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Patrick James Grider v. City of Auburn, Alabama, 09-13261 (2010)

Court: Court of Appeals for the Eleventh Circuit Number: 09-13261 Visitors: 47
Filed: Sep. 07, 2010
Latest Update: Mar. 02, 2020
Summary: [PUBLISH] IN THE UNITED STATES COURT OF APPEALS FOR THE ELEVENTH CIRCUIT _ FILED U.S. COURT OF APPEALS No. 09-13261 ELEVENTH CIRCUIT SEPTEMBER 7, 2010 _ JOHN LEY CLERK D. C. Docket No. 07-01031-CV-T-E PATRICK JAMES GRIDER, DANIEL JOSEPH GRIDER, THE FOURTH QUARTER, INC., an Alabama Corporation d.b.a. The Skybar, Plaintiffs-Appellees, THE GRID, INC., an Alabama Corporation f.k.a. The Highlands, d.b.a. Pulse, et al., Plaintiffs, versus CITY OF AUBURN, ALABAMA, an Alabama Municipal Corporation, et a
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                                                                        [PUBLISH]


                 IN THE UNITED STATES COURT OF APPEALS

                          FOR THE ELEVENTH CIRCUIT
                            ________________________           FILED
                                                      U.S. COURT OF APPEALS
                                   No. 09-13261         ELEVENTH CIRCUIT
                                                        SEPTEMBER 7, 2010
                             ________________________
                                                             JOHN LEY
                                                              CLERK
                         D. C. Docket No. 07-01031-CV-T-E

PATRICK JAMES GRIDER,
DANIEL JOSEPH GRIDER,
THE FOURTH QUARTER, INC.,
an Alabama Corporation d.b.a. The Skybar,
                                                               Plaintiffs-Appellees,
THE GRID, INC.,
an Alabama Corporation f.k.a. The
Highlands, d.b.a. Pulse, et al.,
                                                                          Plaintiffs,
                                       versus
CITY OF AUBURN, ALABAMA,
an Alabama Municipal Corporation, et al.,
                                                                       Defendants,
JAMES TREY NEAL, III,
JASON CROOK,
CHRISTOPHER CARVER,
SLONE MADDOX,
ANDREW MEEKS,
in their individual capacities,

                                                            Defendants-Appellants.
                             ________________________

                     Appeal from the United States District Court
                         for the Middle District of Alabama
                           _________________________
                                 (September 7, 2010)
Before BLACK, HULL and KRAVITCH, Circuit Judges.

HULL, Circuit Judge:

       Plaintiffs own a bar/restaurant in Auburn, Alabama and sued the City of

Auburn (the “City”) and City employees under state tort law and 42 U.S.C. § 1983

for violations of the Fourth and Fourteenth Amendments. Plaintiffs primarily

claim the City and its agents filed false bribery charges and selectively enforced

regulatory laws in order to harm the Plaintiffs’ business. Defendants moved for

summary judgment based on qualified immunity from the § 1983 claims and state-

law immunity from the state-law claims, which the district court denied. Upon

review, we affirm in part, reverse in part, and remand.

                                    I. BACKGROUND

       We review the facts in the light most favorable to Plaintiffs.1

       Plaintiff-Appellees Patrick Grider (“Grider”) and his brother Daniel Grider

(collectively, the “Griders”) own and operate bar and restaurant businesses in

Auburn, Alabama, including The Fourth Quarter, Inc., which is also a Plaintiff-

Appellee. The Fourth Quarter owns and operates The Skybar Café (“Skybar”), the



       1
        The denial of qualified immunity is a question of law we review de novo. Swint v. City
of Wadley, 
51 F.3d 988
, 994 (11th Cir. 1995). When a defendant moves for summary judgment
on qualified immunity, we view the facts in the light most favorable to the plaintiff. 
Id. Summary judgment
is appropriate when “there is no genuine issue as to any material fact and . . .
the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(c).

                                                2
bar/restaurant at issue.2

       In 1996, the Griders leased the premises at 122 West Magnolia Avenue in

the City. The Griders operated several successive establishments at that location,

culminating in Skybar, which opened on August 19, 2005. Since 2001, bars owned

by the Griders, including Skybar, have been the subject of private complaints, and

warnings by the City of Auburn Police Department (“APD”), for underage

drinking, fighting, and patrons consuming alcoholic beverages after 2:00 a.m. on

Sunday mornings.

       In 2007, Plaintiffs filed suit against the City and ten City employees alleging

the City was enforcing its laws in a discriminatory manner to try to harass them

and put them out of business. Plaintiffs allege that the City and its employees

placed their businesses under surveillance, improperly calculated low occupancy

numbers pursuant to building safety codes, issued improper criminal citations and

charges, and passed legislation concerning alcohol sales targeted at Plaintiffs.

       This appeal involves only certain claims against these Defendants-

Appellants: Andrew Meeks, the City’s Deputy Director for Administration and

Codes, and Officers James Terry Neal III, Jason Crook, Christopher Carver, and



       2
         The Griders are the sole stockholders of The Fourth Quarter. The Fourth Quarter has
existed since 1996, doing business under the names of several different bars/restaurants owned
by the Griders. For the purposes of this appeal, only Skybar is relevant.

                                               3
Slone Maddox, all City policemen. Each Defendant is sued in his individual

capacity.3 Plaintiffs’ claims on appeal primarily concern two sets of events during

2005-2006: (1) law enforcement surveillance on September 29, 2005, culminating

in a bribery charge against Plaintiff Grider; and (2) Defendant Meeks’s

calculations of Skybar’s occupancy limit in 2005-2006, culminating in an

occupancy limit of 999 persons. We describe each set of events in turn.

A.     Surveillance and Bribery Charge

       Defendants Sergeant Maddox and Officer Neal went to the City

Prosecutor and asked how they could curtail the citizens’ complaints about Skybar

for underage alcohol consumption and alcohol consumption after 2:00 a.m. on

Sunday mornings. APD Lieutenant Howell authorized surveillance at Skybar to

monitor potential illegal behavior. Sergeant Maddox directed Officer Neal to

begin surveillance. Neal set up video surveillance across the street from Skybar in

a building that was part of the Auburn University campus. The surveillance video

thus covered only the front of Skybar and not its rear.

       At the time of the surveillance on September 29, 2005, Defendants Corporal


       3
         In addition to the Defendants-Appellants here, Plaintiffs also sued City Mayor William
Ham, Jr., APD Officer Jerry Sparks, City Fire Inspector Thomas Massey, City Public Safety
Director William James, current City Manager Charles Duggan, Jr., and the City. The district
court granted summary judgment for these defendants and dismissed them from the case. Grider
v. City of Auburn, 
628 F. Supp. 2d 1322
, 1355 (M.D. Ala. 2009). Plaintiffs do not appeal those
judgments and dismissals at this juncture.

                                               4
Crook and Officer Carver were on a foot patrol downtown. On the early morning

of September 29, Corporal Crook and Officer Carver received a radio call from

Officer Neal informing them that Sergeant Maddox wanted Crook and Carver to go

to the back room of Skybar and see whether anyone was “drinking” alcohol and

report back to Maddox. At approximately 3:00 a.m., Officers Crook and Carver

made their way around the back of the Skybar building and observed patrons with

cups in their hands inside the bar. The officers entered an alleyway behind Skybar,

opened the rear fire door of the bar, and observed several patrons inside holding

clear plastic cups containing what appeared to be alcohol and others drinking from

beer bottles.

      Around this time, Plaintiff Grider, who was in Skybar, learned that APD

Officers Crook and Carver were at the back door of the building. Grider exited the

front of the building on West Magnolia Avenue, walked to Wright Street which ran

along the side of the Skybar building, and walked around to the back of Skybar.

Grider approached the officers and asked if everything “was okay.” The officers

responded that they were “checking things out.” Grider informed the officers that

Dale Earnhardt, Jr., was inside the bar.4

      The parties’ recollections diverge sharply at this point. While the three men



      4
          Mr. Earnhardt is a well-known NASCAR racing driver.

                                              5
were at the back of the Skybar building, Officers Crook and Carver state that after

Grider told them about Mr. Earnhardt’s presence, he told them that he knew people

still were at the bar but would appreciate it if Crook and Carver would overlook

“the violation.” Officer Carver states he told Grider that he could not overlook

“the fact that the Sky Bar was serving alcohol after 2:00 a.m. on a Sunday.”5

Crook and Carver state that Grider at this point offered them money if they would

agree to overlook “the violation.” Officer Carver told Grider that he was about to

do something “very stupid.” According to Crook and Carver, Grider continued to

ask them to overlook the violation, stated that he would have everyone out of

Skybar in ten minutes, and then offered them cash in exchange for their

cooperation.

       Grider allegedly left three $50 bills on the alleyway’s sidewalk at the rear of

the bar and then walked via Wright Street around the bar and back into its front

door on West Magnolia Avenue.6 Officer Neal, who was surveilling the front of

Skybar from across the street, stated in a Special Report that he observed Patrick

Grider exit the front door of the bar, walk via Wright Street around to the back of

the bar, and return via Wright Street a “few minutes later.” Video surveillance


       5
           September 29, 2005, the early morning in question, was a Thursday, not a Sunday.
       6
        Officer Crook states he “realized” after returning to the police station that Grider had left
three $50 bills on the sidewalk.

                                                  6
taken from Officer Neal’s vantage point shows Grider walking out of the front of

the building at 3:15 a.m. and going around towards the back of the bar. The

bribery is alleged to have taken place at 3:20 a.m.7

       Grider denies these events. Grider agrees he informed the officers that Mr.

Earnhardt was in the bar. However, Grider categorically denies attempting to bribe

the officers, offering them money, leaving money on the ground, asking them not

to enforce any laws, or in any way interfering with the officers’ activities or duties.

Grider states that neither he nor his brother Daniel Grider has ever sold alcohol

after the time allowed by law. Grider admitted that he did not know at the time

that Skybar was under video surveillance by Officers Neal and Maddox.

       Defendant Sergeant Maddox was not at the Skybar scene during the

surveillance operation or the alleged bribery. Officer Carver notified Maddox of

the alleged incident soon after it occurred, and Maddox informed Carver to collect

the money, complete an incident report, and enter the money into evidence.8

Officer Crook later filled out a Special Report about Grider’s actions. At the time

of the alleged bribery, Officer Neal was continuing the surveillance operation at



       7
         The video surveillance cuts off at 3:17 a.m. As noted earlier, however, the video
surveillance captured only the front and not the rear of the bar and thus would not have recorded
the incident.
       8
        The bills were not tested for fingerprints during the Alabama state-court proceedings
against Grider. The bills later were tested for fingerprints and did not contain Grider’s prints.

                                                  7
the front of Skybar and consequently was not present with Carver and Crook at the

rear of Skybar. Neal was informed of the alleged bribery after it occurred.

       Shortly after Grider re-entered Skybar after speaking with Officers Crook

and Carver, Officer Neal entered Skybar and told Grider, “We got you,” and “I told

you that we would get your license.” When Grider asked what that meant, Neal

stated, “You will find out.”

       The next day, September 30, 2005, Officer Carver signed an affidavit

charging Grider with “Bribery of a Public Servant,” in violation of Alabama Code

§ 13A-10-61, and a warrant was issued for Grider’s arrest. Carver’s affidavit

stated Grider attempted to bribe Officers Carver and Crook so that they would

overlook a violation of Auburn City Ordinance § 3-1(11), which prohibits alcohol

sales after 2:00 a.m.9

       On the same day, the APD contacted Grider and requested that he come to

the police station. Grider arrived and stated his concern that Officer Neal was

showing up at Skybar a disproportionate amount compared to other bars. Grider

was arrested and charged with bribery.

       9
         The Skybar is an “Option B” bar, for which then-current Auburn City Ordinance § 3-
1(11)(Option B)(d) provided, “No sales of alcoholic beverages shall be made after 2:00 a.m.”
        The current version of the Auburn code prohibits sales of alcoholic beverages after 2:00
a.m. on Sundays and 2:30 a.m. on other days. Auburn City Code § 3-51(b)(1), (2). Alabama
state law prohibits the selling or serving of alcohol after 2:00 a.m. on Sundays, but does not
apply to any other day of the week. Ala. Code § 28-3A-25(a)(20), (21) (1975).


                                                8
      After his arrest, Grider signed a written statement, prepared by an APD

detective. Grider’s statement explained that at around 3:00-3:30 a.m. on

September 29, 2005, he spoke with an APD officer behind Skybar, explaining to

him that a total of about 10 people were in the Skybar, including Mr. Earnhardt,

that “nothing illegal was going on in there,” that the officers could enter the bar,

but that he preferred they not go in because Mr. Earnhardt and those with him

likely would leave. Grider’s statement says, “I did not give anybody any money.”

      On November 29, 2005, the state trial court held a preliminary hearing on

the bribery charge against Grider. Officers Carver and Crook testified they saw

people inside Skybar holding clear plastic cups of what appeared to be alcoholic

beverages and drinking from beer bottles, but they also admitted they did not have

any proof that Skybar was selling alcohol after 2:00 a.m. on September 29, 2005

and did not see anyone in Skybar serving alcohol to anyone. Neal acknowledged

that he had told other officers in the past of his desire to have Skybar shut down.

      Grider argued that no probable cause existed to arrest him for bribery

because (1) the facts did not show a violation of Auburn’s City Ordinance § 3-

1(11); (2) section 3-1(11) prohibits only “sales” of alcohol after 2:00 a.m.; and (3)

there was no evidence that anyone at Skybar sold or served alcohol after 2:00 a.m.,

only that patrons continued to consume alcohol in the bar after that time. The state



                                           9
trial court dismissed the bribery charge against Grider for lack of probable cause.10

       Throughout the APD’s investigation of Skybar in 2005, the APD compiled

10 or 11 Incident/Offense (“I/O”) Reports on various alleged violations of law. In

2005, APD Lieutenant Howell called off the investigation of Skybar without

issuing citations, warnings, or prosecutions other than the dismissed bribery charge

against Grider.

B.     Defendant Meeks’s Occupancy Calculations

       Plaintiffs also allege that Defendant Meeks participated in the City’s plan to

harm the Griders’ business by intentionally and arbitrarily assigning Skybar an

artificially low maximum occupancy load, while other inspectors assigned similar

bars higher occupancy loads, in violation of the Plaintiffs’ equal protection rights.11

       As the City’s Deputy Director for Administration and Codes, Defendant

Meeks calculated maximum building occupancy loads for facilities like Skybar.

On several occasions, Meeks calculated Skybar’s occupancy limits.



       10
          The state trial court stated: “If the defendant was charged with bribing a police officer
to prevent an investigation of an alcohol offense, which they were certainly entitled to do, I think
the issue of probable cause would be met, but it doesn’t. The complaint states that the defendant
was charged with bribing a public official so he would not enforce an ordinance which there’s no
evidence he was committing. So as the case is before this Court, at this time, I don’t see where I
have any choice but to say there’s no probable cause to believe this offense, as described in the
complaint, has been committed. And that will be the Court’s ruling.”
       11
         There is no claim that Meeks participated in the police officers’ surveillance of Skybar
or prosecution of Grider on the bribery charge.

                                                10
      In 2005, the Griders began renovation and repairs to the Skybar building.

During renovations preceding its opening as Skybar, the Griders remodeled

approximately 14% of the Skybar location, removed 30% of the roof in the front

portion of the Skybar building, and replaced the existing plywood flooring with

outdoor decking in the front portion of the Skybar building. On August 19, 2005,

the day Skybar opened, City Fire Inspector Thomas Massey informed Grider that

Skybar could not open its rear portion until the Griders installed a fire alarm in the

entire building. In response, the Griders installed a fire alarm system.

      Prior to Skybar’s reopening in August 2005, Grider requested that City

officials assign a new maximum occupancy number. 603 was the occupancy

number set for the building since 1998. In late August 2005, Defendant Meeks

again set the occupancy number for Skybar at 603. Meeks arrived at this

calculation by splitting Skybar into two sections – front and rear. Meeks assigned

a load value of 203 persons to the front portion of Skybar and 400 persons to the

rear portion of Skybar.

      After this initial re-calculation, Defendant Meeks informed Grider that he

could not raise Skybar’s maximum occupancy classification until the Griders

installed a sprinkler system throughout the entire building. On July 28, 2006, the

Griders completed installing the required sprinkler system and requested a new



                                          11
occupancy calculation. The fire alarm system was designed for a maximum load

of 1,000 people.

       Meeks then physically inspected the Skybar’s exits, fire alarm, and sprinkler

system and re-calculated Skybar’s occupancy load as 933 persons in August

2006.12 To arrive at this number, Meeks used, as part of his calculations, a 7

square-feet-per-person standard for standing or open areas.

       The Griders’ main claim is that Meeks should have used a 5 square-feet-per-

person calculation for standing areas. Meeks did not use the 5 square-feet-per-

person standard in evaluating Skybar because Meeks concluded the resultant

number would have permitted occupancy exceeding the capacity of Skybar’s exits

and fire alarm system. In his August 7, 2006 letter to the Griders’ attorney, Meeks

explains his safety concerns about Skybar’s exits and fire-alarm system. Meeks’s

August 7 letter states in part, “the fire alarm system installed in the sky bar is not

the type system [sic] required for occupancies over 1000 persons.” As for



       12
          In a letter dated August 4, 2006, the Griders’ attorney states: “Based upon our
calculations, and calculations provided to us by independent experts, it is the Fourth Quarter,
Inc. dba The Sky Bar’s position that the total occupancy number for the ‘Sky Bar Building’
should be, at a minimum, 1097.” The letter continues by saying Skybar’s expert calculated that
the front area “should have an occupancy level of a bare minimum of 417” and “[t]he back area
of the building should have an occupancy level of a bare minimum of 680.”
        In an August 29, 2006 letter, the Griders’ attorney then argues the total limit should be
1262, consisting of 408 in the front and 854 in the rear. Plaintiffs now argue the correct
maximum occupancy calculation is 1492, comprising 600 persons in the front portion of the bar,
and 892 persons in the rear portion of the bar.

                                               12
Skybar’s exits, Meeks’s August 7 letter states his concern about “the risk of

accidents to occupants trying to evacuate . . . in a panic situation,” and discusses

the violations in Skybar’s exits, as follows:

               Some of these violations are; [sic] four of the five exits
               do not have a landing on the exterior side of the door at
               the same elevation as the floor inside, these landings are
               required to have a width equal to the door and have a
               travel distance of at least 42 inches. The main exit ramp
               exceeds the maximum slope requirement, none of the
               exits have emergency lighting on the exterior. There are
               also egress code violations inside the building on older
               egress elements to the dance floor and to raised platforms
               which occurred in the adoption of the IFC. Two exits
               also open to an alley way that acts as a corridor to get the
               occupants to a public way. This delays the occupants
               getting to an open and safe area away from the building.

Meeks later testified that because Skybar’s exits were “severely impacted,” he

“reasoned that the capacity was less than any published quotient by Code that had

ever been allowed by Code.”13

       In an August 29, 2006 response, the Griders’ attorney states: “What The Sky

Bar primarily takes issue with is the use of the 7 square feet per occupant verse

[sic] the 5 square feet per occupant as required by the applicable code.” The


       13
          Meeks testified that his opinion of the inadequacy of Skybar’s exits in part led him to
set this occupancy calculation: “I had to come up with something after I went and looked at the
exits. And basically I thought I was going out on a limb giving them what I did. I thought I was
sticking my neck out pretty far giving them nine hundred – whatever I gave them initially nine
hundred and something with those exits because, I mean, I have heard of several cases of
noncompliant exits causing major problems in buildings, people actually getting killed.”

                                               13
Griders’ attorney then explains in detail why the Griders believe 5 square feet per

person should be used for standing areas.

       In an August 31, 2006 response letter to the Griders’ attorney, Meeks further

explained his concerns about the Skybar’s exits and how those concerns affect the

total occupancy capacity. Meeks’s August 31 letter reiterated that he “did not state

that the fire alarm system did not enhance the occupancy of the building, only that

it could not be used to enhance it to over 1000 persons.” Meeks’s August 31 letter

also noted that the 5 square-feet-per-person minimum standard was changed

anyway to 7 square-feet-per-person in the new 2006 edition of the code, which the

City planned to adopt the next month, because the occupant load under the lower

5-square-feet standard had been found to be a hazard.14

       The Griders were not happy with Meeks’s revised calculation and requested

at least twice that Meeks re-evaluate the occupancy load. In October 2006, the

Griders notified Meeks they had improved the rear exits of Skybar.

       After yet another physical inspection, Meeks increased Skybar’s occupancy



       14
          Meeks asserts his decision to use the 7 square-feet-per-person standard furthered the
purpose of the City’s building codes. We note that the 2003 version of the International
Building Code (“IBC”) states: “The purpose of this code is to establish the minimum
requirements to safeguard the public health, safety and general welfare through structural
strength, means of egress facilities, stability, sanitation, adequate light and ventilation, energy
conservation, and safety to life and property from fire and other hazards attributable to the built
environment and to provide safety to fire fighters and emergency respondents during emergency
operations.”

                                                 14
load from 933 to 999, allotting 400 persons for the front portion of the bar and 599

persons for the rear portion.15 Meeks avers he could not raise Skybar’s occupancy

limit beyond 1,000 persons because that was the limit of Skybar’s fire alarm

system. The Griders do not dispute that Skybar’s occupancy at 999 persons is the

largest bar in the City.

       Plaintiffs argue Meeks arbitrarily applied more-restrictive standards to

Skybar than to two other A-2 classified bars, “In Italy” and “1716.” These two

other bars were evaluated by other City inspectors (not Meeks) and received

occupancy classifications based on the lowest 5 square-feet-per-person standard.

“In Italy” and “1716” were compliant with all City codes at the time, including

having adequate fire and sprinkler systems. Plaintiffs do not point us to anything

in the record that shows the actual square footage and occupancy limits of “In

Italy” and “1716.” All we know is that “In Italy” and “1716” were smaller in

square footage and total occupancy limit than Skybar and that City regulators other

than Meeks used a 5 square-feet-per-person standard as part of their calculations.

Plaintiffs do not identify any record evidence showing the layout of “In Italy” or

“1716,” how many total exits or the type of exits and fire alarm systems they had,

or any other details of the other inspectors’ calculations as to “In Italy” and


       15
         Grider’s affidavit states that Fire Inspector Massey, not Meeks, made the October 2006
recalculation to 999 persons. This appears to be a typographical error.

                                               15
“1716.”

       From September 2006 to October 2007, the Griders and their employees

received several overcrowding citations, but no one was ever punished for an

overcrowding offense. On October 14, 2006, Fire Inspector Massey issued an

overcrowding citation to Grider. A municipal judge found Grider guilty of the

offense. When Grider appealed to the Alabama circuit court, the charge was nolle

prossed.16

C.     District Court Proceedings

       In late 2007, Plaintiffs filed this suit raising § 1983 and state-law claims.

Defendants moved to dismiss, but Plaintiffs then filed a motion to amend their

initial complaint, which the district court granted. Defendants filed a motion to

dismiss the Amended Complaint, which remains pending.

       Defendants later moved for summary judgment based on, inter alia, qualified

immunity and state-law immunity. The district court granted summary judgment



       16
          Plaintiffs originally sued Fire Inspector Massey for § 1983 false arrest and malicious
prosecution, and corollary state-law claims related to three overcrowding citations. The district
court granted summary judgment to Massey and dismissed Massey from the case, concluding
that Massey’s October 2006 citation to Grider was not a Fourth Amendment seizure for the
purposes of Grider’s § 1983 and state-law false arrest claims, that Massey had probable cause to
issue the October 2006 citation and thus was entitled to qualified immunity from Grider’s § 1983
and state-law malicious prosecution claims, and that Grider did not offer enough detail to show a
malicious prosecution claim arising out of Massey’s November 2005 citations. Grider, 628 F.
Supp. 2d at 1330-34, 1352-53, 1355. Grider did not appeal the district court’s rulings as to
Massey, so these issues are not before us in this appeal.

                                               16
on certain claims, dismissed certain claims as barred by § 1983’s two-year statute

of limitations, and denied immunity and summary judgment on other claims.

Grider v. City of Auburn, 
628 F. Supp. 2d 1322
(M.D. Ala. 2009).

       Defendants appealed, challenging the denial of qualified immunity on the

following § 1983 claims: (1) malicious prosecution against Carver for issuing a

warrant against Grider for bribery without probable cause; (2) conspiracy against

Carver, Crook, Maddox, and Neal (but not Meeks) for conspiring regarding the

2005 bribery charge; and (3) equal protection against Meeks for selectively

calculating the occupancy numbers for Skybar. See 
id. at 1334-51.
Defendants

also appeal the denial of state-law immunity on these state-law claims: (1)

malicious prosecution against Carver for the bribery charge; (2) tortious

interference with contractual and business relationships against Carver, Crook,

Maddox, Neal, and Meeks; and (3) three fraud claims (deceit, fraudulent

suppression, and fraudulent misrepresentation) against Meeks for the occupancy

number calculations. See 
id. at 1352-55.17


       17
          Defendants’ notice of appeal raises six specific grounds: the district court’s denial of
qualified immunity from Plaintiffs’ § 1983 claims for (1) malicious prosecution, (2) equal
protection, and (3) conspiracy, and the district court’s denial of state-law immunity from
Plaintiffs’ state-law claims for (4) malicious prosecution, (5) fraud, and (6) tortious interference.
Defendants also now argue the district court erred by not ruling on their pending motion to
dismiss the Amended Complaint. This argument is beyond the scope of the Defendants’ notice
of appeal and thus is not properly presented in this limited interlocutory appeal. Nippon Credit
Bank, Ltd. v. Matthews, 
291 F.3d 738
, 754 (11th Cir. 2002).

                                                 17
                                    II. DISCUSSION

       We first review the immunity doctrines involved in this appeal.18

A.     Qualified and State-Law Immunity Doctrines

       As to Plaintiffs’ § 1983 claims, “[q]ualified immunity offers complete

protection for government officials sued in their individual capacities if their

conduct ‘does not violate clearly established statutory or constitutional rights of

which a reasonable person would have known.’” Vinyard v. Wilson, 
311 F.3d 1340
, 1346 (11th Cir. 2002) (quoting Harlow v. Fitzgerald, 
457 U.S. 800
, 818, 
102 S. Ct. 2727
, 2738 (1982)). Qualified immunity from suit is intended to “allow

government officials to carry out their discretionary duties without the fear of

personal liability or harassing litigation, protecting from suit all but the plainly

incompetent or one who is knowingly violating the federal law.” Lee v. Ferraro,

284 F.3d 1188
, 1194 (11th Cir. 2002) (internal quotation marks and citations

omitted).

       Courts utilize a two-part framework to evaluate qualified immunity


       18
          Plaintiffs argue we lack jurisdiction over this interlocutory appeal because the only
remaining issues for certain claims are factual issues for resolution by a jury. We reject
Plaintiffs’ argument. This case presents the “core qualified immunity” analysis of whether the
facts, viewed in the light most favorable to Plaintiffs, establish that Defendants violated
Plaintiffs’ constitutional rights. McMillian v. Johnson, 
88 F.3d 1554
, 1563 (11th Cir. 1996);
accord Mitchell v. Forsyth, 
472 U.S. 511
, 530, 
105 S. Ct. 2806
, 2817 (1985); Cottrell v.
Caldwell, 
85 F.3d 1480
, 1485 (11th Cir. 1996). Likewise, this Court has jurisdiction to review
on interlocutory appeal the denial of discretionary-function immunity under Alabama law. Sheth
v. Webster, 
145 F.3d 1231
, 1238 (11th Cir. 1998).

                                              18
defenses.19 One inquiry in a qualified immunity analysis is whether the plaintiff’s

allegations, if true, establish a constitutional violation. Hope v. Pelzer, 
536 U.S. 730
, 736, 
122 S. Ct. 2508
, 2513 (2002) (citing Saucier v. Katz, 
533 U.S. 194
, 201,

121 S. Ct. 2151
, 2156 (2001)). If the facts, construed in the light most favorable to

the plaintiff, show that a constitutional right has been violated, another inquiry is

whether the right violated was “clearly established.” 
Saucier, 533 U.S. at 201
, 121

S. Ct. at 2156. Both elements of this test must be satisfied for an official to lose

qualified immunity, and this two-pronged analysis may be done in whatever order

is deemed most appropriate for the case. Pearson v. Callahan, 555 U.S. ___, 129 S.

Ct. 808, 821 (2009); Brown v. City of Huntsville, __ F.3d __, No. 09-12965, 
2010 WL 2243877
, at *4 (11th Cir. June 7, 2010).

       As for Plaintiffs’ state-law claims, Alabama recognizes two types of state-

law immunity: “state-agent immunity” and “discretionary-function immunity.”

Brown, __ F.3d __, 
2010 WL 2243877
, at *10-11 (discussing Alabama’s two types

of state-law immunity).20 First, state-agent immunity under Alabama’s common


       19
          The initial inquiry in a qualified immunity case is whether the public official proves
“that he was acting within the scope of his discretionary authority when the allegedly wrongful
acts occurred.” 
Lee, 284 F.3d at 1194
(internal quotation marks omitted). For the § 1983 claims
here, the parties do not contest that Defendants were acting within the scope of their
discretionary authority.
       20
       In this opinion when we refer broadly to Alabama “state-law” immunity, we mean both
Alabama’s common-law “state-agent immunity” and statutory “discretionary-function
immunity.” When we refer to only one type of immunity, we designate which one.

                                               19
law “protects state employees, as agents of the State, in the exercise of their

judgment in executing their work responsibilities.” Ex parte Hayles, 
852 So. 2d 117
, 122 (Ala. 2002). In Ex parte Cranman, 
792 So. 2d 392
(Ala. 2000), a

plurality of the Alabama Supreme Court restated and clarified the scope of

Alabama’s state-agent immunity doctrine, which may apply to all Defendants:

             A State agent shall be immune from civil liability in his
             or her personal capacity [for] . . .
             (2) exercising his or her judgment in the administration
             of a department or agency of government, including, but
             not limited to, examples such as:
                    (a) making administrative adjudications . . . ; or
             (3) discharging duties imposed on a department or
             agency by statute, rule, or regulation, insofar as the
             statute, rule, or regulation prescribes the manner for
             performing the duties and the State agent performs the
             duties in that manner; or
             (4) exercising judgment in the enforcement of the
             criminal laws of the State, including, but not limited to,
             law-enforcement officers’ arresting or attempting to
             arrest persons . . . .
             Notwithstanding anything to the contrary in the
             foregoing statement of the rule, a State agent shall not be
             immune from civil liability in his or her personal capacity
             (1) when the Constitution or laws of the United States, or
             the Constitution of this State, or laws, rules, or
             regulations of this State enacted or promulgated for the
             purpose of regulating the activities of a governmental
             agency require otherwise; or
             (2) when the State agent acts willfully, maliciously,
             fraudulently, in bad faith, beyond his or her authority, or
             under a mistaken interpretation of the law.




                                           20
Ex Parte 
Cranman, 792 So. 2d at 405
(third emphasis supplied).21

      The Alabama Supreme Court established a burden-shifting framework for

application of the state-agent immunity test. A defendant initially bears the burden

of demonstrating that he was acting in a function that would entitle him to

immunity. Ex parte Estate of Reynolds, 
946 So. 2d 450
, 452 (Ala. 2006). “If the

State agent makes such a showing, the burden then shifts to the plaintiff to show

that the State agent acted willfully, maliciously, fraudulently, in bad faith, or

beyond his or her authority.” 
Id. Second, there
is statutory, discretionary-function immunity for law

enforcement officers in Alabama. Brown, __ F.3d __, 
2010 WL 2243877
, at *11.

Specifically, § 6-5-338 of the Alabama Code contains a provision immunizing law

enforcement officers from tort liability for conduct within the scope of their

discretionary law enforcement duties. Ala. Code § 6-5-338(a) (1994) (“Every

peace officer . . . shall have immunity from tort liability arising out of his or her

conduct in performance of any discretionary function within the line and scope of

his or her law enforcement duties.”); id.; Wood v. Kesler, 
323 F.3d 872
, 883 (11th

Cir. 2003). Section 6-5-338(a) protects peace officers, such as Defendants Carver,

Crook, Maddox, and Neal, but not Defendant Meeks.


      21
       The Alabama Supreme Court formally adopted the Cranman plurality’s state-agent
immunity test in Ex parte Butts, 
775 So. 2d 173
, 177-78 (Ala. 2000).

                                            21
       Cranman’s test for state-agent immunity also governs whether law

enforcement officers are entitled to statutory, discretionary-function immunity

under § 6-5-338(a). Hollis v. City of Brighton, 
950 So. 2d 300
, 307-09 (Ala.

2006).22 This includes the Reynolds burden-shifting framework, first requiring the

the defendant law enforcement officer to show that he was acting within the ambit

of his discretionary functions and then shifting the burden to the plaintiff to show

“bad intent” – that the officer acted willfully, maliciously, fraudulently, in bad

faith, or beyond his or her authority – in order to defeat the officer’s discretionary-

function immunity. Brown, __ F.3d __, 
2010 WL 2243877
, at *11; 
Wood, 323 F.3d at 883
; Ex parte City of Tuskegee, 
932 So. 2d 895
, 904 (Ala. 2005) (“The

restatement of State-agent immunity as set out in 
Cranman, 792 So. 2d at 405
, now

governs the determination of whether a peace officer is entitled to immunity under

§ 6-5-338(a).”). Thus, Plaintiffs can pierce both state-agent immunity and

discretionary-function immunity by showing that Defendants Carver, Crook,

Maddox, and Neal acted “willfully, maliciously, fraudulently, in bad faith, beyond

his or her authority, or under a mistaken interpretation of the law.” Hollis, 
950 So. 22
          In Hollis v. City of Brighton, the Alabama Supreme Court expanded the fourth category
of state-agent immunity for law enforcement officers quoted above from Cranman to include
conduct for which the officers would receive statutory, discretionary function immunity through
§ 
6-5-338(a). 950 So. 2d at 309
(“Because the peace officers’ immunity statute does not limit
the availability of immunity to ‘enforcement of the criminal laws,’ we today modify category (4)
of Cranman to [include]: . . . ‘serving as peace officers under circumstances entitling such
officers to immunity pursuant to § 6-5-338(a), Ala.Code 1975.’”) (emphasis in original).

                                               22
2d at 307 (quotation marks omitted).

B.     Malicious Prosecution Against Carver – Qualified and State-Law
       Immunity

       Plaintiff Patrick Grider brought malicious prosecution claims under § 1983

and state law against Defendant Officer Carver. On appeal, Defendant Carver

argues the district court erred in denying him qualified immunity and Alabama

state-law immunity.23

       This Circuit “has identified malicious prosecution as a violation of the

Fourth Amendment and a viable constitutional tort cognizable under § 1983.”

Wood, 323 F.3d at 881
; accord Kjellsen v. Mills, 
517 F.3d 1232
, 1237 (11th Cir.

2008). “[A]lthough both state law and federal law help inform the elements of the

common law tort of malicious prosecution, a Fourth Amendment malicious

prosecution claim under § 1983 remains a federal constitutional claim, and its

elements and whether they are met ultimately are controlled by federal law.”

Wood, 323 F.3d at 882
.

       To establish a § 1983 malicious prosecution claim, the plaintiff must prove



       23
         Plaintiffs’ Amended Complaint does not clearly allege who asserts § 1983 and state-law
malicious prosecution claims. Count I asserts a blanket § 1983 claim by all Plaintiffs against all
Defendants. However, only Patrick Grider was charged with bribery or arrested, and the district
court characterized this claim as a § 1983 malicious prosecution claim by Patrick Grider against
Officer Carver, which the parties do not dispute. 
Grider, 628 F. Supp. 2d at 1334-35
. On
remand, the district court should clarify the status, if any, of co-Plaintiffs Daniel Grider and
Fourth Quarter in the remaining claims.

                                               23
two things: (1) the elements of the common law tort of malicious prosecution; and

(2) a violation of his Fourth Amendment right to be free from unreasonable

seizures. Kingsland v. City of Miami, 
382 F.3d 1220
, 1234 (11th Cir. 2004);

Wood, 323 F.3d at 881
. As to the first prong, the constituent elements of the

common law tort of malicious prosecution are: “(1) a criminal prosecution

instituted or continued by the present defendant; (2) with malice and without

probable cause; (3) that terminated in the plaintiff accused’s favor; and (4) caused

damage to the plaintiff accused.” 
Wood, 323 F.3d at 882
.24 The elements under

Alabama law for the common-law tort of malicious prosecution are the same,

except that they require only a “judicial proceeding” not a “criminal prosecution.”

Delchamps, Inc. v. Bryant, 
738 So. 2d 824
, 831-32 (Ala. 1999).

       As to the second prong, it is well established that an arrest without probable

cause is an unreasonable seizure that violates the Fourth Amendment. Brown, __

F.3d __, 
2010 WL 2243877
, at *5; 
Wood, 323 F.3d at 882
; Crosby v. Monroe

County, 
394 F.3d 1328
, 1332 (11th Cir. 2004). Consequently, the existence of

probable cause defeats a § 1983 malicious prosecution claim. 
Kjellsen, 517 F.3d at 1237
; 
Wood, 323 F.3d at 882
. “Probable cause” is defined as “facts and

circumstances sufficient to warrant a prudent man in believing that the suspect had

       24
         “When malicious prosecution is brought as a federal constitutional tort, the outcome of
the case does not hinge on state law, but federal law, and does not differ depending on the tort
law of a particular state.” 
Wood, 323 F.3d at 882
n.17.

                                               24
committed or was committing an offense.” Gerstein v. Pugh, 
420 U.S. 103
, 111,

95 S. Ct. 854
, 862 (1975) (internal quotation marks, parentheses, and citations

omitted). Probable cause may exist based on the collective knowledge of law

enforcement officials derived from reasonably trustworthy information. Madiwale

v. Savaiko, 
117 F.3d 1321
, 1324 (11th Cir. 1997).

       To receive qualified immunity, an officer need not have actual probable

cause, but only “arguable” probable cause. Brown, __ F.3d __, 
2010 WL 2243877
,

at *5; Holmes v. Kucynda, 
321 F.3d 1069
, 1079 (11th Cir. 2003); Montoute v.

Carr, 
114 F.3d 181
, 184 (11th Cir. 1997).25 Arguable probable cause exists where

“reasonable officers in the same circumstances and possessing the same knowledge

as the Defendants could have believed that probable cause existed to arrest

Plaintiff.” 
Kingsland, 382 F.3d at 1232
(quotation marks omitted); accord Redd v.

City of Enterprise, 
140 F.3d 1378
, 1382 (11th Cir. 1998); Gold v. City of Miami,

121 F.3d 1442
, 1445-46 (11th Cir. 1997) (disorderly conduct under Florida law);

Von Stein v. Brescher, 
904 F.2d 572
, 579 (11th Cir. 1990). “Indeed, it is


       25
         Our precedent discussing “arguable probable cause” does so in the specific context of §
1983 false arrest claims and also in the general context of Fourth Amendment claims. E.g.,
Wood, 323 F.3d at 881
n.13 (“[A]rguable probable cause . . . is all that is required for an
arresting officer to be entitled to qualified immunity from a Fourth Amendment claim.”);
Crosby, 394 F.3d at 1332-33
; 
Lee, 284 F.3d at 1195
; Jones v. Cannon, 
174 F.3d 1271
, 1283 n.3
(11th Cir. 1999). We therefore use the same “arguable probable cause” standard in the qualified
immunity context for § 1983 claims for both false arrest and malicious prosecution, as both
require a violation of the Fourth Amendment. The parties agree that “arguable probable cause”
controls in this case.

                                               25
inevitable that law enforcement officials will in some cases reasonably but

mistakenly conclude that probable cause is present, and in such cases those

officials should not be held personally liable.” Von 
Stein, 904 F.2d at 579
(quotation marks and ellipses omitted); see also Hunter v. Bryant, 
502 U.S. 224
,

227, 
112 S. Ct. 534
, 536 (1991) (“Even law enforcement officials who reasonably

but mistakenly conclude that probable cause is present are entitled to immunity.”

(quotation marks omitted)); 
Montoute, 114 F.3d at 184
(“Thus, the qualified

immunity standard is broad enough to cover some ‘mistaken judgment []’ . . . .”).

The standard is an objective one and does not include an inquiry into the officer’s

subjective intent or beliefs. Rushing v. Parker, 
599 F.3d 1263
, 1266 (11th Cir.

2010).

         Whether an officer possesses arguable probable cause depends on the

elements of the alleged crime and the operative fact pattern. Skop v. City of

Atlanta, 
485 F.3d 1130
, 1137-38 (11th Cir. 2007); 
Crosby, 394 F.3d at 1333
.

Showing arguable probable cause does not, however, require proving every

element of a crime. Scarbrough v. Myles, 
245 F.3d 1299
, 1302-03 (11th Cir.

2001). If the arresting officer had arguable probable cause to arrest for any

offense, qualified immunity will apply. 
Skop, 485 F.3d at 1138
.

         Here, Officer Carver arrested Grider for bribery, in violation of Alabama

Code § 13A-10-61, which provides:

                                           26
             (a) A person commits the crime of bribery if:
                    (1) He offers, confers or agrees to confer any thing
                    of value upon a public servant with the intent that
                    the public servant’s vote, opinion, judgment,
                    exercise of discretion or other action in his official
                    capacity will thereby be corruptly influenced; or
                    (2) While a public servant, he solicits, accepts or
                    agrees to accept any pecuniary benefit upon an
                    agreement or understanding that his vote, opinion,
                    judgment, exercise of discretion or other action as
                    a public servant will thereby be corruptly
                    influenced.

Ala. Code § 13A-10-61(a) (1975).

      Officer Carver’s affidavit charging Grider with bribery stated that Grider’s

alleged act of bribery was committed to influence Carver’s enforcement of City

Ordinance § 3-1(11), which prohibited “sales of alcoholic beverages” after 2:00

a.m. Officer Carver argues that the district court erred (1) in finding no arguable

probable cause for the bribery charge, and (2) in not finding arguable probable

cause to arrest Grider for the “closely related” crime of obstruction of a

government function in Ala. Code § 13A-10-2.

      Taking the facts in the light most favorable to Grider, the district court

correctly denied qualified immunity and state-law immunity to Carver. Grider and

Carver offer completely different versions of the bribery events. Grider admits to

speaking to Carver outside Skybar and to asking Carver to leave to avoid scaring

off Mr. Earnhardt and other patrons. However, Grider unambiguously denies


                                          27
offering any money to Carver. Absent the offering of funds, there is no bribery

and no arguable probable cause for Carver to arrest Grider. Furthermore, Grider

claims that the officers wanted to close Skybar and set up video surveillance of the

front of the bar but did not uncover violations of law, and therefore Officer Carver

fabricated the bribery at the rear as an effort to close Skybar. Thus, assuming

Grider’s version of events, Officer Carver knew no bribery occurred, knew he had

no arguable probable cause to arrest Grider, and acted intentionally and

maliciously in an effort to close Skybar. Grider has shown, at least at this juncture,

a Fourth Amendment constitutional violation for his seizure without arguable

probable cause. And in the qualified immunity context, it is well established that

arrests without probable cause violate the Fourth Amendment. See 
Wood, 323 F.3d at 882
-83; 
Crosby, 394 F.3d at 1332
.

       The facts, in the light most favorable to Grider, also show the required

elements of the common-law tort of malicious prosecution by Officer Carver.

Under Grider’s version of the events, Officer Carver wholly fabricated the bribery

charge against him, lacked probable cause, and had a malicious intent. Carver’s

bribery charge against Grider was dismissed in Grider’s favor and caused him

damage. Because this type of § 1983 claim for malicious prosecution is well

established, the district court did not err in denying qualified immunity at this

summary judgment stage to Carver.

                                           28
       Officer Carver’s reliance on Alabama’s obstruction of a government

function statute is misplaced. Carver argues Grider interfered with his ability to

arrest the Griders for violating the City’s alcohol laws. However, Grider’s version

of events was that he told Carver “nothing illegal was going on in” Skybar, that the

officers could enter the bar, and that Grider preferred they not go in because Mr.

Earnhardt and those with him likely would leave. Thus, Grider did not prohibit

any officers from entering the bar. Additionally, Alabama’s obstruction offense

does not apply to “the obstruction, impairment or hindrance of the making of an

arrest.” Ala. Code § 13A-10-2(b).26

       Officer Carver also does not receive either type of state-law immunity. As

noted earlier, Alabama’s state-agent immunity and statutory, discretionary-function

immunity for law enforcement officers do not apply for acts taken willfully,

maliciously, fraudulently, in bad faith, beyond authority, or under a mistaken


       26
          The Alabama Code defines obstruction of a government function as:
                (a) A person commits the crime of obstructing governmental
                operations if, by means of intimidation, physical force or
                interference or by any other independently unlawful act, he:
                        (1) Intentionally obstructs, impairs or hinders the
                        administration of law or other governmental function; or
                        (2) Intentionally prevents a public servant from performing
                        a governmental function.
                (b) This section does not apply to the obstruction, impairment or
                hindrance of the making of an arrest.
Ala. Code § 13A-10-2. “A ‘governmental function’ is defined at § 13A-10-1, Ala. Code 1975,
as ‘[a]ny activity which a public servant is legally authorized to undertake on behalf of a
government.’” A.A.G. v. State, 
668 So. 2d 122
, 126 (Ala. Crim. App. 1995) (emphasis in
original).

                                             29
interpretation of law. Ex parte City of 
Tuskegee, 932 So. 2d at 904
(discussing

discretionary-function immunity); 
Sheth, 145 F.3d at 1238-40
(same); 
Wood, 323 F.3d at 883
(same); Ex parte 
Cranman, 792 So. 2d at 405
(discussing state-agent

immunity). Because Grider’s version of events shows lack of arguable probable

cause and malice, Officer Carver is not entitled to Alabama’s discretionary-

function immunity. Cf. Borders v. City of Huntsville, 
875 So. 2d 1168
, 1180, 1182

(Ala. 2003) (police officer would not be entitled to statutory, discretionary-

function immunity from malicious prosecution claim if he acted without arguable

probable cause and with malice). Alabama’s state-agent immunity also does not

apply to Carver for the same reasons. See 
Hollis, 950 So. 2d at 307
.

      For all these reasons, the district court properly denied qualified immunity

and Alabama state-law immunity to Defendant Carver for Grider’s malicious

prosecution claims brought under § 1983 and state law. Therefore, we remand this

case for trial on Grider’s malicious prosecution claims against Carver under § 1983

and state law.

C.    Conspiracy Claim Against Carver, Crook, Neal, and Maddox –
      Qualified Immunity

      The district court denied qualified immunity to Defendants Carver, Crook,

Neal, and Maddox from Plaintiffs’ claim of conspiracy to maliciously prosecute




                                          30
Grider for bribery.27 On appeal, the Defendants argue that the district court erred

in three ways: (1) it incorrectly determined that an underlying constitutional

violation existed; (2) it erroneously found that the evidence was sufficient to show

a conspiracy by Crook, Maddox, and Neal in Carver’s prosecution of Grider for

bribery; and (3) it misapplied the intracorporate conspiracy doctrine. Defendants’

arguments over the non-existence of an underlying constitutional violation are a

rehash of Defendant Carver’s argument against the § 1983 and state-law claims for

malicious prosecution. As we explained above, Grider’s version of the events

adequately establishes § 1983 and state-law claims for malicious prosecution

against Carver. The question now is whether Grider’s evidence shows Crook,

Neal, and Maddox conspired with Carver to make up the bribery charge.

       A plaintiff may state a § 1983 claim for conspiracy to violate constitutional

rights by showing a conspiracy existed that resulted in the actual denial of some

underlying constitutional right. GJR Invs., Inc. v. County of Escambia, 
132 F.3d 1359
, 1370 (11th Cir. 1998). “The plaintiff attempting to prove such a conspiracy

must show that the parties ‘reached an understanding’ to deny the plaintiff his or



       27
         At oral argument, Plaintiffs conceded that they do not assert a conspiracy claim against
Defendant Meeks. In fact, the district court entered summary judgment against the Plaintiffs on
their conspiracy claim against all Defendants with respect to the alleged improper occupancy
calculations. 
Grider, 628 F. Supp. 2d at 1351
. The district court denied summary judgment only
“with respect to Officers Carver, Crook, Maddox, and Neal for the conspiracy claim based on the
2005 bribery charge.” 
Id. 31 her
rights. The conspiratorial acts must impinge upon the federal right; the

plaintiff must prove an actionable wrong to support the conspiracy.” Bendiburg v.

Dempsey, 
909 F.2d 463
, 468 (11th Cir. 1990) (citations omitted). A plaintiff

claiming a § 1983 conspiracy must prove the defendants “reached an

understanding” to violate the plaintiff’s constitutional rights. Bailey v. Bd. of

Cnty. Comm’rs of Alachua Cnty., 
956 F.2d 1112
, 1122 (11th Cir. 1992) (“[T]he

linchpin for conspiracy is agreement.”). Factual proof of the existence of a § 1983

conspiracy may be based on circumstantial evidence. Burrell v. Bd. of Trs. of Ga.

Military Coll., 
970 F.2d 785
, 789 (11th Cir. 1992).

       The first problem for the Plaintiffs is the lack of evidence that Neal and

Maddox conspired with Carver to maliciously prosecute Plaintiff Grider. The

record does not indicate that either Maddox or Neal knew about the alleged bribery

before it was reported to them by Carver. Maddox was not at the Skybar scene at

the time of the alleged bribery. There is nothing in the record suggesting that

Maddox and Neal reached an agreement or understanding with Carver, before the

alleged bribery, to fabricate the bribery charge against Grider.28 At best, the record

shows that Maddox and Neal assisted Carver (and other officers) in investigating



       28
         Grider contends the timing of Neal’s surveillance constitutes circumstantial evidence
that he agreed to assist Carver in fabricating a bribery charge. Although Neal did turn off the
video surveillance shortly before the alleged bribery, Neal’s surveillance recorded only the front
of the building and thus would not have disproved Carver’s allegations.

                                                32
Skybar and the Griders on September 29, 2005. But showing that Maddox and

Neal “conspired” to investigate Skybar, which is lawful and part of their duties as

law enforcement officers, is a far cry from showing that Maddox and Neal agreed

to fabricate, and then maliciously prosecute Grider for, a bribery crime he did not

commit.

      Likewise, what happened after the alleged bribe also does not show

involvement by Maddox and Neal in a bribery conspiracy. The fact that Neal went

into Skybar and told Grider “we got you” does not suggest that Neal conspired to

wrongfully prosecute Grider for bribery, but rather that he was simply aware of

Carver’s report of the alleged bribe. At best, Maddox and Neal became aware of

the alleged bribe only after it occurred, which is not sufficient. Maddox and Neal

also had no involvement in the bribery prosecution after Grider’s arrest. Rather,

Carver filed an affidavit supporting Grider’s arrest warrant. And as noted earlier, it

was not unlawful to surveil the front of the building.

      As for Crook, however, Grider’s evidence, accepted as true at this juncture,

indicates that Crook was involved in Carver’s bribery charge against Grider. In his

affidavit, Crook states that Grider told Crook and Carver that “he had a dollar for

each of” them if they would overlook the violations of law, that Grider told the

officers he would leave money on the sidewalk for them, and that Grider left three

$50 bills for the officers (which Crook states he realized afterward at the police

                                          33
station). Crook filed a Special Report, stating that Crook observed Grider “set the

money on the ground . . . .”

       Although Grider’s evidence shows Crook was involved with Carver’s

bribery charge, Grider’s conspiracy claim against Crook fails because of the

intracorporate conspiracy doctrine.29 Specifically, “[t]he intracorporate conspiracy

doctrine holds that acts of corporate agents are attributed to the corporation itself,

thereby negating the multiplicity of actors necessary for the formation of a

conspiracy.” McAndrew v. Lockheed Martin Corp., 
206 F.3d 1031
, 1036 (11th

Cir. 2000) (en banc). “[U]nder the doctrine, a corporation cannot conspire with its

employees, and its employees, when acting in the scope of their employment,

cannot conspire among themselves.” Id.;30 accord Denney v. City of Albany, 
247 F.3d 1172
, 1190-91 (11th Cir. 2001) (stating “the only two conspirators identified .

. . are both City employees; no outsiders are alleged to be involved” and

concluding intracorporate conspiracy doctrine barred plaintiffs’ § 1985(3)

conspiracy claims for deprivation of their equal protection rights). “The doctrine

       29
        The conspiracy claim fails as to Maddox and Neal too, but we rely also on lack of
evidence as to those defendants.
       30
         Some courts treat “scope of employment” as an exception to, rather than part of, the
intracorporate conspiracy doctrine itself. See Johnson v. Hills & Dales Gen. Hospital, 
40 F.3d 837
, 840 (6th Cir. 1994) (“Aware of this possibility, courts have created a ‘scope of
employment’ exception that recognizes a distinction between collaborative acts done in pursuit
of an employer’s business and private acts done by persons who happen to work at the same
place”). However, our Court treats scope of employment more as part of the formulation of the
intracorporate conspiracy doctrine itself. See 
McAndrew, 206 F.3d at 1036
.

                                              34
applies to public entities such as the City and its personnel.” 
Denney, 247 F.3d at 1190
; see Rehberg v. Paulk, __ F.3d __, 
2010 WL 2788199
, at *19 (11th Cir. July

16, 2010) (concluding intracorporate conspiracy doctrine barred § 1983 conspiracy

claim against a county employee); Dickerson v. Alachua Cnty. Comm’n, 
200 F.3d 761
, 767-68 (11th Cir. 2000) (concluding intracorporate conspiracy doctrine barred

plaintiff’s § 1985(3) conspiracy claim for interference with his civil rights);

Chambliss v. Foote, 
562 F.2d 1015
(5th Cir. 1977)31 (affirming 
421 F. Supp. 12
(E.D. La.) district court’s summary judgment opinion applying the intracorporate

conspiracy doctrine to bar a § 1985(3) claim against a public university and its

officials).

       Both Defendants Carver and Crook are law enforcement officers with the

APD. No outsiders are involved. The subject of their alleged conspiracy –

prosecution of Plaintiff Patrick Grider by making a false bribery charge – involves

job-related functions well within Defendants’ scope of employment as police

officers. We recognize that one might reasonably believe that violating someone’s

constitutional rights is never a job-related function or within the scope of a police

officer’s employment. However, the question of whether a defendant acted within

the scope of his employment is distinct from whether the defendant acted


       31
        This Court adopted as binding precedent all Fifth Circuit decisions prior to October 1,
1981. See Bonner v. City of Prichard, 
661 F.2d 1206
, 1209 (11th Cir. 1981) (en banc).

                                               35
unconstitutionally. The scope-of-employment inquiry is whether the employee

police officer was performing a function that, but for the alleged constitutional

infirmity, was within the ambit of the officer’s scope of authority (i.e., job-related

duties) and in furtherance of the employer’s business.32

       In Grider’s case, we thus ask whether it was within Officer Crook’s job

duties or scope of authority to make bribery charges against Grider, not whether he

was authorized or employed to file false bribery charges in furtherance of the

City’s business.33 All of Crook’s acts were clearly within the scope of his


       32
          Traditionally, the scope of employment inquiry has looked to the employee’s scope of
authority. Compare Black’s Law Dictionary 1465 (9th ed. 2009) (defining “scope of
employment” as “[t]he range of reasonable and foreseeable activities that an employee engages
in while carrying out the employer’s business; the field of action in which a servant is authorized
to act in the master-servant relationship”), with 
id. (defining “scope
of authority” as “[t]he range
of reasonable power that an agent has been delegated or might foreseeably be delegated in
carrying out the principal’s business,” and cross-referencing “scope of employment” definition).
       33
          Similarly, in qualified-immunity cases, we examine whether a public official’s acts fall
within his “scope of authority” and thus his “discretionary functions,” not whether he was
authorized to commit an illegal act. See O’Rourke v. Hayes, 
378 F.3d 1201
, 1205-06 (11th Cir.
2004); Holloman ex rel. Holloman v. Harland, 
370 F.3d 1252
, 1265-66 (11th Cir. 2004); Maggio
v. Sipple, 
211 F.3d 1346
, 1350-51 n.2 (11th Cir. 2000); Harbert Int’l, Inc. v. James, 
157 F.3d 1271
, 1282-83 (11th Cir. 1998). The scope-of-authority “‘inquiry is not whether it was within
the defendant’s authority to commit the allegedly illegal act. Framed that way, the inquiry is no
more than an untenable tautology.’” 
Holloman, 370 F.3d at 1266
(quoting Harbert Int’l, 
Inc., 157 F.3d at 1282
). Rather, “we look to the general nature of the defendant’s action, temporarily
putting aside the fact that it may have been committed for an unconstitutional purpose, in an
unconstitutional manner, to an unconstitutional extent, or under constitutionally inappropriate
circumstances.” 
Id. (noting “we
do not ask whether police have the right to use excessive force.
. . . We instead ask whether they have the power to attempt to effectuate arrests”); accord
O’Rourke, 378 F.3d at 1205
(“‘we do not ask whether [a police officer] has the right to engage in
unconstitutional searches and seizures, but whether engaging in searches and seizures in general
is a part of his job-related powers and responsibilities’”) (quoting 
Holloman, 370 F.3d at 1266
);
see Sims v. Metro. Dade Cnty., 
972 F.2d 1230
, 1236 (11th Cir. 1992) (rejecting contention that
“any time a government official violates clearly established law he acts beyond the scope of his

                                                 36
employment as a law enforcement officer. In furtherance of the City’s business,

Crook visited Skybar culminating in discussions with Patrick Grider at the rear of

the bar, and filed a “Special Report” regarding Patrick Grider’s actions. Carver,

not Crook, signed the affidavit on which the bribery arrest warrant was issued. Our

inquiry is not whether Officer Crook had the authority to prosecute in an

unconstitutional manner and with malicious intent, but instead whether engaging in

prosecutions is part of Crook’s job-related powers and responsibilities. And, of

course, law enforcement officers are empowered precisely to prosecute violations

of law. Therefore, the intracorporate conspiracy doctrine bars Plaintiffs’ § 1983

conspiracy claims against APD Officers Carver and Crook.

       The only remaining question is whether there are any exceptions to this

doctrine. In Dickerson, we observed that other circuits, while applying the

intracorporate conspiracy doctrine in § 1985 civil rights cases, have recognized

exceptions (1) for “convictions involving criminal charges of conspiracy,” (2)

where the employee has an “independent personal stake” in his unconstitutional

acts and is not acting to further the corporation’s illegal objective, or (3) where the

employees “engage in a series of discriminatory acts as opposed to a single action”

over a significant period of time in the employment setting. Dickerson, 200 F.3d at


discretionary authority” as “untenable” and explaining that “the question of whether the
defendants acted lawfully [is distinct from] the question of whether they acted within the scope
of their discretion”).

                                                37
768-70 & n.9 (collecting and discussing cases from other circuits).34

       Because none of those exceptions applied to the facts of Dickerson, we

“[did] not reach the issue of whether to adopt them in this circuit.” 
Id. at 770.35
Subsequently, in the § 1985(2) context in McAndrew, this Court clearly

recognized an exception to the doctrine for criminal conspiracies where the

conduct violates the federal criminal code. 
McAndrew, 206 F.3d at 1034
(“Accordingly, we hold that just as the intracorporate conspiracy doctrine cannot

shield a criminal conspiracy from prosecution under the federal criminal code, the

doctrine cannot shield the same conspiracy, alleging the same criminal

wrongdoing, from civil liability arising under 42 U.S.C. § 1985(2)” (emphasis



       34
           It is noteworthy that in § 1985 cases, conspiracy is a statutory element of the 42 U.S.C.
§ 1985 cause of action, and the intracorporate conspiracy doctrine, if applicable, thus would bar
relief in certain § 1985 cases. The exceptions appear to have developed to reduce the impact of
the doctrine in § 1985 cases. In contrast, this is a § 1983 case where conspiracy is not a required
element, and Plaintiffs’ claims may proceed against the police officers if they violated
constitutional rights, even if no conspiracy is shown. For purposes of this opinion, we also
assume but do not decide that the other circuits’ exceptions in § 1985 cases apply in § 1983
cases, because as we explain later, the facts of this case do not fit any exception.
         Further, there is no allegation in this case that the corporate entity here was formed for
illegitimate purposes.
       35
          The district court quoted the potential exceptions listed in Dickerson and pointed out
that Dickerson “did not reach any of these potential exceptions because they were unsupported
by the facts of that case.” 
Grider, 628 F. Supp. 2d at 1350
. The district court did not appear to
apply any of these exceptions either. Rather, the district court stated “[a]ll of the officers’
combined actions – culminating in the unlawful bribery charge – toward, perhaps, a common
goal and involving the separate exercise of their discretionary authority, cannot fairly be
attributed to the city such that the meeting of the minds crucial to conspiracy liability is absent.”
Id. After discussing
its view of policy problems with the intracorporate conspiracy doctrine, the
district court “refuse[d] to apply the doctrine to this set of facts.” 
Id. at 1350-51.
                                                  38
added)).

         Taking McAndrew first, this case involves an alleged civil conspiracy

among Officers Crook and Carver and does not involve evidence of conduct

constituting a criminal conspiracy in violation of the federal criminal code. As to

the other exceptions discussed in Dickerson, there is no evidence Officers Crook or

Carver had an “independent personal stake” in charging Grider with bribery. As to

the “series of discriminatory acts” exception, the district court granted summary

judgment on all § 1983 conspiracy claims except for conspiracy to file the

unfounded 2005 bribery charge. This case does not involve a series of

discriminatory acts in an employment setting. In fact, Plaintiffs do not show any

“series of discriminatory acts” underlying the 2005 bribery charge – all that is

claimed is the fabrication of a bribe. Because none of the exceptions discussed in

Dickerson would apply on the facts of this case, we, like the Court in Dickerson,

do not reach the issue of whether to adopt them.

         For all these reasons, we reverse the district court’s order denying qualified

immunity to Carver, Crook, Neal, and Maddox for Grider’s § 1983 conspiracy

claim.

D.       Equal Protection Claim Against Meeks – Qualified Immunity

         Plaintiffs claim a Fourteenth Amendment Equal Protection violation against

Meeks for improperly calculating occupancy numbers for Skybar in a different

                                            39
manner from other establishments. On appeal, Officer Meeks argues the district

court erred in denying him qualified immunity.

       The parties agree this is a “class of one” equal protection claim. See Village

of Willowbrook v. Olech, 
528 U.S. 562
, 564, 
120 S. Ct. 1073
, 1074-75 (2000). To

prevail on a “class of one” equal protection claim, Plaintiffs must show they were

intentionally treated differently from others who were “similarly situated” and that

there is no rational basis for the difference in treatment. 
Olech, 528 U.S. at 564
,

120 S. Ct. at 1074; Griffin Indus. v. Irvin, 
496 F.3d 1189
, 1202 (11th Cir. 2007).

To be “similarly situated,” the comparators must be “‘prima facie identical in all

relevant respects.’” 
Griffin, 496 F.3d at 1204
(quoting Campbell v. Rainbow City,

434 F.3d 1306
, 1314 (11th Cir. 2006)).36

       The district court concluded Plaintiffs had shown disparate treatment

between Skybar and its two “similarly situated” competitors, “In Italy” and

“1716.” 
Grider, 628 F. Supp. 2d at 1338-41
.

       Previous “class of one” decisions from the Supreme Court and this Court

compel our conclusion that Plaintiffs have not shown sufficient similarity between



       36
          “The central issue here is what degree of similarity is required for two entities to be
considered ‘similarly situated.’ Too broad a definition of ‘similarly situated’ could subject
nearly all state regulatory decisions to constitutional review in federal court and deny state
regulators the critical discretion they need to effectively perform their duties. Conversely, too
narrow a definition of ‘similarly situated’ could exclude from the zone of equal protection those
who are plainly treated disparately and without a rational basis.” 
Griffin, 496 F.3d at 1203
.

                                                40
Skybar and “In Italy” and “1716” to state a “class of one” claim. For example, in

Olech, a plaintiff landowner asked the village of Willowbrook to connect her

property to the municipal water supply. 
Olech, 528 U.S. at 563
, 120 S. Ct. at 1074.

Although the village required a 15-foot easement from other property owners to

connect, it demanded a 33-foot easement from the plaintiff. 
Id. The plaintiff
sued,

claiming the village’s disparate requirement of a larger easement violated her equal

protection rights. 
Id. In Olech,
the Supreme Court held that the plaintiff

adequately stated a “class of one” equal protection claim. 
Id. at 565,
120 S. Ct. at

1075. In Olech, there was a single, one-dimensional standard – a 15-foot vs. 33-

foot easement – “against which departures, even for a single plaintiff, could be

readily assessed. There was no indication . . . [of] subjective, individualized

determinations . . . .” Engquist v. Ore. Dep’t of Agric., 
553 U.S. 591
, __, 128 S.

Ct. 2146, 2153 (2008). “The similarity between Olech and her neighbors was

obvious because the Village, as the governmental decisionmaker, had a policy that

did not involve a large number of factors in its application.” 
Griffin, 496 F.3d at 1203
.

        The Supreme Court’s Olech decision relied on two cases that were

precursors to Olech’s “class of one” formulation. In Allegheny Pittsburgh Coal

Co. v. County Commission of Webster County, 
488 U.S. 336
, 
109 S. Ct. 633
(1989), the Supreme Court concluded the defendant county denied the plaintiffs

                                          41
equal protection by setting their property tax assessment at 50% of market value

based on recent purchase sale prices, but taxing other property owners at 50% of

market value based on old appraisal values of their land (that had not been recently

sold). 
Id. at 338-42,
109 S. Ct. at 635-37. “This practice resulted in gross

disparities in the assessed value of generally comparable property,” thereby

denying the plaintiffs equal protection. 
Id. at 338,
109 S. Ct. at 635.

      In Sioux City Bridge Co. v. Dakota County, 
260 U.S. 441
, 
43 S. Ct. 190
(1923), the Supreme Court recognized an equal protection claim where one

taxpayer’s property was assessed at 100% of its value while all others were

assessed at 55%, without the government articulating any differences in the

properties that would justify the disparate assessments. 
Id. at 445-47,
43 S. Ct. at

191-92. See also Engquist, 553 U.S. at __, 128 S. Ct. at 2154 (interpreting

Allegheny Pittsburgh and Sioux City Bridge).

      In each of Olech, Allegheny Pittsburgh, and Sioux City Bridge, the Supreme

Court “was able to analyze the ‘similarly situated’ requirement succinctly and at a

high order of abstraction. This was because the challenged governmental decisions

were ultimately one-dimensional – they involved a single answer to a single

question.” 
Griffin, 496 F.3d at 1203
. However, later cases recognize that “[t]here

are some forms of state action . . . which by their nature involve discretionary

decisionmaking based on a vast array of subjective, individualized assessments.”

                                          42
Engquist, 553 U.S. at __, 128 S. Ct. at 2154, 2157 (“class of one” equal protection

claims not viable in the public employment context). This Court’s recent Griffin

decision illustrates such a discretionary, multi-dimensional inquiry.

      In Griffin, the plaintiff owned a chicken rendering plant that was subject to

stricter regulations by city and state officials than other plants, including odor

regulations “more stringent than those imposed on any other chicken rendering

facility in the state” and new water quality controls. 
Griffin, 496 F.3d at 1195
.

The plaintiff claimed state regulators, pressured by city officials, were selectively

enforcing regulations based on animosity towards the plant. 
Id. The plaintiff
alleged another competitor in the Georgia chicken processing business was a

similarly situated comparator. 
Id. at 1202.
      This Court distinguished Olech’s “one-dimensional” inquiry from the

“multi-dimensional” inquiry presented in Griffin. 
Id. at 1203.
Where “the

government’s regulatory action was undeniably multi-dimensional, involving

varied decisionmaking criteria applied in a series of discretionary decisions made

over an extended period of time,” the “similarly situated” comparators “‘must be

prima facie identical in all relevant respects.’” 
Id. at 1203-04
(quoting 
Campbell, 434 F.3d at 1314
). In such cases, the government’s challenged decision “must be

evaluated in light of the full variety of factors that an objectively reasonable

governmental decisionmaker would have found relevant in making the challenged

                                           43
decision.” 
Id. at 1203.
This is a more difficult standard to meet. 
Id. at 1204;
Leib

v. Hillsborough Cnty. Pub. Transp. Comm’n, 
558 F.3d 1301
, 1307 (11th Cir. 2009)

(affirming dismissal of “class of one” claim over regulatory commission’s

consideration of “a variegated set of factors,” including aesthetics and comparison

with industry standards, to determine whether Toyota Prius qualified as a “luxury”

limousine); Douglas Asphalt Co. v. Qore, Inc., 
541 F.3d 1269
, 1275 (11th Cir.

2008) (plaintiff paving contractor failed to allege other contractors were similarly

situated “in light of all the factors that would have been objectively reasonable” to

government officials).

      Similarly, in this case, the occupancy calculation for Skybar reflected a

multi-dimensional decisionmaking process. Meeks was required to consider

various factors including the establishment’s square footage, its segments, its

emergency exit capacity, its fire and sprinkler systems, and its overall compliance

with the codes and regulations. As Meeks testified, his calculation of a 999-person

occupancy limit is partly formulaic but also involves discretion and judgment on

the part of the regulator in determining that the overall occupancy classification

adequately complies with all provisions of the codes and regulations. More

importantly, the overall goal of an occupancy number is safe occupancy of

buildings.

      Plaintiffs argue Meeks miscalculated the maximum occupancy limits in

                                          44
several ways. The problem for the Griders is that this is not an appeal of Meeks’s

calculations to the City courts or relevant City authorities, but rather it is a § 1983

claim against Meeks in his individual capacity for denial of Plaintiffs’

constitutional equal protection rights. To prevail, Plaintiffs must show Defendant

Meeks intentionally and arbitrarily treated Skybar differently from other similarly

situated entities and that there is no rational basis for this difference in treatment.

      Plaintiffs’ equal protection claim fails for several reasons. First, other City

inspectors made the on-site calculations as to the standing areas for “In Italy” and

“1716.” This difference in calculators alone is enough to negate a “class of one”

claim. Second, the record evidence, in any event, is insufficient to show the two

other establishments – “In Italy” and “1716” – are similarly situated to Skybar.

For instance, the parties do not offer record citations showing: (1) how the

emergency exits and fire-suppression systems in “In Italy” or “1716” compared to

Skybar; (2) the layout of the exterior or interior of Skybar, “In Italy,” or “1716,” or

even how the other two facilities were organized; and (3) the square footage of “In

Italy” or “1716,” much less how it compared to Skybar. Rather, the record

evidence, where any is cited, shows that Skybar was different from “In Italy” and

“1716” at the time of Meeks’s calculations because “In Italy” and “1716” were




                                            45
smaller than Skybar and were fully compliant “with all Codes of the City.”37

Skybar’s occupancy level was constrained by its emergency exit capacity and fire

alarm system but there is no evidence that “In Italy” or “1716” had such

constraints. Importantly, there is no evidence of the total occupancy limits of “In

Italy” or “1716” and no evidence the other inspectors let “In Italy” or “1716”

exceed 1000 occupants with the same type of fire alarm system Skybar had. Third,

Meeks articulated a rational basis for his calculations, and Plaintiffs have not

shown Meeks acted arbitrarily or intentionally denied Plaintiffs their equal

protection rights. The evidence in this case overwhelmingly shows Meeks

genuinely had safety concerns about customers safely exiting Skybar and the

capacity of its fire alarm system. It is difficult to fathom how allowing a late-night

bar to have 999 persons at one time is putting it out of business.38

       In sum, Plaintiffs have not shown an equal protection violation by Defendant


       37
          Meeks’s Affidavit states: “In Italy and 1716 were in compliance with all Codes of the
City, such as having a fire and sprinkler system, and as such, they was [sic] permitted to use the
5 square foot per person calculation. In Italy and 1716 were smaller establishments than . . . Sky
Bar.” Even Plaintiffs do not claim that either “In Italy” or “1716” had occupancy limits
exceeding 1000 persons or even that these bars had the same fire alarm system as Skybar.
Rather, Plaintiffs differentiate between the front and rear portions of Skybar and claim the 1000
person limit as to Skybar’s fire alarm system applies only to the front portion of the bar that was
remodeled and that the rear portion was grandfathered in. This ignores, among other things, that
this one fire alarm system is for the entire Skybar structure. Plaintiffs cite no evidence of a
second fire alarm system in the rear of Skybar.
       38
        The district court found that “the evidence is insufficient for a factfinder to conclude
that Meeks conspired with any other person to calculate improperly the occupancy numbers for
Skybar.” 
Grider, 628 F. Supp. 2d at 1348
.

                                                46
Meeks (sued individually), and the district court accordingly erred in denying

Meeks qualified immunity on Plaintiffs’ equal protection claim.

       Alternatively, at a minimum, Plaintiffs have not shown Meeks violated

clearly established federal law. In determining whether a constitutional right was

clearly established at the time of violation, “[t]he relevant, dispositive inquiry . . .

is whether it would be clear to a reasonable officer that his conduct was unlawful

in the situation he confronted.” 
Saucier, 533 U.S. at 202
, 121 S. Ct. at 2156; see

also Hope v. 
Pelzer, 536 U.S. at 741
, 122 S. Ct. at 2516 (“the salient question . . . is

whether the state of the law [at the time of violation] . . . gave [the defendants] fair

warning that their alleged treatment of [the plaintiff] was unconstitutional”).39

There is no case law in the U.S. Supreme Court, this Court, or the Alabama

Supreme Court with similar factual circumstances (or even addressing in any way

the occupancy limits for bars in Alabama) that would have put Meeks on notice of

a clearly established right that Plaintiffs have claimed in this case. Nor have

Plaintiffs cited any precedential authority that would have made clear to Meeks

       39
          This fair and clear notice requirement may be met in three ways: (1) the words of the
pertinent federal statute or constitutional provision may be so specific as to clearly establish the
law even in total absence of judicial decisions interpreting the law, Vinyard v. Wilson, 
311 F.3d 1340
, 1350 (11th Cir. 2002); (2) “some broad statements of principle in case law are not tied to
particularized facts and can clearly establish law applicable in the future to different sets of
detailed facts,” 
id. at 1351;
and (3) most commonly, when we lack explicit statutory or
constitutional pronouncements and broad case holdings, we look to precedential cases that are
tied to their particular facts. 
Id. at 1351-52.
When caselaw is needed, we look to decisions of
the U.S. Supreme Court, this Court, and, where applicable, the highest court of the pertinent
state. Marsh v. Butler Cnty., Ala., 
268 F.3d 1014
, 1032-33 n.10 (11th Cir. 2001).

                                                 47
that, given the need for safety in buildings, he was violating Plaintiffs’

constitutional equal protection rights. The district court accordingly erred in

denying qualified immunity to Meeks on Plaintiffs’ equal protection claim.

E.    State-Law Claims

      Plaintiffs also brought state-law claims for fraud against Meeks and for

tortious interference with contractual and business relations against Carver, Crook,

Maddox, Neal, and Meeks. As to Plaintiffs’ fraud claims against Meeks, the

district court denied Meeks “discretionary-function immunity” because “the

Griders have produced evidence that Meeks acted willfully, maliciously,

fraudulently, in bad faith, beyond his authority, or under a mistaken interpretation

of the law.” 
Grider, 628 F. Supp. 2d at 1354-55
(quotation marks omitted). As

noted earlier, Meeks was not a law enforcement officer, so he cannot rely on

statutory, discretionary-function immunity. However, “state-agent” immunity may

extend to Meeks, which the district court also implicitly recognized by citing

Cranman’s state-agent immunity standards in denying immunity to Meeks. 
Grider, 628 F. Supp. 2d at 1354
(citing Ex parte 
Cranman, 792 So. 2d at 405
). To be clear,

we refer to the immunity potentially available to Meeks as “state-agent immunity.”

      As to Plaintiffs’ tortious interference claims, the district court denied

summary judgment without explicitly discussing any state-law immunity defenses



                                           48
of Defendants40 – in effect denying Defendants’ immunity argument sub silentio.

See Grider, 628 F. Supp 2d. at 1353.

       For either type of state-law immunity to apply, Defendants first must show

they were performing duties within their discretionary functions when the alleged

torts occurred. Ex parte Estate of 
Reynolds, 946 So. 2d at 452
(state-agent

immunity); 
Wood, 323 F.3d at 883
(discretionary-function immunity). Plaintiffs

argue Defendants cannot meet this threshold requirement because “[n]o

[Defendant] can prove that committing various tortious acts in furtherance of a

conspiracy to put the Griders out of business is within the line and scope of any of

their duties . . . .”

       Considering the APD officers first, investigating and prosecuting violations

of the law clearly fall within the scope of official duties of a law enforcement

officer. Police investigations and arrests usually are considered “discretionary

function[s] within the line and scope of . . . law enforcement duties” for the

purposes of discretionary-function immunity. Swan v. City of Hueytown, 
920 So. 2d
1075, 1078-79 (Ala. 2005) (law enforcement officers perform “discretionary

functions” under § 6-5-338 when they “‘exercis[e] judgment in the enforcement of

the criminal laws,’” including “gathering of information and subsequent arrest”)


       40
         Defendants’ motion for summary judgment expressly argued for state-law immunity
from the tortious interference claim pursuant to both Cranman and Ala. Code § 6-5-338.

                                            49
(quoting 
Cranman, 792 So. 2d at 405
); 
Sheth, 145 F.3d at 1238-39
(police officers’

use of force and arrest of plaintiff qualify as discretionary functions under

Alabama law); Telfare v. City of Huntsville, 
841 So. 2d 1222
, 1228 (Ala. 2002)

(“Generally, arrests and attempted arrests are classified as discretionary functions”

for the purposes of § 6-5-338); 
Wood, 323 F.3d at 884
(law enforcement officer’s

issuance of driving citation and arrest were discretionary acts for § 6-5-338

immunity).

      As to Meeks, Alabama’s common-law state-agent immunity protects him.

State-agent immunity requires that Meeks first show he was acting within a defined

class of discretionary acts. Ex parte Estate of 
Reynolds, 946 So. 2d at 452
. State-

agent immunity protects a state agent for, among other things, “exercising his or

her judgment in the administration of a department or agency of government,

including, but not limited to, . . . making administrative adjudications; . . . [and]

discharging duties imposed on a department or agency by statute, rule, or

regulation, insofar as the statute, rule, or regulation prescribes the manner for

performing the duties and the State agent performs the duties in that manner . . . .”

Cranman, 792 So. 2d at 405
; see also 
Wood, 323 F.3d at 883
(“Discretionary acts

are ‘those acts as to which there is no hard and fast rule as to the course of conduct

that one must or must not take and those acts requiring exercise in judgment and

choice and involving what is just and proper under the circumstances.’”) (quoting

                                           50

Sheth, 145 F.3d at 1239
). Meeks’s occupancy determinations easily fall within the

administrative adjudications over which he was given responsibility by the City.

       Thus, because all Defendants were performing discretionary acts, Plaintiffs

must show sufficient “bad intent” – willfulness, malice, fraud, bad faith, actions

beyond authority, or actions taken under a mistaken interpretation of law. See Ex

Parte 
Cranman, 792 So. 2d at 405
. For the reasons outlined above, Grider’s

version of events meets that requirement for Officers Carver and Crook, but not for

Officers Maddox and Neal. Thus, as to Plaintiffs’ tortious interference claim, we

affirm the denial of both state-agent immunity and statutory, discretionary-function

immunity to Carver and Crook and reverse the denial as to Maddox and Neal.

       As to Meeks, Plaintiffs have not shown Meeks’s actions in regulating

Skybar were willfully wrong, malicious, in bad faith, beyond his authority, or were

made under a mistaken interpretation of law. Meeks’s occupancy calculations

were the product of a complex, multi-dimensional evaluation. There is no

evidence that Meeks acted fraudulently, maliciously, or in bad faith in making his

occupancy calculations.41 The record is replete with evidence that Meeks had


       41
         Each of the three fraud theories on which Plaintiffs rely requires the willful
misrepresentation or willful suppression of a material fact. Ex parte DaimlerChrysler Corp., 
952 So. 2d 1082
, 1090 (Ala. 2006) (fraudulent misrepresentation); Ala. Code § 6-5-103 (deceit); Ex
parte Dial Kennels of Ala., Inc., 
771 So. 2d 419
, 421 (Ala. 1999) (fraudulent suppression).
Because our limited interlocutory appeal addresses only immunity issues, we limit this
discussion solely to whether Meeks had fraudulent intent, and we do not consider whether the
record evidence sufficiently shows the other required elements of a fraud claim. We also do not

                                               51
relevant safety concerns about Skybar exceeding 1000 occupants due to its exits

and fire alarm system and that he acted within his discretionary authority.

Plaintiffs also have not shown Skybar and “In Italy” and “1716” are similarly

situated. Accordingly, we reverse the district court’s denial of state-agent

immunity to Meeks on Plaintiffs’ tortious interference and fraud claims.42

                                     III. CONCLUSION

         In sum, we affirm the district court’s denial of qualified immunity as to

Grider’s § 1983 malicious prosecution claim against Carver. We reverse the denial

of qualified immunity (1) to Carver, Crook, Maddox, and Neal from Grider’s §

1983 conspiracy claims, and (2) to Meeks from Plaintiffs’ § 1983 equal protection

claim.

         As to Plaintiffs’ state-law claims, we affirm the district court’s denial of

state-law immunity (1) to Carver from Grider’s state-law malicious prosecution

claim, and (2) to Carver and Crook from Plaintiffs’ tortious interference claim. We

reverse the district court’s denial of state-law immunity to Maddox and Neal from



consider the merits of any other state law claims.
         42
         Defendants also argue that the two-year statute of limitations for fraud claims in
Alabama requires dismissal of the fraud claim against Meeks because a portion of Meeks’s
conduct occurred two years before the filing of this suit (November 21, 2007). This argument is
beyond the scope of the Defendants’ notice of appeal and is not properly presented in this
interlocutory appeal. 
Nippon, 291 F.3d at 754
(“We will not address claims that are beyond the
scope of the issue certified for an interlocutory appeal.”) (quotation marks and alterations
omitted).

                                                52
Plaintiffs’ tortious interference claim. We reverse the denial of state-agent

immunity to Meeks from Plaintiffs’ tortious interference and fraud claims.

       The bottom line is the case will proceed on remand against Defendant

Carver on Plaintiff Grider’s § 1983 malicious prosecution claim, against Defendant

Carver on Plaintiff Grider’s state law malicious prosecution claim, and against

Defendants Carver and Crook on Plaintiffs’ tortious interference claims under state

law.

AFFIRMED IN PART, REVERSED IN PART, AND REMANDED.




                                          53
KRAVITCH, Circuit Judge, concurring in part and dissenting in part:

       I concur in parts A, B, and C of the majority opinion’s discussion section. I

respectfully dissent, however, from the majority’s conclusion in parts D and E that

Andrew Meeks was entitled to qualified and state-agent immunity.

       Determining whether Meeks is entitled to immunity is a fact-intensive

inquiry. Because this is an interlocutory appeal from an order on the defendants’

motion for summary judgment, my dissent relies on the version of these facts that

is most favorable to the Griders.

       First, the record contains evidence that Meeks calculated the square-footage

standard for standing space in Skybar differently than for the two comparator

establishments. Although the majority opinion correctly states that other

inspectors made the on-site calculations for the comparator establishments (In Italy

and 1716), Meeks admitted in his deposition testimony to ultimately approving a

five-square-feet-per-person standard for standing space in the two comparator

establishments.1 Meeks also admitted that he assigned a higher seven-square-feet-

per-person standard to “standing space” in Skybar, even though the IBC(2003)

assigns a five-square-feet-per-person standard to standing space. See IBC § 1004


       1
         Meeks stated that he made the decision to use a five-square-feet-per-person standard for
the “concentrated areas” in the comparator establishments. Meeks later clarified that his
discussion of the application of the five-square-feet-per-person standard to concentrated areas
“that [he had] been talking about” corresponded to “the standing space for the concentrated
areas.”

                                               54
tbl.1004.1.2.

       Meeks explained in an August 7, 2006 letter to the Griders that he derived

the higher seven-square-feet-per-person standard for Skybar’s standing space from

the 1997 Standard Building Code (SBC).2 Meeks stated that he used the SBC’s

higher standard because Skybar’s exits and fire-suppression systems were not up to

the standards of the IBC(2003). He later explained that four out of the five

ground-floor exits “were worse than any stair quotient in any published code” and

that the fire alarm installed by the Griders could only accommodate 1,000 people.

Meeks also testified that § 104.10 of the IBC(2003) authorized him to apply the

SBC’s standards to Skybar. Finally, he claimed that the IBC(2003) gave him the

ultimate discretion to make determinations in the interests of public safety.

       The Griders identify several problems with Meeks’s explanations. First,

they argue that under the IBC(2003), Skybar’s exit capacity has no effect on the

square-footage standard for standing space. They point out that § 1005.1 of the

IBC(2003) requires the building inspector to factor in exit capacity only when

calculating an alternative maximum occupancy figure based on the “minimum

required egress width.” See IBC § 1005.1. If this alternative number is lower than

the maximum occupancy based on a square-footage standard, the IBC(2003)


       2
       The Standard Building Code was in effect in Auburn until the City adopted the
IBC(2003) in late 2003.

                                             55
requires the building inspector to calculate the maximum occupancy for the

structure based on this “egress-width” number. In this case, it is undisputed that

Meeks did not use this number to calculate Skybar’s maximum occupancy.

      Second, the Griders argue that Skybar’s fire-suppression systems were up to

code because Skybar was an existing building that was “grandfathered in” under

§ 3401.1 of the IBC(2003) and because they had added a fire alarm and sprinkler

system. They also argue that the IBC(2003) only required a fire alarm for the front

portion of Skybar because only that section had been recently altered. See IBC

§ 3401.1. They thus conclude that the building code only properly limited the

front portion of Skybar to 1,000 people.

      On these facts, construed in the Griders’s favor, Andrew Meeks both

violated clearly established federal law and acted beyond his authority.

Accordingly, I respectfully dissent from the majority opinion and submit that

Meeks is not entitled to either qualified or state-agent immunity.

      A. Qualified Immunity

      The majority concludes that Meeks was entitled to qualified immunity

because the Griders failed to state a valid class-of-one equal-protection claim. See

Vill. of Willowbrook v. Olech, 
528 U.S. 562
(2000). In particular, the majority

concludes that the Griders did not establish that Skybar and its two comparator

establishments—In Italy and 1716—are “prima facie identical in all relevant

                                           56
aspects.” Griffin Indus. v. Irvin, 
496 F.3d 1189
, 1203–04 (11th Cir. 2007). The

majority, however, fails to limit its analysis to evidence relevant to whether Skybar

was similarly situated to the two comparator establishments for the purposes of

assigning a square-footage standard to standing space. In particular, the majority

faults the Griders for failing to provide information about (1) the emergency exits

and fire-suppression systems in In Italy or 1716; (2) the layout of the exterior or

interior of Skybar, In Italy, or 1716; and (3) the square footage of In Italy or 1716.

      Most of this information, however, is irrelevant to determining the square-

footage standard for standing space. First, the IBC(2003) does not state that the

overall size of a facility is relevant to the square-footage standard to be applied to a

building’s standing space. Second, the exact layout of the exterior or interior of

Skybar is not relevant because it is undisputed that Meeks applied a different

standard to Skybar’s standing space than he did to the same kind of standing space

in the two comparator establishments. Finally, table 1004.1.2 of the IBC(2003)

explicitly states that the building inspector should assign a five-square-feet-per-

person standard to standing space; exit capacity is only relevant to the alternative

maximum-occupancy load based on “egress width” that ultimately did not control

Meeks’s calculations.

      The only arguably relevant factor cited by the majority is whether Skybar’s

fire-suppression systems are similar to those of the two comparators. It is

                                           57
undisputed that the fire-suppression systems of the two comparator establishments

were up to code. The Griders, however, cited the IBC(2003) to assert that their

installation of a fire alarm and sprinkler system in Skybar brought Skybar’s fire-

prevention systems up to code and that the fire alarm only limited the front part of

Skybar to 1,000 people. Meeks did not dispute these assertions. Thus, the Griders

have provided enough information at this stage in the litigation to establish that

Skybar’s fire-suppression systems were similar to those of the two comparator

establishments.

      The Griders have otherwise produced evidence that all three businesses have

the same zoning classification, have areas of standing space, are “existing

buildings,” and were assigned maximum-occupancy loads by Meeks while the

IBC(2003) was in effect. These facts are enough to convince a reasonable juror

that Skybar warranted similar treatment to In Italy and 1716 for the purposes of

assigning a square-footage standard to standing space.

      The majority also concludes that Meeks had a rational basis for treating

Skybar differently from its two similarly situated comparators. See 
Olech, 528 U.S. at 564
. The majority accepts two purportedly rational bases for Meeks’s

calculations: (1) Skybar’s poor exit capacity, and (2) Skybar’s fire-suppression

system. The first of these is not persuasive because a reasonable juror could

conclude that exit capacity does not have any bearing on the square-footage

                                          58
standard for standing space. The second reason is similarly unavailing because

Meeks did not dispute that the installation of the fire alarm and sprinkler brought

Skybar’s fire-prevention systems up to code.

       Finally, to avoid qualified immunity, the Griders must establish that Meeks’s

allegedly discriminatory calculations violated clearly established law. See Vinyard

v. Wilson, 
311 F.3d 1340
, 1351–52 (11th Cir. 2002). On this point, “the salient

question . . . is whether the state of the law . . . gave [the officers] fair warning that

their alleged treatment of [the plaintiff] was unconstitutional.” Hope v. Pelzer, 
536 U.S. 730
, 741 (2002). The Supreme Court has held that under the Equal Protection

Clause, “a person has a right to be free from intentional and arbitrary

discrimination, whether occasioned by express terms of a statute or by its improper

execution through duly constituted agents.” 
Olech, 528 U.S. at 564
. Here, Meeks

had fair warning that the allegedly discriminatory application of Auburn’s uniform

building regulations would violate the Equal Protection Clause, and he should not

have been granted qualified immunity.

       B. State-Agent Immunity

       The majority also concludes that Meeks is entitled to state-agent immunity

because his occupancy calculations were discretionary and the Griders did not

allege facts sufficient to establish that his actions were “willfully wrong, malicious,

in bad faith, beyond his authority, or . . . made under a mistaken interpretation of

                                            59
law.” Ex Parte Cranman, 
792 So. 2d 392
, 405 (Ala. 2000). I believe, however,

that the Griders have provided enough evidence to establish that Meeks acted

beyond his authority in determining the square-footage standard for Skybar.

      “A State agent acts beyond [his] authority and is therefore not immune when

he or she ‘fail[s] to discharge duties pursuant to detailed rules or regulations, such

as those stated on a checklist.’” Giambrone v. Douglas, 
874 So. 2d 1046
, 1052

(Ala. 2003) (quoting Ex parte Butts, 
775 So. 2d 173
, 178 (Ala. 2000)). It is

undisputed that all of the calculations of Skybar’s maximum occupancy in 2005

and 2006 were governed by the IBC(2003). Meeks, however, admits to employing

the SBC to calculate the maximum occupancy number for Skybar’s standing space.

In his deposition, Meeks claimed that he departed from the IBC(2003) because

Skybar was not up to code. But, as explained above, there is evidence suggesting

that Skybar was not in violation of the IBC(2003) and that its exit capacity should

not have affected the square-footage standard. Thus, under the version of the facts

most favorable to the Griders, there was no relevant safety reason for Meeks to

depart from the IBC(2003) when calculating Skybar’s square-footage standard.

      Furthermore, even if Skybar had not been up to code, nothing in the record

suggests that Meeks had the discretion to completely ignore the IBC(2003) and

select a square-footage standard from the SBC. Meeks initially testified that he

was authorized to depart from the IBC(2003) under § 104.10. But this section

                                           60
would only have mattered if the Griders had petitioned for a modification. See

IBC § 104.10 (allowing for modifications “upon application of the owner or the

owner’s representative”). Furthermore, although the IBC(2003)’s “purpose” is to

safeguard the “public health, safety and general welfare,” see 
id. § 101.3,
it does

not allow a building inspector to completely ignore its provisions. In fact, although

§ 104.1 of the IBC(2003) affords building officials the authority to render

“interpretations” of the IBC(2003) and to adopt “policies and procedures,” it

specifically states that those policies and procedures “shall not have the effect of

waiving requirements specifically provided for in this code.” 
Id. Construed in
the

Griders’s favor, this provision suggests that Meeks exceeded his authority when he

chose a square-footage standard from the SBC.

      Thus, in my view, the Griders have alleged sufficient evidence to show that

Meeks acted outside of his authority, and he is therefore not entitled to state-agent

immunity.




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Source:  CourtListener

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