Denius, Ronald C. v. Dunlap, Wayne ( 2000 )


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  • In the
    United States Court of Appeals
    For the Seventh Circuit
    No. 99-1402
    Ronald C. Denius,
    Plaintiff-Appellant,
    v.
    Wayne Dunlap and Gary Sadler/1,
    Defendants-Appellees.
    Appeal from the United States District Court
    for the Central District of Illinois, Urbana Division.
    No. 97-C-2088--Harold A. Baker, Judge.
    Argued January 6, 2000--Decided April 11, 2000
    Before Coffey, Flaum and Kanne Circuit Judges.
    Flaum, Circuit Judge. Ronald Denius filed suit
    against Wayne Dunlap in his individual and
    official capacity as director of the Lincoln
    Challenge Program ("LCP") seeking injunctive,
    declaratory and monetary relief under 42 U.S.C.
    sec.sec. 1983 and 1988. Denius alleges that
    Dunlap violated his constitutional rights when
    Dunlap refused to renew his employment contract.
    The district court granted summary judgment in
    favor of the defendant on qualified immunity
    grounds. For the reasons stated herein, we affirm
    in part and reverse and remand in part.
    I.   BACKGROUND
    The LCP is an eighteen-month program for 16 to
    18 year old high school dropouts located on the
    premises of the now-closed Chanute Air Force
    Base. Students participating in the LCP live on
    campus for the first five months of the program
    and then live off campus for the remainder of the
    program under the supervision of mentors. The LCP
    uses a military training method with the goal of
    teaching "life skills" instead of military skills
    and has as its objective that all participants
    obtain a GED. By 1996, the LCP had two 400
    student classes each year. In 1996, the LCP
    received 100 percent of its funding from the
    federal government but was administered by the
    State of Illinois. Students who have felony
    convictions are not eligible to participate in
    the LCP.
    In 1993, Wayne Dunlap, an Army colonel, became
    the director of the LCP. Dunlap retired from the
    Army in 1994 but continued to serve as director
    of the LCP, becoming an employee of the State of
    Illinois.
    Ronald Denius is a retired Air Force technical
    sergeant who has earned two bachelor’s degrees
    and a master’s degree. At the time he retired
    from the Air Force, Denius had a "top secret"
    security clearance. In March 1994, Denius began
    work as a teacher at the LCP under a three-month
    contract that was to last until the end of that
    school year. Denius taught math, science, social
    studies, language arts and writing skills. Denius
    did not carry a weapon or have any duties beyond
    those of a typical teacher.
    On July 1, 1994, Denius signed a two-year
    contract to continue teaching at the LCP. At this
    time, he signed a release form that authorized
    the LCP to perform a criminal background check
    and collect his educational records (the "1994
    Release"). This release did not contain a time
    limitation. Criminal background checks were
    performed on the initial group of LCP instructors
    in 1994, but no further criminal background
    checks were performed on LCP personnel until
    1996.
    In July of 1996, Denius was offered the
    opportunity to renew his teaching contract with
    the LCP provided he sign an Authorization for
    Release of Personal Information
    ("Authorization"). This Authorization required
    Denius to consent to the release of considerably
    more confidential information than provided in
    the 1994 Release. LCP Director Dunlap had
    acquired the Authorization from Captain John
    Moraitis of the Illinois State Police who
    informed Dunlap that the Authorization was used
    by the police for background checks of
    gubernatorial candidates and applicants for
    employment with the State Police. Moraitis
    suggested that Dunlap consult an attorney before
    using the Authorization at the LCP, but Dunlap
    did not heed this advice.
    The Authorization provided in pertinent part:
    For the period of one year from the execution of
    this form I ________, do hereby authorize a
    review of and full disclosure of all records
    concerning myself to any duly authorized agent of
    the Lincoln Challenge Program, whether the said
    records are of a public, private or confidential
    nature.
    The intent of this authorization is to give my
    consent for full and complete disclosure of
    records of educational institutions; financial or
    credit institutions, including records of loans,
    the records of commercial or retail credit
    agencies (including credit reports and/or
    ratings); and other financial statements and
    records wherever filed; records maintained by the
    National Personnel Records Center, the U.S.
    Veteran’s Administration, and County, State or
    Federal Law Enforcement Agencies; employment and
    pre-employment records, including background
    reports, efficiency ratings, complaints or
    grievances filed by or against me and the records
    and recollections of attorneys at law, or of
    other counsel, whether representing me or another
    person in any case, either criminal or civil, in
    which I presently have, or have had an interest.
    . . . I also certify that any person(s) who may
    furnish such information concerning me shall not
    be held accountable for giving this information;
    and I do hereby release said person(s) from any
    and all liability which may be incurred as a
    result of furnishing such information. I further
    release the Lincoln Challenge Program from any
    and all liability which may be incurred as a
    result of collecting such information.
    Denius signed the 1996 employment contract but
    refused to sign the Authorization. Dunlap told
    Denius that his contract was not valid unless he
    signed the Authorization. Denius attempted to
    resume his teaching responsibilities on August 2,
    1996, the beginning of the school term for that
    year. When he did so, Dunlap informed Denius that
    he could not be employed by the LCP unless he
    signed the Authorization, and he asked Denius to
    leave the LCP premises. Denius’s refusal to sign
    the Authorization was the sole reason his
    employment contract with the LCP was not renewed.
    At the time he required Denius to sign the
    Authorization, Dunlap did not intend to use it
    for any purpose other than to perform a routine
    criminal background check because the LCP did not
    have the funds to perform a more thorough
    background investigation. If the LCP had
    possessed the funds, Dunlap would have conducted
    a more extensive background check. However,
    Dunlap did not tell Denius that he only intended
    to use the Authorization for a routine criminal
    background check.
    Denius filed suit under 42 U.S.C. sec.sec. 1983
    and 1988 asserting that Dunlap had violated his
    constitutional rights under the First, Sixth and
    Fourteenth Amendments by refusing to renew his
    employment contract unless he signed the
    Authorization. Denius sought injunctive,
    declaratory and monetary relief. The district
    court granted summary judgment in favor of
    Dunlap, finding that Dunlap was entitled to
    qualified immunity for all of the claims brought
    by Denius. Denius now appeals.
    II.    DISCUSSION
    A.    Standard of Review
    The district court granted summary judgment to
    the defendant and denied summary judgment to the
    plaintiff. We review a district court’s summary
    judgment decisions de novo. See Henderson v.
    Sheahan, 
    196 F.3d 839
    , 848 (7th Cir. 1999). In
    conducting our evaluation, we view all evidence
    in the light most favorable to the non-moving
    party and draw all reasonable inferences in that
    party’s favor. Anderson v. Liberty Lobby, Inc.,
    
    477 U.S. 242
    , 255 (1986).
    B.    Monetary Relief
    The district court concluded that Denius’s suit
    for monetary damages was barred because Dunlap
    was protected by qualified immunity. Denius
    argues that the district court erred in reaching
    this conclusion.
    1.    Qualified Immunity
    The doctrine of qualified immunity is an
    affirmative defense to allegations that a state
    official violated the constitutional rights of a
    plaintiff. Siegert v. Gilley, 
    500 U.S. 226
    , 231
    (1991); Harlow v. Fitzgerald, 
    457 U.S. 800
    , 815
    (1982). This defense is available only to state
    officials who occupy positions with discretionary
    or policymaking authority, and it protects those
    individuals solely when they are acting in their
    official capacity. 
    Harlow, 457 U.S. at 816
    . These
    officials "are shielded from liability for civil
    damages insofar as their conduct does not violate
    clearly established statutory or constitutional
    rights of which a reasonable person would have
    known." 
    Harlow, 457 U.S. at 818
    ; see Wilson v.
    Layne, 
    119 S. Ct. 1692
    , 1696 (1999); Anderson v.
    Creighton, 
    483 U.S. 635
    , 638 (1987).
    To evaluate a claim of qualified immunity, we
    engage in a two-step analysis. First, we
    determine whether the plaintiff’s claim states a
    violation of his constitutional rights. Then, we
    determine whether those rights were clearly
    established at the time the violation occurred.
    See 
    Wilson, 119 S. Ct. at 1697
    ; Khuans v. School
    Dist. 100, 
    123 F.3d 1010
    , 1013 (7th Cir. 1997).
    If the rights were clearly established, the
    official may be liable for monetary damages and
    the suit proceeds to the next stage. If the
    rights were not clearly established, then the
    official is immune from suit and the claim is
    dismissed. See Richardson v. McKnight, 
    521 U.S. 399
    , 403 (1997) ("[A] legal defense may well
    involve ’the essence of the wrong,’ while an
    immunity frees one who enjoys it from a lawsuit
    whether or not he acted wrongly."). Because the
    doctrine of qualified immunity should not stand
    as an impediment to the clarification and
    evolution of a court’s articulation of
    constitutional principles, we evaluate the
    constitutionality of the official’s conduct even
    though, in the end, he may not be held liable for
    monetary damages flowing from that conduct. See
    
    Wilson, 119 S. Ct. at 1697
    ("Deciding the
    constitutional question before addressing the
    qualified immunity question . . . promotes
    clarity in the legal standards for official
    conduct, to the benefit of both the officers and
    the general public."); County of Sacramento v.
    Lewis, 
    118 S. Ct. 1708
    , 1714 n.5 (1998).
    It is the plaintiff’s burden to demonstrate the
    existence of a clearly established constitutional
    right. Kernats v. O’Sullivan, 
    35 F.3d 1171
    , 1176
    (7th Cir. 1994). A clearly established right is
    one where "[t]he contours of the right [are]
    sufficiently clear that a reasonable official
    would understand that what he is doing violates
    that right." 
    Anderson, 483 U.S. at 640
    ; see
    
    Wilson, 119 S. Ct. at 1700
    . To determine whether
    a right is clearly established, we look first to
    controlling Supreme Court precedent and our own
    circuit decisions on the issue. Because there is
    an almost infinite variety of factual scenarios
    that may be brought into the courtroom, a
    plaintiff need not point to cases that are
    identical to the presently alleged constitutional
    violation. However, "the contours of the right
    must have been established so that the
    unlawfulness of the defendant’s conduct would
    have been apparent in light of existing law."
    Cleveland-Perdue v. Brutsche, 
    881 F.2d 427
    , 430
    (7th Cir. 1989).
    In the absence of controlling precedent, we
    broaden our survey to include all relevant
    caselaw in order to determine "whether there was
    such a clear trend in the caselaw that we can say
    with fair assurance that the recognition of the
    right by a controlling precedent was merely a
    question of time." 
    Id. at 431.
    A split among
    courts regarding the constitutionality of conduct
    analogous to the conduct in question is an
    indication that the right was not clearly
    established at the time of the alleged violation.
    See 
    Wilson, 119 S. Ct. at 1701
    ("If judges thus
    disagree on a constitutional question, it is
    unfair to subject [the defendant] to money
    damages for picking the losing side of the
    controversy."). In some rare cases, where the
    constitutional violation is patently obvious, the
    plaintiff may not be required to present the
    court with any analogous cases, as widespread
    compliance with a clearly apparent law may have
    prevented the issue from previously being
    litigated. See 
    Kernats, 35 F.3d at 1176
    .
    The plaintiff Denius alleges that the defendant
    director of a state-run and federally-funded
    educational institution abused his position of
    authority by requiring the plaintiff to sign the
    Authorization as a condition of employment in
    violation of his constitutional rights. In
    response to these allegations, the defendant
    Dunlap asserts qualified immunity as an
    affirmative defense. It is unquestioned that
    Dunlap, as the director of a public school, is
    entitled to qualified immunity for the decisions
    he makes in hiring and firing the employees under
    his supervision. See 
    Khuans, 123 F.3d at 1013
    (holding that a school superintendent making the
    decision not to renew the contract of a school
    psychologist was "a government official
    performing discretionary functions" who was
    entitled to qualified immunity). Thus, even if we
    find that Dunlap violated Denius’s constitutional
    rights by requiring him to sign the
    Authorization, Dunlap is immune from suit for
    damages under sec. 1983 if those rights were not
    clearly established at the time in question.
    2.   Pickering Balancing Test
    It is clearly established that a public school
    teacher cannot have his employment conditioned
    upon his relinquishment of a constitutional right
    unless the interest of the school "as an
    employer, in promoting the efficiency of the
    public services it performs through its
    employees," outweighs the individual interests of
    the teacher in asserting his constitutional
    rights. Pickering v. Board of Educ. of Township
    High Sch. Dist. 205, 
    391 U.S. 563
    , 568 (1968);
    see Abood v. Detroit Bd. of Educ., 
    431 U.S. 209
    ,
    234 (1977); Mt. Healthy City Sch. Dist. Bd. of
    Educ. v. Doyle, 
    429 U.S. 274
    , 283-84 (1977);
    Shelton v. Tucker, 
    364 U.S. 479
    , 488 (1960). At
    this stage of the proceedings, the defendant has
    articulated no interest that the LCP has in
    obtaining the information it was permitted to
    gather through the Authorization. Dunlap stated
    that he did not intend to use any additional
    information beyond that which Denius had already
    consented to release for the initial 1994
    background check, and Dunlap did not present any
    other justification for requiring the
    information./2 Because Dunlap has articulated no
    interest that is promoted by requiring Denius to
    sign the Authorization, it is unnecessary for us
    to determine at this time whether the interests
    of the LCP as an employer outweigh the
    constitutional rights of Denius.
    Dunlap acknowledges that the only reason Denius
    was dismissed from his teaching position was his
    refusal to sign the Authorization./3 Therefore,
    if a finding that Denius has a clearly
    established constitutional right not to sign the
    Authorization is made, then it follows that
    conditioning his employment as a public school
    teacher on the relinquishment of that right
    without any justification is a violation of a
    clearly established right for which Dunlap cannot
    receive qualified immunity. See Keyishian v.
    Board of Regents, 
    385 U.S. 589
    , 605-06 (1967)
    ("[T]he theory that public employment which may
    be denied altogether may be subjected to any
    conditions, regardless of how unreasonable, has
    been uniformly rejected.") (citations omitted).
    We now examine each of Denius’s constitutional
    claims to determine: 1) whether a constitutional
    right exists; and 2) whether that right was
    clearly established at the time in question.
    3.   Attorney-Client Privilege
    The Authorization requires that Denius "give
    [his] consent for full and complete disclosure of
    . . . the records and recollections of attorneys
    at law, or of other counsel, whether representing
    [him] or another person in any case, either
    criminal or civil, in which [he] presently [has]
    or [has] had an interest." Denius argues that the
    intent and effect of this section of the
    Authorization is to require him to waive his
    attorney-client privilege and allow the state
    access to all information that would otherwise be
    protected by this doctrine. Denius contends that
    this compelled waiver violates his constitutional
    rights under the First and Sixth Amendments as
    applied to the states through the Fourteenth
    Amendment. See, e.g., Gideon v. Wainwright, 
    372 U.S. 335
    (1963); Edwards v. South Carolina, 
    372 U.S. 229
    (1963).
    Under the doctrine of attorney-client privilege,
    confidential communications between a client and
    an attorney for the purpose of obtaining legal
    advice are privileged. A court cannot compel
    revelation of these communications through
    discovery or testimony in civil or criminal
    matters. This doctrine is a common law privilege
    that can be explicitly or implicitly waived by
    the client and is subject to a number of
    restrictions and exceptions. The privilege is
    implicitly waived if the client communicates
    information to his attorney without the intent
    that that information remain confidential. See
    generally Moore’s Federal Practice 3d sec. 26.49;
    Weinstein’s Federal Evidence 2d ch. 503.
    In this case, we agree that Denius has been
    asked to waive his privilege of confidentiality
    regarding the information he communicates to an
    attorney as a condition of employment with the
    LCP. If Denius were to sign the Authorization,
    all previously protected communications with his
    attorney would no longer be privileged.
    Furthermore, the Authorization may jeopardize the
    attorney-client privilege for all future
    communications. Because these communications
    would be made with the knowledge that Denius has
    given consent for his attorney to transmit the
    information to the LCD, they are no longer
    confidential and, therefore, not protected by the
    privilege. See Weinstein’s Federal Evidence sec.
    503.15(2); United States v. Lawless, 
    709 F.2d 485
    , 487 (7th Cir. 1983) ("When information is
    transmitted to an attorney with the intent that
    the information will be transmitted to a third
    party . . . , such information is not
    confidential.")./4
    We now consider whether this mandatory waiver
    of the attorney-client privilege violates
    Denius’s constitutional rights. Denius contends
    that the attorney-client privilege implicates his
    right to counsel under the Sixth Amendment as
    well as his rights of free speech, association
    and petition under the First Amendment. We
    address each of these arguments in turn.
    a.   Sixth Amendment
    The Authorization includes the release of
    information related to all legal matters "either
    civil or criminal." Where the Sixth Amendment
    right to the effective assistance of counsel
    attaches, this right includes the ability to
    speak candidly and confidentially with counsel
    free from unreasonable government interference.
    See Adams v. Carlson, 
    488 F.2d 619
    , 630-31 (7th
    Cir. 1973) (recognizing confidentiality in the
    attorney-client relationship as an essential
    component of the Sixth Amendment right to
    effective assistance of counsel); cf. Weatherford
    v. Bursey, 
    429 U.S. 545
    , 552 (1977) (recognizing
    that state interference with confidential
    attorney-client communications implicates a
    defendant’s Sixth Amendment right to effective
    assistance of counsel and may in some
    circumstances require the reversal of a
    conviction). However, an individual enjoys no
    protection provided by the Sixth Amendment until
    the instigation of criminal proceedings against
    him. See McNeil v. Wisconsin, 
    501 U.S. 171
    , 175
    (1991); Hannah v. Larche, 
    363 U.S. 420
    , 440 n.16
    (1960). As Denius has at no time been the subject
    of a criminal prosecution, his Sixth Amendment
    rights are not implicated./5
    b. First Amendment
    Denius next contends that requiring him to sign
    the Authorization and waive his attorney-client
    privilege as a condition of employment violates
    his First Amendment rights of speech, association
    and petition.
    The right to hire and consult an attorney is
    protected by the First Amendment’s guarantee of
    freedom of speech, association and petition. See
    DeLoach v. Bevers, 
    922 F.2d 618
    , 620 (10th Cir.
    1990) ("The right to retain and consult an
    attorney . . . implicates not only the Sixth
    Amendment but also clearly established First
    Amendment rights of association and free
    speech."); Martin v. Lauer, 
    686 F.2d 24
    , 32 (D.C.
    Cir. 1982). It has long been recognized that the
    First Amendment prohibits the state from
    interfering with collective action by individuals
    to seek legal advice and retain legal counsel.
    See United Transp. Union v. State Bar of Mich.,
    
    401 U.S. 576
    , 585-86 (1971) ("[C]ollective
    activity undertaken to obtain meaningful access
    to the courts is a fundamental right within the
    protection of the First Amendment."); United Mine
    Workers of Am. v. Illinois State Bar Ass’n, 
    389 U.S. 217
    , 221-22 (1967) ("[T]he freedom of
    speech, assembly, and petition guaranteed by the
    First and Fourteenth Amendments gives petitioner
    the right to hire attorneys on a salary basis to
    assist its members in the assertion of their
    legal rights."); see also Brotherhood of R.R.
    Trainmen v. Virginia, 
    377 U.S. 1
    , 6 (1964); NAACP
    v. Button, 
    371 U.S. 415
    , 429-30 (1963). Likewise,
    the state cannot impede an individual’s ability
    to consult with counsel on legal matters. See
    Bates v. State Bar of Ariz., 
    433 U.S. 350
    , 376
    n.32 (1977) ("Underlying [the collective action
    cases] was the Court’s concern that the aggrieved
    receive information regarding their legal rights
    and the means of effectuating them. This concern
    applies with at least as much force to aggrieved
    individuals as it does to groups."); see also
    
    Trainmen, 377 U.S. at 7
    ("A State could not . .
    . infringe in any way the right of individuals
    and the public to be fairly represented in
    lawsuits . . . ."). Furthermore, the right to
    obtain legal advice does not depend on the
    purpose for which the advice is sought. This
    right applies equally to legal representation
    intended to advocate a political or social
    belief, see 
    Button, 371 U.S. at 419-20
    , or to
    recover damages in a personal injury suit, see
    United Mine 
    Workers, 389 U.S. at 223
    . See also
    
    id. (stating that
    in earlier cases "we rejected
    the contention . . . that the principles
    announced in Button were applicable only to
    litigation for political purposes"). In sum, the
    First Amendment protects the right of an
    individual or group to consult with an attorney
    on any legal matter.
    The ability to maintain confidentiality in
    attorney-client communications is an important
    component of the right to obtain legal advice.
    "[T]he right to confer with counsel would be
    hollow if those consulting counsel could not
    speak freely about their legal problems." 
    Martin, 686 F.2d at 32
    . The centrality of confidentiality
    to the effective rendering of legal advice is
    reflected in the long-standing common law
    privilege for attorney-client communications. See
    Swidler & Berlin v. United States, 
    524 U.S. 399
    ,
    403 (1998). This privilege not only protects the
    interest of the client in receiving the best
    legal advice but also "’promote[s] broader public
    interests in the observance of law and the
    administration of justice.’" 
    Id. (quoting Upjohn
    Co. v. United States, 
    449 U.S. 383
    , 389 (1981)).
    Because the maintenance of confidentiality in
    attorney-client communications is vital to the
    ability of an attorney to effectively counsel her
    client, interference with this confidentiality
    impedes the client’s First Amendment right to
    obtain legal advice.
    The First Amendment may be implicated where the
    state compels an individual to speak. If by
    compelling an individual to reveal information
    that he would rather keep confidential the state
    chills the individual’s ability to engage in
    protected speech, the state has infringed the
    individual’s First Amendment right in the
    protected speech, unless it provides a sufficient
    justification for the required disclosure. See
    McIntyre v. Ohio Elections Comm., 
    514 U.S. 334
    ,
    341-42 (1994); NAACP v. Alabama ex rel.
    Patterson, 
    357 U.S. 449
    , 462-63 (1958). The level
    of justification required by the state will vary
    depending on the nature of the speech involved.
    See 
    McIntyre, 514 U.S. at 347
    .
    In this case, Denius alleges that the state is
    compelling the revelation of information he would
    prefer to keep confidential by requiring him to
    waive his attorney-client privilege. He argues
    that this compelled revelation of confidential
    communications chills the protected speech
    involved in his consultation with an attorney on
    legal matters. At this stage of the proceedings,
    Dunlap has offered no reason for requiring that
    Denius waive his attorney-client privilege.
    Therefore, we need not decide and do not address
    the level of justification required for the state
    to overcome an individual’s right to maintain
    confidentiality in his legal communications with
    his attorney. We merely conclude that absent
    appropriate justification the state cannot compel
    the revelation of privileged attorney-client
    communications. Therefore, if the LCP had no
    basis for requiring Denius to reveal confidential
    attorney-client communications, Dunlap violated
    Denius’s First Amendment rights when he refused
    to renew Denius’s contract solely because Denius
    declined to waive his attorney-client privilege.
    However, the parameters of an individual’s First
    Amendment right to confidential communications
    with his attorney were not clearly defined before
    this incident occurred. There is no existing
    Supreme Court or Seventh Circuit precedent on
    this issue, and we are only able to find two
    cases from fellow circuit courts articulating
    this right. See DeLoach v. Bevers, 
    922 F.2d 618
    ,
    620 (10th Cir. 1990); Martin v. Lauer, 
    686 F.2d 24
    (D.C. Cir. 1982). These two cases do not
    represent a trend in the law that would
    inevitably lead to the result we announce here.
    Similarly, the constitutional dimensions of the
    attorney-client privilege are not so patently
    obvious that no existing case law is required to
    show the right is clearly established. Therefore,
    we also hold that Dunlap is shielded by qualified
    immunity for any possible violation of Denius’s
    First Amendment right to confidential
    communications with his attorney, and we affirm
    the district court’s grant of summary judgment to
    the defendant on this issue.
    4.   Other disclosures
    In addition to requiring that Denius waive his
    attorney-client privilege, the Authorization also
    permits the release of other confidential
    information including all records pertaining to:
    1) educational, 2) financial, 3)
    military/veterans, 4) criminal, or 5) employment
    matters./6 Again, the LCD proffers no
    justification at this stage for requiring
    disclosure of this broad range of information.
    Denius contends that requiring him to authorize
    these disclosures violates his right to privacy
    in confidential information.
    The "concept of ordered liberty" protected by
    the Fourteenth Amendment’s Due Process Clause has
    been interpreted to include "the individual
    interest in avoiding disclosure of personal
    matters." Whalen v. Roe, 
    429 U.S. 589
    , 599-600
    (1977); see also Nixon v. Administrator of
    General Servs., 
    433 U.S. 425
    , 465 (1977)
    (recognizing "a legitimate expectation of privacy
    in [ ] personal communications"); Pesce v. J.
    Sterling Morton High Sch., 
    830 F.2d 789
    , 795 (7th
    Cir. 1987) ("The federal constitution does, of
    course, protect certain rights of privacy
    including a right of confidentiality in certain
    types of information."). This Court has
    recognized that "the federal right of
    confidentiality might in some circumstances be
    implicated when a state conditions continued
    employment on the disclosure of private
    information." 
    Pesce, 830 F.2d at 797
    .
    However, the scope and contours of this right
    have not been defined in this Circuit. For
    example, it is not clear whether the right of
    confidentiality covers all confidential
    information or only confidential information
    relating to certain matters. In this Circuit, the
    right clearly covers medical records and
    communications. See Anderson v. Romero, 
    72 F.3d 518
    , 522 (7th Cir. 1995) (noting the recognition
    of this right as early as 1992); Schaill v.
    Tippecanoe County Sch. Corp., 
    864 F.2d 1309
    , 1322
    n.19 (7th Cir. 1989) (recognizing "a substantial
    privacy interest in the confidentiality of
    medical information"). But, it is not clear
    whether other confidential information, such as
    that contained in financial records, also
    receives similar protection under this right.
    Furthermore, while it is apparent that some form
    of balancing test would be used to determine when
    this right of confidentiality has been violated,
    that test has not been defined in this Circuit.
    See 
    Pesce, 830 F.2d at 797
    n.5 (noting that other
    courts have used either a "general balancing of
    interests" or strict scrutiny when addressing
    this right, and declining to define a test for
    use in this Circuit); see also Fraternal Order of
    Police v. City of Philadelphia, 
    812 F.2d 105
    , 110
    (3d Cir. 1987) (noting that the majority of
    circuits have adopted intermediate scrutiny for
    required disclosures of confidential information
    and that some circuits have employed a compelling
    interest test where the intrusion was
    particularly egregious); cf. 
    Nixon, 433 U.S. at 465
    (balancing interests); 
    Whalen, 429 U.S. at 601-04
    (same)./7
    Denius argues that it is clearly established
    that the state could not require the release of
    confidential information without at least some
    interest to place in the balance and some
    measures limiting the use of the information and
    protecting it from further disclosure. Although
    Denius alludes in his brief to the
    Authorization’s effect on his privacy rights in
    a broad range of confidential information, he
    only discusses with specificity his interest in
    medical and financial information. Therefore, we
    address his privacy argument with respect to
    these two types of information alone. See Gagan
    v. American Cablevision, Inc., 
    77 F.3d 951
    , 965
    (7th Cir. 1996) (holding that failure to
    adequately develop an argument on appeal
    constitutes waiver).
    a.   Medical Information
    As discussed above, this Circuit has outlined a
    clearly established "substantial" right in the
    confidentiality of medical information that can
    only be overcome by a sufficiently strong state
    interest. See 
    Anderson, 72 F.3d at 522
    .
    Therefore, to the extent that the Authorization
    provided for the release of medical records or
    communications,/8 Dunlap was on notice that this
    type of information has constitutional protection
    in this Circuit and that the state cannot require
    its disclosure without a sufficient
    countervailing interest. As Dunlap has provided
    no interest at this stage in the proceedings that
    would justify requiring Denius to supply this
    information, we find he has not shown that he is
    entitled to qualified immunity on this issue. See
    Gustafson v. Jones, 
    117 F.3d 1015
    , 1021 (7th Cir.
    1997) (recognizing that balancing tests "produce
    a wide gray area between the clearly legal and
    the clearly illegal . . . . This does not mean,
    however, that legal certainty never exists when
    the law demands the consideration of a number of
    different factors."). We thus reverse the
    district court’s grant of summary judgment to the
    defendant on this issue and remand for further
    proceedings.
    b.   Financial Information
    While this Court has concluded that there is a
    general federal constitutional right of
    confidentiality, we have discussed this right
    only in the context of confidential medical
    information. See Anderson, 
    72 F.3d 518
    ; 
    Schaill, 864 F.2d at 1322
    n.19; Pesce, 
    830 F.2d 789
    .
    Denius now urges us to find that the right of
    confidentiality applies to confidential financial
    information.
    Seven of our sister circuits have found that
    the constitutional right of privacy in
    confidential information covers some financial
    disclosures. See Sheets v. Salt Lake County, 
    45 F.3d 1383
    , 1388 (10th Cir. 1995) (finding a
    constitutionally protected privacy interest in
    matters concerning "marriage, finances, and
    business"); Doe v. City of New York, 
    15 F.3d 264
    ,
    267 (2d Cir. 1994) (recognizing a
    constitutionally protected privacy interest in
    financial information); Alexander v. Peffer, 
    993 F.2d 1348
    (8th Cir. 1993) (recognizing a
    constitutionally protected privacy interest in
    "highly personal medical or financial
    information"); Walls v. City of Petersburg, 
    895 F.2d 188
    , 194 (4th Cir. 1990) (same); Fraternal
    Order of Police v. City of Philadelphia, 
    812 F.2d 105
    , 115 (3d Cir. 1987) (same); Plante v.
    Gonzalez, 
    575 F.2d 1119
    , 1135 (5th Cir. 1978)
    (recognizing a "substantial" privacy interest in
    confidential financial information); see also
    James v. City of Douglas, 
    941 F.2d 1539
    , 1543 n.7
    (11th Cir. 1991) (recognizing Fifth Circuit
    precedent in this area finding a right to privacy
    in confidential financial information as
    binding). The only circuit to explicitly disavow
    such a right, and the right of confidentiality in
    general, is the Sixth Circuit. See J.P. v.
    DeSanti, 
    653 F.2d 1080
    , 1090 (6th Cir. 1981)
    (finding that no right of confidentiality exists
    under the federal constitution); Cushall v.
    Sundquist, 
    193 F.3d 466
    , 481 (6th Cir. 1999)
    (recognizing the continued vitality of the
    DeSanti decision). However, we explicitly
    recognized our disagreement with the Sixth
    Circuit’s approach in Anderson where we agreed
    with the majority of circuits that Whalen and
    Nixon delineate a federal right of
    
    confidentiality. 72 F.3d at 522
    ./9
    The Supreme Court has discussed the existence
    and extent of constitutional protection for
    confidential information in terms of the type of
    information involved and the reasonable
    expectation that that information would remain
    confidential. 
    Nixon, 433 U.S. at 465
    ; see also
    
    Whalen, 429 U.S. at 604
    . Following this logic, we
    held that medical information may be a form of
    protected confidential information because of its
    intimate and personal nature. See 
    Anderson, 72 F.3d at 522
    ; 
    Pesce, 830 F.2d at 797
    . Our fellow
    circuit courts have applied similar reasoning to
    determine whether information may receive
    protection under the confidentiality branch of
    the right to privacy. See In re 
    Crawford, 194 F.3d at 959
    ; 
    Doe, 15 F.3d at 267
    ; 
    Walls, 895 F.2d at 192
    , 194; 
    Westinghouse, 638 F.2d at 579
    ;
    
    Plante, 575 F.2d at 1134-35
    . Because confidential
    financial information may implicate substantial
    privacy concerns and impact other fundamental
    rights, we agree with the overwhelming majority
    of our sister circuits that some types of
    financial information involve the degree and kind
    of confidentiality that is entitled to a measure
    of protection under the federal constitutional
    right of privacy.
    In this case, the plaintiff has identified no
    specific financial information that he claims
    deserves constitutional protection. However, the
    Authorization provides for the release of a
    virtually limitless range of confidential
    financial information. Furthermore, the LCD has
    provided no basis for requiring this information
    and no explanation for how it would tailor the
    gathering of the information to any need it might
    proffer. Most importantly, the LCD has provided
    no guarantee that the information obtained
    pursuant to the Authorization would be kept
    confidential and only used for a legitimate
    government purpose. We conclude that this
    sweeping disclosure requirement, lacking any
    safeguards against misuse or further disclosure,
    and supported by no justification, infringes
    Denius’s right of privacy in confidential
    information.
    That some forms of confidential financial
    information may fall within the scope of the
    right of privacy was not clear in this Circuit at
    the time Dunlap made his decision not to renew
    Denius’s contract. While there was a trend among
    the majority of circuits in this direction, the
    conclusion was not unanimous. Therefore, we do
    not find that the law in this area was so clearly
    defined that a government official can be charged
    with its knowledge. We conclude that Dunlap is
    shielded by qualified immunity for requiring
    Denius to disclose confidential financial
    information as a condition of employment, and we
    affirm the district court’s grant of summary
    judgment to the defendant on this issue./10
    C.   Equitable Relief
    Denius next argues that the district court
    erred as a matter of law when it dismissed his
    claims for equitable relief as barred by the
    defendant’s qualified immunity.
    1.   Waiver
    The defendant contends that Denius waived his
    right to appeal this issue because the district
    court’s dismissal of Denius’s claims for
    equitable relief was an oversight and not a legal
    judgment. The defendant asserts that Denius was
    required to file a Rule 60(b) Motion for Relief
    from Judgment calling the district court’s
    attention to this oversight and requesting its
    correction. The defendant argues that by failing
    to make a Rule 60(b) motion, Denius waived his
    ability to raise this argument on appeal.
    The defendant is correct that where a plaintiff
    is seeking relief from judgment that is most
    appropriately awarded by a trial court on a Rule
    60 motion, such as where the plaintiff is
    claiming oversight, mistake or clerical error,
    the plaintiff may waive his right to present that
    type of argument on appeal if he did not make the
    appropriate Rule 60 motion below. See Chicago
    Downs Ass’n, Inc. v. Chase, 
    944 F.2d 366
    , 370-71
    (7th Cir. 1991) (finding that where plaintiff’s
    only argument on appeal was that the district
    court’s judgment was inequitable because of
    attorney neglect, plaintiff waived this Rule
    60(b)-type argument on appeal because he failed
    to make the appropriate motion below); see also
    Securities and Exchange Comm’n v. Mayhew, 
    121 F.3d 44
    , 53-54 (2d Cir. 1997). However, in this
    case, Denius is not contending that the district
    court overlooked his claim for declaratory and
    injunctive relief or issued a mistaken judgment
    for any of the reasons that would properly be
    corrected by a Rule 60 motion. Rather, he claims
    that the district court was fully aware of his
    claims for both equitable and monetary relief but
    erroneously concluded that qualified immunity was
    a bar to claims in both law and equity.
    We agree with Denius’s interpretation of the
    district court’s ruling. This is not a case where
    the district court completely overlooked
    plaintiff’s claims for equitable relief. The
    district court clearly states that it is
    disposing of Denius’s claims for monetary and
    equitable relief through its summary judgment
    opinion. In addition, the district court did not
    limit its discussion of qualified immunity solely
    to Denius’s claims for monetary relief but
    applied that doctrine to all of Denius’s claims.
    Furthermore, oral argument before the trial court
    pertaining to the motion for summary judgment
    clearly indicates that the district court was
    aware of, and took into consideration, Denius’s
    claims for equitable as well as monetary relief.
    Denius appealed the district court’s conclusion
    of law on this matter directly to this Court, and
    it was proper for him to do so. While he may have
    filed a Rule 60(b) motion asking the district
    court to reconsider this conclusion of law, he
    was not required to do so, and he has not waived
    any of his arguments related to this matter on
    appeal. See Meinecke v. H & R Block of Houston,
    
    66 F.3d 77
    , 82 n.2 (5th Cir. 1995) ("[I]t has
    never been the case that a Rule 60(b) motion must
    be filed as a prerequisite to appeal.").
    2.   Denius’s Equitable Claims
    The doctrine of qualified immunity does not
    apply to claims for equitable relief. See Burgess
    v. Lowery, 
    2000 WL 30073
    , *1 (7th Cir. Jan. 18,
    2000) ("There is no immunity from a suit for
    [equitable] relief."); Eberhardt v. O’Malley, 
    17 F.3d 1023
    , 1028 (7th Cir. 1994) (finding
    qualified immunity "irrelevant to the plaintiff’s
    request for an order that he be reinstated"); see
    also Wood v. Strickland, 
    420 U.S. 308
    , 314 n.6
    (1975) (stating that "immunity from damages does
    not ordinarily bar equitable relief as well").
    Therefore, we hold that the district court erred
    in concluding that the defendants in this case
    are shielded from all liability for their actions
    under the qualified immunity doctrine. As
    discussed above, Denius has a First Amendment
    right in confidential communications with his
    attorney and a Fourteenth Amendment right in
    maintaining the confidentiality of some medical
    and financial information. These rights are
    subject to a balancing of interests to determine
    whether the state has violated them. On the
    present record, the defendant has presented no
    justification for the burden he has placed on
    these rights by conditioning Denius’s employment
    on relinquishing them, and he is not entitled to
    prevail on summary judgment. Therefore, we
    reverse the district court’s grant of summary
    judgment to the defendant on Denius’s claims for
    equitable relief and remand these claims for
    further proceedings.
    III.   CONCLUSION
    For the reasons stated above, we Affirm the
    district court’s grant of summary judgment to the
    defendants on plaintiff’s claims for monetary
    relief on the First Amendment attorney-client
    privilege and Fourteenth Amendment financial
    privacy claims; we Reverse the district court’s
    grant of summary judgment in favor of the
    defendants on plaintiff’s claim for monetary
    relief on the Fourteenth Amendment medical
    privacy claim as well as plaintiff’s claims for
    equitable relief; and we Remand this case to the
    district court for further proceedings consistent
    with this opinion.
    /1 Pursuant to Fed. R. App. Pro. 43(c)(2), we have
    added Gary Sadler, the current Director of the
    Lincoln Challenge Program, as a party to this
    action which involves claims for prospective
    injunctive relief as well as monetary damages.
    However, for purposes of our discussion we will
    refer to Dunlap as the defendant in this matter.
    /2 The only justification revealed on the record
    relates to the LCP’s need for information
    concerning the criminal background of its
    teachers. Denius has not objected to providing
    this information and, indeed, has signed a
    consent form without any time limit authorizing
    the disclosure of information regarding his
    criminal history. The record does not reveal any
    justification for requiring the additional
    information in the 1996 Authorization that is the
    subject of this appeal.
    /3 It is irrelevant to our analysis that Dunlap did
    not fire Denius but refused to renew his
    contract, since Denius alleges that this decision
    was made solely because he chose to exercise his
    constitutional rights. See Mt. 
    Healthy, 429 U.S. at 283
    (holding that a plaintiff whose contract
    was not renewed "may nonetheless establish a
    claim to reinstatement if the decision not to
    rehire him was made by reason of his exercise of
    constitutionally protected First Amendment
    freedoms").
    /4 The defendant contends that Denius does not have
    standing to raise a constitutional claim
    regarding the attorney-client privilege because
    he was not involved in any past or present legal
    matters at the time he was required to sign the
    release. However, this fact is not determinative
    of Denius’s standing in this case. In Shelton v.
    Tucker, 
    364 U.S. 479
    (1960), and Keyishian v.
    Board of Regents, 
    385 U.S. 589
    (1967), the
    Supreme Court held that requiring a teacher to
    reveal his associational memberships as a
    condition of public employment was an
    unconstitutional burden on the teacher’s exercise
    of his First Amendment rights. The holdings in
    these cases rest on the proposition that First
    Amendment activity may be unreasonably chilled
    when public employees are forced to choose
    between revealing protected activities to their
    employer or keeping their jobs. See 
    Keyishian, 385 U.S. at 601-04
    ; 
    Shelton, 364 U.S. at 485-88
    ;
    cf. NAACP v. Alabama ex rel. Patterson, 
    357 U.S. 449
    , 462 (1958). As with the associational rights
    in those cases, the First Amendment right in this
    case--the right to seek counsel from an attorney-
    -is arguably impaired by a requirement that
    attorney-client communications be made available
    to a public employer. We are particularly
    concerned with a potential chilling effect in
    this context because in certain cases it is only
    through the aid of an attorney that an individual
    is able to determine what his rights are and how
    to give them effect. In neither Shelton nor
    Keyishian were the plaintiff teachers required to
    show that they were actually chilled from
    associating with particular groups or persons
    because of the challenged regulations. Rather,
    the plaintiffs alleged that they refused to
    comply with the regulations requiring disclosure
    of associational membership and were fired
    because of this refusal. Likewise, because Denius
    alleges that he was required to chose between
    signing a release that would potentially curtail
    an important First Amendment activity and keeping
    his job, we find that he has standing to assert
    a First Amendment claim.
    /5 The fact that the Authorization may affect future
    communications does not alter this result with
    respect to the Sixth Amendment. Contrary to the
    First Amendment context, an individual cannot
    assert a claim based on a future violation of his
    Sixth Amendment rights. Those rights may only be
    vindicated once they have attached. See 
    McNeil, 501 U.S. at 176
    .
    /6 To the extent that the Authorization duplicates
    the release of criminal and educational records
    that Denius signed when he first began working at
    LCD, he does not contest its validity. It is only
    the disclosure of information above and beyond
    that necessary to perform such a routine
    background check that is the subject of this
    appeal.
    /7 In Whalen, the Supreme Court balanced the
    following factors: 1) the potential for public
    disclosure of the information; 2) the extent to
    which the private information is already
    disclosed to other individuals or institutions;
    3) the similarity of the disclosure in question
    to disclosures that have already taken place; 4)
    the potential deterrent effect on the exercise of
    other constitutional liberties; and 5) the
    state’s interest in the 
    information. 429 U.S. at 601-04
    .
    In Nixon, the factors considered were: 1) the
    extent of the intrusion into the individual’s
    privacy; 2) the individual’s status as a public
    figure; 3) the expectation of privacy in the
    materials in question; 4) the importance of the
    public interest; 5) the level of difficulty
    involved in segregating private from non-private
    materials; and 6) the measures taken to keep
    private materials from being publicly
    disseminated or 
    revealed. 433 U.S. at 465
    .
    A number of our sister circuits have adopted a
    variation of the balancing test articulated by
    the Third Circuit that includes: 1) "the type of
    record requested"; 2) "the information it does or
    might contain"; 3) "the potential for harm in any
    subsequent nonconsensual disclosure"; 4) "the
    injury from disclosure to the relationship in
    which the record was generated"; 5) "the adequacy
    of safeguards to prevent unauthorized
    disclosure"; 6) "the degree of need for access";
    7) "whether there is an express statutory
    mandate, articulated public policy, or other
    recognizable public interest militating toward
    access." United States v. Westinghouse Elec.
    Corp., 
    638 F.2d 570
    , 578 (3d Cir. 1980); see In
    re Crawford, 
    194 F.3d 954
    , 959 (9th Cir. 1999).
    /8 The present record does not reveal whether the
    Authorization extends to medical records or
    communications as Denius alleges. We leave this
    factual determination to be resolved by the
    district court.
    /9 The District of Columbia Circuit has recently
    expressed "grave doubts" as to the existence of
    a federal right of confidentiality. See American
    Fed’n of Gov’t Employees v. Department of Hous.
    & Urban Dev., 
    118 F.3d 786
    , 791 (D.C. Cir. 1997).
    However, that circuit recognized that it did not
    "write on a blank slate" and that the circuit’s
    earlier decisions indicated the existence of such
    a right. 
    Id. at 791-92.
    Similarly, the First
    Circuit has expressed concern regarding the
    contours of this right but has declined to
    address the issue. See Borucki v. Ryan, 
    827 F.2d 836
    (1st Cir. 1987).
    /10 The Authorization also includes a release of
    liability to all persons giving information to
    the LCP pursuant to the Authorization and to the
    LCP for any liability incurred as a result of
    gathering this information. Denius contends that
    requiring him to release these potential legal
    claims interferes with his right of access to the
    courts and his property right in legal causes of
    action.
    We have searched the record presented on appeal
    and can find no evidence that Denius raised
    either of these claims before the district court.
    We have repeatedly held that "[a]n issue not
    presented in the court below cannot be raised for
    the first time on appeal and form a basis for
    reversal." Weeks v. Samsung Heavy Indus. Co.,
    Ltd., 
    126 F.3d 926
    , 942 (7th Cir. 1997)
    (citations omitted). Therefore, we consider these
    issues waived and do not address them at this
    time.
    

Document Info

Docket Number: 99-1402

Judges: Per Curiam

Filed Date: 4/11/2000

Precedential Status: Precedential

Modified Date: 9/24/2015

Authorities (47)

Shelton v. Tucker , 81 S. Ct. 247 ( 1960 )

United Transportation Union v. State Bar of Michigan , 91 S. Ct. 1076 ( 1971 )

Upjohn Co. v. United States , 101 S. Ct. 677 ( 1981 )

Edwards v. South Carolina , 83 S. Ct. 680 ( 1963 )

Swidler & Berlin v. United States , 118 S. Ct. 2081 ( 1998 )

Wilson v. Layne , 119 S. Ct. 1692 ( 1999 )

United States of America and William C. McCormick Special ... , 709 F.2d 485 ( 1983 )

darcy-l-schaill-by-next-friend-william-and-mary-kross-and-shelley-m , 864 F.2d 1309 ( 1989 )

collette-a-khuans-v-school-district-110-james-nelson-superintendent , 123 F.3d 1010 ( 1997 )

american-federation-of-government-employeesafl-cio-v-department-of , 118 F.3d 786 ( 1997 )

in-the-matter-of-the-claim-of-john-doe-this-name-being-fictitious-v-the , 15 F.3d 264 ( 1994 )

teyonda-n-walls-v-city-of-petersburg-a-virginia-municipal-corporation , 895 F.2d 188 ( 1990 )

National Ass'n for the Advancement of Colored People v. ... , 83 S. Ct. 328 ( 1963 )

County of Sacramento v. Lewis , 118 S. Ct. 1708 ( 1998 )

In Re: Laorphus Crawford, Debtor. Jack Ferm v. United ... , 194 F.3d 954 ( 1999 )

Dennis Anderson v. Gilberto Romero and Arthur Douglas , 72 F.3d 518 ( 1995 )

james-l-gagan-v-american-cablevision-inc-allwave-cable-construction , 77 F.3d 951 ( 1996 )

J. P., M. R., Cross-Appellees v. Andrew J. Desanti, Cross-... , 653 F.2d 1080 ( 1981 )

rod-gustafson-and-javier-cornejo-v-arthur-jones-deputy-inspector-jeffrey , 117 F.3d 1015 ( 1997 )

McNeil v. Wisconsin , 111 S. Ct. 2204 ( 1991 )

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