Philip Palade, Gregory Borse, and J. Thomas Sullivan, on Behalf of Themselves and All Others Similarly Situated v. Board of Trustees of the University of Arkansas System Ed Fryar, ph.D., in His Official Capacity as Trustee Steve Cox, in His Official Capacity as Trustee Tommy Boyer, in His Official Capacity as Trustee Sheffield Nelson, in His Official Capacity as Trustee C.C. Gibson, in His Official Capacity as Trustee Stephen Broughton, M.D., in His Official Capacity as Trustee Kelly Eichler, in Her Official Capacity as Trustee Morril Harriman, in His Official Capacity as Trustee Mark Waldrip, in His Official Capacity as Trustee And John Goodson, in His Official Capacity as Trustee ( 2022 )


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  •                          Cite as 
    2022 Ark. 119
    SUPREME COURT OF ARKANSAS
    No.   CV-21-624
    Opinion Delivered: June 2, 2022
    PHILIP PALADE, GREGORY BORSE,
    AND J. THOMAS SULLIVAN, ON
    BEHALF OF THEMSELVES AND ALL
    OTHERS SIMILARLY SITUATED      APPEAL FROM THE PULASKI
    APPELLANTS COUNTY CIRCUIT COURT,
    SEVENTEENTH DIVISION
    V.                             [NO. 60CV-20-3218]
    BOARD OF TRUSTEES OF THE         HONORABLE MACKIE M. PIERCE,
    UNIVERSITY OF ARKANSAS           JUDGE
    SYSTEM; ED FRYAR, PH.D., IN HIS
    OFFICIAL CAPACITY AS TRUSTEE;
    STEVE COX, IN HIS OFFICIAL       AFFIRMED.
    CAPACITY AS TRUSTEE; TOMMY
    BOYER, IN HIS OFFICIAL
    CAPACITY AS TRUSTEE; SHEFFIELD
    NELSON, IN HIS OFFICIAL
    CAPACITY AS TRUSTEE; C.C.
    GIBSON, IN HIS OFFICIAL
    CAPACITY AS TRUSTEE; STEPHEN
    BROUGHTON, M.D., IN HIS
    OFFICIAL CAPACITY AS TRUSTEE;
    KELLY EICHLER, IN HER OFFICIAL
    CAPACITY AS TRUSTEE; MORRIL
    HARRIMAN, IN HIS OFFICIAL
    CAPACITY AS TRUSTEE; MARK
    WALDRIP, IN HIS OFFICIAL
    CAPACITY AS TRUSTEE; AND JOHN
    GOODSON, IN HIS OFFICIAL
    CAPACITY AS TRUSTEE
    APPELLEES
    COURTNEY RAE HUDSON, Associate Justice
    Appellants Philip Palade, Gregory Borse, and J. Thomas Sullivan, on behalf of
    themselves and all others similarly situated, appeal from the Pulaski County Circuit Court’s
    order dismissing without prejudice their claims against appellees, the Board of Trustees of
    the University of Arkansas System and Ed Fryar, Ph.D., Steve Cox, Tommy Boyer,
    Sheffield Nelson, C.C. Gibson, Stephen Broughton, M.D., Kelly Eichler, Morril Harriman,
    Mark Waldrip, and John Goodson, in their official capacities as Trustees (collectively, “the
    Board”). For reversal, appellants argue that the circuit court erred by determining that they
    lacked standing and that their claims were unripe and nonjusticiable. We affirm.
    In May 2019, appellants, as tenured faculty members employed by the University of
    Arkansas System, filed suit in federal district court against the Board seeking declaratory and
    injunctive relief based on alleged violations of both federal and Arkansas law. The complaint
    asserted that on March 29, 2018, the Board adopted revisions to Policy 405.1 (“Revised
    Policy”), which governs faculty promotion, tenure, and annual reviews. Appellants claimed
    that when the Board passed the Revised Policy, it unilaterally and without the consent of
    appellants or others in the class made material changes to tenured and tenure-track faculty
    member’s contractual rights as employees and violated their constitutional rights.
    Specifically, appellants complained about the changes that were made to the section defining
    cause for termination. The complaint alleged violations of the United States Constitution’s
    Contracts and Due-Process Clauses, as well as First Amendment and Academic Freedom
    claims. Appellants also asserted state claims under the Arkansas Constitutions’ Contracts and
    Free Communication Clauses and the Arkansas common law of contracts. The Board filed
    a motion to dismiss the action, arguing that the state-law claims were barred by the Eleventh
    2
    Amendment and sovereign immunity and that the remaining claims should be dismissed
    based on lack of standing, unripeness, and failure to state a claim. Appellants conceded that
    the state-law claims were prohibited by the Eleventh Amendment, and the district court
    dismissed these claims on that basis. Palade v. Bd. of Trustees of the Univ. of Ark., No.
    4:19CV379-JM (E.D. Ark. Mar. 16, 2020). With regard to the federal claims, the district
    court agreed that the claims were not ripe and did not present a justiciable controversy and
    granted the Board’s motion to dismiss. Id.1
    On June 2, 2020, appellants filed a class-action complaint in the Pulaski County
    Circuit Court, reasserting the same state-law claims that were dismissed in the federal suit.
    Appellants again focused their allegations on the Revised Policy’s changes to the section on
    cause for termination of employment, and they attached the old and new versions of the
    policy to the complaint. The original Policy 405.1, which was in effect from October 2,
    2001, until March 29, 2018, contained the following definition of cause:
    “Cause” is defined as conduct which demonstrates that the faculty member lacks the
    ability or willingness to perform his or her duties or to fulfill his or her responsibilities
    to the University; examples of such conduct include (but are not limited to)
    incompetence, neglect of duty, intellectual dishonesty, and moral turpitude.
    The Revised Policy adopted on March 29, 2018, however, stated:
    Cause is defined as conduct that demonstrates the faculty member lacks the
    willingness or ability to perform duties or responsibilities to the University, or that
    otherwise serves as a basis for disciplinary action. Pursuant to procedures set out
    herein or in other University or campus policies, a faculty member may be disciplined
    or dismissed for cause on grounds including, but not limited to, (1) unsatisfactory
    performance, consistent with the requirements of section V.A.9 below, concerning
    1
    Appellants appealed to the Eighth Circuit, which summarily affirmed the dismissal.
    Palade v. Bd. of Trustees of the Univ. of Ark., 
    830 Fed. Appx. 171
     (8th Cir. 2020). Appellants’
    petition for a writ of certiorari with the United States Supreme Court was also denied on
    October 4, 2021.
    3
    annual reviews; (2) professional dishonesty or plagiarism; (3) discrimination,
    including harassment or retaliation, prohibited by law or university policy; (4)
    unethical conduct related to fitness to engage in teaching, research, service/outreach
    and/or administration, or otherwise related to the faculty member’s employment or
    public employment; (5) misuse of appointment or authority to exploit others; (6)
    theft or intentional misuse of property; (7) incompetence or a mental incapacity that
    prevents a faculty member from fulfilling his or her job responsibilities; (8) job
    abandonment; (9) a pattern of conduct that is detrimental to the productive and
    efficient operation of the instructional or work environment; (10) refusal to perform
    reasonable duties; (11) threats or acts of violence or retaliatory conduct; or (12)
    violation of University policy, or state or federal law, substantially related to
    performance of faculty responsibilities or fitness to serve the University. Nothing in
    this provision is intended to inhibit expression that is protected under principles of
    academic freedom, or state or federal law.
    Appellants alleged that the Revised Policy, which by its terms applied to all faculty,
    including those who had already obtained tenure or entered the tenure-track, made both
    quantitative and qualitative changes to the definition of cause. Appellants claimed that by
    adding the phrase “or that otherwise serves as a basis for disciplinary action,” as well as listing
    additional types of conduct warranting discipline or dismissal, the Board both expanded the
    number of grounds that justify termination and adopted entirely new types of grounds for
    dismissal. Based on these changes, appellants asserted that the Revised Policy violated the
    Contracts Clause contained in Article 2, Section 17 of the Arkansas Constitution by
    substantially impairing the contractual relationship between the class and the Board without
    a legitimate public purpose to justify the revisions; that the Revised Policy constituted an
    impermissible modification of the Board’s contract with the class members without their
    consent under the Arkansas common law of contracts; and that the Revised Policy violated
    the class’s rights under the Free Communication Clause found in Article 2, Section 6 of the
    Arkansas Constitution.
    4
    On July 20, 2020, the Board filed an answer to the complaint, as well as a motion
    for judgment on the pleadings. In its motion, the Board asserted that it had amended its
    policy on faculty tenure and promotion more than a dozen times during the last fifty years
    and that all of the more recent revisions have expressly reserved the right to amend “any
    portion” of the tenure policy “at any time in the future.” The Board indicated that the
    Revised Policy addresses performance expectations and clarifies, rather than expands, its
    conduct standards. According to the Board, it interpreted the phrase “otherwise constitutes
    a basis for dismissal” in the Revised Policy as merely referring to the list of examples of
    “cause,” and there was no basis for predicting that the University would take an
    impermissibly expansive view of the various examples. In addition, the Board noted that
    the revised definition of cause states that nothing in that provision is intended to inhibit
    expression protected under principles of academic freedom or state or federal law, and a
    separate section further guarantees academic freedom and the right to speak on matters of
    public concern. The Board argued that appellants had not alleged any facts suggesting that
    their current employment was in jeopardy, that they had been threatened with disciplinary
    action under the Revised Policy, or that they had engaged in conduct violative of the
    Revised Policy; nor had appellants made any non-conclusory allegations in their complaint
    regarding plans to engage in conduct that would plausibly be prohibited by the Revised
    Policy but allowed by the prior version. Thus, the Board claimed that appellants’ contract
    and free speech claims were unripe and nonjusticiable and that appellants lacked standing.
    The Board also argued that appellants had failed to plead facts demonstrating that an
    5
    unconstitutional or illegal action had occurred, is about to occur, or has been threatened,
    and therefore, the suit was also barred by sovereign immunity.
    Following a response by appellants and a reply by the Board, the Board filed a
    supplemental motion to dismiss on August 4, 2021, alleging that appellants’ claims were also
    barred by collateral estoppel based on the dismissal of their similar claims in federal court.
    The circuit court held a hearing on the motions on August 30, 2021. On September 2,
    2021, the circuit court entered an order granting the Board’s motion for judgment on the
    pleadings and dismissing the complaint without prejudice. The court found that appellants
    lacked standing and that their claims were unripe and nonjusticiable. The circuit court
    stated that appellants “claims are speculative[,] and they have failed to demonstrate actual or
    imminent injury or harm.” The court specifically noted that it did not consider text
    messages or other evidence presented by counsel for the Board as proof that appellants’
    conduct had not been restrained under the Revised Policy because these items were outside
    the scope of the pleadings. The circuit court did not rule on the Board’s alternative grounds
    for dismissal, such as sovereign immunity. Appellants filed a timely notice of appeal from
    the circuit court’s order.
    On appeal, appellants argue that the circuit court erred by granting the Board’s
    motion for judgment on the pleadings on the bases that appellants lacked standing and that
    their claims were unripe and nonjusticiable. A motion for judgment on the pleadings is
    appropriate if the pleadings show on their face that there is no merit to the suit. Monsanto
    Co. v. Ark. State Plant Bd., 
    2021 Ark. 103
    , 
    622 S.W.3d 166
    . When reviewing a grant of
    judgment on the pleadings, we view the facts alleged in the complaint as true and in the
    6
    light most favorable to the party seeking relief. 
    Id.
     We will affirm the circuit court’s decision
    in the absence of an abuse of discretion. 
    Id.
     Issues of law such as standing or justiciability,
    however, are reviewed de novo on appeal. Baptist Health Sys. v. Rutledge, 
    2016 Ark. 121
    ,
    
    488 S.W.3d 507
    ; Nelson v. Ark. Rural Med. Practice Loan & Scholarship Bd., 
    2011 Ark. 491
    ,
    
    385 S.W.3d 762
    .
    Appellants contend that they have standing to bring this action under the Declaratory
    Judgment Act, 
    Ark. Code Ann. §§ 16-111-101
     et seq. (Repl. 2019). The purpose of the
    declaratory-judgment statutory scheme is “to settle and to afford relief from uncertainty and
    insecurity with respect to rights, status and other legal relations,” and it “is to be liberally
    construed and administered.” 
    Ark. Code Ann. § 16-111-112
    . Section 16-111-102 provides
    that “[a]ny person interested under a . . . written contract or other writings constituting a
    contract, or whose rights, status, or other legal relations are affected by a . . . contract . . .
    may have determined any question of construction or validity arising under the . . . contract
    . . . and obtain a declaration of rights, status or other legal relations thereunder.”
    We have held that the following elements must be established to obtain declaratory
    relief: (1) a justiciable controversy; that is to say, a controversy in which a claim of right is
    asserted against one who has an interest in contesting it; (2) the controversy must be between
    persons whose interests are adverse; (3) the party seeking declaratory relief must have a legal
    interest in the controversy; in other words, a legally protectable interest; and (4) the issue
    involved in the controversy must be ripe for judicial determination. Baptist Health, supra;
    Nelson, supra. See also 
    Ark. Code Ann. § 16-111-106
     (stating that a court may refuse to
    7
    enter a declaratory judgment where such judgment would not terminate the uncertainty or
    controversy giving rise to the proceeding). As we explained in Nelson,
    [t]he Declaratory Judgment Statute is applicable only where there is a present actual
    controversy, and all interested persons are made parties, and only where justiciable
    issues are presented. It does not undertake to decide the legal effect of laws upon a
    state of facts which is future, contingent or uncertain. A declaratory judgment will
    not be granted unless the danger or dilemma of the plaintiff is present, not contingent
    on the happening of hypothetical future events; the prejudice to his position must be
    actual and genuine and not merely possible, speculative, contingent, or remote.
    Id. at 12, 385 S.W.3d at 769.
    Appellants contend that they have established all of the elements necessary to be
    entitled to declaratory relief. They assert that a justiciable controversy exists regarding the
    validity of the Board’s unilateral modifications of the tenure and dismissal policy and its
    retroactive application to appellants. In addition, appellants argue that the parties are
    adverse, that they have a legally protectable interest in their tenure contracts, and that the
    dispute is ripe for adjudication because the injury, i.e., the modification of their contract
    without their consent, has already occurred. Appellants claim that it is not necessary for
    them to wait until they are faced with an imminent threat of disciplinary action or
    termination under the Revised Policy to bring this action and cite Jegley v. Picado, 
    349 Ark. 600
    , 
    80 S.W.3d 332
     (2002), in support.
    In Jegley, the prosecutor argued that the plaintiffs’ suit challenging the
    constitutionality of the sodomy statute was not justiciable because plaintiffs had shown no
    credible threat of imminent prosecution. We rejected that argument, noting that we had
    not always required prosecution or a specific threat of prosecution as a prerequisite for
    challenging a statute. 
    Id.
     Instead, because the plaintiffs claimed that they were presently
    8
    engaged in the same type of conduct prohibited by the statute and intended to continue to
    engage in that conduct, the State had refused to disavow enforcement of the statute, and
    there had been previous prosecutions under that statute for public and nonconsensual
    conduct, we determined that the plaintiffs were not without reason to fear prosecution and
    were therefore entitled to bring their declaratory-judgment action. 
    Id.
    We hold that Jegley is distinguishable from the situation in the present case, where
    the harm alleged by appellants is uncertain, hypothetical, and speculative.           In their
    complaint, appellants alleged violations of the Contracts Clause and the Arkansas common
    law of contracts based upon their contention that the Board might, in the future, apply the
    Revised Policy to unspecified conduct that could not have been the subject of disciplinary
    action under the prior version of the policy. Appellants did not claim that they had engaged
    in a specific type of conduct that would be included in the revised definition of cause; nor
    did they claim that they intended to engage in such conduct. Appellants have also not
    alleged that any other faculty members have been disciplined or dismissed based on actions
    or speech that would not have been prohibited under the previous policy. Further, the
    Board has asserted that the revisions to the definition of cause were intended only to clarify,
    rather than expand, the type of behavior that would be cause for discipline or termination.
    As the district court stated in the parties’ federal suit, “Plaintiffs’ allegations of the
    University’s possible use of the Revised Policy to discipline or terminate a faculty member
    for reasons not covered or beyond those allowed in the original policy are speculative.”
    Palade, No. 4:19CV379-JM, at 6.
    9
    Appellants also cite Maytag Corp. v. Int’l Union, United Auto., Aerospace & Agric.
    Implement Workers of Am. 
    687 F.3d 1076
     (8th Cir. 2012), as a case where the Eighth Circuit
    found that the plaintiffs had standing under similar circumstances. In Maytag, an employer
    filed suit against a labor union and representatives of a putative class of retired employees,
    seeking a declaratory judgment that the employer had the right to unilaterally modify
    retirees’ health care benefits provided under a collective bargaining agreement. The Eighth
    Circuit concluded that a case or controversy existed because the contractual dispute was
    “real, substantial, and existing,” even though the case was filed before the employer had
    given notice of the unilateral modifications. Id. at 1082. In addition, the Eighth Circuit
    determined that the dispute was ripe for immediate judicial resolution because whether the
    retiree benefits were vested turned on historical rather than hypothetical facts. Id. While
    appellants contend that this case is persuasive authority, the Eighth Circuit’s decision to
    affirm the district court’s dismissal based on a lack of ripeness in appellants’ federal suit,
    which involved the same facts and similar claims as the present case, is more persuasive.
    Appellants also relied on Maytag in the federal action; however, the district court
    distinguished it, finding that “the policy changes here did not make changes to historically
    disputed benefits, but instead changed definitional language which may or may not be
    applied in the future in a manner different from the original policy definition or in a manner
    which violates federal law.” Palade, No. 4:19CV379-JM, at 6. Thus, the circuit court did
    not err by determining that appellants’ contract claims were nonjusticiable.
    Similarly, appellants’ claim pursuant to the Free Communication Clause of the
    Arkansas Constitution also fails to meet the required elements for a declaratory judgment.
    10
    Appellants alleged in their complaint that the Revised Policy greatly expands the ground for
    termination and that the changes had a “serious impact on the Class members’ right to freely
    communicate thoughts and opinions at his or her respective academic institution.” They
    claimed that they had “already suffered a chilling effect after the passage of the Revised
    Policy, including being extremely cautious of what is said in class and what topics and
    thoughts may be discussed openly in class without fear of termination under the Revised
    Policy.”   Appellants argue that they can establish standing based on the doctrine of
    overbreadth, which they contend allows them to challenge the Revised Policy even though
    they have not yet been threatened with discipline or termination based upon their speech.
    As the Board asserts, however, a plaintiff making an overbreadth claim still must
    establish standing and an actual or impending injury. See, e.g., Advantage Media, LLC v.
    City of Eden Prairie, 
    456 F.3d 793
     (8th Cir. 2006) (stating that the overbreadth doctrine does
    not relieve a plaintiff of the burden to show constitutional standing, and the plaintiff
    therefore must demonstrate an actual, concrete, and particularized injury); Get Outdoors II,
    LLC v. City of San Diego, 
    506 F.3d 886
     (9th Cir. 2007) (holding that even when raising an
    overbreadth claim, the plaintiff must show that he or she has suffered an injury in fact and
    can satisfactorily frame the issues on behalf of non-parties). Here, while appellants claim
    that their speech has been chilled, they have failed to include any factual allegations as to
    what speech they have refrained from making or provide any examples of speech that they
    have made in the past that they believe is not allowed under the Revised Policy. Nor have
    they alleged that they or any other faculty member has been reprimanded pursuant to the
    Revised Policy on the basis of their speech. Furthermore, the Revised Policy expressly
    11
    provides that nothing in the section on cause is intended to inhibit expression protected by
    principles of academic freedom or state or federal law, and the section on academic freedom
    states that the threat of dismissal will not be used to restrain faculty members in their exercise
    of academic freedom or constitutional rights.
    Appellants have made only vague, speculative, and hypothetical allegations with
    regard to how their constitutional rights have been violated by the Revised Policy, and they
    have failed to plead facts sufficient to establish an actual, present controversy. See Palade,
    No. 4:19CV379-JM, at 7 (stating that the “[p]laintiffs’ allegations of possible, but not
    threatened, enforcement of the Revised Policy in a manner that might but might not violate
    federal law is insufficient to establish injury in fact” for purposes of plaintiffs’ First
    Amendment challenge); see also Baptist Health, supra (stating that without a sufficient record
    to show an actual, present controversy, we cannot opine on the merits of the constitutional
    arguments raised in the declaratory-judgment suit). As we stated earlier, a declaratory
    judgment does not undertake to decide the legal effect of laws upon a state of facts that is
    future, contingent, or uncertain. Nelson, supra. Accordingly, the circuit court correctly
    dismissed appellants’ free-speech claim based on a lack of a justiciable controversy.
    In addition to asserting that appellants’ claims are nonjusticiable, the Board argues
    that we can also affirm the circuit court’s dismissal on the basis of collateral estoppel. The
    Board contends that the dismissal of appellants’ federal claims operates as a bar to relitigating
    the issue of justiciability in the circuit court. Although the circuit court did not rule on this
    issue, the Board claims that we may affirm if the lower court reached the right result, albeit
    12
    for the wrong reason. Because we affirm the dismissal on the basis relied upon on by the
    circuit court, however, we do not address the Board’s alternative argument.
    Affirmed.
    WOMACK and WEBB, JJ., concur.
    SHAWN A. WOMACK, Justice, concurring. I agree with the majority’s disposition,
    and I further agree with its conclusion on the merits that appellants failed to present a
    justiciable controversy. However, I write separately to point out that article 5, section 20
    of the Arkansas Constitution precludes this action against a State entity regardless of whether
    a justiciable controversy exists. See Thurston v. League of Women Voters of Ark., 
    2022 Ark. 32
    , at 16, 
    639 S.W.3d 319
    , 327 (Womack, J., dissenting).
    Nevertheless, our decision in Arkansas Tech University v. Link, 
    341 Ark. 495
    , 
    17 S.W.3d 809
     (2000), illustrates that appellants are not without recourse. There, a group of
    tenured professors at Arkansas Tech University (ATU) filed a petition for declaratory
    judgment against ATU and the members of its Board of Trustees, alleging that changes the
    Board made to its employee health-insurance policy violated their vested contractual rights.
    
    Id.
     at 498–99, 
    17 S.W.3d at 811
    . ATU and the Board appealed from the circuit court’s
    denial of its motion to dismiss on sovereign-immunity grounds. 
    Id. at 500
    , 
    17 S.W.3d at 812
    . On appeal, this court reversed and held that the petition was essentially a breach-of-
    contract claim and should have been brought in the Arkansas Claims Commission. 
    Id. at 502
    , 
    17 S.W.3d at 813
    .
    Similarly, appellants here filed a petition for declaratory judgment challenging
    revisions the Board made to its tenure policy. Appellants alleged that when the Board
    13
    adopted the Revised Policy, the Board “unilaterally and without the consent of Plaintiffs or
    the others within the Class made material changes to tenured and tenure-track faculty
    members’ contractual rights” and “violated the constitutional rights of Plaintiffs.”       In
    essence, appellants’ allegation is a breach-of-contract claim and they, like the professors in
    Link, are entitled to bring a complaint with the Claims Commission. See also 
    Ark. Code Ann. § 19-10-208
    (c).
    I respectfully concur.
    BARBARA W. WEBB, Justice, concurring. I agree with nearly all the concurring
    opinion authored by Justice Womack except that I do not believe that article 5, section 20
    of the Arkansas Constitution precludes this action against the State. Apart from the second
    sentence of Justice Womack’s opinion, I agree wholeheartedly with his reasoning and
    conclusions. I respectfully concur.
    Quattlebaum, Grooms & Tull, PLLC, by: Joseph W. Price II and Brittany S Ford, for
    appellants.
    David A. Curran, Associate General Counsel, University of Arkansas System, for
    appellees.
    14