Steve Lacroix v. Marshall County, Mississip , 409 F. App'x 794 ( 2011 )


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  •      Case: 10-60410 Document: 00511371043 Page: 1 Date Filed: 02/03/2011
    IN THE UNITED STATES COURT OF APPEALS
    FOR THE FIFTH CIRCUIT  United States Court of Appeals
    Fifth Circuit
    FILED
    February 3, 2011
    No. 10-60410                         Lyle W. Cayce
    Clerk
    STEVE E. LACROIX, et al.,
    Plaintiffs-Appellants.
    v.
    MARSHALL COUNTY, MISSISSIPPI, et al.,
    Defendants-Appellees.
    Appeal from the United States District Court
    for the Northern District of Mississippi
    USDC No. 3:07-CV-119, 3:08-CV-92
    Before DAVIS, WIENER, and BENAVIDES, Circuit Judges.
    PER CURIAM:*
    Steve and Kellie LaCroix challenge the district court’s dismissal of ninety
    claims they filed against the Board of Supervisors of Marshall County,
    Mississippi. We hold that the district court did nor err in dismissing their
    claims, the great majority of which are barred by the doctrine of res judicata.
    The balance of the claims fail to state a claim upon which relief may be granted.
    Accordingly, we affirm the judgment of the district court.
    *
    Pursuant to 5TH CIR . R. 47.5, the court has determined that this opinion should not
    be published and is not precedent except under the limited circumstances set forth in 5TH CIR .
    R. 47.5.4.
    Case: 10-60410 Document: 00511371043 Page: 2 Date Filed: 02/03/2011
    No. 10-60410
    I.
    The LaCroixs bring a number of claims against the Marshall County
    Board of Supervisors1 arising from an alleged campaign of harassment against
    them in the summer of 2007.             Their allegations against the Board can be
    grouped loosely into three categories: they complain (1) that the Board misused
    a public-nuisance statute and forced them to appear at a “sham” hearing; (2)
    that as result of their vigorous defense at that hearing, the Board wrongly
    denied license tags to them and their tenant under the guise of sanitation bills;
    and (3) that the Board denied them access to public records and held illegal
    closed meetings related to incidents (1) and (2). The LaCroixs filed two lawsuits
    relating to these incidents: one in state court and one in federal district court.2
    The principal question in this appeal is whether and which of the LaCroixs’
    federal claims are precluded by the state-court judgment. The answer turns on
    whether the federal lawsuit rests on the same underlying facts and
    circumstances as the state-court complaint.
    The LaCroixs describe an ongoing animus between themselves and the
    Board that spanned several months in the summer of 2007. According to their
    state-court complaint, “all of the acts complained of herein occurred after a June
    4, 2007 Notice to LaCroix and his wife” from the Board. The notice said that the
    Board had received complaints that the LaCroixs’ residence was “in such a state
    of uncleanliness as to be a menace to the public health and safety of the
    1
    The LaCroixs name a number of defendants in this suit: Marshall County, Mississippi,
    the Marshall County Board of Supervisors, and numerous County employees. Most of their
    claims appear specifically targeted at the Board of Supervisors and the individual supervisors
    in their individual capacities. The LaCroixs do not make clear which of their claims are
    against the County, the Board, or County employees in their individual capacities. Because
    we find that great majority of the LaCroixs’ claims are barred, we need not disambiguate.
    This opinion refers to the entity defendants interchangeably as “the Board” and “the County.”
    2
    The LaCroixs actually filed three lawsuits against the County stemming from the
    same series of incidents: one in state court and two in federal court. The federal lawsuits were
    consolidated into one.
    2
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    No. 10-60410
    community.” Thus, the Board would hold a hearing pursuant to a Mississippi
    public-nuisance statute, which allows a so-called “clean up” for a property
    deemed a menace to public health and safety. When the County performs such
    a “clean up,” the statute allows it to place a lien on the property to cover its
    costs.       Accordingly, the Board also notified the LaCroixs’ mortgage lender,
    AmSouth Bank, of the impending hearing.
    The hearing occurred on July 2, 2007. According to the LaCroixs, it
    became clear at the hearing that the Board’s threatened “clean up” was a ruse.
    They allege that the Board used the public-nuisance statute as a pretext to talk
    to them about an unpermitted double-wide trailer on their property at 357 River
    Ridge in Byhalia, Mississippi. The LaCroixs, angered by allegations that their
    home was a menace to public health and safety, assumed what they refer to a
    “defensive posture.”           The record shows that they brought their own court
    reporter to the public hearing and accused the Board of dragging them into
    “kangaroo court” under false pretenses.
    Tensions between the LaCroixs and the County grew in the weeks
    following the hearing. On July 21, 2007, nineteen days after the hearing, the
    LaCroixs learned that the County had denied their tenant an automobile license-
    tag renewal due to unpaid sanitation bills at a property the LaCroixs owned at
    372 River Ridge.            (Mississippi law conditions receipt of a license plate on
    payment of all delinquent county garbage fees.3 ) The tenant paid the sanitation
    bill so that he could receive his license tags. Believing that the County violated
    Mississippi law when it collected the bill from his tenant, Steve LaCroix
    confronted a member of the Board. He demanded that the County refund the
    money to his tenant and seek to collect it directly from LaCroix. The supervisor
    refused his request.
    3
    MISS . CODE ANN . § 19-5-22(4)(b).
    3
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    This   license-tag   incident   then   spurred   LaCroix   to   seek   public
    records—including documents and notes from the Board’s meetings— regarding
    both the nuisance hearing and the sanitation bills. He sent several letters to the
    Board requesting particular documents and meeting records. Still more tensions
    ensued. The Board believed that it had about a month to comply with LaCroix’s
    records request, but LaCroix believed he was entitled to the records on demand.
    He appeared several times at the office of the clerk of the Board, “with tape
    recorder in plain sight,” demanding to copy the records. Several times he was
    turned away but was promised he could copy the records later. In the end,
    LaCroix was allowed to copy most but not all of the records he requested. The
    clerk of the Board informed LaCroix that some of the materials he requested
    were not actually public records.
    In state court, the LaCroixs argued that all of the County’s summer 2007
    actions were related. Their complaint alleged that all of the complained-of acts
    were “in retaliation for the defensive posture” the LaCroixs assumed in response
    to the County’s nuisance allegations. In other words, their complaint alleged
    that the Board initiated a systematic campaign of harassment against the
    LaCroixs, caused by the LaCroixs’ vigorous self-defense against the County’s
    nuisance hearing. But now the LaCroixs claim that it has always been their
    intention to bring two separate lawsuits for entirely separate conduct.
    The substantial overlap between the LaCroixs’ two lawsuits belies their
    assertion that their lawsuits are for wholly separate conduct. In state court, the
    LaCroixs brought four kinds of claims against the county. They asserted (1)
    violations of Mississippi Code § 19-5-22 (which conditions receipt of car license
    tags on payment of outstanding garbage bills); (2) various claims under 
    42 U.S.C. § 1983
     arising from the garbage-fee dispute, including abuse of process
    and due process violations; (3) violation of Mississippi’s Open Meetings Act,
    Mississippi Code § 25-41-1; and (4) violation of Mississippi’s Public Records Act,
    4
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    Mississippi Code § 25-61-2. The LaCroixs’ federal complaint, which numbers
    145 pages and contains 90 claims, reasserts all of their state-court claims.
    However, unlike the state-court complaint, it also makes a number of claims
    related to the public-nuisance hearing itself.4
    The County moved to dismiss the LaCroixs’ federal complaint on a number
    of grounds. At the time the County moved to dismiss, the state-court suit was
    still pending. The County argued, inter alia, that the court should abstain from
    exercising federal jurisdiction because the LaCroixs’ claims rested on state-law
    issues pending in state court. The County also moved to dismiss the claims on
    substantive grounds, arguing that the LaCroixs had failed to state a claim on
    which relief may be granted.
    The district court granted the motion to dismiss, without prejudice. The
    court held that it would abstain from deciding the case under Colorado River
    Water Conservation District v. United States,5 because the case presents “a
    federal constitutional issue which might be mooted or presented in a different
    posture by a state court determination of pertinent state law.”6 The district
    court reasoned that the LaCroixs’ claims concerning the Mississippi Public
    Records Act “should be developed by Mississippi courts rather than federal
    courts.”7 The LaCroixs moved for reconsideration, informing the district court
    that the state court had granted summary judgment and that there was thus no
    reason for the court to continue to abstain. The district court then vacated its
    4
    The federal lawsuit also added two new parties: plaintiff Kellie LaCroix, Steve
    LaCroix’s wife, and defendant Kent Smith, counsel for the Board.
    5
    
    424 U.S. 800
     (1976).
    6
    
    Id. at 814
    .
    7
    The court actually invoked various abstention doctrines, from Pullman abstention to
    Colorado River abstention to Burford abstention. We need not consider the correctness of the
    district court’s application of these doctrines, though, because the court later vacated its
    abstention ruling.
    5
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    dismissal order, but it also noted its belief that “issues of res judicata and
    collateral estoppel [had become] ripe” when the Mississippi Chancery Court
    entered final judgment in the LaCroixs’ case.
    When it first invoked res judicata, the district court noted that it had the
    power to dismiss the claims sua sponte, but it nevertheless invited the parties
    to brief the issue. After the parties submitted their briefing on res judicata, the
    district court again dismissed the case. The court dismissed all but one of the
    LaCroixs’ ninety claims on September 30, 2009. Of the eighty-nine claims
    disposed of in the September order, the court dismissed the vast majority for
    failure to state a claim on which relief may be granted. The court only provided
    specific reasons for its dismissal of one of the eighty-nine: the legal malpractice
    claim against Kent Smith. As to the remaining eighty-eight claims, the court
    dismissed most of them without providing reasons, holding simply that “only
    two [of the claims] appear to apply under the facts of this case: due process and
    equal protection.” Those due process and equal protection claims, the court held,
    “are barred by the dotrine of res judicata (claim preclusion), and by the related
    doctrine of collateral estoppel (issue preclusion).” The one claim that survived
    the September order was a due process claim involving a another license-tag
    denial, this one imposed in 2008 (after the conclusion of the state-court suit).
    The court dismissed that claim under Rule 12(b)(6) on April 13, 2010.
    The LaCroixs now appeal from the district court’s rulings on res judicata
    and its 12(b)(6) rulings.
    II.
    We consider first whether the district court erred in dismissing the
    LaCroixs’ claims as res judicata.8
    8
    The district court did not make clear which claims it dismissed as res judicata and
    which claims it dismissed because they do not “apply under the facts of this case.” It said that
    only “two claims” applied to the facts of this case, due process and equal protection. But the
    6
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    “The res judicata effect of a prior judgment is a question of law that we
    review de novo.”9 To determine preclusive effects of state court judgment, a
    federal court must apply the law of the state from which the judgment
    emerged.10 A federal court must give a state-court judgment the same preclusive
    effect it would have under that state’s law.11
    A.
    Before we consider the merits of res judicata, we consider whether it was
    proper for the court to rule on the res judicata issue as it did. “Generally, res
    judicata is an affirmative defense that must be pleaded, not raised sua sponte.” 12
    There are two exceptions to this general rule. The first, which applies to “actions
    plaintiffs alleged a number of due process and equal protection claims involving different
    theories of liability. Thus, we are not entirely sure which claims the district court dismissed
    for failure to state a claim, and which it dismissed under the doctrine of res judicata.
    We would typically require more explanation from a district court dismissing claims
    under Rule 12 than the court gave here. Indeed, “we have required that the district court
    explain its reasons in sufficient detail to allow this Court to determine whether the district
    court correctly applied the proper legal rule.” Davis v. Bayless, 
    70 F.3d 367
    , 376 (5th Cir. 1995)
    (citing Wildbur v. ARCO Chem. Co., 
    974 F.2d 631
    , 644 (5th Cir. 1992)). This is because we
    have “little opportunity for effective review” when a district court’s “reasoning is vague or
    simply left unsaid.” 
    Id.
     (citing McIncrow v. Harris Cnty., 
    878 F.2d 835
    , 836 (5th Cir. 1989)).
    Normally, then, the appropriate course of action would be to remand the case to the district
    court for “an illumination of the court’s analysis through some formal or informal statement
    of reasons.” 
    Id.
    That said, we find that remand is not necessary here. We agree with the district court
    that any claims arising from the County’s alleged campaign of harassment against the
    LaCroixs in the summer of 2007 are precluded by the state-court judgment. Thus, it was not
    necessary for the district court to discuss in detail which claims are viable and which are not:
    they all arise from the same related series of transactions. Thus, they are barred by the
    doctrine of res judicata.
    9
    Oreck Direct, LLC v. Dyson, Inc., 
    560 F.3d 398
    , 401 (5th Cir. 2009) (citing Davis v.
    Dallas Area Rapid Transit, 
    383 F.3d 309
    , 313 (5th Cir. 2004)).
    10
    Black v. N. Panola Sch. Dist., 
    461 F.3d 584
    , 588 (5th Cir. 2006) (citing Amica Mut.
    Ins. Co. v. Moak, 
    55 F.3d 1093
    , 1096–97 (5th Cir. 1995)).
    11
    EEOC v. Jefferson Dental Clinics, PA, 
    478 F.3d 690
    , 694 (5th Cir. 2007).
    12
    Mowbray v. Cameron Cnty., 
    274 F.3d 269
    , 281 (5th Cir. 2001) (citing FED . R. CIV . P.
    8(c)); accord Warnock v. Pecos Cnty., 
    116 F.3d 776
    , 778 (5th Cir. 1997).
    7
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    [that] were brought before the same court,”13 does not apply here. “The other
    exception involves the situation in which all relevant data and legal records are
    before the court and the demands of comity, continuity in the law, and essential
    justice mandate judicial invocation of the principles of res judicata.” 14
    This case presents an interesting scenario.                   The defendants did not
    specifically plead res judicata in their answer, as Rule 8(c) requires.15 As the
    defendants point out, though, the defense was not available to them when they
    filed their answer because the state-court judgment had not yet become final.
    Thus, rather than pleading res judicata, which only inheres for final judgments,
    they asked the district court to dismiss the case on abstention grounds, pending
    resolution of the state-court claims. The district court granted their motion. Res
    judicata became an issue when the LaCroixs asked the district court to
    reconsider its abstention ruling in light of the state court’s intervening final
    judgment.
    We find that this case falls squarely within the second exception to the
    general requirement that res judicata be affirmatively pled: “all relevant data
    and legal records are before the court and the demands of comity, continuity in
    the law, and essential justice mandate judicial invocation of the principles of res
    judicata.”16 This exception to the pleading requirement is exemplified by our
    decision in American Furniture Co. v. International Accommodations Supply.17
    There, we held that the district court should have dismissed the case in light of
    13
    See Boone v. Kurtz, 
    617 F.2d 435
    , 436 (5th Cir. 1980).
    14
    Carbonell v. La. Dep’t of Health & Human Res., 
    772 F.2d 185
    , 189 (5th Cir. 1985).
    15
    FED . R. CIV . P. 8(c) (“In responding to a pleading, a party must affirmatively state any
    avoidance or affirmative defense, including . . . res judicata . . . .”)
    16
    See Carbonell, 
    772 F.2d at 189
    .
    17
    
    721 F.2d 478
     (5th Cir. 1983).
    8
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    a previous state-court adjudication, even though the defendant failed to
    specifically plead res judicata.18      The “record before us [was] replete with
    references to the state court proceedings,” including “pertinent parts of the
    pleadings” and “an uncontroverted state of facts.”19 Here, similarly, the record
    is replete with information about the state-court proceedings, and the relevant
    facts are uncontroverted. The record contained everything the district court
    needed to rule on res judicata, including the entirety of the state-court complaint
    and the state trial court’s final judgment. There is also a lengthy published
    opinion from the Mississippi Court of Appeals explaining the procedural history
    of the LaCroixs’ Mississippi case.20
    Not only did the district court have everything it needed to rule on res
    judicata, but the LaCroixs also had ample opportunity to argue that an estoppel
    was inappropriate. Indeed, such fair notice is the very reason for the general
    requirement that res judicata be pled as a defense. As we noted in American
    Furniture, the Supreme Court has held that “‘[t]he purpose of [requiring res
    judicata and collateral estoppel to be pled] is to give the opposing party notice
    of the plea of estoppel and the chance to argue, if he can, why the imposition of
    an estoppel would be inappropriate.’”21 Here, the district court invited briefing
    from both parties on res judicata before it dismissed any claims as precluded.
    The LaCroixs had ample notice that the district court was entertaining the res
    judicata issue as well as opportunity to argue against the imposition of an
    estoppel. They submitted two separate briefs explaining their belief that their
    18
    
    Id. at 482
    .
    19
    
    Id. at 481
    .
    20
    See generally LaCroix v. Marshall Cnty., Nos. 3:07-CV-119-B-A, 3:08-CV-92-B-A, 
    2009 WL 3246671
     (N.D. Miss. Sept. 30, 2009).
    21
    Am. Furniture, 721 F.2d at 482 (quoting Blonder-Tongue Labs. v. Univ. Found., 
    402 U.S. 313
    , 350 (1971)).
    9
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    claims were not precluded. Thus, we hold that the district court did not err in
    considering preclusion issues sua sponte.
    B.
    We now turn to the merits of res judicata. The doctrine of res judicata
    under Mississippi law bars parties from litigating claims “within the scope of the
    judgment” of a prior action.22 “This includes claims that were made or should
    have been made in the prior suit.”23                The Mississippi Supreme Court has
    identified several public-policy purposes for this doctrine: to “avoid the expense
    and vexation attending multiple lawsuits”; “conserve judicial resources”; and
    “foster reliance on judicial action by minimizing the possibilities of inconsistent
    decisions.”24 The doctrine of res judicata applies when four “identities” are
    present: (1) the identity of subject matter; (2) the identity of the cause of action;
    (3) the identity of the parties; and (4) the identity of the quality or character of
    a person against whom a claim is made.25
    We have previously found it useful when considering a res judicata defense
    under Mississippi law to consider the first and second identities—identity of
    subject matter and identity of cause of action—“in tandem.”26 Identity of subject
    22
    Anderson v. LaVere, 
    895 So.2d 828
    , 832 (Miss. 2004); see also Dunaway v. W.H.
    Hopper & Assocs. Inc., 
    422 So.2d 749
    , 751 (Miss. 1982) (citation and internal quotation marks
    omitted) (“[T]he doctrine of res judicata bars litigation in a second lawsuit on the same cause
    of action of all grounds for, or defenses to, recovery that were available to the parties [in the
    first action], regardless of whether they were asserted or determined in the prior proceeding.”).
    23
    LaVere, 895 So.2d at 832 (emphasis added).
    24
    Harrison v. Chandler-Sampson Ins., Inc., 
    891 So.2d 224
    , 232 (Miss. 2005).
    25
    
    Id.
    26
    See N. Panola Sch. Dist., 
    461 F.3d at 589
     (“Although Mississippi courts have not
    defined explicitly the identity of subject matter, they have defined the identity of cause of
    action. The identities are distinct but related, and as such, examination in tandem illustrates
    their distinctions more readily.”).
    10
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    matter refers, loosely, to the “substance” of the lawsuit.27 Identity of cause of
    action, for its part, “is the identity of the underlying facts and circumstances
    upon which a claim has been brought.”28 Put differently, a “cause of action is a
    group of operative facts that entitles a petitioner to seek remedy in court.” 29
    In this case, the identities of subject matter and cause of action are
    present. The subject matter of this case is the same as the LaCroixs’ state-court
    case: a series of alleged incidents between the LaCroixs and the Board in the
    summer of 2007.30          And as to cause of action, the “underlying facts and
    circumstances” in this case and the state-court case are the same. The operative
    facts in both cases are: (1) the events surrounding the nuisance-statute hearing;
    (2) the license-tag denials imposed allegedly as retaliation for the LaCroixs’
    vigorous defense against the nuisance proceeding; and (3) the allegations
    regarding public records and open meetings relating to both incidents. The state-
    court complaint certainly differs from the federal complaint, which asserts
    ninety claims rather than the five asserted in state court. It matters not: this
    kind of claim-splitting is precisely what the doctrine of res judicata seeks to
    prevent.31 What is important is that the factual allegations in both complaints
    are identical.
    27
    
    Id.
     (interpreting Mississippi case law and citing Harrison, 
    891 So.2d 224
    ).
    28
    Black v. City of Tupelo, 
    853 So.2d 1221
    , 1225 (Miss. 2003) (citing Riley v. Moreland,
    
    537 So.2d 1348
    , 1354 (Miss. 1989)).
    29
    See LaVere, 895 So.2d at 835.
    30
    See Black, 853 So.2d at 1225 (finding unity of subject matter because “both suits
    pertain[ed] to alleged incidents with the Tupelo Police Department”).
    31
    N. Panola Sch. Dist., 
    461 F.3d at 589
     (“The requirement that the litigation ‘involve
    the same claim premised upon the same body of operative fact as was previously adjudicated’
    comports with the prohibition against claim-splitting protected by res judicata.” (quoting
    Harrison, 891 So.2d at 234).
    11
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    The LaCroixs now argue that the federal and state lawsuits have different
    foci. They contend that the events surrounding the nuisance hearing were not
    the subject of the state lawsuit, but rather were presented as background to
    “show the character of the defendants.” Their state-court complaint, however,
    tells a different story. It alleges a causal relationship between the nuisance
    hearing and the other incidents they complained of. Moreover, the fact that the
    LaCroixs reasserted all of their state-court claims in federal court belies their
    argument that they intended to file separate, concurrent lawsuits involving
    different portions of their dispute with the County. Finally, the LaCroixs’
    federal lawsuit alleges a number of conspiracy claims. This supports the district
    court’s finding that the LaCroixs’ allegations sound in an alleged campaign of
    related harassment by the County.
    We have little trouble finding that the third and fourth identities—identity
    of parties and identity of the quality or character of the parties—are present
    between this case and the state-court case. As to the identity of the parties, the
    Mississippi Supreme Court has repeatedly held that strict identity is not
    required.32 Although plaintiff Kellie LaCroix and defendant Kent Smith were
    not parties to the state-court case, they are in privity with, respectively, Steve
    LaCroix and the Board, for whom Smith worked.33 As to “character of the
    parties,” we find that this identity is satisfied as well. Kellie LaCroix’s interests
    in this lawsuit are in step with those of her husband. The LaCroixs’ pleadings
    indicate    that both       LaCroixs were         subject to      the    allegedly    unlawful
    administrative hearing, and both are affected by the license-tag denials. New
    32
    E.g., Hill v. Carroll Cnty., 
    17 So.3d 1081
    , 1086 (Miss. 2009); Little v. V & G Welding
    Supply, 
    704 So.2d 1336
    , 1339 (Miss. 1997).
    33
    See LaVere, 895 So.2d at 835 (“In order for res judicata to bar litigation of a claim in
    a second proceeding, the parties to the second action must have also been parties to the first
    action, or have been in privity with a party in the first action.”).
    12
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    defendant Kent Smith, like most of the defendants in this case, is an employee
    of the Board. He is thus the same “character” or type of defendant.34
    In sum, we hold that it was not error for the district court to dismiss the
    LaCroixs’ claims as res judicata. Although the defendants did not specifically
    plead res judicata as an affirmative defense, there was no prejudice to the
    plaintiffs, who had ample notice and opportunity to argue against an estoppel.
    And the district court correctly found that the state-court judgment precludes
    the LaCroixs’ claims, which rest on the same set of facts and circumstances as
    their state-court claims.
    III
    We now consider the remaining two claims that the district court
    dismissed for failure to state a claim upon which relief may be granted. We
    review de novo a district court’s dismissal for failure to state a claim under Rule
    12(b)(6).35 The “‘complaint must contain sufficient factual matter’, accepted as
    true, to ‘state a claim to relief that is plausible on its face.’” 36              “‘Factual
    allegations must be enough to raise a right to relief above the speculative level,
    on the assumption that all the allegations in the complaint are true (even if
    doubtful in fact).’” 37
    34
    Cf. EMC Mortg. Corp. v. Carmichael, 
    17 So.3d 1087
    , 1091 (Miss. 2009) (“[W]e think
    it obvious that the “quality and character” of EMC and UCLC are the same for res judicata
    purposes, as they are both mortgage lenders.” (citing Little, 704 So.2d at 1339–40)).
    35
    SEC v. Cuban, 
    620 F.3d 551
    , 553 (5th Cir. 2010).
    36
    Gonzalez v. Kay, 
    577 F.3d 600
    , 603 (5th Cir. 2009) (quoting Ashcroft v. Iqbal, 
    129 S. Ct. 1937
    , 1949 (2009)).
    37
    In re Katrina Canal Breaches Litig., 
    495 F.3d 191
    , 205 (5th Cir. 2007) (quoting Bell
    Atl. Corp. v. Twombly, 
    550 U.S. 544
    , 555 (2007)). The LaCroixs’ filed their federal complaint
    in 2007, well before the Supreme Court’s decision in Iqbal made clear that Twombly’s pleading
    rule applied beyond the antitrust context. See generally Iqbal, 
    129 S. Ct. 1937
     (applying the
    pleading standard articulated in Twombly to plaintiffs’ discrimination claims). However, we
    need not wrestle with whether they should be allowed to amend their complaint. Their claims
    fail even under the more lenient pleading standard articulated in Conley v. Gibson, 
    355 U.S. 13
    Case: 10-60410 Document: 00511371043 Page: 14 Date Filed: 02/03/2011
    No. 10-60410
    Before turning to each claim, we consider as a threshold matter the
    LaCroixs’ argument that the district court erred in dismissing their claims
    without affording them an opportunity to amend their complaint. Of course, it
    has been our general rule that “a district court errs in dismissing a pro se
    complaint for failure to state a claim under Rule 12(b)(6) without giving the
    plaintiff an opportunity to amend.”38 However, the district court need not permit
    futile amendments.39 Here, the district court did not err by failing to invite the
    LaCroixs to amend their complaint. The LaCroixs have conceded the lack of
    numerous facts that are essential to their claims. For instance, as to their
    attorney malpractice claim, they continue to concede that an essential element
    of their claim—an attorney-client relationship—was missing. Thus, permitting
    them to amend their complaint would be futile.
    A
    The district court did not err when it dismissed the LaCroixs’ claim for
    legal malpractice against Kent Smith. Under Mississippi law, there are three
    elements to a claim for legal malpractice: “(1) the existence of an attorney-client
    relationship; (2) negligence on the part of the lawyer in handling the affairs of
    the client which have been entrusted to the lawyer; and (3) proximate cause of
    the injury.”40 The district court dismissed the LaCroixs’ legal-malpractice claims
    because they did not demonstrate the existence of an attorney-client
    41 (1957).
    38
    Bazrowx v. Scott, 
    136 F.3d 1053
    , 1054 (5th Cir. 1998) (per curiam).
    39
    McCullough v. Tex. Dep’t of Criminal Justice, No. 95-20475, 
    1995 WL 696758
    , at *1
    (5th Cir. Oct. 18, 1995); see also Jackson v. Cain, 
    864 F.2d 1235
    , 1241 (5th Cir. 1989) (“Pro se
    prisoner complaints must be read in a liberal fashion and should not be dismissed unless it
    appears beyond all doubt that the prisoner could prove no set of facts under which he would
    be entitled to relief.”).
    40
    Pierce v. Cook, 
    992 So.2d 612
    , 617 (Miss. 2008) (citing Hickox v. Holleman, 
    502 So.2d 626
    , 633 (Miss. 1987)).
    14
    Case: 10-60410 Document: 00511371043 Page: 15 Date Filed: 02/03/2011
    No. 10-60410
    relationship. This ruling has intuitive appeal: Smith represented the County,
    the LaCroixs’ adversary, not the LaCroixs.
    The district court’s ruling is also correct on a close scrutiny of the
    complaint. The LaCroixs did not plead facts sufficient to plausibly establish that
    they entered into an attorney-client relationship with Kent Smith.                    The
    Mississippi Supreme Court has explained that an attorney-client relationship
    arises when:
    (1) A person manifests to a lawyer the person’s intent that the
    lawyer provide legal services for the person; and (2)(a) The lawyer
    manifests to the person consent to do so, or (b) fails to manifest lack
    of consent to do so, knowing that the person reasonably relies on the
    lawyer to provide the services, or (c) a tribunal with power to do so
    appoints the lawyer to provide the services.41
    We agree with the district court that the LaCroixs’ complaint does not
    demonstrate a manifested intent for Smith to become their lawyer.                     The
    LaCroixs now argue that their claims sound in professional negligence, not
    “attorney malpractice.” But they fail to recognize that “attorney malpractice” is
    a claim for lawyers’ professional negligence. We are aware of no other cause of
    action under Mississippi law that gives a plaintiff standing to sue someone else’s
    attorney for negligence.42 Accordingly, the LaCroixs’ legal malpractice claim
    must fail.
    B.
    The district court also did not err when it dismissed the LaCroixs’ due
    process claim related to a 2008 denial of a car license tag. Mississippi law
    41
    Singleton v. Stegall, 
    580 So.2d 1242
    , 1244 n.2 (Miss. 1991) (quoting RESTATEM ENT OF
    LAW GOVERNING LAW YERS § 26 (prelim. draft 1990)).
    42
    The remaining claims against Smith in his general capacity as an employee of the
    County rise and fall with the LaCroixs’ claims against the County and its other employee-
    defendants. They are barred by res judicata.
    15
    Case: 10-60410 Document: 00511371043 Page: 16 Date Filed: 02/03/2011
    No. 10-60410
    conditions receipt of a car license tag on current payment of sanitation fees.43
    Specifically, the relevant statute provides: “The board of supervisors may notify
    the tax collector of any unpaid fees assessed . . . . Payment of all delinquent
    garbage fees shall be deemed a condition of receiving a motor vehicle road and
    privilege license tag.”44 The statute provides a notice-and-hearing procedure the
    County must follow before notifying the tax collector of the delinquency.45 The
    LaCroixs argue that the County violated their due process rights by failing to
    follow this statutorily prescribed procedure.
    In order to survive a 12(b)(6) motion on a procedural due process claim, a
    plaintiff must allege facts sufficient to show that (1) she was deprived of a liberty
    or property interest protected by the due process clause, and (2) that she was
    deprived of that interest without constitutionally adequate process.46 We have
    no problem finding that the LaCroixs asserted a cognizable property interest in
    their car license tags. The Supreme Court has repeatedly held that a person
    receiving “benefits under statutory and administrative standards defining
    eligibility for them has an interest in continued receipt of those benefits that is
    safeguarded by procedural due process.”47 Mississippi law requires payment of
    sanitation bills as a condition to receiving a car license tag. Thus, a license tag
    is a statutory benefit received “under statutory and administrative standards
    43
    See MISS . CODE ANN . § 19-5-22(4).
    44
    Id. § 19-5-22(4)(a)–(b).
    45
    Id. § 19-5-22(a).
    46
    Cleveland Bd. of Educ. v. Loudermill, 
    470 U.S. 532
    , 538 & n.3 (1985); Ridgely v. Fed.
    Emergency Mgmt. Agency, 
    512 F.3d 727
    , 734 (5th Cir. 2008) (citing Logan v. Zimmerman
    Brush Co., 
    455 U.S. 422
    , 428 (1982)).
    47
    Bd. of Regents of State Colleges v. Roth, 
    408 U.S. 564
    , 576 (1972) (citing Goldberg v.
    Kelly, 
    397 U.S. 254
     (1970)).
    16
    Case: 10-60410 Document: 00511371043 Page: 17 Date Filed: 02/03/2011
    No. 10-60410
    defining eligibility.” The LaCroixs alleged a protected interest in continuing to
    receive those benefits.
    Although the LaCroixs allege a protected property interest in their license
    tags, they fail to allege a deprivation of that property interest. Indeed, in their
    response to the County’s motion to dismiss, the LaCroixs readily conceded that
    they were “not denied tags” and were never made to pay the amounts the County
    alleged they owed. The LaCroixs argue that a period of eight days lapsed
    between their initial request to renew their license tags and the County’s final
    approval. They argue that this temporary deprivation amounts to a violation of
    their due process rights. The district court held that this did not amount to a
    “deprivation” under the Supreme Court’s decision in Mathews v. Eldridge 48 and
    its progeny. We agree. This Court has long held that the minimal process
    provided by the Supreme Court’s decision in Mathews is “notice of the reasons
    for a proposed deprivation and some opportunity to respond to the substance of
    the allegations before a final deprivation occurs.”49                 This explanation is
    instructive here: as pleaded, the LaCroixs were notified of a proposed
    deprivation when they applied to renew their license tags. But after the County
    afforded them an opportunity to be heard, it granted their renewal request some
    eight days later. Thus, we need not consider whether the notice or hearing they
    received was constitutionally adequate. There was no final deprivation of a
    48
    
    424 U.S. 319
     (1976).
    49
    Williams v. Tex. Tech Univ. Health Scis. Ctr., 
    6 F.3d 290
    , 293 (5th Cir. 1993) (citing
    Eguia v. Tompkins, 
    756 F.2d 1130
    , 1139 (5th Cir. 1985)) (emphasis added).
    17
    Case: 10-60410 Document: 00511371043 Page: 18 Date Filed: 02/03/2011
    No. 10-60410
    protected property interest,50 and, accordingly, the LaCroixs failed to state a due
    process claim upon which relief may be granted.
    VI.
    In sum, we hold that the district court did not err in dismissing the
    LaCroixs’ ninety claims against Marshall County, Mississippi, and its Board of
    Supervisors. The great majority of their claims are barred by the doctrine of res
    judicata. As to the claims that are not precluded, the LaCroixs failed to state a
    claim upon which relief may be granted. Accordingly, we affirm the judgment
    of the district court.
    50
    The essence of the LaCroixs’ license-tag due process claim appears to be that
    Mississippi failed to follow its own statutory procedures for denying renewal of a license tag.
    However, we have held that a state’s own statutorily prescribed process is only relevant to our
    federal due process analysis to the extent it creates a property interest in a government
    benefit. See Eguia, 
    756 F.2d at
    1137 n.11 (“We are convinced, however, that in a properly
    focused due process analysis the state’s promises play a role only in the determination of
    whether a property interest subject to the protection of due process of law exists.” (citing
    Bishop v. Wood, 
    426 U.S. 341
    , 344–46 (1976); Perry v. Sindermann, 
    408 U.S. 593
    , 599–603
    (1972)).
    18
    

Document Info

Docket Number: 10-60410

Citation Numbers: 409 F. App'x 794

Judges: Benavides, Davis, Per Curiam, Wiener

Filed Date: 2/3/2011

Precedential Status: Non-Precedential

Modified Date: 8/3/2023

Authorities (32)

Davis v. Bayless , 70 F.3d 367 ( 1995 )

Equal Employment Opportunity Commission v. Jefferson Dental ... , 478 F.3d 690 ( 2007 )

Black v. North Panola School District , 461 F.3d 584 ( 2006 )

L.E. Eguia v. Joyce Tompkins , 756 F.2d 1130 ( 1985 )

Mowbray v. Cameron County, TX , 274 F.3d 269 ( 2001 )

Marta Carbonell v. Louisiana Dept. Of Health & Human ... , 772 F.2d 185 ( 1985 )

In Re Katrina Canal Breaches Litigation , 495 F.3d 191 ( 2007 )

Securities & Exchange Commission v. Cuban , 620 F.3d 551 ( 2010 )

Darrell Jackson v. Warden Burl Cain , 864 F.2d 1235 ( 1989 )

Bazrowx v. Scott , 136 F.3d 1053 ( 1998 )

50 Fair empl.prac.cas. 681, 50 Empl. Prac. Dec. P 39,203 ... , 878 F.2d 835 ( 1989 )

Gonzalez v. Kay , 577 F.3d 600 ( 2009 )

amica-mutual-insurance-company-plaintiff-counter-defendant , 55 F.3d 1093 ( 1995 )

bettye-warnock-v-pecos-county-texas-alex-gonzalez-individually-and-in , 116 F.3d 776 ( 1997 )

Oreck Direct, LLC v. Dyson, Inc. , 560 F.3d 398 ( 2009 )

Joe Boone and Mary Alice Boone v. Jerome Kurtz, ... , 617 F.2d 435 ( 1980 )

Ridgely v. Federal Emergency Management Agency , 512 F.3d 727 ( 2008 )

Davis v. Dallas Area Rapid Transit , 383 F.3d 309 ( 2004 )

Kenneth E. Wildbur, Sr. v. Arco Chemical Co. , 974 F.2d 631 ( 1992 )

Williams v. Texas Tech. University Health Sciences Center , 6 F.3d 290 ( 1993 )

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