Samuel Dukore v. DC , 799 F.3d 1137 ( 2015 )


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  •  United States Court of Appeals
    FOR THE DISTRICT OF COLUMBIA CIRCUIT
    Argued March 18, 2015              Decided August 25, 2015
    No. 13-7150
    SAMUEL DUKORE AND KELLY CANAVAN,
    APPELLANTS
    v.
    DISTRICT OF COLUMBIA, ET AL.,
    APPELLEES
    Appeal from the United States District Court
    for the District of Columbia
    (No. 1:12-cv-00409)
    Jeffrey Light argued the cause and filed the briefs for
    appellants.
    Stacy L. Anderson, Senior Assistant Attorney General,
    Office of the Attorney General for the District of Columbia,
    argued the cause for appellees. With her on the brief were
    Irvin B. Nathan, Attorney General at the time the brief was
    filed, Todd S. Kim, Solicitor General, and Loren L. AliKhan,
    Deputy Solicitor General.
    Before: TATEL and MILLETT, Circuit Judges, and
    SENTELLE, Senior Circuit Judge.
    Opinion for the Court filed by Circuit Judge MILLETT.
    2
    MILLETT, Circuit Judge: The “Occupy Movement”
    claims as its purpose the exposure of “how the wealthiest 1%
    of society are promulgating an unfair global economy[.]”
    Second Amended Complaint ¶ 11. A “core component” of
    the movement’s message is “peaceful protests, or
    ‘occupations’” accomplished through the “physical
    occupation” of public spaces, which is “expressed through the
    establishment of tents.” 
    Id. ¶ 14.
    In the District of Columbia, however, a municipal
    regulation forbids any person from “set[ting] up,
    maintain[ing], or establish[ing] any camp or any temporary
    place of abode in any tent” on public property without the
    Mayor’s authorization. D.C. Code. Mun. Regs. Title 24,
    § 121.1.    Occupy members Samuel Dukore and Kelly
    Canavan were arrested for violating that regulation when, late
    one February evening, they assembled and sat inside an
    Occupy tent on a sidewalk by Merrill Lynch’s office in
    Washington, D.C. Dukore and Canavan then sued, alleging
    that their arrests violated their rights under the federal
    Constitution and District law. Because their arrests did not
    violate clearly established law, we affirm the district court’s
    dismissal of their complaint.
    I
    Statutory and Regulatory Background
    A District of Columbia municipal regulation provides
    that:
    No person or persons shall set up, maintain, or establish
    any camp or any temporary place of abode in any tent,
    wagon, van, automobile, truck, or house trailer, of any
    3
    description, or in any combination, on public or private
    property, without the consent of the Mayor of the District
    of Columbia.
    D.C. Code. Mun. Regs. Title 24, § 121.1.
    The District’s First Amendment Assemblies Act
    provides, as relevant here, that “individuals conducting a First
    Amendment assembly * * * may use a stand or structure so
    long as it does not prevent others from using the sidewalk.”
    D.C. Code § 5-331.05(g). The Assemblies Act cautions,
    however, that assemblies and protests may be subject to
    “reasonable time, place, and manner restrictions[.]” D.C.
    Code § 5-331.04(b).
    Factual Background
    Because the district court dismissed the complaint for
    failure to state a claim, we must accept as true the following
    facts as alleged in the Second Amended Complaint
    (“Complaint”). See Klayman v. Zuckerberg, 
    753 F.3d 1354
    ,
    1357 (D.C. Cir. 2014).
    On the evening of February 13, 2012, Dukore and
    Canavan joined with a group of fewer than fifty protesters and
    set up tents on the sidewalk outside Merrill Lynch’s
    Washington, D.C., office to “express Plaintiffs’ statement of
    the 99% taking back society and government from the grip of
    banking and financial institutions[.]” Complaint ¶ 20. The
    tents, which “clearly identified the protest as part of Occupy
    DC,” did not prevent others from using the sidewalk. 
    Id. Some time
    after the protesters had set up their tents, officers
    from the Metropolitan Police Department instructed them to
    remove their tents or face arrest. 
    Id. ¶ 24.
    The officers
    4
    repeated that directive about forty-five minutes later, at which
    point the protesters took down all of the tents. 
    Id. ¶ 25.
    But Dukore and Canavan then reassembled one of the
    tents and sat down inside of it. Complaint ¶ 26. There was
    “no visible sleeping/living equipment inside or around the
    tent[.]” 
    Id. ¶ 28.
    After three warnings, the police arrested
    Dukore and Canavan for violating the regulation against
    setting up a temporary abode on public grounds. 
    Id. ¶ 26.
    The arrest occurred “at approximately 10:44 p.m.” Dukore
    Br. 14 n.8; see also District Br. 24. Dukore and Canavan
    were released “approximately 3-4 hours later,” and the
    charges were subsequently “no-papered” (that is, dropped).
    Complaint ¶ 26. The tent was seized, and Dukore and
    Canavan were not told how they could retrieve it. 
    Id. ¶ 27.
    They believe that the tent was destroyed. 
    Id. Procedural History
    Dukore and Canavan filed suit in the United States
    District Court for the District of Columbia alleging (i) false
    arrest and false imprisonment under District of Columbia law,
    (ii) wrongful conversion of their tent, (iii) retaliatory arrest in
    violation of the First Amendment, (iv) arrest without probable
    cause in violation of the Fourth Amendment, and (v)
    deprivation of their tent without due process, in violation of
    the Fifth Amendment. Complaint ¶¶ 37–60. The Complaint
    named as defendants the District of Columbia, several police
    officers, and an Inspector at the District’s Department of
    Consumer and Regulatory Affairs, who allegedly advised the
    officers on the scene of the applicability of the temporary-
    abode regulation (collectively, “the District”). Complaint
    ¶¶ 3–6.
    The district court granted the District’s motion to dismiss.
    It concluded that Dukore and Canavan had failed to state a
    5
    claim for false arrest or imprisonment, or for the alleged Fifth
    Amendment violation, and that the individual defendants were
    entitled to qualified immunity on the First and Fourth
    Amendment claims. The court dismissed all of those counts
    with prejudice. See Dukore v. District of Columbia, 970 F.
    Supp. 2d 23, 34 (D.D.C. 2013). The court also ruled that
    Dukore and Canavan had stated a claim for conversion, but at
    their request, dismissed that count of the complaint “without
    prejudice to re-file in [D.C.] Superior Court.” 
    Id. at 34
    n.9
    (internal quotation marks omitted). The court designated its
    order dismissing the action as “a final, appealable order.”
    J.A. 41.
    Dukore and Canavan timely appealed. The conversion
    claim is not at issue on appeal because the district court
    dismissed it at Dukore’s and Canavan’s request. Dukore and
    Canavan have also chosen not to press their Fifth Amendment
    due process claim on appeal, so the district court’s dismissal
    of that claim is conclusive.
    II
    Analysis
    Jurisdiction
    The first order of business is always to decide whether
    we can decide the appeal. The district court had federal
    question jurisdiction over the constitutional claims, 28 U.S.C.
    § 1331 and 42 U.S.C. § 1988, and supplemental jurisdiction
    over the related District law claims, 28 U.S.C. § 1367. This
    court has appellate jurisdiction under 28 U.S.C. § 1291 over
    “final decisions” of the district court.
    Confirming our jurisdiction is usually an easy task in
    cases where plaintiffs with obvious standing raise federal
    6
    questions on appeal from a federal district court’s final
    judgment. There is a wrinkle in this case though: the district
    court’s final judgment included the dismissal of one claim—
    the conversion claim—without prejudice, at Dukore’s and
    Canavan’s request. The federal courts of appeals have issued
    conflicting decisions on whether and when a voluntary
    dismissal without prejudice constitutes a final judgment for
    purposes of appeal. See, e.g., Robinson-Reeder v. American
    Council on Education, 
    571 F.3d 1333
    , 1338–1339 (D.C. Cir.
    2009); see also Blue v. District of Columbia Public Schools,
    
    764 F.3d 11
    , 17 (D.C. Cir. 2014) (collecting cases).
    A decision “is not final, ordinarily, unless it ends the
    litigation on the merits and leaves nothing for the [district]
    court to do but execute the judgment.” Cunningham v.
    Hamilton County, 
    527 U.S. 198
    , 204 (1999) (internal
    quotation marks omitted). Accordingly, when a district court
    resolves some, but not all, of the claims in a complaint, the
    judgment is generally non-final and non-appealable. See, e.g.,
    Cambridge Holdings Group, Inc. v. Federal Ins. Co., 
    489 F.3d 1356
    , 1359–1360 (D.C. Cir. 2007). The only way to
    take an appeal from such a partial disposition is if the district
    court both chooses to “direct entry of a final judgment as to
    one or more, but fewer than all, claims or parties,” and
    “expressly determines that there is no just reason for delay.”
    Fed. R. Civ. P. 54(b). 1
    1
    A small class of orders may qualify for interlocutory appeal. See,
    e.g., Mohawk Industries, Inc. v. Carpenter, 
    558 U.S. 100
    , 106
    (2009) (describing collateral order doctrine); see also In re District
    of Columbia, --- F.3d ---, 
    2015 WL 3916061
    , at *2 (D.C. Cir. June
    26, 2015) (interlocutory appeal of class certification under Fed. R.
    Civ. P. 23(f)); 28 U.S.C. § 1292 (jurisdiction to review certain
    interlocutory orders). This case does not involve any such order.
    7
    Parties cannot stipulate their way out of the final
    judgment rule or Rule 54(b)’s strict limitations.          The
    “voluntary but non-prejudicial dismissal[] of remaining
    claims” is “insufficient to render final and appealable a prior
    order disposing of only part of the case.” 
    Blue, 764 F.3d at 17
    ; see also 
    Robinson-Reeder, 571 F.3d at 1338
    –1340.
    The question in this case is whether the district court’s
    dismissal of the conversion claim without prejudice as part of
    a single order dismissing the entire action ran afoul of that
    jurisdictional rule. We hold that it did not, because the
    district court, not the parties, controlled the terms of dismissal
    in this case, and the final judgment dismissing the action in
    full in a single, dispositive order protects against manipulation
    of the courts’ jurisdiction.
    In Blue, the district court dismissed the plaintiff’s claims
    against one defendant but not 
    another. 764 F.3d at 14
    . As a
    result, the case against the remaining defendant remained
    active and unresolved, and the district court declined to certify
    its partial judgment for appeal under Rule 54(b). The plaintiff
    then tried to bypass the district court’s declination by entering
    a joint stipulation of dismissal without prejudice with the
    remaining defendant, “subject to a confidential settlement
    agreement with a tolling provision” that would have permitted
    a refiling of the claim after the appeal. 
    Id. at 16;
    see also 
    id. at 14–15.
    We held that such a party-initiated voluntary dismissal,
    especially in the wake of the district court’s decision denying
    certification under Rule 54(b), was insufficient to render the
    court’s judgment final for purposes of appellate jurisdiction.
    
    Blue, 764 F.3d at 19
    . Otherwise parties would be free to
    entirely supplant the district court’s screening function—the
    court’s role as “dispatcher”—under Rule 54(b), and could
    8
    make final a case with which neither the district court nor the
    parties are genuinely done. 
    Id. at 18.
    The entry of a minute
    order by the district court did not suffice because it was a
    mere “ministerial acknowledgement of the parties’ joint
    stipulation,” which the district court was obliged to grant
    unless it found prejudice to the defendant. 
    Id. at 19.
    Similarly, in Robinson-Reeder, the district court
    dismissed some claims in the complaint, but left one claim
    
    unresolved. 571 F.3d at 1335
    –1336. Before the district court
    ruled on the defendant’s motion to dismiss the remaining
    claim, the parties filed a joint stipulation dismissing the final
    claim without prejudice. 
    Id. at 1336.
    We held that such a
    voluntary stipulation by the parties does not satisfy Rule
    54(b)’s requirement of an express determination by the
    district court that a partial dismissal should be treated as final.
    That is because dismissal was “accomplished by stipulation of
    the parties alone pursuant to Federal Rule of Civil Procedure
    41(a)(1).”     
    Robinson-Reeder, 571 F.3d at 1339
    .              We
    accordingly dismissed the appeal for lack of jurisdiction. 
    Id. at 1339–1340.
         This case bears no relevant similarity to Blue or
    Robinson-Reeder. Here, the district court entered a single,
    final judgment, designated as such by the court itself, in
    which “all pending claims against all parties were resolved.”
    Outlaw v. Airtech Air Conditioning & Heating, Inc., 
    412 F.3d 156
    , 162 (D.C. Cir. 2005) (Roberts, J.). Absent appellate
    reversal, the federal action is concluded with nothing left to
    be done.
    While the voluntary dismissal without prejudice may
    allow Dukore and Canavan to refile their local law claim in
    District of Columbia Superior Court, the action’s dismissal
    from federal court is conclusive because there is no basis for
    federal jurisdiction to refile that claim by itself. See Murray
    9
    v. Gilmore, 
    406 F.3d 708
    , 712 (D.C. Cir. 2005) (appealable
    dismissal of an action signified by district court designating
    its order as “final and appealable”); Ciralsky v. CIA, 
    355 F.3d 661
    , 667 (D.C. Cir. 2004) (“Although it is true that [the
    plaintiff] may be able to re-file because the dismissal was
    without prejudice, that does not change the fact that, in the
    absence of such an affirmative act on [plaintiff’s] part, the
    case is at an end.”). The district court accordingly fulfilled its
    function as “gatekeeper for the court of appeals,” 
    Blue, 764 F.3d at 18
    , and the court alone determined when the case was
    over and its order became final. The district court’s control of
    the disposition and issuance of a single final judgment
    eliminated the “risk [of] empowering parties to take over” the
    district court’s “dispatcher function” that can arise from
    partial dispositions. 
    Id. 2 With
    our jurisdiction assured, we press on to the merits.
    Probable Cause to Arrest
    Disposition of Dukore’s and Canavan’s Fourth
    Amendment and false arrest claims hinges largely on the
    2
    To be sure, the district court’s labeling its order as “final and
    appealable,” standing alone, ordinarily would not render that order
    appealable under Rule 54(b). See Blackman v. District of
    Columbia, 
    456 F.3d 167
    , 176 (D.C. Cir. 2006) (“[E]ven if the
    record indicates no just reason for delay, an order is not final under
    Rule 54(b) unless it contains the ‘express determination’ thereof.”).
    But this is not a Rule 54(b) case; the court itself entered final
    judgment, and the absence of party manipulation, along with
    Dukore’s and Canavan’s inability to reinitiate federal court
    litigation of the voluntarily dismissed conversion claim, dispose of
    the finality concerns that underlay Blue and Robinson-Reeder.
    10
    existence or not of probable cause to justify Dukore’s and
    Canavan’s arrests. Because probable cause was present, we
    affirm the dismissal of both claims.
    Probable cause exists “when known facts and
    circumstances are sufficient to warrant [an officer] of
    reasonable prudence in the belief that an offense has been or
    is being committed.” United States v. Davis, 
    458 F.2d 819
    ,
    821 (D.C. Cir. 1972). The probable cause standard does “not
    demand any showing that such a belief be correct or more
    likely true than false.” Texas v. Brown, 
    460 U.S. 730
    , 742
    (1983). The existence of probable cause thus turns on
    objective considerations, rather than the actual mental state of
    the arresting officer. See, e.g., United States v. Jackson, 
    415 F.3d 88
    , 91 (D.C. Cir. 2005).
    We hold that the arresting officers had probable cause to
    conclude that Dukore and Canavan had violated the
    temporary-abode regulation. There is no dispute that Dukore
    and Canavan “set up” a “tent” on public property, within the
    meaning of the District regulation, D.C. Code. Mun. Regs.
    Title 24, § 121.1. See Complaint ¶ 26. So the probable-cause
    question boils down to whether it was reasonably prudent for
    the arresting officers to conclude that, in doing so, Dukore
    and Canavan set up a “temporary place of abode.” We have
    no doubt that the officers’ judgment was reasonable under the
    circumstances. The plain meaning of “temporary” is short-
    term in duration. To be sure, the time must still be long
    enough for the stay to count as an “abode” rather than a place
    of passing respite. If the officers reasonably perceived that
    Dukore and Canavan intended to stay through the night hours,
    that would suffice. Cf. United States v. Lyons, 
    706 F.2d 321
    ,
    327 (D.C. Cir. 1983) (reasonable expectation of privacy for
    Fourth Amendment purposes in hotel room occupied for a
    single night).
    11
    A reasonable officer could have concluded, on these
    facts, that Dukore and Canavan intended to occupy the tent
    through the night hours. To begin with, Dukore and Canavan
    set up a tent in which they then took shelter. A central
    purpose for such a tent is to serve as a temporary place of
    shelter and abode.           See WEBSTER’S THIRD NEW
    INTERNATIONAL DICTIONARY 2356 (1993) (defining a “tent”
    as a “collapsible shelter * * * used for camping outdoors (as
    by soldiers or vacationers)”). And this was not just any tent.
    As the complaint avers, the tents at the protest were “clearly
    identified” with the Occupy D.C. movement, the purpose of
    which was use of the tent for the “physical occupation” of
    protest sites. Complaint ¶¶ 14–20. An occupation, by its very
    nature, requires some length of time—longer than just passing
    through. Or so a reasonable officer could conclude.
    In addition, Dukore and Canavan did not merely
    assemble a tent on public property late at night. They
    reassembled their tent and stayed in it after officers had twice
    ordered them to take the tents down and had thrice warned
    that they could not lawfully remain inside the reassembled
    tent. Complaint ¶ 26. A reasonable officer could interpret
    that defiance as exhibiting an intent to stay put inside their
    tent for some time. Doubly so given the late night hour when
    this all transpired. The only likely options for Dukore and
    Canavan at nearly 11:00 p.m. would have been to go home or
    stay for a good part of the night. Reassembling and then
    occupying the tent in the face of contrary orders by police
    strongly suggested the latter possibility.
    Dukore and Canavan assail this conclusion on three
    grounds, but none works.          First, they focus on the
    requirement that the tent be a place of “abode” and emphasize
    that the tent contained no bedding, heat, or other living
    equipment to get them through a cold February night. Those
    12
    are fair points. But not enough to change the outcome. The
    essence of probable cause is making close judgment calls
    based on oftentimes conflicting information. See, e.g.,
    Galarnyk v. Fraser, 
    687 F.3d 1070
    , 1075 (8th Cir. 2012)
    (“[A]n officer faced with conflicting information * * * may
    still have probable cause and need not conduct a mini-trial
    before effectuating an arrest.”) (internal citations and
    quotation marks omitted).         Given that the Occupy
    Movement’s animating purpose is to oppose economic
    injustice and poverty, and that the plaintiffs displayed that
    message openly on signs attached to their tent, see Complaint
    ¶ 28, a reasonable officer could conclude that enduring a
    deliberately spartan abode at the feet of Merrill Lynch was
    itself part of the protestors’ message. Surely a Winnebago
    would have sent the wrong signal.
    Second, Dukore and Canavan emphasize that they had
    occupied the tent only for “a matter of minutes or hours, not
    days.” Dukore Br. 16. “Days” are not needed for a tent to be
    a “temporary” abode; “hours” can be enough. Beyond that,
    the argument forgets that what cut Dukore’s and Canavan’s
    protest short was the intervention of the police. The police
    did not need to wait all night for the offense to be completed
    to reasonably conclude that Dukore and Canavan had “set up”
    a temporary place of abode, D.C. Code. Mun. Regs. Title 24,
    § 121.1.
    Third, Dukore and Canavan argue that, notwithstanding
    the temporary-abode regulation, the District’s Assemblies Act
    protects their right to use a “structure,” specifically a tent, as
    part of a protest. D.C. Code § 5-331.05(g). That argument
    overlooks that the Assemblies Act expressly allows for
    “reasonable time, place, and manner restrictions” on
    expressive activity.       D.C. Code § 5-331.04(b).           The
    prohibition on that structure turning into a temporary abode is
    13
    precisely such a reasonable time and manner restriction on
    protest activities. Cf. Clark v. Community for Creative Non-
    Violence, 
    468 U.S. 288
    , 294 (1984) (“[S]ymbolic tents * * *
    may be expressive and part of the message delivered by [a]
    demonstration [but that] does not make the ban [on sleeping
    on the National Mall] any less a limitation on the manner of
    demonstrating, for reasonable time, place, or manner
    regulations normally have the purpose and direct effect of
    limiting expression but are nevertheless valid.”).
    In sum, because the arresting officers had probable cause
    to believe that Dukore’s and Canavan’s late-night reassembly
    and persisting occupation of their tent constituted the setting
    up of a temporary place of abode, in violation of D.C. law, the
    arrest did not violate the Fourth Amendment or constitute a
    false arrest. See 
    Scales, 973 A.2d at 729
    .
    Retaliatory Arrest
    Dukore and Canavan also argue that the officers arrested
    them in retaliation for their protest, in violation of their First
    Amendment rights. Qualified immunity bars that claim,
    however, because at the time of their arrest it was not clearly
    established that an arrest supported by probable cause could
    violate the First Amendment’s protection against retaliation. 3
    The doctrine of qualified immunity entitles officers to
    immunity from suit unless their conduct violated “clearly
    established statutory or constitutional rights of which a
    reasonable person would have known.” Pearson v. Callahan,
    
    555 U.S. 223
    , 231 (2009) (quoting Harlow v. Fitzgerald, 457
    3
    Dukore and Canavan do not argue that the temporary-abode
    regulation is so facially unconstitutional that a reasonable officer
    would know that an arrest for violating the regulation, even if
    supported by probable cause, would violate the First Amendment.
    
    14 U.S. 800
    , 818 (1982)). Qualified immunity considers the
    state of the law not with 20-20 hindsight, but at the time of the
    challenged conduct. See, e.g., Kalka v. Hawk, 
    215 F.3d 90
    ,
    94 (D.C. Cir. 2000). And a right will be held to have been
    clearly established at the time of an alleged violation if it
    would have been “clear to a reasonable officer that his
    conduct was unlawful in the situation that he confronted.”
    Saucier v. Katz, 
    533 U.S. 194
    , 202 (2001). If the right in
    question was not clearly established, we need not broach the
    question of whether a constitutional violation occurred
    because the officers are entitled to qualified immunity
    regardless. See 
    Pearson, 555 U.S. at 236
    .
    In reviewing a grant of qualified immunity, we must
    consider the right asserted “not as a broad general proposition,
    but in a particularized sense so that the contours of the right
    are clear[.]” Reichle v. Howards, 
    132 S. Ct. 2088
    , 2094
    (2012) (internal citations and quotation marks omitted). So
    the right we must consider in this case is “not the general right
    to be free from retaliation for one’s speech,” but rather “the
    more specific right to be free from a retaliatory arrest that is
    otherwise supported by probable cause.” 
    Id. The Supreme
    Court has “never held that there is such a
    right.” 
    Reichle, 132 S. Ct. at 2094
    . Nor was there in
    February 2012 (nor is there now) any settled consensus view
    in this court or other federal courts of appeals such that “the
    statutory or constitutional question” has been placed “beyond
    debate.” Ashcroft v. al-Kidd, 
    131 S. Ct. 2074
    , 2083 (2011);
    see also Bame v. Dillard, 
    637 F.3d 380
    , 384 (D.C. Cir. 2011)
    (to determine clearly established law, “we look to cases from
    the Supreme Court and this court, as well as to cases from
    other courts exhibiting a consensus view—if there is one”)
    (internal citations and quotation marks omitted). Quite the
    opposite, in July 2011, this court recognized that the federal
    15
    courts of appeals were split on whether a plaintiff claiming
    retaliatory arrest had to show that the arrest lacked probable
    cause, and expressly declined to take sides. See 
    Moore, 644 F.3d at 423
    n.8. That means that, at the time of the arrests in
    this case, precedent in this and other circuits was either
    inconclusive or actively in conflict on whether the existence
    of probable cause precluded an arrest from being deemed
    “retaliatory.” That is a far cry from placing the question
    beyond debate.
    Dukore and Canavan argue that the right to be free from
    retaliation under the First Amendment is clearly established.
    And they argue that the only confusion in the law concerned
    retaliatory prosecutions, as discussed in Hartman v. Moore,
    
    547 U.S. 250
    (2006). Dukore and Canavan further contend
    that any ripples of uncertainty generated by Hartman in other
    jurisdictions did not unsettle this circuit’s law, because we
    have recognized that “retaliatory arrest and retaliatory
    prosecution are distinct constitutional violations[.]” Moore v.
    Hartman, 
    704 F.3d 1003
    , 1004 (D.C. Cir. 2013). The absence
    of confusion in this jurisdiction, they conclude, left as
    governing law for the officers the clearly established
    background right to be free from retaliation under the First
    Amendment.
    That argument turns the qualified immunity burden
    upside down. It is Dukore’s and Canavan’s burden to show
    that the particular right in question—narrowly described to fit
    the factual pattern confronting the officers, see Reichle, 132 S.
    Ct. at 2094—was clearly established. It was not the District’s
    burden to show that the right had been called into question.
    The generality of Dukore’s and Canavan’s constitutional
    principle and the widespread instability in the law on the
    precise question of probable-cause arrests prevent them from
    discharging that duty.
    16
    III
    Conclusion
    The district court’s decision to dismiss one count of the
    complaint without prejudice, as part of its final order
    dismissing the action in its entirety, did not deprive this court
    of appellate jurisdiction. On the merits, we affirm the
    judgment of dismissal.
    So ordered.