Daniel Hux v. Southern Methodist University , 819 F.3d 776 ( 2016 )


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  •     Case: 15-10654    Document: 00513477596    Page: 1   Date Filed: 04/22/2016
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT
    United States Court of Appeals
    Fifth Circuit
    No. 15-10654                            FILED
    April 22, 2016
    Lyle W. Cayce
    Clerk
    DANIEL HUX,
    Plaintiff–Appellant,
    versus
    SOUTHERN METHODIST UNIVERSITY,
    a Texas Not-for-Profit Corporation;
    RICHARD A. SHAFER, SMU Police Chief; LISA WEBB; STEVE LOGAN,
    Defendants-Appellees.
    Appeal from the United States District Court
    for the Northern District of Texas
    Before DAVIS, SMITH, and HIGGINSON, Circuit Judges.
    JERRY E. SMITH, Circuit Judge:
    Daniel Hux, a former student at Southern Methodist University
    (“SMU”), appeals the Federal Rule of Civil Procedure 12(b)(6) dismissal of his
    Texas tort claim for alleged breach of the duty of good faith and fair dealing.
    Because Texas law does not impose a duty of good faith and fair dealing in the
    student-university relationship, we affirm.
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    No. 15-10654
    I.
    Hux was an undergraduate student and community advisor (“CA”) 1 at
    SMU during the 2010–2011 academic year. 2 His troubles began in 2011, when
    he had a series of encounters with SMU staff members and an SMU student
    that eventually resulted in his dismissal as a CA.
    In January 2011, Stephanie Howeth (a full-time SMU staff member who
    lived on campus and supervised some of the CAs) requested that Hux meet
    with her in person to discuss “student/staff relationships” and “clear up some
    boundaries.” During their meeting, Howeth explained that three interactions
    with Hux had left her with the impression that he was making romantic over-
    tures to her that had made her feel uncomfortable. Hux replied that Howeth
    had misinterpreted his actions. “Being careful not to hurt her feelings,” Hux
    “carefully explained to Howeth that he had no interest in her whatsoever.”
    Hux apologized and thought the matter resolved. Howeth, though, had already
    informed her supervisors of the conduct and the planned meeting.
    The next day, Dorothea Mack (Howeth’s supervisor) requested that Hux
    meet with her. At this meeting, Mack indicated that she was not recommend-
    ing Hux for reappointment to his CA position the next year, because “Howeth
    was uncomfortable with Hux and . . . he was in denial about his very troubling
    [] remarks to Howeth.” Hux had several additional meetings, regarding his
    conduct, with Mack and Mack’s supervisor, Adrienne Patmythes, the Assistant
    Director for Training and Development in the SMU housing department, in
    January and into February 2011. The meetings sometimes became heated. In
    1“Community advisor” appears to be SMU’s local name for a resident advisor—a
    student hired to supervise a dormitory.
    2 Reviewing this Rule 12(b)(6) dismissal, we assume Hux’s factual allegations are true.
    Our recitation of the facts is drawn from Hux’s complaint and the district court’s construction
    of the factual allegations in the complaint and the documents incorporated by reference.
    2
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    addition to those tangles with the administration, Hux had a run-in with
    another student—a fellow CA—“about a trash problem[.]” Administrators
    accused Hux of speaking aggressively and inappropriately in the course of a
    phone conversation with his colleague regarding the situation.
    Things came to a head on February 10. Mack fired Hux from his CA
    position, effectively immediately; Mack cited Hux’s “inappropriate behavior
    and comments” and referred to the incidents with Howeth and the trash inci-
    dent with the other CA. Hux appealed his termination to Steve Logan, SMU’s
    Executive Director of Resident Life and Student Housing. Before his hearing
    on the appeal, Hux met with Betty McHone, an Assistant Chaplain at SMU, to
    go over the events that led to his termination. On February 18, Hux met in
    person with Logan to discuss his appeal; also present were three SMU police
    officers, including Chief Richard Shafer. The attendees discussed Hux’s behav-
    ior and SMU’s concerns. Shafer told Hux that he needed to visit with a doctor
    to prove that he was not crazy. At the end of the meeting, Shafer escorted Hux
    to SMU’s mental health facility for an evaluation; Hux left, however, without
    being evaluated.
    Logan denied Hux’s appeal by a letter dated February 21 that indicated
    that Hux had made certain staff members fear for their safety. Though Hux
    was allowed to remain enrolled as a student, he was prohibited from contacting
    those involved in the incidents and was told to stay away from certain dormi-
    tories. In the course of the next week, Hux met with Dean of Student Life Lisa
    Webb and Assistance Vice President of Student Affairs Troy Behrens; both
    discussed Hux’s behavior and asked what they could do to help. Hux also met
    with unidentified persons from the Chaplain’s office during the next month.
    On March 20, Hux attended a meeting for students interested in student
    government positions. That meeting was held in a dormitory that Hux, under
    3
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    the terms of the letter from Steve Logan terminating his CA employment, was
    under orders to avoid. After the meeting, several SMU police officers ap-
    proached Hux, told him there was a protective order prohibiting him from
    being at the building, and searched Hux’s person. One of Hux’s relatives was
    waiting in a car to pick him up; officers also searched the car and found a
    handgun. The officers handcuffed Hux and put him into a police car. Twenty-
    five minutes later, they removed the handcuffs, returned the gun, and in-
    structed Hux not to bring the gun to school or have it in his car. Hux left
    campus.
    The next day, two officers met Hux outside one of his classes and drove
    him to the SMU police department. There, Shafer and Webb told him that he
    was being placed on a mandatory administrative withdrawal from the univer-
    sity, citing his “continued inappropriate behavior and attempts to intimidate
    and threaten [housing department staff] members.” Hux was given a letter
    memorializing the conversation. After Hux was forced to withdraw from the
    university, Shafer stated in an interview that Hux was no longer a student and
    indicated that Hux had violated university policy. Further, SMU administra-
    tors circulated a picture of Hux coupled with a notice that community members
    should be on the lookout for him.
    II.
    Hux sued, alleging about nineteen causes of action. The district court
    granted the defendants’ Rule 12(b)(6) motion to dismiss on most of the claims
    and granted summary judgment for defendants on the rest of the claims after
    discovery.   The only claim in issue on this appeal—the notion that SMU
    breached a duty of good faith and fair dealing—was among those dismissed
    before discovery for failure to state a claim. Analyzing Texas law, the court
    explained that Hux had not alleged facts that, taken as true, would give rise
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    to the type of special relationship that creates a duty of good faith and fair
    dealing under Texas law. We agree and therefore affirm.
    III.
    We review a Rule 12(b)(6) dismissal de novo, “accepting all well-pleaded
    facts as true and viewing these facts in the light most favorable to the plain-
    tiff.” 3 Under Texas law, the question whether there is a tort duty of good faith
    and fair dealing in a particular circumstance is initially a question of law. 4 The
    court first must decide whether the plaintiff has alleged facts that, if taken as
    true, would show that a special relationship even existed. Only when such a
    relationship could in principle exist on the facts alleged does proof of the special
    relationship become a question of fact.
    IV.
    In applying Texas law, we look first to the decisions of the Texas
    Supreme Court. See Howe ex rel. Howe v. Scottsdale Ins. Co., 
    204 F.3d 624
    ,
    627 (5th Cir. 2000). If that court has not ruled on the issue, we make an Erie 5
    guess, predicting what it would do if faced with the facts before us. 
    Id. Typi- cally,
    we treat state intermediate courts’ decisions as the strongest indicator of
    what a state supreme court would do, absent a compelling reason to believe
    that the state supreme court would reject the lower courts’ reasoning. 
    Id. Texas law
    does not impose a generalized contractual duty of good faith
    and fair dealing and, in fact, rejects it in almost all circumstances. See English
    3Toy v. Holder, 
    714 F.3d 881
    , 883 (5th Cir. 2013) (quoting Bustos v. Martini Club Inc.,
    
    599 F.3d 458
    , 461 (5th Cir. 2010)) (internal quotation marks omitted).
    4See Crim Truck & Tractor Co. v. Navistar Int’l Transp. Corp., 
    823 S.W.2d 591
    , 594
    (Tex. 1992), superseded by statute on other grounds as noted in Subaru of Am., Inc. v. David
    McDavid Nissan, Inc., 
    84 S.W.3d 212
    , 225–26 (Tex. 2002); Cole v. Hall, 
    864 S.W.2d 563
    , 568
    (Tex. App.—Dallas 1993, writ dism’d w.o.j.).
    5   Erie R.R. Co. v. Tompkins, 
    304 U.S. 64
    (1938).
    5
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    v. Fischer, 
    660 S.W.2d 521
    , 522 (Tex. 1983). But in an extremely narrow class
    of cases, the Texas courts have determined that a special relationship may give
    rise to a tort duty of good faith and fair dealing. See Arnold v. Nat’l Cty. Mut.
    Fire Ins. Co., 
    725 S.W.2d 165
    , 167 (Tex. 1987).
    A duty of good faith and fair dealing may arise in two contexts. The first,
    not pertinent here, is when the parties are in a formal fiduciary relationship
    (e.g., principal-agent, attorney-client, or trustee-beneficiary); in such situa-
    tions, the ordinary bundle of duties incumbent on a fiduciary includes a duty
    of good faith and fair dealing. See Crim 
    Truck, 823 S.W.2d at 593
    –94 (Tex.
    1992). The second context, relevant here, is when the parties are not formal
    fiduciaries but are nonetheless in a special or confidential relationship. 
    Id. If they
    are, Texas law imposes a duty of good faith and fair dealing (but not the
    whole bundle of associated fiduciary duties). 
    Id. at 594.
    Texas courts usually describe this special relationship in broad terms.
    The duty arises in “discrete, special relationships, earmarked by specific char-
    acteristics including: long standing relations, an imbalance of bargaining
    power, and significant trust and confidence shared by the parties.” Caton v.
    Leach Corp., 
    896 F.2d 939
    , 948 (5th Cir. 1990). The relationship must exist
    before and apart from the contract or agreement that forms the basis of the
    controversy. Transp. Ins. Co. v. Faircloth, 
    898 S.W.2d 269
    , 280 (Tex. 1995). A
    party’s unilateral, subjective sense of trust and confidence in the opposing
    party is not sufficient to give rise to a special relationship and the attendant
    duty. Schlumberger Tech. Corp. v. Swanson, 
    959 S.W.2d 171
    , 177 (Tex. 1997).
    Because the Texas Supreme Court has not specifically addressed the special-
    relationship doctrine in the student-university context, we turn to the deci-
    sions of the intermediate courts.
    The Texas Courts of Appeals have restricted the special-relationship
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    doctrine to narrow and carefully circumscribed situations. Indeed, those courts
    recognize only one special relationship—that between an insurer and an
    insured. 6 Texas courts have refused to impose a tort duty of good faith and fair
    dealing on any of the following relationships: employer-employee, 7 lender-
    borrower, 8       medical    provider-patient, 9      mortgagor-mortgagee, 10       supplier-
    distributor, 11      franchisor-franchisee, 12      creditor-guarantor, 13     issuer     and
    beneficiary of a letter of credit, 14 or insurance company-third-party claimant. 15
    An ordinary student-professor relationship is no different. The only
    Texas court that appears to have considered the question found that there was
    no special relationship there. See Ho v. Univ. of Tex. at Arlington, 
    984 S.W.2d 672
    , 693 (Tex. App.—Amarillo 1998, pet. denied). Hux does not cite a single
    6 See GTE Mobilnet of S. Texas Ltd. P’ship v. Telecell Cellular, Inc., 
    955 S.W.2d 286
    ,
    295 (Tex. App.—Houston [1st Dist.] 1997, writ denied) (“Although often urged to do so, the
    supreme court has hesitated to extend the duty of good faith and fair dealing to other contexts
    beyond the special relationship between an insurance company and its insured.” (quoting
    Wheeler v. Yettie Kersting Mem’l Hosp., 
    866 S.W.2d 32
    , 52 (Tex. App.—Houston [1st Dist.]
    1993, no writ)); Georgetown Associates, Ltd. v. Home Fed. Sav. & Loan Ass’n, 
    795 S.W.2d 252
    ,
    255 (Tex. App.—Houston [14th Dist.] 1990, writ dism’d w.o.j.) (“It is far from clear that the
    so-called duty of good faith even exists. The supreme court has expressly disavowed the duty
    as a general matter, with an exception for a ‘special relationship’ between insurers and their
    insureds.”). The Texas courts recognized a second special relationship—in the tightly analo-
    gous case of a compensation carrier and a workers’ compensation claimant—from 1988 until
    2012, when the Texas Supreme Court reversed course. See Tex. Mut. Ins. Co. v. Ruttiger, 
    381 S.W.3d 430
    , 447–49 (Tex. 2012) (overruling Aranda v. Ins. Co. of N. Am., 
    748 S.W.2d 210
    (Tex. 1988)).
    7   See 
    Wheeler, 866 S.W.2d at 52
    (collecting cases).
    8   
    Id. 9 Id.
           10   
    Id. 11 Id.
           12   
    Id. 13 GTE
    Mobilnet, 955 S.W.2d at 295
    .
    14   
    Id. 15 Id.
                                                    7
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    case in which a Texas court has extended the special-relationship doctrine to
    any relationship save for that of an insured party and its insurer, and we are
    not otherwise aware of any such decision. 16
    V.
    Hux points to three core allegations that, taken as true, would, in his
    view, show the existence of a special relationship. First, he notes that SMU
    officials encouraged him to obtain mental-health services and that Shafer
    16One Texas Supreme Court justice’s separate concurring opinion claimed that that
    court has imposed a duty of good faith and fair dealing in a number of special relationships
    outside of the insurance context. See English v. Fischer, 
    660 S.W.2d 521
    , 524 (Tex. 1983)
    (Spears, J., concurring). That concurrence, however, does not correctly state current Texas
    law or even Texas law in the past.
    It is not accurate to say that the relationships that the opinion points to—partnership,
    agency, joint venture, and certain oil and gas relationships—are examples of informal special
    relationships giving rise to a quasi-fiduciary duty of good faith and fair dealing enforceable
    in tort. Partners, joint venturers, and agents are all just ordinary formal fiduciaries. See
    Fitz-Gerald v. Hull, 
    237 S.W.2d 256
    , 264–65 (Tex. 1951) (stating that partners and joint ven-
    turers are fiduciaries); Davis-Lynch, Inc. v. Asgard Techs., LLC, 
    472 S.W.3d 50
    , 60 (Tex.
    App.—Houston [14th Dist.] 2015, no pet.) (stating that agents are fiduciaries).
    This is not, therefore, evidence of a non-insurance special relationship. And, although
    the holder of executive rights in a mineral property owes a duty of good faith and fair dealing
    to holders of non-executive royalty interests in the estate, that duty is not grounded in the
    special-relationship doctrine. The duty long predates the modern special-relationship doc-
    trine (which is focused on insurance relationships). See Manges v. Guerra, 
    673 S.W.2d 180
    ,
    183 (Tex. 1984) (noting that the executive rights-holder’s duty stems from Schlittler v. Smith,
    
    101 S.W.2d 543
    , 545 (Tex. 1937)). Some cases refer to the holder of executive rights as a
    formal fiduciary. E.g., Luecke v. Wallace, 
    951 S.W.2d 267
    , 274 (Tex. App.—Austin 1997, no
    pet.). Others cite Justice Spears’s concurrence and describe the duty in terms of the special-
    relationship doctrine. E.g., 
    Manges, 673 S.W.2d at 183
    –84.
    Recently, however, the Texas Supreme Court acknowledged the lack of clarity gener-
    ated by the Manges decision’s reliance on special-relationship-doctrine concepts and set
    things on a clearer footing; the court concluded that an executive rights-holder owes an inter-
    mediate sort of duty that extends beyond ordinary good faith and fair dealing but does not
    encompass the full bundle of duties incumbent on a formal fiduciary. See KCM Fin. LLC v.
    Bradshaw, 
    457 S.W.3d 70
    , 79–82 (Tex. 2015). The upshot is that the duty of good faith and
    fair dealing in the oil-and-gas context is sui generis and has no bearing on the special-
    relationship doctrine as elaborated in this opinion. Thus, Justice Spears’ concurring opinion
    in English does not establish that the special-relationship doctrine has been used to impose
    a duty of good faith and fair dealing on any non-insurance relationship.
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    escorted him to SMU’s mental-health facility. Second, Hux notes that he met
    with various individuals in the chaplain’s office “on more than one occasion,”
    where he “confided in numerous SMU personnel.” Third, Hux points to his
    meetings with Behrens and Webb, in which both administrators expressed a
    desire to help him and evinced concern about his well-being. In sum, says Hux,
    those facts demonstrate that SMU personnel encouraged him to confide in
    them, to seek their guidance and direction, and to trust and rely on them.
    Hux’s appeal fails for at least two independent reasons. First, given the
    Texas courts’ decades-long refusal to extend the special-relationship doctrine
    beyond the insurance context, we are confident that the Texas Supreme Court
    would hold that there is no duty of good faith and fair dealing in the student-
    university relationship. No Texas court has ever extended the doctrine to that
    relationship. And indeed, the closest case holds that there is nothing ‘special’
    in an ordinary student-professor relationship in which a professor teaches,
    supervises, advises, and evaluates a student. See 
    Ho, 984 S.W.2d at 693
    . We
    see no material distinction here.
    Hux’s allegations show nothing more than an ordinary student-
    administrator relationship. Encouraging students to take advantage of uni-
    versity mental-health resources, counseling students, and offering help to stu-
    dents struggling through disciplinary problems are all workaday aspects of a
    college administrator’s job. Allowing Hux’s claim to go forward on the ground
    that Texas’s highest civil court has not rejected his specific claim would run
    afoul of our longstanding rule against front-running the state courts by adopt-
    ing innovative theories of state law. See Rubinstein v. Collins, 
    20 F.3d 160
    ,
    172 (5th Cir. 1994).
    Second, even assuming arguendo that the student-university relation-
    ship could possibly give rise to a duty of good faith and fair dealing, Hux’s
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    allegations are not sufficient to show that such a relationship existed. None of
    his theories demonstrate that his purported special relationship with SMU
    administrators existed before and independently of the immediate circum-
    stances of the course of events that led to his dismissal as a CA. The only facts
    he points to occurred after the events giving rise to this suit were set in motion.
    But a court may impose a duty of good faith and fair dealing only when the
    special relationship predates and exists separately from the dispute at hand.
    
    Faircloth, 898 S.W.2d at 280
    .
    Also, Hux’s claims demonstrate at most the sort of unilateral, purely sub-
    jective sense of trust that Texas courts have determined is insufficient to con-
    vert an ordinary arm’s-length relationship into a special or confidential rela-
    tionship. See 
    Swanson, 959 S.W.2d at 177
    . The mere fact that one party to a
    transaction trusts the other or believes that the other has his interests at heart
    does not create a special relationship. Crim 
    Truck, 823 S.W.2d at 595
    . Hux’s
    allegations, even if true, show nothing more than his own unilateral trust and
    belief in the administrators’ beneficence.
    The judgment of dismissal is AFFIRMED.
    10