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Goldstein V. Moatz
UNITED STATES COURT OF APPEALS FOR THE
FOURTH CIRCUIT
**************************
RICHARD W. GOLDSTEIN,
Plaintiff-Appellant,
v.
HARRY I. MOATZ, Director, Office of
Enrollment and Discipline;
LAWRENCE ANDERSON; JAMES E.
ROGAN, Under Secretary of
Commerce for Intellectual Property
and Director of the USPTO; JAMES
A. TOUPIN; DAVID M. PUROL,
USPTO, Patent Examiner; JOHN
DOES 1-5; UNITED STATES OF
AMERICA,
Defendants-Appellees.
**************************
No. 03-1257
Appeal from the United States District
Court
for the Eastern District of Virginia, at
Alexandria.
Leonie M. Brinkema, District Judge.
(CA-02-1734-A)
Argued: October 29, 2003
Decided: April 14, 2004
Before WILLIAMS, MOTZ, and KING, Circuit
Judges.
Affirmed in part, vacated in part, and
remanded by published opinion.
Judge King wrote the opinion, in which
Judge Williams joined. Judge
Motz wrote a dissenting opinion.
ARGUED: Adam Augustine Carter,
Washington, D.C., for Appellant.
Richard Parker, Assistant United States
Attorney, Alexandria,
Virginia, for Appellees.
ON BRIEF: Paul J. McNulty, United States
Attorney, Alexandria, Virginia, for
Appellees.
OPINION
KING, Circuit Judge:
Richard W. Goldstein, a patent lawyer,
appeals an award of absolute immunity
accorded certain officials of the Patent
and Trademark Office for their conduct
in an attorney disciplinary
investigation.
Goldstein also appeals the denial of his
challenge to a certification on the
scope of defendant David Purol’s
employment and the denial of discovery
on the certification. Because defendants
Harry Moatz, Lawrence Anderson, and
James Toupin are not absolutely immune
from Goldstein’s Bivens claim for
damages,1 and because the district court
did not separately consider whether the
defendants are immune from suit for
declaratory relief, we vacate and remand
on those aspects of this appeal. We
affirm the court’s dismissal of
defendant James Rogan and its ruling on
the scope of employment certification.
I.
A.
Plaintiff Richard W. Goldstein is an
attorney admitted to practice before the
United States Patent and Trademark
Office (the "PTO"). He alleges that
certain PTO officials — specifically
James E. Rogan, the Under Secretary of
Commerce for Intellectual Property and
Director of the PTO; Harry Moatz, the
Director of the PTO’s Office of
Enrollment and Discipline ("OED"); OED
staff attorney Lawrence Anderson, and
PTO General Counsel James Toupin —
contravened his constitutional rights in
the course of a disciplinary
investigation conducted by the OED.2
Pursuant to PTO regulations, the OED
Director is responsible for
investigating allegations of misconduct
by members of the patent bar. 37 C.F.R.
§§ 10.2(b)(2), 10.131(a). When the
Director conducts a disciplinary
investigation, practitioners are
required to report and reveal to him any
unprivileged knowledge they possess of
PTO disciplinary rule violations. Id. §§
10.24(a), 10.131(b). If, after
investigation, the Director believes
that a practitioner has violated a
disciplinary rule, he is obliged to
convene the PTO’s Committee on
Discipline (the "Committee"). Id. §
10.132(a). The Committee is a body of at
least three PTO staff attorneys
appointed by the Commissioner for
Patents. Id. § 10.4(a). The Committee
decides whether there is probable cause
to believe that a disciplinary rule has
been violated. Id. § 10.4(b). If the
Committee makes a finding of probable
cause, the Director initiates formal
disciplinary proceedings by filing a
complaint against the attorney and
referring the matter to an
administrative law judge (an "ALJ"). Id.
§ 10.132(b), (c). Such disciplinary
proceedings may result in the issuance
of a reprimand, or they can lead to the
suspension or expulsion of a lawyer from
the patent bar. Id. § 10.132(b).
Between December 6, 2000, and June 28,
2002, the OED received complaints
regarding Goldstein from at least four
of his clients. The complaints,
apparently forwarded to the PTO by South
Carolina’s Department of Consumer
Affairs, pertained to Goldstein’s
representation of patent-seekers in his
work with an invention promotion
company. OED Director Moatz assigned
staff attorney Anderson to investigate
the complaints against Goldstein.
In the course of his investigation,
Anderson sought information from
Goldstein through the use of the PTO’s
Requirements for Information ("RFIs").
The first RFI served on Goldstein, dated
December 5, 2000, required information
pertaining to Goldstein’s representation
of "client C00-95" and contained
sixty-four discovery requests, including
multiple subparts. The RFI required
Goldstein to submit written responses to
the OED, together with supporting
documentation, within thirty days.
Anderson’s RFI transmittal letter
recited Goldstein’s duty to report and
reveal knowledge or evidence pursuant to
37 C.F.R. § 10.131(b), and it warned
Goldstein that "[f]ailure to respond and
answer the questions can be construed as
failure to cooperate, and can be
submitted to the Committee on Discipline
for appropriate action." Anderson also
referred Goldstein to 37 C.F.R. §
10.23(c)(16), which provides that
willfully refusing to reveal or report
knowledge of a disciplinary rule
violation itself constitutes a
disciplinary rule violation. Goldstein
submitted his responses to the first RFI
on December 19, 2000.
On March 15, 2001, Anderson served
Goldstein with a second RFI, this time
seeking information concerning
Goldstein’s representation of "client
C00-117." This RFI contained
approximately forty-eight inquiries, to
which responses and supporting materials
were due within thirty days.
On March 28, 2001, Anderson forwarded
Goldstein another RFIconcerning "client
C00-95," containing forty-three requests
with similar requirements. Anderson’s
transmittal letter indicated that the
questions were based on Goldstein’s
previous responses of December 19, 2000,
and also on newly discovered
information. When Goldstein requested
that Anderson identify the newly
discovered information, however,
Anderson indicated that he only meant
Goldstein’s answers to the first RFI.
Out of concern for his client’s
confidences, Goldstein also sought from
Anderson the identity of the person who
had complained to the South Carolina
authorities. Anderson replied that
Goldstein was not then permitted to
engage in discovery. Goldstein responded
to this RFI on May 15, 2001.
On June 5, 2001, Goldstein wrote to
Anderson, advising him that, as there
was no indication that "client C00-117"
intended to waive the attorney-client
privilege, he could not ethically
provide responses to Anderson’s
inquiries pertaining to that client.
Anderson responded by reiterating the
requests for information made in the
second RFI, to which Goldstein
reasserted the attorney-client
privilege. On July 11, 2001, Goldstein
responded to the requests to the extent
that he could do so without violating
the privilege. The PTO subsequently
obtained a waiver of attorney-client
privilege from "client C00-117" and
instructed Goldstein to respond to the
second RFI’s remaining requests.
Goldstein did so on August 16, 2001.
On November 20, 2001, Anderson served
Goldstein yet another RFI concerning
"client C00-95." The next day, Anderson
mailed Goldstein an RFI regarding a
third client, "client C2002-12." Five
days later, Anderson forwarded Goldstein
an RFI regarding a fourth client,
"client C2002-13." Together, these final
three RFIs required responses to
approximately 152 requests, to be
submitted to the OED, along with
supporting documentation, within
thirty-six days.
On December 20, 2001, Goldstein filed
with the PTO a "Petition to Invoke the
Supervisory Authority of the
Commissioner," challenging the PTO’s use
of RFIs in its attorney disciplinary
investigations and requesting that "the
Commissioner" (presumably the
Commissioner for Patents) supervise the
OED Director with respect to their
issuance. On April 12, 2002, PTO General
Counsel Toupin responded to Goldstein’s
Petition, denying relief and asserting
that the RFIs were neither excessive nor
an abuse of discretion. Toupin’s letter
also advised Goldstein that the April
12, 2002, letter was not a final
decision from which Goldstein could
appeal or otherwise seek review, and it
instructed Goldstein to respond to the
outstanding requests within thirty days.
On June 28, 2002, Goldstein filed his
responses to the three outstanding RFIs,
making general objections to the RFI
investigative process and asserting
other objections to specific questions.
At the time this appeal was filed, the
OED had not initiated any disciplinary
charges against Goldstein, nor had it
informed him that its investigation had
been closed.
In the midst of this process, in August
2001, "client C2002-13" contacted patent
examiner Purol, inquiring why Purol had
rejected his patent application.3
Purol informed the client that he would
reject the client’s application no
matter how many times it was filed,
apparently because similar products had
already been patented. Purol then
advised the client that "something
didn’t sound right" with the company
that had retained Goldstein to file the
client’s patent application, in that six
prior patents should have been
discovered in a patent search.
B.
On November 26, 2002, Goldstein filed
his Complaint in this matter, initiating
suit against Rogan, Moatz, Anderson,
Toupin, and Purol in their individual
capacities. In Counts I and II,
Goldstein brought Bivens actions for
damages and declaratory relief,
respectively, for the violation of his
constitutional rights to free speech and
due process through issuance of the
RFIs.4 In Count III,
Goldstein sought damages under state
tort law for Purol’s alleged
interference with his business
relationship with "client C2002-13."5
On January 31, 2003, the defendants
filed a motion, pursuant to Rule
12(b)(6) of the Federal Rules of Civil
Procedure, seeking to dismiss the
Complaint for failure to state a claim
upon which relief can be granted. They
contended that (1) Rogan was not
personally involved in any violation of
Goldstein’s constitutional rights; (2)
Moatz, Toupin, and Anderson are
absolutely immune from Goldstein’s
claims or, in the alternative, are
protected by qualified immunity; (3)
Count II fails to state a declaratory
judgment claim against the defendants in
their individual capacities; and (4) the
Federal Tort Claims Act ("FTCA")
provides Goldstein’s exclusive remedy
for Purol’s allegedly tortious act.
In support of the motion to dismiss
Count III, the United States Attorney
certified, pursuant to 28 U.S.C. §
2679(d)(1), that Purol was acting within
the scope of his employment at all
relevant times, and thereby the United
States was substituted as the party
defendant in that Count.6
Goldstein then challenged the
certification and sought discovery
regarding the scope of Purol’s
employment.
At the conclusion of a motions hearing
conducted on February 21, 2003, the
district court ruled from the bench in
favor of the defendants. In its ruling,
the court dismissed all three counts of
the Complaint, granting, inter alia, the
12(b)(6) motion as to defendants Moatz,
Anderson, and Toupin on the basis of
absolute immunity, and denying
Goldstein’s challenge to the scope of
employment certification and his request
for discovery.7 Goldstein has
appealed from these rulings, and we
possess jurisdiction pursuant to 28
U.S.C. § 1291.8
II.
We review de novo a district court’s
dismissal of a complaint for failure to
state a claim. Mylan Labs., Inc. v.
Matkari, 7 F.3d 1130, 1134 (4th Cir.
1993). Accordingly, we review de novo
the district court’s determination that
the defendants are protected by absolute
immunity. We also review de novo a
district court’s scope of employment
determination, Gutierrez de Martinez
v. DEA, 111 F.3d 1148, 1152 n.3 (4th
Cir. 1997), and we review for abuse of
discretion the denial of a request for
discovery on a scope of employment
issue. Id. at 1155.
III.
A.
We consider first whether the Defendants9
are absolutely immune from Goldstein’s
Bivens action for damages.10
As the Supreme Court has explained, the
defense of absolute immunity bars suit
against "officials whose special
functions or constitutional status
requires complete protection from suit .
. . ." Harlow v. Fitzgerald, 457
U.S. 800, 807 (1982) (citing Butz v.
Economou, 438 U.S. 478, 508-512
(1978) (according absolute immunity to
executive officers engaged in
adjudicative functions); Stump v.
Sparkman, 435 U.S. 349 (1978)
(according absolute immunity to judges
for judicial functions); Eastland v.
U.S. Servicemen’s Fund, 421 U.S. 491
(1975) (according absolute immunity to
legislators for legislative functions)).
As the Court has recognized, the purpose
of absolute immunity "is not to protect
an erring official, but to insulate the
decision making process from the
harassment of prospective litigation."
Westfall v. Erwin, 484 U.S. 292,
295 (1988). In this regard, courts are
obliged to apply absolute immunity
sparingly, because "[t]he presumption is
that qualified rather than absolute
immunity is sufficient to protect
government officials in the exercise of
their duties." Burns v. Reed, 500
U.S. 478, 486-87 (1991).
Qualified immunity will bar a civil
action against a government official
unless the plaintiff has alleged the
deprivation of a constitutional right
that was clearly established at the time
of the alleged violation. Conn v.
Gabbert, 526 U.S. 286, 290 (1999).
Absolute immunity, as its name suggests,
differs from qualified immunity in that
absolute immunity acts as a complete bar
to damages claims of any sort,
constitutional or otherwise. See
Austin v. Borel, 830 F.2d 1356, 1358
(5th Cir. 1987).11
The Supreme Court has made it clear that
government officials seeking the
protection of absolute rather than
qualified immunity "bear the burden of
showing that public policy requires an
exemption of that scope." Butz,
438 U.S. at 506. The Defendants seek to
meet this burden by asserting that our
decision in Ostrzenski v. Seigel,
177 F.3d 245 (4th Cir. 1999), controls
the disposition of this appeal.
Goldstein responds that Ostrzenski is
distinguishable and that its holding
should neither be expanded nor extended.
In order to recognize the grounds on
which Ostrzenski may be
distinguishable, we must first
understand the parameters of absolute
immunity established in Supreme Court
precedent. First, in Butz, the
Supreme Court addressed the types of
immunity typically accorded
administrative agency officials. Butz,
438 U.S. at 478. There, the plaintiff
had alleged that certain officials of
the Department of Agriculture, involved
in investigating, prosecuting, and
adjudicating enforcement proceedings
against him, had violated his due
process and free speech rights. Id. at
480. The Court accorded the Butz
defendants absolute immunity, observing
that "agency officials performing
certain functions analogous to those of
a prosecutor should be able to claim
absolute immunity with respect to such
acts." Id. at 515. In assessing the
absolute immunity issue presented here,
we must therefore decide whether the
Defendants, who are neither judges,
legislators, nor prosecutors, performed
functions analogous to those for which
prosecutors would be absolutely immune.
1.
a.
In analyzing the functions for which
prosecutors enjoy absolute immunity, the
controlling line of authority begins
with the Supreme Court’s 1976 decision
in Imbler v. Pachtman, 424 U.S.
409 (1976). In Imbler, the Court
explained that, when prosecutors perform
advocative functions that are
"intimately associated with the judicial
phase of the criminal process," they are
absolutely immune from civil suit. Id.
at 430. Imbler had initiated suit
against a prosecutor, alleging that the
prosecutor had conspired with other
government officials to allow a witness
to provide false testimony and to have a
sketch of the suspect altered to
resemble Imbler more closely. Id.
at 415-16. In addition, Imbler
claimed that the prosecutor was
personally liable because he was
responsible for a fingerprint expert’s
suppression of evidence. Id. at
416. In addressing the immunity issue,
the Court first explained that, at
common law, prosecutors had been
protected by absolute immunity. The
Court then determined that the policy
concerns recognized under common law
supported an award of absolute immunity
in that proceeding. Id. at 424. Those
public policy considerations included
the need for prosecutors to focus on
their duties rather than on defending
civil suits, and the corollary need for
prosecutors to exercise independent
discretion without fear of retaliation.
Id. at 423. The Court explained that
qualified immunity provides insufficient
protection for prosecutors because they
must often act quickly and with little
information. Id. at 424-35. Although
recognizing that absolute immunity "does
leave the genuinely wronged defendant
without civil redress against a
prosecutor whose malicious or dishonest
action deprives him of liberty," Justice
Powell observed that "the alternative of
qualifying a prosecutor’s immunity would
disserve the broader public interest."
Id. at 427.
The Imbler Court declined to
specify the specific prosecutorial
functions that give rise to the
protection of absolute immunity, but it
approved of the Ninth Circuit’s
"functional" analysis — "focus[ing] upon
the functional nature of the activities
rather than respondent’s status [as a
government official]." Id. at 430
(citing Imbler v. Pachtman, 500
F.2d 1301, 1302 (9th Cir. 1974), aff’d,
424 U.S. 409 (1976)). The Ninth Circuit
had recognized that "the reasons for
absolute immunity apply with full force"
to those prosecutorial functions that
are "intimately associated with the
judicial phase of the criminal process."
Id. (citing Imbler, 500 F.2d at
1302). Because the factual scenario
presented in Imbler required the
Supreme Court to consider only the type
of immunity to be afforded a prosecutor
involved in initiating and prosecuting a
criminal case, the Court had "no
occasion to consider whether like or
similar reasons require immunity for
those aspects of the prosecutor’s
responsibility that cast him in the role
of
an administrator or investigative
officer rather than that of advocate."
Id. at 430-31.
In 1991, the Supreme Court had occasion,
in its Burns decision, to address
the issue it had reserved in Imbler.
See Burns, 500 U.S. 478. Prior to
Burns, the inferior federal courts
generally had interpreted Imbler
to stand for the proposition that
prosecutors are not entitled to absolute
immunity for their administrative or
investigative activities. See id. at 483
n.2. It remained to be determined,
however, at what point in the process a
prosecutor ceases to function as an
administrator or an investigator and
begins to act as an advocate. In
Burns, the Court confirmed the
distinction between investigative and
advocative activities in deciding
whether absolute immunity should be
accorded a prosecutor who provides legal
advice to police officers concerning
probable-cause issues or to a
prosecutor’s participation in a
probable-cause hearing. Id. at 487-96.
The Court held that, under Imbler,
the prosecutor enjoyed absolute immunity
for his actions in the probable-cause
hearing. Id. at 492. Because "appearing
at a probable-cause hearing is
‘intimately associated with the judicial
phase of the criminal process,’" the
Court found that the prosecutor was
acting as an advocate. Id. at 492
(quoting Imbler, 424 U.S. at 430)
(internal citation omitted). The Court
also ruled, however, that under the
common law of immunity and the
guidelines of Imbler, a prosecutor is
not entitled to absolute immunity for
providing legal advice to police
officers. Id. at 492-96. The common law
afforded no such immunity to
prosecutors, the Court observed, and
this function is not sufficiently tied
to the judicial process to warrant such
protection. Id.
Although the Burns decision
provided the lower courts with guidance
on how the functional analysis should be
applied, many prosecutorial functions
were yet to be categorized. In 1993, the
Court’s decision in Buckley v.
Fitzsimmons established an important
principle. 509 U.S. 259. Buckley,
the plaintiff in that proceeding, had
been charged with murder. Id. at 261. He
initiated a § 1983 claim alleging, inter
alia, that prosecutor Fitzsimmons had
fabricated evidence during the murder
investigation. Id. at 261-62. Buckley
claimed that, when three separate
studies failed to connect him to a boot
print at the crime scene, Fitzsimmons
sought out an expert "who was allegedly
well known for her willingness to
fabricate unreliable expert testimony."
Id. at 262. The Court applied the
Imbler decision’s functional
analysis to those circumstances and
ruled that Fitzsimmons was not entitled
to absolute immunity. His acts were
investigative rather than advocative,
the Court decided, and a prosecutor
should not be accorded absolute immunity
for actions for which a police officer
would enjoy only qualified immunity. Id.
at 273-74. Rejecting Fitzsimmons’s
assertion that he was acting as an
advocate while seeking a shoeprint
expert witness, the Court, through
Justice Stevens, observed that, "[a]
prosecutor neither is, nor should
consider himself to be, an advocate
before he has probable cause to have
anyone arrested." Id. at 274 (emphasis
added). A prosecutor, then, is not
protected by absolute immunity for his
activities prior to a probable cause
determination, because he is not yet —
and should not yet be — acting as an
advocate. Id.
This proposition — that officials do not
enjoy absolute immunity for acts
committed prior to a probable cause
determination (i.e., during
investigation) — flows logically from
the Supreme Court’s declarations that
the purpose of absolute immunity is to
protect the exercise of discretion by
key government officials. See Westfall,
484 U.S. at 295 (explaining that the
purpose of absolute immunity is "to
insulate the decision-making process
from the harassment of prospective
litigation"); Imbler, 424 U.S. at
423 (noting that absolute immunity
serves the public policy need for
prosecutors to exercise unfettered
discretion). The protection afforded by
absolute immunity extends to activities
"intimately associated with the judicial
phase of the criminal process,"
Imbler, 424 U.S. at 430, because
those activities, like judicial
decision-making, involve the substantial
exercise of discretion.
Once a prosecutor possesses probable
cause, he must decide whether to
prosecute, which charges to initiate,
what trial strategy to pursue, and a
multitude of other important issues that
require him to exercise discretion. In a
pre-probable-cause investigation, on the
other hand, a prosecutor exercises no
more discretion than a police officer
and thus should enjoy no more protection
than qualified immunity. See Buckley,
509 U.S. at 273 ("When a prosecutor
performs the investigative functions
normally performed by a detective or
police officer, it is ‘neither
appropriate nor justifiable that, for
the same act, immunity should protect
the one and not the other.’") (quoting
Hampton v. City of Chicago, 484
F.2d 602, 608 (7th Cir. 1973)). We
therefore must determine whether, in
this setting, the Defendants are akin to
prosecutors possessing probable cause
and exercising their discretion, or
whether they are akin to investigators
involved in pre-probable-cause
activities.
b.
In the circumstances presented, Moatz,
Anderson, and Toupin acted merely as
investigators and are therefore not
entitled to absolute immunity. Most
significantly, there has been no
probable cause assessment or
determination, as required to initiate
formal disciplinary charges against
Goldstein. In fact, the Defendants do
not make a probable cause determination
— that task, under the applicable
regulations, belongs to the Committee.
37 C.F.R. § 10.4(b) (providing that
"[t]he Committee on Discipline shall
meet at the request of the Director and
after reviewing evidence presented by
the Director shall, by majority vote,
determine whether there is probable
cause to bring charges under § 10.132
against a practitioner"). Indeed, the
Director has not convened the Committee;
therefore, the OED has not been afforded
an opportunity to assess whether there
is probable cause to believe that
Goldstein has committed a disciplinary
rule violation. Moatz, Anderson, and
Toupin thus have not acted as advocates.
Not only is a formal probable cause
determination lacking, but Moatz himself
is not "of the opinion that [Goldstein]
has violated a Disciplinary Rule"
because, if he so believes, he is
required by regulation to "call a
meeting of the Committee on Discipline."
Id. § 10.132(a). Because Moatz does not
believe that Goldstein has violated a
disciplinary rule, he could not, in
pursuing his investigation through the
RFIs, have been gathering information as
an advocate. Accordingly, he was
functioning as an investigator, seeking
evidence regarding whether a
disciplinary rule may have been
violated.
Furthermore, the PTO’s regulations
require only that the Director convene
the Committee — they do not contemplate
him making a recommendation to the
Committee on whether it should find
probable cause against a lawyer. See id.
(providing that, if he believes a
disciplinary rule has been violated,
"the Director shall . . . call a meeting
of the Committee on Discipline"); id. §
10.132(b) (providing that, if the
Committee finds probable cause, "the
Director shall institute a disciplinary
proceeding"). Under the regulations,
Director Moatz is not called upon to act
as an advocate until after the Committee
has made a finding of probable cause. He
therefore did not exercise discretion
such as would entitle to him to absolute
immunity.
It is all the more apparent that staff
attorney Anderson functioned simply as
an investigator rather than as an
advocate, because Anderson’s belief
(unlike Director Moatz’s) about whether
Goldstein violated a disciplinary rule
has no regulatory significance. Indeed,
PTO staff attorneys such as Anderson do
not act as advocates under this
regulatory scheme and do not decide
whether charges should be brought; they
simply gather information. Anderson’s
actions, therefore, were purely
investigatory.
Toupin also performed no role as an
advocate in the course of the
disciplinary proceedings; his actions in
responding to Goldstein’s Petition of
December 20, 2001, and in upholding the
RFI process in his letter of April 12,
2002, are not analogous to the
advocative activities performed by
prosecutors. See Butz, 438 U.S. at 515.
In addition, although Toupin did not
himself seek information from Goldstein,
he asserted his authority over the
investigative process by ratifying the
OED’s actions and requiring that
Goldstein respond to the RFIs within a
certain time frame. In these
circumstances, Toupin acted in the role
of supervisor over Moatz and the OED’s
investigation; he did not perform
discretionary tasks so entwined with
judicial proceedings that they require
the protection of absolute immunity.
c.
Despite the Defendants’ assertions to
the contrary, our ruling today does not
run counter to our decision in
Ostrzenski.12 There, a
doctor who had been investigated by the
Maryland Board of Physician Quality
Assurance sued a peer reviewer who had
investigated him at the Board’s request.
Ostrzenski, 177 F.3d at 247. We
held the peer reviewer to be protected
by absolute immunity. The peer review
functions in Ostrzenski are
readily distinguishable from those
performed by the Defendants, however, in
that the peer reviewer was obliged by
regulation not only to investigate but
also to make recommendations to the
Board concerning the actions it should
take. See Md. Code Ann., Health Occ. §
14-401(e)(1)(i),(e)(2) (1994 & Supp.
1998). As Judge Wilkins carefully
explained, the peer reviewer could enjoy
absolute immunity only when performing a
protected prosecutorial function, which
in that instance was "reviewing the
evidence to determine whether to
recommend prosecution." Ostrzenski,
177 F.3d at 250. The function of
recommending prosecution is protected by
absolute immunity because it requires
the exercise of discretion. And the
doctrine of absolute immunity was
designed to protect, among other things,
the free exercise of discretion. See
Imbler, 424 U.S. at 423. The
Defendants here, unlike the peer
reviewer in Ostrzenski, have
neither the statutory nor regulatory
authority to recommend disciplinary
action; they merely investigate.13
Although the peer reviewer enjoyed
absolute immunity for the intertwined
activities of making his recommendation
to the Board and conducting the
investigation to support his
recommendation, we decline to expand or
extend Ostrzenski to cover
circumstances such as these, involving
purely investigative activities without
a concomitant recommendation.14
2.
The importance of denying absolute
immunity to the Defendants in this
proceeding is underscored by the utter
lack of procedural safeguards protecting
Goldstein’s rights and his clients’
secrets. The Supreme Court has indicated
that, in assessing whether absolute
immunity applies in a particular
situation, we should consider whether
the system in question contains adequate
procedural safeguards, such that private
litigation is unnecessary to protect
constitutional rights. See Butz,
438 U.S. at 512. On this point,
Goldstein maintains — and the Defendants
agree — that Goldstein has no means of
challenging the RFIs because he has not
been formally charged with a
disciplinary violation. Furthermore,
Goldstein contends that he had no option
but to answer the RFIs because failure
to comply would itself constitute a
violation of the disciplinary rules. We
agree with Goldstein that the denial of
any avenue for challenge, and the
threats of charges for noncompliance,
are indicative of a system lacking
sufficient procedural safeguards.
In assessing the available safeguards
protecting the recipient of an RFI, we
are naturally inclined to turn to the
regulation authorizing issuance of RFIs,
found at 37 C.F.R. § 1.105. That
regulation, titled "Requirements for
information," provides that, "[i]n the
course of examining or treating a matter
in a pending or abandoned application .
. . , in a patent, or in a reexamination
proceeding, the examiner or other Office
employee may require the submission . .
. of such information as may be
reasonably necessary to properly examine
or treat the matter . . . ." 37 C.F.R. §
1.105(a)(1). It plainly appears,
therefore, that RFIs are to be used only
to gather information on patent
applications, not information concerning
possible violations of attorney
disciplinary rules.
At oral argument, however, the
Defendants maintained for the first time
that, in serving the RFIs on Goldstein,
they did not intend to invoke the
authority of § 1.105. There was "nothing
talismanic" about the use of the term "RFI,"
the Defendants now assert; the
submissions to Goldstein were labeled "RFIs"
simply because that term is familiar to
lawyers in the patent community. The
Defendants make this contention to rebut
Goldstein’s allegation that the RFIs
were used to circumvent the standard
discovery procedures in place to protect
an attorney under investigation.
The regulations governing disciplinary
procedures provide for discovery only
after the initiation of disciplinary
proceedings, and then only under the
supervision of an ALJ.15
Clearly, the proper procedure for
obtaining discovery from an attorney
facing discipline — after formal charges
have been initiated — contains adequate
safeguards, in that the discovery
process, pursuant to the applicable
regulations, is then supervised by an
ALJ and limited to a reasonable number
of necessary and relevant requests. Id.
§ 10.152(a). In this instance, however,
because the RFIs were issued prior to
the initiation of a disciplinary charge,
Goldstein enjoyed no such protection. In
response, the Defendants now assert that
they were not seeking "discovery" from
Goldstein in the technical sense of the
term, but that they were merely
requesting information from him. We must
reject these apparent afterthoughts.
The Defendants’ "mere requests" to
Goldstein in the RFIs carried with them
explicit threats of disciplinary charges
for failure to comply. And the
applicable regulations simply do not
provide for such discovery prior to the
initiation of formal disciplinary
charges or absent ALJ supervision.
The Defendants concede that, as charges
have not been filed, there is no vehicle
by which Goldstein can challenge the
RFIs as unduly burdensome or as
protected by attorney-client privilege
or attorney work-product privilege.
According to the Defendants, Goldstein
could assert such challenges before an
ALJ if he were to refuse to comply
and if the OED were to initiate
disciplinary charges against him based
on that refusal. The Defendants maintain
that this speculative opportunity for
review is sufficient to protect
Goldstein’s rights. As explained below,
we are constrained to disagree.
An attorney should not be compelled to
subject himself to disciplinary charges,
and the adverse consequences that may
flow therefrom, in order to protect his
client’s confidences or to challenge
unduly burdensome discovery. Cf. Steffel
v. Thompson, 415 U.S. 452, 459 (1974)
(declaring that "it is not necessary
that petitioner first expose himself to
actual arrest or prosecution to be
entitled to challenge a statute that he
claims deters the exercise of his
constitutional rights"); Hickory Fire
Fighters Ass’n v. City of Hickory, 656
F.2d 917, 922 (4th Cir. 1981). Under the
OED’s current system, nothing but good
conscience would prevent an OED
investigator from requiring responses to
an unlimited and burdensome array of
questions by noon tomorrow and bringing
charges against an attorney who fails to
comply. Unfortunately, the only
available limitation in this system is a
private lawsuit; therefore, it is all
the more important that the Defendants
not be accorded absolutely immunity. In
light of the foregoing, we remand this
proceeding to the district court, with
leave to assess whether the Defendants
are entitled to qualified immunity.16
B.
We next turn to Goldstein’s request for
declaratory relief. In deciding whether
a government official is immune from
suit for specific relief, a court must
first determine whether the suit is
actually a suit against the sovereign;
that is, "whether, by obtaining relief
against the officer, relief will
not, in effect, be obtained against the
sovereign." Larson v. Domestic &
Foreign Commerce Corp., 337 U.S.
682, 688 (1949). The Larson Court
explained that, in such a situation,
"the compulsion, which the court is
asked to impose, may be compulsion
against the sovereign, although
nominally directed against the
individual officer." Id. Of course, not
all suits against government officials
are suits against the sovereign. Id. at
689. "If the officer purports to act as
an individual and not as an official, a
suit directed against that action is not
a suit against the sovereign." Id. As
the Supreme Court carefully explained:
where the
officer’s powers are limited by statute, his actions
beyond those limitations are considered individual
and not sovereign actions. The officer is not doing
the business which the sovereign has empowered
him to do or he is doing it in a way which the
sovereign has forbidden. His actions are ultra vires
his authority and therefore may be made the object
of specific relief.
Id. If a declaratory judgment proceeding
actually constitutes a suit against the
sovereign, it is barred absent a waiver
of sovereign immunity.
See id. at 688. Because the district
court has not separately addressed the
application of immunity principles to
Goldstein’s request for declaratory
relief, we must also remand Count II for
a determination of whether the
Defendants are subject to that form of
relief.17
Finally, Goldstein challenges the United
States Attorney’s certification that
Purol was acting within the scope of his
employment when he committed the acts
alleged in Count III. Goldstein further
asserts that the court erred in denying
him discovery on the scope of Purol’s
employment. We agree with the district
court on this issue.
Contrary to Goldstein’s assertions, he
has no right to discovery on the
certification issue. The assessment of
whether discovery is appropriate on such
an issue is within the sound discretion
of the district court, and any discovery
that is authorized should be narrowly
circumscribed. Gutierrez de Martinez,
111 F.3d at 1154-55.18 As we have
explained, "the district court may allow
(in its discretion) limited discovery or
conduct an evidentiary hearing, but
should not do so if the certification,
the pleadings, the affidavits, and any
supporting documentary evidence do not
reveal an issue of material fact." Id.
at 1155. Goldstein has failed to
identify any issue of material fact that
would prompt us to conclude that the
court abused its discretion in denying
his discovery request, and we have no
reason to believe that Purol’s duties
were in any way different from those of
the ordinary patent examiner.
Although Goldstein contests the district
court’s rejection of his challenge to
the scope of employment certification,
he does not assert that he has shown
that Purol acted outside the scope of
his employment. See id. at 1153
(explaining that certification "serves
as prima facie evidence and shifts the
burden to the plaintiff to prove, by a
preponderance of the evidence, that the
defendant federal employee was acting
outside the scope of his employment").
To the contrary, Goldstein maintains
that he cannot meet his burden without
the benefit of discovery. Because the
court did not abuse its discretion in
denying Goldstein discovery on this
issue, we reject Goldstein’s challenge
to the scope of employment
certification.
Pursuant to the foregoing, we affirm the
district court on the scope of
employment issue and on its dismissal of
defendant Rogan; we vacate its ruling on
absolute immunity as to defendants Moatz,
Anderson, and Toupin; and we remand for
such further proceedings as may be
appropriate.
AFFIRMED IN PART, VACATED IN PART,
AND REMANDED
______________________
1See Bivens v. Six Unknown
Named Agents of Fed. Bureau of Narcotics,
403 U.S. 388 (1971) (recognizing cause of action against
federal
officials for violation of constitutional rights).
2For
purposes of this appeal, we accept as true the
allegations of Goldstein’s Complaint. See Spriggs v.
Diamond Auto Glass, 165 F.3d 1015,
1016 n.1 (4th Cir. 1999).
3The
Goldstein client who spoke with Purol had previously
provided Goldstein with a power of attorney. The PTO’s
previous communications concerning the client’s patent
application had been between Goldstein and the PTO.
4In his
Complaint, Goldstein purports to assert separate claims
(i.e., Count I and Count II) for damages and declaratory
relief. Because Counts I and II allege virtually
identical facts and each seeks relief under Bivens, we
view Counts I and II as seeking separate remedies for
the same wrong rather than as asserting separate causes
of action.
5Construing
Goldstein’s Complaint in his favor, see Gladstone,
Realtors v. Village of Bellwood, 441 U.S. 91, 112
(1979), he has sued defendants Rogan, Moatz, Anderson,
and Toupin in Counts I and II, and he has sued only
defendant Purol in Count III.
6Pursuant to the Federal Tort
Claims Act:
Upon certification
by the Attorney General that the defendant employee
was acting within the scope of his office or
employment at the time of the incident out of which
the claim arose, any civil action or proceeding
commenced upon such claim in a United States
district court shall be deemed an action against the
United States under the provisions of this title and
all references thereto, and the United States shall
be substituted as the party defendant.
28 U.S.C. § 2679(d)(1). The various
United States Attorneys have been
delegated the authority to make such
certifications. 28 C.F.R. § 15.3(a).
7The court dismissed the
claims made against defendant Rogan in
Counts I and II because the allegations
against him were devoid of personal
involvement and failed to state a claim.
The court went on to note that, even
assuming otherwise, Rogan would be
entitled to absolute immunity. On
appeal, Goldstein does not challenge the
court’s ruling that he failed to allege
sufficient personal involvement on
Rogan’s part. We therefore leave
undisturbed the dismissal of Goldstein’s
claims against Rogan.
8Although the parties do not
contend that we lack jurisdiction, we
note that jurisdiction over this appeal
does not lie in the Federal Circuit.
Pursuant to 28 U.S.C. § 1295(a)(1), "The
United States Court of Appeals for the
Federal Circuit shall have exclusive
jurisdiction — (1) of an appeal from a
final decision of a district court . . .
if the jurisdiction of that court was
based, in whole or in part, on section
1338 of this title . . . ." Section
1338(a) of Title 28 provides that "[t]he
district courts shall have original
jurisdiction of any civil action arising
under any Act of Congress relating to
patents . . . ." In assessing § 1338,
the Supreme Court has explained that:
§ 1338(a)
jurisdiction . . . extend[s] only to those cases in
which a well-pleaded complaint establishes either
that federal patent law creates the cause of action
or that the plaintiff’s right to relief necessarily
depends on resolution of a substantial question of
federal patent law, in that patent law is a
necessary element of one of the well-pleaded claims.
Christianson v. Colt Indus. Operating
Corp., 486 U.S. 800, 808-09 (1988).
We agree with the parties that
Goldstein’s claims do not arise under
federal patent law or depend
substantially on the interpretation
thereof. Goldstein’s Bivens and tortious
interference causes of action are
created by the federal courts and by
state common law, respectively, not by
federal patent law. Furthermore, no
issue of patent law is a necessary
element of Goldstein’s claims. His
Bivens claim for damages and declaratory
relief requires proof of two elements:
(1) a violation of his constitutional
rights, (2) by agents acting under color
of federal law. See Bivens, 403 U.S. at
389. And the elements of Goldstein’s
tortious interference claim are: (1)
existence of a business relationship,
(2) defendant’s knowledge of the
relationship, (3) intentional
interference causing a termination of
the relationship, and (4) resulting
damage. See Chaves v. Johnson, 230 Va.
112, 120 (1985). None of these elements
requires resolution of a substantial
question of federal patent law.
In sum, although the circumstances
giving rise to Goldstein’s complaint
concern his ability to practice law
before the PTO, his claims are neither
created by federal patent law nor
require us to resolve a substantial
question of patent law. We therefore
possess jurisdiction pursuant to 28
U.S.C. § 1291.
9Our references to the
"Defendants" in Subparts III.A and III.B
of this
opinion include only defendants Moatz,
Anderson, and Toupin. Our use
of the term "Defendants" excludes
defendant Purol, who is discussed
separately in Subpart III.C, and
defendant Rogan, the claims against
whom we have disposed of separately. See
supra note 7.
10We address Goldstein’s
request for declaratory relief in
Subpart III.B, as that remedy must be
analyzed independently of Goldstein’s
request for damages. The district court
failed to separately address Goldstein’s
request for declaratory judgment;
rather, it discussed the quasijudicial
nature of the actions taken by Toupin,
Moatz, and Rogan, and it then dismissed
all three counts. Because, as explained
infra, different doctrines apply, we
address the request for damages and the
request for declaratory relief
separately.
11We note that, because we
are reviewing an award of absolute
rather than qualified immunity, it is
not necessary to determine whether
Goldstein has alleged a constitutional
violation. See Buckley v. Fitzsimmons,
509 U.S. 259, 261 (1993) (assuming that
plaintiff alleged constitutional
violations under 42 U.S.C. § 1983 and
proceeding with absolute immunity
analysis); see also Megenity v.
Stenger, 27 F.3d 1120, 1123 (6th
Cir. 1994) ("Analytically, the key
difference between a qualified immunity
analysis and an absolute immunity
analysis begins with the first step.
When an official is cloaked with
absolute immunity, it is not necessary
to determine whether the plaintiff has a
clearly established legal right because,
even if he does, no relief is
forthcoming."); Kenyatta v. Moore,
744 F.2d 1179, 1184 (5th Cir. 1984)
(noting that absolute immunity differs
from qualified immunity in that "[a]bsolute
immunity may be determined solely on the
basis of the official status of the
defendant and whether he acted in the
course of that duty. Qualified immunity
cannot be decided without a complete
determination of the nature of both the
wrongful act [i.e., whether it
constitutes a constitutional violation]
and the law applicable at the time it
was committed, in addition to those
factors.").
12The Defendants also rely on
professional discipline decisions of
other circuits for the propositions that
determining an attorney’s fitness to
practice law and deciding whether to
prosecute are inherently judicial
functions. Although these propositions
may have validity in the proper setting,
they are of no help to the Defendants,
who have not been sued for performing
either of these functions, but rather
have been sued for acts committed in
their investigation of Goldstein.
Furthermore, as the Second Circuit has
explained, heavy reliance on such
authorities is misplaced because
disciplinary procedures vary, and a
careful analysis of the pertinent facts
of each case is required. DiBlasio v.
Novello, 344 F.3d 292, 299-300 n.2 (2d
Cir. 2003) (holding New York health
fraud investigator not entitled to
absolute immunity).
13The Defendants also
maintain that their investigative
activities should afford them absolute
immunity because their investigation
gathered evidence that would inform the
Committee’s decision on whether to
initiate disciplinary action. This
contention must also be rejected. As the
Supreme Court has explained, "[a]lmost
any action by a prosecutor, including
his or her direct participation in
purely investigative activity, could be
said to be in some way related to the
ultimate decision whether to prosecute,
but we have never indicated that
absolute immunity is that expansive."
Burns, 500 U.S. at 495.
14Our Ostrzenski decision is
also distinguishable for another
apparent reason. Maryland law
specifically provided that officials
conducting physician reviews enjoyed
absolute immunity for purely
investigative activities:
A person who acts
without malice and is a member of the [State Board
of Physician Quality Assurance] or a legally
authorized agent of the Board, is not civilly liable
for investigating, prosecuting, participating in a
hearing under § 14-405 of the Health Occupations
Article, or otherwise acting on an allegation of a
ground for Board action made to the Board or the
Faculty.
Md. Code Ann., Cts. & Jud. Proc. §
5-715(b) (1994 & Supp. 1998) (emphasis
added). The law we must apply here,
however, does not absolutely protect
government actors performing purely
investigative functions. See Pachaly v.
City of Lynchburg, 897 F.2d 723, 727
(4th Cir.
1990).
15The applicable regulation
with respect to discovery in
disciplinary
proceedings against patent attorneys
provides:
Discovery shall not be authorized except
as follows:
(a) After an
answer is filed under § 10.136 and when a party
establishes in a clear and convincing manner that
discovery is necessary and relevant, the
administrative law judge, under such conditions as
he or she deems appropriate, may order an opposing
party to:
(1) Answer a
reasonable number of written requests for admission
or interrogatories;
(2) Produce for
inspection and copying a reasonable number
of documents; and
(3) Produce for
inspection a reasonable number of things other than
documents.
37 C.F.R. § 10.152(a).
16The
Defendants maintain that Goldstein conceded at the
motions hearing that they are protected by qualified
immunity, and that his suit cannot go forward. Our
review of the hearing record reveals that Goldstein
conceded only the undisputable point that the Defendants
are officers to whom the doctrine of qualified immunity
applies. He specifically refused to concede that he had
failed to allege a constitutional violation such that
the Defendants are actually immune. Although the
district court expressed the view that Goldstein may
have failed to allege enough, the qualified immunity
issue was not fully litigated and decided by the court;
therefore, remand is appropriate.
17On
remand, the court may also consider whether Goldstein
possesses standing to assert his claim for declaratory
relief. Goldstein must show a realistic threat of future
harm in order to bring suit. See City of Los Angeles
v. Lyons, 461 U.S. 95, 104 (1983) (concluding that
plaintiff lacked standing to seek declaratory judgment
that officers’ use of chokeholds was illegal where
plaintiff failed to demonstrate sufficiently real and
immediate threat that police would again utilize
chokehold against him). Although Goldstein has complied
with the RFIs, the investigation into his activities
remains open, and it is not clear whether he faces such
a threat of future harm. The district court is in the
best position to resolve this factual issue.
18Discovery should be as
narrowly circumscribed as possible
because the immunity that flows from a
scope of employment certification is,
like other immunities, an absolute bar
to suit. Gutierrez, 111 F.3d at 1154.
DIANA GRIBBON MOTZ, Circuit Judge,
dissenting:
With great respect, I dissent. Although
purported constitutional violations
provide the sole ground for federal
jurisdiction here, Goldstein’s complaint
utterly fails to allege facts giving
rise to any constitutional violation. It
thus fails to state a claim on which
relief can be granted. Accordingly, we
should remand this case so that the
district court can dismiss it pursuant
to Fed. R. Civ. P. 12(b)(6).1
Even ascertaining the parameters of
Goldstein’s asserted constitutional
claim presents a challenge. His 33-page,
113-paragraph, complaint barely mentions
the purported constitutional violation
and his factual allegations, although
lengthy, do little to clarify his legal
theory. The most that can be gleaned
from them is that, as the majority puts
it, Goldstein has "brought Bivens
actions . . . for the violation of his
constitutional rights to free speech and
due process through issuance of the RFIs."
Ante at 6.
But the OED’s "issuance of the RFIs" to
Goldstein simply does not provide the
basis for any cause of action against
OED. In fact, almost half a century ago,
the Supreme Court considered and
expressly rejected a contention very
similar to Goldstein’s. See Hannah v.
Larche, 363 U.S. 420, 424 (1960). In
Hannah, the plaintiffs
complained, inter alia, of the "315
written interrogatories" sent to them by
a commission in the course of an
investigation. The Court upheld the
constitutionality of all of the
commission’s procedures, including its
issuance of the assertedly burdensome
and irrelevant interrogatories and its
refusal to furnish the targets of the
investigation with the names of the
complainants and contents of the
complaints. Id. at 424, 451. The Court
explained that the commission had
engaged in "purely investigatory and
factfinding" activities, which might
"subsequently be used as the basis for
legislative or executive action," but
which did not in themselves "affect an
individual’s legal rights." Id. at 441.
To impose in this context the
constitutional procedures appropriate
when "governmental agencies adjudicate
or make binding determinations which
directly affect the legal rights of
individuals" would, the Court concluded,
"make a shambles of the investigation
and stifle the agency in its gathering
of facts." Id. at 442-44.
So it is here. As my colleagues have
emphasized, ante at 14-16, the OED, like
the agency in Hannah, has engaged
only in "purely investigative and
fact-finding" activities. Id. at 441.
The OED has not disbarred Goldstein from
the patent bar or even determined that
there is probable cause that he violated
a disciplinary rule. In short, the OED
has not taken (and indeed could not
take) any final action "affect[-ing]"
Goldstein’s "individual[ ] legal
rights," id., and thus, necessarily, the
OED could not have even arguably
violated any of Goldstein’s due process
rights.2
Of course, as in Hannah, the
facts found by the OED "may subsequently
be used as the basis for . . . executive
action." Id. Conceivably, the OED
investigation, like the investigation in
Hannah, may subject Goldstein "to public
opprobrium and scorn," loss of
employment, or even "the possibility of
criminal prosecutions." Id. at 443. And
Goldstein ultimately could be punished
for failure to respond to the RFIs
issued by OED investigators. But "even
if such collateral consequences were to
flow from" the investigation, these
consequences do not give rise to a
constitutional claim against OED because
they "would not be the result of any
affirmative determinations made by" OED.
Id. The OED investigators cannot even
make a determination about whether to
sanction Goldstein if he should refuse
to reply to an RFI. Goldstein can only
be punished for failure to reply if (in
proceedings from which the investigators
are wholly insulated by regulation) the
Director convenes the Committee on
Discipline, that body makes a probable
cause finding, the Director files a
complaint, an administrative law judge
rules against Goldstein as to
the complaint, and that ruling is upheld
on appeal.
Not only does Hannah itself
provide a singularly compelling
precedent here, in addition, courts,
including the Supreme Court, have
continued to apply the Hannah principle
in related contexts. For example,
"because an administrative investigation
adjudicates no legal rights," they have
summarily rejected a number of
constitutional challenges to similar SEC
investigative procedures. SEC v. Jerry
T. O‘Brien, 467 U.S. 735, 742 (1984)
(rejecting Fourth, Fifth, and Sixth
Amendment challenges); RNR Enters., Inc.
v. SEC, 122 F.3d 93, 98 (2d Cir. 1997);
Gold v. SEC, 48 F.3d 987, 991-92 (7th
Cir. 1995). This is so despite the fact
that the SEC often engages in
wide-ranging investigations (certainly
broader than the OED investigation of
Goldstein) "without any knowledge of
which of the parties involved," among
"thousands of purchasers," might "have
violated the law." O’Brien, 467 U.S. at
749 & n.21.
Of even greater relevance here, courts
have also applied these principles in
rejecting challenges to attorney
discipline and public corruption
investigations. See, e.g., Anonymous
Nos. 6 & 7 v. Baker, 360 U.S. 287,
291-96 (1959) (holding no due process
right to refuse to answer questions
before "purely investigatory and
advisory" attorney disciplinary
hearings); In re Bailey, 182 F.3d 860,
872 (Fed. Cir. 1999)(rejecting an array
of constitutional claims and finding
even if Committee on Admission and
Practice for the Court of Appeals for
Veterans Claims did engage in "dilatory
and abusive tactics," it violated no due
process right of the complainant because
the "court, not the Committee"
ultimately makes "the determination
whether [the complainant] would be
subject to discipline"); Romero-Barcelo
v. Acevedo-Vila, 275 F. Supp. 2d 177,
202 (D.P.R. 2003) (finding that
"[a]ttorneys who will be accorded all
the traditional judicial safeguards at a
subsequent adjudicative proceeding . . .
should some type of adjudicative
proceeding subsequently b[e] instituted,
cannot successfully complain that they
were not provided with the procedural
due process at an investigatory
hearing") (internal quotation marks and
citations omitted); see also In re
Logan, 358 A.2d 787, 789-92 (N.J. 1976).
Indeed, this court has been especially
observant of the Hannah principle. Thus,
even when an administrative body could
issue a "finding of reasonable cause,"
we have held that "due process
considerations do not attach" to its
investigatory proceedings. Georator
Corp. v. EEOC, 592 F.2d 765, 768
(4th Cir. 1979). We reasoned that even
then an agency simply "utilize[s]" its
"investigative powers" and its finding
"carries no determinative consequences"
without subsequent judicial enforcement.
Id. Notably, we reached this conclusion
notwithstanding recognition that the
"determination of reasonable cause" was
"final in itself," and might be
admissible in a subsequent federal suit.
Id. at 769. Surely, if "due process
considerations do not attach" in such
circumstances, they do not attach here
given that the OED cannot even issue a
probable cause determination.
For all of these reasons, I must
respectfully dissent.
______________________
1Of course, as the majority
notes, ante at 10 n.11, a court
need not
determine whether a plaintiff has
alleged a constitutional violation prior
to determining the defendant’s
entitlement to absolute immunity.
However, when, as here, the immunity
question is close and the lack of a
constitutional violation obvious,
resolving the immunity claim first seems
to
me a waste of judicial resources,
serving only to prolong a plainly
meritless case.
2Goldstein’s "free speech"
claim is of even less substance. The
factual allegations in his complaint
totally foreclose his sole First
Amendment argument. Goldstein argues
that OED "targeted" him for what he had
"been saying" and that he was "singled
out . . . because of the types of
clients he represents," conceivably a
First Amendment retaliation/Fifth
Amendment selective enforcement claim.
But in his complaint Goldstein alleges
that the OED generally issues RFIs in an
abusive manner to members of the patent
bar. E.g., J.A. 7 (referencing OED’s
"pattern and practice of forcing
attorneys like the Plaintiff who are
licensed to practice before the USPTO,
to provide burdensome amounts of
documents") (emphasis added); J.A. 8
(asserting "[d]efendants have routinely
initiated such investigations without
regard for their legitimacy or fairness,
as a means to burden the Plaintiff and
other patent practitioners.") (emphasis
added); J.A. 35 ("Defendants have used
RFIs as a harassment tool in fighting a
‘war of attrition’ following a nearly
identical pattern of abuse against
numerous other licensed patent
practitioners") (emphasis added).
Thus, Goldstein affirmatively asserts in
his complaint that OED treated him in
the same manner that it treated other
members of the patent bar, completely
subverting his only possible First
Amendment argument.
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