ROBERT N. CHATIGNY, District Judge.
Plaintiffs Tariq Abdulaziz and Neurostrategies, Inc., providers of services under a program administered by the Connecticut Department of Social Services ("DSS"), bring this suit under 18 U.S.C. § 1983 against eight current and former DSS officials and employees in their individual and official capacities.
The second amended complaint (ECF No. 73) contains the following allegations. Since 2004, plaintiffs have provided medical services through the Acquired Brain Injury Waiver Program ("ABI Waiver Program" or "Program"), which is administered by DSS under Connecticut's Medicaid program.
From 2004 to 2015, plaintiffs' Provider Enrollment Agreements with DSS were different from other Medicaid providers' agreements. Unlike other providers, who annually or bi-annually signed a "standard" Provider Enrollment Agreement, plaintiffs were "arbitrarily and unilaterally forced" by DSS to sign non-standard agreements in 2004, 2014, and 2015. As a result, plaintiffs suffered unspecified additional administrative costs. During the relevant period, defendant McCormick expressed concerns to other DSS employees, including defendants Stauning and Long, that ABI Waiver Program providers were signing nonstandard agreements. Nonetheless, the nonstandard agreements remained in force until 2016. In that year, for the first time, DSS "arbitrarily" required that plaintiffs sign a standard agreement, which they signed under "protest" and "duress."
According to plaintiffs, the regulations governing ABI Waiver Program providers have been "unlawful" since they began participating in the Program. Plaintiffs' 2004 agreement with DSS required them to follow regulations issued in 1999 that were "out of date, unenforceable and adopted and/or promulgated unlawfully." In March 2013, realizing that the 1999 regulations were unlawful, the individual defendants (except for Patrick) "either individually and/or in concert with one another," published a Notice of Intent to Adopt Regulations in the Connecticut Law Journal. These new regulations were also "unlawful," and DSS began to "arbitrarily" implement them in April 2013.
On March 28, 2014, Abdulaziz testified before the Connecticut General Assembly regarding proposed legislation to implement "ABI Waiver Program II," a new program.
Plaintiffs allege that defendants have taken various actions against them in retaliation for Abdulaziz's testimony.
Plaintiffs allege that defendants have taken the following additional actions in retaliation for Abdulaziz's testimony. From 2015 to 2017, DSS Deputy Commissioner Brennan made a series of false accusations and threats against plaintiffs. In emails, he stated that plaintiffs had committed "abusive program practices" and interfered with "client care managers." Brennan also accused them of allowing an assistant to provide services without certification, failing to submit monthly reports, operating under conflicts of interest, and misrepresenting their client work. The emails threatened plaintiffs with nonpayment. Defendants have also failed to respond to certain inquiries made by plaintiffs. DSS has failed to process Abdulaziz's applications for mental health and substance abuse certifications and refused to respond to plaintiffs' requests for copies of "ABI Waiver Program Service Plans."
A complaint must plead "enough facts to state a claim to relief that is plausible on its face."
Plaintiffs claim that defendants have violated the First Amendment and the Due Process Clause of the Fourteenth Amendment. They also claim that Commissioner Bremby and Deputy Commissioner Brennan are liable under § 1983 for the alleged constitutional violations committed by their subordinates. In addition to damages, plaintiffs seek to enjoin the defendants from continuing to violate their constitutional rights. They also bring state law claims for breach of contract, intentional infliction of emotional distress ("IIED"), negligent infliction of emotional distress ("NIED"), interference with business relations ("IWBR") and interference with contract relations ("IWCR").
Plaintiffs claim that all the individual defendants retaliated against them in violation of the First Amendment. Defendants argue that their motion to dismiss should be granted because the complaint does not state a claim for relief and the individual defendants are entitled to qualified immunity. I agree.
First Amendment retaliation claims brought by government contractors are analyzed using the same tests that apply to claims by public employees.
Plaintiffs' First Amendment retaliation claim against McCormick, insofar as it is based on Abdulaziz's testimony and the "ruse" record review, satisfies elements (1) and (3) but not (2). The testimony was constitutionally protected because Abdulaziz testified as a citizen on a matter of public concern.
To satisfy the adverse employment action requirement, plaintiffs must allege adverse action that would "deter a similarly situated individual of ordinary firmness from exercising his or her constitutional rights."
The "ruse" record review would not deter a similarly situated Medicaid provider from exercising his or her First Amendment rights. The amended complaint states that plaintiffs were required to follow certain regulations under their Provider Agreement.
Moreover, the second amended complaint does not explain how the record review adversely affected the plaintiffs. In the absence of such allegations, the most generous inference is that they received requests to produce documents and complied with the requests. Numerous district courts in this Circuit have held that "investigations and threats of disciplinary action are generally not, standing alone, sufficient to plead an adverse employment action" for purposes of a First Amendment retaliation claim, especially when the plaintiff suffers no "tangible adverse consequence resulting from the charges or investigation."
Plaintiffs' claim based on McCormick's actions in the fall of 2014, when he assigned Patrick to investigate a third-party complaint and subsequently referred the complaint to state law enforcement, also fails to allege an action sufficiently adverse to support a claim. No facts are alleged concerning the effect of these challenged actions on the plaintiffs. There is no allegation, for example, that plaintiffs were forced to defend themselves in any proceeding.
Even assuming plaintiffs' allegations could be construed to support a First Amendment retaliation claim, the individual defendants would be entitled to qualified immunity. Public officials "are entitled to qualified immunity under § 1983 unless (1) they violated a federal statutory or constitutional right, and (2) the unlawfulness of their conduct was `clearly established at the time.'"
Plaintiffs do not cite, and research has not disclosed, any case holding that initiating a record review, audit, or other investigation can constitute an adverse action for purposes of a First Amendment retaliation claim. Rather, as just discussed, case law suggests that this type of action is insufficient to support a claim.
Plaintiffs claim that the defendants have violated their rights to substantive and procedural due process. To state a procedural due process claim, plaintiffs must allege facts showing that they have been deprived of a liberty or property interest protected by the Constitution and that the deprivation occurred without due process.
Plaintiffs claim that McCormick's referral of a complaint to HHS and state law enforcement violated both procedural and substantive due process. But they have not explained how this referral — which resulted in no charges — deprived them of a constitutionally protected liberty or property interest.
Plaintiffs claim that other actions by the defendants violated due process but they do not provide factual allegations required to support a due process claim. They allege in vague and conclusory terms that they were "arbitrarily and unilaterally forced" to sign non-standard provider agreements and denied information and guidance about the agreements. These allegations are insufficient to support a claim.
Plaintiffs seek to hold Director Bremby and Deputy Director Brennan liable for the other defendants' alleged constitutional violations. To hold a supervisor liable for a subordinate's actions, a plaintiff must allege facts showing that the supervisor was personally involved in violating the plaintiffs' constitutional rights.
Plaintiffs state law claims are also insufficiently supported to withstand the motion to dismiss.
Plaintiffs allege that DSS breached its contract with them by "arbitrarily and unilaterally" changing the terms of the contract. DSS argues that, as a state agency, it is immune from suit under the Eleventh Amendment. Plaintiffs have not contested DSS's sovereign immunity defense, and I agree that the Eleventh Amendment bars this claim.
Plaintiffs also bring IIED and NIED claims. An IIED claim requires a showing of conduct that is "so extreme and outrageous that it goes beyond all possible bounds of decency, is regarded as atrocious, is utterly intolerable in a civilized society, and is of a nature that is especially calculated to cause, and does cause, mental distress of a very serious kind." Miner v. Town of Cheshire, 126 F.Supp.2d 184, 194 (D. Conn. 2000). As discussed above in the context of substantive due process, plaintiffs have not made such a showing with respect to any of defendants' actions.
To maintain an NIED claim, "a plaintiff has the burden of pleading that the `defendant should have realized that its conduct involved an unreasonable risk of causing emotional distress and that that distress, if it was caused, might result in illness or bodily harm.'" Id. at 197 (quoting Montinieri v. Southern New England Telephone Co., 175 Conn. 337, 398 A.2d 1180 (1978). In the employment context, "even an employer's wrongful employment actions are not enough to sustain a claim for negligent infliction of emotional distress."
Finally, plaintiffs claim all the defendants are liable for IWBR and IWCR. To establish these claims, plaintiffs must allege "(1) the existence of a contractual or business relationship; (2) the defendant's knowledge of that relationship; (3) the defendant's intent to interfere with the relationship; (4) that the interference was tortious; and (5) a loss suffered by the plaintiff that was caused by the defendant's tortious conduct."
Accordingly, defendants' motion to dismiss is granted. If plaintiffs have a good faith basis for believing that they can allege facts to cure deficiencies discussed in this ruling, they may file a motion seeking leave to file a third amended complaint and attach the proposed third amended complaint. To be timely, any such motion must be filed within 21 days. If no such motion is filed, the Clerk will enter judgment dismissing the action.
So ordered.