Earle v. District of Columbia , 707 F.3d 299 ( 2012 )


Menu:
  •  United States Court of Appeals
    FOR THE DISTRICT OF COLUMBIA CIRCUIT
    Argued October 16, 2012           Decided December 28, 2012
    No. 11-7078
    VERNON NORMAN EARLE,
    APPELLANT
    v.
    DISTRICT OF COLUMBIA,
    APPELLEE
    Appeal from the United States District Court
    for the District of Columbia
    (No. 1:06-cv-00072)
    Dominic F. Perella argued the cause for the appellant.
    Peter S. Spivack, Sean Marotta and Jonathan B. Skowron were
    on brief.
    James C. McKay Jr., Senior Assistant Attorney General,
    Office of the Attorney General for the District of Columbia,
    argued the cause for the appellee. Irvin B. Nathan, Attorney
    General, Todd S. Kim, Solicitor General, and Donna M.
    Murasky, Deputy Solicitor, were on brief.
    Before: HENDERSON and GARLAND, Circuit Judges, and
    EDWARDS, Senior Circuit Judge.
    Opinion for the Court filed by Circuit Judge HENDERSON.
    2
    KAREN LECRAFT HENDERSON, Circuit Judge: Appellant
    Vernon Earle (Earle) alleges that the District of Columbia
    (District) violated rights conferred upon him by Article
    36(1)(b) of the Vienna Convention on Consular Relations, Apr.
    24, 1963, 21 U.S.T. 77, 101, 596 U.N.T.S. 261 (VCCR).
    Assuming without deciding that Article 36(1)(b) confers
    individually enforceable rights actionable under 
    42 U.S.C. § 1983
    , we conclude that Earle’s suit is untimely. We
    therefore affirm the district court’s grant of summary judgment
    to the District.
    I
    A.
    “The Vienna Convention was drafted in 1963 with the
    purpose, evident in its preamble, of ‘contribut[ing] to the
    development of friendly relations among nations, irrespective
    of their differing constitutional and social systems.’ ”
    Sanchez-Llamas v. Oregon, 
    548 U.S. 331
    , 337 (2006) (quoting
    21 U.S.T. at 79). To achieve the purpose established in its
    preamble, the VCCR’s seventy-nine articles regulate the
    relationships among consular officers, the appointing state and
    the receiving state. See LUKE T. LEE, CONSULAR LAW AND
    PRACTICE 23–27 (2d ed. 1991). The United States ratified the
    VCCR in 1969 and, as of 2006, 170 countries were parties
    thereto. Sanchez-Llamas, 
    548 U.S. at
    337–38 (citing 21 U.S.T.
    at 77). The United States also ratified the Optional Protocol
    Concerning the Compulsory Settlement of Disputes, Apr. 24,
    1963, 21 U.S.T. 325, 596 U.N.T.S. 487 (Optional Protocol), in
    1969.      The Optional Protocol conferred compulsory
    jurisdiction on the International Court of Justice to resolve
    disputes regarding the interpretation and application of the
    VCCR. 21 U.S.T. at 326. The United States withdrew from
    3
    the Optional Protocol in 2005. Sanchez-Llamas, 
    548 U.S. at 368
    .
    In his appeal, Earle contends that the District failed to
    comply with obligations imposed on it by Article 36 of the
    VCCR. Article 36(1) provides in pertinent part:
    (b) if he so requests, the competent authorities of the
    receiving State shall, without delay, inform the
    consular post of the sending State if, within its consular
    district, a national of that State is arrested or committed
    to prison or to custody pending trial or is detained in
    any other manner. Any communication addressed to
    the consular post by the person arrested, in prison,
    custody or detention shall also be forwarded by the said
    authorities without delay. The said authorities shall
    inform the person concerned without delay of his rights
    under this sub-paragraph.
    VCCR, 21 U.S.T. at 101. 1 Subparagraph (b) imposes three
    obligations on the “competent authorities of the receiving
    1
    Article 36 states in its entirety:
    1. With a view to facilitating the exercise of consular functions
    relating to nationals of the sending State:
    (a) consular officers shall be free to communicate with
    nationals of the sending State and to have access to them.
    Nationals of the sending State shall have the same freedom
    with respect to communication with and access to consular
    officers of the sending State;
    (b) if he so requests, the competent authorities of the
    receiving State shall, without delay, inform the consular post
    of the sending State if, within its consular district, a national
    of that State is arrested or committed to prison or to custody
    4
    State” after they detain a foreign national: (1) if requested by
    the foreign national, they must notify the consular post of the
    foreign national’s country of the fact of his detention; (2) they
    must forward communications from the foreign national to the
    consular post “without delay”; and (3) they must notify
    “without delay” the foreign national of his right to contact the
    consular post.
    pending trial or is detained in any other manner. Any
    communication addressed to the consular post by the person
    arrested, in prison, custody or detention shall also be
    forwarded by the said authorities without delay. The said
    authorities shall inform the person concerned without delay
    of his rights under this sub-paragraph;
    (c) consular officers shall have the right to visit a national of
    the sending State who is in prison, custody or detention, to
    converse and correspond with him and to arrange for his legal
    representation. They shall also have the right to visit any
    national of the sending State who is in prison, custody or
    detention in their district in pursuance of a judgment.
    Nevertheless, consular officers shall refrain from taking
    action on behalf of a national who is in prison, custody or
    detention if he expressly opposes such action.
    2. The rights referred to in paragraph 1 of this Article shall be
    exercised in conformity with the laws and regulations of the
    receiving State, subject to the proviso, however, that the said
    laws and regulations must enable full effect to be given to the
    purposes for which the rights accorded under this Article are
    intended.
    VCCR, 21 U.S.T. at 100–01.
    5
    B.
    Earle is a national of Jamaica and currently incarcerated in
    a federal penitentiary. On June 13, 1985, officers of the
    Metropolitan Police Department arrested Earle pursuant to a
    warrant charging him with “Assault with Intent to Kill while
    Armed.” Joint Appendix (JA) 34. Earle was convicted in
    District Superior Court of, inter alia, first-degree murder and,
    on October 22, 1987, sentenced to two consecutive terms of
    twenty years to life imprisonment. He was originally
    incarcerated in the Lorton Correctional Complex in Fairfax
    County, Virginia, in the custody of the District Department of
    Corrections. On September 19, 1988, he escaped from
    custody and remained at large until he was recaptured by
    deputies of the United States Marshals Service (USMS) on
    March 7, 1989. At no point from his initial arrest in 1985 until
    2004 was Earle informed of his consular access rights 2 under
    the VCCR.
    Earle apparently first become aware of his consular access
    rights in 2004, although the record does not disclose how he
    came to be aware of those rights. In 2006, he sued the District
    and federal defendants under 
    42 U.S.C. § 1983
     for violating
    their VCCR disclosure obligations. 3 The district court
    2
    In addition to the disclosure obligations at issue, we assume
    arguendo that Article 36(1)(b) grants two substantive rights to a
    detained foreign national: the right to have his consulate informed of
    his detention by “competent authorities” (right of consular
    notification) and the right to have his communications forwarded to
    his consulate (right of consular communication). We refer to
    these rights collectively consular access rights.
    3
    Section 1983 applies to a violation of “rights . . . secured by the
    Constitution and laws” of the United States by any person acting
    under color of law “of any State or Territory or the District of
    6
    dismissed the complaint as untimely filed. We reversed and
    instructed the district court to consider, inter alia, whether
    
    D.C. Code § 12-302
    (a)(3) 4 tolled the statute of limitations.
    Earle v. Washington D.C. Police Dep’t, 298 Fed. App’x 10, 11
    (D.C. Cir. 2008) (per curiam). 5
    Earle filed an amended complaint against the District on
    November 9, 2009. 6 The district court granted summary
    judgment to the District on three grounds. First, it held that
    even if 
    D.C. Code § 12-302
    (a)(3) tolled the statute of
    limitations during Earle’s imprisonment, the tolling ceased
    when Earle escaped and did not recommence upon his
    Columbia.” 
    42 U.S.C. § 1983
    . Earle’s action against the federal
    defendants—the United States Attorney, the Immigration and
    Naturalization Service and the Department of Justice—arises under
    Bivens v. Six Unknown Named Agents of the Fed. Bureau of
    Narcotics, 
    403 U.S. 388
     (1971). The federal defendants are not
    before us and so we treat only Earle’s section 1983 claim.
    4
    
    D.C. Code § 12-302
    (a)(3) provides, in pertinent part: “[W]hen
    a person entitled to maintain an action is, at the time the right of
    action accrues . . . (3) imprisoned . . . he or his proper representative
    may bring action within the time limit after the disability is
    removed.”
    5
    We informed the district court that it might also consider how,
    if at all, Earle’s escape from prison affected tolling; when the cause
    of action accrued; whether Earle needed to amend his complaint to
    clarify a claim of municipal liability against the District; and,
    whether Article 36 of the VCCR creates individually enforceable
    rights. Earle, 298 Fed. App’x at 11.
    6
    He also named several other defendants in his amended
    complaint but the complaint was dismissed as to those defendants for
    failure to effect service. The District is the only appellee.
    7
    recapture. Earle v. District of Columbia, No. 1:06-cv-0072,
    slip op. at 9–13 (D.D.C. June 29, 2011). Earle does not appeal
    this holding. See Br. for Appellant 4–5. Second, it concluded
    that the District’s failure to inform Earle of his VCCR rights
    was not a continuing violation and therefore his claim “accrued
    on the day of his arrest—June 13, 1985.” 
    Id. at 7
    . Finally, the
    district court held that Earle was not entitled to equitable
    tolling of the statute of limitations because the District had not
    fraudulently concealed any facts material to Earle’s claim. 
    Id.
    at 13–15. Earle timely appealed.
    II
    A.
    The district court had subject matter jurisdiction over
    Earle’s section 1983 claim under 
    28 U.S.C. §§ 1331
     and
    1343(a)(3). See Doe v. Metro. Police Dep’t of Dist. of
    Columbia, 
    445 F.3d 460
    , 466 (D.C. Cir. 2006); Best v. Kelly,
    
    39 F.3d 328
    , 330 (D.C. Cir. 1994). We have jurisdiction to
    review the district’s final order under 
    28 U.S.C. § 1291
    . “We
    review a grant of summary judgment de novo.” Hampton v.
    Vilsack, 
    685 F.3d 1096
    , 1099 (D.C. Cir. 2012). Summary
    judgment is appropriate only if “there is no genuine dispute as
    to any material fact.” Fed. R. Civ. P. 56(a). A “dispute about a
    material fact is ‘genuine’ . . . if the evidence is such that a
    reasonable jury could return a verdict for the nonmoving
    party.” Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 248
    (1986). “In making that determination, the court must ‘view
    the evidence in the light most favorable to the nonmoving
    party, draw all reasonable inferences in her favor, and eschew
    making credibility determinations or weighing the evidence.’ ”
    Calhoun v. Johnson, 
    632 F.3d 1259
    , 1261 (D.C. Cir. 2011)
    (brackets omitted) (quoting Lathram v. Snow, 
    336 F.3d 1085
    ,
    8
    1088 (D.C. Cir. 2003)); see also Matsushita Elec. Indus. Co. v.
    Zenith Radio Corp., 
    475 U.S. 574
    , 587 (1986).
    “In our circuit it is a venerable practice, and one frequently
    observed, to assume arguendo the answer to one question . . .
    in order to resolve a given case by answering another and
    equally dispositive one . . . .” In re Grand Jury Subpoena
    (Judith Miller), 
    438 F.3d 1141
    , 1159 (D.C. Cir. 2006)
    (Henderson, J., concurring). We therefore hasten to make
    clear which questions we assume, but refrain from deciding, in
    order to resolve this case. First, we express no opinion on
    whether the VCCR is a “law[]” within the meaning of section
    1983, viz., whether it is either self-executing or the subject of
    implementing legislation by the Congress. See Medellin v.
    Texas, 
    552 U.S. 491
    , 504–05 (2008). Assuming arguendo
    that the VCCR is a “law[]” under section 1983, we express no
    view on the disagreement amongst our sister circuits over
    whether Article 36 of the VCCR creates “specific, individually
    enforceable rights,” Gonzaga Univ. v. Doe, 
    536 U.S. 273
    , 281
    (2002), actionable under section 1983. Compare Gandara v.
    Bennett, 
    528 F.3d 823
    , 827–29 (11th Cir. 2008) (Article 36
    creates no rights enforceable under section 1983), Mora v. New
    York, 
    524 F.3d 183
    , 196–97 (2d Cir. 2008) (same), Cornejo v.
    Cnty. of San Diego, 
    504 F.3d 853
    , 855 (9th Cir. 2007) (same),
    United States v. Emuegbunam, 
    268 F.3d 377
    , 392 (6th Cir.
    2001), and United States v. Jimenez-Nava, 
    243 F.3d 192
    , 198
    (5th Cir. 2001), with Jogi v. Voges, 
    480 F.3d 822
    , 834–36 (7th
    Cir. 2007) (Article 36 creates rights enforceable under section
    1983). Finding Earle’s claim barred by the statute of
    limitations, we reserve these questions for another day.
    B.
    The law governing the statute of limitations and claim
    accrual in a section 1983 case is a complex patchwork of
    9
    federal law and state law. To avoid the statute of limitations
    bar, Earle argues both that, under District law, the statute of
    limitations was tolled until he discovered his rights and that,
    under federal law, his claim accrued only upon the District’s
    satisfaction of its disclosure obligations. Before addressing
    his arguments, we briefly lay out the general framework
    governing claim accrual and the limitations period applicable
    in a section 1983 action.
    Section 1983 sets no limitations period. Consistent with
    “settled practice,” Wilson v. Garcia, 
    471 U.S. 261
    , 266 (1985),
    abrogated on other grounds as recognized by Jones v. R.R.
    Donnelley & Sons Co., 
    541 U.S. 269
     (2004), 
    42 U.S.C. § 1988
    (a) adopts the applicable state statute of limitations for a
    section 1983 action so long as such adoption “is not
    ‘inconsistent with the Constitution and laws of the United
    States.’ ” Burnett v. Grattan, 
    468 U.S. 42
    , 48 (1984) (quoting
    
    42 U.S.C. § 1988
    (a)). The United States Supreme Court has
    determined that the appropriate statute of limitations for a
    claim brought under section 1983 “is that which the State
    provides for personal-injury torts.” Wallace v. Kato, 
    549 U.S. 384
    , 387 (2007). “[W]here state law provides multiple
    statutes of limitations for personal injury actions, courts
    considering § 1983 claims should borrow the general or
    residual statute for personal injury actions.” Owens v. Okure,
    
    488 U.S. 235
    , 249–50 (1989). The District has two statutes of
    limitations applicable to tort claims: a one-year statute
    governing enumerated intentional torts, 
    D.C. Code § 12-301
    (4), and a three-year residual statute covering all other
    tort actions. 
    Id.
     § 12-301(8). We apply the three-year residual
    statute of limitations to a section 1983 claim. Singletary v.
    District of Columbia, 
    351 F.3d 519
    , 529 n.11 (D.C. Cir. 2003).
    A federal court considering a section 1983 claim also
    applies the tolling rules of the jurisdiction from which it draws
    10
    the limitations period so long as those rules are not
    “inconsistent with the policies underlying § 1983.” Bd. of
    Regents of Univ. of State of N.Y. v. Tomanio, 
    446 U.S. 478
    , 487
    (1980) (quotation marks omitted). This rule applies to both
    statutory and common law tolling rules. See 
    id.
     at 486–87
    (borrowing statutory tolling rules); Wallace, 549 U.S. at 394–
    95 (borrowing common law rules).
    Unlike the statute of limitations, “the accrual date of a
    § 1983 action is a question of federal law that is not resolved by
    reference to state law.” Wallace, 549 U.S. at 388 (emphasis in
    original). A section 1983 claim accrues “when the plaintiff
    has ‘a complete and present cause of action,’ that is, ‘when the
    plaintiff can file suit and obtain relief.’ ” Id. (quoting Bay Area
    Laundry & Dry Cleaning Pension Trust Fund v. Ferbar Corp.
    of Cal., 
    522 U.S. 192
    , 201 (1997)); see, e.g., Muñoz v. Bd. of
    Trs. of Univ. of Dist. of Columbia, 427 Fed. App’x 1, 4 (D.C.
    Cir. 2011) (per curiam) (section 1983 claim accrues when
    wrongful conduct occurs).
    C.
    We turn first to Earle’s accrual argument. Applying the
    ordinary rule of claim accrual, the district court concluded that,
    because all of the elements of a cause of action under section
    1983 existed on the day Earle was arrested in 1985, his claim
    accrued upon his arrest. Earle, slip op. at 7. Earle argues,
    however, that the VCCR imposes a continuous obligation to
    inform him of his consular access rights. A claim for a
    violation of Article 36(1)(b) did not accrue, Earle reasons, until
    the obligation was satisfied. 7 Because the District had failed
    7
    In his brief, Earle did not make clear whether his claim accrues
    only when the District in fact informs him of his consular access
    rights or whether it accrues when he learns of them. At oral
    argument, when pressed on the issue, Earle’s able counsel indicated
    11
    to discharge its obligation to Earle as of the date he brought
    suit, his claim had yet to accrue and his suit was therefore
    timely. 8
    As a general rule, “ ‘[a] claim normally accrues when the
    factual and legal prerequisites for filing suit are in place.’ ”
    Norwest Bank Minn. Nat’l Ass’n v. FDIC, 
    312 F.3d 447
    , 451
    (D.C. Cir. 2002) (quoting 3M Co. v. Browner, 
    17 F.3d 1453
    ,
    1460 (D.C. Cir. 1994)). We have recognized various
    exceptions to, and glosses on, the rule, see, e.g., Connors v.
    Hallmark & Son Coal Co., 
    935 F.2d 336
    , 342 (D.C. Cir. 1991)
    (adopting discovery rule for damages claim involving latent
    injuries), including the continuing violation doctrine. 9 This
    doctrine is “muddled,” Thomas v. Eastman Kodak Co., 
    183 F.3d 38
    , 53 (1st Cir. 1999) (quotation marks omitted),
    “intricate and somewhat confusing,” Keohane v. United States,
    
    669 F.3d 325
    , 329 (D.C. Cir. 2012), and we have never had
    occasion to apply it to a section 1983 claim. Other courts,
    however, have done so. See, e.g., Ayala-Sepúlveda v.
    that the duty probably expired when Earle discovered his rights
    although he declined to concede the point. Earle v. District of
    Columbia, No. 11-7078, Oral Argument Tr. at 13 (D.C. Cir. Oct. 16,
    2012).
    8
    The district court briefly addressed Earle’s continuing
    violation argument, concluding that even under that theory, Earle’s
    claim accrued, at the latest, on the date of his conviction. Earle, slip
    op. at 8–9.
    9
    Courts do not lightly create exceptions to the general rule of
    claim accrual. On the contrary, the general rule governs “[u]nless
    Congress has told us otherwise in the legislation at issue.” Bay Area
    Laundry, 
    522 U.S. at 201
    . Indeed, absent a “clear[] directive” from
    the Congress, the general rule applies. AKM LLC dba Volks
    Constructors v. Sec’y of Labor, 
    675 F.3d 752
    , 757 (D.C. Cir. 2012).
    12
    Municipality of San Germán, 
    671 F.3d 24
    , 30 n.6 (1st Cir.
    2012); Hildebrandt v. Ill. Dep’t of Natural Res., 
    347 F.3d 1014
    , 1036 n.18 (7th Cir. 2003). We need not decide whether
    the continuing violation doctrine applies to section 1983 claims
    because Earle does not prevail under this theory, assuming
    arguendo it applies.
    Our continuing violation precedent recognizes at least two
    applications of the doctrine. The first applies to conduct
    that could not reasonably have been expected to be
    made the subject of a lawsuit when it first occurred
    because its character as a violation did not become
    clear until it was repeated during the limitations period,
    typically because it is only its cumulative impact (as in
    the case of a hostile work environment) that reveals its
    illegality.
    Taylor v. FDIC, 
    132 F.3d 753
    , 765 (D.C. Cir. 1997) (citations
    and quotation marks omitted); see also Nat’l R.R. Passenger
    Corp. v. Morgan, 
    536 U.S. 101
    , 115–16 (2002) (“cumulative
    effect of individual acts . . . collectively constitute[s] one
    unlawful employment practice” (quotation marks omitted)).
    If such a violation is alleged, the plaintiff may rely on conduct
    that took place outside the limitations period so long as some
    conduct on which the claim is based took place within the
    limitations period. Singletary, 
    351 F.3d at
    526–27. The
    doctrine does not, however, make actionable either a discrete
    unlawful act or the “lingering effect of an unlawful act.” Felter
    v. Kempthorne, 
    473 F.3d 1255
    , 1260 (D.C. Cir. 2007)
    (quotation marks omitted). Moreover, the “mere failure to
    right a wrong . . . cannot be a continuing wrong . . . for that is
    the purpose of any lawsuit and the exception would obliterate
    the rule.” Fitzgerald v. Seamans, 
    553 F.2d 220
    , 230 (D.C. Cir.
    1977). This application of the continuing violation doctrine
    13
    thus applies if the fact of the violation becomes apparent only
    by dint of the cumulative effect of repeated conduct.
    Keohane, 
    669 F.3d at 329
    .
    Here, the District’s first alleged violation of Earle’s
    Article 36 rights (its failure to apprise him of his consular
    access rights on his arrest) was immediately actionable. The
    subsequent alleged violations did not accumulate to comprise a
    single, actionable violation. Earle essentially concedes the
    point, arguing that “the District therefore had a continuing duty
    to tell Mr. Earle about his right to contact his consulate, and
    each day it failed to do so was another lost opportunity for Mr.
    Earle to secure assistance.” Br. for Appellant 15. Because the
    violation does not rest on the cumulative impact of the
    District’s ongoing failure to inform Earle of his consular access
    rights, this articulation of the doctrine does not apply.
    We have occasionally recognized a second application of
    the continuing violation doctrine if the text of the pertinent law
    imposes a continuing obligation to act or refrain from acting.
    “[W]here a . . . statute[ ] imposes a continuing obligation to act,
    a party can continue to violate it until that obligation is satisfied
    and the statute of limitations will not begin to run until it does.”
    See AKM LLC dba Volks Constructors v. Sec’y of Labor, 
    675 F.3d 752
    , 763 (D.C. Cir. 2012) (Garland, J., concurring).
    Whether the obligation is continuing is a question of statutory
    construction. In Postow v. OBA Fed. Sav. & Loan Ass’n, for
    example, this court considered the Consumer Credit Protection
    Act’s statute of limitations, which required an action alleging a
    violation of the Act to be brought within one year of the
    violation. 
    627 F.2d 1370
    , 1379 (D.C. Cir. 1980). The Act
    required a lender to make certain disclosures to a borrower
    “ ‘before the credit is extended.’ ” 
    Id. at 1374
     (quoting 
    15 U.S.C. § 1639
    (b) (1976)). Although we concluded that a
    violation of the Act occurred when two borrowers paid a
    14
    “stand-by fee” without having obtained the required
    disclosures, we held the Act imposed a disclosure obligation
    continuing after the payment of the stand-by fee. 
    Id.
     at 1379–
    80. A suit brought more than one year after the two plaintiffs
    paid the stand-by fee was timely so long as it was brought
    within a year of the date on which the disclosures were made.
    
    Id. at 1379
    . We so held because we determined that “the
    announced goals of the Act” required construing the obligation
    imposed by section 1639(b) to be a continuing one. 
    Id. at 1380
    ;
    cf. In re Bluewater Network, 
    234 F.3d 1305
    , 1312–15 (D.C.
    Cir. 2000) (permitting mandamus action after expiration of
    limitations period for challenging agency action because
    statute imposed continuing obligation to act); In re United
    Mine Workers of Am. Int’l Union, 
    190 F.3d 545
    , 548–49 (D.C.
    Cir. 1999) (same).
    Earle contends that the goal of Article 36, which he
    believes to be the provision of “legal and other assistance [by
    the] consulate,” makes the disclosure obligation of consular
    access continuing. Br. for Appellant 16. The District,
    however, contends that the plain language of Article 36(1)(b)
    requires notification at discrete points in time—arrest,
    commitment to prison, commitment to custody or any other
    form of detention—and therefore a claim alleging violation of
    the obligation accrues at those discrete points. We express no
    opinion as to the proper construction of the VCCR because
    assuming arguendo that Article 36’s notification obligation is
    continuing, Earle cannot prevail.
    A claim alleging a continuing violation accrues “after the
    date of the last injury,” viz., after the defendant’s last violative
    act. Keohane, 
    669 F.3d at 329
    ; see also Page v. United States,
    
    729 F.2d 818
    , 821 (D.C. Cir. 1984). We must first, then,
    determine who owed Earle the duty to notify him of his
    consular access rights. Article 36 does not impose a
    15
    disclosure obligation on the whole world. Rather, it imposes
    the obligation on the “competent authorities of the receiving
    State.” VCCR, 21 U.S.T. at 101. While it appears that no
    court has interpreted the phrase, the United States Department
    of State has defined “competent authorities” as
    those officials, whether federal, state, or local, who are
    responsible for legal action affecting the foreign
    national and who are competent, within their legal
    authorities, to give the notification required. This
    interpretation makes sense as a practical matter:
    compliance with the notification requirements works
    best when it is assumed by those government officials
    closest to the foreign national’s situation and with
    direct responsibility for it.
    U.S. DEP’T OF STATE, CONSULAR NOTIFICATION AND ACCESS
    14         (3d        ed.       2010),    available      at
    http://travel.state.gov/pdf/cna/CNA_Manual_3d_Edition.pdf
    (NOTIFICATION AND ACCESS). Given the “great weight” we
    accord the State Department’s interpretation of treaties,
    Sumitomo Shoji Am., Inc. v. Avagliano, 
    457 U.S. 176
    , 184–85
    (1982), we find this common-sense interpretation persuasive
    and, accordingly, apply it here.
    Because it was responsible for his arrest and detention in
    1985, we assume that the District was the “competent
    authorit[y]” obligated to notify Earle of his consular access
    rights. On September 19, 1988, however, Earle escaped the
    District’s custody. When he escaped, the District was no
    longer “the government . . . closest to the foreign national’s
    situation.” NOTIFICATION AND ACCESS 14. In fact, as he was
    no longer in any government’s custody, there were no
    “competent authorities” obligated to disclose anything to him.
    Accordingly, the District’s notification duty as a “competent
    16
    authorit[y]” ceased at that time. Even assuming Article
    36(1)(b)’s notice obligation was ongoing, the day of the last act
    constituting a violation of the obligation was September 19,
    1988, and his claim based on that violation accrued on that day.
    His 2006 suit against the District was therefore untimely as to
    that violation.
    Earle was subsequently captured by the USMS in 1989.
    He now argues that he was thereafter transferred back to the
    District’s custody, which transfer triggered a new continuing
    violation. But he did not allege in his amended complaint that
    he escaped or was subsequently recaptured (or by whom). He
    therefore failed to allege a “second” violation of Article
    36(1)(b) that began when he was recaptured in 1989.
    Moreover, Earle raises this “second” violation argument for
    the first time on appeal. “It is well settled that issues and legal
    theories not asserted at the District Court level ordinarily will
    not be heard on appeal.” District of Columbia v. Air Fla., Inc.,
    
    750 F.2d 1077
    , 1084 (D.C. Cir. 1984); see also Breeden v.
    Novartis Pharm. Corp., 
    646 F.3d 43
    , 56 (D.C. Cir. 2011)
    (holding argument raised for first time on appeal forfeited);
    Benoit v. U.S. Dep’t of Agric., 
    608 F.3d 17
    , 21 (D.C. Cir. 2010)
    (same). Although we have discretion to consider such
    arguments, we exercise that discretion only if “exceptional
    circumstances” exist. Flynn v. Comm’r, 
    269 F.3d 1064
    , 1068–
    69 (D.C. Cir. 2001). Discerning none, we decline to consider
    Earle’s argument. 10
    10
    We are further convinced that, even if the District
    subsequently became the “competent authorit[y]” at some point after
    Earle’s recapture in 1989, Earle’s cause of action remains untimely.
    As the District noted in its brief the Congress ordered the District to
    close Lorton no later than December 31, 2001. National Capitol
    Revitalization and Self-Government Improvement Act of 1997, Pub.
    L. No. 105-33, § 11201(b), (f), 
    111 Stat. 251
    , 734. That Act
    17
    D.
    Earle also contends that the statute of limitations was
    tolled under the common law doctrine of fraudulent
    concealment. He argues that the District’s failure to notify
    him of his consular access rights—despite a duty to do
    so—amounts to a fraudulent concealment of facts relevant to
    his claim. He thus concludes that the statute of limitations
    directed that “the felony population sentenced pursuant to the
    District of Columbia Code residing at the Lorton Correctional
    Complex shall be transferred to a penal or correctional facility
    operated or contracted for by the Bureau of Prisons.” 
    Id.
     § 11201(b),
    111 Stat. at 734. In so doing, the Congress transferred to the United
    States responsibility for “custody, care, subsistence, education,
    treatment and training of” all District prisoners. Id. We have
    previously indicated that this transfer resulted in the District no
    longer remaining a proper respondent in a habeas corpus petition
    involving a Lorton prisoner whose parole was previously denied by
    the District. See Crawford v. Jackson, 
    323 F.3d 123
    , 125–26 (D.C.
    Cir. 2003). Moreover, we have heretofore recognized that the
    District closed Lorton in 2001. See Fletcher v. Reilly, 
    433 F.3d 867
    ,
    873 (D.C. Cir. 2006); see also Serge F. Kovaleski, Lorton’s Final
    Lockdown: Last Inmates Leave as 91-Year-Old Facility Completes a
    Difficult Four-Year Closure, WASH. POST, Nov. 20, 2001, at B01.
    Because we may take judicial notice of statutes, see Pine View
    Gardens, Inc. v. Mut. of Omaha Ins. Co., 
    485 F.2d 1073
    , 1075 (D.C.
    Cir. 1973), as well as facts of record in other proceedings, see Covad
    Commc’ns Co. v. Bell Atl. Corp., 
    407 F.3d 1220
    , 1222 (D.C. Cir.
    2005), we may conclude that Earle, a felon, was transferred to the
    custody of the United States in 2001 pursuant to section 11201(b) of
    the Revitalization Act. Accordingly, the District ceased to be the
    “competent authorit[y]” under Article 36(1)(b) when it lost all
    responsibility for Earle’s imprisonment. Nevertheless we do not
    reach this issue because, as discussed earlier, Earle both failed to
    allege that his recapture triggered a new continuing violation and
    raises his second violation argument for the first time on appeal.
    18
    was tolled until he discovered his rights in 2004. Because, in
    a section 1983 action, we apply the tolling rules of “the state in
    which the cause of action arose,” see Wallace, 549 U.S. at 387,
    we look to the law of the District of Columbia for the relevant
    common law tolling rules. See Rogers v. Ingersoll-Rand Co.,
    
    144 F.3d 841
    , 843 (D.C. Cir. 1998) (“When interpreting the
    common law of the District of Columbia, we follow the
    decisions of the District of Columbia Court of Appeals, which
    is, for Erie purposes, treated as if it were the highest court of
    the state.”).
    The District of Columbia Court of Appeals (D.C. Court of
    Appeals) has repeatedly recognized the doctrine of fraudulent
    concealment. Drake v. McNair, 
    993 A.2d 607
    , 619 (D.C. 2010)
    (“ ‘It is well established that affirmative acts employed by a
    party to fraudulently conceal either the existence of a claim or
    facts forming the basis of a cause of action toll the running of
    limitations periods.’ ” (quoting Estate of Chappelle v. Sanders,
    
    442 A.2d 157
    , 158 (D.C. 1982)). If a defendant undertakes
    “something of an affirmative nature designed to prevent
    discovery of a cause of action,” Cevenini v. Archbishop of
    Wash., 
    707 A.2d 768
    , 773–74 (D.C. 1998) (quotation marks
    and brackets omitted), and the plaintiff by reasonable diligence
    could not discover the concealed facts, see Diamond v. Davis,
    
    680 A.2d 364
    , 376 (D.C. 1996), the statute of limitations is
    tolled until the facts are revealed. Silence, however, is
    insufficient to toll the statute of limitations. See Adrian v. Am.
    Sec. & Trust Co., 
    211 A.2d 771
    , 772 (D.C. 1965). Moreover,
    “mere failure to disclose pertinent information . . . is not
    sufficient to toll the statute of limitations unless there has been
    some affirmative act of concealment.” Drake, 
    993 A.2d at 619
    .
    But “failure to disclose pertinent information” is all that Earle
    has asserted.
    19
    To avoid this rule, Earle contends that “if a defendant has a
    duty to disclose information, nondisclosure alone can trigger
    the tolling.” Br. for Appellant 22. Earle points out that in two
    cases—Sprint Commc’ns Co. v. FCC, 
    76 F.3d 1221
     (D.C. Cir.
    1996), and Smith v. Nixon, 
    606 F.2d 1183
     (D.C. Cir.
    1979)—we held that silence in the face of a statutory obligation
    to disclose tolled the statute of limitations. Although he
    correctly describes the holdings, see Sprint Commc’ns Co. 
    76 F.3d at
    1226–27; Smith, 
    606 F.2d at 1190
    , he overlooks a
    crucial distinction: in those cases, we construed federal statutes
    of limitations and therefore applied federal tolling rules.
    Here, we apply the District’s statute of limitations and
    therefore the District’s tolling rule.
    Because no D.C. Court of Appeals case is directly on
    point, we “reason by analogy from D.C. cases” to predict how
    that court would decide the question in a case like this.
    Workman v. United Methodist Comm. on Relief, 
    320 F.3d 259
    ,
    262 (D.C. Cir. 2003); see also Novak v. Capital Mgmt. & Dev.
    Corp., 
    452 F.3d 902
    , 907 (D.C. Cir. 2008) (“Our duty, then, is
    to achieve the same outcome we believe would result if the
    District of Columbia Court of Appeals considered this case.”).
    At oral argument, Earle’s counsel agreed with the Court’s
    suggestion that the appropriate analogy in this case would be a
    section 1983 action brought against the District for failure to
    give a required Miranda warning. See Earle v. District of
    Columbia, No. 11-7078, Oral Argument Tr. at 20–23 (D.C.
    Cir. Oct. 16, 2012). Although neither this court nor the
    Supreme Court has held that a Miranda violation is actionable
    under section 1983, see Chavez v. Martinez, 
    538 U.S. 760
    (2003) (addressing but failing to resolve question), and we do
    not decide that now, the District Court of Appeals has
    addressed the question. In Cannon v. District of Columbia,
    the plaintiff sought to recover under section 1983 after “he was
    questioned by police concerning his involvement in a criminal
    20
    incident without being given a so-called Miranda warning.”
    
    569 A.2d 595
    , 596 (D.C. 1990) (per curiam). He brought suit
    well after the expiration of the limitations period but argued
    that the District’s failure to give the Miranda warning
    “constituted fraudulent concealment, thereby tolling the statute
    of limitations.” 
    Id.
     The court rejected his argument: “[E]ven
    assuming the police themselves deliberately concealed from
    appellant his rights at the time they questioned him, he did
    have an attorney soon thereafter to counsel him as to his rights
    and to pursue such rights against the government as the
    circumstances warranted.” 
    Id. at 597
    .
    Cannon points the way here. 11 We know that Earle was
    assisted by counsel during his Superior Court trials and we
    predict that the D.C. Court of Appeals, should it consider this
    question, would therefore decline to toll the statute of
    limitations. Accordingly, because the statute of limitations
    began to run no later than Earle’s escape on September 19,
    1988, his 2006 lawsuit is untimely.
    For the foregoing reasons, we affirm the judgment of the
    district court.
    So ordered.
    11
    The appellant in Cannon raised the argument for the first time
    on appeal so the District Court of Appeals considered whether there
    were “exceptional circumstances” permitting it to consider the
    claim. Cannon, 
    569 A.2d at
    596–97. We do not believe that the
    waiver issue affects Cannon’s merits holding.
    

Document Info

Docket Number: 11-7078

Citation Numbers: 404 U.S. App. D.C. 1, 707 F.3d 299, 2012 U.S. App. LEXIS 26550, 2012 WL 6720357

Judges: Henderson, Garland, Edwards

Filed Date: 12/28/2012

Precedential Status: Precedential

Modified Date: 11/5/2024

Authorities (48)

elliot-postow-and-joan-l-postow-v-oba-federal-savings-and-loan , 627 F.2d 1370 ( 1980 )

hedrick-smith-and-ann-b-smith-suing-individually-and-on-behalf-of-their , 606 F.2d 1183 ( 1979 )

Felter, Oranna v. Kempthorne, Dirk , 473 F.3d 1255 ( 2007 )

Joseph P. Connors, Sr., as Trustees of the United Mine ... , 935 F.2d 336 ( 1991 )

Workman, Mary Ann v. United Meth Com , 320 F.3d 259 ( 2003 )

Wilson v. Garcia , 105 S. Ct. 1938 ( 1985 )

United States v. Chucks Emuegbunam , 268 F.3d 377 ( 2001 )

Fletcher, Thaddeus v. Reilly, Edward , 433 F.3d 867 ( 2006 )

Doe v. Metropolitan Police Department , 445 F.3d 460 ( 2006 )

Board of Regents of Univ. of State of NY v. Tomanio , 100 S. Ct. 1790 ( 1980 )

Bivens v. Six Unknown Named Agents of Federal Bureau of ... , 91 S. Ct. 1999 ( 1971 )

Anderson v. Liberty Lobby, Inc. , 106 S. Ct. 2505 ( 1986 )

Gonzaga University v. Doe , 122 S. Ct. 2268 ( 2002 )

Medellin v. Texas , 128 S. Ct. 1346 ( 2008 )

Flynn, John J. v. Cmsnr IRS , 269 F.3d 1064 ( 2001 )

3m-company-minnesota-mining-and-manufacturing-v-carol-m-browner , 17 F.3d 1453 ( 1994 )

NW Bnk MN Natl Assn v. FDIC , 312 F.3d 447 ( 2002 )

Myrtle Thomas v. Eastman Kodak Company , 183 F.3d 38 ( 1999 )

Estate of Chappelle v. Sanders , 1982 D.C. App. LEXIS 298 ( 1982 )

Jacqueline P. Taylor v. Federal Deposit Insurance ... , 132 F.3d 753 ( 1997 )

View All Authorities »