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NE Beef v. Dennis Greening, 04-1918 (2005)

Court: Court of Appeals for the Eighth Circuit Number: 04-1918 Visitors: 17
Filed: Feb. 28, 2005
Latest Update: Mar. 02, 2020
Summary: United States Court of Appeals FOR THE EIGHTH CIRCUIT _ No. 04-1918 _ Nebraska Beef, Ltd., * * Plaintiff/Appellee, * * v. * * Appeal from the United States Dennis Greening; Donald Seitz; * District Court for the Chander Dev; Duane Shonka; * District of Nebraska. Michael Fast, * * Defendants/Appellants, * * John Doe, 1, Other FSIS Employees; * Jane Doe, 1, Other FSIS Employees; * John Doe, 2, Other FSIS Employees; * Jane Doe, 2, Other FSIS Employees, * * Defendants. * _ Submitted: December 16, 20
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                   United States Court of Appeals
                        FOR THE EIGHTH CIRCUIT
                               ___________

                               No. 04-1918
                               ___________

Nebraska Beef, Ltd.,                  *
                                      *
             Plaintiff/Appellee,      *
                                      *
      v.                              *
                                      * Appeal from the United States
Dennis Greening; Donald Seitz;        * District Court for the
Chander Dev; Duane Shonka;            * District of Nebraska.
Michael Fast,                         *
                                      *
             Defendants/Appellants,   *
                                      *
John Doe, 1, Other FSIS Employees;    *
Jane Doe, 1, Other FSIS Employees;    *
John Doe, 2, Other FSIS Employees;    *
Jane Doe, 2, Other FSIS Employees,    *
                                      *
             Defendants.              *
                                 ___________

                          Submitted: December 16, 2004
                              Filed: February 28, 2005
                              ___________

Before WOLLMAN, MAGILL, and COLLOTON, Circuit Judges.
                          ___________

WOLLMAN, Circuit Judge.
      Nebraska Beef, Ltd., brought a Bivens1 suit against federal food safety
inspectors (Inspectors) from the United States Department of Agriculture (USDA)
based on actions taken by the Inspectors pursuant to the Federal Meat Inspection Act
(FMIA), 21 U.S.C. § 601 et. seq. The Inspectors appeal from the district court’s
denial of their motion to dismiss on the basis of qualified immunity. Because a
Bivens remedy is not available to Nebraska Beef, we reverse.

                                         I.
       Pursuant to the FMIA, the USDA has promulgated a comprehensive regulatory
scheme governing meat packing and processing. See 9 C.F.R. pt. 417. Nebraska
Beef operates a packing and processing plant subject to inspection under the FMIA
and its implementing regulations. On September 3, 2002, the Inspectors conducted
a public health assessment of Nebraska Beef’s plant and issued Noncompliance
Records (NRs) for perceived regulatory violations. Following several procedural
actions, Nebraska Beef and the USDA entered into a mutual consent decision to
resolve the NRs. According to Nebraska Beef, the Inspectors maliciously issued
fifty-eight additional NRs in contravention of the consent decision.

       Nebraska Beef initiated a Bivens action against the Inspectors for damages to
its reputation and business. The Inspectors filed a motion to dismiss on several
grounds including qualified immunity and the nonavailability to Nebraska Beef of a
Bivens remedy. It is from the denial of that motion that the Inspectors filed this
interlocutory appeal.




      1
        Bivens v. Six Unknown Named Agents of Fed. Bureau of Narcotics, 
403 U.S. 388
(1971). Bivens allows tort actions against federal officials and employees
directly under the Constitution. See Estate of Rosenberg by Rosenberg v. Crandell,
56 F.3d 35
, 36 (8th Cir. 1995).


                                        -2-
                                          II.
       Nebraska Beef asserts that we lack jurisdiction to consider the availability of
a Bivens remedy. The Supreme Court first recognized jurisdiction over an
interlocutory appeal from a denial of qualified immunity in Mitchell v. Forsyth, 
472 U.S. 511
(1985). In Drake v. Scott, we held that this jurisdiction encompassed the
related issue of whether a complaint failed to state a claim, holding that when an
interlocutory appeal of a denial of qualified immunity is properly before us, we may
decide “closely related issues of law.” 
812 F.2d 395
, 399 (8th Cir. 1987), aff’d on
reh’g, 
823 F.2d 239
(8th Cir. 1987). The defendants in Drake had asserted qualified
immunity but had also argued that Drake’s due-process claim failed as a matter of law
because Drake had no property interest. 
Id. at 398.
We noted that “[i]f Drake
possesses no property interest, he cannot succeed on his claim, and we need not reach
the immunity issue.” 
Id. at 399.
We observed that the property-interest question was
“analytically antecedent to, and in a sense also pendent to, the qualified-immunity
issue.” 
Id. Subsequent to
Drake, the Supreme Court considered a Bivens claim that
alleged an infringement of Fifth Amendment due-process “liberty interests” in Siegert
v. Gilley, 
500 U.S. 226
, 229 (1991). The Supreme Court instructed that:

      A necessary concomitant to the determination of whether the
      constitutional right asserted by a plaintiff is ‘clearly established’ at the
      time the defendant acted is the determination of whether the plaintiff has
      asserted a violation of a constitutional right at all. Decision of this
      purely legal question permits courts expeditiously to weed out suits
      which fail the test without requiring a defendant who rightly claims
      qualified immunity to engage in expensive and time consuming
      preparation to defend the suit on its merits. One of the purposes of
      immunity, absolute or qualified, is to spare a defendant not only
      unwarranted liability, but unwarranted demands customarily imposed
      upon those defending a long drawn out lawsuit.

Id. at 232.
                                          -3-
       The Supreme Court revisited the jurisdictional limits of an interlocutory appeal
from a denial of qualified immunity in Johnson v. Jones, 
515 U.S. 304
(1995). The
Court examined whether appellate courts had jurisdiction to consider pretrial
“evidence insufficiency” claims in an interlocutory appeal from the denial of qualified
immunity. 
Id. at 308.
The Court stressed that the issue on appeal concerned “a fact-
related dispute” as to whether the pretrial record contained evidence sufficient to
show a genuine issue of fact for trial. 
Id. at 307
(original emphasis). The Court
cautioned against expansive jurisdiction, observing that an interlocutory appeal “can
threaten [district court] proceedings with delay, adding costs and diminishing
coherence” and that such an appeal “risks additional, and unnecessary, appellate court
work either when it presents appellate courts with less developed records or when it
brings them appeals that, had the trial simply proceeded, would have turned out to be
unnecessary.” 
Id. at 309.
The Court concluded that a question involving only
evidence sufficiency, i.e., which facts a party may be able to prove at trial, is not
appealable. 
Id. at 313.
       The following year, in Behrens v. Pelletier, the Court restated its holding in
Johnson, observing that: “summary judgment determinations are appealable when
they resolve a dispute concerning an abstract issue of law relating to qualified
immunity—typically, the issue whether the federal right allegedly infringed was
‘clearly’ established.” 
516 U.S. 299
, 313 (1996) (internal citations and quotations
omitted) (original emphasis).

        The question before us, then, is whether, in light of Siegert, Johnson, and
Behrens, the availability of a Bivens remedy is an issue of law that is “closely related”
to or “inextricably intertwined” with the denial of qualified immunity.2 Although the


      2
        In Kincade v. City of Blue Springs, Mo, 
64 F.3d 389
, 394-95 (8th Cir. 1995),
we equated our “closely related” definition to the “inextricably intertwined” language
used in Swint v. Chambers County Comm’n, 
514 U.S. 35
(1995). Cf. Prescott v.
Little Six, Inc., 
387 F.3d 753
, 756 n. 2 (8th Cir. 2004).
                                          -4-
lack of a Bivens remedy would not entitle the plaintiffs to qualified immunity,3 the
issue is “analytically antecedent to, and in a sense also pendent to, the qualified
immunity issue.” 
Drake, 812 F.2d at 399
. It is a purely legal question that presents
none of the judicial economy concerns addressed in Johnson. In fact, common sense
tells us that addressing this potentially dispositive legal question serves the interests
of judicial economy. If we remanded to the district court and the plaintiffs prevailed
at trial, we would likely see the same appeal again, after the cost and time of litigating
a lawsuit which, if no Bivens remedy exists, is doomed from its inception.
Accordingly, we conclude that we have jurisdiction to consider the availability of a
Bivens remedy. See Moreno v. Small Bus. Admin., 
877 F.2d 715
, 716 (8th Cir. 1989)
(question of qualified immunity on interlocutory appeal is moot when Bivens action
is precluded by comprehensive regulatory scheme); see also Hill v. Dep’t of the Air
Force, 
884 F.2d 1318
, 1320 (10th Cir. 1989) (deciding interlocutory appeal based on
lack of Bivens remedy and not reaching issue of qualified immunity); cf. Merritt v.
Shuttle, Inc., 
187 F.3d 263
, 268-69 (2d Cir. 1999) (resolving predicate issue of
subject matter jurisdiction is “necessary to ensure meaningful review of” denial of
qualified immunity). But see Triad Assocs., Inc. v. Robinson, 
10 F.3d 492
, 496-97
n. 2 (7th Cir. 1993) (refusing to extend pendent jurisdiction to “collateral” legal issues
of standing unrelated to qualified immunity and finding no “‘compelling reasons’ for
not deferring the limitations questions until the end of the lawsuit”); Kwai Fun Wong
v. United States, 
373 F.3d 952
, 961 (9th Cir. 2004) (stating that resolving the
availability of a Bivens remedy “is not a logical predicate to the resolution of. . . the
qualified immunity issue”).


      3
        We note that dictum in Buchholz v. Aldaya 
210 F.3d 862
(8th Cir. 2000)
suggests otherwise. We stated in Buchholz, citing Drake, that “[i]f defendants prevail
on [establishing that Buchholz has no cause of action], ‘it follows a fortiori’ they are
entitled to qualified immunity.” 
Id. at 865.
This assertion, which had no effect on the
holding in Buchholz, does not inexorably flow from our holding in Drake.
Concluding that a Bivens action is unavailable precludes the need to decide whether
the defendants are entitled to qualified immunity; it does not entitle them to qualified
immunity.
                                           -5-
                                        III.
       The Supreme Court has been wary of extending Bivens remedies into new
contexts, Schweiker v. Chilicky, 
487 U.S. 412
, 421 (1988), and has not created
additional Bivens remedies “[w]hen the design of a Government program suggests
that Congress has provided what it considers adequate remedial mechanisms for
constitutional violations that may occur in the course of its administration.” 
Id. at 423.
We have noted that this is the case even when the administrative remedy does
not provide complete relief. Sinclair v. Hawke, 
314 F.3d 934
, 940 (8th Cir. 2003).

       There is a “presumption against judicial recognition of direct actions for
violations of the Constitution by federal officials or employees,” and “[i]f Congress
has not explicitly created such a right of action, and if it has created other remedies
to vindicate (though less completely) the particular rights being asserted in a given
case, the chances are that the courts will leave the parties to the remedies Congress
has expressly created for them.” McIntosh v. Turner, 
861 F.2d 524
, 526 (8th Cir.
1988). When Congress has created a comprehensive regulatory regime, the existence
of a right to judicial review under the APA is sufficient to preclude a Bivens action.
Sinclair, 314 F.3d at 940
. Parties may not avoid administrative review simply by
fashioning their attack on an agency decision as a constitutional tort claim against
individual agency officers. 
Id. Three factors
counsel against extending a Bivens remedy to an action brought
against the Inspectors. First, Congress has not explicitly created any direct right of
action against USDA employees alleged to have committed constitutional violations.
Second, the USDA has promulgated a comprehensive regulatory scheme pursuant to
the FMIA that includes the right to judicial review under the APA.4 Finally, Congress


      4
       These procedures include provisions for an administrative appeal from an
adverse decision by a USDA inspector. See 9 C.F.R. §§ 500.2(c) and 500.5 (2005).
The Secretary of Agriculture has also promulgated “Uniform Rules of Practice”
                                      -6-
has created a stringent exhaustion requirement for grievances filed against USDA
employees, see 7 U.S.C. § 6912(e), which further evidences its intent to have
grievances aired to and addressed by the agency prior to our review.

        Given the above factors, as well as the Supreme Court’s caution against
extending Bivens remedies to new contexts, we conclude that such a remedy is not
available to Nebraska Beef. Cf. 
Sinclair, 314 F.3d at 942-43
(observing that personal
liability for bank regulators in the “complex regulatory environment” of the banking
industry is for Congress to decide). Because we resolve the instant case on the lack
of a Bivens remedy, we do not reach the issue of qualified immunity. We reverse the
district court’s denial of the Inspector’s motion to dismiss and remand with an order
to dismiss the complaint for failure to state a claim upon which relief can be granted.
                         ______________________________




which establish procedures for making an appeal to the agency. See 7 C.F.R. § 1.130
et. seq. (2005). Under those regulations, an aggrieved party may file a complaint if
there “is reason to believe that a person has violated or is violating any provision of
[inter alia, the FMIA] or of any regulation, standard, instruction or order issued
pursuant thereto.” 
Id. at §
1.133(b)(1). A final order by the USDA’s Judicial Officer
is subject to judicial review. 
Id. at §
1.145(i).
                                           -7-

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