Supreme Court Affirms Important Principle Regarding What Truly Constitutes a “Genuine” and Therefore “Material” Question of Fact Sufficient to Survive a Summary Motion for Judgment

In Fuhr v. Trinity Health Corp.et al., Supreme Court No. 147158, the Michigan Supreme Court peremptorily reversed the Court of Appeals decision to affirm denial of summary judgment to the defendants (hospital) in a Whistleblower’s Protection Act (WPA) lawsuit filed by a former employee.  The plaintiff alleged he was terminated because of a call he placed in mid-April 2010 to the office of the U.S. Attorney lodging a complaint about potential theft and/or overbilling by a vendor with respect to inventory in the hospital’s surgery department.

Plaintiff testified at his deposition to a conversation he had during his termination in which he was told he was being terminated because of the call he placed to the U.S. attorney’s office.  This formed the basis of plaintiff’s cause of action under the WPA.  However, the record established plaintiff was made aware of his eventual termination before the call he placed, and, moreover, that the reason for plaintiff’s firing had to do with performance issues and complaints about perceived favoritism.  Thus, the plaintiff’s deposition, which was based on the hearsay statement of the employer’s representative was self-serving, and, in any event occurred well after he was terminated.  E-mail correspondence from plaintiff to his employer upon his termination also demonstrated plaintiff had inquired about the reason for his termination, and it made no mention of the call to the U.S. attorney.

The trial court denied the employer’s motion for summary disposition, finding the plaintiff’s deposition testimony (which was unsupported by any other record evidence) was sufficient to withstand summary judgment and bring the case to a jury.

The Court of Appeals affirmed in a 2-1 decision:  Fuhr v. Trinity Health.COA.Opn.  In dissent, Judge Talbot argued plaintiff’s self-serving affidavit was blatantly contradicted by the record to an extent that no reasonable juror could believe it.  Therefore, Judge Talbot urged the denial of summary disposition was error.

Citing the U.S. Supreme Court’s decision in a Fourth Amendment case, Scott v. Harris, 550 U.S. 372 (2007), which lays out the standard of review and disposition for summary judgment motions under Federal Rule of Civil Procedure 56(c) in a 42 U.S.C. section 1983 excessive force lawsuit brought against the government, Judge Talbot noted the Supreme Court stated:  “When opposing parties tell two different stories, one of which is blatantly contradicted by the record, so that no reasonable jury could believe it, a court should not adopt that version of the facts for purposes of ruling on a motion for summary disposition.”  Judge Talbot continued:  Under those circumstances, a “genuine” issue of material fact simply does not exist.  Slip Op. at 1, Judge Talbot, dissenting.

Judge Talbot goes over the facts of the case and demonstrates that plaintiff never averred he was terminated after he contacted the U.S. attorney’s office until his deposition, at which he recounted the conversation he had with the employer, which was based on hearsay statements of the employer’s representative.  Moreover, plaintiff had e-mailed his employer after his termination stating he had not been given a reason for his termination.

The Supreme Court, by peremptory order with no dissent, reverses the Court of Appeals opinion and adopts Judge Talbot’s dissent. Fuhr v. Trinity Health Corporation et al.SC.Order

 This order is binding precedent for future cases.  More importantly, however, it establishes an important affirmation of the standard of review and the means by which opposing affidavits, deposition testimony, and other “evidence” is to be measured against a record that points to a factual bases for the underlying events in a lawsuit other than those alleged in the plaintiff’s complaint.  

It is noteworthy, as well, that Judge Talbot cites Scott v. Harris, the Supreme Court’s seminal case addressing the summary judgment standard applicable in excessive force cases brought against law enforcement officers under 42 U.S.C. section 1983.  All that is required for summary judgment is a record that demonstrates law enforcement officers acted in an objectively reasonable manner.  This determination cannot be made from the perspective of hindsight, but rather with reference to the facts and  circumstances surrounding the officer at the time he or she made the decision to act as he or she did.  Thus, where a record establishes that the actions and conduct engaged in by law enforcement officers was “objectively reasonable under the circumstances” and at the time the officers chose to act, the officer is entitled to qualified immunity, even if in hindsight his or actions may not have been justified.  

Unfortunately, many federal courts (and Court of Appeals panels) deem the priority of believing all of a plaintiff’s “allegations” as fact overrules the important principle established by the Supreme Court in Scott and in many cases addressing the rule 56(c) standard for summary judgment prior to Scott, such that these particular courts believe if a plaintiff contradicts by post-act affidavit or deposition the record facts as established by the testimony and other evidence, the case against the officer should go to the jury.

Fortunately, in Michigan, as established by the case I argued and won in the Supreme Court, Odom v. Wayne County, 482 Mich. 489 (2008), the good faith standard applicable to a law enforcement officer’s actions in the heat of the moment is judged from a “subjective” standard and that means self-serving affidavits and deposition testimony submitted to “change” the material facts are not, or should never be, sufficient to survive a motion for summary judgment on the basis of immunity under Michigan’s court rule MCR 2.116(C)(7) and (C)(10), the state parallel to Federal Rule of Civil Procedure 56(c).

Judge Talbot understands this principle well as he was on a panel of the Court of Appeals in another excessive force case in which the Court of Appeals reversed the trial court’s denial of summary disposition for a deputy sheriff I defended, who was accused of unnecessarily shooting the plaintiff during a long, violent struggle between the plaintiff and four deputies who were attempting to arrest him.  That case is Gentry v. Carmona, Unpublished Opinion of the Michigan Court of Appeals, dated October 11, 2011 (Docket No. 296580).  There, the Court of Appeals relied on the precedent established by the Odom decision I secured to hold the deputy was entitled to judgment as a matter of law.

Hopefully, the federal courts will one day understand this principle as well and apply it as easily as the Michigan Supreme Court does here.

Police Chief Absolutely Immune for Conducting Arrest Under Michigan Governmental Immunity Provisions

On June 20, 2013, the Michigan Supreme Court issued a 3-2 Opinion (Justices McCormack and Viviano not participating) holding that “absolute immunity” for executive level government officials applied as well to the performance by these officials of the duties and powers that subordinate governmental employees have in the same governmental department.  This is a remarkable holding that provides some context and extends further the scope and breadth of “absolute” executive immunity under MCL 691.1407(5) of the Governmental Tort Liability Act (GTLA).  Here the Chief of Police of Port Sanilac conducted an ordinary public arrest of an individual under somewhat controversial circumstances.  The individual who was arrested filed suit alleging counts in negligence and intentional tort (false arrest and assault and battery), and claiming the police chief was acting in both his individual and official capacity.

The legal issue concerned whether the “absolute immunity” to which executive level officials are entitled under the GTLA would shield the police chief as an “executive” exercising “executive authority” in a situation in which he acted in a capacity analogous to a “lower level” governmental employee.  In the latter circumstances, such employees are entitled to immunity from suit unless it is plead and proved that they acted with “gross negligence” under MCL 691.1407(2) and (7), or that they committed an “intentional tort” under MCL 691.1407(3).

After my successful defense of a deputy sheriff in the case of Odom v. Wayne County, 482 Mich. 459 (2008), this latter “immunity” came to be known as “good faith” immunity.  This case is discussed extensively in the instant case by both the majority and dissent.

Here, the slim majority holds that an executive level official is entitled to “absolute” immunity under MCL 691.1407(5) even if he or she is performing his executive authority in a manner that is similar to the performance of the duties of lower level employees within his or her governmental department.

Justice Cavanagh writes a very detailed and well-researched dissent.  Joined by Justice Markman, Justice Cavanagh explains the anomaly in providing “absolute” tort immunity to executive officials performing lower-level employee functions.  In cases in which such officials commit “gross negligence” or “intentional torts”, they are not subject to suit under MCL 691.1407(5)’s grant of “absolute immunity” according to the majority’s interpretation and holding.

This is an extremely critical case.  Much like my case, Odom, it provides a modern (perhaps overreaching) interpretation of the meaning of “absolute” immunity.  Now, rather than such immunity being extended to the executive, judicial or legislative official acting and performing his “official” executive duties only, the immunity now extends to his or her acts and conduct that would ordinarily be subject to the “gross negligence” and “intentional tort” exceptions to immunity explored in Odom as applied to lower-level governmental employees.

Given the split nature of the opinion, the rare joinder in dissent between Justices Cavanagh and Markman, and that Justices McCormack and Viviano sat out, it is difficult to suggest this case, although precedent for the time being, will survive as a lasting interpretation of MCL 691.1407(5)’s grant of “absolute immunity”.

Perhaps this is an instance in which the Legislature should step in to clarify the true breadth and extent of “absolute” immunity for the highest-level officials serving the three branches of government.  It would seem unwise to extend “absolute” immunity to these officials when performing the actions of lower-level employees, when the latter would be subject to suit if they acted with “gross negligence” or committed an intentional tort in the asserted performance of the very same functions and duties.

Read the opinion here:  Petipren v Jaskowski.Opinion.06.20.2013

Michigan Supreme Court Issues 3-2 Decision on Meaning of “Absolute Immunity” for Executive Level Government Officials Under MCL 691.1407(5)

On June 20, 2013, the Michigan Supreme Court issued a 3-2 Opinion (Justices McCormack and Viviano not participating) holding that “absolute immunity” for executive level government officials applied as well to the performance by these officials of the duties and powers that subordinate governmental employees have in the same governmental department.  This is a remarkable holding that provides some context and extends further the scope and breadth of “absolute” executive immunity under MCL 691.1407(5) of the Governmental Tort Liability Act (GTLA).  Here the Chief of Police of Port Sanilac conducted an ordinary public arrest of an individual under somewhat controversial circumstances.  The individual who was arrested filed suit alleging counts in negligence and intentional tort (false arrest and assault and battery), and claiming the police chief was acting in both his individual and official capacity.

The legal issue concerned whether the “absolute immunity” to which executive level officials are entitled under the GTLA would shield the police chief as an “executive” exercising “executive authority” in a situation in which he acted in a capacity analogous to a “lower level” governmental employee.  In the latter circumstances, such employees are entitled to immunity from suit unless it is plead and proved that they acted with “gross negligence” under MCL 691.1407(2) and (7), or that they committed an “intentional tort” under MCL 691.1407(3).

After my successful defense of a deputy sheriff in the case of Odom v. Wayne County, 482 Mich. 459 (2008), this latter “immunity” came to be known as “good faith” immunity.  This case is discussed extensively in the instant case by both the majority and dissent.

Here, the slim majority holds that an executive level official is entitled to “absolute” immunity under MCL 691.1407(5) even if he or she is performing his executive authority in a manner that is similar to the performance of the duties of lower level employees within his or her governmental department.

Justice Cavanagh writes a very detailed and well-researched dissent.  Joined by Justice Markman, Justice Cavanagh explains the anomaly in providing “absolute” tort immunity to executive officials performing lower-level employee functions.  In cases in which such officials commit “gross negligence” or “intentional torts”, they are not subject to suit under MCL 691.1407(5)’s grant of “absolute immunity” according to the majority’s interpretation and holding.

This is an extremely critical case.  Much like my case, Odom, it provides a modern (perhaps overreaching) interpretation of the meaning of “absolute” immunity.  Now, rather than such immunity being extended to the executive, judicial or legislative official acting and performing his “official” executive duties only, the immunity now extends to his or her acts and conduct that would ordinarily be subject to the “gross negligence” and “intentional tort” exceptions to immunity explored in Odom as applied to lower-level governmental employees.

Given the split nature of the opinion, the rare joinder in dissent between Justices Cavanagh and Markman, and that Justices McCormack and Viviano sat out, it is difficult to suggest this case, although precedent for the time being, will survive as a lasting interpretation of MCL 691.1407(5)’s grant of “absolute immunity”.

Perhaps this is an instance in which the Legislature should step in to clarify the true breadth and extent of “absolute” immunity for the highest-level officials serving the three branches of government.  It would seem unwise to extend “absolute” immunity to these officials when performing the actions of lower-level employees, when the latter would be subject to suit if they acted with “gross negligence” or committed an intentional tort in the asserted performance of the very same functions and duties.

Read the opinion here:  Petipren v Jaskowski.Opinion.06.20.2013