Emily Hoffman v. Office of the State Attorney, Fourth Judicial Circuit ( 2019 )


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  •               Case: 18-11831     Date Filed: 12/02/2019    Page: 1 of 23
    [DO NOT PUBLISH]
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE ELEVENTH CIRCUIT
    ________________________
    No. 18-11831
    Non-Argument Calendar
    ________________________
    D.C. Docket No. 3:16-cv-01091-BJD-MCR
    EMILY HOFFMAN,
    SCOTT VADEN,
    Plaintiffs - Appellants,
    versus
    OFFICE OF THE STATE ATTORNEY, FOURTH JUDICIAL CIRCUIT, et al.,
    Defendants,
    STEPHEN GRISSETT,
    in his official capacity Asst. State Attorney for the Fourth Judicial Circuit,
    JAMES COLAW,
    in his official capacity Asst. State Attorney for the Fourth Judicial Circuit,
    STEVE NELSON,
    in his official capacity Asst. State Attorney for the Fourth Judicial Circuit,
    RACHEL DEMERS,
    in her official capacity Asst. State Attorney for the Fourth Judicial Circuit,
    MELISSA NELSON,
    in her official capacity as State Attorney,
    Defendants - Appellees.
    Case: 18-11831      Date Filed: 12/02/2019    Page: 2 of 23
    ________________________
    Appeal from the United States District Court
    for the Middle District of Florida
    ________________________
    (December 2, 2019)
    Before MARTIN, ROSENBAUM, and NEWSOM, Circuit Judges.
    PER CURIAM:
    Plaintiffs Emily Hoffman and Scott Vaden, represented by counsel on appeal,
    appeal the district court’s grant of a motion to dismiss their pro se civil-rights lawsuit
    filed under 
    42 U.S.C. § 1983
     and state law against several prosecutors in the State
    Attorney’s Office for the Fourth Judicial Circuit of Florida (“State Attorney’s
    Office”). The plaintiffs’ claims stem from their arrest and prosecution on charges
    arising out of a fraud investigation into the plaintiffs’ actions at a local company.
    On appeal, Hoffman and Vaden argue that the district court erred in finding that their
    claims were barred by prosecutorial immunity or were otherwise not viable. We
    affirm.
    I.
    The relevant facts, as alleged in the operative amended complaint (the
    “complaint”), are as follows. In early February 2012, the Clay County Sheriff’s
    Office began investigating a report by Mike Strobel, the owner of Air Technology
    Services, Inc. (“Air Tech”), that Hoffman, Air Tech’s operations manager, had been
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    stealing customers and embezzling money from the company. The investigation was
    transferred to the financial-crimes unit and assigned to Detective William Roberts.
    As part of the investigation, Roberts interviewed Hoffman on February 14,
    2012. During the interview, Hoffman explained that she and two other Air Tech
    employees, Plaintiff Vaden and non-party Sam Pollak, had been in discussion with
    Strobel to purchase Air Tech. They intended to operate Air Tech along with two
    related businesses they had started. But their relationship with Strobel soured,
    according to Hoffman, when she raised concerns about Strobel’s accounting
    practices. She ultimately reported these practices to the IRS. Hoffman denied
    stealing customers and suggested that Strobel was retaliating against her for
    reporting him to the IRS. At the end of the interview, the detective told her that “the
    matter was civil not criminal [and] that he would speak to the state attorney’s office,
    but that he was sure the case would be closed.”
    The day after Hoffman’s interview, Strobel contacted Stephen Grissett, who
    was a customer of Air Tech and an Assistant State Attorney (“ASA”) at the State
    Attorney’s Office. According to a letter Strobel sent Grissett, which was attached
    to the complaint, Air Tech had sold a geothermal air system to Grissett, but he still
    owed money on the contract. Strobel instructed Grissett not to pay Hoffman, Pollak,
    or their companies because Hoffman and Pollak were defrauding his customers and
    falsely representing that they had purchased Air Tech. After receiving this letter,
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    Grissett contacted Roberts and stated that he may have been defrauded by Hoffman.
    Grissett’s allegation “resulted in the case going from civil to criminal.”
    On February 17, 2012, Roberts contacted the plaintiffs’ bank and, without a
    subpoena or other legal process, had a freeze put on their accounts and requested
    their bank records. At some point thereafter, Roberts drafted a subpoena for those
    same records, even though he had already received them.
    Meanwhile, Grissett continued to speak with Strobel and Roberts about the
    investigation. Grissett at one point indicated to Roberts that he was “on the fence”
    about participating in the case as a victim. Roberts asked Strobel to talk to Grissett
    and get him back on board. Strobel then offered to forgive Grissett’s remaining debt
    of more than $10,000 if Grissett agreed to testify against the plaintiffs in any civil or
    criminal case against the plaintiffs. Grissett ultimately signed an affidavit against
    the plaintiffs in exchange for a receipt from Strobel indicating that the balance of his
    outstanding debt was paid in full.
    On May 4, 2012, Hoffman and Pollak were arrested and charged with schemes
    to defraud and grand theft. ASA James Colaw was assigned to prosecute the case
    for the State Attorney’s Office. At some point, ASA Rachel Demers took over the
    prosecution from Colaw, who was appointed as a judge.
    After Hoffman’s and Pollak’s arrests, Colaw communicated with Pollak’s
    counsel and persuaded Pollak to turn against Hoffman. Through counsel, Pollak told
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    Colaw that Hoffman was threatening him and telling him what to say in the case.
    Excited by the possibility of new charges, Colaw pressed Pollak’s attorney for more
    information from Pollak, who then implicated Vaden as well. Colaw sought and
    obtained an arrest warrant against the plaintiffs for witness tampering “without
    taking sworn testimony or having a sworn affidavit from the material witness.”
    During discovery, Hoffman requested the sworn affidavit from Pollak to
    support the tampering charges and, when advised that no such affidavit existed,
    moved to compel the affidavit. A hearing was set on the motion to compel. Colaw
    represented the state at the hearing, even though Demers had taken over the case by
    that time. The court denied the motion to compel.
    Just before the scheduled jury trial, Hoffman “entered a no contest best
    interest plea to a misdemeanor petit theft,” and the original charges were dropped.
    She received a “withhold of adjudication.” Vaden’s charge of witness tampering
    was reduced to the misdemeanor offense of harassing a witness without entry of any
    plea. He was sent to pretrial intervention and the charge was dismissed. As a result
    of the prosecution against them, the plaintiffs “lost their two businesses, their
    business reputation, their personal reputation, friends, their home, personal property,
    their jobs and health insurance, which in turn led to Hoffman being without
    insurance when she was later diagnosed with breast cancer.”
    II.
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    The plaintiffs’ pro se amended complaint raised a variety of federal and state
    claims against State Attorney Angela Corey and ASAs Colaw, Demers, Grissett, and
    Steve Nelson in their individual and official capacities. Under 
    42 U.S.C. § 1983
    , the
    plaintiffs alleged claims of malicious prosecution and seizure and concealment of
    evidence, unlawful search of bank records, municipal liability, and conspiracy to
    violate constitutional rights.1 Under state law, they alleged claims of malicious
    prosecution, conspiracy, and intentional and negligent infliction of emotional
    distress. While the case was pending, Melissa Nelson replaced Corey as State
    Attorney and was substituted as defendant for the official-capacity claims against
    Corey, though Corey continued as a defendant in her individual capacity.
    The plaintiffs complained of myriad and pervasive deficiencies in the
    prosecutions against them. According to the plaintiffs, (a) Colaw initiated the
    prosecutions against them without probable cause; (b) Corey and Colaw failed to
    recuse the State Attorney’s Office from the prosecution despite knowledge of
    Grissett’s role as a witness in the case; (c) the State Attorney’s Office failed to list
    Grissett as a “category A” witness during discovery and concealed his role in the
    case; (d) Colaw and Demers continued the prosecution despite evidence showing
    1
    The plaintiffs also brought a cause of action under 
    18 U.S.C. §§ 241
     and 242, but these
    statutes “are criminal in nature and provide no civil remedies.” Hanna v. Home Ins. Co., 
    281 F.2d 298
    , 303 (5th Cir. 1960); see Bonner v. City of Prichard, 
    661 F.2d 1206
    , 1209 (11th Cir. 1981) (en
    banc) (adopting as binding precedent all Fifth Circuit decisions prior to October 1, 1981).
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    that the plaintiffs were innocent; (e) Colaw and Demers withheld exculpatory
    evidence during discovery; (f) Grissett corruptly influenced the prosecution against
    them; (g) Colaw provided discovery from the criminal case to a former colleague
    who was representing Hoffman’s former husband in a custody case; (h) the State
    Attorney’s Office prepared a subpoena for the plaintiffs’ bank records to cover up
    the fact that those records had already been obtained without legal process; and
    (i) Corey and Steve Nelson “sanctioned and approved” all of this conduct.
    The defendants filed a motion to dismiss, which the district court granted in
    full. The plaintiffs now appeal, arguing that the court erred in reaching the following
    conclusions: (1) that Colaw was entitled to absolute prosecutorial immunity under
    § 1983; (2) that Grissett was not acting “under color of law,” and thus not subject to
    suit under § 1983; (3) that the plaintiffs failed to show a causal connection between
    supervisors Corey and Steve Nelson and the alleged constitutional injuries under
    § 1983; and (4) that the state-law claims of malicious prosecution and intentional
    infliction of emotional distress failed on the merits.2
    III.
    “Claims of absolute immunity present questions of law that we review de
    novo.” Mikko v. City of Atlanta, Ga., 
    857 F.3d 1136
    , 1142 (11th Cir. 2017).
    2
    We deem abandoned any other matters that were raised before the district court but not
    raised on appeal, and we do not discuss them further. See Sapuppo v. Allstate Floridian Ins. Co.,
    
    739 F.3d 678
    , 680 (11th Cir. 2014) (issues not raised on appeal are abandoned).
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    Likewise, we review de novo the grant of a motion to dismiss for failure to state a
    claim under Federal Rule of Civil Procedure 12(b)(6). Rivera v. Leal, 
    359 F.3d 1350
    ,
    1353 (11th Cir. 2004). When conducting this review, we accept the allegations in
    the complaint as true and construe them in the light most favorable to the plaintiff.
    Miljkovic v. Shafritz & Dinkin, P.A., 
    791 F.3d 1291
    , 1296–97 (11th Cir. 2015). To
    survive a motion to dismiss under Rule 12(b)(6), the “complaint must state a claim
    to relief that is plausible on its face, meaning it must contain factual content that
    allows the court to draw the reasonable inference that the defendant is liable for the
    misconduct alleged.” 
    Id.
     (quotation marks omitted).
    IV.
    We first consider whether Colaw is entitled to prosecutorial immunity. We
    apply a “functional approach” when evaluating claims of prosecutorial immunity,
    “look[ing] to the nature of the function performed,” not the identity of the actor.
    Rivera, 
    359 F.3d at 1353
     (quotation marks omitted). The defendant prosecutor bears
    the burden of showing that prosecutorial immunity is “justified for the function in
    question.” Mikko, 857 F.3d at 1142 (quotation marks omitted).
    “A prosecutor is entitled to absolute immunity for all actions he takes while
    performing his functions as an advocate for the government” in the judicial phase of
    the criminal process. Rivera, 
    359 F.3d at 1353
    . The prosecutorial function includes
    the initiation and pursuit of a criminal prosecution, the presentation of the state’s
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    case, and other actions that are “intimately associated with the judicial phase of the
    criminal process,” such as court appearances. Mikko, 857 F.3d at 1142; see Hart v.
    Hodges, 
    587 F.3d 1288
    , 1295 (11th Cir. 2009) (“Prosecutors are immune for
    appearances before a court and conduct in the courtroom . . . .”). Prosecutorial
    immunity extends to “filing an information without investigation, filing charges
    without jurisdiction, filing a baseless detainer, offering perjured testimony,
    suppressing exculpatory evidence, . . . [and] threatening . . . further criminal
    prosecutions.” Hart, 
    587 F.3d at 1295
     (quotation marks omitted). In short, “[a]
    prosecutor is immune for malicious prosecution.” 
    Id.
    Prosecutorial immunity, however, does not apply “when a prosecutor is not
    acting as an officer of the court but is instead engaged in certain investigative or
    administrative tasks.” 
    Id. at 1296
    . Prosecutors are not absolutely immune for
    “conducting investigative work before an arrest, making statements to the press, and
    providing legal advice to police regarding pre-indictment investigation techniques.”
    
    Id.
     (citations omitted); see Rivera, 
    359 F.3d at 1353
     (a prosecutor functions as an
    investigator when she “search[es] for the clues and corroboration that might give
    h[er] probable cause to recommend that a suspect be arrested”). Also, absolute
    immunity does not apply if the prosecutor is “a complaining witness.” Rivera, 
    359 F.3d at 1353
    . A prosecutor functions as a complaining witness when she “personally
    swears to the truth of information [s]he shares with the court.” 
    Id. at 1354
    .
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    The plaintiffs argue that Colaw is not entitled to prosecutorial immunity
    because he functioned in an investigative or administrative capacity or as a
    complaining witness. We disagree.
    Here, Colaw is entitled to absolute prosecutorial immunity. To begin with,
    under our binding caselaw, Colaw cannot be held liable for initiating and continuing
    prosecutions against the plaintiffs, even assuming he lacked probable cause at the
    outset and pursued the prosecutions after receiving overwhelming exculpatory
    information. See Hart, 
    587 F.3d at 1295
    . Our caselaw also requires us to conclude
    Colaw is likewise immune from liability for withholding exculpatory information
    during discovery, as well as for appearing before the court at a hearing on Hoffman’s
    motion to compel. See 
    id.
     While the plaintiffs assert that Colaw appeared for the
    hearing after his appointment as a judge, there is no indication that, despite the
    appointment, Colaw was not authorized to appear on behalf of the state at that time.
    As to Colaw’s alleged failure to recuse due to Grissett’s involvement, the decision
    whether to recuse from a prosecution is an action intimately associated with the
    judicial phase of the criminal process, little different conceptually than a decision to
    initiate or pursue a prosecution. See 
    id.
    Nor can we conclude that the complaint’s allegations support the plaintiffs’
    contention that Colaw acted as an investigator or a complaining witness. The fact
    that Colaw relied on information obtained during the investigation, such as the
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    plaintiffs’ bank records, or even that he was aware of others’ investigatory conduct,
    is not the same thing as if Colaw personally engaged in investigatory conduct. 3 Nor
    did Colaw act as an investigator when he solicited information from Hoffman’s
    codefendant, Pollak, and then used that information to bring charges against the
    plaintiffs. Prosecutorial immunity extends to “actions preliminary to the initiation
    of a prosecution and actions apart from the courtroom.” Buckley v. Fitzsimmons,
    
    509 U.S. 259
    , 272 (1993) (quotation marks omitted).                     And negotiating with
    cooperating codefendants, and then bringing additional charges in light of new
    information, is conduct “fairly within [the prosecutor’s] functions as an advocate.”
    
    Id. at 273
     (quotation marks omitted); see Mullinax v. McElhenney, 
    817 F.2d 711
    ,
    715 (11th Cir. 1987) (holding that the prosecutorial function includes “[o]ffering a
    witness immunity in exchange for his testimony”).
    Finally, while the plaintiffs’ brief states that Colaw “signed under oath” the
    informations charging the plaintiffs, no such allegations appeared in their complaint.
    Specifically, there are no allegations that Colaw personally swore to the truth of
    matters in the informations. Accordingly, the allegations in the complaint fail to
    3
    In their brief on appeal, the plaintiffs suggest that Colaw was personally involved in
    conducting an “illegal clandestine recording of a phone call” between Grissett and Pollak, but it
    appears from their allegations that this phone call occurred before Hoffman’s arrest and, therefore,
    before Colaw was involved in the case. No specific factual allegations in the complaint identify
    Colaw as involved in whatever recording may have been produced.
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    show that Colaw acted as a complaining witness by “personally swear[ing] to the
    truth of information he share[d] with the court.” Rivera, 
    359 F.3d at 1354
    .
    For all of these reasons, we agree with the district court that our prior
    precedent requires the conclusion that Colaw is entitled to absolute prosecutorial
    immunity against the plaintiffs’ § 1983 claims. 4
    V.
    The plaintiffs next dispute the district court’s conclusion that Grissett was not
    subject to suit under § 1983 because he was not acting under color of state law in the
    circumstances of this case.
    Not all torts or other deprivations of rights committed by a person who is a
    government agent are cognizable under § 1983. Myers v. Bowman, 
    713 F.3d 1319
    ,
    1329 (11th Cir. 2013). “Section 1983 instead punishes only actions committed
    ‘under color of any statute, ordinance, regulation, custom, or usage, of any State or
    Territory or the District of Columbia.’” 
    Id.
     (quoting 
    42 U.S.C. § 1983
    ). A plaintiff
    asserting a claim under § 1983 must show (1) that she was deprived of a federal right
    (2) by a person acting under color of law. Id.
    The mere fact that Grissett was a state employee does not mean that he acted
    under color of state law. “The traditional definition of acting under color of state
    4
    The plaintiffs’ allegations regarding Colaw’s interactions with a former colleague, who
    was representing Hoffman’s ex-husband in a custody case, are conclusory in nature and fail to
    show that any information obtained affected the prosecution against Hoffman.
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    law requires that the defendant in a [section] 1983 action have exercised power
    possessed by virtue of state law and made possible only because the wrongdoer is
    clothed with the authority of state law.” Id. (quotation marks omitted). Actions
    taken in the defendant’s role as a private person are not under color of law. Id. So
    “[t]he dispositive issue is whether the official was acting pursuant to the power
    he/she possessed by state authority or acting only as a private individual,” because a
    government agent “cannot be held liable [under § 1983] for a constitutional tort
    when he acts in a private capacity.” Id. at 1330.
    In Myers, we held that a judge did not act under color of state law when he
    reported to the police that someone had stolen his dog. Id. We noted that the “theft
    occurred in connection with a private dispute and not a matter that was before [the
    judge] in his official capacity as a magistrate judge, and [the judge] alleged a theft
    of private property, not any property that belonged to the government.”            Id.
    Although the judge reported the theft using his government-issued communications
    system, that fact did not mean that the judge acted under color of law because “there
    [was] no reason to believe that [the judge] would not have done, or been able to do,
    what [he] did” without the government system. Id. at 1330–31 (quotation marks
    omitted). Moreover, we explained that the fact that the judge’s position influenced
    others was not enough to show that the judge acted under state law. Id. at 1331. In
    evaluating these kinds of issues, we explained, our focus is on the conduct of the
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    defendant, not the victim or a third-party. Id. And the record in Myers did not show
    that the judge acted pursuant to the power he possessed by state authority, “[n]or
    was the arrest made possible only because [the judge] [wa]s clothed with the
    authority of state law.” Id. (quotation marks omitted).
    Here, the allegations of the complaint, even accepted as true, show that
    Grissett acted as a private citizen, and “not in his official capacity or while exercising
    his responsibilities pursuant to state law.” Id. (quotation marks omitted). Grissett
    reported to Detective Roberts that he may have been defrauded in relation to a
    private purchase he had made from Hoffman’s former employer, Air Tech, and he
    then signed an affidavit against Hoffman and cooperated with the investigation. He
    did not take any official action with respect to the prosecution against Hoffman.
    Because Grissett’s involvement stemmed from a private dispute and any other
    private person could have done what he did, he did not act under color of law. See
    Butler v. Sheriff of Palm Beach Cty., 
    685 F.3d 1261
    , 1268 (11th Cir. 2012) (“[A]ny
    private citizen can submit a report to law enforcement and seek criminal charges
    against another person.”).
    The plaintiffs argue that Grissett acted under color of law because he used his
    official email and computer to view case-related documents, email Pollak and
    Roberts, and prepare the affidavit, and he had a state employee notarize the affidavit.
    Like the judge’s use of the government-issued communications system to report his
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    dog stolen in Myers, however, Grissett’s specific uses of government resources here
    does not render his conduct to be under color of law. Grissett could easily have used
    a personal email or computer to report the crime, email others, and prepare the
    affidavit, and he could have had the affidavit notarized by any other notary. There
    is no reason to believe that Grissett would not have done, or been able to do, what
    he did here without his access to and use of these government resources. See Myers,
    713 F.3d at 1330–31; see also Butler, 685 F.3d at 1267–68 (corrections officer did
    not act under color of law, even though she used the gun and handcuffs she carried
    while on duty to detain and assault a young man at her home).
    The plaintiffs also contend that Grissett’s position as an ASA influenced
    others in the investigation and prosecution and that his “credibility” resulted in the
    case’s progression from a civil one to a criminal one. But as we have previously
    explained, “the primary focus of the color of law analysis must be on the conduct of
    the [defendant], not the victim or a third-party.” Myers, 713 F.3d at 1331. And the
    allegations of the complaint do not support a plausible inference that Grissett acted
    pursuant to the power he possessed by authority. See id. Nor was the plaintiffs’
    “arrest made possible only because [Grissett] [wa]s clothed with the authority of
    state law.” Id. (quotation marks omitted). Although Grissett’s allegation of being
    defrauded by Hoffman resulted in Roberts’s decision to pursue the case as a criminal
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    rather than civil matter, there is little to show that Roberts would have acted
    differently if Grissett was not an ASA.
    Reviewing the allegations as a whole, we cannot conclude that they give rise
    to a plausible claim that Grissett acted under color of law. And because Grissett did
    not act under color of state law, he is not liable under § 1983.
    VI.
    Next, we address whether the plaintiffs stated a claim of supervisory liability
    under § 1983 against Corey and Steve Nelson in their individual capacities.
    A supervisor is not liable under § 1983 for the unconstitutional acts of her
    subordinates unless she either “directly participated in the unconstitutional conduct”
    or “a casual connection exists between the supervisor’s actions and the alleged
    constitutional violation.” Keith v. DeKalb Cty., Ga., 
    749 F.3d 1034
    , 1047–48 (11th
    Cir. 2014). A causal connection can be shown where a supervisor’s policy or custom
    results in deliberate indifference to constitutional rights or “when facts support an
    inference that the supervisor directed the subordinates to act unlawfully or knew that
    the subordinates would act unlawfully and failed to stop them from doing so.”
    Cottone v. Jenne, 
    326 F.3d 1352
    , 1360 (11th Cir. 2003) (quotation marks omitted).
    Here, the district court did not err in concluding that the plaintiffs failed to
    state a claim for § 1983 supervisory liability against Corey and Nelson. The
    plaintiffs argue that they established a causal connection by showing that the State
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    Attorney’s Office had policies or customs of violating defendants’ constitutional
    rights in various ways.     But these policies or customs are little more than a
    restatement of the alleged wrongful acts committed against the plaintiffs in this case.
    “In order for a plaintiff to demonstrate a policy or custom, it is generally
    necessary to show a persistent and wide-spread practice.” McDowell v. Brown, 
    392 F.3d 1283
    , 1290 (11th Cir. 2004) (quotation marks omitted); see Goebert v. Lee Cty.,
    
    510 F.3d 1312
    , 1332 (11th Cir. 2007) (“A custom is an unwritten practice that is
    applied consistently enough to have the same effect as a policy with the force of
    law.”). Nothing of the sort has been alleged here. The incidents identified by the
    plaintiffs, though numerous, are isolated from each other and based solely on the
    facts of this case. They do not demonstrate persistent and widespread practices.
    Simply calling something a “custom” does not make it so. Accordingly, the
    plaintiffs have “failed to meet the extremely rigorous standard for supervisory
    liability.” West v. Tillman, 
    496 F.3d 1321
    , 1329 (11th Cir. 2007).
    The plaintiffs also contend that they established a causal connection by
    showing that Corey and Nelson were aware of the alleged wrongful conduct and
    failed to stop it. See Cottone, 
    326 F.3d at 1360
    . The complaint’s allegations fail to
    support this argument, though. In the main, the plaintiffs alleged without any
    supporting factual allegations that Corey and Nelson were aware of what Colaw was
    doing “through the chain of command.” They also alleged, again without supporting
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    factual allegations, that Corey and Nelson “acquiesce[d],” “approved,” or
    “sanctioned” Colaw’s conduct.       Because the plaintiffs’ claims of supervisory
    liability are supported by conclusory allegations, the complaint does not contain
    sufficient “factual content that allows the court to draw the reasonable inference that
    the defendant is liable for the misconduct alleged.” See Miljkovic, 791 F.3d at 1296–
    97.
    In any event, it would be exceedingly odd if Colaw was entitled to absolute
    prosecutorial immunity for his conduct in relation to the plaintiffs’ prosecution, as
    we have concluded above, but Colaw’s supervisors were not entitled to the same
    immunity for approving or failing to prevent that same conduct. The Supreme Court
    agrees. In Van de Kamp v. Goldstein, the Court explained that, where a prosecutor
    is entitled to absolute immunity for certain conduct, a supervisory prosecutor should
    likewise be entitled to absolute immunity for supervision or training of that same
    conduct. See 
    555 U.S. 335
    , 345–46 (2009). Were the rule otherwise, prosecutors’
    offices would be subject to suit “in virtually every case in which a line prosecutor
    makes a mistake for which he is personally immune.” Schneyder v. Smith, 
    653 F.3d 313
    , 333–34 (3d Cir. 2011). And that, in turn, would undermine the primary purpose
    of prosecutorial immunity, which is to “protect[] the proper functioning of the
    office,” rather than the individual prosecutor. Van de Kamp, 
    555 U.S. at
    345–47
    (quotation marks omitted).
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    Here, the plaintiffs’ claims against Corey and Nelson in their capacity as
    supervisors are all directly connected to Colaw’s conduct in the individual
    prosecutions against the plaintiffs. In other words, the claims “rest[] in necessary
    part upon a consequent error by an individual prosecutor” in those prosecutions. 
    Id. at 346
    . In a case like this, the same concerns that underlie prosecutorial immunity
    for the frontline prosecutor also apply to supervisory prosecutors. 
    Id.
     at 346–47. In
    sum, because Colaw is entitled to prosecutorial immunity for his conduct, so too are
    Corey and Nelson for supervising that conduct. See 
    id.
     at 345–48.
    VII.
    Finally, we consider whether the plaintiffs stated claims under state law for
    malicious prosecution and intentional infliction of emotional distress.
    A.
    Under Florida law, a plaintiff bringing a claim for malicious prosecution must
    prove, among other elements, that there was a “bona fide termination” of the
    proceeding in her favor and “an absence of probable cause” for the proceeding.
    Alamo Rent-A-Car, Inc. v. Mancusi, 
    632 So. 2d 1352
    , 1355 (Fla. 1994).
    The phrase “bona fide termination” means that the proceeding “ended in a
    manner indicating the original defendant’s (and current plaintiff’s) innocence of the
    charges or allegations.” Doss v. Bank of Am., N.A., 
    857 So. 2d 991
    , 994 (Fla. Dist.
    Ct. App. 2003). A proceeding that ends due to “bargaining or negotiat[ion]” is
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    usually, though not always, insufficient to constitute a “bona fide termination” of the
    proceeding. 
    Id. at 995
    ; see Alamo Rent-A-Car, 
    632 So. 2d at 1356
     (“[I]f the
    bargaining constitutes nothing more than a promise to pay what was offered before
    the charges were brought, and the negotiations reflect the accused’s innocence, then
    the termination would still be bona fide.”); Union Oil of Cal. Amsco Div. v. Watson,
    
    468 So. 2d 349
    , 353 n.3 (Fla. Dist. Ct. App. 1985) (“‘Bona fide’ . . . means that the
    termination was not bargained for or obtained by the accused upon a promise of
    payment or restitution.”). The critical question is whether the termination of the
    proceeding indicates the proceeding’s “lack of merit,” which depends on the totality
    of the circumstances. Doss, 
    632 So. 2d at 995
    ; see Cohen v. Corwin, 
    980 So. 2d 1153
    , 1155–56 (Fla. Dist. Ct. App. 2008).
    Here, the district court did not err in concluding that the plaintiffs failed to
    establish the element of a “bona fide termination.” As to Hoffman, the plaintiffs
    contend that the court failed to recognize that two of her charges were dismissed.
    But these charges were dismissed as part of a plea agreement with the state
    prosecutors, under which she agreed to plead guilty to misdemeanor petit theft.
    Because the proceeding against Hoffman ended due to bargaining that resulted in a
    guilty plea to a lesser-included offense, she cannot establish the element of “bona
    fide termination” in her favor. See Alamo Rent-A-Car, 
    632 So. 2d at 1356
    ; Doss,
    
    857 So. 2d at 994
    .
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    As to Vaden, we agree with the district court that the resolution of the witness-
    tampering charge against him does not reflect a “bona fide termination” in his favor.
    Vaden’s charge was dismissed after he agreed to participate in the pretrial
    intervention program, which permits “first offender[s]” the opportunity to have
    criminal charges dismissed without prejudice. 
    Fla. Stat. § 948.08
    (2). The nature of
    the program itself indicates that dismissal does not relate to “innocence of the
    charges or allegations.” Doss, 
    857 So. 2d at 994
    ; Swartsel v. Publix Super Markets,
    Inc., 
    882 So. 2d 449
    , 452 (Fla. Dist. Ct. App. 2004) (explaining that the program’s
    “primary purpose is to allow first offenders who, by definition, are subject to being
    found guilty of the crime charged, to avoid a conviction on their record by
    successfully completing the program and having a nol pros entered”), abrogated on
    other grounds by State Farm Mut. Auto. Ins. Co. v. Nichols, 
    932 So. 2d 1067
     (Fla.
    2009).
    Although Vaden may not have been required to complete the terms of pretrial
    intervention before the charge was dismissed, that fact alone does not indicate that
    the dismissal was based on his innocence. The dismissal was still contingent on a
    negotiated agreement to participate in the pretrial intervention program, and the
    plaintiffs identify no other circumstances tending to show that the prosecutor
    concluded that the “evidence is lacking and that the charges are not provable.” See
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    Swartsel, 
    882 So. 2d at 451
     (holding that a dismissal of charges after participation
    in the pretrial intervention program did not constitute a “bona fide termination”).
    Because the plaintiffs have not plausibly alleged a “bone fide termination” of
    the proceedings in their favor, we need not and do not address whether probable
    cause supported the proceedings against them. We affirm the dismissal of their state-
    law malicious-prosecution claims.
    B.
    To state a claim of intentional infliction of emotional distress, the plaintiff
    must allege that “1) the defendant acted recklessly or intentionally; 2) the
    defendant’s conduct was extreme and outrageous; 3) the defendant’s conduct caused
    the plaintiff’s emotional distress; and 4) plaintiff’s emotional distress was severe.”
    Johnson v. Thigpen, 
    788 So. 2d 410
    , 412 (Fla. Dist. Ct. App. 2001). Liability will
    be found “only where the conduct has been so outrageous in character, and so
    extreme in degree, as to go beyond all possible bounds of decency, and to be
    regarded as atrocious and utterly intolerable in a civilized community.” 
    Id.
     (quoting
    Metropolitan Life Ins. Co. v. McCarson, 
    467 So. 2d 277
    , 278–79 (Fla. 1985)).
    Here, we agree with the district court that the plaintiffs’ claim for intentional
    infliction of emotional distress is due to be dismissed. The plaintiffs allege various
    wrongdoings and unconstitutional practices in the prosecution against them, and if
    these allegations are true, the plaintiffs should certainly consider reporting the
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    defendants to the Florida Bar. But that is not the standard for sustaining a claim of
    intentional infliction of emotional distress. And as regrettable as some of the
    conduct the plaintiffs allege is, we cannot say the plaintiffs’ allegations reflect
    conduct that satisfies the standard of being so “extreme and outrageous” as to “go
    beyond all possible bounds of decency,” particularly where, as we have noted, the
    plaintiffs’ agreement to less than an outright dismissal or acquittal of the charges
    brought against them could be viewed as a concession of at least some validity of
    the underlying charges. We therefore affirm the dismissal of this claim.
    VIII.
    For the reasons stated, we affirm the dismissal with prejudice of this action.
    AFFIRMED.
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