JP Silverton v. Sohm , 243 F. App'x 82 ( 2007 )


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  •              NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
    File Name: 07a0451n.06
    Filed: June 26, 2007
    No. 06-6131
    UNITED STATES COURT OF APPEALS
    FOR THE SIXTH CIRCUIT
    J.P. SILVERTON INDUSTRIES L.P.,                  )
    )
    Plaintiff-Appellant,                        )
    )
    WAYNE WILLIS,                                    )
    )
    Plaintiff-Appellant,                        )
    )
    v.                                               )
    )   ON APPEAL FROM THE
    NORBERT H. SOHM,                                 )   UNITED STATES DISTRICT
    )   COURT FOR THE WESTERN
    Defendant-Appellee,                         )   DISTRICT OF KENTUCKY
    )
    WARD CORRELL,                                    )                OPINION
    )
    Defendant-Appellee,                         )
    )
    UNKNOWN DEFENDANTS,                              )
    )
    Defendants-Appellees,                       )
    )
    CHARLES A. KINCAID,                              )
    )
    Defendant-Appellee,                         )
    )
    COMMONWEALTH OF KENTUCKY,                        )
    )
    Defendant-Appellee.                         )
    BEFORE:        CLAY, GILMAN, and McKEAGUE, Circuit Judges.
    No. 06-6131
    J.P. Silverton Indus. L.P. v. Sohm
    McKEAGUE, Circuit Judge. J.P. Silverton Industries L.P. and Wayne Willis appeal the
    district court’s grant of summary judgment disposing of their action for violation of their
    constitutionally protected property rights and various causes of action under state law. For the
    reasons set forth below, we affirm the judgment of the district court.
    I. BACKGROUND
    On October 22, 2002, appellee Ward Correll obtained a judgment against L.D.R., Inc., Linda
    Stetler (“Stetler”), and Denny Stetler, not parties to this suit, and an order of sale for the Spring
    Creek Inn in satisfaction of the judgment. Appellee Sohm, the Master Commissioner of the Clinton
    Circuit Court, was ordered to carry out the sale, which was scheduled for June 4, 2004, at 10:00
    AM.1 Before the scheduled sale, appellant Silverton attempted to pay Correll the outstanding
    judgment, and thereby obtain the property, but Correll refused. Therefore, on June 3, 2004, Silverton
    paid $299,500 into the Clinton County Court in order to satisfy the judgment and obtain the property.
    The funds were deposited with the court in the name of Linda Stetler.
    On June 4, appellant Wayne Willis, acting on behalf of Silverton, came to Albany, Kentucky,
    for the sale of the Spring Creek Inn. That morning, he paid a further $12,000 into the court, “to
    make sure there was more than enough to pay for” the outstanding judgment. June 21, 2004 Tr. at
    12. He was accompanied by Stetler, and the two approached Sohm to discuss the scheduled sale.
    1
    This was the second scheduled sale date. The day before the original date, L.D.R. filed for
    bankruptcy, which stayed the sale. On May 17, 2004, the Clinton County Court entered an order,
    in which it stated, “It now appearing that the bankruptcy court stay is no longer in effect on the sale
    of the property, IT IS HEREBY ORDERED AND ADJUDGED . . . [that t]he Master Commissioner
    . . . is hereby directed to proceed with the sale . . . .” May 17, 2004 Order at 1.
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    The parties dispute the content of the ensuing conversation; Silverton and Willis alleged in their
    complaint that “Mr. Sohm advised Mr. Willis and Ms. Stetler that the indebtedness secured by the
    mortgage had been paid, and that consequently the sale would not occur.” Amended Complaint at
    ¶ 20. Following this conversation, Willis departed for Ohio. Before doing so, he filed with the court
    a “Motion to Enjoin Sale,” but failed to file a notice of a hearing on the motion.
    That morning, the Clinton County Court held a brief hearing on the motion; the court denied
    the motion on the basis that it failed to give notice of a time for a hearing, and that “the amount
    tendered to the Circuit Court Clerk is not sufficient to cover the amount in controversy, the interest,
    the costs, advertising costs, legal fees, . . . et cetera.” June 4, 2004 Tr. at 3. The amount owed was
    $336,551.67, exclusive of attorney’s fees, court costs, costs of sale, appraisal fees, late charges, and
    insurance. Sohm was therefore ordered to proceed with the sale, and held the sale of the property
    at 10:00 AM as scheduled. No representative of Silverton was present at the sale, and the property
    was purchased by Correll. Several days later, the Kentucky Department of Financial Institutions (the
    “DFI”), Correll, and Charles Kincaid, another of Stetler’s creditors, instituted garnishment actions
    against the funds paid into the court in Stetler’s name. The court held a hearing on the garnishment
    actions, and determined that the $12,498.12 Kincaid sought was properly subject to garnishment, but
    did not order garnishment of the funds sought by Correll or the DFI.
    Appellants then filed a motion to set aside the sale. At a subsequent hearing, the court denied
    the motion, determining that the amount paid was insufficient to satisfy the judgment and the sale
    was proper. Silverton and Willis thereafter filed suit in the United States District Court for the
    Western District of Kentucky against Sohm, Correll, the DFI, Kincaid, and other unnamed
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    J.P. Silverton Indus. L.P. v. Sohm
    defendants. They alleged that Sohm and Correll had deprived the plaintiffs of their constitutionally
    protected property rights under color of state law in violation of 42 U.S.C. § 1983, and conspired
    to deprive the plaintiffs of those same rights. They also made state-law claims of fraud, official
    misconduct, interference with prospective economic advantage, abuse of process, and malicious
    prosecution against various of the defendants. They sought $500,000 in compensatory and
    $1,000,000 in punitive damages, as well as attorney’s fees.
    Before discovery was conducted, the defendants filed motions to dismiss the case. The
    district court granted the motions as motions for summary judgment on December 28, 2005. The
    district court determined that the claims against the DFI were barred by sovereign immunity, and that
    “the evidence in the various filings provides no support for Silverton’s allegation that Mr. Sohm
    misled Mr. Willis and/or Ms. Stetler regarding the sale.” J.P. Silverton Indus. L.P. v. Sohm, No. 04-
    CV-128, 
    2005 U.S. Dist. LEXIS 38351
    , at *11 (W.D. Ky. Dec. 28, 2005). The district court
    concluded, “Without this, Silverton’s claims cannot stand. The civil rights claims (Counts I and II)
    rely on it, as does the fraud claim (Count III), as well as the violation of K.R.S. 522.020 et seq.
    (Count IV) [official misconduct] and the claim for interference with prospective economic advantage
    (Count V).” 
    Id. The district
    court also concluded that the claims against Kincaid, Correll, and the
    DFI for abuse of process and against Correll and the DFI for malicious prosecution (Counts VI and
    VIII) arising out of the garnishment actions were barred by issue preclusion. 
    Id. at *12-13.
    Silverton and Willis then filed a motion to alter or amend the denial, appending the affidavit
    of Linda Stetler. The district court denied the motion, concluding that the affidavit from Stetler did
    not materially contradict the testimony in the state court proceedings on which the court had relied
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    No. 06-6131
    J.P. Silverton Indus. L.P. v. Sohm
    in granting the motions for summary judgment. Silverton and Willis timely appeal both the grant
    of summary judgment and the denial of the motion to alter or amend. They argue that the district
    court improperly converted appellees’ motions to motions for summary judgment, that claim and
    issue preclusion are not applicable, that they were denied the right to conduct discovery, and that
    there were disputed questions of material fact rendering summary judgment improper. They do not
    contest the district court’s determination that the DFI is entitled to sovereign immunity, so this
    opinion will not address their claims against the DFI. Sohm argues in addition that he was entitled
    to judicial immunity and that appellants lacked a constitutionally protected interest in the Spring
    Creek Inn, which appellants contest. We will address only the issues we find dispositive.
    II. TREATMENT OF MOTION AS ONE FOR SUMMARY JUDGMENT
    Whether a motion to dismiss can properly be considered as a motion for summary judgment
    is a matter of law that this court reviews de novo. United States v. Sanford, 
    476 F.3d 391
    , 396 (6th
    Cir. 2007) (“This court reviews questions of law de novo.”); see also Max Arnold & Sons, L.L.C. v.
    W.L. Hailey & Co., 
    452 F.3d 494
    , 502-04 (6th Cir. 2006) (conducting de novo review of whether a
    motion was properly considered as a motion for summary judgment or for judgment on the
    pleadings).
    Appellants first argue that appellee Sohm’s styling of his motion as a “motion to dismiss”
    or a “motion for summary judgment/judgment on the pleadings” was improper. However, filing
    motions under multiple legal characterizations is an accepted practice. See, e.g., Hercules, Inc. v.
    United States, 
    516 U.S. 417
    , 426 n.7 (1996) (“motion to dismiss and for summary judgment”);
    Anderson v. Creighton, 
    483 U.S. 635
    , 637 (1987) (“motion to dismiss or for summary judgment”);
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    J.P. Silverton Indus. L.P. v. Sohm
    Abbott v. Michigan, 
    474 F.3d 324
    , 327 (6th Cir. 2007) (same). Moreover, appellants allege no
    conceivable harm as a result of Sohm’s styling of his motion.
    Appellants also argue that the district court should not have treated the motion as one for
    summary judgment.2 Federal Rule of Civil Procedure 12(b) provides:
    If, on a motion asserting the defense numbered (6) to dismiss for failure of the
    pleading to state a claim upon which relief can be granted, matters outside the
    pleading are presented to and not excluded by the court, the motion shall be treated
    as one for summary judgment and disposed of as provided in Rule 56 . . . .
    Although a court may decide a summary judgment motion on the basis of “the pleadings,
    depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any,”
    Fed. R. Civ. P. 56(b) (emphasis added), the rules do not require the moving party to submit any of
    these filings in order for a court to consider a motion as one for summary judgment.
    The Sixth Circuit has noted that “[t]here are exceptions to th[e] general rule” that “matters
    outside the pleadings may not be considered in ruling on a 12(b)(6) motion to dismiss unless the
    motion is converted to one for summary judgment.” Jackson v. City of Columbus, 
    194 F.3d 737
    ,
    745 (6th Cir. 1999). Without converting the motion, “[c]ourts may . . . consider public records,
    matters of which a court may take judicial notice, and letter decisions of governmental agencies.”
    
    Id. Appellee Sohm
    submitted twelve supporting exhibits with his motion to dismiss, all of which
    2
    Although Sohm styled his motion as either a motion to dismiss or a motion for summary
    judgment, the district court’s treatment of the motion as one for summary judgment will be discussed
    as a “conversion” from a motion to dismiss to one for summary judgment, because the district court
    filed a notice of conversion, and because the motion was filed as Sohm’s first response to the
    complaint. See Fed. R. Civ. P. 12(b) (“A motion making any of these defenses shall be made before
    pleading if a further pleading is permitted.”).
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    J.P. Silverton Indus. L.P. v. Sohm
    were public records. Under the rule in Jackson, the district court would have been permitted to
    dispose of Sohm’s motion under Rule 12(b)(6) and still consider the attached records. However,
    neither Jackson nor other Sixth Circuit cases stating the same rule, see, e.g., Wyser-Pratte Mgmt. Co.
    v. Telxon Corp., 
    413 F.3d 553
    , 560 (6th Cir. 2005); New Eng. Health Care Employees Pension Fund
    v. Ernst & Young, L.L.P., 
    336 F.3d 495
    , 501 (6th Cir. 2003), forbid district courts to convert 12(b)(6)
    motions into summary judgment motions when the court accepts the filing of public records in
    support of the motion. Thus, it is not clear that the district court’s decision was in error.
    Perhaps more significantly, appellants do not explain how the district court’s conversion of
    the motion to one for summary judgment prejudiced them. See Harrington v. Vandalia-Butler Bd.
    of Educ., 
    649 F.2d 434
    , 436 (6th Cir. 1981) (subjecting a sua sponte grant of summary judgment to
    harmless error review). The principal requirement for conversion to a summary judgment motion
    is that “[w]here one party is likely to be surprised by” the court’s consideration of a motion to
    dismiss as one for summary judgment, “notice is required.” Salehpour v. Univ. of Tenn., 
    159 F.3d 199
    , 204 (6th Cir. 1998). In this case, notice was provided, and appellants therefore should have
    been aware that they “had to come forward with all of [their] evidence.” 
    Salehpour, 159 F.3d at 204
    .
    Moreover, the district court would have been free to consider all of the materials submitted with
    Sohm’s motion even if the district court had not converted the motion. Thus, it is not clear what,
    if anything, would have been altered if the district court had disposed of Sohm’s motion as a motion
    to dismiss, as appellants argue it should have.
    III. IMMUNITY
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    J.P. Silverton Indus. L.P. v. Sohm
    This court reviews the question of whether a defendant is “‘entitled to absolute or qualified
    immunity de novo, as that issue is a question of law.’” Barnes v. Wright, 
    449 F.3d 709
    , 714 (6th Cir.
    2006) (quoting Spurlock v. Satterfield, 
    167 F.3d 995
    , 1000 (6th Cir. 1999)). Sohm contends on
    appeal, as he did before the district court,3 that he is entitled to absolute judicial immunity for his acts
    in overseeing the public sale of the Spring Creek Inn.
    There are two types of immunity defenses, as this court explained in Dean v. Byerley, 
    354 F.3d 540
    (6th Cir. 2004):
    First, “for officials whose special functions or constitutional status requires complete
    protection from suit, we have recognized the defense of ‘absolute immunity.’” For
    example, the Supreme Court has recognized the defense of absolute immunity for
    legislators performing legislative functions, judges performing judicial functions,
    prosecutors performing prosecutorial functions, and the President of the United
    States in his official capacity. . . . Second, “government officials who perform
    discretionary functions are generally entitled to qualified immunity and are protected
    from civil damages so long as ‘their conduct does not violate clearly established
    statutory or constitutional rights of which a reasonable person would have known.’”
    
    Id. at 554
    (quoting Harlow v. Fitzgerald, 
    457 U.S. 800
    , 807 (1982); Pray v. City of Sandusky, 
    49 F.3d 1154
    , 1157 (6th Cir. 1995) (quoting 
    Harlow, 457 U.S. at 818
    )).
    “The defense of absolute immunity provides a shield from liability for acts performed
    erroneously, even if alleged to have been done maliciously or corruptly.” 
    Id. Under the
    law of this
    Circuit,4 “absolute judicial immunity is overcome only in two situations. First, a judge is not
    3
    The district court did not address this issue in its opinion. However, the panel “may affirm
    on any grounds supported by the record, even though they may be different from the grounds relied
    on by the district court.” City Mgmt. Corp. v. U.S. Chem. Co., 
    43 F.3d 244
    , 251 (6th Cir. 1994) .
    4
    With regard to the claims for deprivation of constitutional rights and conspiracy to violate
    constitutional rights, whether Sohm is entitled to judicial immunity is a question of federal law, not
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    J.P. Silverton Indus. L.P. v. Sohm
    immune from liability for nonjudicial actions, i.e., actions not taken in the judge’s judicial capacity.
    Second, a judge is not immune for actions, though judicial in nature, taken in the complete absence
    of all jurisdiction.” Depiero v. City of Macedonia, 
    180 F.3d 770
    , 784 (6th Cir. 1999) (citing Mireles
    v. Waco, 
    502 U.S. 9
    , 11-12 (1991)).
    Appellants argue that Sohm’s court-ordered execution of the sale of the Spring Creek Inn was
    not a judicial action. Absolute immunity can apply both to judges and to “other state officials
    engaged in adjudicative functions.” 
    Dean, 354 F.3d at 555
    . To determine “whether an act is
    ‘judicial,’” courts must consider whether the act is “‘normally performed by a judge’” – that is, they
    must examine “the particular act’s relation to a general function normally performed by a judge”;
    and they must “assess whether the parties dealt with the judge in his or her judicial capacity.”
    Brookings v. Clunk, 
    389 F.3d 614
    , 617 (6th Cir. 2004) (quoting 
    Mireles, 502 U.S. at 13
    ; Stump v.
    Sparkman, 
    435 U.S. 349
    , 362 (1978)).
    Under Kentucky law, a master commissioner is empowered to “perform such functions,
    including those of a receiver, as may be directed by an appropriate order of court.” Ky. Rev. Stat.
    § 31A.010(6). The Kentucky statute does envision the possibility that a master commissioner might
    “perform[] judicial type functions,” though it does not specify what those might be. 
    Id. § 31A.010(4).
    A master commissioner’s authority does include the execution of judicially-ordered
    foreclosure sales. Peyton v. Young, 
    659 S.W.2d 205
    , 206 (Ky. 1983). As this and other courts have
    recognized, however, foreclosure sales are typically performed by sheriffs, who are executive
    Kentucky law. Howlett v. Rose, 
    496 U.S. 356
    , 375 (1990) (“The elements of, and the defenses to,
    a federal cause of action are defined by federal law.”).
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    officers. See, e.g., Wonderland Shopping Ctr. Venture L.P. v. C.D.C. Mortgage Capital, Inc., 
    274 F.3d 1085
    , 1089 (6th Cir. 2001); Am. Fed. Sav. & Loan Ass’n v. McCaffrey, 
    728 P.2d 155
    , 161
    (Wash. 1986); Robert R. Wisdom Oil Co. v. Gatewood, 
    682 S.W.2d 882
    , 883 (Mo. Ct. App. 1984);
    Baber v. Baber, 
    474 P.2d 630
    , 631 (Colo. Ct. App. 1970).
    Judges, by contrast, perform the discretionary, “adjudicative” functions of ordering
    foreclosure sales, and reviewing the sales afterward to determine whether irregularity occurred. See,
    e.g., Krohn v. Sweetheart Prop., 
    52 P.3d 774
    , 776 (Ariz. 2002); State ex rel. Midwest Pride IV, Inc.
    v. Pontious, 
    664 N.E.2d 931
    , 933-34 (Ohio 1996); Hayes v. Alaska USA Fed. Credit Union, 
    767 P.2d 1158
    , 1160 (Alaska 1989). The execution of a foreclosure sale is thus not an action “normally
    performed by a judge,” or analogous “to a general function normally performed by a judge.” For this
    reason, a master commissioner conducting a foreclosure sale is not dealing with interested persons
    in a “judicial capacity,” but rather in the capacity of an executive officer. Sohm is therefore not
    entitled to judicial immunity.
    He is, however, entitled to absolute immunity under the theory of “quasi-judicial immunity.”5
    As appellants point out, “[t]here was no judicial discretion involved in the act of orrdering the
    property for sale; it was a purely ministerial act.” Appellants’ Brief at 17. This is confirmed by
    Sohm’s testimony at the hearing on appellants’ motion to set aside the sale that “[t]he Judge orders
    the sale, and I follow the specific orders.” June 26, 2004 Tr. at 6. “[A]n official is entitled to
    5
    Although Sohm does not use the words “quasi-judicial immunity” in his brief, this clearly
    is the theory he is invoking in his argument that “Sohm, as an arm of the Court, merely carried out
    the Court’s Order and is entitled to judicial immunity.” Sohm and Kincaid’s Brief at 14.
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    No. 06-6131
    J.P. Silverton Indus. L.P. v. Sohm
    absolute quasi-judicial immunity when that official acts pursuant to a valid court order because the
    act of ‘enforcing or executing a court order is intrinsically associated with a judicial proceeding.’”
    Cooper v. Parrish, 
    203 F.3d 937
    , 948 (6th Cir. 2000) (quoting Bush v. Rauch, 
    38 F.3d 842
    , 847 (6th
    Cir. 1994)).
    Other circuits have similarly recognized immunity for officials carrying out court orders. See,
    e.g., Forte v. Sullivan, 
    935 F.2d 1
    , 3 (1st Cir. 1991); Wolfe v. City of Pittsburgh, 
    140 F.3d 236
    , 240
    (3d Cir. 1998); Mays v. Sudderth, 
    97 F.3d 107
    , 113 (5th Cir. 1996); Dunn v. City of Elgin, 
    347 F.3d 641
    , 647 (7th Cir. 2003); Penn v. United States, 
    335 F.3d 786
    , 789 (8th Cir. 2003); Singh v. Magee,
    1 F. App’x 713, 714 (9th Cir. 2001); Whitesel v. Sengenberger, 
    222 F.3d 861
    , 869 (10th Cir. 2000);
    Roland v. Phillips, 
    19 F.3d 552
    , 555-56 (11th Cir. 1994). Thus, because in conducting the sale Sohm
    was simply following an order of the court, he is entitled to absolute quasi-judicial immunity. As
    the Tenth Circuit explained in Whitesel, absolute quasi-judicial immunity is unlike absolute judicial
    immunity in that it does not derive from the discretionary nature of an official’s actions. Rather, it
    derives from the official’s lack of discretion: “‘Officials must not be called upon to answer for the
    legality of decisions which they are powerless to control. . . . Denying these officials absolute
    immunity for their acts would make them a light[]ning rod for harassing litigation aimed at judicial
    
    orders.’” 222 F.3d at 869
    (quoting Valdez v. City of Denver, 
    878 F.2d 1285
    , 1289 (10th Cir. 1981)).
    Because in selling the property Sohm was simply following the court’s order, he is entitled to
    immunity from suit.
    IV. CLAIM AND ISSUE PRECLUSION
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    The district court granted summary judgment for appellees on the abuse of process and
    malicious prosecution claims, holding, “In the case of the garnishments, the issues of fact and law
    relating thereto were litigated and determined by final decision on the merits at the state court level,”
    and therefore issue preclusion applies. 
    2005 U.S. Dist. LEXIS 38351
    , at *13. This court reviews
    de novo the district court’s decision regarding whether claim or issue preclusion applies. Abbott v.
    Michigan, 
    474 F.3d 324
    , 331 (6th Cir. 2007). As this court explained in Abbott, “Res judicata may
    bar any claims over which the federal courts have jurisdiction, including both claims of injuries
    caused by state-court judgments and general challenges to state statutes. Federal courts must give
    the same preclusive effect to a state-court judgment as that judgment receives in the rendering 
    state.” 474 F.3d at 330
    (citing 28 U.S.C. § 1738 (“[J]udicial proceedings shall have the same full faith and
    credit in every court within the United States and its Territories and Possessions as they have by law
    or usage in the courts of such State, Territory or Possession from which they are taken.”)).
    Under Kentucky law, the elements of abuse of process are
    (1) an ulterior purpose and (2) a willful act in the use of the process not proper in the
    regular conduct of the proceeding. Some definite act or threat not authorized by the
    process, or aimed at an objective not legitimate in the use of the process is required
    and there is no liability where the defendant has done nothing more than carry out
    the process to its authorized conclusion even though with bad intentions.
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    Simpson v. Laytart, 
    962 S.W.2d 392
    , 394-95 (Ky. 1998) (emphasis added). The truth of Silverton
    and Willis’s allegation that the defendants6 used the garnishment process “to accomplish a purpose
    for which it is not designed,” Complaint ¶ 53, is therefore a necessary element of the cause of action.
    As to Kincaid, the Clinton County Court held that Stetler, who had challenged Kincaid’s
    garnishment action, had “failed to meet her burden of proof to challenge the garnishment,” and that
    “the garnishment in question is valid and enforceable.” Order of Sept. 27, 2004, at 3; Order of Apr.
    27, 2005. The court therefore ordered that the requested $12,498.12 be turned over to Kincaid.
    According to the court’s order, Stetler was the party challenging the garnishment, and there was “no
    testimony from Wayne Willis or any representative of J.P. Silverton Limited Partnership regarding
    payment of these funds.” Order of Apr. 27, 2005. Willis and Silverton had failed to file any
    objections to the garnishment, despite the fact that the Clinton County Court “repeatedly requested
    Silverton’s attorney to send him copies of any motions in order to enable this Court to properly
    prepare for hearings [on the garnishment actions] and gave a business card to Silverton’s attorney
    to ensure he had the Court’s proper mailing address.” Order of Sept. 27, 2004, at 1.
    After the entry of the order approving Kincaid’s garnishment, Silverton filed a motion to
    alter, amend, or vacate the order, “requesting that th[e] Court enter findings of fact and conclusions
    of law setting out with particularity the evidence and motions which were considered by th[e] Court
    when it determined that the sum of $12,498.12 . . . was subject to the garnishment filed by” Kincaid.
    6
    The complaint includes abuse of process claims against Kincaid, Correll, and the DFI, and
    malicious prosecution claims against Correll and the DFI. As noted above, appellants have waived
    any dispute with the district court’s determination that the DFI possesses sovereign immunity.
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    Order of Sept. 27, 2004, at 3. The court noted that the motion “set no time for a hearing,” and
    therefore that the court “could have perfunctorily overruled this motion . . . , but it did not.” 
    Id. Instead, in
    its order denying the motion, the court detailed its findings as to the ownership of the
    funds deposited into the court, the nature of the instructions given when the money was deposited,
    the amount of Kincaid’s unpaid judgment against Stetler from a prior action, and the credibility of
    the witnesses who testified at the garnishment hearing. 
    Id. at 2-3.
    It then reiterated its earlier ruling
    that Kincaid’s garnishment action was valid. 
    Id. at 3.
    The Clinton County Court’s decisions indicate that with regard to Silverton and Willis’s
    claims against Kincaid, all the requirements of collateral estoppel are fulfilled. Both the garnishment
    proceedings and the abuse of process claim involve the same issue – whether the garnishment action
    was “valid and enforceable,” as the Kentucky court held, or instituted without probable cause and
    for a purpose other than the one for which the process was designed. The validity of the garnishment
    action was actually litigated and decided in Kentucky court, and that decision was necessary to the
    court’s judgment that the money sought should be turned over to Kincaid. Silverton and Willis were
    given, if anything, more than a full and fair opportunity to litigate the matter, as they failed to avail
    themselves of the opportunity to participate in the original hearing, and upon their subsequent
    motion, the court generously provided them with the detailed order they requested, despite the fact
    that their motion to alter or amend could have been rejected on procedural grounds. Thus, the
    district court was correct in holding that appellants are estopped from further arguing the validity of
    Kincaid’s garnishment action, and their malicious prosecution claim against him must fail.
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    As to Correll, however, collateral estoppel does not apply. The Kentucky court did not grant
    Correll’s garnishment action, and so the validity of his action could not have been necessarily
    decided in his favor in state court.
    V. CLAIMS AGAINST CORRELL
    The determination that the DFI is entitled to sovereign immunity is thus uncontested, the
    claims against Sohm are barred by absolute quasi-judicial imunity, and the claim against Kincaid is
    barred by issue preclusion. Only Correll remains. Under a liberal reading of the complaint, it
    appears that appellants brought four claims against Correll: violation of civil rights, conspiracy with
    Sohm to violate civil rights, abuse of process, and malicious prosecution.7 Although appellants’
    arguments on appeal do not refer to their claims against Correll specifically, they do contest the bases
    on which the district court granted summary judgment against them with respect to Correll: namely,
    whether their claims relating to Correll’s garnishment action are precluded by Kentucky court
    decisions, and whether there was a genuine issue of material fact regarding the alleged conspiracy
    between Sohm and Correll to prevent appellants from purchasing the Spring Creek Inn. Therefore,
    we now address the grant of summary judgment with regard to Correll.
    A. Abuse of Process and Malicious Prosecution
    As noted above, under Kentucky law, there is “no liability” for abuse of process “where the
    defendant has done nothing more than carry out the process to its authorized conclusion even though
    7
    We understand the state-law claim for official misconduct to be against Sohm only, as
    Correll is not a “public servant,” and therefore the official misconduct law does not apply to him.
    Ky. Rev. Stat. §§ 522.010(1), 522.020.
    - 15 -
    No. 06-6131
    J.P. Silverton Indus. L.P. v. Sohm
    with bad intentions.” 
    Simpson, 962 S.W.2d at 394-95
    . The complaint clearly states that Correll filed
    his garnishment action “seeking to garnish the funds of Plaintiffs paid into the Court,” Complaint
    ¶ 26, which is in fact the “authorized conclusion” of a garnishment action.8 Thus, the abuse of
    process claim must fail. Similarly, the Kentucky-law claim for malicious prosecution requires proof
    that there is a “want of probable cause for the proceeding.” Raine v. Drasin, 
    621 S.W.2d 895
    , 899
    (Ky. 1981). Appellants do not allege that Correll instituted the garnishment action in the want of
    probable cause, and it is undisputed that Stetler owed an outstanding debt to Correll; it was to satisfy
    that unpaid debt that the state court ordered the foreclosure sale from which all of appellants’ claims
    spring. Thus, the malicious prosecution claim must also fail.
    B. Violation of Civil Rights
    Finally, the complaint alleges that Correll violated appellants’ constitutionally protected
    property rights in violation of 42 U.S.C. § 1983, and conspired with Sohm to do so.9 Although
    Correll is a private person, the allegation that he conspired with Sohm, the Master Commissioner,
    to violate appellants’ civil rights suffices to raise the question of whether he acted under color of
    8
    The complaint does allege that the defendants knew at the time that they filed their
    garnishment actions that the funds sought to be garnished were “in custodia legis” and therefore not
    subject to garnishment. Complaint ¶ 28. However, this is not an assertion of fact but a conclusion
    of law, and, in any case, the legal rule asserted is incorrect. While property in the custody of the
    court is not subject to attachment by another court, see Huron Holding Corp. v. Lincoln Mine
    Operating Co., 
    312 U.S. 183
    , 192 (1941), it may be garnished pursuant to the order of the court in
    whose custody it lies, see Patton v. Kentucky, 
    195 S.W. 455
    , 459 (Ky. 1917).
    9
    Although the paragraphs describing these counts do not name the defendants against whom
    the claims are brought, the complaint contains an earlier allegation that “Defendant Sohm acted with
    the intent of benefitting Defendant Correll and of enabling Defendant Correll to purchase the subject
    property for less than its true value,” Complaint ¶ 24, which makes the matter reasonably clear.
    - 16 -
    No. 06-6131
    J.P. Silverton Indus. L.P. v. Sohm
    state law as required by § 1983. Cooper v. Parrish, 
    203 F.3d 937
    , 952 n.2 (6th Cir. 2000) (“If a
    private party has conspired with state officials to violate constitutional rights, then that party
    qualifies as a state actor and may be held liable pursuant to § 1983 . . . .”).
    The constitutional right appellants allege was violated in this case is the right to be free from
    deprivation of property without due process of law. To show a deprivation of property without due
    process of law in violation of § 1983, appellants had to establish three elements:
    (1) that they have a life, liberty, or property interest protected by the Due Process
    Clause of the Fourteenth Amendment . . . , (2) that they were deprived of this
    protected interest within the meaning of the Due Process Clause, and (3) that the state
    did not afford them adequate procedural rights prior to depriving them of their
    protected interest.
    Med Corp., Inc. v. City of Lima, 
    296 F.3d 404
    , 409 (6th Cir. 2002) (quoting Hahn v. Star Bank, 
    190 F.3d 708
    , 716 (6th Cir. 1999)).
    Assuming for the sake of argument that the first two elements are met, appellants cannot
    establish (and did not allege in their complaint) that they were not provided with adequate
    procedures to challenge the sale of the Spring Creek Inn to Correll. The Clinton County Court held
    a hearing before the sale to determine whether to grant the motion to enjoin the sale, and determined
    that the motion should be denied both because it was not accompanied by the required notice of a
    hearing, and because the amount appellants had paid into the court was “not sufficient to cover the
    amount in controversy, the interest, the costs, advertising costs, . . . et cetera.” June 4, 2004 Tr. at
    3. Thus, appellants were granted the procedural protections required by the Due Process Clause, and
    their claim fails. Cleveland Bd. of Educ. v. Loudermill, 
    470 U.S. 532
    , 542 (1985) (“We have
    described ‘the root requirement’ of the Due Process Clause as being ‘that an individual be given an
    - 17 -
    No. 06-6131
    J.P. Silverton Indus. L.P. v. Sohm
    opportunity for a hearing before he is deprived of any significant property interest.’”) (quoting
    Boddie v. Connecticut, 
    401 U.S. 371
    , 379 (1971)).
    Even supposing that appellants’ failure to appear before the Clinton County Court were
    attributable to reliance on Sohm’s statements, rather than to their failure to follow Kentucky
    procedure for providing notice of a hearing, they cannot establish that they were denied adequate
    procedural safeguards. If a person is deprived of property, not “pursuant to any established state
    procedure,” but, for example, because of “a random, unauthorized personal vendetta against” that
    person by a state official, then “the State cannot be required constitutionally to do the impossible by
    providing predeprivation process.” Zinermon v. Burch, 
    494 U.S. 113
    , 129, 130 (1990). In such a
    case, postdeprivation process is sufficient, 
    id. at 129,
    and appellants received that process as well.
    The Clinton County Court held a full adversary hearing, at which both sides presented
    evidence, on appellants’ subsequent motion to set aside the sale. After the motion was denied, the
    court also considered, and denied, appellants’ motion to alter or amend the denial of the motion to
    set aside the sale. Appellants thus received the required postdeprivation procedural safeguards, and
    cannot establish that a constitutional violation occurred. Therefore, summary judgment in favor of
    Correll was proper with regard to the violation of civil rights and conspiracy in violation of civil
    rights claims as well.
    VI. CONCLUSION
    For these reasons, the district court’s grant of summary judgment is AFFIRMED.
    - 18 -
    

Document Info

Docket Number: 06-6131

Citation Numbers: 243 F. App'x 82

Filed Date: 6/26/2007

Precedential Status: Non-Precedential

Modified Date: 1/12/2023

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