PUBLISHED OPINION
Case Nos.: 94-1081
& 94-2908
†Petition for
Review filed
Complete
Title
of
Case:No. 94-1081
KARA B., BY GUARDIAN AD LITEM,
JOHN C. ALBERT,
STEVEN B., AND JENNIFER B.,
PARENTS OF KARA B.,
Plaintiffs-Appellants,
v.
DANE COUNTY, DANE COUNTY DEPARTMENT
OF HUMAN SERVICES, ITS AGENTS AND ASSIGNS,
SHIRLEY AASEN, ED PAGE, JR.,
MARGARET/MARJORIE JOHNSON,
ESTATE OF MARGARET E. EBY,
TERRI COLLINS, VIRGINIA HANSON,
WISCONSIN MUNICIPAL MUTUAL INSURANCE
COMPANY,
Defendants-Respondents,†
SUE MARSHALL, ROXANNE SMIT,
Defendants,
------------------------------------------------------------
No. 94-2908
MIKAELA R., A MINOR,
BY GUARDIAN AD LITEM JOHN C. ALBERT
AND JOETTE R., PARENT OF MIKAELA R.,
Plaintiffs-Respondents,
v.
DANE COUNTY, DANE COUNTY DEPARTMENT OF
HUMAN SERVICES, ITS AGENTS AND ASSIGNS,
SHIRLEY AASEN, ED PAGE JR.,
MARGARET/MARJORIE JOHNSON,
ESTATE OF MARGARET E. EBY,
SUE MARSHALL, TERRI COLLINS,
VIRGINIA HANSON, ROBERT SYRING AND
WISCONSIN MUNICIPAL MUTUAL INSURANCE
COMPANY,
Defendants-Appellants,†
ROXANNE SMIT,
Defendant,
SENTRY INSURANCE COMPANY,
Defendant-Appellant.
Submitted
on Briefs: July 10, 1995
COURT COURT OF
APPEALS OF WISCONSIN
Opinion
Released: November 2, 1995
Opinion
Filed: November
2, 1995
Source
of APPEAL Appeal from judgments
Full
Name JUDGE COURT: Circuit
Lower
Court. COUNTY: Dane
(If
"Special" JUDGES: Mark
A. Frankel (94-1081)
so indicate) Gerald C. Nichol (94-2908)
JUDGES: Eich,
C.J., Gartzke, P.J., and Sundby, J.
Concurred: Sundby,
J.
Dissented: Sundby,
J.
Appellant
ATTORNEYSFor the plaintiffs-appellants the
cause was submitted on the briefs of John C. Albert and Debra A.
Petkovsek of Eustice, Albert, Laffey & Fumelle, S.C., of Sun
Prairie.
For the defendants-appellants the cause was
submitted
on the briefs of John M. Moore and David J. Pliner of Bell,
Metzner, Gierhart & Moore, S.C., of Madison.
Respondent
ATTORNEYSFor the
defendants-respondents the cause was submitted on the briefs of John M.
Moore and David J. Pliner of Bell, Metzner, Gierhart & Moore,
S.C., of Madison.
For the plaintiffs-respondents, the cause
was submitted
on the briefs of John C. Albert and Debra A. Petkovsek of Eustice,
Albert, Laffey & Fumelle, S.C., of Sun Prairie.
COURT OF APPEALS DECISION DATED AND RELEASED November
2, 1995 |
NOTICE |
A party may file with the Supreme Court a petition to review an
adverse decision by the Court of Appeals.
See § 808.10 and Rule 809.62,
Stats. |
This opinion is subject to further editing. If published, the official version will appear in the bound
volume of the Official Reports. |
Nos. 94-1081
94-2908
STATE OF WISCONSIN IN
COURT OF APPEALS
No. 94-1081
KARA
B., BY GUARDIAN AD LITEM,
JOHN
C. ALBERT,
STEVEN
B., AND JENNIFER B.,
PARENTS
OF KARA B.,
Plaintiffs-Appellants,
v.
DANE
COUNTY, DANE COUNTY
DEPARTMENT
OF HUMAN SERVICES,
ITS
AGENTS AND ASSIGNS,
SHIRLEY
AASEN,
ED
PAGE JR., MARGARET/MARJORIE JOHNSON,
ESTATE
OF MARGARET E. EBY,
TERRI
COLLINS, VIRGINIA HANSON,
WISCONSIN
MUNICIPAL MUTUAL
INSURANCE
COMPANY,
Defendants-Respondents,
SUE MARSHALL,
ROXANNE SMIT,
Defendants.
-----------------------------------------------------------------------------------------------------------------------
No. 94-2908
MIKAELA R., A MINOR,
BY GUARDIAN AD LITEM JOHN C. ALBERT
AND JOETTE R., PARENT OF MIKAELA R.,
Plaintiffs-Respondents,
v.
DANE COUNTY, DANE COUNTY
DEPARTMENT OF HUMAN SERVICES,
ITS AGENTS AND ASSIGNS,
SHIRLEY AASEN,
ED PAGE JR., MARGARET/MARJORIE JOHNSON,
ESTATE OF MARGARET E. EBY,
SUE MARSHALL, TERRI COLLINS,
VIRGINIA HANSON, ROBERT SYRING
AND WISCONSIN MUNICIPAL MUTUAL
INSURANCE COMPANY,
Defendants-Appellants,
ROXANNE SMIT,
Defendant,
SENTRY INSURANCE COMPANY,
Defendant-Appellant.
APPEAL
from a judgment of the circuit court for Dane County: MARK A. FRANKEL, Judge.
APPEAL from a judgment of the circuit court for Dane County: GERALD C.
NICHOL, Judge. Affirmed in part;
reversed in part and cause remanded.
Before
Eich, C.J., Gartzke, P.J., and Sundby, J.
EICH,
C.J. We consolidated these two cases
on appeal. They are actions, brought
under 42 U.S.C. § 1983 and state-law negligence and professional malpractice
theories, seeking damages for physical and sexual abuse suffered by two young
children while living in a foster home.
I.
Background
Kara
B. and Mikaela R. were adjudged to be children in need of protection or
services in separate juvenile court proceedings in 1989 and 1990, and were
placed in the temporary custody of the Dane County Department of Social
Services for foster-home placement.
Kara B. was placed in a licensed foster home operated by Roxanne Smit on
March 28, 1989, and remained there until July 14, 1990. Mikaela R. was placed in the Smit home in
June 1990 and remained until December 18, 1990, when she was sexually assaulted
at knifepoint by two men in the basement of the home. In the course of investigating the assault, police contacted Kara
B., who told them that she too had been sexually abused by Smit and by a man
who had lived in Smit's house during the course of her placement there.
In
separate actions, the children sued the department and several of its
professional employees who had been involved in either their initial placement
or in relicensing and monitoring the home while they were in residence. Smit also was named as a defendant in both
actions.
In
Kara B.'s case, the trial court granted summary judgment dismissing the § 1983
claims on grounds that the county defendants were entitled to qualified
immunity from suit because it had not been shown that they had violated any
"clearly established" constitutional right of Kara B. Although unnecessary to resolution of the
case because of that ruling, the court went on to decide that the proofs
submitted in connection with the summary judgment motions failed to establish a
violation of Kara B.'s constitutional rights.
The court went on to dismiss Kara B.'s state-law tort claims on grounds
that the defendants were entitled to immunity under § 893.80, Stats., for their
"discretionary" governmental acts, and also under § 895.485, which
specifically immunizes agencies from civil liability for acts or omissions,
undertaken in good faith, in connection with placing a child in a foster home.
Mikaela
R.'s action alleged similar claims under § 1983 against the same defendants
and, as in Kara B., the defendants moved for summary judgment.
The trial court denied the motion, concluding that (1) the county defendants
were not entitled to qualified immunity from Mikaela R.'s § 1983 claims because
they had a known constitutional duty to protect her while she was in the Smit
home; and (2) a reasonable jury could find, on the evidence presented, that the
defendants had violated that duty.[1] Two additional issues were raised in Mikaela
R.'s case: (1) whether Smit could be considered a "state actor," thus
subjecting her to liability under § 1983 in the same manner as the
"governmental" defendants; and (2) whether she was an agent or a
servant of the department so as to render the county vicariously liable for her
negligence toward the children. The
trial court ruled that she was both a state actor and an agent of the
county. Finally, the court held that
the county defendants were not immune from suit under § 893.80, Stats.
II. Issues and
Decision
The parties' briefs raise the following
issues with respect to the § 1983 claims: (1) whether the county defendants are
entitled to summary judgment dismissing the claims because (a) they are
entitled to qualified immunity or, alternatively, (b) there is no evidence that
they in fact violated the children's constitutional rights; and (2) whether
Smit was a state actor subject to the § 1983 claims in the same manner as the
county defendants. The state-law issues
are: (1) whether the county defendants are entitled to governmental immunity
under § 893.80, Stats.,
because their actions with respect to the children and the foster home were
"discretionary," as that term is defined and interpreted in the law;
and (2) whether Smit was an agent of the department.[2]
We
conclude that the county defendants are not entitled to qualified immunity from
the § 1983 claims and that whether, under applicable legal standards, they
violated the children's rights is an issue so closely intertwined with the
defendants' intent and motive and other factual issues as to be inappropriate
for resolution on summary judgment. We
also conclude Smit is not a state actor so as to subject her to liability under
§ 1983. As to the state-law claims, we
hold that the county defendants are entitled to discretionary-act immunity
under § 893.80, Stats., and
that Smit was not an agent of the county as a matter of law.
We
therefore reverse the order in Kara B. insofar as it granted the
defendants' motion for summary judgment dismissing the § 1983 claims and affirm
it insofar as it granted judgment dismissing the state-law claims. In Mikaela R., we affirm the
order insofar as it denied the defendants' motion for summary judgment on the §
1983 claims and reverse insofar as it denied the motion on the state-law
claims. We also reverse the Mikaela
R. court's ruling that Smit was both a state actor and a county agent,
and we remand both cases to the trial courts for further proceedings consistent
with this opinion.
III. Scope of
Review
The
parties do not dispute that, in reviewing a grant or denial of summary
judgment, we employ the same analysis as the trial court and that our review is
de novo. Ollhoff v. Peck,
177 Wis.2d 719, 722, 503 N.W.2d 323, 324 (Ct. App. 1993); Milwaukee
Partners v. Collins Engineers, Inc., 169 Wis.2d 355, 361, 485 N.W.2d
274, 276 (Ct. App. 1992). Summary
judgment is appropriate in cases where there is no genuine issue of material
fact and the moving party has established his or her entitlement to judgment as
a matter of law. Germanotta v.
National Indem. Co., 119 Wis.2d 293, 296, 349 N.W.2d 733, 735 (Ct. App.
1984). We do not decide issues of fact
in a summary judgment proceeding, nor is the process a "`short cut to
avoid a trial.'" State Bank
of La Crosse v. Elsen, 128 Wis.2d 508, 511, 383 N.W.2d 916, 917-18 (Ct.
App. 1986) (quoted source omitted).
Indeed, the summary judgment methodology was developed to prevent trial
by affidavit or deposition. Id. It is equally well recognized that
"[t]he remedy of summary judgment does not lend itself to many types of
cases, especially those which are basically factual and depend to a large
extent upon oral testimony." Schandelmeier
v. Brown, 37 Wis.2d 656, 658, 155 N.W.2d 659, 660 (1968). Accordingly, when there is evidence which,
under any reasonable view, "`will either support or admit of an inference
in support or in denial of a claim of either party, it is for the jury to draw
the proper inference and not for the court to determine which of two or more
permissible inferences should prevail.'"
Foryan v. Firemen's Fund Ins. Co., 27 Wis.2d 133, 138, 133
N.W.2d 724, 727 (1965) (quoted source omitted).
IV. Discussion
A. The § 1983
Claims: Qualified Immunity
The
doctrine of qualified immunity protects public officials and employees from
"harassing litigation" by rendering them immune from suit in the
performance of their discretionary functions insofar as their conduct does not
violate the "`clearly established'" statutory or constitutional
rights of another person. Barnhill
v. Board of Regents, 166 Wis.2d 395, 406, 479 N.W.2d 917, 921 (1992)
(quoted source omitted).
Whether
a public official may be protected by qualified immunity turns on the objective
legal reasonableness of the action, assessed in light of the legal rules that
were clearly established at the time the action was taken. If the law was not clearly established on
the subject of the action when it occurred, then the public official cannot be
held to know or anticipate that the conduct was unlawful. On the other hand, if the law was clearly
established, then the immunity defense should fail because a reasonably
competent public official should have known that the conduct was or was not
lawful.
... "The
contours of the right must be sufficiently clear that a reasonable official
would understand that what he [or she] is doing violates that right. This is not to say that an official action
is protected by qualified immunity unless the very action in question has
previously been held unlawful; but it is to say that in the light of
pre-existing law the unlawfulness must be apparent."
Id. at 407-08, 479 N.W.2d at 921-22 (emphasis omitted; citations omitted;
quoted source omitted).
Whether
qualified immunity attaches in a particular case is a question of law that we
decide without deference to the reasoning of the trial court. Id. at 406, 479 N.W.2d at
921. And the plaintiff bears the burden
of establishing the existence of the "clearly established"
constitutional right. Id.
at 409, 479 N.W.2d at 922.
Merely alleging a general violation of a right that may
be clearly established by the constitution or a statute is insufficient clarity
of established law to justify withholding qualified immunity. For example, an allegation that an action
violates one's freedom of speech protected under the First Amendment is too
general to strip a public official of qualified immunity. On the other hand, the "clearly
established law" does not have to specifically correspond with every facet
of the present situation. Rather, the
"clearly established law" must be sufficiently analogous to provide
the public official with guidance as to the lawfulness of his or her
conduct.
Id. at 408, 479 N.W.2d at 922.
The Kara B.
court reasoned as follows in concluding that the defendants were entitled to
qualified immunity: the government has a duty to protect an individual from
private acts of violence where a "special relationship" exists between
the government and the individual, but there is no "clearly
established" law recognizing such a relationship between the government
and a foster child.[3]
In
so holding, the court placed principal reliance on Doe v. Bobbitt,
881 F.2d 510, 511-12 (7th Cir. 1989), cert. denied, 495 U.S. 956 (1990),
where the court of appeals held that--as of "early 1984"--there was
no clearly established authority "that a public official who places a
child at risk of harm from private individuals in a foster home violate[s] that
child's constitutional rights."[4] The defendants rely heavily on Bobbitt
on this appeal.
Kara
B. argues that Bobbitt is distinguishable because the child in
that case had been placed not in a licensed foster home but in the home of a
relative--an aunt--when the abuse occurred.[5] We agree, and our conclusion is bolstered by
the same court's reasoning in a later case, K.H. v. Morgan, 914
F.2d 846 (7th Cir. 1990), where it rejected a qualified immunity defense
interposed by state welfare workers who had placed the infant plaintiff in one
or more foster homes where she was severely abused.
Like
the trial court and the defendants in this case, the K.H.
defendants read Bobbitt as holding that, at least in early 1984,
a child had no clearly established right to seek redress against them for their
claimed violation of her substantive due process rights in connection with her
placement and maintenance in a foster home.
The K.H. court rejected the argument, holding that Bobbitt
was distinguishable because the child in that case had been placed not in a
foster home but with a family member.
The court said that "there is indeed a difference between placing a
child with a member of her family and placing the child with a foster parent."[6] K.H., 914 F.2d at 852.
The
court's opinion in K.H. is instructive on the merits of the
qualified immunity issue as well, for it was dealing with placements made in
1986 and preceding years--before Kara B.'s initial placement in the Smit
home. Recognizing that the defendants'
qualified immunity could be pierced "only if the specific right they
violated was clearly established at the time they violated it," the
K.H. court decided the issue against them. Id. at 849, 850 (emphasis
added). Thus, while the opinion in K.H.
was issued in 1990 (after Kara B. had left the Smit home), the court
recognized, both implicitly and explicitly, that the plaintiff child's right to
have government officials act in a manner consistent with her constitutional
rights had been clearly established at the time of her placement in 1986.[7]
In
so holding, the K.H. court discussed Youngberg v. Romeo,
457 U.S. 307, 324 (1982), where the Supreme Court ruled that a person committed
involuntarily to a state mental institution has a substantive due process right
to "reasonable care and safety" during his or her confinement. According to the court of appeals:
Youngberg ... made clear, years before the defendants in this
case placed K.H. with an abusing foster parent in 1986, that the Constitution
requires the responsible state officials to take steps to prevent children in
state institutions from deteriorating physically or psychologically .... No case authoritative within this circuit,
however, had held that the state had a comparable obligation to protect
children from their own parents, and we now know that the obligation does not
exist in constitutional law .... Ours
is the intermediate case in which the state places the child in a private
foster home ... and fails to take steps to prevent the child from deteriorating
physically or psychologically as a result of ... mistreatment ....
K.H., 914 F.2d at 851.
Another
case establishing the existence of such a right at times appropriate to the
instant cases is Doe v. New York City Dep't of Social Servs., 649
F.2d 134 (2d Cir. 1981), cert. denied, 464 U.S. 864 (1983). There, the child, Anna Doe, was placed in a
foster home in 1964 through the office of the New York City Commissioner of
Welfare and its agent, the Catholic Home Bureau. At the time of her placement, available information indicated
that the home was a good one. In
succeeding years, however, Anna was subjected to a "pattern of persistent
cruelty ... at the hands of her foster father," including regular and
severe physical and sexual abuse. Id.
at 137. The agencies annually evaluated
and approved the household as a foster home for Anna despite receiving
information suggesting the abuse to which she was being subjected.[8] Eventually, Anna was removed from the home
and brought a § 1983 action against the agencies. The case was tried to a jury, which returned a verdict in favor
of the defendants. Id. at
139-40.
The
court of appeals reversed, concluding that the trial court had erroneously
instructed the jury on the standard of conduct applicable to the defendants--an
issue we discuss in detail elsewhere in this opinion. For present purposes, Doe indicates that, as early
as the mid-1970's, government employees charged with the placement and supervision
of children in foster homes could be held liable under § 1983 for actions or
inaction resulting in the violation of the children's constitutional
rights. Id. at 145.
The
Court of Appeals for the Eleventh Circuit came to a similar conclusion in Taylor
v. Ledbetter, 818 F.2d 791 (11th Cir. 1987), cert. denied, 489
U.S. 1065 (1989). In Taylor,
the child, who had been placed in a foster home in 1982, sued the officials
responsible for her placement and supervision after she was physically abused
by the operator of her foster home. She
alleged that the officials had been "deliberately indifferent to her
welfare when deciding to place her, and after placing her, in the foster
home." Id. at
793. Analogizing the foster child's
situation to that of the institutionalized individual in Youngberg
and the prisoner in Estelle v. Gamble, 429 U.S. 97 (1976),[9]
the court held that "a child involuntarily placed in a foster home is in a
situation so analogous to a prisoner in a penal institution and a [patient]
confined in a mental health facility that the foster child may bring a section
1983 action for violation of fourteenth amendment rights." Taylor, 818 F.2d at 797.
Finally,
in Yvonne L. v. New Mexico Dep't of Human Servs., 959 F.2d 883,
885, 892-93 (10th Cir. 1992), the court, citing Youngberg, Doe
and Taylor, held that as early as August 1985, the law was
"clearly established ... that a child [placed in a foster home] had a
constitutional right to be protected from bodily harm from private third
parties ...."
The
events of which the plaintiffs in these cases complain--their placement in the
Smit home and the subsequent monitoring of that placement by the county
defendants--occurred between March 28, 1989, when Kara B. entered the home,
continued through Mikaela R.'s placement in June 1990, and ended on December
18, 1990. We are satisfied that at and
during those times the "clearly established law" was--and is--that a
foster child involuntarily taken from his or her parents' home and temporarily
placed in the custody of the government for placement in a licensed foster home[10]
has a substantive due process right, actionable under 42 U.S.C. § 1983, to
physical and emotional safety while in such placement and that, as a result,
the defendants' qualified immunity defense must fail.
B. Scope of the
Defendants' Constitutional Duty
The cases diverge on the scope of the
constitutional duty owed by government agencies and professional personnel to
persons actually or constructively in the government's custody. In the prison situation, Estelle v.
Gamble, 429 U.S. 97, 104-05 (1976), and, more recently, Farmer v.
Brennan, 114 S.Ct. 1970 (1994), hold to the concept of "deliberate
indifference": that in order for the governmental defendants to be
liable--at least on a claim grounded in the Eighth Amendment--they must have
exhibited deliberate indifference to a risk to the plaintiff inmate that was actually
known to them.[11] In the non-prison setting, where the claim
is brought under the substantive due process provisions of the Fourteenth
Amendment--as are the claims in these cases--courts have split over whether the
Eighth Amendment deliberate-indifference standard, or some less strict
standard, applies.
Two
federal circuits, in cases we have already referred to, have applied the Estelle/Farmer
Eighth Amendment deliberate-indifference test--or something very close to
it--to actions brought by children who suffered physical and sexual abuse while
involuntarily in foster care. In Doe
v. New York City Dep't of Social Servs., the court recognized the
difference between the close control exercised by the government over prisoners
and the broader supervision exercised over foster parents, who need to retain
autonomy in raising the children; nonetheless, it implemented a subjective test
that required "some knowledge triggering an affirmative duty to act"
on the part of the defendants.
"Defendants may be held liable under § 1983 if they ...
exhibited deliberate indifference to a known injury [or] a known risk
... and their failure to perform the duty or act to ameliorate the risk or
injury was a proximate cause of plaintiff's deprivation of rights
...." Doe v. New York City
Dep't of Social Servs., 649 F.2d 134, 145 (2d Cir. 1981), cert.
denied, 464 U.S. 864 (1983). The Taylor
court adopted the Doe test verbatim, specifically analogizing
between the foster child's situation--and his or her substantive due process
rights--and that of a prison inmate. Taylor
v. Ledbetter, 818 F.2d 791, 797 (11th Cir. 1987), cert. denied,
489 U.S. 1065 (1989).
Another
line of authority is applied in cases involving abuse in foster homes, and we
believe it is more appropriate to the situation. It begins with Youngberg v. Romeo, 457 U.S. 307
(1982), discussed above, which held that a retarded person who had been
involuntarily committed to a state mental institution had a substantive due
process right to physical safety while institutionalized.[12] Id. at 324. Because the Court believed that persons
involuntarily committed to mental institutions under the civil law "are
entitled to more considerate treatment and conditions of confinement than
criminals whose conditions of confinement are designed to punish," id.
at 321-22, it looked not to the subjective deliberate-indifference test of Estelle
and other prison cases but to a more objective test akin to that applicable in
assessing medical malpractice claims: a "professional judgment"
standard. "The Constitution,"
said the Court,
"only
requires that the courts make certain that professional judgment in fact was
exercised. It is not appropriate for
the courts to specify which of several professionally acceptable choices should
have been made...."
... [L]iability
may be imposed only when the decision by the professional is such a substantial
departure from accepted professional judgment, practice, or standards as to
demonstrate that the person responsible actually did not base the decision on
such a judgment.
Id. at 321, 323 (quoted source omitted).[13] Other courts have followed Youngberg
in actions by persons committed to mental hospitals. See, e.g., Society for Good Will to Retarded
Children, Inc. v. Cuomo, 902 F.2d 1085, 1089 (2d Cir. 1990); Shaw
v. Strackhouse, 920 F.2d 1135, 1139 (3d Cir. 1990); Estate of
Porter, 36 F.3d 684, 688 (7th Cir. 1994).
At
least one appellate court has decided that the Youngberg test is
applicable to a § 1983 action against professional employees of a state agency
who had placed the plaintiff children in a foster home where they were sexually
abused. In Yvonne L. v. New
Mexico Dep't of Human Servs., 959 F.2d 883 (10th Cir. 1992), two
children sued various professional employees of the New Mexico Department of
Human Services for physical and sexual abuse they had suffered after being
placed in foster care. The defendants
argued that their actions should be judged under the Estelle
deliberate-indifference test; plaintiffs urged the court to adopt the Youngberg
standard. Yvonne L., 959
F.2d at 893. The court followed Youngberg,
reasoning as follows:
The compelling appeal of the argument for the
professional judgment standard is that foster children, like involuntarily
committed patients, are "entitled to more considerate treatment and
conditions" than criminals [citing Youngberg, 457 U.S. at
321-22]. These are young children,
taken by the state from their parents for reasons that generally are not the
fault of the children themselves.
Id. at 894.
We
are satisfied that Youngberg and Yvonne L. state
the proper standard to evaluate § 1983 Fourteenth Amendment claims of foster
children against agency professionals.
Certainly children in foster care occupy a position significantly
different from that of prisoners. In Youngberg,
the Supreme Court recognized that persons involuntarily committed to mental
institutions possess greater rights than prisoners, and we believe that children
in need of foster care, who have done society no wrong and deserve no
punishment, are entitled to constitutional protection to at least the degree
afforded to persons institutionalized through the civil commitment process.
The
more permissive Estelle/Farmer
deliberate-indifference test would not serve that distinction for it would
force foster children to endure constitutional deprivations absent a showing of
deliberate indifference on the part of their caretakers. The more strict professional judgment
standard, on the other hand, recognizes not only that children placed in the
custody of the state through no fault of their own are situated far more
similarly to institutionalized mental patients (Youngberg) than
to convicted criminals (Estelle/Farmer) but also
that it would be inappropriate to hold the children's caretakers liable for
constitutional deprivations in situations where they had exercised professional
judgment in determining the best course of conduct with respect to the
children.
We
conclude, therefore, that the standard to be applied to assess the professional
defendants' conduct toward these plaintiffs is an objective test based on their
compliance with recognized standards applicable to their professions. It is not a subjective standard predicated
on actual knowledge of harm or risk, nor is it a reasonable person standard by
which determinations of negligence and recklessness are made.[14]
The
standard we apply in this case is one that imposes liability "only when
the decision by the professional is such a substantial departure from accepted
professional judgment, practice, or standards as to demonstrate that the person
responsible actually did not base the decision on such a judgment." Youngberg, 457 U.S. at
323. It is not for courts to specify
which of several professionally acceptable choices should have been made, or
whether the optimal course of conduct as determined by some experts was
followed, but whether professional judgment in fact was exercised. Society for Good Will to Retarded
Children, 902 F.2d at 1089.
Obviously,
expert testimony must establish the bounds of acceptable, constitutional
activity, keeping in mind that the issue is not whether the exercised
professional judgment was indisputably correct--or even a better choice than
others--but only whether the defendants have substantially met professionally
accepted minimum standards with respect to the actions that were taken, or not
taken, in the particular case.
In
these cases, both trial courts tested the summary judgment motions using the Estelle/Farmer
deliberate-indifference test. The Kara
B. court, after ruling the defendants were entitled to qualified
immunity, held in the alternative that they were entitled to summary judgment
in any event because the plaintiffs' proofs on the motion failed to establish
that they "had actual knowledge of abuse or deliberately failed to learn
what was occurring in the Smit foster home." The Mikaela R. court, employing a similar
"actual knowledge" standard, concluded that the proofs were
sufficient to raise an issue for trial.
That
standard, as we have said, is inappropriate in cases such as this. And summary judgment is equally
inappropriate on this record. First,
and perhaps most significant, the record is barren of any expert evidence
bearing on the defendants' exercise of professional judgment in placing and
maintaining the children in the Smit home.
Second, as we have noted above, summary judgment is an appropriate
remedy only in cases where no factual disputes--or disputed inferences from undisputed
facts--exist; it is not a short cut to avoid a trial and the procedure does not
lend itself to factually complex cases.
"If the material presented on the motion is subject to conflicting
interpretations or reasonable people might differ as to its significance, it
would be improper to grant summary judgment." Coleman v. Outboard Marine Corp., 92 Wis.2d 565,
571, 285 N.W.2d 631, 634 (1979).
The
record in these actions is voluminous, exceeding 2,000 pages, although the
cases have progressed only to the pretrial motion stage. And the facts emphasized in the parties'
arguments on the claimed constitutional violations are grounded on extensive
and wide-ranging facts found in depositions, reports of investigations,
evaluations, conversations and meetings involving more than thirty
individuals--including social workers, consultants, the children's relatives,
attorneys, guardians, teachers, psychiatrists, therapists and various employees
and officials of the department of human services--all going to what the county
defendants did or did not do with respect to the children's placement and
residence in the Smit home. Summary
judgment is an inappropriate vehicle for determining the plaintiffs'
constitutional claims.
We
conclude, therefore, that the Kara B. court erroneously granted
the defendants' motions for summary judgment dismissing plaintiffs' § 1983
claims, and that the Mikaela R. court properly denied the
motions.
C. The § 1983 Claims: Foster Home
Operator as State Actor
Mikaela R.'s amended complaint
alleges that Smit was acting on behalf of the government--the Department of
Social Services--in operating the foster home, and was thus subject to
liability under § 1983 in the same manner as the county defendants. The trial court agreed, reasoning that the
state's power to place children in foster homes and to regulate the homes makes
foster home operators agents of the state as a matter of law.
A
plaintiff in a § 1983 action seeking redress for violation of a constitutional
right must allege that the defendant was acting under color of state law--that
he or she was a state actor.[15] Lugar v. Edmondson Oil Co., 457
U.S. 922, 928 (1982). The requirement
is intended to avoid imposing responsibility on the government for conduct it
cannot control. National
Collegiate Athletic Ass'n v. Tarkanian, 488 U.S. 179, 191 (1988). The principal inquiry is whether the
challenged conduct is "fairly attributable to the State." Lugar, 457 U.S. at 937.
In
making that assessment, federal courts have adopted a three-part test most
recently described in Wolotsky v. Huhn, 960 F.2d 1331, 1335 (6th
Cir. 1992). The first element, called
the "public function" test, asks whether the private party was
exercising powers that are traditionally and exclusively reserved to the government.
The second, the "state compulsion" test, asks whether the state is
exercising such "coercive power" or providing such "significant
encouragement, either overt or covert," that in law the private actor's
choice must be deemed to be that of the state.
The third, the "symbiotic relationship" or "nexus"
test, asks whether there is such a sufficiently close nexus between the
government and the challenged private action that it may be fairly treated as
that of the government.
The
trial court ruled that Smit was a state actor under all three tests, solely on
the basis of the state's power to place children in foster care and to regulate
foster homes.[16]
With respect to the
public function test, Mikaela R. argues that the trial court was correct in
concluding that "the ... test had been met because the state is the only
party who can involuntarily remove a child from its natural home." We agree with the defendants, however, that
the trial court misapplied the test.
Its correct focus is not the power of the government but the activities
engaged in by the foster parent; that is, whether the foster parent is
exercising powers that are traditionally reserved for the state. "The care of foster children is not
traditionally the exclusive prerogative of the State." Milburn v. Anne Arundel County Dep't
of Social Servs., 871 F.2d 474, 479 (4th Cir.), cert. denied,
493 U.S. 850 (1989).
As
to the compulsion test, Mikaela R. argues that the state's exercise of its
power to remove her from her family and place her in a foster home, coupled
with the "many regulations the government imposes on the foster
parent," constitute such state "coerc[ion]" that Smit's own
conduct must as a matter of law be "deemed to be that of the [government]." See Wolotsky, 960 F.2d
at 1335. Again, we disagree. In Lintz v. Skipski, 807 F.
Supp. 1299, 1306 (W.D. Mich. 1992), aff'd, 25 F.3d 304 (6th Cir.), cert.
denied, 115 S. Ct. 485 (1994), the court rejected a similar argument,
noting that the state did not exercise coercive power over foster parents
because the "[d]ay-to-day parenting decisions were left to the judgment of
the [foster parents]."[17]
We
also agree with the defendants that Mikaela R. has not established that Smit
was a state actor under the symbiotic relationship test. She argues that state statutes and
administrative regulations, "when analyzed in conjunction with the other
two parts of the test, rise[] to the level of a symbiotic relationship between
the state and the foster parent ...."
First, we have concluded that the other two parts of the test have not
been met. Second, for purposes of the
color-of-state-law requirement of § 1983, "the fact that regulation of the
[actor] was extensive and detailed did not by itself convert its action into
that of the State." Milburn,
871 F.2d at 477 (citing Jackson v. Metropolitan Edison Co., 419
U.S. 345, 350 (1974)). See also
Wolotsky, 960 F.2d at 1335 (the mere fact that an entity is
subject to state regulation does not render its activities state action).
Finally,
we note the Lintz court's remark that it was "unaware of any
case which has held that foster parents are state actors. Indeed, courts in other jurisdictions have
refused to attribute the actions of foster parents to the state." Lintz, 807 F. Supp. at
1306. Mikaela R. has not offered any
authority to the contrary; indeed, the principal cases discussed by all the
parties to these appeals, Milburn and Lintz--together
with Pfoltzer v. County of Fairfax, 775 F. Supp. 874, 891 (E.D.
Va. 1991)[18]--hold that
foster parents are not state actors for purposes of a § 1983 action.
Mikaela
R. has not persuaded us that Smit is a state actor for purposes of § 1983
liability under the accepted tests.
D. The State-Law
Claims: "Discretionary Immunity"
Section
893.80(4), Stats., states that no
action may be maintained against public agencies or employees "for acts
done in the exercise of legislative, quasi-legislative, judicial or
quasi-judicial functions." The
statutory terms "quasi-legislative" acts and
"quasi-judicial" acts have been recognized as synonymous with
"discretionary" acts--those involving "`the exercise of
discretion and judgment.'" Harkness
v. Palmyra-Eagle Sch. Dist., 157 Wis.2d 567, 574-75, 460 N.W.2d 769,
772 (Ct. App. 1990).
Thus,
a public officer ... is immune from suit where the act or acts complained of
are "discretionary," as opposed to merely "ministerial,"
and the terms have been discussed and applied in several cases.
Generally, a
discretionary or quasi-legislative or quasi-judicial act "involves the
exercise of discretion and judgment ...."
A nonimmune "ministerial" act, on the other hand is one
"where the ... duty is absolute, certain and imperative, involving merely
the performance of a specific task," and "the time, mode and occasion
for its performance" are defined "with such certainty that nothing
remains for the exercise of judgment and discretion."
Id. at 574-75, 460 N.W.2d at 772 (citations omitted; quoted source
omitted).
The
purpose of immunity provisions such as those found in § 893.80(4), Stats., is to ensure that courts are
not called upon to pass judgment on policy decisions made by members of
coordinate branches of government in the context of tort actions, because such
actions "`"furnish[] an inadequate crucible for testing the merits of
social, political, or economic decisions."'" Gordon v. Milwaukee County,
125 Wis.2d 62, 66, 370 N.W.2d 803, 805 (Ct. App. 1985) (quoted sources
omitted).
The
Kara B. court concluded that the county defendants were entitled
to immunity under the statute and the Mikaela R. court ruled they
were not. Kara B. argues that the trial
court erred in so holding because, in her view, the defendants' acts, while
discretionary in nature, were decisions made at the "operational
level," rather than the "planning level," and, as such, did not
involve the exercise of "governmental" discretion to which immunity
attaches. As authority for the
proposition, she points to Jablonski v. United States, 712 F.2d
391 (9th Cir. 1983), and a reference to Jablonski in Gordon,
125 Wis.2d at 68, 370 N.W.2d at 807.
The reference in Gordon was only in passing, however. We did not adopt the
"operational/planning" distinction in Gordon; nor did
we apply it to the facts of the case in arriving at our decision. As much as may be said is that we referred
to Jablonski in the course of our opinion in Gordon. The reference has no precedential value.
As
to the merits of Gordon, we there held that while the performance
of "a psychiatric examination and diagnosis" was discretionary,
"the discretion used is professional, or medical, not
governmental." Gordon,
125 Wis.2d at 67, 370 N.W.2d at 806. In
a more recent case, Stann v. Waukesha County, 161 Wis.2d 808, 818
& n.3, 468 N.W.2d 775, 779 (Ct. App. 1991), we distinguished Gordon
and two other cases reaching similar results, stating that "[o]nly three
Wisconsin decisions have recognized ... a distinction" between
"governmental" and nongovernmental discretion and that "each of
these cases involved allegations of negligence regarding medical
decisions." As we concluded in Stann,
"These cases are restricted to their facts, as no Wisconsin decision
applies this exception in any other setting." Id. See
also Linville v. City of Janesville, 174 Wis.2d 571, 584-85,
497 N.W.2d 465, 471 (Ct. App. 1993), aff'd, 184 Wis.2d 705, 516 N.W.2d
427 (1994).[19]
We
agree with the Kara B. trial court that this case is much closer
to C.L. v. Olson, 143 Wis.2d 701, 422 N.W.2d 614 (1988), where
the supreme court upheld the immunity of a parole officer sued for negligence
in allowing a parolee under his supervision to operate a motor vehicle
(injuring the plaintiff) and/or failing to impose restrictions on the operation
of the vehicle. In so ruling, the court
looked to Scarpaci v. Milwaukee County, 96 Wis.2d 663, 685-86,
292 N.W.2d 816, 827 (1980), which held that while a medical examiner's
performance of an autopsy involved professional discretion unrelated to a
governmental purpose, the examiner's decision whether to undertake the autopsy
in the first instance was the type of governmental discretion to which immunity
should attach. The Olson
court said:
Finally, plaintiff
has advanced [the] argument that the allegedly negligent judgment of the parole
agent did not involve governmental discretion, but professional judgment akin
to that considered in Scarpaci.
We disagree. The judgment of the
parole officer insofar as the discretionary imposition of rules and conditions
of parole are concerned involves a decision-making process more comparable to a
medical examiner's decision to perform an autopsy, which in Scarpaci
was found to constitute governmental discretion, than to judgment exercised in
the actual performance of the autopsy, which was found to be excepted from the
doctrine of immunity. Like the decision
to perform an autopsy, the discretion required of a parole officer requires a
subjective evaluation and application of the law to the facts presented in an
individual case. While the parole
officer is given flexibility in the decisions to be made regarding a parolee,
the framework within which that discretion is to be exercised is ... regulated
[by the administrative code]. Thus,
while professional judgment is implicated in a parole agent's decision,
generally, regarding the imposition of rules and conditions of parole and,
specifically, regarding the grant of permission to operate a vehicle, the
discretion involves the evaluation of public policies within a regulated
framework and consequently fundamentally constitutes discretion of a
governmental nature.
Id. at 724-25, 422 N.W.2d at 623 (citations omitted; footnote omitted).
We
have quoted at length from Olson because we think similar considerations
operate here. Like the parole officer,
agents and employees of the Dane County Department of Human Services act within
a framework of laws and administrative rules when they place children in foster
care and monitor and regulate foster homes.
The discretionary determinations and decisions made within that
framework involve not only the consideration and evaluation of a variety of
professional considerations but also, as in Olson, "the
evaluation of public policies within a regulated framework."
We
conclude that the types of decisions and determinations being challenged in the
cases before us--relating as they do to the activities of employees and agents
of a public agency charged with administering foster care and related programs
established and regulated by law--are well within the type of governmental
discretion to which immunity attaches under Wisconsin law. We therefore conclude that the Kara B.
trial court properly granted the defendants' motion for summary judgment on
that issue and that the Mikaela R. court erred in denying the
motion.
E. The State-Law Claims: Foster
Home Operator as County Agent
Mikaela R. argued to the
trial court that Smit was an agent of Dane County so that the county would be
liable for her torts under state law. The
trial court agreed on the basis of the following factors: (1) in a written
departmental policy statement, foster parents are identified as
"agents"; (2) the county licensed Smit as a foster parent and
"controlled" the home through visits and regulations; and (3) Smit
"accepted" a foster-home license and took in foster children.
The
department's policy statement deals with investigations of alleged child abuse
"involving agents of the county," and states that, "[f]or
purposes of this policy, an `agent of the county' includes ... foster
family members." (Emphasis
added.) The intent of the policy
statement is two-fold: "to first provide adequate protection for children
alleged to be abused ... but also to prove an unbiased, coordinated
investigation which minimizes duplication and the number of contacts with
involved parties." We agree with
the defendants that the policy statement operates only in a very narrow area:
to ensure the county's ability to conduct unbiased investigations of alleged
child abuse involving county agents, as required by state law. Accordingly, the county has defined the term
in the policy statement as including all persons whose circumstances or
situations might make it difficult for the county itself to conduct an unbiased
investigation.[20] We do not believe the policy statement was
intended to define foster parents as agents of the county for any and all other
purposes--and particularly not for purposes of vicarious county liability, as
is argued here.
The
other factors briefly listed by the trial court in support of its conclusion
that Smit was an agent of the county relate to the county's function as a
regulator and licensor of foster homes.
Whether a person may be considered a "servant" for purposes of
vicarious liability, however, involves the determination and analysis of
several "`matters of fact'" going to whether he or she meets the
legal definition of a servant as "`a person employed to perform services
in the affairs of another and who with respect to the physical conduct in the
performance of the services is subject to the other's control or right to
control.'" Arsand v. City of
Franklin, 83 Wis.2d 40, 46 n.4, 264 N.W.2d 579, 582 (1978) (quoting Restatement (Second) Agency § 220
(1958)). Among these factual matters
are: the extent of the "master's" control "over the details of
the work"; whether the employee "is engaged in a distinct occupation
or business"; whether the work is usually done under the employer's direction
or "by a specialist without supervision"; whether the employer
supplies the instrumentalities and the place of work; and whether the work is
part of the employer's "regular business." Id.
It
is true, as Mikaela R. points out, that agency--or, more particularly, whether
one is the "servant" of another for purposes of vicarious
liability--is generally considered a question of fact for the jury. Here, however, Mikaela R. has put forth no
cases or other authority suggesting that foster parents are
"servants" under the Arsand/Restatement formula.
More importantly, all the authority appears to go the other way. See Sayers v. Beltrami County,
472 N.W.2d 656 (Minn. Ct. App.), rev'd on other grounds, 481 N.W.2d 547
(Minn. 1992); Kern v. Steele
County, 322 N.W.2d 187 (Minn. 1982); Simmons v. Robinson,
409 S.E.2d 381 (S.C. 1991); Stanley v. State Indus., Inc., 630
A.2d 1188 (N.J. Super. Ct. Law Div. 1993); Blanca C. v. County of Nassau,
480 N.Y.S.2d 747 (N.Y. App. Div. 1984), aff'd, 481 N.E.2d 545 (N.Y.
1985). In most of these cases, the
courts concluded as a matter of law that the governmental agency lacked the
requisite degree of control over how the foster parents undertook the
day-to-day care of the children.
Mikaela R. has not persuaded us that the Wisconsin system merits any
different consideration.
Finally,
we note that § 48.627, Stats.,
requires foster homes to carry liability insurance "for acts or omissions
by or affecting a child who is placed in [the] home," and further
authorizes the Department of Human Services to purchase such insurance for the
foster homes. Section 48.627(2)(a) and
(2)(c). We agree with Wisconsin's
attorney general, who noted in a 1986 opinion on a related subject that "[t]his
legislation would have been unnecessary if foster parents were state agents."
75 Op. Atty. Gen. 43, 45 (1986).
We
conclude that, as a matter of law, Smit was not an agent of the county so as to
make the county liable for negligent acts in the performance of her services as
a foster parent.
By
the Court.—Judgments affirmed
in part; reversed in part and cause remanded for further proceedings consistent
with this opinion.
Nos. 94-1081(CD)
94-2908(CD)
SUNDBY,
J. (concurring in part; dissenting in part). Foster
children suffer abuse ten times more often than children in the general
population.[21] When the state places a child in foster
care, it must take special care that it does not place the child in Judge
Posner's metaphorical snake pit. See
Bowers v. DeVito, 686 F.2d 616, 618 (7th Cir. 1982).[22] It therefore assumes an affirmative duty to
protect that child; a duty compelled by the Due Process Clause. Terrence J. Dee, Foster Parent Liability
under Section 1983: Foster Parents'
Liability as State Actors for Abuse to Foster Children, 69 Wash. U. L.Q. 120l, 1207 & n.39
(1991). The defendant social workers
claim, however, that even if a foster child has a constitutional liberty
interest in his or her safety when placed in foster care by the state, they are
entitled to qualified immunity because that right was not "clearly established"
in 1989 and 1990 when Kara B. and Mikaela R. were placed and maintained in the
foster care of Roxanne Smit. I join my
colleagues in rejecting that claim.
I
part company from them, however, when they conclude that the foster parent is
not liable under 42 U.S.C. § 1983 because she was not acting under color
of state law when she acted as a state-licensed foster parent. I also dissent from the majority's holding
that the defendant social workers are immune from liability under state tort
law because their acts were discretionary.
See § 893.80(4), Stats.
BACKGROUND
In
1989, the juvenile court determined that Kara B. was a child in need of
protection or services, and placed her with Roxanne Smit, whose home had been
recently licensed as a foster home. On
June 11, 1990, Mikaela R. was placed in Smit's home. On December 18, 1990, Mikaela was raped in the home. Kara B. then revealed that she had been
sexually abused by one of Smit's male friends and by Smit.
Appellants
allege that defendants were deliberately indifferent to Kara's situation and
are liable for her injuries in a civil rights action under § 1983. Defendants argue, however, that they are
entitled to qualified immunity because at that time it was not "clearly
established" that the state had an obligation commanded by the Due Process
Clause to protect children it placed in foster homes. See Barnhill v. Board of Regents, 166 Wis.2d
395, 406, 479 N.W.2d 917, 921 (1992).
Respondents
contend that DeShaney v. Winnebago County Dep't of Social
Servs., 489 U.S. 189 (1989), demonstrates that in 1989 it was not
"clearly established" that children placed by the state in foster
care had a liberty interest in their personal safety protected by the Due
Process Clause.
SECTION 1983
LIABILITY: QUALIFIED IMMUNITY
If
the Due Process Clause provides constitutional protection of the liberty
interest of foster children in their personal safety, defendants may escape
liability if that right was not "clearly established" when defendants
placed and kept Kara and Mikaela in Smit's home.
A
public officer or employee has a qualified immunity from suit and liability
under § 1983 if the claimed constitutional right was not "clearly
established" when the officer or employee took the action complained
of. Barnhill, 166 Wis.2d
at 406, 479 N.W.2d at 921.
In
a footnote to its holding, the DeShaney Court responded to an
allegation of the complaint that Joshua was in the custody and control of the
state as follows:
Had the State by the affirmative exercise of its power
removed Joshua from free society and placed him in a foster home operated by
its agents, we might have a situation sufficiently analogous to incarceration
or institutionalization to give rise to an affirmative duty to protect. Indeed, several Courts of Appeals have held,
by analogy to Estelle [v. Gamble, 429 U.S. 97 (1976)]
and Youngberg [v. Romeo, 457 U.S. 307 (1982)], that
the State may be held liable under the Due Process Clause for failing to
protect children in foster homes from mistreatment at the hands of their foster
parents. See Doe v. New
York City Dept. of Social Services, 649 F.2d 134, 141-142 (CA2 1981), after
remand, 709 F.2d 782, cert. denied sub nom Catholic Home
Bureau v. Doe, 464 U.S. 864 (1983); Taylor ex rel. Walker v.
Ledbetter, 818 F.2d 791, 794-797 (CA11 1987) (en banc), cert.
pending .... We express no view on
the validity of this analogy, however, as it is not before us in the present
case.
DeShaney, 489 U.S. at 201 n.9 (part of citations omitted).
Thus,
because the Supreme Court declined to reach the issue, it can be argued that whether
the state and its agents have a duty under the Due Process Clause to protect
involuntarily-placed foster children from harm was not "clearly
established" when Kara and Mikaela were placed and maintained in foster
care. However, public officers and employees
cannot succeed on a qualified immunity defense simply because the Supreme Court
has not had an opportunity to decide whether a person has a specific
constitutional right. It is sufficient
to deny the defense of qualified immunity if the course of the law should warn
a public official or employee that his or her act or omission violates a
person's constitutional rights. By 1989
and 1990, the decisions of the federal courts of appeals clearly established that
the state had a constitutional obligation under the Due Process Clause to
protect children over whom it had assumed custody of some form.
One
commentator states: "In most
cases, the [courts] have supported the protection of foster children on
substantive due process grounds."
Arlene E. Fried, The Foster Child's Avenues of Redress: Questions Left Unanswered, 26 Colum. J.L. & Soc. Probs. 465, 480
(1993). The Ledbetter
court held that a foster child has a liberty interest in a safe environment,
and failure to protect the child from an abusive foster parent violated the
child's right to substantive due process.
Fried, 26 Colum. J.L. & Soc.
Probs. at 481 (citing Ledbetter, 818 F.2d at 797). The Seventh Circuit also held that a foster
child has a substantive due process right to be protected from a foster parent
the agency knows or should know is dangerous to the child's physical or mental
health. K.H. v. Morgan,
914 F.2d 846, 848-49 (7th Cir. 1990).
While
there are some surprising departures by the federal courts of appeals--Milburn
v. Anne Arundel County Dep't of Social Servs., 871 F.2d 474 (4th Cir.),
cert. denied, 493 U.S. 850 (1989)--the great majority of the federal
circuit courts which have considered the question have concluded that foster
children possess substantive due process rights to care and protection. Fried, 26 Colum.
J.L. & Soc. Probs. at 485.
The
responsibility of social workers to protect foster children has not been
explicated solely by caselaw. The 1979
National Association of Social Workers Delegate Assembly adopted a Code of
Ethics (revised by the 1990 and 1993 Assemblies) which "represents
standards of ethical behavior for social workers in professional relationships
with those served, with colleagues, with employers, with other individuals and
professions, and with the community and society as a whole." Code of Ethics at v. The Code states that the social worker's
primary responsibility is to clients. Id. at 5. The
Code also states:
6. The
social worker should provide clients with accurate and complete information
regarding the extent and nature of the services available to them.
7. The social worker should apprise clients of
their risks, rights, opportunities, and obligations associated with social
service to them.
Id.
Robert
Horowitz says that when the American Bar Association Center on Children and the
Law surveyed child welfare liability in the early 1980's, it found relatively
few cases. Liability in Child
Welfare and Protection Work: Risk
Management Strategies, ABA Center on Children and the Law
(1991). However, the Children's Center
states that when social services professionals are now asked about the
incidence of litigation surrounding foster care, more and more hands are being
raised, reflecting an increase in potential liability for child welfare
work. Id. at ix. In Chapter 1, Defining the Risks after DeShaney,
Marsha Sprague states that, "[w]hile DeShaney has served to
limit the liability of caseworkers, of child protective and child welfare
agencies, and of private service providers in some respects, it does not affect
most of the cases filed in this context."
Id. at 18. In her
endnotes, Sprague ranks the areas of risk of liability. Failure to adequately protect the child from
harm in foster care ranks as "high."
Id. at 27.
In
view of all the attention given to this subject, it is impossible to conclude
that the department and its social workers did not know that they were
potentially liable under the Due Process Clause and § 1983 if they failed to
adequately investigate the qualifications of foster care parents with whom they
placed children or did not adequately supervise the foster care and promptly
remove children when confronted with evidence of abuse.
Thus,
the social workers who allegedly knew or should have known that Smit caused or
permitted the abuse of children in her care are not entitled to the defense of
qualified immunity. Relevant case law
prior to the placement and supervision of Kara B. and Mikaela R. clearly
established that reckless or deliberate indifference to the safety of foster
care children violated their liberty interest under the Due Process Clause.
FOSTER
PARENT AS STATE ACTOR
The
majority concludes that Smit was not a state actor. Section 1983 makes it a federal tort for a person to deprive
another of his or her constitutional rights "under color of
law." It has been held that,
"[t]he care of foster children is not traditionally the exclusive
prerogative of the State." Milburn,
871 F.2d at 479. In Milburn,
however, the child was placed in foster care voluntarily by the parent. The Western District Court of Michigan
concluded that a foster parent was not a state actor because "[d]ay-to-day
parenting decisions were left open to the judgment of the [foster
parents]." Lintz v. Skipski,
807 F. Supp. 1299, 1306 (W.D. Mich. 1992), aff'd, 25 F.3d 304 (6th
Cir.), cert. denied, 115 S. Ct. 485 (1994).
Treating
foster parents as private actors is inconsistent with the historical
development of the state-action doctrine.
See Dee, 69 Wash.
U. L.Q. 1201. It is also inconsistent
with the need to closely supervise foster parent care because of the high
incidence of abuse. Where a child is
placed by the state in foster care, the acts of the foster parent can be said
to be "fairly attributable" to the state. See id. at 1218.
Some
courts have held that where the parent voluntarily places his or her child in
foster care, the foster parent is not a state actor. I do not believe it should matter how the child comes into foster
care. Martin Guggenheim, The Effect
of Tort Law on Child Welfare Liability, in Risk Management Strategies
at 86, states:
It is true that
the way in which a child enters the foster care system is significant from the
parent's perspective, but that difference is immaterial from the perspective of
the child. Once a child is in foster
care, regardless of the method by which s/he entered the system, it is
difficult to conclude that some children have federal rights which protect them
against harm while others have no such federal rights.
Quoted in Fried, 26 Colum. J.L. &
Soc. Probs. at 487 n.162.
STATE-LAW
CLAIMS
(a) Cords
v. Anderson.
The
majority concludes that § 893.80(4), Stats.,
immunizes the department and its social workers from tort liability under
Wisconsin law for failing to remove the plaintiff children from foster care of
a person they knew or should have known was exposing and subjecting the
children to sexual abuse. The majority
misconstrues § 893.80(4). The
statute assumes that the governmental subdivision or its officer or employee
makes a choice between reasonable alternatives. The statute protects the agency or officer whose reasonable
choice turns out badly. In some situations,
the agency or officer may not have a choice of action. For example, the park manager of a
state-owned recreational area who knew that a publicly-used trail was inches
away from a ninety-foot gorge in dangerous terrain did not have the choice of
not posting signs warning users of the danger.
Cords v. Anderson, 80 Wis.2d 525, 541-42, 259 N.W.2d 672,
679-80 (1977). The park manager's duty
to warn became ministerial.
It
would be shocking to construe Wisconsin's immunity statute to shield from liability
public agencies and officers who are deliberately indifferent to the lives and
safety of the persons they govern. We
have concluded that such conduct as to foster children is actionable under the
Due Process Clause and § 1983. Are we
so insensitive that we leave to Congress the protection of our children? I believe not.
(b) Professional
Discretion.
The
majority implies that the "medical discretion" cases--Scarpaci
v. Milwaukee County, 96 Wis.2d 663, 292 N.W.2d 816 (1980), Protic
v. Castle Co., 132 Wis.2d 364, 392 N.W.2d 119 (Ct. App. 1986), Gordon
v. Milwaukee County, 125 Wis.2d 62, 370 N.W.2d 803 (Ct. App. 1985)--are
anomalies. In Stann v. Waukesha
County, 161 Wis.2d 808, 818 & n.3, 468 N.W.2d 775, 779 (Ct.
App. 1991), we confined the cited cases to their facts. This was not necessary. However, we should have explained that a
public officer or employee who practices a profession must meet the standards
of care and conduct required by his or her profession. The supreme court made that clear in Scarpaci. In that case, the court held that while the
county medical examiner's decision to conduct an autopsy was
"governmental" and subject to § 893.80(4), Stats., how the examiner performed the
autopsy involved "professional" discretion to which the standard of
care required of medical examiners applied.
96 Wis.2d at 685-88, 292 N.W.2d at 826-28. In other words, the medical examiner's performance of an autopsy
was to be tested according to the standards of his profession.
Social
work is no different from the practice of medicine in this respect; there are
standards of care to which a social worker must conform, just as there are
standards of care to which a doctor must conform. "Social work is among the most demanding
professions." Robert H. Cohen,
J.D., A.C.S.W., General Counsel, National Association of Social Workers, Foreword
to Frederic G. Reamer, Social Work
Malpractice and Liability: Strategies
for Prevention xi (1994).
"Malpractice in social work usually is the result of a
practitioner's active violation of a client's rights (in legal terms, acts
of commission, misfeasance, or malfeasance) or a practitioner's
failure to perform certain duties (acts of omission or nonfeasance)." Id. at 3; see also
Social Work Malpractice at 107
("[S]ocial workers are in a special position to abuse substantive rights
of their particularly vulnerable clientele.").
Government-employed
social workers take pride in their work and consider themselves
professionals. The discretion they
exercise is not ordinarily governmental but professional. That discretion must be exercised according
to the standards of the social work profession, whether the social worker is
privately or publicly employed. Section
893.80(4), Stats., does not
immunize a professional from actions which do not meet professional standards.
Whether
the defendant social workers met professional standards in placing and
maintaining Kara B. and Mikaela R. in the foster care of Roxanne Smit cannot be
decided by affidavits; a trial is necessary.
For
these reasons, I concur in part and dissent in part.
[1] Both courts framed the constitutional issue
in terms of whether the defendants acted with "deliberate
indifference" to the plaintiffs' rights, based on cases--notably Taylor
v. Ledbetter, 818 F.2d 791, 794 (11th Cir. 1987), cert. denied,
489 U.S. 1065 (1989)--indicating that a government official's liability under §
1983 for failing to exercise an affirmative duty depends on a showing that (1)
"the failure to act [was] a substantial factor leading to the violation of
a constitutionally protected liberty or property interest" and (2) the
defendants "display[ed] deliberate indifference" to the plaintiff's
rights.
As will
be seen below, while we agree that government professionals may be subject to
liability under § 1983 for actions or inaction resulting in a violation of the
plaintiffs' constitutional rights, we do not agree that the proper standard for
assessing their conduct in that regard is one of deliberate indifference.
[2] Because we conclude that the county
defendants are immune from the plaintiffs' state-law tort claims under
§ 893.80, Stats., we need
not consider whether, as they argue, they are also immune under the
"good-faith" immunity provisions of § 895.485, Stats.
[3] Citing Estelle v. Gamble, 429
U.S. 97 (1976), and Youngberg v. Romeo, 457 U.S. 307
(1982)--cases we discuss in more detail below--the court acknowledged that
"[a] consensus has been reached regarding the existence of such a special
relationship between the State and incarcerated persons [Estelle]
and between the State and involuntarily committed mental patients [Youngberg],"
but it concluded that "at the times relevant to this case ... a sufficient
consensus had not been reached regarding the existence of a special
relationship between the State and a foster child in its care."
[4] The Bobbitt court stated that,
as of 1984, only one case held that such a right existed--Doe v. New York
City Dep't of Social Servs., 649 F.2d 134 (2d Cir. 1981), cert.
denied, 464 U.S. 864 (1983), a case the Bobbitt court felt
"depended upon an absolutely novel analogy between incarceration and
placement in a foster home." Doe
v. Bobbitt, 881 F.2d 510, 511-12 (7th Cir. 1989), cert. denied,
495 U.S. 956 (1990).
[5] The Bobbitt opinion refers to
the report of the district court decision in Doe v. Bobbitt, 665
F. Supp. 691, 693-94 (N.D. Ill. 1987), for a discussion of the underlying
facts. The district court decision
states simply that the child was "placed ... in the home of ... the
child's aunt." Id.
at 693. There is no indication that the
aunt maintained a "foster home," licensed or otherwise. Indeed, in K.H. v. Morgan, 914
F.2d 846, 853 (7th Cir. 1990), the court, discussing Bobbitt,
stated: "The aunt who was awarded custody of the plaintiff in Doe v.
Bobbitt was not a foster parent ...." (Emphasis added.)
[6] The defendants also suggest that the Supreme
Court's decision in DeShaney v. Winnebago County Dep't of Social Servs.,
489 U.S. 189 (1989), supports dismissal of the actions. We disagree. DeShaney, like Bobbitt, did not
involve placement in a foster home; the plaintiff in DeShaney was
abused after the agency returned him to his natural parent.
In K.H. the court saw
a material difference between cases, like DeShaney, "where
the question was whether the Constitution entitles a child to governmental
protection against physical abuse by his parents or by other private persons
not acting under the direction of the state" and cases--such as the ones
under consideration here--where the state removes a child from parental custody
and places him or her in a foster home.
In the latter, said the K.H. court, the state assumes a
duty not to act so as to deprive the child of his or her constitutional
rights. K.H., 914 F.2d at
848-49.
For similar reasons, these cases are
distinguishable from Jones v. Dane County, 195 Wis.2d 892,
921-22, 537 N.W.2d 74, 83 (Ct. App. 1995), where a child whom the county had
returned to his family home shot and seriously wounded one of his parents. We concluded that because the child had been
returned to his parents and was no longer in a custodial relationship with the
county, there was no such "special relationship" between the county
and either the child or the wounded parent, as would support a § 1983
substantive due process claim.
In these
cases, as we note elsewhere in this opinion, not only were orders in effect
granting temporary custody of Kara B. and Mikaela R. to Dane County but both
children were in the custodial care of a county-licensed foster home at the
time the assaults occurred. And, as may be seen below, in cases involving
foster-home placements similar to Kara B.'s and Mikaela R.'s, courts have
upheld § 1983 claims when a government professional's action or inaction
results in the deprivation of constitutional rights of a child in foster
care.
The immunity issue is whether this right can be said, on
the basis of Youngberg and Doe [v. New York
City Dep't of Social Servs.], to have been clearly established in
1986. It can be. Youngberg made the basic duty
of the state to children in state custody clear, and Doe added
the obvious corollary that the duty could not be avoided by substituting
private for public custodians. No case
held the contrary and there was no reason to think that Doe would
not be followed in this circuit.
K.H., 914 F.2d at 852.
[8] As early as 1975, the agencies learned that
Anna had been engaging "extensively" in group sex--including
"full sexual intercourse"--with other children in her school. She was then fourteen years old. At about that time, the agencies had her
examined by a psychiatrist, who concluded that she had been sexually involved
with her foster father for some time and recommended her immediate removal from
the household. No such steps were taken
by the agencies and Anna's placement continued. Finally, in July 1977, Anna's foster mother, by then involved in
divorce proceedings, told the agencies that she had found her husband and Anna
in bed together. Anna and other
children in the home were removed shortly thereafter.
[9] In Estelle, the Supreme Court
held that in order to state a claim for violation of the Eighth Amendment's
prohibition against cruel and unusual punishment, a prisoner must allege facts
showing "deliberate indifference" on the part of state actors to the
inmate's serious medical needs.
Estelle v. Gamble, 429 U.S. 97, 104 (1976).
[10] The dispositional order in Kara B.'s CHIPS
case ordered "[t]emporary non-secure custody [in the department] to permit
placement ... in foster care ...."
In Mikaela R.'s case, the court ordered that she be "placed under
the protective supervision of the [c]ourt for ... one year ... [with]
[s]upervision ... to be provided by the Dane County Department of Human
Services."
[11] In Farmer, the court held that
a prison official cannot be found liable under the Eighth
Amendment for denying an inmate humane conditions of confinement unless the
official knows of and disregards an excessive risk to inmate health or
safety; the official must both be aware of facts from which the inference could
be drawn that a substantial risk of serious harm exists, and he must also draw
the inference.
Farmer v. Brennan, 114 S.Ct. 1970, 1979 (1994) (emphasis added).
[12] Like Estelle, the case began
with a claim under the cruel-and-unusual-punishment provisions of the Eighth
Amendment. Both the court of appeals
and the Supreme Court, however, felt that the rights at stake were substantive
Fourteenth Amendment due process rights, and the appeals proceeded on that
basis. Youngberg, 457
U.S. at 312-13, 314.
[13] The Court noted in this regard that:
In an action for damages against a professional in his
individual capacity, however, the professional will not be liable if he was
unable to satisfy his normal professional standards because of budgetary
constraints; in such a situation, good-faith immunity would bar liability.
Youngberg, 457 U.S. at 323.
[14] Indeed, it is well settled in the law that
where, as here, a party claims deprivation of due process, mere negligence will
not support a § 1983 action. Daniels
v. Williams, 474 U.S. 327, 329, 330-31 (1986).
[15] In this analysis, the "state" is
synonymous with the "government"--in this case, the county Department
of Social Services and its agents, operating under a variety of state and
county laws and regulations.
[16] According to the court: (1) Smit was engaged
in a public function because the government was "responsible for the
original placement and supervision of [Mikaela R.'s] foster care";
(2) the state compulsion test was met by the state's authority to secure
compliance by foster homes with regulatory requirements; and (3) the
"plethora" of government regulation of foster homes "is so pervasive
as to amount to a symbiotic relationship."
[17] We are not bound by decisions of federal
trial courts. Professional Office
Bldgs. v. Royal Indem. Co., 145 Wis.2d 573, 580-81, 427 N.W.2d 427,
429-30 (Ct. App. 1988). However, Lintz
v. Skipski, 807 F. Supp. 1299, 1306 (W.D. Mich. 1992), aff'd, 25
F.3d 304 (6th Cir.), cert. denied, 115 S. Ct. 485 (1994), has been cited
to us by both Mikaela R. and the trial court; as before, we are persuaded by
the district court's reasoning on the point.
Additionally,
defendants point out that many of the Wisconsin regulations governing foster
homes are general in scope, dealing, for example, with physical requirements
for the homes--living-space size, type of heating systems, etc. Wis.
Adm. Code, § HSS 56.05. And many
that may be said to relate to the care of foster children are only very
generally stated. See, e.g., § HSS
56.07, entitled "Care of foster children," which states that foster
children are to receive "humane and nurturing care,"
"respect[]," and "room to grow and the maximum of personal and
physical freedom appropriate to the child's age and maturity." Other provisions require that children under
five years of age receive physical examinations every twelve months and that
children may not be punished by depriving them of meals, mail and family
visits. Sections HSS 56.07(4)(b) and
(5)(f). We agree with the defendants
that such generally worded "regulations" cannot fairly be said to
constitute the type of extensive control over a foster parent's day-to-day
parenting decisions that would be necessary to convert the parent into a state
actor under the tests discussed herein.
[18] In Pfoltzer, the court, citing Milburn
v. Anne Arundel County Dep't of Social Servs., 871 F.2d 474, 479 (4th
Cir.), cert. denied, 493 U.S. 850 (1989), noted that foster parents are
not state actors "where ... the foster homes were not operated by the
[government]." Pfoltzer v.
County of Fairfax, 775 F. Supp. 874, 884-85 (E.D. Va. 1991).
[19] The concurring/dissenting judge, apparently
recognizing that Stann v. Waukesha County, 161 Wis.2d 808, 818,
468 N.W.2d 775, 779 (Ct. App. 1991), and Linville v. City of Janesville,
174 Wis.2d 571, 584-85, 497 N.W.2d 465, 471 (Ct. App. 1993), aff'd, 184
Wis.2d 705, 516 N.W.2d 427 (1994), constitute binding precedent on the subject,
would have them overruled to reach the opposite result. See In re Court of Appeals,
82 Wis.2d 369, 371, 263 N.W.2d 149, 149-50 (1978) (per curiam); Ranft v.
Lyons, 163 Wis.2d 282, 299-300 n.7, 471 N.W.2d 254, 260-61 (Ct. App.
1991).
[20] In addition to foster families, others
mentioned--along with permanent county employees--in the "definition"
of agents are "group home staff, day treatment staff, or others in
circumstances where `there is a substantial probability that the county agency
... would not conduct an unbiased investigation.'"
[21] Terrence J. Dee, Foster Parent Liability
under Section 1983: Foster Parents'
Liability as State Actors for Abuse to Foster Children, 69 Wash. U. L.Q. 1201, 1201 (1991) (citing
Michael B. Mushlin, Unsafe Havens:
The Case for Constitutional Protection of Foster Children from Abuse and
Neglect, 23 Harv. C.R.-C.L. L. Rev.
199, 206 & n.30 (1988)).