Williams, Norval v. Seniff, Rick ( 2003 )


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  •                              In the
    United States Court of Appeals
    For the Seventh Circuit
    ____________
    No. 02-1231
    NORVAL WILLIAMS,
    Plaintiff-Appellant,
    v.
    RICK SENIFF, individually and in his capacity as Sheriff of
    St. Joseph County, Indiana, GANPAT WAUGH, individually
    and in his capacity as Chief of Police of St. Joseph County,
    Indiana, CHRISTOPHER TOTH, individually and in his official
    capacity as Prosecuting Attorney of St. Joseph County,
    Indiana, et al.,
    Defendants-Appellees.
    ____________
    Appeal from the United States District Court
    for the Northern District of Indiana, South Bend Division.
    No. 00 C 333—Robert L. Miller, Jr., Chief Judge.
    ____________
    ARGUED SEPTEMBER 12, 2002—DECIDED AUGUST 20, 2003
    ____________
    Before RIPPLE, ROVNER and WILLIAMS, Circuit Judges.
    RIPPLE, Circuit Judge. Norval Williams was employed by
    the St. Joseph County Sheriff’s Department as an Assistant
    Chief of Police. He was fired after he made a comment in
    the media questioning the guilt of an individual who had
    been convicted of killing a police officer. Mr. Williams
    claimed that he suffered racial discrimination in his work-
    place and that the defendants conspired to retaliate against
    2                                                No. 02-1231
    him after he made the comment. He therefore filed this
    action, alleging violations of 
    42 U.S.C. §§ 1983
     and 1985
    based on deprivations of his First Amendment free speech,
    procedural due process and equal protection rights. Invok-
    ing Title VII, see 42 U.S.C. § 2000e et seq., he also claimed
    that he had suffered racial discrimination. Finally, he
    alleged a state law claim for interference with contractual
    relations under Indiana law. The district court dismissed a
    portion of Mr. Williams’ claims under Federal Rule of Civil
    Procedure 12(b)(6) and later granted summary judgment on
    the remaining claims. For the reasons set forth in this
    opinion, we affirm the judgment of the district court.
    I
    BACKGROUND
    A. Facts
    Mr. Williams, an African-American, was hired by then-St.
    Joseph County Sheriff, Rick Seniff, to serve as an Assistant
    Chief of Police, beginning on January 1, 1999. One of Mr.
    Williams’ responsibilities was to oversee security for the St.
    Joseph County Courthouse in South Bend, Indiana. Serving
    in this oversight capacity in June of 1999, Mr. Williams
    attended the trial of Gregory Dickens, an African-American
    youth who was tried before an all-white jury for the murder
    of a white South Bend police officer. The jury convicted
    Dickens.
    At some time during the trial or after the verdict was
    returned, Mr. Williams commented to television and
    newspaper reporters that “if the person who committed the
    murder was not on trial, the verdict would not be just.” R.1
    at ¶ 5. Mr. Williams contends that his statement “mirrored
    doubts felt and expressed by other members of the African
    No. 02-1231                                                     3
    American community of South Bend, Indiana,” related to a
    matter of public concern, and “was not without reasonable
    basis and foundation.” R.1 at ¶ 7. Mr. Williams further
    alleges that a witness had called to inform him that the real
    murderer was not on trial. Mr. Williams claims he disclosed
    this communication to both the prosecution and the defense
    in Dickens’ trial. However, the witness feared for her
    personal safety and subsequently refused to testify. Mr.
    Williams contends that, after he made the statement in the
    media, he was subjected to great anger and was forced to
    endure race-based hostility in his workplace.
    Mr. Williams maintains that, after he made this statement,
    South Bend Mayor Stephen Luecke, then-St. Joseph County
    Prosecuting Attorney Christopher Toth, and Fraternal Order
    of Police (“F.O.P.”) Lodge 36 President Joseph Lauck
    expressed displeasure and exerted pressure on Sheriff Seniff
    to fire Mr. Williams. These individuals admit that they
    called Sheriff Seniff to express their displeasure with Mr.
    Williams’ comment, but the defendants deny that they
    1
    requested that Sheriff Seniff fire Mr. Williams.
    Mr. Williams claims that, during his approximately seven-
    month tenure on the police force, Sheriff Seniff displayed an
    intent to discriminate against him by refusing to hire
    minority job applicants in lieu of white applicants, as well
    as by excluding him from input in the hiring process and
    from social activities. Mr. Williams also contends that he
    was singled out for an unprecedented performance evalua-
    1
    Mr. Lauck stated that his call to Sheriff Seniff was in response
    to a call placed to Mr. Lauck’s pager by the Sheriff. See R.80,
    Ex.Lauck Aff. at ¶ 4. Mr. Lauck’s affidavit indicates that the
    Sheriff stated he had heard that the F.O.P. was displeased with
    Mr. Williams’ comment, a fact that Mr. Lauck confirmed. See id.
    at 5.
    4                                                  No. 02-1231
    tion that was not given to similarly situated white officers.
    On August 4, 1999, Sheriff Seniff summoned Mr. Williams
    to a performance evaluation meeting. During the session,
    Sheriff Seniff terminated Mr. Williams’ employment based
    on allegations of poor job performance, Mr. Williams’
    negative response to criticisms and Mr. Williams’ failure to
    submit to a polygraph test. Mr. Williams maintains that
    these claims were mere pretext for a race-based termination.
    Mr. Williams contends that, after his termination, Sheriff’s
    Department Chief of Police Ganpat Waugh (“Chief
    Waugh”) and St. Joseph County Police Merit Board mem-
    bers Terry O’Connor, Mary Jane Clark, Donald Decker,
    Michael Anderson and Jon Hanley (collectively “Merit
    Board members”), improperly acquiesced in his illegal
    termination. Mr. Williams claims that the Merit Board
    members had the authority and duty to challenge the ter-
    mination directly or to grant a hearing at which Mr. Wil-
    liams might answer charges and present a defense. He
    claims that the Merit Board members failed to exercise their
    authority with the intent that Sheriff Seniff would terminate
    Mr. Williams in retaliation for the comment in the media.
    Moreover, Mr. Williams alleges that Chief Waugh partici-
    pated in the pretextual performance review and wrongful
    termination and that Chief Waugh had the jurisdiction and
    authority to stop the conspiracy to deprive Mr. Williams of
    his rights. Mr. Williams contends that Chief Waugh is liable
    for failing to stop or investigate the illegal actions of Sheriff
    Seniff, Mayor Leucke, Mr. Toth and Mr. Lauck.
    B. District Court Proceedings
    Before the district court, Mr. Williams named Sheriff
    Seniff, Chief Waugh, Mr. Toth, Mr. Lauck, Mayor Luecke
    and the Merit Board members, all individually and in their
    No. 02-1231                                                  5
    official capacities, in a six-count complaint filed on May 26,
    2000. Count I alleged that Mayor Luecke, Mr. Toth and Mr.
    Lauck conspired with Sheriff Seniff to deprive Mr. Williams
    of his First Amendment free speech rights by pressuring
    Sheriff Seniff to terminate Mr. Williams in retaliation for his
    statement in the media. The first count also claimed that the
    Merit Board members and Chief Waugh violated Mr.
    Williams’ First Amendment rights by failing to intervene
    and stop his termination. Mr. Williams alleged that all of the
    defendants’ actions constituted violations of both 
    42 U.S.C. §§ 1983
     and 1985.
    In the second and third counts of his complaint, Mr.
    Williams alleged that all named defendants, individually
    and in their official capacities, deprived him of his equal
    protection rights by forcing him to work in a hostile and
    discriminatory work environment and violated his due
    process rights by depriving him of his liberty and property
    interests in continued employment as Assistant Chief of
    Police, both in violation of 
    42 U.S.C. §§ 1983
     and 1985.
    Mr. Williams’ fourth count alleged that he had suffered
    disparate treatment and a hostile work environment in
    violation of Title VII. The complaint stated that the creation
    of a hostile work environment was undertaken by all named
    defendants individually and in their official capacities in
    furtherance of the deprivations alleged in Counts I through
    III. However, the complaint specifically singled out the
    actions of Sheriff Seniff as his employer and Mr. Lauck in
    his capacity as an agent for the F.O.P., which Mr. Williams
    characterizes as a labor union. Finally, in the fifth count of
    the complaint, Mr. Williams alleged that all defendants
    committed a wrongful and tortious breach of contract under
    6                                                 No. 02-1231
    2
    Indiana law.
    In an order issued on October 5, 2000, the district court
    addressed a number of motions for dismissal on the plead-
    ings. First, the court noted that, in response to Mayor
    Luecke’s motion to dismiss, Mr. Williams had stated that
    Mayor Luecke’s actions occurred “in the course of his
    official duties and while exercising his responsibilities as
    Mayor of South Bend, Indiana [and] nothing in the com-
    plaint alleges or indicates that [Mayor] Luecke was ‘off-
    duty’ or somehow acting as a private individual when he
    became involved in the conspiracy.” R.41 at 6-7 (quoting
    Williams Resp. at 8). Consequently, the court determined
    that the complaint only alleged action in the Mayor’s official
    capacity, and the court dismissed claims against Mayor
    Luecke in his individual capacity. The court then ruled that
    Mr. Williams could proceed on the claims against Mayor
    Luecke in his official capacity. On June 14, 2001, the court
    granted Mr. Williams’ and Mayor Luecke’s joint motion to
    voluntarily dismiss the remaining claims as to Mayor
    Luecke in his official capacity. Mr. Williams has not ap-
    pealed the dismissal of claims against the Mayor.
    The court then addressed Mr. Lauck’s Rule 12(b)(6)
    motion. The motion claimed that the conspiracy allegations
    of Mr. Williams’ complaint were insufficient, that Mr. Lauck
    was not a state actor, that the speech in question was not
    protected, and that the state law claims in Count V did not
    properly contain any allegations against Mr. Lauck or the
    F.O.P. The court granted Mr. Lauck’s motions with respect
    to Count V because the pleading alleged only a breach of an
    employment agreement and because Mr. Lauck was not in
    2
    Mr. Williams’ sixth count does not allege an additional cause
    of action; rather, it details the harm that he suffered from the
    claims set forth in the first five counts.
    No. 02-1231                                                 7
    privity in the employment contract with Mr. Williams.
    Although in his brief in opposition to the motion to dismiss
    Mr. Williams pointed out that the Indiana torts of interfer-
    ence with an employment relationship and interference with
    a contractual relationship do not require privity of contract,
    the court rejected this argument as an impermissible
    attempt to amend the complaint through a motion to
    dismiss. Consequently, the court concluded that the plead-
    ing did not give Mr. Lauck reason to believe that he should
    seek dismissal of claims for contractual interference with his
    employment relationship. See R.41 at 11.
    The district court dismissed all claims against the Merit
    Board members in their official and personal capacities. It
    reasoned that, under the Indiana Code, Mr. Williams was an
    at-will probationary employee; as such, the Merit Board
    members did not have jurisdiction to review Mr. Williams’
    termination. Moreover, the court concluded that the Merit
    Board members were acting in a quasi-judicial capacity and
    therefore were entitled to absolute immunity.
    With respect to Mr. Toth, the court relied on the Eleventh
    Amendment to dismiss the claims brought against him in
    his official capacity as a state prosecutor. The court also
    dismissed Mr. Williams’ Count V interference with contract
    obligations claim against Mr. Toth in his individual capacity
    for the same reason it dismissed Mr. Williams’ claim against
    Mr. Lauck—the absence of privity of contract with Mr.
    Williams. Moreover, the court dismissed the Title VII claim
    against Mr. Toth in his individual capacity, recognizing that
    Mr. Toth could not be characterized as Mr. Williams’
    employer and because no individual liability exists under
    Title VII.
    Having had his claims against Mr. Lauck and Mr. Toth for
    8                                                  No. 02-1231
    tortious breach of contract dismissed for lack of privity, Mr.
    Williams made a motion for leave to file a First Amended
    Complaint, which sought to more clearly outline his state
    law claim of tortious interference with a contractual rela-
    tionship. In an order dated November 20, 2001, the district
    court refused Mr. Williams’ motion because it continued to
    refer “in the caption and in the text, to parties and claims
    that were dismissed in [an earlier order].” R.58 at 2.
    Finally, on December 27, 2001, after the parties had
    conducted discovery, the district court granted summary
    judgment in the defendants’ favor on all remaining claims.
    The court found that Mr. Williams had not presented
    sufficient evidence to survive summary judgment motions
    on his remaining § 1983, § 1985 and Title VII claims. See
    R.81.
    II
    DISCUSSION
    Mr. Williams submits that the defendants, acting in their
    official and individual capacities, deprived him of his First
    Amendment right to free speech as well as of his rights to
    equal protection and due process under the Fourteenth
    Amendment. He also claims that Sheriff Seniff and Chief
    Waugh conspired with Mr. Lauck, Mr. Toth and Mayor
    3
    Luecke to deprive him of those rights. See 
    42 U.S.C. § 1985
    .
    Moreover, Mr. Williams contends that Sheriff Seniff’s and
    Mr. Lauck’s actions constituted disparate treatment and
    created a hostile work environment in violation of Title VII.
    He also maintains that his termination was a result of tor-
    3
    As we have noted above, Mayor Luecke was dismissed from
    the case on June 14, 2001, and he is not a party to this appeal.
    No. 02-1231                                                   9
    tious interference with his employment contract.
    We review de novo the district court’s grants of summary
    judgment and motions to dismiss pursuant to Federal Rule
    of Civil Procedure 12(b)(6) and draw all favorable inferences
    in favor of the nonmovant, Mr. Williams. See Lee v. City of
    Chicago, 
    330 F.3d 456
    , 459 (7th Cir. 2003) (reviewing de novo
    grant of motion to dismiss pursuant to Fed. R. Civ. P.
    12(b)(6)); Turner v. J.V.D.B. & Assocs., Inc., 
    330 F.3d 991
    , 994
    (7th Cir. 2003) (reviewing grant of summary judgment de
    novo).
    A. First Amendment
    1. Connick-Pickering Analysis
    When a government employee is terminated and alleges
    that his exercise of protected speech motivated the termina-
    tion, we initially evaluate whether the First Amendment
    protects the employee’s speech by conducting the two-part
    analysis set forth in Pickering v. Board of Education, 
    391 U.S. 563
     (1968), and Connick v. Myers, 
    461 U.S. 138
     (1983). See
    Wainscott v. Henry, 
    315 F.3d 844
    , 848 (7th Cir. 2003).
    The first element of the Connick-Pickering test requires that
    we consider whether the speech in question addresses a
    matter of public concern. See Delgado v. Jones, 
    282 F.3d 511
    ,
    516 (7th Cir. 2002) (citing Connick, 
    461 U.S. at 147
    ). “Whether
    an employee’s speech addresses a matter of public concern
    must be determined by the content, form, and context of a
    given statement, as revealed by the whole record.” Connick,
    
    461 U.S. at 147-48
    . We have determined that the content of
    the speech is the most important consideration. See Delgado,
    
    282 F.3d at 517
    . The second element, the Pickering balancing
    test, requires us
    to determine whether “the interests of the [plaintiff], as
    a citizen, in commenting upon matters of public con-
    10                                                 No. 02-1231
    cern” outweigh “the interest of the State, as an em-
    ployer, in promoting the efficiency of the public services
    it performs through its employees.”
    Kokkinis v. Ivkovich, 
    185 F.3d 840
    , 844 (7th Cir. 1999) (quoting
    Pickering, 
    391 U.S. at 568
    ). Both prongs of the Connick-
    Pickering test are matters of law that this court reviews de
    novo. See Wainscott, 
    315 F.3d at 851
     (stating that resolution
    of Pickering balancing test is a question of law); Snider v.
    Belvidere Township, 
    216 F.3d 616
    , 620 (7th Cir. 2000) (noting
    that determination of matter of public concern is for the
    court).
    If we determine that the employee’s speech was constitu-
    tionally protected, we then must consider whether the
    protected speech was a substantial or motivating factor in
    the defendant’s actions. See Gustafson v. Jones, 
    290 F.3d 895
    ,
    906 (7th Cir. 2002). If the speech was such a factor, the
    employer must have the opportunity to prove that it would
    have taken the same action regardless of the plaintiff’s
    exercise of First Amendment rights. See Vukadinovich v.
    Bartles, 
    853 F.2d 1387
    , 1389-90 (7th Cir. 1988) (quotation
    marks and citations omitted). However, we need not reach
    the issue of the employer’s motivations if the plaintiff’s
    statements are not constitutionally protected. See 
    id.
     at 1390
    n.5.
    The first step in the analysis requires that we determine
    whether Mr. Williams’ speech addressed a matter of public
    concern. At some point during or after the Dickens trial, Mr.
    Williams commented to reporters, “if the person who
    committed the murder was not on trial, the verdict would
    4
    not be just.” R.1 at ¶ 5. Mr. Williams contends that his
    4
    This quotation is taken from Mr. Williams’ complaint; the
    (continued...)
    No. 02-1231                                                   11
    statement “mirrored doubts felt and expressed by other
    members of the African American community of South
    Bend, Indiana” and that it was based on information from
    a witness that did not testify at the trial. Id. at ¶ 7. This
    statement purported to address the validity of a criminal
    conviction that Mr. Williams claims was influenced by race.
    Because we believe that the second prong of the Connick-
    Pickering analysis is determinative, we assume, without
    deciding, that this comment constitutes a matter of public
    concern. See Knight v. Connecticut Dep’t of Pub. Health, 
    275 F.3d 156
    , 164 (2d Cir. 2001) (assuming arguendo that speech
    addressed matter of public concern and turning to Pickering
    balancing test); Flynn v. City of Boston, 
    140 F.3d 42
    , 46-47 (1st
    Cir. 1998) (same).
    In Gustafson, we outlined a number of factors for consider-
    ation in conducting the Pickering balancing test:
    Pickering contemplates a highly fact-specific inquiry into
    a number of interrelated factors: (1) whether the speech
    would create problems in maintaining discipline or
    harmony among co-workers; (2) whether the employ-
    ment relationship is one in which personal loyalty and
    confidence are necessary; (3) whether the speech im-
    peded the employee’s ability to perform [his] responsi-
    bilities; (4) the time, place, and manner of the speech; (5)
    the context within which the underlying dispute arose;
    (6) whether the matter was one on which debate was
    vital to informed decision-making; and (7) whether the
    speaker should be regarded as a member of the general
    public.
    Gustafson, 
    290 F.3d at
    909 (citing Greer v. Amesqua, 
    212 F.3d 4
     (...continued)
    record neither contains a direct quote nor a transcript of the
    media reports.
    12                                                    No. 02-1231
    358, 371 (7th Cir. 2000)). The court’s opinion in Kokkinis v.
    Ivkovich is also instructive. In Kokkinis, a police officer
    appeared on a television newscast in disguise and shared
    his views concerning another officer’s allegation of sex
    discrimination within the police department. See Kokkinis,
    
    185 F.3d at 842
    . The court found that Kokkinis had no
    knowledge of the incident; rather, he had a personal dispute
    5
    with the Police Chief. The Police Chief was embarrassed by
    the broadcast and believed that the department as a whole
    was placed in a negative light. The Chief also received
    phone calls complaining about the interview. See 
    id.
     We
    concluded that the Pickering balancing test weighed in favor
    of the defendants because “[d]eference to the employer’s
    judgment regarding the disruptive nature of an employee’s
    speech is especially important in the context of law enforce-
    6
    ment.” Kokkinis, 
    185 F.3d at 845
    .
    5
    In Kokkinis, we held that the motive of the officer in making the
    statements ostensibly about sex discrimination was a private
    feud; therefore, the statements did not constitute a matter of
    public concern. See Kokkinis v. Ivkovich, 
    185 F.3d 840
    , 844-45 (7th
    Cir. 1999). However, we addressed the Pickering balancing test in
    the alternative. See 
    id. at 845
    .
    6
    We note that in Gustafson v. Jones, 
    290 F.3d 895
     (7th Cir. 2002),
    we reached the opposite result and concluded that a police
    department had violated two police officers’ free speech rights by
    transferring them out of their elite tactical unit in retaliation for
    publicly criticizing an order of the department’s deputy inspec-
    tor. We noted that, due to the need for relationships of trust and
    loyalty on a police force, deference given to police departments
    under the Pickering analysis is considerable; however, it is “by no
    means complete.” 
    Id.
     at 910 (citing Waters v. Churchill, 
    511 U.S. 661
    , 677 (1994)). However, the result in Gustafson is distinguish-
    able from the present case. In Gustafson, there was neither
    (continued...)
    No. 02-1231                                                        13
    In an organization such as a police department, discipline
    and respect for the chain of command are critical to accom-
    plishing the entity’s mission of maintaining order and
    public safety. See Dill v. City of Edmond, 
    155 F.3d 1193
    , 1203
    (10th Cir. 1998) (stating that in the context of law enforce-
    ment the government has a “ ‘heightened interest . . . in
    maintaining discipline and harmony among employees.’ ”
    (citation omitted)); Tyler v. City of Mountain Home, 
    72 F.3d 568
    , 570 (8th Cir. 1995) (commenting that paramilitary
    character and mission of police departments results in
    greater latitude in discipline and personnel matters than a
    normal government employer). As an Assistant Police Chief,
    Mr. Williams served in a position of loyalty and confidence.
    He breached those by making the statement to the press. See
    Klunk v. County of St. Joseph, 
    170 F.3d 772
    , 776 (7th Cir. 1999)
    (noting that a police officer’s position contains a duty of
    loyalty and confidence); Upton v. Thompson, 
    930 F.2d 1209
    ,
    1215 (7th Cir. 1991) (commenting on need for loyal deputies
    for elected sheriff to promote public confidence in law
    enforcement).
    In addition to violating his duty of personal loyalty to
    Sheriff Seniff, it is undisputed that Mr. Williams’ conduct
    resulted in a number of phone calls to Sheriff Seniff similar
    to those in Kokkinis demonstrating the displeasure of various
    6
    (...continued)
    evidence that the speech was disruptive, nor that the defendants
    believed it would have future disruptive consequences. See 
    id.
    The case turned on a failure of proof. Moreover, we emphasized
    that the manner and means of the employee’s speech is critical.
    See id. at 912 (noting the significance of the fact that the complain-
    ing officers properly took their concerns up the chain of com-
    mand). In this case, the public manner and means of Mr. Wil-
    liams’ speech was inappropriate, and the speech clearly had a
    significant disruptive impact within the police department.
    14                                                  No. 02-1231
    individuals with Mr. Williams’ public statement. Moreover,
    Mr. Williams’ comment created significant unrest in the law
    enforcement community, almost enough to precipitate his
    expulsion from the F.O.P. See R.80, Ex.Lauck Aff. at ¶ 3;
    Tedder v. Norman, 
    167 F.3d 1213
    , 1215 (8th Cir. 1999) (hold-
    ing that deposition testimony of deputy director of police
    training academy, which upset crucial business relation-
    ships with other law enforcement agencies, was significant
    in Pickering analysis); Tyler, 
    72 F.3d at 570
     (noting signifi-
    cance of negative impact on interagency relationships
    caused by employee’s speech).
    Additionally, as Assistant Chief of Police, Mr. Williams
    was charged with oversight of security at the Dickens trial.
    See R.76, Ex.Williams Dep. at 100 (Mr. Williams stating that
    his official role at the Dickens trial as Assistant Chief of
    Police was to be “in charge of people who worked in the
    courthouse and [to provide] security for the courthouse. I
    was in charge of the jail where he was housed.”); R.76,
    Ex.Seniff Dep. at 79 (stating that a captain was primarily
    responsible for courtroom security at the Dickens trial, but
    that if there were any problems the Assistant Chief, Wil-
    liams, would be the next in line in the organizational chart
    to address security issues). Given his relationship to the
    judicial proceedings as the Assistant Chief of Police respon-
    sible for security at a trial, there was a significant govern-
    mental interest in Mr. Williams’ refraining from impugning
    the validity of the jury verdict to the press during or shortly
    7
    after the trial.
    7
    We note that the record does not provide the exact timing or
    circumstances of Mr. Williams’ comment. See R.75, Ex.Alan Lieb
    Dep. at 61-62 (stating that in television report the caption read
    only “Norval Williams” and did not identify him as a police
    (continued...)
    No. 02-1231                                                      15
    These considerations make clear that any limited interest
    in commenting on the verdict at trial that Mr. Williams may
    have possessed was outweighed by the considerations of the
    police department in maintaining appropriate order and
    discipline. Consequently, Mr. Williams did not have a
    protected First Amendment right to make his statement to
    the press. Therefore, Sheriff Seniff and Chief Waugh could
    not be liable for violating Mr. Williams’ First Amendment
    rights. This conclusion is equally applicable to the remain-
    ing First Amendment claims against Mr. Toth, Mr. Lauck
    and the Merit Board members.
    2. Existence of Conspiracy
    Liability under § 1985 must be predicated on a finding
    that two or more people agreed to violate the plaintiff’s civil
    rights. See 
    42 U.S.C. § 1985
    (3). Upon examination of the
    record, we must conclude that Mr. Williams has not pro-
    duced sufficient evidence of a conspiracy to violate any of
    8
    his federally protected rights.
    7
    (...continued)
    department spokesman, nor was Mr. Williams wearing his
    uniform); R.80, Ex.Toth Declaration at ¶ 7 (stating that comment
    in the media was made “at the time of the trial”); R.1 at 4 (Mr.
    Williams’ complaint stating that his comment was made
    “concerning the verdict” in the Dickens case).
    8
    In addition to Mr. Williams’ claims that the defendants
    conspired to deprive him of his First Amendment rights in
    violation of 
    42 U.S.C. § 1985
    , his complaint also alleges violations
    of § 1985 based on the deprivation of his Due Process and Equal
    Protection rights.
    Moreover, Mr. Lauck and Mr. Toth are alleged to have violated
    
    42 U.S.C. § 1983
    ; but they were not in a position to fire Mr.
    (continued...)
    16                                                     No. 02-1231
    We begin our appraisal of Mr. Williams’ conspiracy claim
    by noting that our case law makes clear that:
    To establish § 1983 liability through a conspiracy theory,
    a plaintiff must demonstrate that: (1) a state official and
    private individual(s) reached an understanding to
    deprive the plaintiff of his constitutional rights, Starnes
    [v. Capital Cities Media, Inc., 
    39 F.3d 1394
    , 1397 (7th Cir.
    1994)]; and (2) those individual(s) were “willful
    participant[s] in joint activity with the State or its
    agents.” Adickes [v. S.H. Kress & Co., 
    398 U.S. 144
    , 152
    (1970) (internal quotation marks and citation omitted)].
    Fries v. Helsper, 
    146 F.3d 452
    , 457 (7th Cir. 1998). Although
    a conspiracy certainly may be established by circumstantial
    evidence, we have stressed that such evidence cannot be
    speculative. For instance, in Goetzke v. Ferro Corp., 
    280 F.3d 766
     (7th Cir. 2002), we concluded that the existence of
    numerous phone calls between alleged conspirators,
    “standing alone, merely proves that [the individuals]
    remained in contact. . . . To assert that the calls are evidence
    of a conspiracy is simply speculation.” 
    Id. at 778
    . Although
    a nonmoving party’s own deposition may constitute
    affirmative evidence to defeat summary judgment,
    conclusory statements in the deposition do not create an
    8
    (...continued)
    Williams, so any liability must be based on the theory that their
    participation in the alleged conspiracy violated § 1983. See Dennis
    v. Sparks, 
    449 U.S. 24
    , 28-29 (1980) (noting that “[p]rivate parties
    who corruptly conspire with a judge in connection with such
    conduct are thus acting under color of state law within the
    meaning of § 1983 . . . .”); Tarkowski v. Robert Bartlett Realty Co.,
    
    644 F.2d 1204
    , 1206 (7th Cir. 1980) (concluding that private parties
    may be liable under 
    42 U.S.C. § 1983
     for jointly engaging with
    public officials in the denial of civil rights).
    No. 02-1231                                                     17
    issue of fact. See Mills v. First Fed. Sav. & Loan Ass’n of
    Belvidere, 
    83 F.3d 833
    , 843 (7th Cir. 1996). In Johnson v. Uni-
    versity of Wisconsin-Eau Claire, 
    70 F.3d 469
    , 482 (7th Cir.
    1995), we noted that the plaintiff had “not offered evidence
    to rebut the [defendant’s] claim that [the defendant’s]
    decision was based on [] legitimate factors, since [] unsup-
    ported conjecture is not competent evidence in this regard.”
    We must conclude that Mr. Williams has not introduced
    evidence to support his assertions of a conspiracy. He relies
    upon expressions of displeasure by various public officials
    with his public statement and his unsupported conjecture
    that this statement created a conspiracy to fire him for
    exercising his right to free speech. Mr. Williams’ “smoking
    gun” is Sheriff Seniff’s statement in the termination hearing:
    I think you have strained relations with the prosecutors
    [sic] office, with the South Bend Police Department and
    with a lot of the public. You’ve damaged relationships.
    I told you before I got calls from the mayor’s [sic] office,
    I got calls from the Chief of Police, I got calls from the
    FOP, I got calls from the Prosecutors [sic] Office. Yes, I
    think you are straining relations.
    R.39, Ex.1 at 3. This statement indicates that various individ-
    uals expressed displeasure with Mr. Williams’ statement; it
    does not provide evidence of an agreement on the part of
    those who expressed the displeasure to deprive Mr. Wil-
    liams of his rights.
    As additional evidence of Mr. Toth’s participation in the
    alleged conspiracy, Mr. Williams introduced the deposition
    testimony of Alan Lieb, an acquaintance and political
    supporter of Mr. Toth. Lieb stated that he had called Mr.
    Toth and said, “Chris, [] I can’t believe you’re involved with
    this case. . . . I’d like to see what I can do, if there’s anything
    I can do to get you out of this.” R.75, Ex.Alan Lieb Dep. at
    59. To which Mr. Toth responded, “There’s nothing you can
    18                                                   No. 02-1231
    do. I’m right in the middle of it.” 
    Id.
     Lieb testified that Mr.
    Toth told him a number of people had called him to com-
    plain about Mr. Williams’ comment in the media. See id. at
    60. Lieb also stated that Mr. Toth indicated that he was
    “involved in the termination of employment.” Id. at 66-68.
    However, Lieb had trouble remembering Mr. Toth’s exact
    words. When initially asked whether the “involvement”
    could have been simply a complaint to Sheriff Seniff, Lieb
    responded, “No, not when there’s a termination involved,
    no. No. Absolutely not.” Id. at 66. However, Lieb ultimately
    admitted that the level of involvement “very possibl[y]”
    could have referred only to Mr. Toth’s call to Sheriff Seniff
    to complain about Mr. Williams’ comment. Id. at 67-68.
    Additionally, Lieb admitted that Mr. Toth did not elaborate
    on the level of his “involvement.” Id. at 68. This vacillating
    testimony only confirms that Mr. Toth was involved in the
    events surrounding Mr. Williams’ termination, and Mr.
    Toth readily admitted that he had complained to Sheriff
    Seniff about Mr. Williams’ statement. We cannot say,
    however, that this testimony constitutes evidence from
    which a conspiracy may be inferred. Accordingly, the
    district court’s grant of summary judgment in favor of Mr.
    Lauck and Mr. Toth on all § 1985 claims and on all § 1983
    claims based on participation in a conspiracy was appropri-
    9
    ate.
    9
    We note that the district court granted Mr. Toth’s motion to
    dismiss Mr. Williams’ claims against him in his official capacity
    pursuant to Federal Rule of Civil Procedure 12(b)(6), reasoning
    that, in enacting 
    42 U.S.C. § 1983
    , Congress did not overturn the
    states’ Eleventh Amendment immunity. See R.41 at 20 (citing
    Quern v. Jordan, 
    440 U.S. 332
    , 345 (1979)). The district court held
    that prosecuting attorneys in Indiana are state officials, preclud-
    ing suit against them in their official capacity under the Eleventh
    (continued...)
    No. 02-1231                                                     19
    B. Due Process
    Mr. Williams contends that the district court erred in
    granting summary judgment and motions to dismiss
    pursuant to Rule 12(b)(6) in favor of the defendants on his
    10
    claims that he was denied due process. In reviewing a
    procedural due process claim, we conduct a two-part
    inquiry, asking: “(1) whether the defendants deprived the
    plaintiffs of a constitutionally protected liberty or property
    interest; and (2) if so, whether that deprivation occurred
    without due process of law.” Doe v. Heck, 
    327 F.3d 492
    , 526
    (7th Cir. 2003) (citing Zinermon v. Burch, 
    494 U.S. 113
    , 125
    (1990)). Property interests are not created by the Constitu-
    tion; they are established by state law. See Moore v. Muncie
    Police & Fire Merit Comm’n, 
    312 F.3d 322
    , 326 (7th Cir. 2002).
    Mr. Williams was a county police officer in St. Joseph
    County, Indiana. The Indiana Code provides that “[a]ll
    county police officers appointed to the department under
    this chapter are on probation for a period of one (1) year
    from the date of appointment.” Ind. Stat. 36-8-10-10(b). The
    Code also provides that the sheriff may dismiss an officer
    on probation without a hearing. See Ind. Stat. 36-8-10-11(d).
    Mr. Williams entered on duty on January 1, 1999; he was
    fired on August 4, 1999, within the first year of his employ-
    ment. Consequently, he was a probationary employee when
    he was terminated. Therefore, the district court properly
    9
    (...continued)
    Amendment. See id. at 20-21.
    10
    The district court treated the individual capacity claims against
    the Merit Board members under a quasi-judicial absolute
    immunity analysis and concluded that they were entitled to
    absolute immunity for the exercise of judicial discretion. Because
    we have determined that there was no constitutional violation,
    we need not address further the issue of immunity.
    20                                                    No. 02-1231
    determined that Mr. Williams did not have a protected
    property interest in continued employment because of his
    at-will status. See Phegley v. Indiana Dep’t of Highways, 
    564 N.E.2d 291
    , 295 (Ind. Ct. App. 1990) (stating “[a]s a general
    rule, an employee at will has no property interest in further
    employment”); Indiana Alcoholic Beverage Comm’n v. Gault,
    
    405 N.E.2d 585
    , 589 (Ind. Ct. App. 1980) (stating that in
    Indiana an at-will government employee has no property
    interest in continued employment and is not entitled to
    procedural protections); see also Moulton v. Vigo County, 
    150 F.3d 801
    , 804 (7th Cir. 1998) (citing Gault, 
    405 N.E.2d at 589
    ).
    We also note that the record will not support a determina-
    tion that Mr. Williams was deprived of any liberty interest
    in pursuing his chosen occupation; there is no evidence that
    Mr. Williams was blacklisted from obtaining a comparable
    position after his termination. See Trejo v. Shoben, 
    319 F.3d 878
    , 889 (7th Cir. 2003) (requiring that discharge have the
    effect of blacklisting an employee before liberty interest in
    continued employment in his chosen field is infringed);
    Townsend v. Vallas, 
    256 F.3d 661
    , 670 (7th Cir. 2001) (stating
    that an infringement of an employee’s liberty interest to
    pursue the occupation of his choice requires public disclo-
    sure of a stigmatization by the defendant’s conduct result-
    11
    ing in a tangible loss of employment opportunities).
    11
    Mr. Williams also contends that the Merit Board members and
    Chief Waugh violated his procedural due process rights by
    failing to accord him a hearing before he was deprived of his
    fundamental interest in free speech protected by the First
    Amendment. We decline to address this unsettled issue because
    we already have concluded that Mr. Williams’ comment was not
    protected under the Pickering test. See Waters v. Churchill, 
    511 U.S. 661
    , 668-71 (1994) (plurality opinion); 
    Id. at 686-89
     (Scalia, J.,
    concurring). See also 3 Ronald D. Rotunda & John E. Nowak,
    Treatise on Constitutional Law: Substance and Procedure § 17.4, at 54
    (continued...)
    No. 02-1231                                                21
    C. Equal Protection
    Count III of Mr. Williams’ complaint alleges that the
    defendants, individually and in their official capacities,
    violated 
    42 U.S.C. §§ 1983
     and 1985 based on disparate
    treatment and the creation of a hostile work environment in
    violation of the Equal Protection Clause of the Fourteenth
    Amendment. See R.1 at 12-16. Mr. Williams can prevail on
    his equal protection claim by offering direct proof of
    discriminatory intent, or he may prove discriminatory intent
    by circumstantial evidence. In the employment context, the
    latter approach is usually accomplished through the use of
    the burden-shifting paradigm of McDonnell Douglas Corp. v.
    Green, 
    411 U.S. 792
     (1973). See Helland v. South Bend Cmty.
    Sch. Corp., 
    93 F.3d 327
    , 329 (7th Cir. 1996); Bruno v. City of
    Crown Point, 
    950 F.2d 355
    , 361 (7th Cir. 1991). Under the
    McDonnell Douglas approach, “the plaintiff first must
    establish by a preponderance of the evidence a prima facie
    case of discrimination, which creates a presumption that the
    employer unlawfully discriminated against the plaintiff.”
    Helland, 
    93 F.3d at 329
    . Once a plaintiff establishes a prima
    facie case, the burden shifts to the employer to produce
    evidence of a legitimate, nondiscriminatory reason for the
    action alleged by the plaintiff to be discriminatory. See
    Helland, 
    93 F.3d at 329
    . Once the employer has shouldered
    its burden of production, the plaintiff then must establish by
    a preponderance of the evidence that the proffered reasons
    for the alleged discriminatory action are pretextual. See
    Bruno, 950 F.2d at 363 (citing Texas Dep’t of Cmty. Affairs v.
    Burdine, 
    450 U.S. 248
    , 252-53 (1981)).
    As in most cases of discrimination in the employment
    11
    (...continued)
    (3d. ed. 1999); Henry P. Monaghan, First Amendment “Due
    Process,” 
    83 Harv. L. Rev. 518
    , 525 (1970).
    22                                                    No. 02-1231
    context, Mr. Williams does not make out a case of discrimi-
    natory intent through reliance on direct evidence of discrim-
    inatory intent. We therefore turn to the indirect method
    outlined in McDonnell Douglas to ascertain whether he has
    established a case through circumstantial evidence. To
    establish the basic prima facie case of an equal protection
    violation, Mr. Williams must demonstrate that (1) he is a
    member of a protected class, (2) he is similarly situated to
    members of the unprotected class, (3) he suffered an adverse
    employment action, and (4) he was treated differently from
    members of the protected class. To this formulation, some
    of our cases add independently a fifth criterion: that the
    12
    defendant acted with discriminatory intent —although
    13
    such an addition is really a redundancy.
    12
    See McPhaul v. Bd. of Comm’rs of Madison County, 
    226 F.3d 558
    ,
    564 (7th Cir. 2000); McNabola v. Chicago Transit Auth., 
    10 F.3d 501
    ,
    513 (7th Cir. 1993).
    13
    Our cases make clear that the same standards for proving
    intentional discrimination apply to Title VII and § 1983 equal
    protection. See Helland v. South Bend Cmty. Sch. Corp., 
    93 F.3d 327
    ,
    329 (7th Cir. 1996) (analyzing Title VII and equal protection
    simultaneously and applying McDonnell Douglas burden shifting
    to prove indirect evidence of intent); Bruno v. City of Crown Point,
    
    950 F.2d 355
    , 361 & 363 (7th Cir. 1991) (same); Friedel v. City of
    Madison, 
    832 F.2d 965
    , 971-72 (7th Cir. 1987) (same); see also St.
    Mary’s Honor Ctr. v. Hicks, 
    509 U.S. 502
    , 506 n.1 (1993) (assuming
    that the Title VII McDonnell Douglas framework is fully applicable
    to racial discrimination claims under § 1983).
    Although, under Title VII, the prima facie case under
    McDonnell Douglas constitutes a rebuttable presumption of
    discriminatory intent, a number of this court’s cases nevertheless
    indicate that a separate showing of intent is required to meet
    one’s equal protection prima facie burden before proceeding to
    the McDonnell Douglas burden shifting. See Chavez v. Illinois State
    (continued...)
    No. 02-1231                                                      23
    Upon examination of the record, we must conclude that
    Mr. Williams has not provided evidence sufficient to
    withstand summary judgment. First, Mr. Williams has not
    identified a similarly situated administrator of the unpro-
    tected class who was treated more favorably. See McPhaul v.
    Bd. of Comm’rs of Madison County, 
    226 F.3d 558
    , 565 (7th Cir.
    2000). Mr. Williams assumes that the relevant similarly
    situated class would be all administrative officers in the
    sheriff’s department. However, he has provided no evidence
    that his performance was satisfactory other than his own
    statements to that effect. In contrast, Sheriff Seniff has
    presented a number of nondiscriminatory bases for his
    decision to terminate Mr. Williams, including Mr. Williams’
    disagreement with the Sheriff’s negative assessment of his
    job performance at the August 4, 1999 performance evalua-
    tion and Mr. Williams’ refusal to submit to a polygraph
    exam. See R.80, Ex.Seniff Aff. at 2-3. Sheriff Seniff’s criti-
    cisms of Mr. Williams’ performance included displeasure
    with Mr. Williams’ lack of punctuality, poor communication
    skills, strained relationships with other agencies, and failure
    to reduce the jail population, a task with which he had been
    13
    (...continued)
    Police, 
    251 F.3d 612
    , 635-36 (7th Cir. 2001) (dividing equal
    protection analysis into a two-part analysis of first proving
    discriminatory effect (analogous to Title VII prima facie case
    factors) and then requiring proof of discriminatory purpose);
    McPhaul, 
    226 F.3d at 564
     (listing proof of intent as an element of
    prima facie case); Greer v. Amesqua, 
    212 F.3d 358
    , 370 (7th Cir.
    2000) (same); McNabola, 
    10 F.3d at 513
     (same). We think that these
    latter cases are best read as simply emphasizing the requirement
    that § 1983, like disparate treatment cases under Title VII, require
    ultimately proof of discriminatory intent.
    24                                                   No. 02-1231
    14
    charged. See R.39; R.76, Ex.Williams Dep. at Ex.B. Mr.
    Williams’ only evidence contradicting Sheriff Seniff’s
    evaluation of his performance is his own deposition. Mr.
    Williams contends that the Sheriff’s negative evaluation of
    his performance was factually incorrect. Mr. Williams seeks
    to rebut charges by citing selected examples of the Sheriff’s
    complaints and arguing that they are pretextual. See Appel-
    lant’s Br. at 24-25 (contesting evaluation of strained relation-
    ships, poor communication skills, failure to attend early
    morning meetings, and failure to accomplish assigned
    tasks).
    We have stated that generally, “[a]n employee’s self-
    serving statements about his ability . . . are insufficient to
    contradict an employer’s negative assessment of that
    ability.” Gustovich v. AT&T Communications, Inc., 
    972 F.2d 845
    , 848 (7th Cir. 1992); see also Jackson v. E.J. Brach Corp., 
    176 F.3d 971
    , 985 (7th Cir. 1999) (quoting Gustovich). However,
    we recently clarified this principle by noting explicitly that
    it is not the mere self-serving nature of a nonmovant’s
    affidavit that renders such evidence infirm. Rather, it is the
    absence of personal knowledge or the failure to set forth
    14
    Sheriff Seniff’s written performance evaluation of Mr. Wil-
    liams, dated July 30, 1999, evaluated Mr. Williams’ performance
    in nine categories and gave him an overall rating of “unsatisfac-
    tory.” R.76, Ex.Williams Dep. at Ex.B. Mr. Williams received a
    “needs improvement” evaluation in the areas of: communica-
    tions, dependability, judgment, problem solving, and quality.
    See 
    id.
     Mr. Williams received an “unsatisfactory” rating for:
    cooperation, initiative, job knowledge, as well as planning and
    organization. See 
    id.
     The Sheriff’s review was detailed and
    emphasized that Mr. Williams created friction and strained
    relationships with other municipal agencies, that his tardiness
    was a consistent problem, and that the management team lacked
    confidence in his ability. See 
    id.
    No. 02-1231                                                   25
    “specific facts” as required by Rule 56(e) of the Federal
    Rules of Civil Procedure that is problematic. See Payne v.
    Pauley, 02-2674, 
    2003 WL 21540424
    , at *4-5 (7th Cir. July 9,
    2003). Here, a review of the record demonstrates that,
    although Mr. Williams disputes the factual basis for some of
    the Sheriff’s complaints about his performance, he has
    produced insufficient evidence to permit a jury to conclude
    that the Sheriff’s estimation of his overall performance was
    pretextual. Because Mr. Williams has produced insufficient
    evidence to create a material dispute regarding Sheriff
    Seniff’s nondiscriminatory explanations for firing him, the
    appropriate class for comparison would be
    underperforming administrative officers. When evaluated
    from this perspective, the record does not contain sufficient
    evidence to support a contention that unprotected adminis-
    trators with deficient performance evaluations were treated
    more favorably than Mr. Williams.
    Indeed, the same evidence leaves undisturbed Sheriff
    Seniff’s assertion that he terminated Mr. Williams for the
    nondiscriminatory reason of poor performance. Mr. Wil-
    liams’ assertion that he heard a rumor that Sheriff Seniff had
    uttered racial slurs impugning African-Americans at some
    point in the past does not alter this analysis. See R.76,
    Ex.Williams Dep. at 41. Such isolated and attenuated
    statements are insufficient to establish discriminatory intent
    in this case. See Geier v. Medtronic, Inc., 
    99 F.3d 238
    , 242 (7th
    Cir. 1996) (“To be probative of discrimination, isolated
    comments must be contemporaneous with the discharge or
    causally related to the discharge decision making process.”).
    Mr. Williams also testified that Sheriff Seniff failed to hire
    minorities recommended by Mr. Williams, see R.76,
    Ex.Williams Dep. at 43 & 65, that he was excluded from
    input in the hiring process, see id. at 44, and that he was
    26                                                    No. 02-1231
    15
    excluded from social activities, see id. at 63-64. These
    assertions could hardly sustain a jury verdict that Sheriff
    Seniff terminated Mr. Williams because of his race.
    Mr. Williams also notes that, after his termination, Mr.
    Lauck allegedly made a racially derogatory statement and
    commented that he was pleased to learn of Mr. Williams’
    termination. See R.76, Ex.Tracy Lieb Dep. at 21. Mr. Wil-
    liams contends that this statement proves that Mr. Lauck
    acted with racial animus in calling Sheriff Seniff and
    attempting to influence him to terminate Mr. Williams.
    However, we have held that, if a person “not involved in
    the decisionmaking . . . expressed discriminatory feelings,
    that is not evidence that the decision was discriminatory.”
    Gorence v. Eagle Food Ctrs., Inc., 
    242 F.3d 759
    , 762 (7th Cir.
    2001). In Gorence, we did qualify this principle by noting
    that those who provide input into the decision can under
    some circumstances provide evidence of discriminatory
    intent. See 
    id.
     However, in this case, Sheriff Seniff has
    stated by affidavit that he alone made the decision to
    terminate Mr. Williams. See R.80, Ex.Seniff Aff. at ¶ 15. Mr.
    Lauck’s affidavit simply states that he had a conversation
    with the Sheriff in which Sheriff Seniff stated that he had
    heard the F.O.P. was displeased with Mr. Williams’ com-
    ment, a fact that Mr. Lauck confirmed. See R.80, Ex.Lauck
    15
    Mr. Williams also notes that, prior to his evaluation, there was
    no history of performance reviews being conducted in the
    sheriff’s department. See R.76, Ex.Williams Dep. at 82-83.
    However, Sheriff Seniff was newly elected and had taken office
    in January of 1999. He explained that he decided it would be
    appropriate to begin with the most problematic employee, Mr.
    Williams. See R.76, Ex.Seniff Dep. at 84. Sheriff Seniff stated that,
    after Mr. Williams’ performance review, all other administrators
    were given reviews. See id. at 113-14. Mr. Williams has failed to
    present any evidence rebutting this contention.
    No. 02-1231                                                   27
    Aff. at ¶ 5. Mr. Lauck testified that he and Sheriff Seniff
    did not discuss the issue of Mr. Williams’ employment. See
    id. at ¶ 6. Mr. Williams has produced no evidence that Mr.
    Lauck’s call influenced Sheriff Seniff’s decision to terminate
    Mr. Williams. We therefore cannot conclude that the alleged
    racially derogatory remark supports Mr. Williams’ claim of
    discriminatory intent. Therefore, Mr. Williams has provided
    insufficient evidence to establish his prima facie case. His
    claim for disparate treatment was correctly dismissed by the
    district court.
    Finally, the district court correctly rejected Mr. Williams’
    contention that the defendants are liable for creating a
    racially hostile work environment. Mr. Williams’ own
    deposition testimony fundamentally undercuts his claim
    that he objectively and subjectively endured a hostile work
    environment. See McPhaul, 
    226 F.3d at
    566 n.6 (noting
    parallel between equal protection and Title VII “hostile
    environment” claims and applying same standard). Mr.
    Williams admits that Sheriff Seniff never said anything
    racist about him, that Sheriff Seniff never “disrespected”
    him, and that Sheriff Seniff never made comments to Mr.
    Williams with racial overtones. See R.76, Ex.Williams Dep.
    at 42-43. Nor has Mr. Williams introduced evidence that
    other members of the police department uttered racially
    derogatory comments directed at him, contributing to a
    hostile work environment. Additionally, we do not find that
    Mr. Williams’ testimony of exclusion from social activities
    and from the hiring process is sufficient to support a hostile
    16
    work environment claim. We therefore cannot conclude
    that Mr. Williams has presented sufficient evidence that his
    16
    Additionally, in his deposition, Mr. Williams admitted that Mr.
    Lauck played no role in creating the alleged hostile work
    environment. See R.80, Ex.Williams Dep. at 201-02.
    28                                                     No. 02-1231
    workplace approached the level of a hostile environment by
    being “ ’so severe or pervasive as to alter the conditions of
    [his] employment and create an abusive working environ-
    ment.’ ” Conley v. Vill. of Bedford Park, 
    215 F.3d 703
    , 713 (7th
    Cir. 2000) (quoting Faragher v. City of Boca Raton, 
    524 U.S. 775
    , 786 (1998)).
    D. Title VII
    Mr. Williams alleges that the actions of Sheriff Seniff as an
    agent of St. Joseph County and Mr. Lauck as an agent of the
    F.O.P., serving as his labor union, amounted to disparate
    treatment and created a hostile work environment based on
    his race in violation of Title VII. As noted above, our Title
    VII and equal protection hostile work environment analyses
    are parallel. See McPhaul, 
    226 F.3d at
    566 n.6. Under the
    equal protection analysis, we found that Mr. Williams had
    not introduced evidence sufficient to carry his burden of
    proving either disparate treatment or a hostile work envi-
    ronment. That conclusion is equally applicable under Title
    VII. See 
    id.
    E. Tortious Interference with a Contractual Relationship
    17
    In his initial complaint,        Mr. Williams included a fifth
    17
    Mr. Williams’ proposed First Amended Complaint sought to
    add a claim entitled “Interference with Contract of Employment,”
    R.51, Complaint at 27-28, which explicitly alleged all require-
    (continued...)
    No. 02-1231                                                      29
    count entitled “Breach of Contract and Wrongful Termina-
    tion.” R.1 at 22. The claim named all “Defendants” collec-
    tively, which included Mr. Lauck and Mr. Toth by reference.
    See id. at 25. The district court construed this claim as one
    for breach of contract and granted Mr. Lauck’s and Mr.
    Toth’s Rule 12(b)(6) motions to dismiss for failure to state a
    claim, concluding that they were not in privity with Mr.
    Williams concerning his employment contract. See R.41 at
    11-12 & 25-26. In his response to the motions to dismiss, Mr.
    Williams had attempted to clarify that he had intended to
    claim a violation of tortious interference with his contractual
    relationship, which does not require privity. However, the
    district court rejected this attempt and stated that a com-
    plaint may not be amended by a brief in opposition to a
    motion to dismiss. See id. at 11.
    This court reviews de novo a district court’s decision to
    grant a motion to dismiss under Federal Rule of Civil
    Procedure 12(b)(6). Gastineau v. Fleet Mortgage Corp., 
    137 F.3d 490
    , 493 (7th Cir. 1998). Pursuant to the notice pleading
    regime of Federal Rule of Civil Procedure 8(a), Mr. Wil-
    liams’ complaint must only allege facts upon which relief
    may be granted. “[T]he complaint need not identify a legal
    theory, and specifying an incorrect theory is not fatal.”
    17
    (...continued)
    ments for tortious interference with a contractual relationship.
    However, the district court rejected Mr. Williams’ motion for
    leave to amend his complaint, because the proposed amendment
    contained references to previously dismissed claims. See R.58 at
    2. Mr. Williams claims that the district court abused its discretion
    in failing to grant him leave to amend the complaint. Because we
    find that Mr. Williams’ initial complaint was sufficient to state a
    claim under Federal Rule of Civil Procedure 8(a), the issue of
    whether leave to amend the complaint should have been granted
    is moot.
    30                                                 No. 02-1231
    Bartholet v. Reishauer A.G. (Zürich), 
    953 F.2d 1073
    , 1078 (7th
    Cir. 1992). The district court concluded that, “because the
    complaint doesn’t allege privity of contract between Mr.
    Williams and Mr. Lauck,” Mr. Williams did not allege facts
    sufficient to prove a breach of contract or wrongful dis-
    18
    charge. See R.41 at 11-12. The district court essentially
    required Mr. Williams to match his factual allegations to the
    legal theories set out in the caption to Count V: “Breach of
    Contract or Wrongful Discharge.” This is an incorrect
    application of the notice pleading regime. See Swierkiewicz
    v. Sorema N.A., 
    534 U.S. 506
    , 513 (2002) (stating that the
    simplified notice pleading standard of Fed. R. Civ. P. 8(a)
    applies to all civil actions, with limited exceptions such as
    fraud and mistake outlined in Fed. R. Civ. P. 9(b)); Hoskins
    v. Poelstra, 
    320 F.3d 761
    , 764 (7th Cir. 2003) (“Federal
    practice uses a notice-pleading system, not a code-pleading
    system.”); Bartholet, 
    953 F.2d at 1078
     (stating that a court
    should ask “whether relief is possible under any set of facts
    that could be established consistent with the allegations”).
    Mr. Williams intended to proceed against Mr. Lauck and
    Mr. Toth on a theory of tortious interference with a contrac-
    tual relationship, which consists of five elements under
    Indiana law: “1) existence of a valid and enforceable
    contract, 2) defendant’s knowledge of the contract’s exis-
    tence, 3) defendant’s intentional inducement of breach of
    contract, 4) the absence of justification, and 5) damages
    resulting from defendant’s wrongful inducement of breach.”
    Keith v. Mendus, 
    661 N.E.2d 26
    , 36 (Ind. Ct. App. 1996); see
    Bochnowski v. Peoples Fed. Sav. & Loan Ass’n, 
    571 N.E.2d 282
    ,
    284-85 (Ind. 1991) (concluding that a claim for tortious
    18
    The court first addressed Mr. Lauck’s liability under the fifth
    count and then applied the analysis equally to Mr. Toth later in
    the opinion. See R.41 at 11-12 & 25-26.
    No. 02-1231                                                       31
    interference with an employment relationship may be
    maintained on a contract terminable at will); Bradley v. Hall,
    19
    
    720 N.E.2d 747
    , 751 (Ind. Ct. App. 1999) (same). Mr.
    Williams’ initial complaint pleaded facts sufficient to
    support a claim for recovery under this theory against Mr.
    Lauck and Mr. Toth. The district court’s requirement of
    privity of contract was inappropriate and the grant of Mr.
    Lauck’s Rule 12(b)(6) motion, being premised on a mistake
    of law, constituted an abuse of discretion.
    We do not believe, however, that this misstep requires
    reversal of the judgment. As we shall explain in the follow-
    ing paragraphs, the record makes clear that this claim for
    tortious interference with a contractual relationship could
    not survive summary judgment. See Edwards v. Illinois Bd. of
    19
    We note that Mr. Williams’ briefs refer to two different tort
    claims under Indiana law: interference with a contractual
    relationship and interference with an employment relationship.
    See Appellant’s Br. at 8-9 (referring to claims of “contractual
    interference and interference with employment relationships”);
    Williams Reply Br. at 19 (referring to a theory of “tortious
    interference with employment”); see also 27 Indiana Law Encycl.,
    Torts § 28, at 616-21 (1999) (noting differences between torts of
    intentional interference with a contract and intentional interfer-
    ence with a prospective business relationship). However, the
    principal case upon which Mr. Williams relies, Keith v. Mendus,
    
    661 N.E.2d 26
     (Ind. Ct. App. 1996), outlines the standard for
    tortious interference with a contractual relationship. See 
    id. at 36
    .
    The Indiana Court of Appeals has held that intentional interfer-
    ence with an employment relationship requires the additional
    showing that the defendant engaged in illegal conduct. See Levee
    v. Beeching, 
    729 N.E.2d 215
    , 222 (Ind. Ct. App. 2000). Mr. Williams
    does not refer to the illegality element; we therefore construe his
    claim as one of tortious interference with a contractual relation-
    ship.
    32                                                No. 02-1231
    Admissions to the Bar, 
    261 F.3d 723
    , 728 (7th Cir. 2001)
    (noting that court of appeals may affirm on any ground
    supported by the record). Mr. Williams must come forth
    with credible evidence on all matters upon which he bears
    the burden of proof at trial, see Celotex Corp. v. Catrett, 
    477 U.S. 317
    , 322-23 (1986), and he has failed to do so in regard
    to the third and fifth elements of the cause of action:
    intentional inducement of a breach of contract and damages.
    Under Indiana law, “[l]iability for interference with
    contractual relationships results only if there was an
    intentional interference without justification or cause with
    an intention to do wrongful harm or injury.” Helvey v.
    O’Neill, 
    288 N.E.2d 553
    , 559 (Ind. Ct. App. 1972); see Winkler
    v. V.G. Reed & Sons, Inc., 
    638 N.E.2d 1228
    , 1233 (Ind. 1994)
    (stating that intentional interference with a contract “in-
    cludes any intentional, unjustified interference by third
    parties with an employment contract”). Mr. Williams’ proof
    that Mr. Lauck intentionally induced a breach of contract
    amounts to nothing more than the previously discussed
    testimony that Mr. Lauck voiced the F.O.P.’s displeasure
    with Mr. Williams’ statement in the media to Sheriff Seniff,
    see R.80, Ex.Lauck Aff. at ¶ 5, Mr. Williams’ “internal
    suspicions” that this expression of displeasure was the
    reason for his termination, R.80, Ex.Williams Dep. at 199;
    and Mr. Lauck’s racially derogatory statement about Mr.
    Williams, see R.76, Ex.Tracy Lieb Dep. at 21. With respect to
    the claim against Mr. Toth, the evidence simply establishes
    that Mr. Toth called Sheriff Seniff to complain, for we have
    determined that Alan Lieb’s testimony that Mr. Toth was
    “involved with the termination” is not sufficient evidence
    from which to infer Mr. Toth’s participation in the alleged
    conspiracy to influence the Sheriff’s termination decision.
    Moreover, Sheriff Seniff’s affidavit testimony that he alone
    made the decision to terminate Mr. Williams is uncontra-
    dicted. See R.80, Ex.Seniff Aff. at ¶ 15. We cannot conclude
    No. 02-1231                                                 33
    that this evidence is sufficient to support a finding of an
    intentional inducement of the breach of an employment
    contract.
    More fundamentally, Mr. Williams has failed to rebut
    Sheriff Seniff’s explanations for his discharge. This failure
    results in a lack of evidence that Mr. Williams incurred
    “damages resulting from [Mr. Lauck and Mr. Toth’s]
    wrongful inducement of breach.” Keith, 
    661 N.E.2d at 36
    .
    Assuming that Mr. Lauck and Mr. Toth intentionally
    attempted to induce Sheriff Seniff to fire Mr. Williams, there
    still would be no “but for” causation because Mr. Williams
    has failed to rebut Sheriff Seniff’s nondiscriminatory reasons
    for firing him.
    In affirming the judgment on this claim by concluding it
    could not survive summary judgment, we are mindful of
    the problems that may arise if the plaintiff has not been
    accorded sufficient opportunity to conduct discovery on the
    previously dismissed claim. However, because the district
    court did not dismiss all of Mr. Williams’ § 1983, § 1985 and
    Title VII claims on the pleadings, Mr. Williams had the
    opportunity to conduct discovery on the issues of intent and
    damages. Therefore, we cannot conclude that Mr. Williams
    is prejudiced by our alternative resolution of the issue.
    We also note that Mr. Williams’ fifth count is a pendent
    state law tort claim. In Payne for Hicks v. Churchich, 
    161 F.3d 1030
     (1998), we stated that, when the district court dismisses
    all federal claims before trial, “the usual and preferred
    course is to remand the state claims to the state court unless
    there are countervailing considerations.” 
    Id. at 1043
    . These
    exceptions include: running of the state law cause of action’s
    statute of limitations and cases where “sending the case to
    another court will cause a substantial duplication of effort.”
    Moses v. County of Kenosha, 
    826 F.2d 708
    , 710-11 (7th Cir.
    1987) (quotation marks and citation omitted). In this case,
    34                                                No. 02-1231
    discovery has been completed, and a transfer to state court
    would not permit Mr. Williams to uncover additional facts
    to support his claim. Consequently, we dismiss the claim
    with prejudice.
    F. Sanctions and Damages
    Mr. Lauck has filed a motion for sanctions and costs
    pursuant to Federal Rule of Appellate Procedure 38. In
    weighing such a request for sanctions, “we consider first
    whether the appeal is indeed frivolous, and, if so, whether
    sanctions are appropriate.” Pokuta v. Trans World Airlines,
    Inc., 
    191 F.3d 834
    , 841 (7th Cir. 1999). In Hernandez v. Joliet
    Police Department, 
    197 F.3d 256
     (7th Cir. 1999), we declined
    to impose sanctions for arguments that were nonmer-
    itorious, but which created “some conceivable chance of
    reversal.” 
    Id. at 265-66
    . We conclude that, although the
    issues presented on appeal by Mr. Williams do not result in
    success, they are not so clear as to prevent “some conceiv-
    able chance of reversal.” 
    Id.
    Conclusion
    For the foregoing reasons, the judgment of the district
    court is affirmed.
    AFFIRMED
    A true Copy:
    Teste:
    No. 02-1231                                          35
    _____________________________
    Clerk of the United States Court of
    Appeals for the Seventh Circuit
    USCA-02-C-0072—8-20-03