Hu v. City of New York ( 2019 )


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  •      18‐737‐cv
    Hu v. City of New York
    1                                UNITED STATES COURT OF APPEALS
    2                                     FOR THE SECOND CIRCUIT
    3                                      _____________________
    4
    5                                              August Term 2018
    6
    7                  (Argued: March 6, 2019                            Decided: June 13, 2019)
    8
    9                                            Docket No. 18‐737‐cv
    10                                           _____________________
    11
    12                      ERIC HU, NY DRILLING, INC., AND 888 CONSULTING CORP.,
    13                                       Plaintiffs‐Appellants,
    14
    15                                                         v.
    16
    17   THE CITY OF NEW YORK, DENNIS BURKART, JOSE L. ESPAILLAT, MICHAEL CAMERA,
    18   RAFAEL COLLIS, SALVATORE CONCIALDI, ROBERT TURNER, CESAR ROMERO, RICK D.
    19                   CHANDLER, MUHAMMAD IMRAN, D. ERIC HOYT,
    20                              Defendants‐Appellees,
    21
    22                                         JOHN/JANE DOES, NOS. 1‐10,
    23                                                Defendants.*
    24                                           _____________________
    25
    26   Before:
    27           JACOBS and LYNCH, Circuit Judges, and J. HALL, District Judge.**
    28           The Plaintiffs‐Appellants, an Asian construction worker and Asian‐owned
    29   companies, brought suit against the City of New York and several of its
    *    The Clerk of Court is directed to amend the caption as shown above.
    **Judge Janet C. Hall, United States District Court for the District of Connecticut, sitting by
    designation.
    1   employees, alleging that the defendants discriminatorily enforced municipal
    2   building codes against the plaintiffs on the basis of race and personal animus. The
    3   plaintiffs asserted Equal Protection claims under the theories articulated in Village
    4   of Willowbrook v. Olech, 
    528 U.S. 562
     (2000) and LeClair v. Saunders, 
    627 F.2d 606
     (2d
    5   Cir. 1980). They also raised claims under the Due Process Clause, section 1981 of
    6   title 42 of the United States Code, the Monell doctrine, and New York tax law. The
    7   United States District Court for the Eastern District of New York (Allyne Ross,
    8   Judge) dismissed the suit under Federal Rule of Civil Procedure 12(b)(6). We
    9   AFFIRM the District Court’s dismissal of the plaintiffs’ Olech claim, Due Process
    10   claim, and Monell claim. However, we VACATE the judgment as to the plaintiffs’
    11   section 1981 claim and LeClair claims, as well as their state law claim.
    12                                        _____________________
    13
    14                   DANIEL J. SCHNEIDER, Farber Schneider Ferrari LLP, New York, NY,
    15                   for Plaintiffs‐Appellants.
    16
    17                   ANTONELLA KARLIN, Assistant Corporation Counsel (Richard
    18                   Dearing and
    19                   Kathy Chang Park, on the brief), for Zachary W. Carter, Corporation
    20                   Counsel of the City of New York, New York, NY, for Defendants‐
    21                   Appellees.
    22                                   _____________________
    23
    24   J. HALL, District Judge:
    25           Plaintiffs Eric Hu (“Hu”), 888 Consulting Corporation (“888 Consulting”),
    26   and NY Drilling (“NY Drilling”) are an Asian construction worker and Asian‐
    27   owned companies.1 They brought this lawsuit against the City of New York
    1This appeal was heard in tandem with Hsin v. City of New York, Case No. 18‐751‐cv, a related but
    not consolidated action. We resolve Hsin in a separate Summary Order.
    2
    1   (“the City”), Assistant Chief Inspector Dennis Burkart (“Burkart”), and several of
    2   Burkart’s colleagues at the Department of Buildings (“DOB”), alleging that the
    3   defendants selectively enforced the City’s building codes on the basis of racial
    4   animus against Asians and personal animus against Hu. The plaintiffs raised
    5   claims under the Equal Protection Clause, the Due Process Clause, section 1981
    6   of title 42 of the United States Code, the Monell doctrine, and New York tax law.
    7         The United States District Court for the Eastern District of New York
    8   (Ross, J.) dismissed the plaintiffs’ federal causes of action under Federal Rule of
    9   Civil Procedure 12(b)(6) and declined to exercise supplemental jurisdiction over
    10   the remaining state claim. The plaintiffs now appeal, arguing that the District
    11   Court improperly applied a heightened pleading standard to their Amended
    12   Complaint. For the reasons that follow, we AFFIRM in part and VACATE in part
    13   the judgment below.
    14   I.    BACKGROUND
    15         The Amended Complaint alleges the following facts, which we take as true
    16   for the purposes of evaluating a motion to dismiss.
    17         This action centers primarily on Burkart’s “personal vendetta” against
    18   Asians in general and Hu in particular. Burkart’s racial animus stems from his
    19   belief that Asians were responsible for the downfall of a construction company
    3
    1   that he owned prior to his employment at DOB. In particular, Burkart blames
    2   Asians for undercutting his rates to the point where he could no longer compete.
    3         Burkart’s alleged animus against Hu, a Taiwanese‐American construction
    4   worker, has several sources. In 2011, Hu filed a complaint with DOB alleging
    5   that Burkart’s enforcement of the building code was racially discriminatory.
    6   Later that year, Hu sued one of Burkart’s colleagues at DOB for hitting Hu with a
    7   car. Although Burkart was only a passenger in the vehicle and was not named as
    8   a defendant in the lawsuit, the plaintiffs believe that DOB may have disciplined
    9   Burkart for his involvement in the car accident. In 2014, Hu filed an FBI report
    10   alleging extortion by another of Burkart’s colleagues, Massimo Dabusco
    11   (“Dabusco”). As a result of the ensuing FBI investigation, Dabusco left DOB,
    12   pled guilty to criminal charges, and was sentenced to 18 months’ imprisonment.
    13   See Judgment (Doc. No. 47), United States v. Massimo Dabusco, EDNY Docket No.
    14   16‐CR‐559‐DLI.
    15         Burkart has not been shy in voicing his feelings about Asians and Hu.
    16   While inspecting construction worksites, Burkhart has been observed harassing,
    17   belittling, and threatening Asian workers. He has been overheard calling Hu “a
    18   rat” for reporting Dabusco to the FBI, as well as bragging about his plans to
    4
    1   “shut down every one of Hu’s jobsites around the city.” Hu Appellants’
    2   Appendix (“Hu Appx.”) (Doc. No. 40), Case No. 18‐737‐cv, at A24 ¶ 75, A27 ¶ 96.
    3   According to other DOB inspectors, Burkart even has a picture of Hu on his wall.
    4   It is an open secret within the City’s construction community that a jobsite that
    5   involves Hu will be shut down by DOB inspectors.
    6         NY Drilling and 888 Consulting have also become targets of Burkart’s
    7   animosity, due both to their racial composition and to their close ties to Hu. NY
    8   Drilling is a construction company that employed Hu until 2015, when Hu
    9   formed his own construction company, 888 Consulting. Both NY Drilling and
    10   888 Consulting are owned and controlled by Asians, and they frequently work
    11   with each other on construction jobs.
    12         Burkart has acted on his prejudices by targeting the plaintiffs’ worksites
    13   for inspections and unwarranted building code violations. Although DOB
    14   inspectors are assigned predetermined routes, Burkart regularly deviates from
    15   his routes to visit, inspect, and issue violations to construction sites that are
    16   managed and operated by Asian workers and Asian‐owned companies. He
    17   often does so on his own time and while off duty. Further, he conducts these site
    18   visits on his own initiative and not in response to public complaints, even though
    5
    1   DOB is a complaint‐driven agency that takes enforcement actions primarily in
    2   response to grievances received from the general public. During these visits,
    3   Burkart issues violations and stop work orders, often for aspects of construction
    4   that fall outside the purview of his division within DOB, the Concrete
    5   Enforcement Unit. Burkart also appears to issue violations to Asian‐run
    6   construction sites at a higher rate than his colleagues. According to the plaintiffs’
    7   review of building code violations, Burkart issues 63 percent of his violations to
    8   Asian‐run construction companies, workers, or sites, as compared to between 8
    9   and 28 percent for other DOB inspectors.
    10         While Burkart is the only defendant alleged to harbor animus against Hu
    11   or Asians, Burkart has enlisted the help of other DOB officers in harassing the
    12   plaintiffs. Burkart or members of his team actively search DOB databases to
    13   identify construction worksites that employ Hu. When Burkart becomes aware
    14   of a job involving Hu, 888 Consulting, or NY Drilling, Burkart makes sure that he
    15   or a member of his team visits that jobsite. Burkart also sends other DOB
    16   inspectors outside of their assigned routes to issue violations to Asian developers
    17   and contractors. Sometimes, Burkart visits a construction site, takes pictures, and
    18   then leaves without taking any enforcement action. Shortly thereafter, however,
    6
    1   another DOB inspector will return to that site and issue a violation for the
    2   conditions observed by Burkart. The plaintiffs believe that Burkart directs other
    3   DOB inspectors to issue violations in order to “avoid the optic of having an
    4   enormous number of violations and SWO[s] [stop work orders] signed in
    5   Burkart’s name which are for alleged violations beyond the scope of his own
    6   duties [and] outside his route and region[.]” Hu Appx. at A34 ¶ 166.
    7         The Amended Complaint details four enforcement actions. Although the
    8   specifics vary, they generally involve Burkart, by himself or in coordination with
    9   other DOB officers, sanctioning the plaintiffs based on fabricated or frivolous
    10   building code violations; orchestrating time‐consuming audits of the plaintiffs’
    11   jobsites; forcing the plaintiffs to install unnecessary onsite protections, such as
    12   additional fencing; or halting the plaintiffs’ projects with stop work orders.
    13         These and other enforcement actions are taking a financial toll on the
    14   plaintiffs. Burkart’s violations have burdened the plaintiffs with fines,
    15   compliance costs, and legal fees. Clients are firing the plaintiffs due to jobsite
    16   delays resulting from DOB audits and stop work orders, and some are suing the
    17   plaintiffs for breaches of contract. The plaintiffs are also losing prospective
    7
    1   business, because of Hu’s reputation as a lightning rod for DOB inspections and
    2   sanctions.
    3   II.    PROCEDURAL HISTORY
    4          The plaintiffs brought this lawsuit in April 2017. See generally Complaint
    5   (Doc. No. 1), EDNY Docket No. 17‐cv‐2348. At a pre‐motion conference, the
    6   District Court permitted the plaintiffs to amend their pleadings to address
    7   deficiencies the Court had identified. See generally Transcript for Telephonic
    8   Conference (“Pre‐Motion Conf. Tr.”) (Doc. No. 43‐8), EDNY Docket No. 17‐cv‐
    9   2348. The plaintiffs filed an Amended Complaint, and the defendants moved to
    10   dismiss shortly thereafter. In March 2018, the District Court granted the Motion
    11   to Dismiss with prejudice, and this appeal followed.
    12   III.   STANDARD OF REVIEW
    13          We review de novo a district court’s dismissal of a complaint under Rule
    14   12(b)(6). Carpenters Pension Tr. Fund of St. Louis v. Barclays PLC, 
    750 F.3d 227
    , 232
    15   (2d Cir. 2014). For the purposes of such a review, “this Court must accept as true
    16   all allegations in the complaint and draw all reasonable inferences in favor of the
    17   non‐moving party.” Matson v. Bd. of Educ. of City Sch. Dist. of New York, 
    631 F.3d 18
       57, 63 (2d Cir. 2011) (internal quotation marks omitted). Nevertheless, the
    19   plaintiff’s complaint must “contain sufficient factual matter, accepted as true, to
    8
    1   state a claim to relief that is plausible on its face.” 
    Id.
     “A claim is facially
    2   plausible when the plaintiff pleads factual content that allows the court to draw
    3   the reasonable inference that the defendant is liable for the misconduct alleged.”
    4   Progressive Credit Union v. City of New York, 
    889 F.3d 40
    , 48 (2d Cir. 2018) (internal
    5   quotation marks omitted). In deciding a Rule 12(b)(6) motion, the court may
    6   consider “only the facts alleged in the pleadings, documents attached as exhibits
    7   or incorporated by reference in the pleadings[,] and matters of which judicial
    8   notice may be taken.” Samuels v. Air Transp. Local 504, 
    992 F.2d 12
    , 15 (2d Cir.
    9   1993).
    10   IV.      DISCUSSION
    11            In the Amended Complaint, the plaintiffs assert (1) Equal Protection claims
    12   for discriminatory enforcement of the building code; (2) a section 1981 claim for
    13   interfering on the basis of race with the right to make and enforce contracts; (3)
    14   Due Process claims for depriving them of their chosen occupation and for
    15   engaging in a systematic campaign of government harassment; (4) a Monell claim
    16   against the City; and (5) a state law taxpayer claim for violation of section 51 of
    17   the New York General Municipal Law.
    18            The District Court dismissed the federal claims with prejudice and
    19   declined to exercise supplemental jurisdiction over the remaining state claim. As
    9
    1   to the Equal Protection and section 1981 claims, the District Court concluded that
    2   the plaintiffs had not plausibly alleged that they had been treated differently
    3   from another similarly situated comparator. It dismissed the plaintiffs’ Due
    4   Process claims on the grounds that the Amended Complaint did not plausibly
    5   allege either (1) that the defendants’ actions had entirely precluded the plaintiffs
    6   from working in the construction industry, or (2) that the defendants’ actions
    7   rose to the level of intentional and systematic government harassment. Finally,
    8   the District Court dismissed the plaintiffs’ Monell claim for, inter alia, failure to
    9   plausibly allege that the plaintiffs’ constitutional injuries were caused by an
    10   official municipal policy.
    11         On appeal, the plaintiffs argue that District Court improperly applied a
    12   heightened pleading standard to their federal claims. They further argue that,
    13   even if dismissal of these claims was warranted, the District Court erred by
    14   dismissing the Amended Complaint with prejudice. We address these
    15   arguments below. Before doing so, however, we first respond to the defendants’
    16   contention that two of the plaintiffs – Hu and 888 Consulting – lack standing
    17   because they have not plausibly pled an injury‐in‐fact, an issue that was not
    18   addressed by the court below.
    10
    1         A.     Standing
    2         Because “[a]ppellate courts have an independent obligation to examine
    3   their own jurisdiction,” In re TPG Troy, LLC, 
    793 F.3d 228
    , 232 (2d Cir. 2015)
    4   (internal quotation marks omitted), we must always address questions of
    5   standing, even when neither the parties nor the court below have considered the
    6   issue, see FW/PBS, Inc. v. City of Dallas, 
    493 U.S. 215
    , 230–31 (1990). To satisfy the
    7   requirements of Article III standing, plaintiffs must demonstrate “(1) [an] injury‐
    8   in‐fact, which is a concrete and particularized harm to a legally protected
    9   interest; (2) causation in the form of a fairly traceable connection between the
    10   asserted injury‐in‐fact and the alleged actions of the defendant; and
    11   (3) redressability, or a non‐speculative likelihood that the injury can be remedied
    12   by the requested relief.” Selevan v. New York Thruway Auth., 
    711 F.3d 253
    , 257 (2d
    13   Cir. 2013) (internal quotation marks omitted). These elements “are not mere
    14   pleading requirements but rather an indispensable part of the plaintiff’s case[.]”
    15   Lujan v. Defs. of Wildlife, 
    504 U.S. 555
    , 561 (1992). As a result, “each element must
    16   be supported in the same way as any other matter on which the plaintiff bears
    17   the burden of proof, i.e., with the manner and degree of evidence required at the
    18   successive stages of the litigation.” 
    Id.
     Thus, “general factual allegations of
    19   injury resulting from the defendant’s conduct may suffice” at the pleading stage,
    11
    1   because it is presumed on a motion to dismiss that “general allegations embrace
    2   those specific facts that are necessary to support the claim.” 
    Id.
     (internal
    3   quotation marks and alterations omitted); see also John v. Whole Foods Mkt. Grp.,
    4   Inc., 
    858 F.3d 732
    , 736–37 (2d Cir. 2017) (applying Lujan’s standard).
    5         Notwithstanding the defendants’ claims to the contrary, the Amended
    6   Complaint plausibly alleges injuries to Hu and 888 Consulting that are fairly
    7   traceable to the defendants’ alleged actions. The plaintiffs’ allegations detail how
    8   Burkart and his colleagues have increased the plaintiffs’ costs of doing business
    9   by conducting audits, forcing the plaintiffs to pay fines for unwarranted
    10   violations, and halting work on the plaintiffs’ jobsites with stop work orders. As
    11   a result of this targeting, the plaintiffs have not only lost current clients and
    12   future business, but they have also incurred legal fees challenging notices of
    13   violation and defending against breach‐of‐contract suits from dissatisfied clients.
    14   The Amended Complaint supplements these general allegations of harm with
    15   specific instances where the defendants’ enforcement activities financially
    16   burdened the plaintiffs. To take one example, Burkart allegedly “forced
    17   Plaintiffs, at significant cost, to install protection on neighbors’ walls” at one of
    18   their construction sites, which enforcement actions ultimately resulted in the
    12
    1   plaintiffs being fired from the job. Hu Appx. at A38 ¶¶ 193–196.2 Taken
    2   together, these allegations are more than sufficient to establish Hu and 888
    3   Consulting’s standing at the pleading stage. We therefore turn to the merits of
    4   the plaintiffs’ claims.
    5           B.       Equal Protection Claims
    6           The Amended Complaint can be reasonably construed as alleging three
    7   types of Equal Protection claims for discrimination based on the selective
    8   enforcement of the City’s building codes. The first two – which proceed under
    9   the theory of LeClair v. Saunders, 
    627 F.2d 606
     (2d Cir. 1980) – allege that the
    10   defendants treated the plaintiffs differently from others similarly situated on the
    11   basis of racial animus against Asians and personal animus against Hu. The third
    12   claim adopts the theory of Village of Willowbrook v. Olech, 
    528 U.S. 562
     (2000),
    13   alleging that the defendants’ differential treatment of the plaintiffs violated the
    14   Equal Protection Clause because it was irrational and wholly arbitrary.
    2  The Amended Complaint does not expressly allocate harms between the three plaintiffs,
    alleging instead that the various injuries accrued to the “plaintiffs.” See, e.g., Hu Appx. at A44. It does,
    however, explicitly define the “plaintiffs” to include Hu, 888 Consulting, and NY Drilling. 
    Id.
     at A12.
    Thus, a natural reading of the Amended Complaint is that the alleged injuries are shared by all three
    plaintiffs, an inference that is buttressed by the fact that the plaintiffs have a close working relationship
    with one another.
    13
    1         The District Court dismissed these claims on the grounds that the
    2   Amended Complaint failed to plausibly allege a comparator that was similarly
    3   situated to the plaintiffs. In reaching this outcome, it correctly noted that there is
    4   disagreement among district courts in this Circuit as to the degree of similarity
    5   required in a LeClair claim. See Leon v. Rockland Psychiatric Ctr., 
    232 F. Supp. 3d 6
       420, 432 (S.D.N.Y. 2017) (documenting this split). Some district courts have
    7   applied the similarity standard for an Olech cause of action to LeClair claims,
    8   requiring that plaintiffs show an “extremely high” level of similarity between
    9   themselves and the persons to whom they compare themselves. See, e.g.,
    10   Kamholtz v. Yates Cty., No. 08‐CV‐6210, 
    2008 WL 5114964
    , at *5 (W.D.N.Y. Dec. 3,
    11   2008), affʹd, 350 F. Appʹx 589 (2d Cir. 2009); Spanierman v. Hughes, 
    576 F. Supp. 2d 12
       292, 307 (D. Conn. 2008); Dones v. City of New York, No. 07 CIV. 3085 (SAS), 2008
    
    13 WL 2742108
    , at *9 (S.D.N.Y. July 9, 2008). Others have applied a less stringent
    14   standard to LeClair claims, requiring only that plaintiffs show that they are
    15   “roughly equivalent” to the proffered comparators. See, e.g., Mosdos Chofetz
    16   Chaim, Inc. v. Vill. of Wesley Hills, 
    815 F. Supp. 2d 679
    , 696–97 (S.D.N.Y. 2011); T.S.
    17   Haulers, Inc. v. Town of Riverhead, 
    190 F. Supp. 2d 455
    , 462–63 (E.D.N.Y. 2002). In
    18   this case, the District Court adopted the latter approach. It concluded, however,
    14
    1   that the Amended Complaint failed to allege a comparator that was even
    2   roughly equivalent to the plaintiffs.
    3         On appeal, neither party disputes that the plaintiffs’ LeClair claims should
    4   be subjected to a less stringent similarity standard than their Olech claim. This
    5   apparent agreement, however, does not control our judgment, as we are not
    6   bound by stipulations of law. See Neilson v. DʹAngelis, 
    409 F.3d 100
    , 104 n.2 (2d
    7   Cir. 2005), overruled on other grounds by Appel v. Spiridon, 
    531 F.3d 138
     (2d Cir.
    8   2008). Because we conclude that the viability of the plaintiffs’ Equal Protection
    9   claims turns on the precise degree of similarity required by LeClair, we write to
    10   resolve this open question and, more generally, to clarify the relationship
    11   between LeClair and Olech. For the reasons that follow, we agree with the court
    12   below that a lower similarity standard applies to the plaintiffs’ LeClair claims.
    13   Unlike the District Court, however, we conclude that the Amended Complaint
    14   satisfies this less stringent standard, albeit just barely, by alleging facts that
    15   plausibly show a reasonably close resemblance between the plaintiffs and a
    16   comparator who received more favorable treatment from the defendants. We
    17   therefore affirm the District Court’s dismissal of the plaintiffs’ Olech claim but
    18   vacate as to the LeClair claims.
    15
    1         i. Legal Framework
    2         We first articulated a theory of Equal Protection based on the selective
    3   enforcement of the law in LeClair v. Saunders, a case decided nearly four decades
    4   ago. 
    627 F.2d 606
    , 609–10 (2d Cir. 1980). To prevail on such a claim, a plaintiff
    5   must prove that “(1) the person, compared with others similarly situated, was
    6   selectively treated, and (2) the selective treatment was motivated by an intention
    7   to discriminate on the basis of impermissible considerations, such as race or
    8   religion, to punish or inhibit the exercise of constitutional rights, or by a
    9   malicious or bad faith intent to injure the person.” Zahra v. Town of Southold, 48
    
    10 F.3d 674
    , 683 (2d Cir. 1995) (quoting FSK Drug Corp. v. Perales, 
    960 F.2d 6
    , 10 (2d
    11   Cir. 1992)). As this test makes clear, “[t]he LeClair type of equal protection claim
    12   requires proof of disparate treatment and impermissible motivation.” Bizzarro v.
    13   Miranda, 
    394 F.3d 82
    , 87 (2d Cir. 2005). A plaintiff cannot merely rest on “a
    14   demonstration of different treatment from persons similarly situated[.]” Id.
    15   (quoting Crowley v. Courville, 
    76 F.3d 47
    , 53 (2d Cir. 1996)) (internal quotation
    16   marks and alterations omitted). Instead, he must “prove that the disparate
    17   treatment was caused by the impermissible motivation.” Id.. As evident from
    18   LeClair’s broad definition of “impermissible considerations,” LeClair protects
    19   against both discrimination on the basis of a plaintiff’s protected status (e.g., race
    16
    1   or a constitutionally‐protected activity) and discrimination on the basis of a
    2   defendant’s personal malice or ill will towards a plaintiff. However, we have
    3   cautioned that the latter type of LeClair claim, unlike the former, is “lodged in a
    4   murky corner of equal protection law in which there are surprisingly few cases
    5   and no clearly delineated rules to apply.” 
    Id. at 86
     (quoting LeClair, 
    627 F.2d at
    6   608).
    7           In Village of Willowbrook v. Olech, 
    528 U.S. 562
     (2000) (per curiam), the
    8   Supreme Court ventured into that murky corner and articulated what has
    9   become known as the “class of one” theory of Equal Protection. The plaintiff in
    10   that case sought to connect her property to a municipal water supply. 
    Id. at 563
    .
    11   When the Village of Willowbrook conditioned its approval on the plaintiff
    12   granting it a 33‐foot easement, the plaintiff brought suit on the grounds that the
    13   Village only required a 15‐foot easement from other property owners seeking
    14   similar water access. 
    Id.
     Although the plaintiff did “not allege membership in a
    15   class or group,” the Supreme Court held that she could nonetheless state an
    16   Equal Protection claim by alleging “[1] that she has been intentionally treated
    17   differently from others similarly situated and [2] that there is no rational basis for
    18   the difference in treatment.” 
    Id. at 564
    . As the Olech Court explained, this cause
    17
    1   of action arises out of the Equal Protection Clause’s “purpose . . . to secure every
    2   person within the State’s jurisdiction against intentional and arbitrary
    3   discrimination.” 
    Id.
     The Court did not reach the alternative theory that the
    4   Village harbored subjective ill will towards the plaintiff. Further, Olech declined
    5   to specify the degree of similarity required between a plaintiff and her
    6   comparator.
    7           In Neilson v. DʹAngelis, 
    409 F.3d 100
     (2d Cir. 2005), we addressed that
    8   omission and set forth the Second Circuit’s similarity standard for an Olech cause
    9   of action.3 See, e.g., Analytical Diagnostic Labs, Inc. v. Kusel, 
    626 F.3d 135
    , 140 (2d
    10   Cir. 2010) (relying on Neilson’s articulation of the elements of an Olech claim);
    11   Progressive Credit Union v. City of New York, 
    889 F.3d 40
    , 49 (2d Cir. 2018) (same).
    12   We held that, “[i]n order to succeed on a ‘class of one’ claim, the level of
    13   similarity between plaintiffs and the persons with whom they compare
    14   themselves must be extremely high.” Neilson, 
    409 F.3d at 104
    . More precisely, a
    15   plaintiff must establish that he and a comparator are “prima facie identical” by
    16   showing that “(i) no rational person could regard the circumstances of the
    3 Although we later overruled Neilson insofar as it allowed public employees to assert Olech
    claims against their government employers, see Appel v. Spiridon, 
    531 F.3d 138
    , 139 (2d Cir. 2008), we left
    intact Neilson’s articulation of the elements of an Olech claim, see Analytical Diagnostic Labs, Inc. v. Kusel,
    
    626 F.3d 135
    , 140 n.1 (2d Cir. 2010).
    18
    1   plaintiff to differ from those of a comparator to a degree that would justify the
    2   differential treatment on the basis of a legitimate government policy; and (ii) the
    3   similarity in circumstances and difference in treatment are sufficient to exclude
    4   the possibility that the defendant acted on the basis of a mistake.” Id. at 105. We
    5   explained that the existence of highly similar circumstances provides the basis
    6   for “infer[ring] that the plaintiff was intentionally singled out for reasons that so
    7   lack any reasonable nexus with a legitimate governmental policy that an
    8   improper purpose – whether personal or otherwise – is all but certain.” Id.
    9         While we have made efforts to clarify the contours of an Olech claim, we
    10   have paid less attention to the interaction between Olech and LeClair. The precise
    11   relationship between these doctrines, however, has become a source of some
    12   confusion in the Circuit. See 33 Seminary LLC v. City of Binghamton, 670 F. Appʹx
    13   727, 730 (2d Cir. 2016) (noting this confusion); Gray v. Maquat, 669 F. Appʹx 4, 5
    14   n.1 (2d Cir. 2016) (same). On the one hand, we have suggested that Olech and
    15   LeClair offer two distinct Equal Protection theories of non‐class‐based
    16   discrimination, with Olech claims focused on whether the defendant’s conduct
    17   was rationally related to a legitimate government policy and LeClair claims
    18   focused on whether the defendant’s conduct was motivated by malice towards
    19
    1   the plaintiff. See Bizzarro, 
    394 F.3d at 86
     (presenting Olech and LeClair as “two
    2   slightly different theories” of Equal Protection); Cobb v. Pozzi, 
    363 F.3d 89
    , 109 (2d
    3   Cir. 2004) (calling them “two related, yet different, equal protection arguments”).
    4   Periodically, however, we have raised the possibility that an Olech claim requires
    5   proof of a defendant’s ill will towards the plaintiff, suggesting that Olech may
    6   have displaced or merged with LeClair’s Equal Protection theory of malice‐based
    7   discrimination. See Bizzarro, 
    394 F.3d at 88
     (“We have not resolved whether, in
    8   light of Olech, the theory espoused by LeClair remains the proper one in ‘class of
    9   one’ claims.”); Harlen Assocs. v. Inc. Vill. of Mineola, 
    273 F.3d 494
    , 499–500 (2d Cir.
    10   2001) (declining to reach the question of whether the “Supreme Courtʹs decision
    11   in Olech modified the second part of the LeClair analysis by removing the
    12   requirement that malice or bad faith be shown in order to state a valid ‘class of
    13   one’ equal protection claim”); Giordano v. City of New York, 
    274 F.3d 740
    , 751 (2d
    14   Cir. 2001) (same). As noted above, Olech has also sparked questions about the
    15   degree of similarity required in a LeClair claim. See supra at 14. While some
    16   district courts have applied Neilson’s similarity standard for Olech claims to
    17   LeClair claims, others have concluded that a lower similarity standard should
    18   apply. See Mosdos Chofetz Chaim, 815 F. Supp. 2d at 693–97 (collecting cases).
    20
    1         Today, we seek to resolve some of this uncertainty and clarify the
    2   relationship between LeClair and Olech. For the reasons that follow, we hold that
    3   these two decisions offer distinct pathways for proving a non‐class‐based Equal
    4   Protection violation. While both types of Equal Protection claims require a
    5   showing that the plaintiff was treated differently from another similarly situated
    6   comparator, they differ in at least two key respects. First, unlike a malice‐based
    7   LeClair claim, an Olech claim does not require proof of a defendant’s subjective ill
    8   will towards a plaintiff. Instead, a plaintiff can prevail on an Olech claim on the
    9   basis of similarity alone. However, the similarity standard for an Olech claim is
    10   more stringent than the standard for a LeClair claim. While Olech requires an
    11   “extremely high” degree of similarity between a plaintiff and comparator, LeClair
    12   merely requires a “reasonably close resemblance” between a plaintiff’s and
    13   comparator’s circumstances.
    14         These holdings stem from both the Supreme Court’s decision in Olech and
    15   our own subsequent precedent. To begin, we read Olech as rejecting the
    16   contention that malice is a requirement of a class of one Equal Protection claim.
    17   The majority opinion recognized that the plaintiff’s complaint contained
    18   allegations that the Village’s conduct was “motivated by ill will resulting from
    21
    1   [her] previous filing of an unrelated, successful lawsuit against the Village.”
    2   Olech, 
    528 U.S. at 563
    . It further acknowledged that the appellate court below
    3   had ruled in favor of the plaintiff on the basis of these allegations of subjective ill
    4   will. 
    Id.
     at 563–64. Nevertheless, the Supreme Court expressly declined to adopt
    5   the circuit court’s Equal Protection theory, see 
    id. at 565
    , a theory that would have
    6   “require[d] proof that the cause of the differential treatment of which the plaintiff
    7   complains was a totally illegitimate animus toward the plaintiff by the
    8   defendant,” Olech v. Vill. of Willowbrook, 
    160 F.3d 386
    , 388 (7th Cir. 1998). Instead,
    9   the majority in Olech focused on the allegations that the Village’s demand for a
    10   33‐foot easement was “irrational and wholly arbitrary” given that the Village
    11   required only a 15‐foot easement from other similarly situated property owners.
    12   Olech, 
    528 U.S. at 565
    . It held that “[t]hese allegations, quite apart from the
    13   Village’s subjective motivation, are sufficient to state a claim for relief under
    14   traditional equal protection analysis.” 
    Id.
     The Supreme Court therefore affirmed
    15   the appellate court’s judgment, without “reach[ing] the alternative theory of
    16   ‘subjective ill will’ relied on by that court.” 
    Id.
     This choice is even more telling in
    17   light of Justice Breyer’s concurrence in the case. Echoing concerns raised by the
    18   circuit court, Justice Breyer warned against interpreting the Equal Protection
    22
    1   Clause in a way that would “transform[ ] run‐of‐the‐mill zoning cases into cases
    2   of constitutional right,” and he justified his concurrence on the grounds that the
    3   plaintiff’s allegations of “ill will” were “sufficient to minimize [this] concern[.]”
    4   
    Id. at 566
    .
    5          Our reading of Olech finds support in Second Circuit caselaw. See, e.g.,
    6   Harlen, 
    273 F.3d at
    499–500 (collecting cases that support this interpretation of
    7   Olech). Indeed, it appears that Neilson developed this Circuit’s similarity
    8   standard for an Olech claim based on the assumption that Olech did not require a
    9   showing of malice. Specifically, Neilson derived its standard by comparing (1) a
    10   case where the plaintiff seeks to prevail on an Olech claim “based on similar
    11   circumstances alone,” with (2) a case where the plaintiff claims “discrimination
    12   based on membership in a specific protected class.” Neilson, 
    409 F.3d at
    104–05
    13   (internal quotation marks omitted, emphasis added). We noted that, to succeed
    14   in the latter case, a plaintiff must prove both that he was treated differently from
    15   another similarly situated, and that the differential treatment was motivated by
    16   the plaintiff’s membership in a protected class. 
    Id. at 105
    . In an Olech claim, by
    17   contrast, the existence of persons in similar circumstances is offered not only to
    18   show disparate treatment, but to also “provide an inference that the plaintiff was
    23
    1   intentionally singled out for reasons that so lack any reasonable nexus with a
    2   legitimate governmental policy that an improper purpose – whether personal or
    3   otherwise – is all but certain.” 
    Id.
     Thus, we distinguished Olech from the typical,
    4   class‐based Equal Protection claim on the grounds that, in an Olech claim, the
    5   disparate treatment and impermissible motive inquiries are “virtually one and
    6   the same.” 
    Id.
     An Olech claim asserts that the distinction between the plaintiff’s
    7   case and those similarly situated is so arbitrary and irrational that it fails to pass
    8   even the “minimal” equal protection standard: that distinctions among the
    9   objects of government action must be rationally related to a legitimate
    10   government objective. See Kotch v. Bd. Of River Port Pilot Comm’rs for Port of New
    11   Orleans, 
    330 U.S. 552
    , 564 (1947) (upholding a licensing scheme that disfavored
    12   persons not related to current river boat pilots based on possible efficiency and
    13   safety benefits of close ties among pilots).
    14         On the basis of this analytical difference, we concluded that Olech claims,
    15   which “rel[y] on similarity alone,” should be subjected to a more stringent
    16   similarity standard than class‐based discrimination claims. Neilson, 
    409 F.3d at
    17   106. To hold otherwise, we observed, would yield a “pervers[e]” outcome,
    18   namely: it would be easier for plaintiffs to plead an Olech claim than a race
    24
    1   discrimination case, “the core of equal protection[.]” 
    Id.
     This is because, as noted
    2   above, race discrimination claims require proof of both disparate treatment and
    3   racial animus, while “[a] finding of general ‘similarity’ alone would do the trick
    4   in the ‘class of one’ case.” Id.. Because we were unwilling to take the law of
    5   Equal Protection down such a path, we set forth the “extremely high” similarity
    6   standard that has come to govern Olech claims in this Circuit, requiring a plaintiff
    7   to prove that “(i) no rational person could regard the circumstances of the
    8   plaintiff to differ from those of a comparator to a degree that would justify the
    9   differential treatment on the basis of a legitimate government policy; and (ii) the
    10   similarity in circumstances and difference in treatment are sufficient to exclude
    11   the possibility that the defendant acted on the basis of a mistake.” 
    Id.
     at 104–05.
    12         Today’s opinion therefore validates the premise upon which this Circuit
    13   has constructed its standard for an Olech claim. Olech, unlike the malice‐based
    14   theory of Equal Protection under LeClair, does not require proof of a defendant’s
    15   subjective ill will towards the plaintiff. Instead, a plaintiff may prevail on an
    16   Olech claim based on prima facie identical circumstances alone. In reaching this
    17   conclusion, we are mindful of the concerns raised by Justice Breyer’s concurrence
    18   about transforming “run‐of‐the‐mill” enforcement actions into constitutional
    25
    1   causes of action. Olech, 
    528 U.S. at 566
    . We believe, however, that Neilson’s
    2   exacting similarity standard limits the risk that Olech “will create a flood of
    3   claims in that area of government action where discretion is high and variation is
    4   common.” Del Marcelle v. Brown Cty. Corp., 
    680 F.3d 887
    , 915 (7th Cir. 2012)
    5   (Wood, J., dissenting).
    6         We would also note that Olech has been cabined in other ways. Most
    7   notably, the Supreme Court in Engquist v. Oregon Department of Agriculture, 553
    
    8 U.S. 591
    , 594 (2008), barred public employees from bringing Olech claims against
    9   their government employers. The Court reasoned that some types of state action
    10   are so inherently discretionary that they are not suitable for an Olech cause of
    11   action. Id. at 603. In such situations, the Engquist Court explained, “allowing a
    12   challenge based on the arbitrary singling out of a particular person would
    13   undermine the very discretion that such state officials are entrusted to exercise.”
    14   Id. The Court found that “[t]his principle applies most clearly in the employment
    15   context, for employment decisions are quite often subjective and individualized,
    16   resting on a wide array of factors that are difficult to articulate and quantify.” Id.
    17   at 604. We have read Engquist as essentially “a jurisdiction‐limiting decision”
    18   and, while we have declined to extend Engquist’s bar to “all class‐of‐one claims
    26
    1   involving discretionary state action,” we have suggested that “there may be
    2   some circumstances where Engquist is properly applied outside of the
    3   employment context.” Analytical Diagnostic Labs, 
    626 F.3d at 140, 142
    . We have
    4   noted, however, that Engquist’s limitation on “class of one” claims is more likely
    5   to apply when the state acts as a proprietor rather than as a regulator, reasoning
    6   that “[t]he government has significantly greater leeway in its dealings with
    7   citizen employees than it does when it brings its sovereign power to bear on
    8   citizens at large.” 
    Id. at 142
     (internal quotation marks omitted). Admittedly, we
    9   have not found occasion to extend Engquist outside of the employment context.
    10   See 
    id.
     at 142–43 (concluding that Engquist did not apply to a state system for
    11   issuing clinical testing laboratory permits); Fortress Bible Church v. Feiner, 
    694 F.3d 12
       208, 222 (2d Cir. 2012) (finding that Engquist did not apply to a town’s zoning
    13   decisions). Nevertheless, our caselaw suggests that Engquist protects against the
    14   concern that, notwithstanding Neilson’s strict similarity standard, Olech will flood
    15   the courts with Equal Protection cases involving highly discretionary
    16   government action.
    17         Having concluded that malice is not a requirement of an Olech claim, we
    18   now turn to the question of whether Olech and LeClair require the same degree of
    27
    1   similarity between a plaintiff and her proffered comparator. Neilson also
    2   supplies the answer to this second question. As explained above, Neilson applied
    3   a higher similarity standard to Olech claims than to claims for race discrimination
    4   because plaintiffs pursuing the latter claims had the extra burden of proving that
    5   their negative treatment was caused by an impermissible motive. See supra at 23–
    6   24. That same logic, however, counsels in favor of applying a lower similarity
    7   standard to LeClair claims than to Olech claims, because LeClair also requires
    8   plaintiffs to not only demonstrate that they have been treated differently from
    9   another similarly situated comparator but that “the selective treatment was
    10   motivated by an intention to discriminate on the basis of impermissible
    11   considerations, such as race or religion, to punish or inhibit the exercise of
    12   constitutional rights, or by a malicious or bad faith intent to injure the person.”
    13   Zahra, 48 F.3d at 683 (quoting FSK Drug Corp. v. Perales, 
    960 F.2d 6
    , 10 (2d Cir.
    14   1992).
    15            We therefore analyze the first element of a LeClair claim under the
    16   similarity standard that we articulated in Graham v. Long Island Rail Road, 230
    
    17 F.3d 34
     (2d Cir. 2000), and that we have since used in a variety of contexts to
    18   determine whether a plaintiff’s disparate treatment “raise[s] an inference of
    28
    1   discrimination.” Id. at 39 (Title VII discrimination claim); see also Lizardo v.
    2   Dennyʹs, Inc., 
    270 F.3d 94
    , 101 (2d Cir. 2001) (section 1981 discrimination claim);
    3   Men of Color Helping All Soc., Inc. v. City of Buffalo, 529 F. Appʹx 20, 26 (2d Cir.
    4   2013) (Equal Protection claim). To satisfy this standard, “the plaintiff’s and
    5   comparator’s circumstances must bear a reasonably close resemblance.” Brown v.
    6   Daikin Am. Inc., 
    756 F.3d 219
    , 230 (2d Cir. 2014) (internal quotation marks
    7   omitted). They need not, however, be “identical.” 
    Id.
     A plaintiff can prevail by
    8   showing that “she was similarly situated in all material respects to the
    9   individuals with whom she seeks to compare herself.” Graham, 230 F.3d at 39
    10   (internal quotation marks omitted).
    11         With these standards in mind, we now address whether the District Court
    12   properly dismissed the plaintiffs’ Olech claim, malice‐based LeClair claim, and
    13   race‐based LeClair claim for failure to plausibly allege a similarly situated
    14   comparator.
    15         ii. Application
    16         The Amended Complaint identifies three specific comparators relating to
    17   the plaintiffs’ jobsites at (1) 139‐20 34th Avenue, Flushing New York (“the 34th
    18   Avenue Jobsite”); (2) 43‐05 162nd Street, Flushing New York (“the 43‐05
    19   Jobsite”); and (3) 542 West 22nd Street, New York (“the West 22nd Jobsite”). In
    29
    1   addition, the plaintiffs rely on statistics concerning Burkart’s enforcement
    2   practices to show that they have been treated differently than similarly situated
    3   non‐Asians. For the reasons discussed below, only the 34th Avenue Jobsite
    4   plausibly satisfies the lower similarity standard of a LeClair claim – albeit, barely.
    5   None of the proffered comparators, however, satisfy the more stringent
    6   similarity requirements of an Olech claim. Thus, because Olech and LeClair both
    7   require the plaintiffs to plausibly plead at least one similarly situated
    8   comparator, we affirm the District Court’s dismissal of the plaintiffs’ Olech claim
    9   but vacate as to their LeClair claims for race‐based and malice‐based
    10   discrimination.
    11                      a.     LeClair Claims
    12         The first proffered comparator concerns work conducted at the 34th
    13   Avenue Jobsite. Specifically, the plaintiffs allege that Burkart issued them a
    14   violation “for having a pool of water” on the 34th Avenue Jobsite. Hu Appx. at
    15   A37 ¶ 190. Later, Burkart returned to the location when white workers were
    16   performing work on the jobsite. Even though these white workers were also
    17   working next to a pool of water, Burkart did not issue them a notice of violation
    18   or otherwise interrupt their work. Instead, Burkart reserved “such negative
    19   treatment for Asian workers.” Id. at A39 ¶ 202.
    30
    1          The District Court concluded that these allegations were “suggestive” but
    2   “not sufficient to show that any of the plaintiffs were similarly situated to these
    3   white workers in all material respects.” See Hu Appellants’ Special Appendix
    4   (“District Court Ruling”) (Doc. No. 42), Case No. 18‐737‐cv at SPA16. In arriving
    5   at this outcome, the lower court faulted the plaintiffs for failing to allege
    6   sufficient details about the circumstances surrounding the violation, “such as
    7   how deep the standing water was, how long it had been sitting at the site, or
    8   whether there were other violations at the job site.” Id.
    9          To survive a motion to dismiss, however, the plaintiffs’ Amended
    10   Complaint “need not contain ‘detailed factual allegations[.]’” Matson v. Bd. of
    11   Educ. of City Sch. Dist. of New York, 
    631 F.3d 57
    , 63 (2d Cir. 2011) (quoting Ashcroft
    12   v. Iqbal, 
    556 U.S. 662
    , 678 (2009)). While the plaintiffs must plead factual
    13   allegations that “raise a right to relief above the speculative level,” Bell Atl. Corp.
    14   v. Twombly, 
    550 U.S. 544
    , 555 (2007), Twombly and Iqbal “do not require heightened
    15   fact pleading of specifics, but only enough facts to state a claim to relief that is
    16   plausible on its face.” Arista Records, LLC v. Doe 3, 
    604 F.3d 110
    , 120 (2d Cir.
    17   2010). So long as a plaintiff pleads “factual content that allows the court to draw
    18   the reasonable inference that the defendant is liable for the misconduct alleged,”
    31
    1   Iqbal, 
    556 U.S. at 678
    , “a well‐pleaded complaint may proceed even if it strikes a
    2   savvy judge that actual proof of those facts is improbable, and that a recovery is
    3   very remote and unlikely,” Twombly, 
    550 U.S. at 556
     (internal quotation marks
    4   omitted).
    5         The plaintiffs in this case have satisfied the standard of plausibility by
    6   alleging differential treatment by the same defendant (Burkart) for the same
    7   conduct (having a pool of standing water) at the same jobsite (the 34th Avenue
    8   Jobsite). While these allegations are admittedly few in number, they nonetheless
    9   allow us to plausibly infer “a reasonably close resemblance” between the
    10   plaintiffs and the white workers. Discovery in this case may ultimately confirm
    11   the District Court’s suspicions that water depth, the existence of other building
    12   code violations, the outstanding violation for the same condition, or any number
    13   of on‐site characteristics render the resemblance between the plaintiffs and the
    14   white workers less than “reasonably close.” Graham, 230 F.3d at 40. At this early
    15   stage in the litigation, however, the plaintiffs’ failure to plead such fact‐specific
    16   details should not bar their LeClair claims.
    17         We recognize, of course, that “[t]here is no precise formula to determine
    18   whether an individual is similarly situated to comparators.” McDonald v. Vill. of
    32
    1   Winnetka, 
    371 F.3d 992
    , 1002 (7th Cir. 2004); Lindquist v. City of Pasadena Texas, 669
    
    2 F.3d 225
    , 234 (5th Cir. 2012) (“[T]he inquiry is case‐specific and requires us to
    3   consider the full variety of factors that an objectively reasonable decisionmaker
    4   would have found relevant in making the challenged decision.”) (quoting Griffin
    5   Indus., Inc. v. Irvin, 
    496 F.3d 1189
    , 1203 (11th Cir. 2007) (internal quotation marks
    6   and alterations omitted)). The question of “whether parties are similarly situated
    7   is [generally] a fact‐intensive inquiry” that depends heavily on the particular
    8   context of the case at hand. Clubside, Inc. v. Valentin, 
    468 F.3d 144
    , 159 (2d Cir.
    9   2006); see also Jennings v. City of Stillwater, 
    383 F.3d 1199
    , 1214 (10th Cir. 2004)
    10   (“Inevitably, the degree to which others are viewed as similarly situated depends
    11   substantially on the facts and context of the case.”). However, it is precisely in
    12   light of the inquiry’s fact‐intensive nature that we have cautioned against
    13   deciding whether two comparators are similarly situated on a motion to dismiss.
    14   See Brown, 756 F.3d at 230 (“Ordinarily, whether two employees are similarly
    15   situated presents a question of fact, rather than a legal question to be resolved on
    16   a motion to dismiss.” (internal quotation marks and alterations omitted)); cf.
    17   Chapman v. New York State Div. for Youth, 
    546 F.3d 230
    , 238 (2d Cir. 2008)
    18   (“[M]arket definition is a deeply fact‐intensive inquiry and courts therefore
    33
    1   hesitate to grant motions to dismiss for failure to plead a relevant product
    2   market . . . .” (internal quotation marks and alterations omitted)).
    3         On appeal, the defendants raise four additional arguments in favor of
    4   dismissal, none of which is availing. First, the defendants fault the Amended
    5   Complaint for not expressly alleging that there were Asian workers at the 34th
    6   Avenue Jobsite when Burkart issued the violation for the pool of water. While
    7   the defendants are technically correct, other factual allegations in the Amended
    8   Complaint provide a basis for reasonably inferring that Burkart issued the
    9   violation when Asian workers were working on the site. For example, the
    10   Amended Complaint alleges that “Burkart issued a violation [to the plaintiffs],
    11   though, as discussed below, he did not issue one when non‐Asian workers were
    12   performing work in and around the same standing water.” Hu Appx. at A37 ¶
    13   192. The plaintiffs’ description of the white workers as “non‐Asian” supports the
    14   inference that the workers who were present when Burkart issued his violation
    15   were Asian. This inference is bolstered by the allegation that Burkart “reserved
    16   such negative treatment [i.e., the issuance of a violation] for Asian workers,” 
    id.
     at
    17   A39 ¶ 202, which allegation in essence states that the violation was issued when
    18   the workers on the site with the pool of water were Asian. When these
    34
    1   allegations are combined with the fact that the plaintiffs are an Asian worker and
    2   Asian‐owned companies, they create the plausible inference that Burkart issued a
    3   violation for the pool of water when Asian workers were working at the 34th
    4   Avenue Jobsite, but declined to issue a violation for the same pool of water when
    5   white workers were working at the location.
    6         Second, the defendants argue that the white workers cannot be similarly
    7   situated to NY Drilling or 888 Consulting because individuals cannot be similarly
    8   situated to corporate entities. However, they offer no explanation or caselaw in
    9   support of this assertion, and it is not clear to us why corporate form is material
    10   to the similarly situated analysis in this case. According to the plaintiffs’ theory
    11   of discrimination, NY Drilling and 888 Consulting are being unfairly targeted
    12   because Burkart has identified them as “Asian” construction companies that
    13   work closely with Hu. Thus, from Burkart’s perspective, it is not the plaintiffs’
    14   corporate form that materially distinguishes them from other entities working in
    15   the construction industry. Instead, it is the fact that these corporate plaintiffs are
    16   owned and controlled by Asians and have close associations with Hu. Said
    17   another way, the defendants discriminate against NY Drilling and 888
    18   Consulting based on the identities of these companies’ employees and business
    35
    1   associates. Indeed, it can be reasonably inferred from the Amended Complaint
    2   that the defendants use the presence of Asian workers to identify and target
    3   jobsites that are being run by these plaintiffs. See Hu Appx. at A44 ¶ 249
    4   (“Plaintiffs have been forced to put Caucasian people in positions whereby they
    5   interact with inspectors, so as to facilitate lifting of [stop work orders] and
    6   releasing of permits.”). Thus, because NY Drilling and 888 Consulting are being
    7   adversely targeted based on the race and identities of their owners and workers,
    8   they can prove their discrimination claim by showing that their Asian employees
    9   have been treated differently from similarly situated non‐Asian workers.
    10         Third, the defendants fault the plaintiffs for not citing the specific
    11   provision of the building code that they and the white workers allegedly violated
    12   by having a pool of water at the 34th Avenue Jobsite. Although this is true, the
    13   plaintiffs do allege the precise conduct forming the basis of their alleged
    14   violation of the building code, i.e., performing construction work at a jobsite that
    15   has a pool of water. Drawing all inferences in favor of the plaintiffs, a reasonable
    16   juror could infer from the Amended Complaint that the white workers violated
    36
    1   the same building code provision that the plaintiffs allegedly did by engaging in
    2   the same conduct at the same jobsite.4
    3           Finally, the defendants argue that the 34th Avenue Jobsite cannot serve as
    4   a comparator because NY Drilling was the general contractor on the site and
    5   therefore responsible for any violation issued to that location, regardless of
    6   whether the violation sanctioned the plaintiffs’ workers or the white workers.
    7   The defendants speculate that, if Burkart was, in fact, targeting the plaintiffs, he
    8   would have also sanctioned the white workers for the pool of water, presumably
    9   knowing that such a sanctioning would ultimately hurt NY Drilling. This
    10   argument, however, assumes facts that are not found in the Amended
    11   Complaint. The plaintiffs do not allege that NY Drilling was the general
    12   contractor on the 34th Avenue Jobsite. Nor does the Amended Complaint allege
    13   that any violation issued at a jobsite is issued to the jobsite’s general contractor,
    14   as opposed to the jobsite’s subcontractors. Instead, the Amended Complaint
    4 As support for their assertion that the plaintiffs must identify the specific Building Code
    provision that was violated by having a pool of water on the Jobsite, the defendants cite to the Fifth
    Circuit’s decision in Lindquist v. City of Pasadena Texas, 
    669 F.3d 225
    , 234 (5th Cir. 2012), which decision
    held that, in a case that “involves the application of an ordinance or statute, the plaintiff’s and
    comparators’ relationships with the ordinance at issue will generally be a relevant characteristic for
    purposes of the similarly‐situated analysis.” However, Lindquist was decided at the summary judgment
    stage, not on a motion to dismiss. 
    Id. at 227
    . Here, at the pleading stage, it can reasonably be inferred
    from the factual allegations of the Amended Complaint that the white workers and the plaintiffs violated
    the same building code provision by engaging in the same conduct at the same jobsite.
    37
    1   merely alleges that the plaintiffs were issued a notice of violation for performing
    2   work on a jobsite with a pool of water. To assume that NY Drilling was
    3   responsible for all violations issued at the 34th Avenue Jobsite, including any
    4   violation that could have been issued to the white workers, would be drawing
    5   inferences against the plaintiffs.
    6         Admittedly, the question of whether these factual allegations plausibly
    7   support a LeClair claim is a close one. The plaintiffs have certainly not made it
    8   easy for this court to conclude that they bear a reasonably close resemblance to
    9   the white workers at the 34th Avenue Jobsite. Nevertheless, drawing all
    10   inferences in favor of the plaintiffs, and resolving all ambiguities against the
    11   defendants, we conclude that these allegations are sufficient to satisfy the
    12   “reasonably close resemblance” standard of similarity that governs the plaintiffs’
    13   race‐based and malice‐based LeClair claims.
    14         The plausibility of their claims is strengthened by the Amended
    15   Complaint’s allegations of racial bias against Asians and personal malice against
    16   Hu, including the allegations that, inter alia, Burkart made explicitly racist
    17   comments; had a racist motive to discriminate against Asians; statistically gave
    18   more violations to Asian construction sites than did his colleagues; bragged
    38
    1   about his plans to shut down Hu’s jobsites; called Hu “a rat” for reporting a
    2   colleague to the FBI; hung a picture of Hu on his wall; and specifically searched
    3   DOB’s databases for construction worksites that employed Hu. These allegations
    4   satisfy the motive element of LeClair and help “nudge” the plaintiffs’ Equal
    5   Protection claims “across the line from conceivable to plausible.” Iqbal, 
    556 U.S. 6
       at 680 (quoting Twombly, 
    550 U.S. at 570
    ). Accordingly, we vacate the District
    7   Court’s dismissal of the plaintiffs’ LeClair selective enforcement claims of race‐
    8   based and malice‐based discrimination.5
    9                           b.      Olech Claim
    10           In contrast, none of the plaintiffs’ proffered comparators satisfy the more
    11   stringent similarity standard for an Olech claim.
    12           With regard to the 34th Avenue Jobsite, the plaintiffs’ factual allegations
    13   are too sparse to raise a reasonable inference that Burkart’s differential treatment
    14   of the plaintiffs and the white workers “lack[ed] any reasonable nexus with a
    5 We have not decided whether the Supreme Court’s decision in Engquist to bar Olech claims in
    the employment context also applies to malice‐based LeClair claims. See Spanierman v. Hughes, 
    576 F. Supp. 2d 292
    , 307 (D. Conn. 2008) (noting this uncertainty). We need not, and do not, resolve this issue
    today. Assuming arguendo that Engquist does apply to malice‐based LeClair claims, it would not preclude
    the plaintiffs from raising this type of claim in the present suit. As in other cases where we have
    concluded that Engquist did not bar a class of one claim, this case involves (1) the state acting as a
    sovereign rather than a proprietor; and (2) the defendants operating within a regulatory framework (i.e.,
    the building code) that articulates clear standards of conduct, limits their discretion, and provides
    mechanisms for challenging and reviewing their determinations (i.e., an Article 78 proceeding). See
    Analytical Diagnostic Labs, 
    626 F.3d at 142
    ; Fortress Bible Church, 694 F.3d at 222.
    39
    1   legitimate governmental policy.” Progressive Credit Union, 889 F.3d at 49 (quoting
    2   Neilson, 
    409 F.3d at 105
    ) (internal alterations omitted). The Amended Complaint
    3   is silent as to a whole host of potential factors that could legitimately justify
    4   Burkart’s behavior, including, inter alia, whether the white workers were
    5   engaged in the same type of work as the plaintiffs, the length of time between
    6   Burkart’s visits to the 34th Avenue Jobsite, and the identity of the white workers’
    7   employer. While we are not suggesting that any one of these omissions is
    8   dispositive, they are, together, fatal to the plaintiffs’ Olech claim. Absent the non‐
    9   conclusory allegations that Burkart had a race‐based animus against Asians and
    10   a personal grudge against Hu, it could not reasonably be inferred that the two
    11   situations were so identical as to “exclude the possibility that [Burkart] acted on
    12   the basis of a mistake.” 
    Id.
    13         The plaintiffs’ second proffered comparator fares no better. In particular,
    14   the plaintiffs allege that Burkart permitted Vera Construction, a non‐Asian
    15   company, to complete foundation work at the 43‐05 Jobsite, but then promptly
    16   shut down work at that location once 43 162 St. Management, an Asian company,
    17   became responsible for the construction site. The Amended Complaint,
    18   however, is devoid of facts suggesting that the plaintiffs worked at or were
    40
    1   otherwise involved with the 43‐05 Jobsite. Thus, notwithstanding the plaintiffs’
    2   conclusory assertions that they are similarly situated to Vera Construction and its
    3   owner, Burkart’s conduct at the 43‐05 Jobsite does not raise a plausible inference
    4   that Burkart treated the plaintiffs differently from Vera Construction. Thus,
    5   while this incident may tend to prove that Burkart was biased against Asians
    6   generally, it does not show that the plaintiffs were adversely affected by that bias.
    7   The 43‐05 Jobsite therefore provides no basis for reversing the District Court’s
    8   dismissal of the plaintiffs’ Olech claim, as a comparator only satisfies the pleading
    9   requirements of that claim if the comparator “received more favorable treatment
    10   than the plaintiff.” Neilson, 
    409 F.3d at 105
    .
    11         The plaintiffs’ third proffered comparator fails for the same reason. More
    12   specifically, the plaintiffs compare DOB’s lenient treatment of Westerman
    13   Construction Company (“Westerman”), a non‐Asian contractor who oversaw the
    14   West 22nd Jobsite, with DOB’s harsher treatment of certain unnamed “Asian
    15   construction professionals” who owned and operated a second jobsite located at
    16   20‐16 College Point Boulevard, College Point, New York (“the College Point
    17   Jobsite”). See Hu Appx. at A41 ¶ 221 – A43 ¶ 244. However, the plaintiffs do not
    18   allege that they worked at or were involved with the College Point Jobsite.
    41
    1   Accordingly, there are no factual allegations to suggest that the plaintiffs were
    2   adversely affected by DOB’s differential treatment of the two construction sites.
    3   If anything, it appears that the plaintiffs were on the benefiting end of DOB’s
    4   selective enforcement, as NY Drilling allegedly worked as a subcontractor at the
    5   West 22nd Jobsite.
    6         Finally, we reject the plaintiffs’ contention that they can satisfy the
    7   similarly situated standard based on a statistical showing that Burkart sanctioned
    8   Asians at higher rates than his colleagues did. Our caselaw makes clear that
    9   statistics cannot substitute for specific comparators in Olech or LeClair claims. See
    10   Ruston v. Town Bd. for Town of Skaneateles, 
    610 F.3d 55
    , 59 (2d Cir. 2010)
    11   (dismissing an Olech claim for failure to “allege specific examples” of similarly
    12   situated comparators); Albert v. Carovano, 
    851 F.2d 561
    , 573 (2d Cir. 1988) (“To
    13   support a claim of selective enforcement, appellants must allege purposeful and
    14   systematic discrimination by specifying instances in which they were singled out
    15   for unlawful oppression in contrast to others similarly situated.” (internal
    16   quotation marks and alterations omitted)). To prevail under either theory of
    17   Equal Protection, a plaintiff must specify at least one instance in which he was
    18   treated differently from another similarly situated. See Neilson, 
    409 F.3d at
    105
    42
    1   (holding that a plaintiff must identify “a comparator” whose circumstances are
    2   sufficiently similar). Thus, because none of the plaintiffs’ proffered comparators
    3   satisfy the similarity standard for an Olech cause of action, we affirm the District
    4   Court’s dismissal of that claim.
    5         C.     Section 1981 Claim
    6         For the same reasons that we vacate the District Court’s dismissal of the
    7   plaintiffs’ LeClair claims, we vacate its dismissal of the plaintiffs’ section 1981
    8   claim for race‐based interference with the plaintiffs’ rights to make and enforce
    9   contracts. As the District Court correctly noted, “plaintiffs must meet the same
    10   pleading standard for their § 1981 claims as for their § 1983 claims under the
    11   Equal Protection Clause.” Brown v. City of Oneonta, New York, 
    221 F.3d 329
    , 339
    12   (2d Cir. 2000). Thus, to prevail on a section 1981 claim, a plaintiff must allege at
    13   least one instance in which he was treated differently from a similarly situated
    14   non‐minority. 
    Id.
     (citing Albert, 
    851 F.2d at 573
    ). The section 1981 standard for
    15   determining whether a plaintiff and a comparator are similarly situated is
    16   identical to the similarity standard for a LeClair Equal Protection claim. Compare
    17   supra at 28–29, with Lizardo, 
    270 F.3d at 101
     (section 1981 race discrimination
    18   claim).
    43
    1           Recognizing these parallels, the District Court dismissed the plaintiffs’
    2   section 1981 claim for the same reason that it dismissed their Equal Protection
    3   claims, namely, failure to plausibly allege differential treatment of a similarly
    4   situated comparator. We now vacate, on that issue, having concluded that the
    5   Amended Complaint does, in fact, state an Equal Protection claim under LeClair.6
    6           D.       Due Process Claim
    7           The plaintiffs’ Due Process claim proceeds under two theories. First, they
    8   argue that the defendants’ discriminatory enforcement practices have deprived
    9   them of their right to pursue their occupation of choice, namely, construction
    10   work. Second, they rely on our decision in Chalfy v. Turoff, 
    804 F.2d 20
     (2d Cir.
    11   1986), to assert a “pattern of harassment” claim, alleging that the defendants
    12   have engaged in systematic and intentional harassment with the objective of
    13   driving the plaintiffs out of business. See Appellants’ Brief (“Pls.’ Mem.”) (Doc.
    6  We decline to consider whether the Amended Complaint plausibly alleges the other elements of
    a section 1981 claim, including whether the defendants’ conduct interfered with the making and
    enforcement of contracts. See Brown, 
    221 F.3d at 339
     (“To establish a claim under 
    42 U.S.C. § 1981
    ,
    plaintiffs must allege facts supporting the following elements: (1) plaintiffs are members of a racial
    minority; (2) defendantsʹ intent to discriminate on the basis of race; and (3) discrimination concerning one
    of the statuteʹs enumerated activities.”). Instead, the District Court should address these issues in the first
    instance if they arise on remand. See Booking v. Gen. Star Mgmt. Co., 
    254 F.3d 414
    , 418 (2d Cir. 2001) (“In
    general, a federal appellate court does not consider an issue not passed upon below.” (internal quotation
    marks omitted)).
    44
    1   No. 39), Case No. 18‐737, at 51–54. The District Court dismissed both claims, and
    2   we now affirm.
    3         As to the first theory, it is well established that “the liberty component of
    4   the Fourteenth Amendmentʹs Due Process Clause includes some generalized due
    5   process right to choose oneʹs field of private employment.” Conn v. Gabbert, 526
    
    6 U.S. 286
    , 291–92 (1999). That right, however, is “subject to reasonable
    7   government regulation.” 
    Id. at 292
    . “[B]rief interruption[s]” of work do not give
    8   rise to a Due Process claim. 
    Id.
     Instead, the Supreme Court, this Circuit, and the
    9   other Circuits addressing the issue have all indicated that the right of
    10   occupational choice is afforded Due Process protection only when a plaintiff is
    11   “complete[ly] prohibit[ed]” from engaging in his or her chosen profession. Id.
    12   (“These cases all deal with a complete prohibition of the right to engage in a
    13   calling, and not the sort of brief interruption which occurred here.”); United States
    14   v. Farhane, 
    634 F.3d 127
    , 137 (2d Cir. 2011) (reading Conn to imply that “due
    15   process is violated only by complete prohibition of the right to engage in a
    16   calling” (internal quotation marks omitted)); see also, e.g., Singleton v. Cecil, 176
    
    17 F.3d 419
    , 426 n.8 (8th Cir. 1999) (“The [Conn] Court then made clear that this
    18   right has been afforded substantive due process protection only when the
    45
    1   government completely prohibits, rather than briefly interrupts, a person from
    2   engaging in his desired occupational field.” (internal quotation marks and
    3   alterations omitted)); Lowry v. Barnhart, 
    329 F.3d 1019
    , 1023 (9th Cir. 2003) (“This
    4   indirect and incidental burden on professional practice is far too removed from a
    5   complete prohibition to support a due process claim.”).
    6         In this case, the plaintiffs allege that the defendants’ enforcement actions
    7   have cost them money, clients, and future business opportunities. However,
    8   business losses alone do not implicate the Due Process right of occupational
    9   choice. See JWJ Indus., Inc. v. Oswego Cty., 538 F. Appʹx 11, 14 (2d Cir. 2013) (“Due
    10   process has not been construed to preclude government actions that adversely
    11   affect a businessʹs profitability.”). To prevail on such a claim, a plaintiff must
    12   allege facts suggesting that a defendant’s conduct has “operate[d] as a complete
    13   prohibition on his ability to practice [his chosen profession].” Franceschi v. Yee,
    14   
    887 F.3d 927
    , 938 (9th Cir.), cert. denied, 
    139 S. Ct. 648
     (2018). Nothing in the
    15   Amended Complaint plausibly suggests that the plaintiffs have been driven out
    16   of the construction business, or even that they are on the verge of shutting down.
    17   If anything, the Amended Complaint appears to anticipate the plaintiffs’
    18   continued operations in the construction industry. See Hu Appx. at A44 ¶ 256
    46
    1   (“Burkart and the Inspector Defendants are not only causing Hu to lose current
    2   income streams, but are also damaging his reputation, which will lead to further
    3   future losses.”).
    4         Nor can the plaintiffs create a Due Process claim by alleging that it is
    5   Burkart’s “objective” to put them out of business. See Pls.’ Mem. at 50. When
    6   determining whether a burden amounts to a complete prohibition of the right to
    7   engage in a calling, courts have focused on the effects of a defendant’s conduct,
    8   not on the intentions underlying that conduct. See, e.g., Lowry, 
    329 F.3d at
    1023
    9   (discussing the degree to which the defendant’s conduct interfered with the
    10   plaintiffs’ professional practice); Grider v. Abramson, 
    180 F.3d 739
    , 752 n.17 (6th
    11   Cir. 1999) (same). The concept of “complete prohibition” will not stretch so far as
    12   to cover cases where, as here, the defendant’s mal‐intent is clear but the actual
    13   risk that the plaintiff will be excluded from her profession of choice is
    14   speculative. Thus, because the plaintiffs did not allege facts suggesting that the
    15   defendants have effectively prohibited them from engaging in construction
    16   work, we affirm the District Court’s dismissal of the plaintiffs’ Due Process claim
    17   for infringement of their right of occupational choice.
    47
    1         As to their second theory of Due Process, the plaintiffs rely on our decision
    2   in Chalfy, in which we suggested that a plaintiff could make out a substantive
    3   Due Process claim by showing that government officials engaged in systematic
    4   and intentional harassment in an attempt to drive the plaintiff out of business.
    5   See Chalfy, 
    804 F.2d at
    22–23; see also Interport Pilots Agency, Inc. v. Sammis, 
    14 F.3d 6
       133, 144 (2d Cir. 1994) (characterizing Chalfy as a theory of substantive Due
    7   Process). While we have not revisited this “pattern of harassment” theory of Due
    8   Process since deciding Chalfy, district courts in this Circuit have continued to
    9   treat it as a viable cause of action. See, e.g., Bertuglia v. City of New York, 
    839 F. 10
       Supp. 2d 703, 719 (S.D.N.Y. 2012) (denying the defendants’ motion to dismiss as
    11   to some of the plaintiffs’ Chalfy claims).
    12         In this case, the District Court dismissed the plaintiffs’ Chalfy claim on the
    13   grounds that the enforcement actions described in the Amended Complaint did
    14   not rise to the level of systematic and intentional harassment. We affirm the
    15   dismissal on different grounds, concluding that the plaintiffs’ substantive Due
    16   Process claim is subsumed by their Equal Protection claim.
    17         In the years following our decision in Chalfy, the Supreme Court narrowed
    18   the scope of substantive Due Process to claims that are not covered by other
    48
    1   provisions of the Constitution. See Graham v. Connor, 
    490 U.S. 386
    , 394–95 (1989)
    2   (holding that excessive force claims should be analyzed under the Fourth
    3   Amendment, rather than under substantive Due Process); Albright v. Oliver, 510
    
    4 U.S. 266
    , 273 (1994) (plurality) (limiting the scope of substantive Due Process to
    5   claims that do not have “an explicit textual source of constitutional protection”);
    6   Conn, 526 U.S. at 293 (same). It is now well established that, “[w]here another
    7   provision of the Constitution provides an explicit textual source of constitutional
    8   protection, a court must assess a plaintiffʹs claims under that explicit provision
    9   and not the more generalized notion of substantive due process.” Southerland v.
    10   City of New York, 
    680 F.3d 127
    , 142–43 (2d Cir. 2012) (quoting Kia P. v. McIntyre,
    11   
    235 F.3d 749
    , 757–58 (2d Cir. 2000)). In this case, the plaintiffs’ Chalfy claim and
    12   Equal Protection claim both rest on the same set of factual allegations, namely:
    13   that Burkart and his colleagues selectively enforced the building code against the
    14   plaintiffs based on Burkart’s racial animus towards Asians and his personal
    15   animus towards Hu. As a result, the plaintiffs’ substantive Due Process
    16   allegations are subsumed by their more particular allegations of Equal Protection
    17   violations. See Velez v. Levy, 
    401 F.3d 75
    , 94 (2d Cir. 2005) (holding that the
    18   plaintiff’s substantive due process claim was subsumed by the alleged First
    49
    1   Amendment and Equal Protection violations); Terminate Control Corp. v. Horowitz,
    2   
    28 F.3d 1335
    , 1351 n.8 (2d Cir. 1994) (dismissing a plaintiff’s substantive Due
    3   Process claim because it was duplicative of the plaintiff’s Equal Protection claim);
    4   see also Wilson v. Birnberg, 
    667 F.3d 591
    , 599 (5th Cir. 2012) (disregarding the
    5   plaintiff’s substantive due process claims because they were “rooted in
    6   procedural due process, the Equal Protection Clause, and the First
    7   Amendment”). We therefore affirm the District Court’s dismissal of the Chalfy
    8   claim on different grounds, concluding that this claim must be analyzed under
    9   the Equal Protection Clause.7
    10           E.      Monell Claim
    11           We also affirm the dismissal of the plaintiffs’ Monell claim against the City,
    12   concluding, as the lower court did, that the plaintiffs have not plausibly alleged
    13   the existence of an official municipal policy.
    14           To bring a section 1983 lawsuit for municipal liability, “a plaintiff must
    15   prove that action pursuant to official municipal policy caused the alleged
    16   constitutional injury.” Cash v. Cty. of Erie, 
    654 F.3d 324
    , 333 (2d Cir. 2011)
    7 In reaching this outcome, we do not mean to suggest that Chalfy is a dead letter. There may be
    situations in which a Chalfy claim is not covered by an explicit provision of the Constitution. However,
    on the factual allegations presented in this case, we conclude that the plaintiffs’ Chalfy claim for
    intentional and systematic government harassment is precluded by their Equal Protection claims.
    50
    1   (internal quotation marks omitted). This requirement follows from the principle
    2   that, “under § 1983, local governments are responsible only for their own illegal
    3   acts.” Connick v. Thompson, 
    563 U.S. 51
    , 60 (2011) (internal quotation marks
    4   omitted). In other words, “a city cannot be held liable under § 1983 on a theory
    5   of respondeat superior.” Amnesty Am. v. Town of W. Hartford, 
    361 F.3d 113
    , 125 (2d
    6   Cir. 2004). Instead, “a plaintiff must demonstrate that, through its deliberate
    7   conduct, the municipality was the moving force behind the alleged injury.” Roe
    8   v. City of Waterbury, 
    542 F.3d 31
    , 37 (2d Cir. 2008) (internal quotation marks
    9   omitted).
    10         An official municipal policy can take a variety of forms. See, e.g., Cash, 654
    11   F.3d at 334 (“A municipal policy may be pronounced or tacit and reflected in
    12   either action or inaction.”). This case, however, only implicates two theories of
    13   municipal action, namely: (1) that a policymaking officer ratified the
    14   discriminatory enforcement practices of Burkart and his colleagues; and (2) that
    15   these unconstitutional practices were so widespread, persistent, and manifest as
    16   to imply constructive acquiescence on the part of the City.
    17         To prevail on the first theory, a plaintiff must allege facts suggesting that
    18   an officer with final policymaking authority ordered, ratified, or “was aware of a
    51
    1   subordinate’s unconstitutional actions, and consciously chose to ignore them,
    2   effectively ratifying the actions.” Amnesty Am., 
    361 F.3d at 126
    . A plaintiff need
    3   only identify one such decision to bring a Monell claim, for “even a single action
    4   by a decisionmaker who possesses final authority to establish municipal policy
    5   with respect to the action ordered may deprive the plaintiff of his or her
    6   constitutional rights.” Montero v. City of Yonkers, New York, 
    890 F.3d 386
    , 403 (2d
    7   Cir. 2018) (internal quotation marks and alterations omitted). The question of
    8   whether an official “possessed final policymaking authority is a legal question,
    9   which is to be answered on the basis of state law, . . . includ[ing] state and local
    10   positive law, as well as custom or usage having the force of law.” Jeffes v. Barnes,
    11   
    208 F.3d 49
    , 57 (2d Cir. 2000) (internal quotation marks, citations, and alterations
    12   omitted).
    13         As support for their ratification theory of municipal action, the plaintiffs
    14   point to Hu’s 2011 meeting with Burkart, an unnamed aide to a New York City
    15   Councilman, and Inspector Kaleid, the head of the Concrete Enforcement Unit
    16   (“CEU”) at the time. During this meeting, Inspector Kaleid allegedly dismissed
    17   Hu’s concerns about Burkart’s targeting of Asian construction workers and
    18   companies, stating that “[Burkart] is good for the City because he generates a lot
    52
    1   of revenue through his issuance of notices of violation.” Hu Appx. at A25 ¶ 83.
    2   The plaintiffs contend that Inspector Kaleid’s response amounted to a
    3   “ratification [that] gave license for DOB Inspectors to engage in such
    4   misconduct[.]” Appellants’ Reply Brief (Doc. No. 76), Case No. 18‐737, at 23.
    5           Nothing in the Amended Complaint, however, suggests that Inspector
    6   Kaleid possessed final policymaking authority over Burkart’s enforcement
    7   practices. The plaintiffs themselves appear to acknowledge in their Amended
    8   Complaint that New York law vests DOB Commissioner Chandler, not Inspector
    9   Kaleid, with final policymaking authority over DOB enforcement practices.
    10   There is no basis in the Amended Complaint for concluding that custom or usage
    11   imbued Inspector Kaleid with such authority. Nor is there a basis for attributing
    12   Inspector Kaleid’s dismissal of Hu’s grievances to Commissioner Chandler.
    13   Indeed, the Amended Complaint is devoid of factual allegations suggesting that
    14   Commissioner Chandler was personally involved in, or aware of, the 2011
    15   meeting, Burkart’s discriminatory enforcement practices, or any other
    16   unconstitutional actions taken by DOB’s subordinate officers.8 As a result, the
    8The Amended Complaint also alleges in conclusory terms that the City and Chandler “were [ ]
    on notice” due to Hu’s complaint to the FBI regarding Dabusco. Hu Appx. at A60 ¶ 352. The plaintiffs
    do not press this argument on appeal, which, in any event, has no merit. It cannot be reasonably inferred
    that Hu’s FBI complaint, which alleged that Dabusco was engaging in extortion, put the City on notice
    53
    1   plaintiffs have not raised a plausible inference that their constitutional injuries
    2   were caused by a City official with final policymaking authority.
    3           The plaintiffs’ second theory of municipal action seeks to hold the City
    4   liable based on constructive notice. While “isolated acts by non‐policymaking
    5   municipal employees are generally not sufficient to demonstrate a municipal
    6   custom, policy, or usage that would justify liability,” we have recognized that
    7   “they can be the basis of liability if they . . . were sufficiently widespread and
    8   persistent to support a finding that they constituted a custom, policy, or usage of
    9   which supervisors must have been aware.” Matusick v. Erie Cty. Water Auth., 757
    
    10 F.3d 31
    , 62 (2d Cir. 2014) (internal quotation marks and alterations omitted). To
    11   prevail on such a theory of Monell liability, a plaintiff need not identify an
    12   express rule or regulation that embodies the alleged unconstitutional practice
    13   among subordinate municipal employees. Green v. City of New York, 
    465 F.3d 65
    ,
    14   80 (2d Cir. 2006). However, the plaintiff must show that “the alleged practice
    15   [was] so manifest as to imply the constructive acquiescence of senior policy‐
    16   making officials.” 
    Id.
     (internal quotation marks omitted).
    that other DOB officials were targeting the plaintiffs for unwarranted building code violations on the
    basis of race and personal animus.
    54
    1         The allegations of misconduct in this case do not rise to such a level. The
    2   Amended Complaint only identifies four instances in which the plaintiffs were
    3   alleged to have been unfairly sanctioned by DOB. Although the plaintiffs argue
    4   that these specific enforcement actions are illustrative of a larger pattern of
    5   unconstitutional targeting, they do not allege facts to suggest that this larger
    6   pattern of targeting qualifies as widespread, persistent, or otherwise manifest
    7   behavior.
    8         Similarly, while the plaintiffs claim that Burkart enlisted the help of other
    9   DOB employees to target and harass the plaintiffs, the Amended Complaint does
    10   not allege how many DOB employees were involved in the scheme, whether
    11   these accomplices represented a large or small share of DOB inspectors or
    12   personnel, the frequency with which these accomplices assisted in discriminatory
    13   enforcement practices, or any other facts that might indicate the extent to which
    14   DOB personnel helped Burkart carry out his alleged personal vendetta against
    15   Hu and other Asians in the construction industry. As a result, it is entirely
    16   unclear whether DOB’s targeting of the plaintiffs is the product of a few rogue
    17   officials, a department‐wide effort, or something in between.
    55
    1         Likewise, the allegations that Burkart made racist remarks do not raise a
    2   plausible inference that senior policymaking officers should have known of the
    3   discriminatory enforcement practices. While the Amended Complaint alleges
    4   that Burkart has been overheard harassing Asian workers, calling Hu a rat, and
    5   bragging about his plans to drive the plaintiffs out of business, it is silent as to
    6   the number and identities of the listeners. As a result, there is no basis for
    7   concluding that these remarks were made “with sufficient frequency or in such a
    8   manner that the attitude would have been known to supervisory personnel.”
    9   Jones v. Town of East Haven, 
    691 F.3d 72
    , 82 (2d Cir. 2012). Similarly, while
    10   Burkart’s dislike of Hu and Asians may have been an open secret among
    11   construction industry professionals, there are no factual allegations to suggest
    12   that Burkart communicated this attitude directly to senior policymaking officers
    13   or in a manner that should have made senior policymaking officers aware of his
    14   discriminatory animus.
    15         In short, the Amended Complaint provides no basis for concluding that
    16   the defendants’ discriminatory enforcement actions against the plaintiffs
    17   “represent[ed] the conscious choices of the municipality itself.” Amnesty Am.,
    18   
    361 F.3d at 126
    . While it can reasonably be inferred that the plaintiffs have been
    56
    1   the victims of persistent harassment by several subordinate officers at DOB, the
    2   factual allegations do not “compel[ ] the conclusion that the local government
    3   has acquiesced in or tacitly authorized its subordinates’ unlawful actions.”
    4   Reynolds v. Giuliani, 
    506 F.3d 183
    , 192 (2d Cir. 2007). Accordingly, we affirm the
    5   District Court’s dismissal of the plaintiffs’ Monell claim.9
    6           F.      Dismissal with Prejudice
    7           Finally, the plaintiffs argue that, even if the District Court properly
    8   dismissed their federal claims under Rule 12(b)(6), it erred by dismissing those
    9   claims with prejudice. It is true that, in general, courts should “freely give leave”
    10   to amend pleadings “when justice so requires.” Fed. R. Civ. P. 15(a)(2).
    11   However, we have also held that “no court can be said to have erred in failing to
    12   grant a request that was not made.” Gallop v. Cheney, 
    642 F.3d 364
    , 369 (2d Cir.
    9  The plaintiffs attempt to blame the defendants for any insufficiencies in their Monell claim,
    arguing that the defendants have not timely responded to the freedom of information requests that they
    made pursuant to New York law. We are not persuaded by this argument. As the alleged victims of the
    defendants’ discriminatory targeting, the plaintiffs presumably possessed information on the number and
    types of sanctions and violations that they have received over the years. Nevertheless, their Amended
    Complaint fails to describe, in even general terms, the overall volume and frequency of enforcement
    actions taken against the plaintiffs. Moreover, even if the plaintiffs did not personally keep records of
    this information, they conceded at oral argument that DOB posts building code violations on its website.
    Thus, the plaintiffs do not face the situation where the facts that they need to plead their Monell claim
    “are peculiarly within the possession and control of the defendant[.]” Citizens United v. Schneiderman, 
    882 F.3d 374
    , 384 (2d Cir. 2018) (internal quotation marks omitted); see also Amnesty Am., 
    361 F.3d at
    130 n.10
    (noting that, on a motion to dismiss a Monell claim for failure to train, a plaintiff is not required to
    “identify a specific deficiency in the [ ] training program or to establish a causal link between the lack of
    training and the misconduct [because] [i]t is unlikely that a plaintiff would have information about the
    city’s training programs or about the cause of the misconduct at the pleading stage[.]”).
    57
    1   2011); see also Horoshko v. Citibank, N.A., 
    373 F.3d 248
    , 249–50 (2d Cir. 2004)
    2   (“[The] contention that the District Court abused its discretion in not permitting
    3   an amendment that was never requested is frivolous.”). Because the plaintiffs in
    4   this case never requested leave to amend their Amended Complaint, the District
    5   Court did not err in declining to sua sponte grant leave to amend. We therefore
    6   affirm the lower court’s decision to dismiss with prejudice the plaintiffs’ Olech
    7   claim, Due Process claim, and Monell claim.10
    8           G.      State Claim
    9           The District Court declined to exercise supplemental jurisdiction over the
    10   plaintiffs’ state tax claim on the grounds that it had dismissed all of their federal
    11   claims. Having reinstated the plaintiffs’ LeClair claims, we vacate the District
    12   Court’s decision to remand the state claim to state court. On remand, the District
    13   Court may reconsider whether to exercise supplemental jurisdiction in light of
    14   the new posture of the case.
    10 On appeal, the plaintiffs also argue that the District Court erred by not permitting them to
    conduct jurisdictional discovery. This argument, however, is frivolous because the plaintiffs never made
    such a request to the District Court. Moreover, based on the plaintiffs’ description of the discovery that
    they seek to elicit from the defendants, it appears that the plaintiffs seek discovery on the merits of their
    claims, rather than on jurisdictional issues.
    58
    1   V.    CONCLUSION
    2         For the foregoing reasons, the judgment below is AFFIRMED in part
    3   insofar as the District Court dismissed the plaintiffs’ Olech claim, Due Process
    4   claim, and Monell claim. It is VACATED in part insofar as the District Court
    5   dismissed the plaintiffs’ section 1981 claim and their Equal Protection claims
    6   under LeClair for race‐based and malice‐based selective enforcement. We
    7   VACATE the District Court’s decision to decline to exercise supplemental
    8   jurisdiction over the plaintiffs’ state law claim, and we REMAND this case for
    9   further proceedings consistent with this opinion.
    59
    

Document Info

Docket Number: Docket 18-737-cv; August Term 2018

Judges: Jacobs, Lynch, Hall

Filed Date: 6/13/2019

Precedential Status: Precedential

Modified Date: 10/19/2024

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