitioners v. Peterson, 875 N.W.2d 49, 59–60 (Wis. 2015). The court reasoned that this was necessary to “ensure that the prosecution team would comply with the court’s order” to stop the John Doe II investigation. Id. at 58. This meant that the records would be available in the event the investigation ever was allowed to proceed, and that they “could also potentially be available for No. 16‐2417 9 use in related civil proceedings,” if the request and use was “proper under the circumstances.” Id. at 61. It did not elaborate further. On July 1, 2015, while the John Doe cases were still before the Wisconsin Supreme Court, Archer filed the present suit against three prosecutors (Chisholm, Robles, and Landgraf, whom we call the Prosecutors), and three investigators (Stelter, Budde, and Weiss, whom we call the Investigators), in their personal capacities, under 42 U.S.C. § 1983. She al‐ leged five constitutional violations: (1) retaliatory investiga‐ tion, in violation of the First Amendment; (2) unreasonable search and seizure, in violation of the Fourth Amendment; (3) retaliatory arrest, in violation of the First Amendment; (4) false arrest in violation of the Fourth Amendment; and (5) conspiracy to violate civil rights. These actions, Archer ar‐ gued, caused her great emotional distress, ranging from post‐ traumatic stress disorder to depression and anxiety, and prompted her to resign from her deputy secretary job in the Walker administration. The investigation left her reputation in tatters, both personally and professionally, and made her the target of public harassment. In response, the Prosecutors filed a motion to dismiss pur‐ suant to Federal Rule of Civil Procedure 12(b)(6) and a motion for judgment on the pleadings pursuant to Rule 12(c), invok‐ ing absolute immunity and qualified immunity. The Investi‐ gators sought judgment on the pleadings on qualified im‐ munity grounds. The six collectively asked the district court to allow them to file John Doe records with that court, so that the documents would be available even if the Wisconsin Su‐ preme Court denied a request to allow their use for the section 1983 action. 10 No. 16‐2417 The district court decided all issues in favor of the defendants. It granted the Prosecutors’ motion to dismiss, reasoning that they were absolutely immune for all their activities done pursuant to the John Doe investigation. It granted the Investigators’ motion for judgment on the pleadings on qualified immunity grounds and noted that the Prosecutors also were entitled to qualified immunity. Finally, it granted the defendants’ motion to preserve evidence by permitting them to file with the Clerk of the Eastern District of Wisconsin sealed copies of all the materials they had to file with the Wisconsin Supreme Court. Before us now is Archer’s attempt to revive all of her sec‐ tion 1983 claims and to overturn the district court’s preserva‐ tion order. II We consider de novo the district court’s ruling on qualified immunity in response to a motion to dismiss. Ewell v. Toney, 853 F.3d 911, 918–19 (7th Cir. 2017). Motions under Rule 12(c) for judgment on the pleadings also receive a fresh look in this court. Matrix IV, Inc. v. Am. Nat’l Bank & Trust Co. of Chicago, 649 F.3d 539, 547 (7th Cir. 2011). We read the complaint in the light most favorable to Archer, the non‐movant, accepting all of her well‐pleaded facts as true and drawing all reasonable inferences in her favor. Burke v. 401 N. Wabash Venture, LLC, 714 F.3d 501, 504 (7th Cir. 2013). To pass muster, Archer’s complaint must “state a claim to relief that is plausible on its face.” Bell Atl. Corp. v. Twombly, 550 U.S. 544, 570 (2007). A claim has the requisite plausibility “when the plaintiff pleads factual content that allows the court to draw the reasonable No. 16‐2417 11 inference that the defendant is liable for the misconduct alleged.” Ashcroft v. Iqbal, 556 U.S. 662, 678 (2009). A Archer asks us to hold that absolute immunity does not protect the Prosecutors in this case because they were acting as investigators—not prosecutors—at all times relevant to her claims. The district court was not persuaded by this argu‐ ment; it placed great weight on the fact that their actions were taken as part of the John Doe proceeding. That meant that some, if not all, of the Prosecutors’ actions were conducted under the direct supervision and approval of a judge. As for the execution of the warrant, the district court found disposi‐ tive the fact that Archer had not alleged the necessary per‐ sonal involvement. The former issue is the critical one: whether the Prosecutors are entitled to absolute immunity for their investigation of Archer because it was done pursuant to the John Doe process. Prosecutors are absolutely immune for actions they undertake in their capacities as prosecutors, even including malicious prosecution unsupported by probable cause. Imbler v. Pachtman, 424 U.S. 409, 427 (1976). But absolute immunity does not shield them from liability for actions that are not “intimately associated with the judicial phase of the criminal process,” nor does it apply when they are performing non‐ prosecutorial actions, such as administrative and investigatory activities. Imbler, 424 U.S. at 430; see Buckley v. Fitzsimmons, 509 U.S. 259, 274–76 (1993); Burns v. Reed, 500 U.S. 478, 492–95 (1991). Protection hinges not on the defendant’s job title, but on the nature of the function he performed. Buckley, 509 U.S. at 268–69. 12 No. 16‐2417 The Prosecutors argue that all the actions Archer has identified were prosecutorial in nature because they were conducted under the supervision of a judge who, under Wisconsin law, “is to act as a neutral magistrate.” In re Doe Petition, 750 N.W.2d 873, 884 (Wis. 2008). We have likened John Doe proceedings to grand jury investigations, see O’Keefe v. Chisholm, 769 F.3d 936, 943 (7th Cir. 2014); they also proceed under the general supervision of a judge, and prosecutors receive absolute immunity in those proceedings. Id. at 273. That said, the ultimate test remains a functional one; the involvement of a judge is not dispositive. See Buckley, 509 U.S. at 272–73 (absolute immunity protects “an out‐of‐ court ‘effort to control the presentation of a witness’s testimony’”) (quoting Imbler, 424 U.S. at 430 n.32). John Doe proceedings are intended as “investigatory tool[s]” for determining whether a crime was committed and by whom, State ex rel. Reimann v. Cir. Ct. for Dane Cnty., 571 N.W.2d 385, 390 (Wis. 1997), and prosecutorial work historically did not include investigations, see Buckley, 509 U.S. at 275–76. Because they are so unusual, John Doe proceedings do not fit neatly into the categories used in earlier cases. We find it a bit artificial to squash them into either the absolute immunity box or the qualified immunity box, but fortunately, that is not necessary. If qualified immunity is available, it is enough to dispose of the present case. We therefore turn directly to that analysis. See Sonnleitner v. York, 304 F.3d 704, 717 n.8 (7th Cir. 2002) (court may affirm on the basis of any ground fairly presented in the record). B All of the defendants have invoked qualified immunity as an affirmative defense to Archer’s claims. “Qualified No. 16‐2417 13 immunity shields government officials from civil damages liability unless the official violated a statutory or constitutional right that was clearly established at the time of the challenged conduct.” Reichle v. Howards, 566 U.S. 658, 664 (2012). Although qualified immunity is an affirmative defense, the plaintiff has the burden of defeating it once the defendants raise it. Rabin v. Flynn, 725 F.3d 628, 632 (7th Cir. 2013). To do so, the plaintiff must show (1) that the defendant violated a constitutional right, when construing the facts in the light most favorable to the plaintiff, and (2) that the right was clearly established at the time of the alleged violation, such that it would have been clear to a reasonable actor that her conduct was unlawful. Pearson v. Callahan, 555 U.S. 223, 232 (2009). A failure to show either is fatal for the plaintiff’s case, and we may begin (and possibly end) with either inquiry. Id. at 236. 1 In support of her assertion that her Fourth Amendment rights were violated by the September 14, 2011 search and sei‐ zures in her home, Archer attacks both the warrant and the search itself. We address the warrant first, and then the man‐ ner in which the search was carried out. Searches undertaken pursuant to valid search warrants are presumptively valid, see Franks v. Delaware, 438 U.S. 154, 171 (1978), and even flawed warrants can help to demonstrate good faith on the part of the officers, see United States v. Leon, 468 U.S. 897 (1984). In order to be valid, a search warrant must: (1) be issued by a neutral and disinterested magistrate; (2) establish probable cause that the evidence sought in the warrant will aid in obtaining a conviction of a particular of‐ fense; and (3) describe with particularity the things to be 14 No. 16‐2417 seized and the place to be searched. Dalia v. United States, 441 U.S. 238, 255 (1979). Even if one of those elements is miss‐ ing, an officer is still entitled to qualified immunity if she is acting pursuant to a warrant that was authorized by a judge, and her action is reasonable. Leon, 468 U.S. at 920–21; Malley v. Briggs, 475 U.S. 335, 344–45 (1986). Only when an officer seeks or obtains a warrant “so lacking in indicia of probable cause as to render … belief in its existence unreasonable,” may the officer face liability for damages. Malley, 475 U.S. at 344–45. Archer asserts that the warrant in her case was deficient in all three respects. Her first attack is her boldest: she asserts that the John Doe judge was not “neutral and detached” and that he “rubber‐stamped” the warrant and made “no effort to scrutinize the legal or factual basis for the requested warrants and subpoenas.” At one point, she questioned whether the judge even read the application or signed the warrant, alt‐ hough she did not repeat this in her amended complaint. Archer also alleges that the defendants somehow knew about the judge’s shirking of his responsibility. Proving that a judge was not “neutral and detached” is difficult to do; such arguments rarely succeed because they demand exceptional circumstances. Wisconsin has a presumption of regularity that attaches to the actions of state judicial officers. See State ex rel. LaFollette v. Cir. Ct. of Brown Cnty., Br. 1, 155 N.W.2d 141, 149 (Wis. 1967); cf. U.S. Postal Serv. v. Gregory, 534 U.S. 1, 10 (2001) (presumption of regularity attaches to actions of government agencies). But see Lo‐Ji Sales, Inc. v. New York, 442 U.S. 319, 326–28 (1979) (local justice did not act with the required neutrality and detachment when he participated in and directed the seizure of items during the No. 16‐2417 15 execution of a warrant he had issued). Archer has offered nothing in her complaint that would rebut that presumption. At best she has expressed a hunch that something went awry. But she must do more than raise questions about the judge’s action; she must allege enough facts to present a plausible violation. See Twombly, 550 U.S. at 570; Adams v. City of Indianapolis, 742 F.3d 720, 728–29 (7th Cir. 2014). The only factual allegations that head in this direction— facts which also were not in her amended complaint—con‐ cern time sheets and reimbursement logs that the John Doe judge (who was paid by the hour) submitted to the state. Those sheets apparently reflected that he did not report doing work on the John Doe investigation on the date when Stelter submitted his sworn statement and the judge signed the war‐ rant. From these logs, timestamps, and the judge’s report of work done some 30 miles away, Archer deduces that there was not enough time in the day for the judge to review Stelter’s warrant package. Archer adds a roundabout chal‐ lenge to the authenticity of the warrant, noting that the judge did not seek reimbursement for travel to Milwaukee (where the warrant was issued), even though he did not live there. Finally, Archer’s handwriting expert “was unable to confirm” that the signature on the warrant matched other documents signed by the judge. These records are not the silver bullet Archer thinks they are; they do not, and cannot show, that the judge was not “neutral and detached.” Assuming for the sake of argument that the court should even consider these documents, they re‐ veal at most that the judge did not spend significant time re‐ viewing the warrant on the day that it was issued. It does not 16 No. 16‐2417 show that he did not review a draft or discuss it with the de‐ fendants earlier. Nor does it shed light on possible bias or im‐ propriety. It relates only to the judge’s diligence, which is ir‐ relevant to our validity inquiry. And it is possible that he did not ask for reimbursement for that day’s work. (Indeed, given the ease of today’s electronic communication, the judge easily could have been working on the case from an office 30 miles away from Milwaukee; the record is silent about this possibil‐ ity.) In sum, Archer has failed to allege facts that, if believed, would show that the judge who issued the warrant shirked his responsibility to be a “neutral and detached magistrate.” Coolidge v. New Hampshire, 403 U.S. 443, 449 (1971). Archer’s theory has another flaw: she has not explained how the defendant prosecutors and investigators might have known of the judge’s alleged sloppiness, such that their reli‐ ance on the warrant was unreasonable. Archer’s brief says only that “[a]ppellees knew that the judge did not review the warrant and know whether he is actually the one who signed it.” Why the counter‐intuitive proposition that the prosecu‐ tor’s office should have known about the internal operations of the judiciary is left up in the air. Archer’s second jab at the warrant focuses on Stelter’s sup‐ porting affidavit. Archer claims that Stelter and others pro‐ cured the affidavit through deceit by providing misleading and unfair statements to the judge. The defendants, she con‐ tends, selectively quoted her e‐mails and failed to disclose key information about the bids, including that Archer “actively opposed” awarding the 2010 Reuss Plaza lease to the Walker administration’s favored bidder. This information tended to exculpate her, she claims, and thus would have undermined the showing of probable cause. No. 16‐2417 17 A warrant is insufficient for Fourth Amendment purposes if the requesting officer “knowingly, intentionally, or with reckless disregard for the truth, makes false statements” when requesting it, and her false statements were “necessary to the determination that a warrant should issue.” Betker v. Gomez, 692 F.3d 854, 860 (7th Cir. 2012) (internal citation omitted). This includes an officer’s failure to disclose facts that she “knew would negate probable cause.” Beauchamp v. City of Noblesville, Ind., 320 F.3d 733, 743 (7th Cir. 2003). But even officers who knowingly or recklessly submit an affidavit containing falsehoods may receive qualified immunity if they show an objectively reasonable basis for believing that the affidavit still demonstrated probable cause. Betker, 692 F.3d at 860. The facts that were allegedly withheld from the issuing judge do not negate probable cause. Stelter’s detailed affidavit described a range of suspicious and troubling activity be‐ tween bidders and Walker’s inner circle, including Archer. It noted that Archer used her private e‐mail account to forward documents and, at one point, to advise Hiller. Even if Archer personally opposed a favored bidder, it is still possible that she improperly assisted others. Moreover, the affidavit specif‐ ically relied on Wisconsin’s parties‐to‐crime statute, Wis. Stat. § 939.05, which allows for aiders and co‐conspirators to be treated as principals to a crime. Because no facts that would negate probable cause were withheld, the warrant cannot be rejected on this ground. Archer lastly attacks the particularity of the warrant. She claims that it was so lacking in meaningful limits that it was facially deficient and thus did not even permit good‐faith, Leon‐style reliance. The Fourth Amendment demands that 18 No. 16‐2417 warrants “particularly describ[e] the place to be searched, and the persons or things to be seized.” U.S. CONST. amend. IV. This mandate “makes general searches under them impossible and prevents the seizure of one thing under a warrant describing another.” Marron v. United States, 275 U.S. 192, 196 (1927); see also Maryland v. Garrison, 480 U.S. 79, 84 (1987); Dalia, 441 U.S. at 255. Warrants that fail to satisfy this threshold requirement are facially deficient, and executing officers may not rely on them. Leon, 468 U.S. at 914. But although warrants must describe the objects of the search with “reasonable specificity,” the Constitution does not insist that they be “elaborately detailed.” United States v. Jones, 54 F.3d 1285, 1290 (7th Cir. 1995) (internal citation omitted). Archer’s characterization of the warrant as containing only “reference[s] to broad statutes” and “illustrative” topics is not supported by the document. Far from giving only a bird’s eye view of the case, Stelter’s affidavit detailed the con‐ tracts, the players involved, their various actions, and the spe‐ cific state laws he believed that Archer (and others) may have violated. The affidavit also described the specific location to be searched (Archer’s home), and the objects to be seized, which included “all documents, e‐mails, records, correspondence, and information relating to” the Reuss Plaza lease and the 2009 housekeeping contract, and related e‐mails between January 1, 2009 and December 31, 2010. Archer finds these categories so broad as to violate the Constitution. But the particularity inquiry turns on what was realistic or possible in this investigation. See Jones, 54 F.3d at 1291. Stelter could not know ex ante, with pinpoint specificity, what documents and e‐mails existed. This is to be expected, since secrecy is often No. 16‐2417 19 the preferred modus operandi of wrongdoers, and the defendants believed Archer and her confederates were wrongdoers. When granular detail is impossible, generic descriptions of the items to be seized are sufficient so long as they particularize the types of items to be seized. Russell v. Harms, 397 F.3d 458, 464 (7th Cir. 2005). The warrant here did just that, and thus the defendants are entitled to qualified immunity on this aspect of Archer’s unreasonable search and seizure claim. Archer also argues that the manner of the search violated her Fourth Amendment rights, even if the warrant itself was sound. Archer contends that the officers exceeded its scope by ordering that certain places in her home be searched, because the items the warrant authorized to be seized could not have been in these places. She also objects to the officers’ seizure of her phone, computer, and private e‐mails—items that, we as‐ sume, contained more than documents related to the two con‐ tracts and the John Doe investigation. One can raise this type of claim as a matter of law: exceeding the scope of a warrant violates the Fourth Amendment; it is tantamount to a “gen‐ eral exploratory rummaging through one’s belongings.” United States v. Mann, 592 F.3d 779, 782 (7th Cir. 2010). But the officers did not look for anything the warrant did not authorize, and we already have found that the list was not impermissibly vague. The affidavit expressly permitted the seizure of “any computer or electronic communication device of Archer containing any records related” to the two contracts and the other components of the investigation. The fact that these electronic devices contained documents other than those authorized for seizure under the warrant is of no mo‐ ment. If the possible existence of unrelated materials were 20 No. 16‐2417 enough to invalidate a warrant, computer searches would be impossible in drug cases, financial fraud cases, internet child pornography cases, and a host of others. The target’s privacy interest in unrelated materials is typically addressed by the search methods used by the police after seizure, because an ex ante screen is impossible. Here, Stelter’s affidavit specifically noted the officers’ desire to “search … documents within” any computer or device that was seized. Because the records au‐ thorized to be seized “could be essentially anywhere on the computer,” the officers were entitled to take any storage de‐ vices capable of holding responsive records. Moreover, no Fourth Amendment violation occurred when officers searched Archer’s dresser, cabinets, and base‐ ment. Generally, officers are entitled to search anywhere the items to be seized might likely be discovered, so long as that is within the place authorized to be searched. See United States v. Ross, 456 U.S. 798, 820–21 (1982); Mann, 592 F.3d at 782–83. The objects of the search set the boundaries of the scope; “[i]f you are looking for an adult elephant, searching for it in a chest of draws is not reasonable.” Platteville Area Apt. Ass’n v. City of Platteville, 179 F.3d 574, 579 (7th Cir. 1999). Here, the items expressly authorized to be seized—paper, digital rec‐ ords, and electronic devices—were closer in size to a cat than an elephant. Digital records could be stored on devices such as thumb drives, hard drives, or CDs, which could be almost anywhere in the house. Thus, the officers were authorized to look in any of those places. See United States v. Aghedo, 159 F.3d 308, 311 (7th Cir. 1998). Archer also objects to the manner of the search, which she describes as so violent that it independently violated the Fourth Amendment. See Los Angeles Cnty. v. Rettele, 550 U.S. No. 16‐2417 21 609, 614 (2007) (“Unreasonable actions include the use of ex‐ cessive force or restraints that cause unnecessary pain or are imposed for a prolonged and unnecessary period of time.”). She points to the presence of a battering ram (that was not used), the officers’ entering the home with “guns drawn” (they apparently put them away quickly), the presence of a news reporter (who was on the sidewalk during the search), and the time of day (early on a weekday morning). The Fourth Amendment prohibits the use of excessive force during a seizure. See Graham v. Connor, 490 U.S. 386, 397 (1989); Estate of Escobedo v. Bender, 600 F.3d 770, 780 (7th Cir. 2010). Rettele holds that “[t]he test of reasonableness [of force] is an objective one.” 550 U.S. at 614. We look at the facts from the perspective of a reasonable officer at the time. Baird v. Renbarger, 576 F.3d 340, 344 (7th Cir. 2009). Unpleasant as the events undoubtedly were, we see nothing objectively unreasonable in what occurred. Although Archer was undoubtedly startled to wake up to armed police at her door with a battering ram in the yard, they never used that device, and they quickly holstered their guns. Apprehension that the police might do something falls short of a showing that they actually did use objectively abusive tactics. We take Archer at her word that the officers’ demeanor was rude and that they were disrespectful, but the Supreme Court has never held that the Fourth Amendment protects against those problems. The presence of a news reporter outside her home during the search does not change things. Archer alleges no facts tending to show that any of the six defendants were the ones who leaked, or authorized the leak of, information about the search (or anything else about the investigation) to the media. And even if they did, we doubt that the Fourth Amendment 22 No. 16‐2417 protects against such behavior. That does not mean that abuses must go un‐redressed: Wisconsin law provides a rem‐ edy for violations of a secrecy order of a John Doe proceeding, which is at the core of Archer’s complaint here. See Wis. Stat. § 968.26(4)(d). 2 Because the warrant was valid and Archer has stated no claim about the execution of the search, her false arrest claim also fails. As Archer implicitly acknowledges, officers may detain the occupants of a location to be searched when they execute a valid warrant if they have a valid reason for doing so—that is, an articulable basis for suspecting criminal activ‐ ity and a valid law enforcement interest. Michigan v. Summers, 452 U.S. 692, 704–05 (1981) (“If the evidence that a citizen’s residence is harboring contraband sufficient to persuade a ju‐ dicial officer that an invasion of the citizen’s privacy is justi‐ fied, it is constitutionally reasonable to require that citizen to remain while officers of the law execute a valid warrant to search his home.”) The defendants did not exceed this limited authority by detaining Archer for the duration of the search. Id. (As for Archer’s partner, it is enough to say that we have no claim from the partner before us, and so no reason to com‐ ment on the separate interests of the partner.) Seeing no merit in Archer’s Fourth Amendment arguments, we move on to her First Amendment claim. 3 Archer argues that the investigation and her detention during the search violated her First Amendment rights, be‐ cause the defendants allegedly took these actions in retalia‐ tion for her support of Walker and her advocacy for Act 10. No. 16‐2417 23 Once again, we consider whether qualified immunity protects some or all of the defendants. The defendants have properly raised this defense, and so it is up to Archer to show (1) that the defendants’ actions (if proven) violated her constitutional rights, and (2) that these rights were clearly established at the time in question. See Pearson, 555 U.S. at 236–38. To state a First Amendment retaliation claim, Archer must allege that: (1) she engaged in activity protected by the First Amendment; (2) she suffered a deprivation that would likely deter First Amendment activity; and (3) the protected activity she engaged in was at least a motivating factor for the retalia‐ tory action. Bridges v. Gilbert, 557 F.3d 541, 546 (7th Cir. 2009); see Mt. Healthy City Sch. Dist. Bd. of Educ. v. Doyle, 429 U.S. 274, 287 (1977). We proceed on the assumption that Archer’s alle‐ gations of severe emotional distress, tarnished reputation, and professional harms were enough to satisfy the second el‐ ement, and that her allegation that the defendants were moti‐ vated to investigate her because of her political advocacy met the third (for purposes of pleading—nothing has been proven yet, of course). That leaves us with the first question—whether the First Amendment protected Archer’s activity from the defendants’ criminal investigation and her detention during the search. Archer says yes, and directs us to Rakovich v. Wade, 850 F.2d 1180 (7th Cir. 1988) (en banc) abrogated in part on other grounds, Spiegla v. Hull, 371 F.3d 928 (7th Cir. 2004). Rakovich, she ar‐ gues, stands for the proposition that an investigation con‐ ducted in retaliation for public statements is actionable under section 1983. That case concerned a civil service commission member who alleged that he was subjected to a retaliatory in‐ 24 No. 16‐2417 vestigation by police officers after he criticized the depart‐ ment. Id. at 1183. Archer clings to one line as support for her position: “[t]he district court correctly found that an investi‐ gation conducted in retaliation for comments protected by the first amendment could be actionable under section 1983.” Id. at 1189. The quote is accurate, but the conclusion she draws is flawed. Rakovich is long in the tooth, and the Supreme Court has spoken to the issues surrounding public employee speech since it appeared. The Court has emphasized the distinction between speech a public employee makes in her capacity as a citizen and speech she makes in her capacity as an employee. Garcetti v. Ceballos, 547 U.S. 410 (2006). In Garcetti, the Court held that First Amendment protection for a public employee’s speech turns on two inquiries: (1) whether the employee spoke as a citizen on a matter of public concern; and (2) if so, whether the governmental entity has offered an adequate jus‐ tification for its decision to treat the employee differently from the general public. Id. at 418. Drawing a distinction be‐ tween public and private speech may be difficult. Id. at 424. That task is necessary, however. Here we must determine whether the activity Archer claims was the impetus for the retaliation was work‐related. In her brief in this court, Archer points to several facts: her general advocacy on behalf of Act 10; her policy work for the governor; and her affiliation with and personal support of the governor. But her amended com‐ plaint focuses on alleged retaliation for her work surrounding Act 10—legislation that Governor Walker first proposed in February 2011, months after the John Doe investigation began and two months after investigators searched Archer’s office. No. 16‐2417 25 There is nothing in the complaint to suggest that Archer’s per‐ sonal support of Governor Walker played a role in the inves‐ tigation. And Archer cannot duck this inquiry merely by re‐ peating that her work on Act 10 was speech she made “as a citizen … outside the duties of employment.” See Tamayo v. Blagojevich, 526 F.3d 1074, 1092 (7th Cir. 2008) (rejecting a sim‐ ilar classification as a legal conclusion). This legal conclusion is belied by Archer’s other assertions about her legislative work in the Walker administration. Her job was in part to de‐ velop policy. Even if this work was “not inherent” to the dep‐ uty secretary position, that does not mean Archer undertook it in her capacity as citizen. Thus, while political work and legislative work easily constitute matters of public concern, Archer worked on these matters as a state employee, albeit one who served at the governor’s pleasure. Were we to proceed to the second Garcetti inquiry, we would run into a roadblock there too, because that question asks whether the government employer had an adequate justifi‐ cation for treating the employee differently from a member of the public. 547 U.S. at 418. Garcetti concerned an allegation of employer‐employee retaliation. Concerns unique to the em‐ ployer‐employee context infuse the Court’s opinion. E.g., id. at 410–11 (“Without a significant degree of control over its em‐ ployees’ words and actions, a government employer would have little chance to provide services efficiently.”). Archer’s case is different: it focuses on the relation between a state em‐ ployee and a criminal investigation. It is not at all clear how Garcetti would apply to such a sit‐ uation. In Fairley v. Andrews, 578 F.3d 518, 524 (7th Cir. 2009), we observed that Garcetti focused on the nature of the defend‐ ant, which was a government employer, and so we thought 26 No. 16‐2417 that it was possible that Court might treat differently a case in which retaliation occurs at the hands of coworkers. Yet we went on to hold in Fairley that Garcetti broadly holds that “the first amendment does not protect statements made as part of one’s job.” Id. at 522. In sum, Garcetti might support either side: Archer, because the defendants were not her employer; the defendants, be‐ cause Archer’s activities were part of her job as a public em‐ ployee. This uncertainty means that Archer has not shown that her asserted right was “clearly established”—a stringent standard that demands that “every reasonable official would have understood that what he is doing violates that right.” Reichle, 566 U.S. at 664 (quotation marks omitted); see also Wilson v. Layne, 526 U.S. 603, 615 (1999) (“[T]he right allegedly violated must be defined at the appropriate level of specificity before a court can determine if it was clearly established.”). Our conclusion is bolstered by the Supreme Court’s observa‐ tion in Hartman v. Moore, 547 U.S. 250 (2006), where it said that “[n]o one here claims that simply conducting a retaliatory in‐ vestigation with a view to promote a prosecution is a consti‐ tutional tort. … Whether the expense or other adverse conse‐ quences of a retaliatory investigation would ever justify rec‐ ognizing such an investigation as a distinct constitutional vi‐ olation is not before us.” Id. at 262 n.9. Were this all not enough, the existence of probable cause and the judicial supervision of the John Doe investigation fur‐ ther counsel in favor of finding that qualified immunity ap‐ plies. No case we have seen has considered how to treat pub‐ lic employee speech that draws the attention of a John Doe judge or a grand jury for purposes of the First Amendment. See generally Branzburg v. Hayes, 408 U.S. 665 (1972) (no First No. 16‐2417 27 Amendment privilege for newsman to refuse to testify before a grand jury). And we know from Hartman that probable cause (or the lack thereof) is relevant to a claim of retaliatory prosecution. See 547 U.S. at 260–64. There is no clearly estab‐ lished rule of law under which an official pursuing a lawful investigation, based on probable cause, has been found liable under the First Amendment to a target. 4 Because Archer’s claims all fail to show the denial of a civil right, her civil conspiracy claim (based on the same underly‐ ing conduct) was also correctly dismissed. Section 1983 does not reach a conspiracy to deny a civil right in the absence of an actual denial of such a right. Goldschmidt v. Patchett, 686 F.2d 582, 585 (7th Cir. 1982); see also Hill v. Shobe, 93 F.3d 418, 422 (7th Cir. 1996). C The only remaining question is whether the district court properly exercised its authority when it agreed that the Clerk of the Eastern District of Wisconsin was to hold copies of the John Doe records undocketed and under seal pending final disposition of this case. At the end of this litigation, the dis‐ trict court ordered these copies to be destroyed. Its action is in some tension with the Wisconsin Supreme Court’s file‐and‐ destroy demand in Three Unnamed Petitioners, 875 N.W.2d at 58–61. Without the district court’s limited preservation order, the defendants feared that they would be unable to obtain ac‐ cess to the records for purposes of their defense in the present case (if we had reversed the district court). The court recog‐ nized the comity and federalism concerns raised by the de‐ fendants’ motion, but it accommodated those concerns in 28 No. 16‐2417 three ways: by sealing, by making the records undocketed, and by ordering them destroyed at the conclusion of the case. Archer believes this was an inappropriate intrusion into the Wisconsin Supreme Court’s adjudication in Three Unnamed Petitioners, because there is no proof that the state’s high court will deny any future request from the defendants for access to the documents. Since the state supreme court denied motions to intervene brought by the Prosecutors and the Investigators, we are unable to predict what the court ultimately may decide. We turn therefore to the federal laws on which the defendants rely: the All Writs Act, 28 U.S.C. § 1651, and the Anti‐Injunction Act, 28 U.S.C. § 2283. The All Writs Act allows all courts established by Congress to “issue all writs necessary or appropriate in aid of their respective jurisdictions and agreeable to the usages and principles of law.” 28 U.S.C. § 1651(a). The Anti‐Injunction Act (AIA) bars a district court from granting an injunction to stay a proceeding in a state court unless such action is “expressly authorized by Act of Congress, or where necessary in aid of its jurisdiction, or to protect or effectuate its judgments.” 28 U.S.C. § 2283. The AIA recognizes the “fundamental constitutional independence of the States and their courts,” and, accordingly, is aimed at ensuring that the dual court systems avoid “needless friction.” Atl. Coast Line R.R. Co. v. Bhd. of Locomotive Eng’rs, 398 U.S. 281, 286–87 (1970) (internal citation omitted). The two laws are interpreted similarly. In re Baldwin‐United Corp., 770 F.2d 328, 335 (2d Cir. 1985). We see no problem with the district court’s practical solu‐ tion to this problem of inter‐system coordination. Until this case is final, the possibility remains that the defendants will No. 16‐2417 29 need to obtain access to the relevant investigation records. Be‐ cause the Wisconsin Supreme Court has not identified how or whether the defendants will be able to use that court’s repos‐ itory, the district court was justified in creating a means to preserve its ability to adjudicate this case. Thus, the action falls comfortably within the “in aid of” jurisdiction exception to the AIA. Alternatively, it is an order “necessary or appro‐ priate in aid of” the court’s jurisdiction for purposes of the All Writs Act. The district court’s directive ensures that the stated purpose of the Wisconsin Supreme Court’s file‐and‐destroy order—to remove the records from the Prosecutors’ hands— is accomplished. Had the district court proposed a method that conflicted with the Wisconsin Supreme Court’s objective, then perhaps we would reach a different outcome. But it does not, and so we see no need to disrupt the district court’s han‐ dling of the matter. III Although this case presents troubling accusations of a po‐ litically motivated investigation, Archer has not met her bur‐ den in overcoming the defendants’ invocation of qualified im‐ munity. The judgment of the district court is AFFIRMED.
Document Info
Docket Number: 16-2417
Citation Numbers: 870 F.3d 603, 2017 WL 3709149, 2017 U.S. App. LEXIS 16493
Judges: Bauer, Rovner, Wood
Filed Date: 8/29/2017
Precedential Status: Precedential
Modified Date: 11/5/2024