Roger Vanderklok v. United States , 868 F.3d 189 ( 2017 )


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  •                               PRECEDENTIAL
    UNITED STATES COURT OF APPEALS
    FOR THE THIRD CIRCUIT
    _____________
    No. 16-3422
    _____________
    ROGER VANDERKLOK
    v.
    UNITED STATES OF AMERICA;
    TRANSPORTATION SECURITY ADMINISTRATION
    (TSA);
    CHARLES KIESER, TSA; CITY OF PHILADELPHIA;
    RAYMOND PINKNEY, Philadelphia Police;
    DETECTIVE M. WOJCIECHOWSKI, Philadelphia Police;
    KENNETH FLAVILLE, Philadelphia Police;
    JEH JOHNSON, Department of Homeland Security;
    JOHN S. PISTOLE, TSA
    Charles Kieser, TSA,
    Appellants
    _______________
    On Appeal from the United States District Court
    for the Eastern District of Pennsylvania
    (D.C. No. 2-15-cv-00370)
    District Judge: Hon. Gerald J. Pappert
    _______________
    ARGUED
    March 23, 2017
    Before: SMITH, Chief Judge, JORDAN, and ROTH, Circuit
    Judges.
    (Filed: August 22, 2017)
    _______________
    John C. Connell [ARGUED]
    Archer & Greiner
    One Centennial Square
    33 East Euclid Ave.
    Haddonfield, NJ 08033
    Jordan L. Fischer
    Jeffrey M. Scott
    Archer & Greiner
    1650 Market St. – 32nd Fl.
    Philadelphia, PA 19103
    Counsel for Appellant
    Nicholas A. Cummins
    Charity C. Hyde
    Bennett Bricklin & Saltzburg
    1601 Market St. – 16th Fl.
    Philadelphia, PA 19103
    Counsel for Defendants City of Philadelphia,
    Kenneth Flaville, Raymond Pinkney and
    Michael Wojciechowski
    2
    Colin M. Cherico
    Anne B. Taylor
    Office of United States Attorney
    615 Chestnut Street - #1250
    Philadelphia, PA 19106
    Counsel for Defendants United States of America,
    Transportation Security Administration,
    John S. Pistole and Jeh Johnson
    Robyn L. Goldenberg
    50 Ross Way
    Marlton, NJ 08053
    Thomas B. Malone [ARGUED]
    The Malone Firm, LLC
    1650 Arch St. – Ste. 2501
    Philadelphia, PA 19103
    Counsel for Appellee
    Bejamin C. Mizer
    Paul J. Fishman
    Daniel J. Aguilar [ARGUED]
    Sharon Swingle
    Mary Hampton Mason
    Andrea Jae Friedman
    United States Dept. of Justice
    Civil Division – Rm. 7266
    950 Pennsylvania Avenue, N.W.
    Washington, DC 20530
    Counsel for Amicus Appellant
    _______________
    OPINION OF THE COURT
    3
    _______________
    JORDAN, Circuit Judge.
    Roger Vanderklok wanted to fly from Philadelphia to
    Miami, where he intended to run a half-marathon. In his
    carry-on luggage, he had a heart monitor and watch stored
    inside a piece of PVC pipe that was capped on both ends.
    During screening at the airport security checkpoint, the pipe
    and electronics prompted secondary screening, supervised by
    Transportation Security Administration (TSA) employee
    Charles Kieser. According to Vanderklok, Kieser was
    disrespectful and aggressive, so Vanderklok stated an intent
    to file a complaint against him. Vanderklok claims that
    Kieser, in retaliation, called the Philadelphia police and
    falsely reported that Vanderklok had threatened to bring a
    bomb to the airport.        Based on Kieser’s statement,
    Vanderklok was arrested. He was later acquitted of all
    criminal charges when Kieser’s testimony about
    Vanderklok’s behavior did not match airport surveillance
    footage. Vanderklok then brought this suit against Kieser and
    others, asserting numerous statutory and constitutional
    violations.
    Kieser moved for summary judgment, arguing, among
    other things, that he was entitled to qualified immunity on
    Vanderklok’s First Amendment claim and that Vanderklok
    had failed to make out a Fourth Amendment claim on the
    merits. The United States District Court for the Eastern
    District of Pennsylvania concluded that Kieser lacked
    qualified immunity as to Vanderklok’s First Amendment
    claim and that a reasonable jury could find in Vanderklok’s
    favor as to his Fourth Amendment claim. It therefore denied
    4
    the summary judgment motion. Kieser filed this interlocutory
    appeal.
    Because Kieser sought and was denied summary
    judgment on the merits of Vanderklok’s Fourth Amendment
    claim, rather than on the basis of qualified immunity, that
    claim cannot be reviewed on interlocutory appeal. By
    contrast, Kieser’s appeal of the denial of qualified immunity
    as to Vanderklok’s First Amendment claim is properly before
    us. As it turns out, however, a preliminary and dispositive
    question must be answered first: whether a First Amendment
    claim against a TSA employee for retaliatory prosecution
    even exists in the context of airport security screenings.
    Because we conclude that it does not, we will vacate the
    District Court’s order, without reaching the issue of qualified
    immunity, and direct the District Court to enter judgment for
    Kieser on the First Amendment claim.
    I.    BACKGROUND
    A.      Factual Background1
    In January 2013, Vanderklok, a gentleman in his late
    fifties, arrived at the Philadelphia International Airport,
    intending to travel to Miami to participate in a half-marathon.
    He entered the passenger screening area, where his carry-on
    bag was x-rayed by TSA personnel. The x-ray images
    1
    In reviewing the District Court’s denial of qualified
    immunity, we are required to take the facts in the light most
    favorable to Vanderklok. Scott v. Harris, 
    550 U.S. 372
    , 377
    (2007).
    5
    revealing his heart monitor and watch, stored in a short length
    of PVC pipe, triggered secondary screening of his bag.
    Vanderklok was directed to the secondary screening
    area, where TSA screeners manually examined his bag and its
    contents. At this point in the story, the parties’ versions of
    events diverge dramatically. Kieser, a TSA supervisor and
    the last remaining defendant in this case, left his supervisory
    station and came to the secondary screening area to observe
    the line agent’s examination of Vanderklok’s bag.
    Vanderklok maintains that at all times he was patient and not
    agitated during the secondary screening but that Kieser was
    agitated and argumentative throughout.          Kieser asserts
    essentially the opposite: that Vanderklok was belligerent
    during the secondary search. In Kieser’s telling, Vanderklok
    said, “I could bring a bomb through here any day I want and
    you’ll never find it.” (JA 8.) Vanderklok denies making that
    or any similar statement. He says that Kieser fabricated the
    statement after Vanderklok asked for a complaint form and
    stated his intention to report Kieser’s behavior. There were
    no other known witnesses to Vanderklok’s alleged statement.
    Once the secondary screening was complete, Vanderklok’s
    bag and all of its original contents, other than the PVC pipe,
    were returned.        Vanderklok then exited the security
    checkpoint area and began to rearrange his bag.
    As Vanderklok exited the screening area, Kieser called
    an airport police officer to report the statement Vanderklok
    allegedly made about a bomb. Officer Pinkney of the
    Philadelphia Police Department approached Vanderklok
    outside the screening area approximately five minutes after
    Vanderklok had requested the complaint form. Based on
    Kieser’s claim that Vanderklok had made a bomb threat,
    6
    Pinkney and another officer took Vanderklok into custody,
    placing him in a holding cell at the airport police station.
    Detective Wojciechowski, also of the Philadelphia Police
    Department, was assigned to further investigate. He spoke
    with Kieser, who repeated that Vanderklok made a bomb
    threat and was “irate” and “loud” during the secondary
    screening.2    (JA 311.)      After a brief investigation,
    Wojciechowski recommended that Vanderklok be charged
    with disorderly conduct and threatening placement of a bomb.
    The District Attorney approved those charges and eventually
    added a third charge for making terroristic threats.
    Vanderklok was handcuffed and transported to a nearby
    police station where he was held until making a first
    appearance and posting bond.
    Vanderklok was tried in the Philadelphia Court of
    Common Pleas on April 8, 2013. During that trial, the only
    witness produced by the Commonwealth was TSA agent
    Kieser.     Kieser testified on direct examination that
    Vanderklok was agitated and waved his arms in the air
    repeatedly during the secondary screening.           On cross
    examination, he further elaborated on his assertion that
    Vanderklok was physically disruptive at the checkpoint.
    Surveillance video of almost the entire interaction was played
    during the cross examination of Officer Pinkney and Kieser’s
    testimony was shown to be largely inconsistent with the
    video. After the Commonwealth’s case-in-chief, Vanderklok
    2
    Detective Wojciechowski’s investigative report
    shows that Officer Pinkney’s original detention of
    Vanderklok and the formal charges against him were based
    entirely on Kieser’s assertions.
    7
    made a motion for judgment of acquittal on all counts, which
    was granted.
    B.     Procedural Background
    Following his acquittal, Vanderklok brought suit in the
    District Court against Kieser, the United States, the TSA, the
    City of Philadelphia, and various police officers. In his
    Amended Complaint, Vanderklok asserted nine claims: (1)
    unconstitutional search and seizure in violation of the Fourth
    Amendment, under 42 U.S.C. § 1983 and Bivens v. Six
    Unknown Named Agents of Federal Bureau of Narcotics;3 (2)
    unconstitutional infringement of the freedom of speech in
    violation of the First Amendment, under § 1983 and Bivens;
    (3) false arrest, under Pennsylvania law and the Federal Tort
    Claims Act (“FTCA”); (4) false imprisonment, under
    Pennsylvania law and the FTCA; (5) assault and battery,
    under Pennsylvania law and the FTCA; (6) constitutional
    deprivations by the City of Philadelphia, under Monell v.
    Department of Social Services;4 (7) malicious prosecution in
    violation of the Fourth Amendment, under Pennsylvania law,
    the FTCA, and § 1983; (8) retaliatory prosecution in violation
    3
    
    403 U.S. 388
    , 392 (1971) (holding that a remedy is
    available for a federal agent’s violation of a citizen’s Fourth
    Amendment right to be free from warrantless searches and
    seizures).
    4
    
    436 U.S. 658
    , 694 (1978) (holding that a
    municipality is subject to suit under 42 U.S.C. § 1983 when a
    constitutional deprivation is the result of a policy or custom
    instituted by its policymakers).
    8
    of the Fourth Amendment, under Pennsylvania law, the
    FTCA, and § 1983; and (9) violations of due process rights,
    under the Fourteenth Amendment and the FTCA.
    The police officers and the City of Philadelphia
    responded with a motion to dismiss. The District Court
    granted the motion as to the police officers, holding that they
    had probable cause to arrest Vanderklok and, even if they did
    not, they were protected by qualified immunity. Vanderklok
    v. United States, 
    140 F. Supp. 3d 373
    , 385 (E.D. Pa. 2015).
    Then, after dismissing the claims against the police officers,
    the Court held that, “[w]ithout an underlying constitutional
    violation, Vanderklok’s Monell claim [against the City of
    Philadelphia] must similarly be dismissed.” 
    Id. at 387.
    The claims under the FTCA, in addition to being
    brought against individual defendants, were asserted against
    the United States. The United States moved to substitute
    itself in place of those individual defendants and then moved
    to dismiss all claims against itself, citing sovereign immunity.
    Vanderklok v. United States, 
    142 F. Supp. 3d 356
    , 360 (E.D.
    Pa. 2015), appeal dismissed (Feb. 8, 2016). The District
    Court granted those motions, and therefore all of the state tort
    claims were dismissed. 
    Id. at 358.
    None of those rulings are before us now.5 Vanderklok
    v. United States, No. CV 15-00370, 
    2015 WL 12844282
    , at
    5
    Vanderklok moved under Federal Rule of Civil
    Procedure 54(b) to certify the orders of dismissal for appeal.
    That rule permits district courts to “direct entry of final
    judgment as to one or more, but fewer than all, claims or
    parties … if the court expressly determines that there is no
    9
    *2 (E.D. Pa. Dec. 4, 2015). Only Vanderklok’s First
    Amendment retaliatory prosecution claim and his Fourth
    Amendment malicious prosecution claim are left, and only as
    to Kieser.6 Kieser had moved for summary judgment on
    those claims too, but the District Court denied that motion.
    As to the First Amendment retaliatory prosecution claim, the
    Court first determined that such a cause of action does exist,
    relying on Bivens. It then concluded that Kieser was not
    entitled to qualified immunity from that claim. As to the
    Fourth Amendment malicious prosecution claim, the Court
    addressed the merits and determined that there was a material
    dispute of fact that precluded summary judgment.
    This interlocutory appeal followed.
    II.    JURISDICTION
    “[W]e normally do not entertain appeals from a district
    court order denying a motion for summary judgment because
    such orders do not put an end to the litigation.” Rivas v. City
    of Passaic, 
    365 F.3d 181
    , 191 (3d Cir. 2004). But a special
    just reason for delay.” Fed. R. Civ. P. 54(b). The District
    Court denied certification. Vanderklok v. United States, No.
    CV 15-00370, 
    2015 WL 12844282
    , at *2 (E.D. Pa. Dec. 4,
    2015).
    6
    The District Court granted partial summary judgment
    to Kieser on          Vanderklok’s Fourth Amendment
    unconstitutional search and seizure claim because Vanderklok
    did not oppose Kieser’s motion on that claim. Vanderklok v.
    United States, No. CV 15-00370, 
    2016 WL 4366976
    , at *1
    (E.D. Pa. Aug. 16, 2016).
    10
    class of rulings called “collateral orders” escape that general
    practice. 
    Id. We will
    hear interlocutory appeals from such
    orders because they “(i) conclusively determine the disputed
    issue, (ii) resolve an important issue entirely separate from
    the merits of the lawsuit, and (iii) cannot be effectively
    reviewed on appeal from a final judgment.” 
    Id. Included within
    the classification of “collateral orders”
    is a denial of “a defendant’s motion for summary judgment
    … so long as: (1) the defendant is a public official asserting a
    qualified immunity defense; and (2) the issue on appeal is
    whether the facts alleged by the plaintiff demonstrate a
    violation of clearly established federal law, not which facts
    the plaintiff might be able to prove at trial.” 
    Id. (emphasis removed)
    (citing Mitchell v. Forsyth, 
    472 U.S. 511
    , 528
    (1985)). Excepted from that classification is an order denying
    summary judgment that, “though entered in a ‘qualified
    immunity’ case, determines only a question of ‘evidence
    sufficiency,’ i.e., which facts a party may, or may not, be able
    to prove at trial.” 
    Id. at 192
    (quoting Johnson v. Jones, 
    515 U.S. 304
    , 313 (1995)). Here, the only properly appealable
    issues are the ones related to the District Court’s denial of
    qualified immunity on Vanderklok’s First Amendment claim.
    The Court denied Kieser’s motion for summary
    judgment on that claim after concluding that the law does
    provide for such a claim and that Kieser was not entitled to
    qualified immunity with respect to it. The qualified immunity
    dispute centers on whether a First Amendment right to be free
    from retaliation by a TSA employee was clearly established at
    the time of the incident in question. That is exactly the type
    of issue we have jurisdiction to review, because qualified
    immunity is immunity from suit altogether and thus “cannot
    11
    be effectively vindicated after the trial has occurred.”
    
    Mitchell, 472 U.S. at 525
    . And since the issue of whether a
    cause of action even exists against a TSA employee for First
    Amendment retaliation is a threshold question of law, we
    have jurisdiction to consider that as well. See Wilkie v.
    Robbins, 
    551 U.S. 537
    , 549 n.4 (2007) (explaining that the
    existence of a cause of action is “directly implicated by the
    defense of qualified immunity and properly before us on
    interlocutory appeal” (quoting Hartman v. Moore, 
    547 U.S. 250
    , 257 n.5 (2006))).
    We do not, however, have jurisdiction over Kieser’s
    appeal to the extent that it challenges the District Court’s
    denial of summary judgment as to Vanderklok’s Fourth
    Amendment malicious prosecution claim. Kieser attempts to
    add a jurisdictional hook to his Fourth Amendment challenge
    by arguing that, because there is no way for him to be liable
    on the present record, he “remains qualifiedly immune.”
    (Opening Br. at 30.) More particularly, he argues that “[t]he
    District Court’s denial of qualified immunity at the summary
    judgment stage fundamentally misapplied the premise that the
    existence of probable cause will not insulate a defendant from
    liability if that defendant can be shown to have fabricated the
    predicate for that probable cause.” (Id. at 31.)
    Whatever the merit of that argument, it ignores that
    Kieser did not seek a qualified immunity ruling from the
    District Court on the Fourth Amendment malicious
    prosecution claim, and thus the Court did not adjudicate the
    qualified immunity issue. Kieser instead argued in the
    District Court that there was a lack of sufficient admissible
    evidence to support that constitutional claim. A reading of
    the District Court’s thorough opinion confirms that the Court
    12
    denied summary judgment based on material disputes of fact
    essential to the elements of Vanderklok’s Fourth Amendment
    malicious prosecution claim, including that Kieser lacked
    probable cause. At no point in the Court’s discussion of that
    claim did the issue of qualified immunity arise.
    Kieser’s failure to obtain a qualified immunity ruling
    from the District Court is not simply a waiver problem that
    we can overlook, as he seems to hope. The fact that he was
    denied summary judgment on the merits of that Fourth
    Amendment claim rather than on qualified immunity grounds
    deprives us of jurisdiction on interlocutory appeal, and we
    have no discretion to overlook that. His argument that we
    should consider qualified immunity on that claim because it
    serves judicial economy similarly fails. Judicial economy
    gives us no warrant to extend our jurisdiction past its set
    limits.7
    In sum, our jurisdiction at this point extends only to
    the issue of whether Kieser ought to be immune from suit for
    Vanderklok’s First Amendment retaliation claim, and,
    7
    Even if Kieser had properly raised the issue of
    qualified immunity, we would still be without jurisdiction to
    review it because that issue would turn on the disputed facts
    of the case decided by the District Court. See Rivas v. City of
    Passaic, 
    365 F.3d 181
    , 191 (3d Cir. 2004) (“[W]e lack
    jurisdiction to consider whether the district court correctly
    identified the set of facts … sufficient to establish a violation
    of a clearly established constitutional right.” (quoting
    Ziccardi v. City of Philadelphia, 
    288 F.3d 57
    , 61 (3d Cir.
    2002))).
    13
    preliminary to that, whether such a claim exists at all in the
    specific circumstances of this case.
    III.   DISCUSSION
    A.     The Expansion of Bivens Actions to New
    Contexts is Strictly Limited.
    It may help at the outset to examine the development
    of implied rights of action, to establish the perspective we
    must take in evaluating Vanderklok’s First Amendment
    retaliation claim. The Supreme Court first implied a private
    right of action for damages for a deprivation of constitutional
    rights by federal officers in Bivens v. Six Unknown Named
    Agents of the Federal Bureau of Narcotics, 
    403 U.S. 388
    (1971). Thus, such actions brought directly under the
    Constitution against federal officials have become known as
    “Bivens actions.” The authority of federal courts “to imply a
    new constitutional tort, not expressly authorized by statute, is
    anchored in our general jurisdiction to decide all cases
    ‘arising under the Constitution, laws, or treaties of the United
    States.’” Corr. Serv. Corp. v. Malesko, 
    534 U.S. 61
    , 66
    (2001) (quoting 28 U.S.C. § 1331). It is, however, an
    authority rarely invoked. In Bivens itself, the Supreme Court
    implied a private right of action under the Fourth
    
    Amendment. 403 U.S. at 389
    . Since Bivens, such actions
    have been recognized under the Fifth Amendment’s due
    process clause, Davis v. Passman, 
    442 U.S. 228
    (1979), and
    the Eighth Amendment’s prohibition against cruel and
    unusual punishment, Carlson v. Green, 
    446 U.S. 14
    (1980).
    But, over the course of nearly four decades, the Supreme
    Court has repeatedly refused to recognize Bivens actions in
    any new contexts. Cf. Carlson, 
    446 U.S. 14
    (providing the
    14
    last set of novel circumstances in which the Court implied a
    Bivens action).
    The Supreme Court has never implied a Bivens action
    under any clause of the First Amendment. See Reichle v.
    Howards, 
    566 U.S. 658
    n.4 (2012) (“We have never held that
    Bivens extends to First Amendment claims.”). Instead, it has,
    solely for analytical purposes, assumed that such an action
    exists. It has not actually decided the matter. See Wood v.
    Moss, 
    134 S. Ct. 2056
    , 2067 (2014) (“[W]e have several
    times assumed without deciding that Bivens extends to First
    Amendment claims. We do so again in this case.” (internal
    citation omitted)).
    Our Court, on the other hand, has taken that step.
    First, in Paton v. La Prade, we held that a high school student
    who mailed an envelope to the Socialist Workers Party, and
    had her name and address recorded by the FBI as a result,
    could seek redress under Bivens for a violation of her First
    Amendment free speech rights. 
    524 F.2d 862
    , 870 (3d Cir.
    1975). Then, in Milhouse v. Carlson, we extended Paton to
    imply a Bivens cause of action under the First Amendment for
    the denial of a prisoner’s right of access to the courts. 
    652 F.2d 371
    , 374 (3d Cir. 1981). Recently, though, in George v.
    Rehiel, we took a more cautious approach and assumed
    without deciding that a Bivens action could exist to vindicate
    a First Amendment right to be free of government retaliation
    for speech. 
    738 F.3d 562
    , 585 n.24 (3d Cir. 2013) (“[W]e
    will proceed on the assumption that there is a Bivens cause of
    action for First Amendment retaliation claims.”). We made
    that assumption, coincidentally, in the very context we now
    face – a dispute involving airport security screeners. 
    Id. at 567-68.
    15
    The present case compels us to decide the issue we
    assumed away in George. The facts here require it.
    Moreover, as the role of the TSA has become prevalent in the
    lives of the traveling populace, disputes involving airport
    screening personnel may come up with some frequency, and
    the existence of a Bivens action for First Amendment
    retaliation is no longer something that we should assume
    without deciding. Today we hold that Bivens does not afford
    a remedy against airport security screeners who allegedly
    retaliate against a traveler who exercises First Amendment
    rights.
    Our conclusion is informed by a long course of
    precedent. Since our decisions in Paton and Milhouse
    permitting Bivens actions in certain First Amendment
    contexts, the Supreme Court has plainly counseled against
    creating new Bivens causes of action.8 The Court has
    explained that its recognition of a cause of action under a
    constitutional amendment does not mean that such an action
    can vindicate every violation of the rights afforded by that
    8
    See, e.g., Minneci v. Pollard, 
    565 U.S. 118
    (2012)
    (refusing to extend Eighth Amendment Bivens action to
    individuals working at a private prison); FDIC v. Meyer, 
    510 U.S. 471
    (1994) (refusing to extend Bivens claim to federal
    agency defendant); Schweiker v. Chilicky, 
    487 U.S. 412
    (1988) (refusing to extend Bivens to case involving wrongful
    denials of disability benefits); United States v. Stanley, 
    483 U.S. 669
    (1987) (refusing to extend Bivens to case involving
    injuries suffered incident to military service); Chappell v.
    Wallace, 
    462 U.S. 296
    (1983) (refusing to extend Bivens to
    case involving racial discrimination by superiors in military).
    16
    particular amendment. Compare 
    Davis, 442 U.S. at 243-44
    (permitting Bivens action against Congressman for violation
    of Fifth Amendment due process rights) with Schweiker v.
    Chilicky, 
    487 U.S. 412
    , 428-29 (1988) (refusing to permit
    Bivens action in social security context for violation of Fifth
    Amendment due process rights). The recognition of a cause
    of action is context-specific. As the Supreme Court said only
    last month,
    [a] case might differ in a meaningful way
    because of the rank of the officers involved; the
    constitutional right at issue; the generality or
    specificity of the official action; the extent of
    judicial guidance as to how an officer should
    respond to the problem or emergency to be
    confronted; the statutory or other legal mandate
    under which the officer was operating; the risk
    of disruptive intrusion by the Judiciary into the
    functioning of other branches; or the presence
    of potential special factors that previous Bivens
    cases did not consider.
    Ziglar v. Abbasi, 
    137 S. Ct. 1843
    , 1860 (2017).
    Our past pronouncements are thus not controlling in
    the specific circumstances now at issue. It is not enough to
    argue, as Vanderklok does, that First Amendment retaliation
    claims have been permitted under Bivens before. We must
    look at the issue anew in this particular context, airport
    security, and as it pertains to this particular category of
    defendants, TSA screeners. 
    Malesko, 534 U.S. at 68
    (“[W]e
    have consistently refused to extend Bivens liability to any
    new context or new category of defendants.”).
    17
    Since Bivens was decided, judicial attitudes about the
    creation of new causes of action have changed considerably.
    Courts will no longer imply rights and remedies as a matter of
    course, “no matter how desirable that might be as a policy
    matter, or how compatible with the statute [or constitutional
    provision].” 
    Ziglar, 137 S. Ct. at 1856
    (quoting Alexander v.
    Sandoval, 
    532 U.S. 275
    , 287 (2001)); see also Ziglar, 137 S.
    Ct. at 1869 (Thomas, J. concurring) (“Bivens is a relic of the
    heady days in which this Court assumed common-law powers
    to create causes of action.” (internal quotations omitted)).
    “Given the notable change in the [Supreme] Court’s approach
    to recognizing implied causes of action … the Court has
    made clear that expanding the Bivens remedy is now a
    ‘disfavored’ judicial activity.” 
    Ziglar, 137 S. Ct. at 1848
    (citing Ashcroft v. Iqbal, 
    556 U.S. 662
    , 675 (2009)). So, for
    decades, the Supreme Court has repeatedly refused to extend
    Bivens actions beyond the specific clauses of the specific
    amendments for which a cause of action has already been
    implied, or even to other classes of defendants facing liability
    under those same clauses. See, e.g., Wilkie, 
    551 U.S. 537
    (refusing to extend Bivens to invasion of property rights);
    Malesko, 
    534 U.S. 61
    (refusing to extend Bivens to alleged
    Eighth Amendment violations by employees of private
    prisons); Bush v. Lucas, 
    462 U.S. 267
    , 390 (1983) (refusing to
    imply a First Amendment Bivens action against a federal
    employer). Instead, it has established a rigorous inquiry that
    must be undertaken before implying a Bivens cause of action
    in a new context or against a new category of defendants.
    
    Wilkie, 551 U.S. at 550
    .
    In accordance with that inquiry, as laid out in Wilkie v.
    Robbins, we must first ask “whether any alternative, existing
    18
    process for protecting the interest amounts to a convincing
    reason for the Judicial Branch to refrain from providing a new
    and freestanding remedy in damages.” 
    Id. Then, “even
    in the
    absence of an alternative, … ‘[we] must make the kind of
    remedial determination that is appropriate for a common-law
    tribunal, paying particular heed … to any special factors
    counselling hesitation before authorizing a new kind of
    federal litigation.’” 
    Id. (quoting Bush
    , 462 U.S. at 378). We
    turn to those questions next.
    B.      No Alternative Process May Have Been
    Available.
    At the first step in the Wilkie analysis, we ask whether
    there is any “‘alternative, existing process’ capable of
    protecting the constitutional interests at stake.” Minneci v.
    Pollard, 
    565 U.S. 118
    , 125 (2012) (quoting 
    Wilkie, 551 U.S. at 550
    ). Here, Vanderklok’s constitutional interest is in
    exercising his right to free speech at an airport security
    checkpoint without retaliation by a TSA screener.
    Vanderklok attempted to vindicate that constitutional interest
    by bringing state law and constitutional claims against both
    Kieser and the United States. He asserted in his Amended
    Complaint that his state law claims could be brought against
    Kieser individually and against the United States under the
    FTCA’s waiver of sovereign immunity. But the District
    Court held that the United States could substitute itself in
    place of Kieser as a defendant. The Court then dismissed all
    claims against the United States, including those for which
    the United States had substituted itself in place of Kieser.
    Although those rulings are not before us, we take note of
    them as we determine whether remedies exist as an
    alternative to a Bivens claim.
    19
    The United States can generally be substituted for
    federal employees facing liability for state law tort claims
    when they “are sued for damages for harms caused in the
    course of their employment[.]” Hui v. Castaneda, 
    559 U.S. 799
    , 801 (2010) (citing 28 U.S.C. §§ 1346, 2671-2680).
    Once the United States substitutes itself for an individual
    defendant, the district courts only have jurisdiction to hear
    those claims if the United States has explicitly waived its
    sovereign immunity. If it has, then it can be held liable under
    the FTCA for the acts or omissions of federal employees, but
    only if it would otherwise be liable under “the law of
    respondeat superior of the state in which the act or omission
    occurred.” Lomando v. United States, 
    667 F.3d 363
    , 373 (3d
    Cir. 2011) (quoting McSwain v. United States, 
    422 F.2d 1086
    ,
    1087-88 (3d Cir. 1970) (further citation omitted)).
    If the United States is sued in tort, or once the United
    States substitutes itself as a defendant in a tort case, the
    FTCA provides the exclusive avenue to relief, if any can be
    had. See 28 U.S.C. § 2679(b)(1) (“The remedy against the
    United States provided by sections 1346(b) and 2672 of this
    title … is exclusive of any other civil action or proceeding for
    money damages[.]”). The remedies available are either an
    administrative settlement, as allowed by 28 U.S.C. § 2672,9
    9
    28 U.S.C. § 2672 provides, in relevant part, that:
    The head of each Federal agency or his
    designee, in accordance with regulations
    prescribed by the Attorney General, may
    consider,   ascertain,   adjust,     determine,
    compromise, and settle any claim for money
    damages against the United States for injury or
    20
    or traditional tort damages, as afforded under 28 U.S.C.
    § 1346(b).10 There are two types of claims that are exempt
    from the general rule that the FTCA provides the exclusive
    means for relief: first, claims that are “brought for a violation
    of the Constitution of the United States,” and second, claims
    that are “brought for a violation of a statute of the United
    States under which such action against an individual is
    otherwise authorized.” 28 U.S.C. § 2679(b)(2)(A) and (B).
    Since, at this point in the analysis, we are considering
    whether any alternatives to a Bivens action are available to
    loss of property or personal injury or death
    caused by the negligent or wrongful act or
    omission of any employee of the agency while
    acting within the scope of his office or
    employment, under circumstances where the
    United States, if a private person, would be
    liable to the claimant in accordance with the law
    of the place where the act or omission occurred
    10
    28 U.S.C. § 1346(b) provides, in relevant part, that:
    [T]he district courts … shall have exclusive
    jurisdiction of civil actions on claims against
    the United States, for money damages, … for
    injury or loss of property, or personal injury or
    death caused by the negligent or wrongful act or
    omission of any employee of the Government
    while acting within the scope of his office or
    employment, under circumstances where the
    United States, if a private person, would be
    liable to the claimant in accordance with the law
    of the place where the act or omission occurred.
    21
    remedy a constitutional violation, the first exemption does not
    advance our inquiry, as it simply notes that a Bivens action
    itself is available. And because there is no explicit statutory
    violation at issue here, the second exception also provides no
    alternative remedy. Vanderklok thus has only his state law
    claims as a possible alternative to a Bivens action. But there
    is no waiver of immunity for state law claims brought against
    a government employee “acting within the scope of his office
    or employment[,]” except to the extent specified in the FTCA.
    
    Id. § 2679(b)(1).
    That leaves Vanderklok to proceed with his
    state law claims against the government under either § 2672
    or § 1346(b).11
    Under § 2672, an agency is authorized to settle with
    claimants for money damages up to $25,000, or higher if
    approval from the Attorney General is obtained. Here,
    Vanderklok did not obtain such a remedy.12 Therefore, he is
    left with whatever relief may exist under § 1346(b). As noted
    earlier, 
    see supra
    n.10, § 1346(b) provides that the district
    courts “shall have exclusive jurisdiction of civil actions on
    11
    Section 1346(a) is inapplicable as it relates to “the
    recovery of … internal-revenue tax[.]”
    12
    The record is unclear as to whether or not
    Vanderklok sought such an administrative settlement. If he
    did, no mention is made of it. We may presume that he did,
    however, since failure to pursue that administrative remedy
    would likely be grounds for dismissal in itself. See McNeil v.
    United States, 
    508 U.S. 106
    , 113 (1993) (“The FTCA bars
    claimants from bringing suit in federal court until they have
    exhausted their administrative remedies.”).
    22
    claims against the United States, for money damages …
    caused by the negligent or wrongful act or omission of any
    employee of the [g]overnment while acting within the scope
    of his office or employment[.]” 28 U.S.C. § 1346(b). That
    section further provides that the government is liable for such
    damages “under circumstances where [it], if a private person,
    would be liable to the claimant in accordance with the law of
    the place where the act or omission or occurred.” 
    Id. Even when
    the government can be sued under
    § 1346(b), however, there are exceptions contained within
    § 2680 that preclude the application of § 1346(b) to certain
    tort claims. The exceptions laid out in § 2680 include a
    disclaimer of liability for the United States for “[a]ny claim
    arising out of assault, battery, false imprisonment, false arrest,
    malicious prosecution, abuse of process, libel, slander,
    misrepresentation, deceit, or interference with contract
    rights.” 28 U.S.C. § 2680(h). That is known as the
    “intentional tort exception,” Millbrook v. United States, 
    133 S. Ct. 1441
    , 1443 (2013) (quotation omitted),                 and
    Vanderklok’s state law tort claims – false arrest, false
    imprisonment, battery, assault, retaliatory prosecution,13 and
    13
    It might be asked whether Vanderklok’s “PA State
    Retaliatory Prosecution” claim falls within that exception. In
    our view, it does. The Supreme Court has likened a
    retaliatory prosecution claim to the common law analogs of
    malicious prosecution and abuse of process, 
    Hartman 547 U.S. at 258
    (“[W]e could debate whether the closer common-
    law analog to retaliatory prosecution is malicious prosecution
    (with its no-probable-cause element) or abuse of process
    (without it).”), both of which are included explicitly within
    the statute. In addition, we have interpreted the “arising
    23
    malicious prosecution – fall within that exception to the
    waiver of immunity. So it would appear that Vanderklok is
    out of luck under the FTCA.
    But, in an added bit of complication, claims that fall
    within the intentional tort exception in that statute have
    another chance at survival because there is an exception to the
    exception that can bring them back within the waiver of
    sovereign immunity. Section 2680(h) creates that second-
    level exception “with regard to acts or omissions of
    investigative or law enforcement officers of the United States
    Government,” for any claim arising “out of assault, battery,
    false imprisonment, false arrest, abuse of process, or
    malicious prosecution.”       That is known as the “law
    enforcement proviso.” 
    Millbrook, 133 S. Ct. at 1444
    . The
    FTCA defines an “investigative or law enforcement officer”
    as “any officer of the United States who is empowered by law
    to execute searches, to seize evidence, or to make arrests for
    violations of Federal law.” 28 U.S.C. § 2680(h).
    Here, the District Court concluded that Kieser was not
    an investigative or law enforcement agent because he was not
    an “officer” of the United States under that definition.
    
    Vanderklok, 142 F. Supp. 3d at 361
    . In reaching that
    under” language of the intentional tort exception broadly. See
    Beneficial Consumer Disc. Co. v. Poltonowicz, 
    47 F.3d 91
    ,
    96-97 (3d Cir. 1995) (holding that a fraud claim falls within
    the intentional torts of “misrepresentation” and “deceit” listed
    in the exception).        Therefore, although not explicitly
    enumerated in the statute, retaliatory prosecution also falls
    within the intentional tort exception.
    24
    conclusion, the District Court first noted that, in other
    sections of the FTCA, Congress chose to use the term
    “federal employee” rather than “officer of the United States.”
    
    Id. It therefore
    sought to determine when a TSA employee
    becomes an officer of the United States. The Court found its
    answer in the Aviation and Transportation Security Act,
    which created the TSA and designates as “law enforcement
    personnel” only those TSA agents who are “(1) authorized to
    carry and use firearms; (2) vested with the degree of the
    police power …; and (3) identifiable by appropriate indicia of
    authority.” 49 U.S.C. § 44903(a)(1)-(3). Based on that, the
    District Court concluded that Kieser was a “federal
    employee[], who conduct[s] airport security screening;” not a
    “law enforcement officer[], who perform[s] various law
    enforcement functions.”14 
    Id. Therefore, it
    held that the
    United States retained its sovereign immunity and that the
    state law claims had to be dismissed for lack of jurisdiction.
    
    Vanderklok, 142 F. Supp. 3d at 362
    . The District Court’s
    decision about the applicability of the law enforcement
    proviso is not on appeal at this time, Vanderklok, 
    2015 WL 12844282
    , at *2 (denying certification of an interlocutory
    appeal under Rule 54(b)), but the existence of that proviso is
    nevertheless important because it assures that, in cases where
    a TSA agent has been entrusted with the greater
    responsibilities of an investigative or law enforcement officer,
    a tort action will lie.
    14
    As further support for that conclusion, the District
    Court relied on our statement in Matsko v. United States, that
    “employees of administrative agencies, no matter what
    investigative conduct they are involved in, do not come
    within the [law enforcement] exception.” 
    372 F.3d 556
    , 560
    (3d Cir. 2004).
    25
    In addition to the remedy that exists by virtue of the
    law enforcement proviso, we note that the United States
    would not be permitted to substitute itself as a defendant in
    the first place in cases where a government employee acted
    outside the scope of his duties. 28 U.S.C. § 2679(d). In
    determining whether an employee was acting within or
    outside of the scope of his duties, we look to the law of the
    state in which the action took place. CNA v. United States,
    
    535 F.3d 132
    , 146 (3d Cir. 2008), as amended (Sept. 29,
    2008). In this case, that is Pennsylvania law, which
    incorporates the Second Restatement of Agency’s definition
    of conduct within the scope of employment. 
    Id. “According to
    the Restatement, ‘conduct is within the scope of
    employment if, but only if: (a) it is the kind [the employee] is
    employed to perform; (b) it occurs substantially within the
    authorized time and space limits [and] (c) it is actuated, at
    least in part, by a purpose to serve the master[.]’” Brumfield
    v. Sanders, 
    232 F.3d 376
    , 380 (3d Cir. 2000) (quoting
    Restatement (Second) Agency § 228) (alterations in
    Brumfield).
    Whether it was proper to allow the substitution of the
    United States as the defendant in this suit, in place of Kieser,
    for Vanderklok’s state law claims is a question not now
    before us.15 We nevertheless note that, in extreme cases, the
    15
    It would be particularly difficult to review whether
    Kieser was acting within the scope of his employment when
    he took the actions in this case, since that District Court did
    not address that issue before substituting and dismissing the
    claims against the United States. Vanderklok v. United
    States, 
    142 F. Supp. 3d 356
    , 362 (E.D. Pa. 2015), appeal
    26
    United States would likely not be substituted as a defendant
    and thus claims against an egregiously erring government
    employee could not be dismissed on sovereign immunity
    grounds. See Melo v. Hafer, 
    912 F.2d 628
    , 639-42 (3d Cir.
    1990) (allowing district courts to review whether defendant
    was acting within scope of employment before permitting
    substitution of United States and dismissal on sovereign
    immunity grounds) aff’d Hafer v. Melo, 
    502 U.S. 21
    (1991)
    (affirming on other grounds, without addressing issue of
    substitution). Instead, we expect that in such cases the
    employee will not have acted within the scope of employment
    and therefore will face individual liability under state law.
    See Matsko v. United States, 
    372 F.3d 556
    , 558 n.5 (3d Cir.
    2004) (dismissing FTCA claims against United States for lack
    of jurisdiction where employee acted outside scope of
    employment while recognizing that a state law claim would
    proceed in state court). So, although in such cases the United
    States would retain its sovereign immunity, state law tort
    claims against the individual could proceed. That would
    provide an alternative remedy for an airline passenger who
    suffers as a result of a TSA screener’s actionable conduct
    outside the scope of his employment. In instances where the
    TSA screener has acted within the scope of his employment,
    it is possible that no judicial remedy will exist if a Bivens
    action is not implied because the United States could
    substitute itself for the screener and claim sovereign
    immunity. But that is by design. Cf. United States v. Smith,
    
    499 U.S. 160
    , 166 (1991) (“Congress recognized that the
    required substitution of the United States as the defendant in
    dismissed (Feb. 8, 2016). As a result, even if it were proper
    to consider the issue, there would be no record on which to do
    so at this time.
    27
    tort suits filed against Government employees would
    sometimes foreclose a tort plaintiff’s recovery altogether.”).
    In summary, then, there can be a remedy against the
    United States in cases where the employee had the
    responsibility of an officer, and there can be a state law
    remedy against the individual when the offending TSA
    employee acted outside the scope of employment. Based on
    the District Court’s orders as they now stand, however, there
    are no alternative judicial remedies available to Vanderklok,
    because the District Court concluded that Kieser was not an
    investigative or law enforcement officer and there was no
    challenge as to whether Kieser acted within the scope of his
    employment.
    While an alternative judicial remedy is absent, there
    may be a non-judicial “alternative, existing process[.]”
    
    Minneci, 565 U.S. at 125
    (quoting 
    Wilkie, 551 U.S. at 550
    ).
    In 2007, Congress enacted a statute requiring the Secretary of
    Homeland Security to “establish a timely and fair process for
    individuals who believe they have been delayed or prohibited
    from boarding a commercial aircraft because they were
    wrongly identified as a threat … by the [TSA.]” 49 U.S.C.
    § 44926(a). Pursuant to that statutory requirement, the
    Department of Homeland Security established the Traveler
    Redress Inquiry Program (“TRIP”), which is administered by
    the TSA and “is essentially a clearinghouse for traveler
    grievances.” Latif v. Holder, 
    686 F.3d 1122
    , 1125 (9th Cir.
    2012). In practice, it appears that TRIP is primarily used as a
    method by which individuals can challenge their inclusion on
    the “No-Fly List” that is part of the government’s “Terrorist
    Screening Database.” See Dept. of Homeland Sec. Office of
    Inspector Gen., Effectiveness of the Dept. of Homeland Sec.
    28
    Traveler        Redress        Program      35        (2009),
    https://www.oig.dhs.gov/assets/Mgmt/OIG-09-
    103r_Sep09.pdf, (“Most TRIP redress requests stem from
    watch list misidentifications in commercial aviation security
    settings.”).16 Yet, by its terms, TRIP appears to provide an
    administrative mechanism by which Vanderklok could have
    chosen to pursue his complaint against Kieser because he was
    “delayed or prohibited from boarding a commercial aircraft
    because [he was] wrongly identified as a threat[.]”17 49
    U.S.C. § 44926(a).
    The TRIP website supports that understanding, stating
    that a person can use TRIP if they “were denied or delayed
    boarding” or believe they “were unfairly detained during
    [their] travel experience[.]” Dept. of Homeland Sec., Should
    I Use DHS TRIP?, https://www.dhs.gov/step-1-should-i-use-
    16
    Although neither Vanderklok nor Kieser addressed
    the existence of this administrative scheme as an alternative,
    the government as amicus curiae brought it to our attention.
    To the extent that we rely on information beyond what the
    government included in its amicus brief, that information is
    publicly available on government websites and therefore we
    take judicial notice of it. See Daniels-Hall v. Nat’l Educ.
    Ass’n, 
    629 F.3d 992
    , 998 (9th Cir. 2010) (“It is appropriate to
    take judicial notice of … information … made publicly
    available by government entities[.]”).
    17
    Since neither Vanderklok nor Kieser addressed the
    existence of this administrative mechanism, we do not know
    whether Vanderklok attempted to avail himself of it. If he
    knew of TRIP and chose not to avail himself of it, we do not
    have any explanation for that decision.
    29
    dhs-trip (last visited July 13, 2017). Vanderklok was
    indisputably denied boarding because of a purported threat,
    and that alone appears sufficient to file a TRIP complaint. He
    also believes he was detained unfairly. The online complaint
    form, by its terms, permits passengers to submit complaints if
    they feel their “civil rights have been violated because [the]
    questioning or treatment during screening was abusive or
    coercive[.]” Dept. of Homeland Sec. Traveler Redress
    Inquiry Program, https://trip.dhs.gov (last visited July 13,
    2017).     Therefore, it seems plain that an alternative
    administrative process exists for addressing claims such as
    Vanderklok’s.      Nonetheless, because the TRIP process
    appears to be used primarily as a means to challenge
    inclusion on terrorism watch lists, we will assume for the sake
    of discussion that it was not a meaningful remedy for
    Vanderklok in this case.
    C.      There Are      Special    Factors   Counseling
    Hesitation.
    Although it is possible that no alternative remedy
    exists for Vanderklok, that does not conclude our analysis
    because, “even in the absence of an alternative, a Bivens
    remedy is a subject of judgment[.]” 
    Wilkie, 551 U.S. at 550
    ;
    see also Meshal v. Higgenbotham, 
    804 F.3d 417
    , 425 (D.C.
    Cir. 2015) (refusing to imply a Bivens remedy, even where
    the government admitted the plaintiff had no alternative
    remedy). In determining whether to imply a Bivens claim for
    First Amendment retaliation by TSA screeners, we must ask
    whether there are special factors counseling hesitation. 
    Id. We conclude
    that there are and that they are dispositive.
    30
    Considering whether there are such factors, requires us
    to “weigh[] reasons for and against the creation of a new
    cause of action, the way common law judges have always
    done.” 
    Wilkie, 551 U.S. at 554
    . The critical question is
    “‘who should decide’ whether to provide for a damages
    remedy, Congress or the courts?” 
    Ziglar, 137 S. Ct. at 1857
    (quoting 
    Bush, 462 U.S. at 380
    ). Most often, the answer is
    Congress. 
    Id. Because, “[w]hen
    an issue involves a host of
    considerations that must be weighed and appraised, it should
    be committed to those who write the laws rather than those
    who interpret them.” 
    Id. (internal quotations
    and citations
    omitted). The government, as amicus, argues that that is the
    correct answer in this instance, pointing to the serious risks at
    stake in the context of airport security and the superior
    position Congress has in weighing those risks and deciding
    upon their management.
    The TSA was created in response to the terrorist
    attacks of September 11, 2001, specifically for the purpose of
    securing our nation’s airports and air traffic. Transp. Workers
    Union of Am., AFL-CIO v. Transp. Sec. Admin., 
    492 F.3d 471
    , 473 (D.C. Cir. 2007) (citing Pub L. No. 107-71, 115
    Stat. 597 (2001) (codified in part at 49 U.S.C. § 44936 et
    seq.)). A special factor counseling hesitation in implying a
    Bivens action here is that Vanderklok’s claims can be seen as
    implicating “the Government’s whole response to the
    September 11 attacks, thus of necessity requiring an inquiry
    into sensitive issues of national security.” 
    Ziglar, 137 S. Ct. at 1861
    .
    “The Supreme Court has never implied a Bivens
    remedy in a case involving the military, national security, or
    intelligence.” Doe v. Rumsfeld, 
    683 F.3d 390
    , 394 (D.C. Cir.
    31
    2012). To the contrary, it has recognized that “[m]atters
    intimately related to foreign policy and national security are
    rarely proper subjects for judicial intervention.” Haig v.
    Agee, 
    453 U.S. 280
    , 292 (1981). In recognition of that,
    national security decisions, insofar as they relate to foreign
    relations18 and the military,19 have, to a large extent, been
    18
    “The political question doctrine excludes from
    judicial review those controversies which revolve around
    policy choices and value determinations constitutionally
    committed for resolution to the halls of Congress or the
    confines of the Executive Branch.” Japan Whaling Ass’n v.
    Am. Cetacean Soc., 
    478 U.S. 221
    , 230 (1986). That does not
    exclude from judicial review all cases touching on issues of
    foreign relations, but it does exclude those that are not
    susceptible to judicial determination in “light of [the] nature
    and posture [of the foreign relations question] in the specific
    case, and of the possible consequences of judicial action.”
    Baker v. Carr, 
    369 U.S. 186
    , 211-12 (1962).
    19
    In Feres v. United States, the Supreme Court held
    that “the Government is not liable under the Federal Tort
    Claims Act for injuries to servicemen where the injuries arise
    out of or are in the course of activity incident to service.” 
    340 U.S. 135
    , 146 (1950). “[T]he Feres doctrine has been applied
    consistently to bar all suits on behalf of service members
    against the Government based upon service-related injuries.”
    United States v. Johnson, 
    481 U.S. 681
    , 687-88 (1987). In
    addition, “[t]he complex subtle, and professional decisions as
    to the composition, training, equipping, and control of a
    military force are essentially professional military
    judgments,” and therefore challenges to those judgments are
    nonjusticiable. Gilligan v. Morgan, 
    413 U.S. 1
    , 10 (1973);
    32
    insulated from judicial review. And our sister circuits have
    relied on the hesitancy of the Supreme Court to intrude on
    national security matters in refusing to imply Bivens actions.20
    Although there is no doctrine depriving us of jurisdiction, the
    see also Harris v. Kellog Brown & Root Servs., Inc., 
    724 F.3d 458
    , 478 (3d Cir. 2013) (explaining that whether an issue is
    justiciable “turns on whether a strategic military decision
    must be reviewed”).
    20
    See, e.g. Meshal v. Higgenbotham, 
    804 F.3d 417
    ,
    426 (D.C. Cir. 2015) (“Matters touching on national security
    and foreign policy fall within an area of executive action
    where courts hesitate to intrude absent congressional
    authorization.”); Mirmehdi v. United States, 
    689 F.3d 975
    ,
    982-83 (9th Cir. 2012) (refusing to extend Bivens to
    immigration issues because such issues tend to affect foreign
    policy and national security); Vance v. Rumsfeld, 
    701 F.3d 193
    , 200 (7th Cir. 2012) (en banc) (refusing to extend Bivens
    against Secretary of Defense for mistreatment of military
    detainees abroad because, although it would “lead the
    Secretary to hold the rights of detainees in higher regard[,] …
    that change would come at an uncertain cost in national
    security”); Arar v. Ashcroft, 
    585 F.3d 559
    , 575 (2d Cir. 2009)
    (refusing to extend Bivens to the detention and transfer of an
    individual to Syria because it touches upon national security
    and thus “fall[s] within ‘an area of executive action in which
    courts have long been hesitant to intrude’ absent
    congressional authorization.” (emphasis in Arar) (quoting
    Lincoln v. Vigil, 
    508 U.S. 182
    (1993) (further quotations
    omitted)); Wilson v. Libby, 
    535 F.3d 697
    (D.C. Cir. 2008)
    (concluding political question doctrine did not bar review, but
    that Bivens should not extend to a national security context).
    33
    reluctance of the Supreme Court to weigh in on issues of
    national security strongly suggests that we too should hesitate
    to create a remedy when those issues are in play. See Dept. of
    Navy v. Egan, 
    484 U.S. 518
    , 527 (1988) (explaining that the
    presumption in favor of appellate review “runs aground when
    it encounters concerns of national security”); cf. 
    Bush, 462 U.S. at 379-80
    (recognizing that the Supreme Court has
    generally been hesitant to imply a damages remedy not
    explicitly provided by Congress where such a remedy would
    interfere with other branches of government (citing United
    States v. Standard Oil Co., 
    332 U.S. 301
    (1947), and United
    States v. Gilman, 
    347 U.S. 507
    (1954))).
    The hesitancy to imply a Bivens remedy in a case with
    national security implications must be particularly
    “pronounced when the judicial inquiry comes in the context
    of a claim seeking money damages rather than a claim
    seeking injunctive or other equitable relief.” Ziglar, 137 S.
    Ct. at 1861. That is because “[n]ational-security policy is the
    prerogative of the Congress and President[,]” and imposing
    damages liability would likely interfere with that prerogative
    by “caus[ing] an official to second-guess difficult but
    necessary decisions concerning national-security policy.” 
    Id. Here, Vanderklok
    asks us to imply a Bivens action for
    damages against a TSA agent. TSA employees like Kieser
    are tasked with assisting in a critical aspect of national
    security – securing our nation’s airports and air traffic. The
    threat of damages liability could indeed increase the
    probability that a TSA agent would hesitate in making split-
    second decisions about suspicious passengers. In light of
    34
    Supreme Court precedent, past and very recent, that is surely
    a special factor that gives us pause.21
    In addition to that, we must recognize that “‘Congress
    is in a far better position than a court to evaluate the impact of
    a new species of litigation’ against those who act on the
    public’s behalf.” 
    Wilkie, 551 U.S. at 562
    (quoting 
    Bush, 462 U.S. at 389
    ). “And Congress can tailor any remedy to the
    problem perceived[.]” Id. (citing 
    Bush, 462 U.S. at 389
    ).
    That is especially compelling here, as Congress chose to limit
    the scope of judicial review of TSA actions. In creating the
    21
    In Ziglar v. Abbasi, decided last month, detainees
    held in the wake of the September 11, 2001 terrorist attacks
    brought suit against federal officials and wardens of their
    detention facility, claiming that they were abused and
    subjected to excessive detention in violation of the Fifth
    Amendment. 
    137 S. Ct. 1843
    (2017). The Supreme Court
    recognized that it had previously implied a Bivens action
    under the Fifth Amendment and for vindication of prisoners’
    rights under the Eighth Amendment, but concluded that the
    case presented a new context because it differed from
    previous Bivens cases in a meaningful way. 
    Id. at 1859.
    Ultimately, the Court noted that “[n]ational-security policy is
    the prerogative of the Congress and President[,]” 
    id. at 1861,
    and that “Congress’ failure to provide a damages remedy
    might be more than mere oversight.” 
    Id. at 1862.
    Therefore,
    in part to preserve the separation of powers, it refused to
    imply a Bivens remedy and instead left the matter to
    Congress. 
    Id. at 1861-63.
    We have had the advantage of
    seeing this most recent pronouncement of the Supreme Court,
    but the District Court did not.
    35
    TSA, Congress restricted judicial review to affirming,
    amending, modifying, or setting aside orders of the agency.
    49 U.S.C. § 46110(c). When courts do review such orders,
    the findings of fact made by the TSA are conclusive, if
    supported by substantial evidence. 49 U.S.C. § 46110(c);
    Ickes v. F.A.A., 
    299 F.3d 260
    , 264 (3d Cir. 2002).22
    Furthermore, we cannot ignore that remedies in the
    airport security context are circumscribed as a direct result of
    22
    Another reason to believe that Congress may have
    thought about whether to permit suits against TSA employees
    and chose not to do so is because it decided to insulate from
    review personnel decisions regarding those employees.
    Congress has granted the Under Secretary of Transportation
    for Security full discretion to “employ, appoint, discipline,
    terminate, and fix the compensation, terms, and conditions of
    employment of Federal service for such a number of
    individuals as the Under Secretary determines to be necessary
    to carry out the screening functions of the Under Secretary.”
    49 U.S.C. § 44935 note, Pub. L. 107-71, title I, §111(d), 115
    Stat. 620 (2001), as amended by Pub. L. 112-171, § 1(a), 126
    Stat. 1306 (2012). Courts have decided that the discretion
    thus granted precludes judicial review of personnel decisions
    regarding security screeners, those matters being left entirely
    to the Administrator of the TSA. See Conyers v. Rossides,
    
    558 F.3d 137
    , 144-45 (2d Cir. 2009) (joining every other
    court that has decided the issue in concluding that judicial
    review of personnel decisions is foreclosed). Therefore,
    although our review in this case is not expressly limited,
    Congressionally-enacted restrictions on judicial review
    further counsel against creating a damages remedy against
    TSA security screeners.
    36
    Congressional decisions. See 
    Ziglar, 137 S. Ct. at 1862
    (“Congress’ failure to provide a damages remedy might be
    more than mere oversight, and that congressional silence
    might be more than ‘inadvertent.’” (quoting 
    Schweiker, 487 U.S. at 423
    )). Congress decided the scope of tort liability for
    the government and government employees and Congress
    allowed the creation of an administrative mechanism by
    which to adjudicate certain TSA complaints. See 
    Bush, 462 U.S. at 388
    (refusing to discount an administrative scheme
    simply because it did not provide complete relief to the
    plaintiff). We should hesitate to create new remedies when it
    appears that the available ones are limited by Congressional
    design.
    Finally, there is a practical concern with establishing a
    court-crafted remedy in the circumstances presented here.
    TSA employees typically are not law enforcement officers
    and do not act as such. As previously discussed, only those
    TSA employees specifically designated by the Under
    Secretary with the responsibilities of an officer, in accordance
    with 49 U.S.C. § 44903(a), operate like police officers. As a
    result, line TSA employees are not trained on issues of
    probable cause, reasonable suspicion, and other constitutional
    doctrines that govern law enforcement officers. See 49
    C.F.R. § 1542.213 (delineating mandatory training). Instead,
    they are instructed to carry out administrative searches and
    contact local law enforcement if they encounter situations
    requiring action beyond their limited though important
    responsibilities. Cf. 49 C.F.R. § 1542.215 (providing for
    “[u]niformed law enforcement personnel in the number and
    manner adequate to support” passenger screenings). Since a
    First Amendment retaliatory prosecution claim hinges, in
    part, on whether the allegedly offending government
    37
    employee had probable cause to take some enforcement
    action, 
    Hartman, 547 U.S. at 259-66
    , a Bivens claim is poorly
    suited to address wrongs by line TSA employees. Indeed, the
    inherent uncertainty surrounding the probable cause standard
    is itself a factor counseling hesitation. See Ziglar, 
    137 S. Ct. 1864-65
    (distinguishing the case from Carlson, in part,
    because the constitutional standard was unclear, thus
    affording less judicial guidance for defendants).
    Ultimately, the role of the TSA in securing public
    safety is so significant that we ought not create a damages
    remedy in this context. The dangers associated with aircraft
    security are real and of high consequence. Cf. Chappell v.
    Wallace, 
    462 U.S. 296
    , 304 (1983) (refusing to imply a
    Bivens action where “the need for unhesitating and decisive
    action … would be undermined by a judicially created
    remedy”). We, of course, do not suggest that TSA screeners
    should act with disdain for passenger rights or that they can
    escape all the consequences of their bad behavior. Discipline
    by the government should be swift and certain, when its
    employees’ actions warrant it. But, when it comes to creating
    judicial remedies, there must be a balancing of priorities, and
    “[t]he proper balance is one for the Congress, not the
    Judiciary, to undertake.” 
    Ziglar, 137 S. Ct. at 1863
    .
    Otherwise, in this context, there is reason to “fear that a
    general Bivens cure would be worse than the disease.”
    Wilkie, 551. U.S. at 561. Accordingly, in the specific context
    of airport security screeners, special factors preclude us from
    implying a Bivens cause of action for First Amendment
    retaliation.
    38
    IV.   CONCLUSION
    For the foregoing reasons, we will reverse in part and
    remand to the District Court with an instruction to enter
    judgment for Kaiser on the First Amendment retaliation
    claim, and will decline to exercise jurisdiction over the
    remainder of the appeal.
    39
    

Document Info

Docket Number: 16-3422

Citation Numbers: 868 F.3d 189

Filed Date: 8/22/2017

Precedential Status: Precedential

Modified Date: 1/12/2023

Authorities (50)

Conyers v. Rossides , 558 F.3d 137 ( 2009 )

Arar v. Ashcroft , 585 F.3d 559 ( 2009 )

P. Brian Brumfield v. Sherri Sanders Michelle Shadday ... , 232 F.3d 376 ( 2000 )

Dorothea E. McSwain and Stella McSparran Administratrix of ... , 422 F.2d 1086 ( 1970 )

lori-paton-a-minor-under-18-suing-by-her-father-arthur-paton-and , 524 F.2d 862 ( 1975 )

John J. Matsko, III Teresa A. Matsko, Husband and Wife v. ... , 372 F.3d 556 ( 2004 )

Don R. Ickes v. Federal Aviation Administration , 299 F.3d 260 ( 2002 )

Cna v. United States , 535 F.3d 132 ( 2008 )

Beneficial Consumer Discount Company v. David R. ... , 47 F.3d 91 ( 1995 )

Lomando v. United States , 667 F.3d 363 ( 2011 )

joseph-ziccardi-esq-as-administrator-of-the-estate-of-james-smith-v , 288 F.3d 57 ( 2002 )

milagros-rivas-individually-and-as-administrator-ad-prosequendum-of-the , 365 F.3d 181 ( 2004 )

milhouse-lester-d-aka-milhouse-bey-lester-d-v-carlson-norman-b , 652 F.2d 371 ( 1981 )

james-c-melo-jr-louise-jurik-donald-ruggerio-karol-danowitz-james , 912 F.2d 628 ( 1990 )

Transportation Workers Union of America v. Transportation ... , 492 F.3d 471 ( 2007 )

Department of the Navy v. Egan , 108 S. Ct. 818 ( 1988 )

Wilson v. Libby , 535 F.3d 697 ( 2008 )

Daniels-Hall v. National Education Ass'n , 629 F.3d 992 ( 2010 )

Monell v. New York City Dept. of Social Servs. , 98 S. Ct. 2018 ( 1978 )

Gilligan v. Morgan , 93 S. Ct. 2440 ( 1973 )

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