Singletary v. PA Dept Corrections ( 2001 )


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  •                                                                                                                            Opinions of the United
    2001 Decisions                                                                                                             States Court of Appeals
    for the Third Circuit
    10-11-2001
    Singletary v. PA Dept Corrections
    Precedential or Non-Precedential:
    Docket 00-3579
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    Recommended Citation
    "Singletary v. PA Dept Corrections" (2001). 2001 Decisions. Paper 235.
    http://digitalcommons.law.villanova.edu/thirdcircuit_2001/235
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    Filed September 21, 2001
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    No. 00-3579
    DOROTHY SINGLETARY, individually, and as
    Administrator of the Estate of Edward Singletary
    v.
    PENNSYLVANIA DEPARTMENT OF CORRECTIONS;
    S.C.I. ROCKVIEW INSTITUTION; JOSEPH
    MAZURKIEWICZ, Superintendent of Rockview;
    SEVERAL UNKNOWN CORRECTIONS OFFICERS
    Dorothy Singletary, Appellant
    On Appeal From the United States District Court
    For the Middle District of Pennsylvania
    (D.C. Civ. No. 99-cv-00255)
    District Judge: Honorable Malcolm Muir
    Argued April 16, 2001
    Before: BECKER, Chief Judge, McKEE, Circuit Judges,
    and POLLAK, District Judge.*
    (Filed: September 21, 2001)
    _________________________________________________________________
    * Honorable Louis H. Pollak, United States District Judge for the Eastern
    District of Pennsylvania, sitting by designation.
    WAYNE A. RODNEY, ESQUIRE
    (ARGUED)
    Rodney & Associates
    1616 Walnut Street
    Suite 2000
    Philadelphia, PA 19103
    Counsel for Appellant
    D. MICHAEL FISHER, ESQUIRE
    Attorney General
    GREGORY R. NEUHAUSER,
    ESQUIRE (ARGUED)
    Senior Deputy Attorney General
    CALVIN R. KOONS, ESQUIRE
    Senior Deputy Attorney General
    JOHN G. KNORR, III, ESQUIRE
    Chief Deputy Attorney General
    Chief, Appellate Litigation Section
    Office of Attorney General
    15th Floor Strawberry Square
    Harrisburg, PA 17120
    Counsel for Appellees
    OPINION OF THE COURT
    BECKER, Chief Judge.
    This is an appeal from a grant of summary judgment for
    defendants Pennsylvania Department of Corrections
    (PADOC), State Correctional Institute at Rockview (SCI-
    Rockview), and former Superintendent of SCI-Rockview,
    Joseph Mazurkiewicz, in a 42 U.S.C. S 1983 civil rights
    lawsuit brought against them by Dorothy Singletary, the
    mother of Edward Singletary, a prisoner who committed
    suicide while incarcerated at Rockview. The plaintiff does
    not appeal from the grant of summary judgment for PADOC
    and SCI-Rockview. She does appeal the District Court's
    grant of summary judgment in favor of defendant
    Mazurkiewicz, but there is plainly no merit to this challenge
    for there is no evidence that Mazurkiewicz exhibited
    2
    deliberate indifference to Edward Singletary's medical
    needs.
    In her original complaint, the plaintiff also included as
    defendants "Unknown Corrections Officers." The only
    chance for the plaintiff to prevail depends on her ability to
    succeed in: (1) amending her original complaint to add as
    a defendant Robert Regan, a psychologist at SCI-Rockview,
    against whom the plaintiff has her only potentially viable
    case; and (2) having this amended complaint relate back to
    her original complaint under Federal Rule of Civil
    Procedure 15(c)(3) so that she overcomes the defense of the
    statute of limitations. Rule 15(c)(3) provides for the "relation
    back" of amended complaints that add or change parties if
    certain conditions are met, in which case the amended
    complaint is treated, for statute of limitations purposes, as
    if it had been filed at the time of the original complaint.
    The District Court denied the plaintiff 's motion for leave
    to amend because it concluded that the amended complaint
    would not meet the conditions required for relation back
    under 15(c)(3). Rule 15(c)(3) has two basic parts, both of
    which must be met before relation back is permitted. First,
    15(c)(3)(A) requires that the party that the plaintiff seeks to
    add has received, within a certain time period, sufficient
    notice of the institution of the action that the party is not
    prejudiced. In addition to actual notice (which is not
    claimed here) Rule 15(c)(3)(A) cognizes two means of
    imputing the notice received by the original defendants to
    the party sought to be added: (i) the existence of a shared
    attorney between the original and proposed new defendant;
    and (ii) an identity of interest between these two parties.
    Second, 15(c)(3)(B) requires that the party sought to be
    added knew or should have known that, but for a mistake,
    the plaintiff would have named him in the original
    complaint.
    We conclude that the District Court was correct in ruling
    that the amended complaint did not meet the notice
    requirements of Rule 15(c)(3)(A). The plaintiff cannot avail
    herself of the "shared attorney" method of imputing notice
    to Regan because the defendants' attorney was not
    assigned to this case until after the relevant notice period
    under Rule 15(c)(3). Furthermore, the "identity of interest"
    3
    method is not open to the plaintiff because Regan was not
    high enough in the administrative hierarchy of SCI-
    Rockview to share sufficient interests with any of the
    original defendants.
    The District Court also found that the plaintiff did not
    meet the requirement of Rule 15(c)(3)(B)--that Regan knew
    (or should have known) that, but for a mistake, the plaintiff
    would have named him in the original complaint. The
    correct legal interpretation of 15(c)(3)(B) is not settled, and
    it is unclear whether the plaintiff 's original complaint,
    which included as defendants "Unknown Corrections
    Officers," meets 15(c)(3)(B)'s mistake requirement. More
    precisely, because the plaintiff simply did not know of
    Regan's identity, it is an open question whether failure to
    include him originally as a defendant was a "mistake"
    under Rule 15(c)(3)(B). Resolution of the question whether
    lack of knowledge can constitute a mistake is important in
    civil rights cases. For example, a person who was subjected
    to excessive force by police officers might not have seen the
    officers' name tags, and hence would likely need discovery
    to determine the names of his attackers, although he
    cannot get discovery until he files his S 1983 complaint. If
    this person were prevented from having his complaint relate
    back when he sought to replace a "John Doe" or"Unknown
    Police Officers" in his complaint with the real names of his
    assailants, then he would have to file his complaint
    substantially before the running of the statute of limitations
    on his claim in order to avoid having his claim end up
    being barred. This would render the S 1983 statute of
    limitations much shorter for this person than it would be
    for another complainant who knows his assailants' names.
    Although there seems to be no good reason for the Rules
    of Civil Procedure to treat two such similarly-situated
    plaintiffs so differently, in most Courts of Appeals the
    naming of "unknown persons" or "John Does" (the
    functional pleading equivalent of "unknown persons") as
    defendants in an original complaint does not meet
    15(c)(3)(B)'s mistake requirement. In our one case to
    consider the issue this Court implied (though we did not
    squarely hold) that such "John Doe complaints"1 do meet
    _________________________________________________________________
    1. For simplicity's sake, for the rest of this opinion we will refer to
    complaints that list as defendants "John Does," "Unknown Persons," or
    their functional equivalents as "John Doe complaints."
    4
    this mistake requirement. But even if the mistake
    requirement is met in this case, it is not at all clear that
    Regan knew or should have known that the original
    complaint would have included him since the complaint
    named "Unknown Corrections Officers," and Regan is a
    staff psychologist, not a corrections officer, at SCI-
    Rockview.
    It is clear that the plaintiff does not meet Rule
    15(c)(3)(A)'s notice requirement, and hence we need not
    decide the thorny issues outlined in the preceding two
    paragraphs. However, because the position taken by the
    other Courts of Appeals on Rule 15(c)(3)(B)'s "mistake"
    requirement would seem to lead to seriously inequitable
    outcomes, we suggest to the Judicial Conference Advisory
    Committee on Civil Rules that it amend the language of
    Rule 15(c)(3)(B) so as to clearly provide that the
    requirements of that section of the Rule can be met in
    situations in which the plaintiff seeks to replace a"John
    Doe" or "Unknown Person" with the name of a real
    defendant. As we further explain infra at note 5, such an
    amendment, which is supported by the weight of scholarly
    commentary, would make Rule 15(c)(3) fit more closely with
    the overall tenor and policy of the Federal Rules of Civil
    Procedure.
    I.
    Edward Singletary was serving a 6-12 year sentence at
    SCI-Rockview for his conviction of rape. In November 1995,
    Singletary was transferred to the maximum security
    restricted housing unit (MSRHU) of SCI-Rockview as a
    result of "threatening an employee or family with bodily
    harm." Over the next ten months, Singletary became
    increasingly agitated, acting hostilely to the staff and
    accusing them of tampering with his food and mail. During
    this period, Singletary was given chances to leave the
    MSRHU and re-enter the general population unit of SCI-
    Rockview, but he refused each time.
    During his stay in the MSRHU, Singletary was seen
    weekly by a counselor, monthly by a three-person Program
    Review Committee, and by medical and psychological staff
    5
    as needed. A staff psychiatrist, Dr. Abdollah Nabavi,
    prescribed an anti-depressant to help Singletary with his
    sleeplessness and anxiety. Nabavi also offered Singletary
    Trilafon, an anti-psychotic drug, because he "felt
    [Singletary] was agitated, he was over suspicious, he was
    just very uncomfortable in the environment. . . . I think he
    was [psychotic]. If he was not, he was very close to being
    psychotic." Dep. of Dr. Nabavi at 31-32. Singletary,
    however, refused the Trilafon.
    On October 3, 1996, Singletary became agitated when he
    was told to remove some magazines that had accumulated
    in his cell, and he threatened a prison officer. Because of
    the threat, the next day Singletary was transferred to a cell
    in the "Deputy Warden" (DW) building with the approval of
    the prison Superintendent, defendant Joseph Mazurkiewicz.
    After placement in a DW cell, Singletary was seen on
    October 4, 1996 by Kevin Burke, a psychiatrist consultant
    for SCI-Rockview, and by Robert Regan, a psychological
    services staff member and the person whom Dorothy
    Singletary seeks to add as a defendant. Regan was working
    as a "psychological service specialist" at SCI-Rockview at
    this time; his duties included the psychological testing and
    assessment of inmates, parole evaluations, group therapy,
    mental health intervention, and suicide risk evaluation and
    prevention. Regan did not have any administrative or
    supervisory duties at the prison. Beginning in late 1994,
    Regan had met with and evaluated Singletary on a weekly
    basis.
    In their meetings with Singletary on October 4, Regan
    and Burke talked separately with him to assess his mental
    state. Singletary vehemently denied to both of them at that
    time that he was suicidal. On the basis of these
    examinations, neither Regan nor Burke saw any reason to
    take further precautions for Singletary. Just after midnight
    on October 6, 1996, Singletary committed suicide by
    hanging himself with a bedsheet.
    On October 6, 1998, Dorothy Singletary filed in the
    District Court for the Eastern District of Pennsylvania a
    S 1983 deliberate indifference lawsuit alleging cruel and
    unusual punishment in violation of the Eighth Amendment
    along with pendent state law claims for wrongful death.
    6
    Named as defendants were PADOC, SCI-Rockview,
    Mazurkiewicz, and "Unknown Corrections Officers." The
    action was ordered transferred to the Middle District of
    Pennsylvania on January 12, 1999 to correct a venue
    deficiency, and that order and the original file were officially
    docketed by the Middle District on February 16, 1999. On
    April 16, 1999, PADOC and SCI-Rockview moved for
    judgment on the pleadings pursuant to Federal Rule of Civil
    Procedure 12(c), and on May 28, 1999, the District Court
    granted this motion in part by dismissing Singletary's
    S 1983 claims against these defendants on Eleventh
    Amendment grounds, but denied their motion to dismiss
    the pendent state claims on sovereign immunity grounds.
    The parties then conducted discovery, and on June 23,
    2000, the defendants moved for summary judgment. On
    July 28, 2000, about a week after filing her response to the
    summary judgment motion, the plaintiff moved to amend
    her complaint to add Regan as a defendant. In two orders
    dated September 20, 2000, the District Court: (1) denied
    the plaintiff leave to amend her complaint to add Regan as
    a defendant on the grounds that that claim would be
    barred by the statute of limitations because it did not meet
    the conditions for relation back in Federal Rule of Civil
    Procedure 15(c)(3); (2) granted summary judgment for
    defendant Mazurkiewicz on the deliberate indifference claim
    on the basis that the plaintiff had not presented any
    evidence of what Mazurkiewicz knew or should have known
    about Edward Singletary; (3) granted summary judgment
    for defendants PADOC and SCI-Rockview on the plaintiff 's
    pendent state law claims because they were barred by the
    Eleventh Amendment; and (4) dismissed the remaining
    state law claims without prejudice because there were no
    federal law claims remaining in the lawsuit. This appeal
    followed.
    II.
    We find the plaintiff 's assertion that the District Court
    erred in granting summary judgment to defendant
    Mazurkiewicz to be clearly lacking in merit and dispose of
    it in the margin.2 We thus turn to Singletary's contention
    _________________________________________________________________
    2. The District Court granted summary judgment for Mazurkiewicz
    because it found that the plaintiff had not presented any evidence that
    7
    that the court erred by not granting her leave to amend her
    complaint to add Regan as a defendant. We review a district
    court's decision granting or denying leave to amend a
    _________________________________________________________________
    tended to show that Mazurkiewicz had been deliberately indifferent to
    Edward Singletary's medical needs as that concept has been developed
    in Supreme Court and Third Circuit case law. Summary judgment is
    proper if there is no genuine issue of material fact and if, viewing the
    facts in the light most favorable to the non-moving party, the moving
    party is entitled to judgment as a matter of law. See Fed. R. Civ. P.
    56(c);
    Celotex Corp. v. Catrett, 
    477 U.S. 317
    (1986). Although the initial burden
    is on the summary judgment movant to show the absence of a genuine
    issue of material fact, "the burden on the moving party may be
    discharged by `showing'--that is, pointing out to the district court--that
    there is an absence of evidence to support the nonmoving party's case"
    when the nonmoving party bears the ultimate burden of proof. 
    Celotex, 477 U.S. at 325
    .
    The general standard for a S 1983 deliberate indifference claim made
    against a prison official is set forth in Farmer v. Brennan, 
    511 U.S. 825
    (1994), which focuses on what the official actually knew: "a prison
    official cannot be found liable under the Eighth Amendment for denying
    an inmate humane conditions of confinement unless the official knows
    of and disregards an excessive risk to inmate health or safety." 
    Id. at 837.
    In the context of a deliberate indifference claim based on failure to
    provide adequate medical treatment, "[i]t is well-settled that claims of
    negligence or medical malpractice, without some more culpable state of
    mind, do not constitute `deliberate indifference.' " Rouse v. Plantier,
    
    182 F.3d 192
    , 197 (3d Cir. 1999).
    The plaintiff 's basic argument on deliberate indifference is that
    Mazurkiewicz authorized Edward Singletary's transfer to a disciplinary
    cell instead of a medical facility with deliberate indifference to his
    medical/psychological needs. The only evidence the plaintiff presents in
    support of this is a report by Faith Liebman, a"Forensic Sexologist and
    Criminologist," which states that Edward Singletary was exhibiting
    various suicidal symptoms and then conclusorily opines that "the
    Department of Corrections exhibited a deliberate indifference to the
    needs of Mr. Singletary by ignoring these symptoms." Nowhere does the
    report address what Mazurkiewicz knew or must have known, and the
    plaintiff 's brief does not address this either.
    The plaintiff would have the burden of proving at trial that
    Mazurkiewicz was deliberately indifferent to the excessive risk to her
    son,
    which, as Farmer instructs us, would involve showing that Mazurkiewicz
    knew or was aware of that risk. The defendants contend that the record
    8
    complaint for abuse of discretion. See Urrutia v. Harrisburg
    County Police Dept., 
    91 F.3d 451
    , 457 (3d Cir. 1996).
    However, if we are reviewing the factual conclusions that a
    district court made while considering the Rule 15 motion,
    our standard of review is clear error. See Varlack v. SWC
    Caribbean, Inc., 
    550 F.2d 171
    , 174 (3d Cir. 1977).
    Furthermore, if the district court's decision regarding a
    Rule 15(c) motion was based on the court's interpretation of
    the Federal Rules of Civil Procedure, our review is plenary.
    See Lundy v. Adamar of New Jersey, Inc., 
    34 F.3d 1173
    ,
    1177 (3d Cir. 1994).
    A. Rule 15(c)(3)
    The parties agree that the statute of limitations for this
    action is two years, which expired on October 6, 1998, the
    day that Singletary filed her original complaint. The plaintiff
    then moved to amend her complaint by adding Regan as a
    defendant on July 28, 2000, almost two years after the
    statute of limitations had run. The plaintiff argues that this
    proposed amendment did not violate the statute of
    limitations because the amendment would relate back to
    the original, timely filed complaint under Federal Rule of
    Civil Procedure 15(c)(3). Rule 15(c) can ameliorate the
    running of the statute of limitations on a claim by making
    the amended claim relate back to the original, timely filed
    complaint. See Nelson v. County of Allegheny, 
    60 F.3d 1010
    , 1015 (3d Cir. 1995). Rule 15(c) provides:
    (c) Relation Back of Amendments. An amendment of a
    pleading relates back to the date of the original
    pleading when
    _________________________________________________________________
    is lacking any evidence to support that claim, and in fact, the plaintiff
    does not dispute that contention. Instead, she argues that the burden is
    on the defendants to show the lack of a genuine issue of material fact as
    to Mazurkiewicz's deliberate indifference. This assertion, however, is
    clearly contrary to the Supreme Court jurisprudence on summary
    judgment as we outlined above; in order to survive a summary judgment
    motion in which the movant argues that there is an absence of evidence
    to support her case, the plaintiff must point to some evidence beyond her
    raw claim that Mazurkiewicz was deliberately indifferent. See 
    Celotex, 477 U.S. at 325
    . Because she failed to do that, the District Court was
    correct to grant summary judgment for Mazurkiewicz.
    9
    (1) relation back is permitted by the law that
    provides the statute of limitations applicable to
    the action, or
    (2) the claim or defense asserted in the amended
    pleading arose out of the conduct, transaction,
    or occurrence set forth or attempted to be set
    forth in the original pleading, or
    (3) the amendment changes the party or the
    naming of the party against whom a claim is
    asserted if the foregoing provision (2) is satisfied
    and, within the period provided by Rule 4(m) for
    service of the summons and complaint, the
    party to be brought in by amendment (A) has
    received such notice of the institution of the
    action that the party will not be prejudiced in
    maintaining a defense on the merits, and (B)
    knew or should have known that, but for a
    mistake concerning the identity of the proper
    party, the action would have been brought
    against the party.
    Fed. R. Civ. P. 15(c).
    The issue in the case is whether the plaintiff can use
    15(c)(3) to have her amended complaint substituting Regan
    as a defendant in place of "Unknown Corrections Officers"
    relate back to her original complaint. The Rule is written in
    the conjunctive, and courts interpret 15(c)(3) as imposing
    three conditions, all of which must be met for a successful
    relation back of an amended complaint that seeks to
    substitute newly named defendants. See Urrutia , 91 F.3d at
    457. The parties do not dispute that the first condition--
    that the claim against the newly named defendants must
    have arisen "out of the conduct, transaction, or occurrence
    set forth or attempted to be set forth in the original
    pleading"--is met. The second and third conditions are set
    out in 15(c)(3)(A) & (B), respectively, and must be met
    "within the period provided by Rule 4(m) for service of the
    summons and complaint," Fed. R. Civ. P. 15(c)(3), which is
    "120 days after the filing of the complaint," Fed. R. Civ. P.
    4(m). The second condition is that the newly named party
    must have "received such notice of the institution of the
    10
    action [within the 120 day period] that the party will not be
    prejudiced in maintaining a defense on the merits." Fed. R.
    Civ. P. 15(c)(3)(A). Urrutia states that this condition "has
    two requirements, notice and the absence of prejudice, each
    of which must be 
    satisfied." 91 F.3d at 458
    . The third
    condition is that the newly named party must have known,
    or should have known, (again, within the 120 day period)
    that "but for a mistake" made by the plaintiff concerning
    the newly named party's identity, "the action would have
    been brought against" the newly named party in the first
    place. Fed. R. Civ. P. 15(c)(3)(B).
    Under these facts, we are concerned with three issues: (1)
    did Regan receive notice of the institution of the action
    before February 3, 2000 (which is 120 days after the
    complaint was filed); (2) was the notice that Regan received
    sufficient that he was not prejudiced in maintaining his
    defense; and (3) did Regan know (or should he have known)
    by February 3, 2000 that but for a mistake Singletary
    would have named him as a party in the original
    complaint? As explained above, the answers to all of these
    questions must be "Yes" for Singletary to prevail on her
    Rule 15(c)(3) argument. The District Court concluded that
    Regan did not receive any notice of the litigation or of his
    role in that litigation during the 120 day period. The court
    also concluded that Regan would be unfairly prejudiced by
    having to mount his defense at this late date, and that he
    neither knew nor should have known that, but for a
    mistake, he would have been named in the original
    complaint.
    Notice is the main issue, and we will address that first.
    For reasons that we set forth in the margin, the unfair
    prejudice issue is closely dependent on the outcome of our
    notice inquiry; because we agree with the District Court
    that Regan did not receive notice within the 120 day period
    (and because the District Court based its decision on notice
    and mentioned prejudice only in passing), we will not
    address prejudice.3
    _________________________________________________________________
    3. Prejudice and notice are closely intertwined in the context of Rule
    15(c)(3), as the amount of prejudice a defendant suffers under 15(c)(3) is
    a direct effect of the type of notice he receives. See 6A Charles A.
    Wright
    11
    B. Notice
    This court has seldom spoken on the meaning of "notice"
    in the context of Rule 15(c)(3). Still, we can glean some
    _________________________________________________________________
    et al., Federal Practice And Procedure S 1498, at 123 (2d ed. 1990) ("A
    finding that notice, although informal, is sufficient . . . frequently
    [depends] upon determining whether the party to be added would be
    prejudiced by allowing relation back under the circumstances of the
    particular case."). That is, once it is established that the newly named
    defendant received some sort of notice within the relevant time period,
    the issue becomes whether that notice was sufficient to allay any
    prejudice the defendant might have suffered by not being named in the
    original complaint.
    If the newly named defendant received no notice, then it would appear
    unlikely that such non-notice was sufficient to allay the prejudice. We
    recognize that it is at least arguable that it is conceptually possible
    for
    a newly named defendant to have received no notice and yet not be
    prejudiced. But, since Rule 15(c)(3) does not appear to contemplate such
    a scenario, we will not undertake to express an opinion on that question.
    If Regan had received notice of the institution of this action within the
    120 day period, his failure to prepare a defense could be construed as
    "careless or myopic," so he would not be legitimately prejudiced because
    his "alleged prejudice results from his own superficial investigatory
    practices or poor preparation of a defense." 
    Id. S 1498,
    at 126. The
    District Court, however, based its prejudice analysis on the premise that
    Regan received no such notice:
    Singletary seeks $10,000,000 in various damages from the
    Defendants. The underlying events occurred more than 4 years ago
    and the trial is scheduled to commence in a very short time.
    Subjecting Regan to such potential liability for the first time at
    this
    late date on the eve of trial and requiring him to"set about
    assembling evidence and constructing a defense when the case is
    already stale," 
    Nelson, 60 F.3d at 1015
    , would unfairly prejudice
    him.
    Dist. Ct. Order #1, Sept. 20, 2000, at 11-12. Of course, if Regan had
    received notice earlier, he could have prepared his defense when the case
    was not so stale. We agree with the District Court that Regan did not
    receive any notice within the requisite time period, and we also agree
    that Regan would suffer prejudice by being forced to prepare his defense
    at this point. We have noted above that, arguably, a non-notice non-
    prejudice scenario is a conceptual possibility; but this case does not
    present such a situation.
    12
    general instruction from the few cases that address the
    issue. First, Rule 15(c)(3) notice does not require actual
    service of process on the party sought to be added; notice
    may be deemed to have occurred when a party who has
    some reason to expect his potential involvement as a
    defendant hears of the commencement of litigation through
    some informal means. See Varlack v. SWC Caribbean, Inc.,
    
    550 F.2d 171
    , 175 (3d Cir. 1977) (holding that a person
    who the plaintiff sought to add as a defendant had
    adequate notice under 15(c)(3) when, within the relevant
    period, the person by happenstance saw a copy of the
    complaint naming both the place where he worked and an
    "unknown employee" as a defendant, which he knew
    referred to him); see also Berndt v. Tennessee , 
    796 F.2d 879
    , 884 (6th Cir. 1986) (notice need not be formal); Eakins
    v. Reed, 
    710 F.2d 184
    , 187-88 (4th Cir. 1983) (same); Kirk
    v. Cronvich, 
    629 F.2d 404
    , 407-08 (5th Cir. 1980) (same).
    At the same time, the notice received must be more than
    notice of the event that gave rise to the cause of action; it
    must be notice that the plaintiff has instituted the action.
    See Bechtel v. Robinson, 
    886 F.2d 644
    , 652 n.12 (3d Cir.
    1989).
    The plaintiff does not argue that Regan received formal or
    even actual notice within the 120 day period; instead, she
    contends that Regan received "constructive or implied
    notice" of the institution of the action. She cites to several
    district court cases within this Circuit for the proposition
    that "notice concerning the institution of an action may be
    actual, constructive, or imputed." 
    Id. (citing Keitt
    v. Doe,
    
    1994 WL 385333
    at *4 (E.D. Pa. July 22, 1994); Heinly v.
    Queen, 
    146 F.R.D. 102
    , 107 (E.D. Pa. 1993); Kinnally v.
    Bell of Pennsylvania, 
    748 F. Supp. 1136
    , 1141 (E.D.
    Pa.1990)). The plaintiff then advances two methods of
    imputing notice to Regan that she argues are implicated
    here: (1) the shared attorney method (Regan received timely
    notice because he shared his attorney with SCI-Rockview,
    an originally named party); and (2) the identity of interest
    method (Regan received timely notice because he had an
    identity of interest with SCI-Rockview). The central question
    before us is whether the facts of this case support the
    application of one or the other of these forms of notice.
    13
    1. Notice via Sharing an Attorney with an Original
    Defendant
    The "shared attorney" method of imputing Rule 15(c)(3)
    notice is based on the notion that, when an originally
    named party and the party who is sought to be added are
    represented by the same attorney, the attorney is likely to
    have communicated to the latter party that he may very
    well be joined in the action. This method has been accepted
    by other Courts of Appeals and by district courts within
    this Circuit. See Gleason v. McBride, 
    869 F.2d 688
    , 693 (2d
    Cir. 1989); Barkins v. Int'l Inns, Inc., 
    825 F.2d 905
    , 907
    (5th Cir. 1987); Berndt v. State of Tennessee , 
    796 F.2d 879
    ,
    884 (6th Cir. 1986); 
    Heinly, 146 F.R.D. at 107
    ; 
    Kinnally, 748 F. Supp. at 1141
    . We endorse this method of imputing
    notice under Rule 15(c)(3).
    The relevant inquiry under this method is whether notice
    of the institution of this action can be imputed to Regan
    within the relevant 120 day period, i.e., by February 3,
    1999, by virtue of representation Regan shared with a
    defendant originally named in the lawsuit. The plaintiff
    contends that Regan shared an attorney with all of the
    originally named defendants; more precisely, she submits
    that appellees' attorney, Deputy (State) Attorney General
    Gregory R. Neuhauser, entered an appearance as "Counsel
    for Defendants" in the original lawsuit, and hence that
    Neuhauser represented the "several Unknown Corrections
    Officers" defendants, one of whom turned out to be Regan.
    The plaintiff submits that Neuhauser's investigation for this
    lawsuit must have included interviewing Regan (as he was
    one of the last counselors to evaluate Edward Singletary's
    mental state), so that Regan would have gotten notice of the
    institution of the lawsuit at that time.
    The plaintiff notes further that Neuhauser responded to
    all of the allegations in the complaint including those
    governing the unknown corrections officers; that Neuhauser
    defended at Regan's deposition; and that nothing in
    Neuhauser's Answer to the Complaint was inconsistent
    with jointly representing employees like Regan. The
    defendants counter that, even if Regan were made a
    defendant in this suit, Regan would not have to accept
    Neuhauser as his counsel: Pennsylvania law specifically
    14
    allows state employees to engage their own counsel when
    sued for actions taken in the course of their employment.
    See 4 Pa. Code S 39.13(a)(3) (2001).
    The plaintiff 's contentions raise an interesting issue:
    whether an attorney's original entry of appearance as
    "Counsel for Defendants" can be used to establish, at the
    time of that appearance, a sufficient relationship for Rule
    15(c)(3) notice purposes with a party who is later
    substituted as a defendant for a "John Doe" (or its
    functional equivalent) named in the original complaint.
    Because we are concerned with the notice that the newly
    named defendant received, the fundamental issue here is
    whether the attorney's later relationship with the newly
    named defendant gives rise to the inference that the
    attorney, within the 120 day period, had some
    communication or relationship with, and thus gave notice
    of the action to, the newly named defendant.
    In this case, however, the record is clear that Neuhauser
    did not become the attorney for the defendants until well
    after the relevant 120 day period had run. The plaintiff
    originally filed this action in the Eastern District of
    Pennsylvania on October 6, 1998. The action was then
    transferred to the Middle District of Pennsylvania; the order
    directing the clerk to transfer the case was entered on
    January 12, 1999, and that order and the original file were
    docketed by the Middle District on February 16, 1999.
    Neuhauser was substituted as counsel for the defendants
    on February 24, 1999, replacing John O.J. Shellenberger.
    The relevant 120 day period ended on February 3, 1999, so
    any representation and investigation (and contact with
    Regan) by Neuhauser did not begin until at least three
    weeks after the 120 day period ended.
    Therefore, even if we were to conclude that Neuhauser in
    some sense represented and thereby gave notice to Regan
    before Regan was sought to be named as a defendant, this
    does not help the plaintiff because Neuhauser's
    representation of the defendants commenced after the 120
    day period. Furthermore, the plaintiff has not made a
    "shared attorney" argument regarding the original attorney
    Shellenberger (the defendants' attorney of record during the
    120 day period), but even if she did, Shellenberger has not
    15
    represented, and will never represent, Regan at any point in
    this action. Because this case was quickly transferred to
    the Middle District, the record does not support the
    inference that any investigation of the case was performed
    that would have given Regan notice within the 120 days;
    that is, there is no evidence in the record that
    Shellenberger contacted Regan about this case or had any
    relationship with Regan at all. For these reasons, we reject
    the plaintiff 's argument that Regan obtained sufficient Rule
    15(c)(3) notice via the "shared attorney" method of imputing
    notice.
    2. Notice via an Identity of Interest with an Originally
    named Defendant
    The "identity of interest" method of imputing Rule 15(c)(3)
    notice to a newly named party is closely related to the
    shared attorney method. Identity of interest is explained by
    one commentator as follows: "Identity of interest generally
    means that the parties are so closely related in their
    business operations or other activities that the institution
    of an action against one serves to provide notice of the
    litigation to the other." 6A Charles A. Wright et al., Federal
    Practice And Procedure S 1499, at 146 (2d ed. 1990). One
    could view the shared attorney method as simply a special
    case of, or as providing evidence for, the identity of interest
    method, in that sharing an attorney with an originally
    named party demonstrates that you share an identity of
    interest with that party. See, e.g., Jacobsen v. Osborne, 
    133 F.3d 315
    , 320 (5th Cir. 1998) (using the fact that the
    parties shared an attorney as evidence that the identity of
    interest test was met). But cf. 3 James Wm. Moore, Moore's
    Federal Practice S 15.19[3][c], at 15-88 to 15-89 (3d ed.
    2001) ("Legal counsel shared by the original and new
    defendants is not sufficient to establish an identity of
    interest." (citing In re Integrated Res. Real Estate Ltd. P'ship
    Sec. Litig., 
    815 F. Supp. 620
    , 645 (S.D.N.Y. 1993))).
    However, because the parties and various district court
    cases within this Circuit treat identity of interest and
    shared attorney as separate methods of imputing Rule
    15(c)(3) notice, we will do likewise. See, e.g. , Keitt v. Doe,
    
    1994 WL 385333
    (E.D. Pa. July 22, 1994).
    16
    In Schiavone v. Fortune, 
    477 U.S. 21
    (1986), the Supreme
    Court seemingly endorsed the identity of interest method of
    imputing notice for Rule 15(c)(3): "Timely filing of a
    complaint, and notice within the limitations period to the
    party named in the complaint, permit imputation of notice
    to a subsequently named and sufficiently related party." 
    Id. at 29.
    District courts within this Circuit have interpreted
    this passage to mean that the Supreme Court has accepted
    the identity of interest notice method, see, e.g., Keitt 
    1994 WL 385333
    at *4, and we find this reading of Schiavone
    plausible. At all events, we adopt it as a logical construction
    of the Rule. Thus, the relevant issue is whether Regan has
    a sufficient identity of interest with an originally named
    defendant to impute the notice that defendant received to
    Regan.
    The plaintiff does not substantially develop her identity of
    interest argument (she concentrates mainly on the shared
    attorney method of imputing notice), but she does advance
    the argument that Regan shared an identity of interest with
    SCI-Rockview because he was employed by SCI-Rockview.
    The question before us is therefore whether an employee in
    Regan's position (staff psychologist) is so closely related to
    his employer for the purposes of this type of litigation that
    these two parties have a sufficient identity of interest so
    that the institution of litigation against the employer serves
    to provide notice of the litigation to the employee. See 6A
    Wright et al., supra, S 1499 at 146.
    There is not a clear answer to this question in the case
    law. The parties do not cite, and we have not found, any
    Third Circuit case that addresses this issue. We have
    found, however, two cases from other Circuits and one
    district court case from within this Circuit that shed some
    light on this topic. In Ayala Serrano v. Lebron Gonzalez,
    
    909 F.2d 8
    (1st Cir. 1990), the plaintiff, a prisoner in
    Puerto Rico, brought a S 1983 lawsuit alleging that a prison
    guard violated his civil rights by standing idly by as the
    plaintiff was stabbed seven times by other inmates in the
    Intensive Treatment Unit of the prison. The original
    complaint was filed pro se, and named as defendants the
    superintendent of the prison and the head administrator of
    the Puerto Rican prison system. The District Court allowed
    17
    the plaintiff 's amended complaint, which added the prison
    guard as a defendant, to relate back to the original
    complaint under Rule 15(c)(3), on the grounds that the
    identity of interest that the prison guard shared with the
    prison officials named in the original complaint meant that
    the notice given to the latter could be imputed to the
    former.
    The First Circuit held that the district court did not err
    in imputing notice to the prison guard based on the identity
    of interest he shared with the originally named prison
    officials. In finding this identity of interest, the Court of
    Appeals focused on the facts that the originally named
    defendants were the prison guard's superiors, the prison
    guard was present at the attack, and the guard continued
    to work in the Intensive Treatment Unit where the plaintiff
    remained as an inmate, subject to special protective
    measures (so the guard and the prisoner would likely have
    had further contact). Under these facts, the court held that
    "it is entirely reasonable to assume that [the prison guard]
    was notified or knew of the lawsuit commenced by[the
    prisoner] as a result of the assault." Id . at 13.
    In Jacobsen v. Osborne, 
    133 F.3d 315
    (5th Cir. 1998), the
    plaintiff brought a S 1983 action against a named officer
    (Osborne) and several unnamed officers, along with state
    tort claims against the City of New Orleans and the Sheriff.
    The plaintiff sought to have his amended complaint
    replacing Osborne with the previously unnamed other
    officers relate back under Rule 15(c)(3). The Fifth Circuit
    held that the newly named defendants received constructive
    notice because there was a sufficient identity of interest
    between the newly named officers, Officer Osborne, and the
    City to infer notice. The court based this conclusion on the
    fact that "the City Attorney, who represented the original
    City defendants (the City and Officer Osborne) . . . would
    necessarily have represented the newly-named officers. The
    City Attorney answered the complaint on behalf of the City
    and Officer Osborne and, to do so, presumably investigated
    the allegations, thus giving the newly-named officers the
    [Rule 15(c)(3)] notice of the action." 
    Id. at 320.
    In Keitt, 
    1994 WL 385333
    , the district court found that
    police officers employed by Amtrak did not have a sufficient
    18
    identity of interest with Amtrak for 15(c)(3) imputed notice
    purposes. The court stated that "[n]on-management
    employees, such as the officers herein, do not bear a
    sufficient nexus with their employer to permit a conclusion
    that they share an identity of interest in the litigation so as
    to permit the presumption that they received notice that
    they would be sued simply because their employer had
    timely notice." 
    Id. at *6
    (citing Perri v. Daggy, 
    776 F. Supp. 1345
    (N.D. Ind. 1991)).
    These cases demonstrate that this issue is a close one in
    this case. We believe, however, that Regan does not share
    sufficient identity of interest with SCI-Rockview so that
    notice given to SCI-Rockview can be imputed to Regan for
    Rule 15(c)(3) purposes. Regan was a staff level employee at
    SCI-Rockview with no administrative or supervisory duties
    at the prison. Thus, Regan's position at SCI-Rockview
    cannot alone serve as a basis for finding an identity of
    interest, because Regan was clearly not highly enough
    placed in the prison hierarchy for us to conclude that his
    interests as an employee are identical to the prison's
    interests. That is, Regan and SCI-Rockview are not"so
    closely related in their business operations or other
    activities that the institution of an action against one serves
    to provide notice of the litigation to the other." 6A Wright et
    al., supra, S 1499, at 146.
    Furthermore, the circumstances present in Ayala Serrano
    and Jacobsen that were the bases for the findings of
    identity of interest in those cases are not present in this
    case. In Ayala Serrano, the prison guard's continued close
    contact with the plaintiff led the court to conclude that the
    guard likely had notice of the instigation of the lawsuit.
    Here, Regan did not have such continuing contact with the
    plaintiff, so there is no similar basis for concluding that he
    would have received such notice. In Jacobsen, the key fact
    for the court was that the same City Attorney would likely
    have interviewed the newly named defendants soon after
    the lawsuit was filed, thus giving these defendants
    sufficient notice of the lawsuit within the relevant 120 day
    period. As we noted in the previous section, however, this
    case was originally filed in the Eastern District of
    Pennsylvania with a different attorney representing the
    19
    defendants, and it was only after the case was transferred
    to the Middle District that attorney Neuhauser began his
    representation of the defendants and investigation of the
    case--well after the 120 day period had expired. Because
    there is no evidence or any reason to believe that the
    previous attorney for the defendants represented or even
    contacted Regan, the basis for finding sufficient notice that
    existed in Jacobsen is not present here.
    Thus, we find ourselves in agreement with Keitt that,
    absent other circumstances that permit the inference that
    notice was actually received, a non-management employee
    like Regan does not share a sufficient nexus of interests
    with his or her employer so that notice given to the
    employer can be imputed to the employee for Rule 15(c)(3)
    purposes. For this reason, we reject the plaintiff 's identity
    of interest argument, and conclude that the District Court
    did not err in denying the plaintiff leave to amend her
    complaint to add Regan as a defendant.
    C. But for a Mistake Concerning the Identity of the
    Proper Party
    Rule 15(c)(3)(B) provides a further requirement for
    relating back an amended complaint that adds or changes
    a party: the newly added party knew or should have known
    that "but for a mistake concerning the identity of the proper
    party, the action would have been brought against the
    party." Fed. R. Civ. P. 15(c)(3)(B). The plaintiff argues that
    this condition is met in her proposed amended complaint,
    but the District Court found otherwise. The defendants also
    contend that (1) the plaintiff did not make a mistake as to
    Regan's identity, and (2) Regan did not know, nor should he
    have known, that the action would have been brought
    against him had his identity been known, because the
    original complaint named "Unknown Corrections Officers"
    and Regan is not a corrections officer but a staff
    psychologist.
    The   issue whether the requirements of Rule 15(c)(3)(B)
    are   met in this case is a close one. We begin by noting that
    the   bulk of authority from other Courts of Appeals takes
    the   position that the amendment of a "John Doe" complaint
    20
    --i.e., the substituting of real names for "John Does" or
    "Unknown Persons" named in an original complaint--does
    not meet the "but for a mistake" requirement in 15(c)(3)(B),
    because not knowing the identity of a defendant is not a
    mistake concerning the defendant's identity. See Wilson v.
    United States, 
    23 F.3d 559
    , 563 (1st Cir. 1994); Barrow v.
    Wethersfield Police Dept., 
    66 F.3d 466
    , 469 (2d Cir. 1995),
    amended by 
    74 F.3d 1366
    (2d Cir. 1996); W. Contracting
    Corp. v. Bechtel Corp., 
    885 F.2d 1196
    , 1201 (4th Cir. 1989);
    Jacobsen v. Osborne, 
    133 F.3d 315
    , 320 (5th Cir. 1998);
    Cox v. Treadway, 
    75 F.3d 230
    , 240 (6th Cir. 1996);
    Worthington v. Wilson, 
    8 F.3d 1253
    , 1256 (7th Cir. 1993);
    Powers v. Graff, 
    148 F.3d 1223
    , 1226-27 (11th Cir. 1998).
    This is, of course, a plausible theory, but in terms of both
    epistemology and semantics is subject to challenge.
    In Varlack v. SWC Caribbean, Inc., 
    550 F.2d 171
    , 175 (3d
    Cir. 1977), this Court appeared to have reached the
    opposite conclusion insofar as we held that the amendment
    of a "John Doe" complaint met all of the conditions for Rule
    15(c)(3) relation back, including the "but for a mistake"
    requirement. In Varlack, the plaintiff had filed a complaint
    against, inter alia, an "unknown employee" of a branch of
    the Orange Julius restaurant chain, alleging that this
    employee had hit him with a two-by-four in a fight, which
    caused him to fall through a plate glass window, injuring
    his arm so severely that it had to be amputated. After the
    statute of limitations had run, the plaintiff sought to amend
    his complaint to change "unknown employee" to the
    employee's real name, using Rule 15(c)(3) to have the
    amended complaint relate back to the original. The newly
    named defendant testified that he had coincidentally seen
    a copy of the complaint naming both Orange Julius and an
    "unknown employee" as defendants, and that he had
    known at that time that he was the "unknown employee"
    referred to. This Court affirmed the district court's grant of
    the 15(c)(3) motion, holding that the plaintiff met all the
    requirements of 15(c)(3), including the requirement that the
    newly named defendant "knew or should have known but
    for a mistake concerning the identity of the proper party."
    See 
    id. at 175.
    We are, of course, bound by Varlack insofar as it held
    21
    that the plaintiff 's lack of knowledge of a particular
    defendant's identity can be a mistake under Rule
    15(c)(3)(B). See Internal Operating Procedures of the United
    States Court of Appeals for the Third Circuit 9.1 (2000).4
    Moreover, as is also noted above, every other Court of
    Appeals that has considered this issue (specifically, the
    First, Second, Fourth, Fifth, Sixth, Seventh, and Eleventh
    Circuits) has come out contrary to Varlack; generally
    speaking, the analysis in these other cases centers on the
    linguistic argument that a lack of knowledge of a
    defendant's identity is not a "mistake" concerning that
    identity. However, even assuming that Varlack allows for
    amended "John Doe" complaints to meet Rule 15(c)(3)(B)'s
    "mistake" requirement, it is questionable whether the other
    parts of 15(c)(3)(B) are met in this case, namely, whether
    Regan knew or should have known that he would have
    been named in the complaint if his identity were known.
    Because the original complaint named "Unknown
    Corrections Officers," it is surely arguable that psychologist
    Regan would have no way of knowing that the plaintiff
    meant to name him.
    These are sticky issues. Because, as we explained above,
    the plaintiff 's argument on the applicability of Rule 15(c)(3)
    to her case fails on notice grounds, we do not need to
    _________________________________________________________________
    4. We note, however, that two district court cases from within this
    Circuit have seemingly concluded that Varlack 's holding does not entail
    that amended "John Doe" complaints meet Rule 15(c)(3)(B)'s "mistake"
    requirement, as these cases have followed the rule of the other Circuits
    in denying the relation back of amended complaints that replace "John
    Doe" defendants because there was no mistake involved in the original
    complaints. See Gallas v. The Supreme Court of Pennsylvania, 
    1998 WL 599249
    , at *4 (E.D. Pa. Aug. 24, 1998); Frazier v. City of Philadelphia,
    
    927 F. Supp. 881
    , 885 (E.D. Pa. 1996). The majority of district court
    cases from within this Circuit that have considered this issue, however,
    have followed the broader interpretation of Varlack and thus allowed the
    relation back of amended "John Doe" complaints under Rule 15(c)(3).
    See, e.g., Trant v. Towamencin Township, 
    1999 WL 317032
    at *5-*6 (E.D.
    Pa. 1999); Trautman v. Lagalski, 
    28 F. Supp. 2d 327
    , 330 (W.D. Pa.
    1998); Cruz v. City of Camden, 
    898 F. Supp. 1100
    , 1110 n.9 (D.N.J.
    1995); Advanced Power Sys., Inc. v. Hi-Tech Sys., Inc., 
    801 F. Supp. 1450
    , 1457 (E.D. Pa. 1992). We think this to be the better reading of
    Varlack.
    22
    decide these questions here. We do, however, take this
    opportunity to express in the margin our concern over the
    state of the law on Rule 15(c)(3) (in particular the other
    Circuits' interpretation of the "mistake" requirement) and to
    recommend to the Advisory Rules Committee a modification
    of Rule 15(c)(3) to bring the Rule into accord with the
    weight of the commentary about it.5
    _________________________________________________________________
    5. As we note in the text, some Courts of Appeals have held that
    proposed amended complaints that seek to replace a"John Doe" or other
    placeholder name in an original complaint with a defendant's real name
    do not meet Rule 15(c)(3)(B)'s "but for a mistake" requirement. We find
    this conclusion to be highly problematic. It is certainly not uncommon
    for victims of civil rights violations (e.g., an assault by police
    officers or
    prison guards) to be unaware of the identity of the person or persons
    who violated those rights. This information is in the possession of the
    defendants, and many plaintiffs cannot obtain this information until they
    have had a chance to undergo extensive discovery following institution of
    a civil action. If such plaintiffs are not allowed to relate back their
    amended "John Doe" complaints, then the statute of limitations period
    for these plaintiffs is effectively substantially shorter than it is for
    other
    plaintiffs who bring the exact same claim but who know the names of
    their assailants; the former group of plaintiffs would have to bring their
    lawsuits well before the end of the limitations period, immediately begin
    discovery, and hope that they can determine the assailants' names
    before the statute of limitations expires. There seems to be no good
    reason to disadvantage plaintiffs in this way simply because, for
    example, they were not able to see the name tag of the offending state
    actor.
    The rejoinder to this argument is that allowing the relation back of
    amended "John Doe" complaints risks unfairness to defendants, who,
    under the countervailing Varlack interpretation of Rule 15(c)(3)(B), may
    have a lawsuit sprung upon them well after the statute of limitations
    period has run. But fairness to the defendants is accommodated in the
    other requirements of Rule 15(c)(3), namely the requirements that (1) the
    newly named defendants had received "such notice of the institution of
    the action" during the relevant time period "that the party will not be
    prejudiced in maintaining a defense on the merits"; and (2) the newly
    named defendants knew or should have known that the original
    complaint was really directed towards them ("the action would have been
    brought against the party"). These requirements generally take care of
    the "springing a claim on an unsuspecting defendant" problem. Because
    these other Rule 15(c)(3) requirements must be met before an amended
    complaint can relate back, the "mistake" requirement of 15(c)(3), as
    interpreted by the other Circuits, would be dispositive in disallowing
    23
    III. Conclusion
    For the above reasons, the District Court's grant of
    summary judgment for the defendants and the court's
    _________________________________________________________________
    relation back only when the to-be-added defendants had timely notice of
    the lawsuit and knew that the lawsuit was really meant to be directed at
    them. We do not think that fairness requires that a plaintiff be barred
    from adding newly named parties as defendants when these newly
    named parties (1) knew about the lawsuit within the relevant time
    period, (2) knew they were the ones targeted, and (3) had the information
    as to their correct names but withheld that information from the plaintiff
    --indeed, we believe that fairness requires that a plaintiff in such a
    situation should be allowed to add the newly named defendants to his
    complaint.
    We also note that Rule 15(c)(3)(B)'s mistake requirement has been held
    to be met (and thus relation back clearly permitted) for an amended
    complaint that adds or substitutes a party when a plaintiff makes a
    mistake by suing the state but not individual officers in a S 1983 action.
    See Lundy v. Adamar of New Jersey, Inc., 
    34 F.3d 1173
    , 1192 n.13 (3d
    Cir. 1994) (Becker, J., concurring in part and dissenting in part)
    (listing
    cases in which plaintiffs have been permitted to have their complaints
    relate back when they made mistakes in the naming of defendants in
    their complaints, including naming states and state agencies instead of
    state officials in S 1983 cases). We think that it makes no sense to allow
    plaintiffs who commit such a clear pleading error to have their claims
    relate back, while disallowing such an option for plaintiffs who, usually
    through no fault of their own, do not know the names of the individuals
    who violated their rights. This disparity of treatment of S 1983
    plaintiffs
    seems to have no principled basis and should not be codified in our
    Rules of Civil Procedure.
    All of the commentators who address this issue (at least those that we
    found in our research) call for Rule 15(c)(3) to allow relation back in
    cases in which a "John Doe" complaint is amended to substitute real
    defendants' names. See Edward H. Cooper, Rule 15(c)(3) Puzzles at 3-5
    (November 1999) (unpublished manuscript, on file with the
    Administrative Office of the United States Courts, Rules Committee
    Support Office); Carol M. Rice, Meet John Doe: It is Time for Federal
    Civil
    Procedure to Recognize John Doe Parties, 57 U. Pitt. L. Rev. 883, 952-53
    (1996); Steven S. Sparling, Note, Relation Back of "John Doe" Complaints
    in Federal Courts: What You Don't Know Can Hurt You , 19 Cardozo L.
    Rev. 1235 (1997) (arguing that the structure, purpose, history and
    development of Rule 15(c) all cut in favor of allowing relation back of
    amended John Doe complaints).
    24
    order denying the plaintiff's motion to amend her
    complaint will be affirmed. The Clerk is directed to send
    copies of this opinion to the Chairman and Reporter of the
    Judicial Conference Advisory Committee on Civil Rules and
    the Standing Committee on Practice and Procedure, calling
    attention to footnote 5.
    A True Copy:
    Teste:
    Clerk of the United States Court of Appeals
    for the Third Circuit
    _________________________________________________________________
    In his manuscript "Rule 15(c)(3) Puzzles," Professor Edward H. Cooper
    of the University of Michigan Law School suggests the following
    alteration (in italics) in subsection 15(c)(3)(B) of the Rule in order to
    make it clear that the relation back of "John Doe" amended complaints
    is allowed: "the party to be brought in by amendment . . . knew or
    should have known that, but for a mistake or lack of information
    concerning the identity of the proper party . . . ." 
    Cooper, supra
    ,
    (manuscript at 8). We believe that a change in Rule 15(c)(3) along the
    lines advocated by Professor Cooper would fix the lack of fairness to
    plaintiffs with "John Doe" complaints that currently inheres in the other
    Circuits' interpretation of the Rule, and would bring the Rule more
    clearly into alignment with the liberal pleading practice policy of the
    Federal Rules of Civil Procedure.
    For these reasons, we encourage the Rules Advisory Committee to
    amend Rule 15(c)(3) so that it clearly embraces the Cooper approach to
    the relation back of "John Doe" complaints. As the Supreme Court has
    said, "the requirements of the rules of procedure should be liberally
    construed and . . . `mere technicalities' should not stand in the way of
    consideration of a case on its merits." Torres v. Oakland Scavenger Co.,
    
    487 U.S. 312
    , 316 (1988). Rule 15(c)(3) is clearly meant to further the
    policy of considering claims on their merits rather than dismissing them
    on technicalities, and this policy is substantially furthered by the
    Cooper
    approach to Rule 15(c)(3)(B).
    25
    

Document Info

Docket Number: 00-3579

Filed Date: 10/11/2001

Precedential Status: Precedential

Modified Date: 10/13/2015

Authorities (27)

Nestor Ayala Serrano v. Cruz Lebron Gonzalez , 909 F.2d 8 ( 1990 )

Wilson v. United States Government , 23 F.3d 559 ( 1994 )

kenneth-l-varlack-in-no-76-1143-v-swc-caribbean-inc-dba-orange , 550 F.2d 171 ( 1977 )

elgin-barrow-v-wethersfield-police-dept-wethersfield-town-of-and-john , 74 F.3d 1366 ( 1996 )

thomas-gleason-v-william-mcbride-paul-ranieri-vincent-buonanno-phillip , 869 F.2d 688 ( 1989 )

elgin-barrow-v-wethersfield-police-dept-wethersfield-town-of-and-john , 66 F.3d 466 ( 1995 )

Gary Eakins v. Amos Reed Samuel P. Garrison, and Robert L. ... , 710 F.2d 184 ( 1983 )

Robert Barkins and Douglas Kellup v. International Inns, ... , 825 F.2d 905 ( 1987 )

Jacobsen v. Osborne , 133 F.3d 315 ( 1998 )

tammy-nelson-jd-10-arleigh-eddy-jd-17-ida-kaufman-jd-26 , 60 F.3d 1010 ( 1995 )

paul-bechtel-wanda-elaine-greene-co-executors-of-estate-of-edward-g , 886 F.2d 644 ( 1989 )

sidney-lundy-claire-lundy-v-adamar-of-new-jersey-inc-ta-trop-world , 34 F.3d 1173 ( 1994 )

Donald Urrutia v. Harrisburg County Police Dept. Sean ... , 91 F.3d 451 ( 1996 )

darryl-leon-rouse-v-william-plantier-acting-superintendent-of-adtc , 182 F.3d 192 ( 1999 )

Richard Worthington, Plaintiff-Appellant/cross-Appellee v. ... , 8 F.3d 1253 ( 1993 )

Harriett Duet Kirk, Widow of Dalta Ray Kirk v. Alwynn J. ... , 629 F.2d 404 ( 1980 )

Richard Berndt v. State of Tennessee and Lakeshore Mental ... , 796 F.2d 879 ( 1986 )

joseph-walter-cox-and-bennie-burgan-jr-v-gregory-treadway-jerry-warman , 75 F.3d 230 ( 1996 )

Cruz v. City of Camden , 898 F. Supp. 1100 ( 1995 )

Perri v. Daggy , 776 F. Supp. 1345 ( 1991 )

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