UNITED STATES DISTRICT COURT
DISTRICT OF CONNECTICUT
EDUARDO DIAZ-BERNAL, FLORENTE
BARANDA-BARRETO, EDILBERTO CEDENO-TRUJILLO,
WASHINGTON COLALA-PENARRETA,
JULIO SERGIO PAREDES-MENDEZ,
CRISTOBAL SERRANO-MENDEZ,
JOSE SOLANO-YANGUA, SILVINO TRUJILLO-MIRAFUENTES,
GERARDO TRUJILLO-MORELLANO,
EDINSON YANGUA-CAL VA, and
AMILCAR SOTO-VELASQUEZ,
Plaintiffs,
*Case No. 3:09-CV-
*1734 (SRU)
JULIE MYERS, Former Assistant Secretary of
Homeland Security for Immigration and Customs
Enforcement, JOHN TORRES, Former
Director, ICE Office of Detention and Removal
Operations, BRUCE CHADBOURNE,
Field Office Director, ICE DRO Boston, JIM
MARTIN, Deputy Field Office Director, ICE DRO,
GEORGE SULLIVAN, Assistant Field Office
Director, ICE DRO, WALTER WILKOWSKI,
Resident Agent in Charge, ICE Office of
Investigations, New Haven, CT, RICHARD
MCCAFFREY, ICE Hartford Fugitive Operations
Team Supervisory Detention and
Deportation Officer, HARFOT Agents JAMES
BROWN, RONALD PREBLE, STEPHEN
RICCARDI, MICHELLE VETRANO-ANTUNA,
and GEORGE LEWIS, ICE Agents BRIAN GEARY,
DAVID HAMILTON, DEREK MOORE, DAVID
OSTROBINSKI, DAVID REILLY, WILFREDO
RODRIGUEZ, WILFRED VALENTIN, EDGAR
VASQUEZ, JOHN DOES 1 -10, and the UNITED
STATES,
Defendants.
ORAL ARGUMENT REQUESTED
MEMORANDUM OF LAW IN OPPOSITION TO UNITED STATES' RENEWED
PARTIAL MOTION TO DISMISS
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 1 of 48
TABLE OF CONTENTS
Page
TABLE OF AUTHORITIES .................................................................... iii
PRELIMINARY STATEMENT...................................................................
STATEMENT OF FACTS ....................................................................... 4
A. The Parties ............................................................................. 4
B. The NFOP Quota System............................................................. 6
C. The NFOP Quota Raids Contributed To Common Law And
Constitutional Violations............................................................. 6
D. The Supervisory Defendants' Negligent Hiring, Training, And
Supervision............................................................................. 7
E. The Fair Haven Retaliatory Raids ................................................... 10
RELEVANT LEGAL STANDARD ............................................................ 13
ARGUMENT ................................................................................... 15
1. THE DISCRETIONARY FUNCTION EXCEPTION DOES NOT APPLY
BECAUSE THE FACTS UNDERLYING PLAINTIFFS' STATE LAW
TORT CLAIMS ALSO ESTABLISH CONSTITUTIONAL VIOLATIONS 15
II. IN ANY EVENT, THE GOVERNMENT'S DISCRETIONARY
FUNCTION ARGUMENTS FAIL THE TWO-PRONG TEST OF
GAUBERT............................................................................... 18
A. The Supervisory Defendants' Negligent Hiring, Training, And Supervisory
Conduct Was Not Discretionary..................................................... 18
1. The Supervisory Defendants' Negligent Hiring, Training, And
Supervision Of The Fair Haven Raid Officers Is Not
Discretionary Because It Violated DHS Regulations ..................... 19
2. The Supervisory Defendants' Conduct Was Not Discretionary
Because It Violated Mandatory NFOP Policies........................... 20
a. Formal Agency Policy Statements Circumscribe A Federal
Employees' Discretion ....................................................... 20
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 2 of 48
TABLE OF CONTENTS
(continued)
Page
b. The Supervisory Defendants' Negligent Hiring, Training,
And Supervision Of The Fair Haven Raids Was Not Discretionary
Because It Violated The Detention, And Deportation Officers'
Field Manual................................................................... 26
c. The Supervisory Defendants' Negligent Supervision Of The
Fair Haven Raids Was Not Discretionary Because It Violated
Mandatory NFOP Policy ..................................................... 29
B. The Challenged Actions Are Not Grounded In Policy ........................... 30
1 The United States Fails To Articulate Clear Policies That The
Negligent Hiring, Supervision, And Training Decisions Were
Meant To Further.............................................................. 31
2. The Discretionary Function Exception Does Not Bar Claims
That Government Officials Carried Out Established Policies
Negligently .................................................................... 33
3. The Supervisory Defendants' Actions Are Not Grounded In
Policy Because They Encouraged The Violations of Several
Federal Statutes And DHS Regulations .................................... 36
CONCLUSION .................................................................................... 39
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 3 of 48
TABLE OF AUTHORITIES
Rules and Statutes
5 U.S.C. §4103.................................................................................. 22
5 U.S.C. §4118(c)................................................................................ 22
8 U.S.C. § 1357 ..................................................................................... 37
8 U.S.C. § 1357(a)(2)............................................................................... 7
28 U.S.C. §§1346................................................................................ 4
28 U.S.C. § 1346(b)(1) ............................................................................. 13
28 U.S.C. § 2671 .................................................................................... 4
28 U.S.C. § 2680(a)............................................................................... 13
8 C.F.R. § 287. 1(g)........................................................................... 8, 19, 22, 24
8 C.F.R. § 287.5 .............................................................................. passim
8 C.F.R. § 287.8 .............................................................................. passim
8 C.F.R. § 287.3 ..................................................................................... 13
8 C.F.R. § 287.3(a) ............................................................................... 38
8 C.F.R. § 287.3(c) ............................................................................... 38
8 C.F.R.§ 287.8(c)(i) ............................................................................... 37
8 C.F.R.§ 287.8(c)(ii)............................................................................... 37
8 C.F.R. § 287.8(c)(2)(iii)(A)...................................................................... 37
8 C.F.R. § 287.8(c)(2)(iii)(B)...................................................................... 37
8 C.F.R. § 287.8(c)(2)(vii) ......................................................................... 37
Cases
Alinsky v. United States,
156 F. Supp. 2d 908 (N.D. 111. 2001).......................................................... 27, 32, 33
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 4 of 48
Andrulonis v. United States,
952 F.2d 652 (2d Cir. 199 1) ................................................................... passim
Appley Bros. v. United States,
164 F.3d 1164 (8th Cir. 1999) ..................................................................... 27
Ashcroft v. Igbal,
129 S. Ct. 1937 (2009).............................................................................. 15
ATSI Commc'ns v. Shaar Fund Ltd.,
493 F.3d 87 (2d Cir. 2007)......................................................................... 15
Aslakson v. United States,
790 F.2d 688, (8th Cir. 1986)...................................................................... 28
Bagner v. United States,
428 F. Supp. 2d 101 (N.D.N.Y. 2006)...................................................... 20-2 1, 24, 29
Berkovitz v. United States,
486 U.S. 531 (1988)............................................................................... 14, 19
Boykin v. KeyCorp.,
521 F.3d 202 (2d Cir. 2008) ....................................................................... 15
Brown v. United States,
661 F. Supp. 2d 341 (E.D.N.Y. 2009) ............................................................ 35
Caban v. United States,
671 F.2d 1230 (2d Cii. 1982)..................................................................... 20, 34
Callahan v. United States,
329 F. Supp. 2d 404 (S.D.N.Y. 2004) ............................................................ 21
Caraballo v. United States,
830 F.2d 19 (2d Cir. 1987)..................................................................... 21, 29, 34
Carboniero v. United States,
211 F.3d 714 (3d Cir. 2000) ....................................................................... 14
Chi Yuan Chen v. Gonzales,
224 F. App'x 116 (2d Cii. 2007) .................................................................. 38
Coulthurst v. United States,
214 F.3d 106 (2d Cir. 2000)...................................................................... 30. 32
Cuoco v. United States,
No. 98-cv-9009, 2003 U.S. Dist. LEXIS 16615 (S.D.N.Y. Sept. 22, 2003).................. 18
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 5 of 48
Denson v. United States,
574 F.3d 1318 (1llth Cir. 2009) .................................................................. 15, 18
Dickerson v. United States,
875 F.2d 1577 (1 th Cir. 1989).................................................................... 21
Elbert v. Conn. Yankee Council,
CVO0I0456879S, 2004 Conn. Super. LEXIS 1924 (Conn. Super. Ct. July 16, 2004)........ 17
El-Badrawi v. Dep't of Homeland Sec.,
579 F. Supp. 2d 249 (D. Conn. 2008)............................................................ 15-16
Gonzalez v. United States,
690 F. Supp. 251 (S.D.N.Y. 1988)............................................................... 31-32
Gooden v. U.S. Dep't of the Interior,
339 F. Supp. 2d 1072 (D.N.D. 2004) ............................................................. 21
Irving v. United States,
162 F.3d 154 (1st Cir. 1998)...................................................................... 22, 24
King v. United States,
491 F. Supp. 2d 286 (D. Conn. 2007)...................................................... 14, 15, 30,31
Lemke v. City of Port Jervis,
991 F. Supp. 261 (S.D.N.Y. 1998)............................................................... 21, 34
Li v. Aponte,
05-cv-6237, 2008 U.S. Dist. LEXIS 74725 (S.D.N.Y. Sept. 15, 2008)....................... 18
Limone v. United States,
271 F. Supp. 2d 345 (D. Mass. 2003) ......................................................... 16.,17, 18
Limone v. United States,
497 F. Supp. 2d 143 (D. Mass. 2007) ............................................................. 20
Lunney v. United States,
319 F.3d 550 (2d Cir. 2003) ....................................................................... 15
Malik v. Meissner,
82 F.3d 560 (2d Cir. 1996)......................................................................... 15
Martin v. United States,
971 F. Supp. 827 (S.D.N.Y. 1997) ................................................................ 34
Medina v. United States,
259 F.3d 220 (4th Cir. 2001)................................................................. 13-14, 15, 20
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 6 of 48
Meuse v. Freeh,
421 F. Supp. 2d 365 (D. Mass. 2006) ............................................................. 18
Morton v. Ruiz,
415 U.S. 199 (1974)................................................................................ 22
Myers & Myers, Inc. v. United States,
527 F.2d 1252 (2d Cir. 1975)..................................................................... 13, 15
Nat'l Union Fire Ins. v. United States,
115 F.3d 1415 (9th Cir. 1997) ..................................................................... 14
Nurse v. United States,
226 F.3d 996 (9th Cir. 2000) ...................................................................... 20
Rajal v. Mukasey,
544 F.3d 427 (2d Cir. 2008) ....................................................................... 37
Rodrigzuez v. United States,
542 F.3d 704 (9th Cir. 2008)....................................................................... 37
Saint-Guillen v. United States,
657 F. Supp. 2d 376 (S.D.N.Y. 2009) ........................................................... 18, 27
Salter v. United States,
853 F. Supp. 389 (M.D. Ala. 1994) ............................................................... 20
Seda v. Maxim Healthcare Servs., CV07501081 1,
2008 Conn. Super. LEXIS 916 (Conn. Super. Ct. Apr. 8, 2008)............................. 17, 36
Seguro v. Cummniskey,
844 A.2d 224 (Conn. App. Ct. 2004)............................................................ 17, 36
Singh v. Mukasey,
553 F.2d 207 (2d Cir. 2009) ....................................................................... 38
Singzh v. U.S. Dep't of Justice,
461 F.3d 290 (2d Cir. 2006) ....................................................................... 22
Thames Shipyard & Repair Co. v. United States,
350 F.3d 247 (1 st Cir. 2003) ....................................................................... 15
Triestman v. Fed. Bureau of Prisons,
470 F.3d 471 (2d Cir. 2006)...................................................................... passim
United Cook Inlet Drift Assoc. v. Trinidad Corp. (In re The Glacier Bay),
71 F.3d 1447 (9th Cir. 1995)....................................................................... 21
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 7 of 48
United States ex rel. Accardi v. Shaughness ,
347 U.S. 260 (1954)................................................................................ 21
United States Fid. & Guar. Co. v. United States,
837 F.2d 116 (3d Cir. 1988) ....................................................................... 20
United States v. Gaubert,
499 U.S. 315 (1991) .............................................................................. passim
United States v. Karathanos,
531 F.2d 26 (2d Cir. 1976), cert. denied, 428 U.S. 910 (1976)................................ 37
United States v. Sanchez,
635 F.2d 47 (2d Cir. 1980)......................................................................... 37
Vickers v. United States,
228 F.3d 944 (9th Cir. 2000)....................................................................... 27
Wormley v. United States,
601 F. Supp. 2d 27 (D.D.C. 2009)................................................................ 17-18
Wright v. United States,
866 F. Supp. 804 (S.D.N.Y. 1994) ................................................................ 35
Zappia Middle E. Constr. Co. Ltd. v. Emirate of Abu Dhabi,
215 F.3d 247 (2d Cir. 2000)........................................................................ 8
Other Authorities
Charles Alan Wright, Arthur R. Miller, & Edward H. Cooper, Federal Practice and
Procedure, § 3658.1 (3d ed. 2010)................................................................ 14-15
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 8 of 48
Plaintiffs Eduardo Diaz-Bernal, Florente Baranda-Barreto, Edilberto Cedei'o-
Trujillo, Washington Colala-Pef'iarreta, Julio Sergio Paredes-Mendez, Cristobal Serrano-Mendez,
Jose Solano-Yangua, Silvino Trujillo-Mirafuentes, Gerardo Trujillo-Morellano, Edinson
Yangua-Calva, and Amilcar Soto Velasquez ("Plaintiffs"), by their undersigned attorneys,
respectfully submit this memorandum of law in opposition to the United States' ("United States"
or "Government") Renewed Partial Motion to Dismiss (the "Motion"), addressing solely to the
Federal Torts Claims Act claims against the United States based on the state law torts of
negligent training and supervision against the Supervisory Defendants (as defined herein).'I
PRELIMINARY STATEMENT
On June 6, 2007, defendants, employees of the United States Government, broke
into Plaintiffs' residences in Fair Haven without a warrant or consent, based on fugitive lists they
knew to be erroneous, subjected Plaintiffs to questioning and harassment, and arrested Plaintiffs
for no reason other than because they looked Latino. These facts, and others pleaded in the
Complaint, establish flagrant violations of Plaintiffs' constitutional rights and of federal law.
Even more egregious is that such violations were carried out as retaliation for the City of New
Haven's choice to issue ID cards to city residents without regard to immigration status.
The Federal Tort Claims Act ("FTCA") provides a clear remedy against the
United States for such gross abuses. Under the FTCA, the United States is liable for the acts of
its employees if such acts would constitute the basis for state law tort claims. This Motion
concerns Plaintiffs' claims of FTCA liability for the state law torts of negligent supervision,
training, and hiring, committed by certain Immigration and Customs Enforcement officials
("ICE") in their role as overseers of the agents who conducted the Fair Haven retaliatory raids.
I In addition to this Motion, the United States has filed a Renewed Motion to Dismiss In Part, ECF No. 52, to
which Plaintiffs have filed their opposition, ECF No. 63. The individual defendants have also filed a Motion to
Dismiss, ECF No. 5 1, to which Plaintiffs' response is due on September 21, 20 10.
I
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 9 of 48
The Government does not dispute that Plaintiffs sufficiently allege Connecticut
law tort claims for negligent supervision, training and hiring. Instead, the United States rests this
Motion on the argument that the acts at issue are protected by the "discretionary function
exception" to FTCA liability, which protects certain acts by federal employees. This argument
misses the mark in several ways.
As a threshold matter, when the acts that form the basis of FTCA claims also give
rise to the causes of action that sufficiently allege constitutional violations, as the alleged acts
undeniably do here, the discretionary function exception simply does not apply. It is a
fundamental principle, time and again recognized by the courts, that federal agents do not hold
within their discretion the ability to decide to violate the United States Constitution. Yet the
United States has lost sight of this important principle. Instead, it relies on an improper reading
of the two-part test of United States v. Gaubert, 499 U.S. 315 (1991), by which the Supreme
Court analyzes the applicability of the discretionary fuinction exception to specific acts, to assert
that their actions are shielded from review simply because they are a matter of the agency's
"discretion." Even if such analysis were applicable here (and it is not), under Gaubert, the
discretionary fuinction applies only to acts that (a) are within the proper grant of authority the
federal official enjoys and involve an element of choice, and (b) involve policy decisions.
Defendants' acts utterly fail to satisfy either of these two prongs.
First, under Gaubert and the case law following it, acts fail the first prong by
definition if they are committed in violation of federal laws, regulations, or mandatory internal
agency policy statements, as was the case with respect to the defendants' actions. The United
States' reliance on Congress' and the Department of H-omeland Security's ("DUS") grant of
authority to ICE to enforce immigration laws is besides the point; in this action Plaintiffs
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 10 of 48
challenge neither ICE's authority to lawfully enforce the immigration laws, nor the legality of
any regulation ICE may have issued pursuant to its delegated powers. Plaintiffs instead allege
that the ICE supervisors had no discretion to violate such regulations and policies by failing to
require certain individual defendants to attend mandatory training programs, failing to update
training programs despite knowing their short-comings, and allowing agents whom they knew
were certain to commit constitutional violations to join the Fair Haven raids.
To satisfy the second Gaubert prong, the Government must state specifically what
policy considerations are implicated when an official carries out a challenged action. The
Government's failure to articulate any such policy beyond the ipse dixit that training and hiring
always implicate policy decisions is fatal to its argument. Moreover, courts have routinely held
that it can never be a permissible federal policy to violate the law, or to implement policies
ignoring a known risk that another will be harmed by the official's conduct. Because Plaintiffs
have sufficiently alleged that the supervisory defendants knew that the raid officers had violated
and would continue to violate constitutional rights, the challenged acts fail the second prong.
The FTCA exists to protect against the very sort of misconduct at issue here -
including that which stems from the negligent supervision and training of federal officials. The
Government invites the Court to rely on the discretionary function exception to "insulate
virtually all actions by a government agent from liability." Andrulonis v. United States, 952
F.2d 652, 655 (2d Cir. 1991). Of course, such would be the proverbial exception to swallow the
rule, rendering the FTCA ineffective as a mechanism to hold government agents accountable for
their illegal decisions. Such an approach has been, and should be, rejected.
For these reasons, and those stated in this memorandum, the Court should deny
the Government's motion to dismiss.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 11 of 48
STATEMENT OF FACTS
A. The Parties
Plaintiffs Eduardo Diaz-Bemal, Florente Baranda-Barreto, Edilberto Cedeh'o-
Trujillo, Washington Colala-Pef'iarreta, Julio Sergio Paredes-Mendez, Cristobal Serrano-Mendez,
Jose Solano-Yangua, Silvino Truj illo-Mirafuentes, Gerardo Truj illo-Morellano, Edinson
Yangua-Calva, and Amilcar Soto Velasquez reside in Fair Haven, a predominantly Latino
neighborhood in the City of New Haven. Plaintiffs are all of Latino race and ethnicity and were
arrested and unlawfully detained by approximately twenty ICE agents (the "Raid Officers",)2 on
June 6, 2007. See Third Amended Complaint dated June 4, 2010 ("Compl.") TT 22-32.
Plaintiffs seek relief against the United States under the FTCA, 28 U.S.C.
§§ 1346, 2671 et seqi., for, inter alia, the torts of negligent training and supervision committed by
six individual defendants (the "Supervisory Defendants"), all of whom had supervisory
capacities and responsibilities within ICE over the officers who conducted the retaliatory raids
and arrests of June 6 during the time of the events in question. 3 Id. TT 401-409.
Supervisory Defendant Julie Myers was the Assistant Secretary of Homeland
Security for ICE at all relevant times. She was responsible for the implementation of the
policies, practices and/or customs of ICE and ICE's National Fugitive Operations Program,
("NFOP"). Id. T 33. She was also personally advised that New Haven had approved the
Mayor's plan for a municipal identification card the day before the raid occurred. Id. TT 314,
2 The Raid Officer defendants include, specifically, defendants Brown, Preble. Riccardi, Vetrano-Antuna,
Lewis, Geary, Hamilton, Moore, Ostrobinski, Reilly, Rodriguez, Valentin, Vasquez, John Does 1-10, and defendant
McCaffrey.
3 Plaintiffs also allege that the individual Raid Officers who conducted the New Haven raids, including
Supervisory Defendant McCaffrey, violated the Fourth Amendment to the United States Constitution, the equal
protection and due process guarantees of the Fifth Amendment, as well as committed several common law torts.
Plaintiffs seek FTCA relief against the United States for these common law torts. Compl. TT 33-55, 377-409. The
constitutional tort claims are the subject of a separate Motion to Dismiss, ECF No. 5 1.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 12 of 48
316. Supervisory Defendant John Torres was the Director or Acting Director of the ICE office
of Detention and Removal Operations ("DRO"), the main ICE branch in charge of field
enforcement. LHe had responsibility and the power of approval for the implementation of all
fugitive operations and created the policy, practice and/or custom which Fugitive Operations
Teams ("FOTs") conducted their raids. Id. 34.
Supervisory Defendant Bruce Chadbourne was the Field Office Director for the
Boston, Massachusetts regional DRO Field Office, which manages the Hartford, Connecticut
sub-office. Id. 35. He was the federal official charged with the ultimate responsibility of
training and supervising all Raid Officers in the Boston region, which includes Connecticut, and
for the administration and implementation of the regional office's policies, practices and
customs. Id. Supervisory Defendant Jim Martin was the Deputy Field Office Director for the
Boston regional DRO Field Office, which governs the Hartford sub-office. Id. T 36. He had
supervisory responsibility for all the ICE defendants in the Boston region. Id.
Supervisory Defendant George Sullivan was the Assistant Field Office Director
for the Hartford DRO sub-office and was responsible for supervising all of the ICE defendants in
the Hartford office. Id. 37. Supervisory Defendant Sullivan was Operational Supervisor for
the Fair Haven raids, where he both personally participated in planning the raids and directly
supervised the execution of the operation. Id. Supervisory Defendant Richard McCaffrey was
the Supervisory Detention and Deportation Officer of the Hartford FOT ("HARFOT") and was
responsible for carrying out HARFOT immigration law enforcement operations and the policies,
practices, and/or customs of the NFOP in Connecticut. Id. 39. As the on-site supervisor in the
Fair Haven raids, he was responsible for monitoring and advising subordinate ICE agents in the
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 13 of 48
field and coordinating with local law enforcement agencies. Id. He also directly took part in the
Fair Haven raids and the arrest, processing, and detention of Plaintiffs. Id.
B. The NFOP Quota System
The defendants who planned, coordinated, led and directly participated in the
raids on June 6, 2007 did so as part of the NFOP, a widely criticized program authorized by
Congress to remove dangerous criminal fugitives from the United States. Id. 253. Prior to
2006, NFOP enforcement policy directed that at least seventy-five percent of total yearly arrests
by each FOT had to consist of fugitives with criminal convictions; NFOP policy instructed that
FOTs should aim to arrest 125 criminal fugitives per year. Id. IT 258-259. Pre-2006 NFOP
enforcement policy did not allow non-fugitive, non-criminal status violators to count toward
these annual fugitive arrest quotas. Id. 258.
In or around January 2006, Supervisory Defendant Torres, then-Acting Director
of DRO, instituted a new quota system, requiring each seven-member FOT to make one
thousand fugitive arrests per year. Id. 260. Supervisory Defendant Torres also eliminated the
prior seventy-five percent target for criminal fugitives, thus removing any incentive for FOTs to
concentrate on locating and apprehending the dangerous criminal fugitives for which Congress
had funded the NFOP. Id. 26 1. Later, Torres again amended the quota system to allow up to
five hundred "collateral" arrests - arrests of bystanders who were neither fugitives nor criminals
but who were encountered by FOTs while allegedly searching for actual fugitives - to count
towards the annual one thousand arrests quota. Id. 262, 266-267
C. The NFOP Quota Raids Contributed To Common Law And
Constitutional Violations
Together, Torres and Myers implemented a system which encouraged FOTs to
conduct raids that violated the Fourth and Fifth Amendments in order to meet their quotas by
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 14 of 48
arresting non-fugitives, raiding homes, awakening families in their beds, and unlawfully entering
homes in plain clothes, without search warrants or consent. Id. IT 275-77. These actions were in
direct violation of the federal statute that authorizes immigration officers to arrest a person
without a warrant only if the officer has probable cause to believe that the person has violated
United States immigration law. See 8 U.S.C. § 1357(a)(2).
Supervisory Defendants Torres and Myers knew or should have known that their
FOT policies would inevitably lead to pervasive common law and constitutional violations
against innocent bystanders. Compl. T 278. Criticism of the FOT raids under the new quota
system was widespread and well documented through numerous national media reports, specific
communications and warnings issued by members of Congress, and lawsuits against Supervisory
Defendants Myers, Torres, and other senior ICE personnel. Id. 28 1. Further, ICE's Office of
Professional Responsibility ("OPR"), which reports to the Assistant Secretary of ICE, had been
aware of widespread misconduct among immigration officers for years. Id. 282. Yet, despite
all of the indications that the quota system was causing FOTs to violate individuals'
constitutional rights, Supervisory Defendant Myers continued to publicize, and laud as
"successful," the department's dramatic increase in immigration arrests since the creation of the
NFOP, and by implication its quota system. Id. 284. The constitutional violations committed
by FOTs as a result of Supervisory Defendants Myers and Torres' policies were so widespread
as to constitute their constructive acquiescence in their roles as supervisors of and policymnakers
for the NFOP. Id. 299.
D. The Supervisory Defendants' Negligent Hiring, Training, And
Supervision
Because of the public outcry over prior unconstitutional FOT operations across
the country, by the time of the Fair Haven raids in 2007, the Supervisory Defendants, including
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 15 of 48
Myers, Torres, Chadbourne, Martin and Sullivan, knew of the likelihood that improperly
supervised FOTs would commit constitutional violations. Id. T 294. Yet they did not change
their policies, nor did they take steps to ensure that the field officers or anyone else below them
were adequately trained or supervised to avoid constitutional violations.
For example, one egregious error the Supervisory Defendants allowed to continue
was that at least three of fifteen Raid Officers, all working under their supervision, had not
completed the Immigration Officer Basic Training Course or the Immigration Detention
Enforcement Officer Basic Training Program. See Tenreiro Decl. Ex. A (FOJA Document, ICE
3.009954-56) ("Training and Class Year Completed"), at 3.4 These officers' participation in the
Fair Haven raids, without having completing basic immigration law enforcement training,
violates federal regulations that explicitly require immigration officers to have successfully
completed such mandatory training to perform their enumerated duties. See 8 C.F.R. §§
287.1(g), 287.5, 287.8.
In addition, the FOT training program was woefully inadequate to prevent FOT
officers from engaging in frequent and egregious constitutional violations during residential
enforcement and other operations. Compl. 300. Nor did the training program sufficiently
instruct agents in how to conduct residential raids or make other arrests without violating
constitutional rights. I. The Supervisory Defendants' failure to provide adequate training
violated ICE's stated policy that "supervisors will ensure officers will receive all training,
equipment, and leadership necessary to safely and effectively conduct fugitive operations." See
Tenreiro Decl. Ex. B (U.S. Dep't of Homeland Sec., Bureau of Immigration and Customs
4 On a motion to dismiss for lack of subject matter jurisdiction, a court may refer to evidence outside the
pleadings to resolve jurisdictional facts. See Zappia Middle E. Constr. Co. Ltd. v. Emirate of Abu Dhabi, 215 F.3d
247, 253 (2d Cir. 2000).
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 16 of 48
Enforcement, DDFM Mem. from Director Anthony S. Tangeman, dated Aug. 25, 2003)
("Tangeman Memo"), at 3-4. The FOT training program consisted of a one-time, three-week
class for new FOT members, which focused on teaching participants how to use the FOT
database system and perform other administrative tasks. Compi. 301. Although purportedly
mandatory, many FOT members never attended. Id. 302. The NFOP provided no national
refresher course or in-service training at any time to inform agents of new legal developments or
ensure their understanding of lawful enforcement tactics. Id. 303. This inadequate training
increased the risk that FOT members would engage in unconstitutional actions. Id. 304.
The Office of the Inspector General ("GIG") reviewed the FOT training program
in early 2007 and concluded that it was insufficient, as many officers had never attended it and
no national refresher course was offered. Id. 306. In March 2007, four months before the Fair
Haven raids, the GIG submitted a report to Supervisory Defendants Torres and Myers and others
that warned that the training program was inadequate and offered numerous recommendations
for improvements. Idh 307; see also Tenreiro Deci. Ex. C (U.S. Dep't of Homeland Sec.,
Office of Inspector General, "An Assessment of United States Immigration and Customs
Enforcement's Fugitive Operations Teams" (Mar. 2, 2007)) ("GIG Report"), at 29-3 8. Again,
the Supervisory Defendants neglected to change the training policies to prevent further
constitutional violations. Compl. T 308.~
5 By contrast, in December 2009, Assistant Secretary of ICE John Morton, obviously aware of the problems
that officers' lack of training and supervision had caused, revised the FOT program and directed that each FOT
member receive training specifically on residential enforcement and the Fourth Amendment twice each year.
Morton also eliminated the quota system and refocused the priorities of arrests to criminality. See Tenreiro DecI.
Ex. D (U.S. Dep't of Homeland Sec., Immigration and Customs Enforcement, NFOP Mem. from Assistant
Secretary John Morton, dated Dec. 8, 2009).
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 17 of 48
E. The Fair Haven Retaliatory Raids
ICE officials were aware of and kept apprised of developments concerning the
Elm City Resident Card Program that granted New Haven residents a municipal identification
card regardless of their immigration status. Id. TT 9-10, 232. In response to the likely passage of
the program and other policies meant to integrate immigrants into the New Haven community,
ICE officials in the Hartford office planned a raid in the area. Id. On April 6, 2007, during the
peak of national media attention on New Haven's policies, Supervisory Defendant McCaffrey
began drafting a written plan ("Operational Plan") detailing the proposed execution of an FOT
action to raid New Haven-area homes and compiling a "target list" of alleged fugitives in New
Haven. Id T 233.
On April 20, 2007, Supervisory Defendant McCaffrey submitted the plan to
supervisory officials, including defendants Sullivan, Martin, Chadbourne, and Torres, at the
Hartford and Boston regional DRO offices and to ICE headquarters in Washington D.C. for
approval. Id. TT 239-240. Senior ICE personnel, including Supervisory Defendants Chadbourne
and Torres, personally reviewed and approved the Operational Plan. Id. TT 242-243.
Supervisory Defendants McCaffrey and Sullivan also prepared a memorandum called an "A/S
Note," the term used for a memorandum submitted to the Assistant Secretary, id. T 313, which
Sullivan then forwarded to Supervisory Defendants Myers, Torres, Chadbourne, and Martin. Id.
TT 315-316. In light of the numerous media and internal investigations indicating a high risk of
constitutional violations in the course of FOT raids, the Supervisory Defendants knew that
HARFOT demanded close supervision and careful planning to avoid violating constitutional
rights. Id. TT 317-318. Further, they knew that the current supervisory structure was inadequate
as their subordinates were likely to commit constitutional violations without adequate
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 18 of 48
supervision. Id. 319. They acted with deliberate indifference to an obvious need for closer
supervision of the Operational Plan and the execution of the Fair Haven raids and did nothing to
prevent or correct this harm. See id. T 3 10. Despite this knowledge, on or about May 4, 2007
Supervisory Defendants Chadbourne and Torres authorized the Fair Haven raids. Id. T 241.
On the evening of June 4, 2007, the New Haven Board of Aldermen voted
overwhelmingly to accept foundation funds to support the Elm City Resident Card Program. Id.
TT 249-250. On June 6, 2007, just 36 hours after the vote had taken place, defendants invaded
Plaintiffs' homes. Id. 25 1.6
Before conducting the raid on Fair Haven, Supervisory Defendants violated ICE
official policy and practice by failing to cooperate with local (i.e. New Haven) law enforcement
to plan and conduct the raid. Id. T 247.~ Instead, HARFOT engaged in a broad outreach to enlist
the help of other federal and state agencies, including the Connecticut State Police. Id. 244.8
The FOTs' well-known unconstitutional practices, described above, were
nowhere demonstrated more clearly than during the Fair Haven raids.
The FOT used a "target list" as a pretext for entering homes without search
warrants or consent and seizing residents without cause or suspicion. See id. 64. During those
raids, HARFOT, other ICE agents, and federal and state officers, armed with only vague
information taken from databases riddled with errors, violated mandatory regulations by bursting
into homes and bedrooms with neither a warrant, nor consent, nor probable cause. Id. 56,
6 Later that day, in its first official statement regarding the raid, ICE made plain its retaliatory intent,
declaring through spokesperson Marc Raimondi, "There is truly no safe haven for fuigitive aliens." Id. T 252.
7 In a subsequent internal investigation conducted by ICE, Supervisory Defendant McCaffrey acknowledged
that he had failed to notify the New Haven Police Department in advance of the raid, as required by ICE policies and
procedures. Id. 248.
8 Raid Officer defendant Vetrano-Antuna invited Connecticut State Police Officer Carmine Vemo to join the
raid by saying that it "should be a fun time! !" Id. T 245.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 19 of 48
237. See 8 C.F.R. §§ 287.5, 287.8; Tenreiro Deci. Ex. E (U.S. Dep't of Justice, Immigration and
Naturalization Service, "The Law of Arrest, Search, and Seizure for Immigration Officers"
(Jan. 1993)) ("M-69"), at 1 ("The methods that the INS uses to enforce the immigration laws
enacted by Congress must conform to constitutional and statutory limitations as well as INS
regulations"). 9 The target list contained grossly outdated and erroneous leads and, consequently,
did not include even one of the Plaintiffs as a pre-selected "target" of the raid. Compi. T 65.
Instead, each of the Plaintiffs was subjected to the raid merely because he happened to inhabit a
house that was once allegedly associated with another person's name in the NFOP databases,
leading to the predictable result that raid officers barged into Plaintiffs' homes shouting the
names of individuals who no longer lived there. Id. TT 64-65. HARFOT supervisors including
Supervisory Defendants Chadbourne, Sullivan, Martin, and McCaffrey knew that the list had
been prepared without sufficient investigation, verification, or surveillance but, nevertheless,
authorized the home raids. Id. Supervisory Defendant McCaffrey was directly responsible for
organizing and supervising the four teams of ICE and other Federal, State and local agents that
performed the raids on June 6, 2007. Id. TT 5 8-59.
Following the raids, the Raid Officers, under the direct watch of Supervisory
Defendant McCaffrey and others, failed to inform any Plaintiff of his rights. Id. 176. No
defendant explained why he or she was in each Plaintiff s apartment or why he or she was
seizing each Plaintiff. Id. 177. While interviewing Plaintiffs, Raid Officers handed each
Plaintiff forms in English, which Plaintiffs could not read, and did not translate the forms into
9 The INS "Law of Arrest, Search, and Seizure" document serves to notify immigration officers as to the
limits of their legal authority. See Ex. E (M-69), at I (explaining that the document "outlines the statutory and
constitutional boundaries of an INS officer's authority" and "is intended for daily use of INS officers"). The
document remains an authoritative statement within ICE of restrictions on officers' conduct, as the DDFM instructs
that "[o]fficers will review the M-69 (Law ofArrest and Seizure) concerning their authority as Immigration
Officers." Ex. B (Tangeman Memo.), at 2.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 20 of 48
Spanish, despite the fact Spanish is the primary language of each Plaintiff. Id. TT 182-183.
These practices were in direct violation of the regulation mandating that an alien arrested without
a warrant will be advised of the reasons for his or her arrest and the right to be represented at no
expense to the Government. See 8 C.F.R. § 287.3. Plaintiffs were subsequently arrested without
warrant or probable cause and for no reason other than they appeared to be Latino.
RELEVANT LEGAL STANDARD
Through the FTCA Congress waived the sovereign immunity of the United States
for certain tortious acts of its employees, including, as undisputedly alleged here, for harms
"~caused by the negligent or wrongful act or omission of any employee of the Government while
acting within the scope of his office or employment, under circumstances where the United
States, if a private person, would be liable to the claimant in accordance with the law of the place
where the act or omission occurred." 28 U.S.C. § 1346(b)(1).
This general waiver of immunity is circumscribed by certain enumerated
exceptions. Among those, the Government here relies on the so-called "discretionary function
exception," which abrogates the waiver of immunity for "[a]ny claim based upon an act or
omission of an employee of the Government, exercising due care, in the execution of a statute or
regulation, whether or not such statute or regulation be valid, or based upon the exercise or
performance or the failure to exercise or perform a discretionary function or duty on the part of a
federal agency or an employee of the Government, whether or not the discretion involved be
abused." 28 U.S.C. § 2680(a).
As the Second Circuit and other courts have recognized for decades, "[iut is, of
course, a tautology that a federal official cannot have discretion to behave unconstitutionally."
Myers & Myers, Inc. v. United States, 527 F.2d 1252, 1261 (2d Cir. 1975); see also Medina v.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 21 of 48
United States, 259 F.3d 220, 225 (4th Cir. 2001) ("[flederal officials do not possess discretion to
violate constitutional rights or federal statutes") (citations omitted). Thus, when the state law
torts that form the predicate for FTCA liability arise out of acts that give rise to constitutional
violations, there is no place for the discretionary function inquiry.
It is not necessary to analyze the discretion function exception where (as here),
the alleged acts also give rise to constitutional liability. However, should a court engage in such
analysis, it would apply a two-prong inquiry. First, the court must determine if the challenged
conduct "[ilnvolve[d] an element of judgment or choice," as the exception "covers only acts that
are discretionary in nature." Gaubert, 499 U.S. at 322-23 (citations omitted); see also Berkovitz
v. United States, 486 U.S. 531, 536 (1988). If conduct is circumscribed by internal policies or
federal law or regulations, an official's choice to act outside such proscription is by definition not
discretionary. See, e.g., Gaubert, 499 U.S. at 322-23. Second, if the conduct does involve an
element of judgment or choice, then the court must determine if the conduct is "based on
considerations of public policy." Berkovitz, 486 U.S. at 537. It is well recognized that the
"purpose of the exception [is] to prevent judicial 'second guessing' of legislative and
administrative decisions grounded in social, economic, and political policy." Id; see also King v.
United States, 491 F. Supp. 2d 286, 296 (D. Conn. 2007). Thus, only actions of "Government
agents involving the necessary element of choice and grounded in the social, economic, or
political goals of the statute and regulations are protected." Gaubert, 499 U.S. at 323.
It is defendants who bear the burden of demonstrating that the discretionary
fuinction exception applies. See, e.g., King 491 F. Supp. 2d at 296; Carboniero v. United States,
211 F.3d 714, 756 n.5 (3d Cir. 2000); Nat'l Union Fire Ins. v. United States, 115 F.3d 1415,
1417 (9th Cir. 1997); Charles Alan Wright, Arthur R. Miller, & Edward H. Cooper, Federal
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 22 of 48
Practice and Procedure § 3658.1 (3d ed. 2010) (collecting cases).' 0 Defendants cannot insulate
themselves from liability by merely stating in conclusory fashion that their conduct is
discretionary and policy-based, as the Government has done here.
Under the familiar standard, the Court must accept all allegations in the
Complaint as true, see ATSI Communications v. Shaar Fund Limited, 493 F.3d 87, 98 (2d Cir.
2007), and dismissal is not appropriate where, as here, the complaint provides sufficient factual
allegations such that the claims made are plausible. See Ashcroft v. Igbal, 129 S. Ct. 1937, 195 1
(2009); Boykin v. KeyCorp., 521 F.3d 202, 213 (2d Cir. 2008).
ARGUMENT
1. THE DISCRETIONARY FUNCTION EXCEPTION DOES NOT APPLY
BECAUSE THE FACTS UNDERLYING PLAINTIFFS' STATE LAW TORT
CLAIMS ALSO ESTABLISH CONSTITUTIONAL VIOLATIONS
A long line of FTCA cases makes clear that the discretionary function exception
does not apply where the challenged conduct gives rise to constitutional violations. Simply put,
state law torts arising out of actions that are alleged to violate the Constitution do not fall within
the exception because conduct that violates the Constitution is never discretionary. See Myers &
Myers, Inc., 527 F.2d at 1261; see also Denson v. United States, 574 F.3d 1318, 1336-37 n.55
(11Ith Cir. 2009) (explaining why this conclusion is implicit in Supreme Court precedent);
Thames Shipyard & Repair Co. v. United States, 350 F.3d 247, 254 (1 st Cir. 2003) ("courts have
read the Supreme Court's discretionary funrction cases as denying protection to actions that are
unauthorized because they are unconstitutional"); Medina, 259 F.3d at 225; El-Badrawi v. Dep't
of Homeland Sec., 579 F. Supp. 2d 249, 275 (D. Conn. 2008) ("Government agents never have
10 The Government's citation to Lunnev v. United States, 319 F.3d 550, 554 (2d Cir. 2003) and Malik v.
Meissner, 82 F.3d 560, 562 (2d Cir. 1996) is irrelevant as those cases relate to different statutes. Moreover, the
Government conveniently ignores King, a case decided by a court in this district stating unequivocally that the
burden of establishing the applicability of the discretionary function exception is on the Government. King, 491 F.
Supp. 2d at 296.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 23 of 48
the discretion to violate the Constitution"); Limone v. United States, 271 F. Supp. 2d 345, 355
(D. Mass. 2003) ("[o]bviously, conduct cannot be 'discretionary' if it violates the constitution")
(citations omitted).
Applying these principles, in El-Badrawi, Judge Janet Hall denied a motion to
dismiss FTCA claims where the torts alleged to have been committed by federal employees
related to conduct that violated the Constitution. The plaintiff in El-Badrawi brought an FTCA
suit against the United States based on the state law torts of false arrest and false imprisonment,
as well as intentional infliction of emotional distress. El-Badrawi, 579 F. Supp. 2d at 264-65.
Noting that the elements of false arrest and false imprisonment torts under Connecticut law (the
basis of the FTCA claims against the United States) were essentially identical to those needed to
allege a Fourth Amendment violation (the basis of the constitutional claims against the officers),
Judge Hall held that the discretionary function exception did not bar plaintiff s FTCA claims
premised on false arrest and imprisonment. See id. at 267-69, 275. With respect to the claims of
intentional infliction of emotional distress and abuse of process, torts without a constitutional-
tort analog, she reasoned that because the claims for such torts also "arise out of [plaintiff s]
arrest," those claims were not jurisdictionally barred if the arrest itself was unconstitutional. Id.
at 269 (emphasis added).
The nature of the FTCA pleadings in El-Badrawi is indistinguishable from the
FTCA allegations here. Here, Plaintiffs have brought allegations of constitutional torts against
the Raid Officers, for violations of the Fourth and Fifth Amendment in connection with the
unlawful entries and warrantless and unconstitutional arrests at issue in this case, see~.
Compl. TT 69-173, 322-24, 348-49, as well as allegations of constitutional violations against the
Supervisory Defendants based on their failure to implement or follow mandatory supervisory and
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 24 of 48
training programs that they knew would avoid the pattern of widespread violations. Se id I
253-320, 325-42, 35 1-68."1 Those allegations, if proven, will undeniably give rise to liability for
violation of the Constitution against the Raid Officers as well as the Supervisory Defendants.
Those same acts also form the basis for the state law negligent hiring, training, and super-vision
claims against the Supervisory Defendants.' In other words, as alleged in the Complaint, see
id. the state law tort claims that form the basis for the FTCA claims "arise out of' the Raid
Officers' unconstitutional acts of illegally entering Plaintiffs' homes and illegally arresting them,
because those very acts form the basis for the negligent training or supervision claims under
Connecticut law.'13 See also Limone, 271 F. Supp. 2d at 3 55-57 (denying United States' motion
to dismiss FTCA claims of, inter alia, negligent supervision of employees, where underlying
conduct alleged was sufficient to establish, if proven, constitutional violations); Wormley v.
United States, 601 F. Supp. 2d 27, 42 (D.D.C. 2009) (citing Thames and Medina and denying
United States motion to dismiss FTCA claims based on common law torts that related to
"investigatory, supervisory [and] training responsibilities" of the federal defendants where
II The Government has not challenged the sufficiency of these allegations in this Motion, but has done so in a
separate Motion to Dismiss filed by the individual defendants, ECF No. 5 1. As will be shown in Plaintiffs'
opposition, due on September 21, 20 10, such challenge is baseless.
12 Under Connecticut law, the torts of negligent hiring, retention, training and supervision have overlapping
elements and are thus generally alleged in tandem. See. e.g., Elbert v. Conn. Yankee Council, CVO 104568795,
2004 Conn. Super. LEXIS 1924, at *38 (Conn. Super. Ct. July 16, 2004). The crux of the allegations in this case
focuses on the Supervisory Defendants' negligent training and supervision.
13 In other words, once Plaintiffs establish at trial the facts underlying the constitutional claims against the
Raid Officers, they will have already shown key elements of the state law tort claims against the Supervisory
Defendants - causation and damages. Under Connecticut law, the elements of the tort of negligent supervision, in
addition to causation and damages, are that the defendant owed the plaintiff a duty to supervise the defendant's
subordinate, that the defendant failed to prevent a foreseeable risk of harm caused by the subordinate, and that
imposing liability would be consistent with underlying tort law principles. See Seguro v. Curnmiske , 844 A.2d 224,
229 (Conn. App. Ct. 2004). Negligent training claims are generally alleged with negligent supervision and their
elements are not distinguished. See. e.g., Seda v. Maxim Healthcare Servs., CV0750 10811, 2008 Conn. Super.
LEXIS 916, at **6-1l1 (Conn. Super. Ct. Apr. 8, 2008). The common ingredient in the claims is the requirement that
the injury alleged was objectively foreseeable. See Elbert, 2004 Conn. Super. LEXIS 1924, at *38.
17
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 25 of 48
plaintiff had alleged that supervised and trained employees had violated her Fourth and Fifth
Amendment rights).'14 The Government's Motion should be denied on this basis alone.'15
II. IN ANY EVENT, THE GOVERNMENT'S DISCRETIONARY FUNCTION
ARGUMENTS FAIL THE TWO-PRONG TEST OF GAUBERT
For the reasons stated above, it is not necessary for this Court to engage in an
analysis of whether the discretionary function applies to Supervisory Defendants' conduct under
the two-prong test established in Berkovitz and Gaubert. However, even applying that test, the
Government has utterly failed to establish that its actions are shielded by the discretionary
function exception.
A. The Supervisory Defendants' Negligent Hiring, Training, And Supervisory
Conduct Was Not Discretionary
The first question under the Berkovitz/Gaubert two-prong test is whether the
challenged conduct was discretionary, i.e. whether it involved an element of judgment or choice.
14 The Government ignores this line of cases and instead relies on Li v. Aponte, 05-cv-6237, 2008 U.S. Dist.
LEXIS 74725 (S.D.N.Y. Sept. 15, 2008), Saint-Guillen v. United States, 657 F. Supp. 2d 376 (S.D.N.Y. 2009), and
Cuoco v. United States, No. 98-cv-9009, 2003 U.S. Dist. LEXIS 16615 (S.D.N.Y. Sept. 22, 2003). None of the
plaintiffs in those cases clearly alleged that the acts which were part of the state-law torts underpinning the FTCA
claims also established a cognizable constitutional claim. In Li, for example, the plaintiff brought FTCA claims
based on the torts of false arrest and imprisonment, assault and battery, malicious prosecution, intentional infliction
of emotional distress, and negligent hiring, training and supervision. Li, 2008 U.S. Dist. LEXIS 74725, at ** 15-32.
By contrast, the relevant constitutional claims against the individual defendant in Li were limited to excessive force,
and malicious prosecution. Id. at **33-.37. The Li plaintiff also alleged the constitutional tort of false arrest but that
claim was dismissed on the grounds that probable cause to arrest is an absolute defense. Id. at ** 15-20.
15 In Denson,' the Eleventh Circuit eloquently explained this line of reasoning by analyzing the relationship
between Bivens and FTCA claims, as well as the discretionary function exception in the context of allegedly
unconstitutional acts. Bivens and FTCA claims are co-extensive causes of action and "necessarily arise from the
same wrongful acts or omissions of a government official." Denson, 574 F.3d at 1336. Thus, if a plaintiff
establishes a Bivens claim against a federal official the discretionary function exception is not available to the
United States for an FTCA claim predicated on the same conduct. Id. at 1337 (citing Medina, 259 F.3d at 225). Of
course, a claim under § 1346(b) must be based not on a constitutional violation, but on sufficient facts to state a
claim under state law torts. To be clear, Plaintiffs' FTCA claim at issue in this Motion is a claim against the United
States based on the state law torts of its employees. Those torts, however, relate to conduct that itself violates the
Constitution. See Penerally Limone, 271 F. Supp. 2d at 355 n.l10 (denying motion to dismiss based on discretionary
function exception where plaintiffs had alleged that the conduct which served as predicate for FTCA liability was
also alleged to violate the Constitution). Cf. Meuse v. Freeh, 421 F. Supp. 2d 365, 370 n.5 (D. Mass. 2006) (noting
that negligent supervision claims against state defendant "was premised on the existence of some underlying
constitutional harm" by the employees defendant supervised under 42 U.S.C. § 1983).
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 26 of 48
See Gaubert, 499 U.S. at 322; Berkovitz, 486 U.S. at 536. A decision does not involve choice "if
a 'federal statute, regulation, or policy specifically prescribes a course of action for an employee
to follow,' because 'the employee has no rightful option but to adhere to the directive."'
Gaubert, 499 U.S. at 322 (quoting Berkovitz, 486 U.S. at 536). Thus, if an "employee violates
[a] mandatory regulation, there will be no shelter from liability because there is no room for
choice and the action will be contrary to policy." Id. at 524. A well-pled allegation that federal
officers have violated a mandatory statute, regulation, or policy forecloses the discretionary
function exception. See. e.g., Gaubert, 499 U.S. at 324; Berkovitz, 48 U.S. at 536.
Contrary to the United States' claims of unbounded discretion, the authority of its
agents is prudently limited by federal statutes, as well as by mandatory policies of the
Department of Homeland Security ("DHS") and ICE prescribing conduct that the Supervisory
Defendants were required to follow. The Supervisory Defendants' hiring, training, and
supervision of the Fair Haven Raid Officers egregiously violated these mandates, and thus are
not protected by the discretionary function exception.
I . The Supervisory Defendants' Negligent Hiring, Training, And
Supervision Of The Fair Haven Raid Officers Is Not Discretionary
Because It Violated DHS Regulations
With respect to Plaintiffs' negligent training and supervision claims, the
Govermnent's training and supervision of its officers was not discretionary, because it was
circumscribed by specific, mandatory regulations that the Supervisory Defendants failed to
implement or follow. Mandatory regulations promulgated by the DHS predicate raid officers'
authority to engage in law enforcement activities on their completion of one of several
enumerated basic training programs. See 8 C.F.R. § 287. 1(g). Immigration officers must
complete this training in order to use non-deadly force, make arrests, carry firearms, and conduct
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 27 of 48
searches. See id. §§ 287.5, 287.8. Contrary to the Government's mistaken assertion, see Def 's
Br. at 10, Plaintiffs have alleged and can show that at least Raid Officers Moore, Preble, and
Riccardi, and maybe others, had not completed the required training programs at the time the
Supervisory Defendants selected and permitted them to participate in the Fair Haven raids. See
Tenreiro Decl. Ex. A ("Training Class and Year Completed"). The Supervisory Defendants'
failure to ensure that the Raid Officers had received this required basic training thus
unequivocally violated mandatory DHS regulations. See Caban v. United States, 671 F.2d 1230,
1233 (2d Cir. 1982) (holding INS agents had no discretion to violate regulations and reversing
dismissal of FTCA claims); Salter v. United States, 853 F. Supp. 389, 393 (M.D. Ala. 1994)
(denying discretionary function exception where agency failed to adequately train employees);
see also Limone v. United States, 497 F. Supp. 2d 143, 203 (D. Mass. 2007) ("No government
actor has 'discretion' to violate. ... regulations or rules that bind them"); Medina, 259 F.3d at
225; Nurse v. United States, 226 F.3d 996, 1000 (9th Cir. 2000); United States Fid. & Guar. Co.
v. United States, 837 F.2d 116, 120 (3d Cir. 1988).
2. The Supervisory Defendants' Conduct Was Not Discretionary
Because It Violated Mandatory NFOP Policies
a. Formal Agency Policy Statements Circumscribe A Federal Employees'
Discretion
It is well established that a federal employee's conduct fails the first prong of
Gaubert not only when it violates federal law or regulations, but also when it violates the
internally established policies and directives of a federal agency. See Gaubert, 499 U.S. at 332;
see also Triestman v. Fed. Bureau of Prisons, 470 F.3d 471, 474-77 (2d Cir. 2006) (considering
whether prison official violated internally adopted Bureau of Prisons Program Statement);
Bagner v. United States, 428 F. Supp. 2d 10 1, 110- 13 (N.D.N.Y. 2006) (holding United States
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 28 of 48
had no discretion to violate internally-adopted Army Corps Of Engineers manual); Lemke v.
City of Port Jervis, 991 F. Supp. 261, 275 (S.D.N.Y. 1998) (denying exception to negligent
inspection conducted according to agency policy); United Cook Inlet Drift Assoc. v. Trinidad
Corp. (In re The Glacier Bay), 71 F.3d 1447, 1452 (9th Cir. 1995) (National Ocean and
Atmospheric Administration required to adhere to internal guidelines for cartography).'1
6
The United States, however, ignores that clear line of cases. Instead, to avoid the
clear import of its own policies, and rather than defend its employees' failure to adhere to them,
the United States asks the Court to shield it from liability on the pretense that its agents are not
required to follow "informal" agency policies when issued by individuals it deems "low[] -level."
Def.'s Br. 9-12. However, the cases cited above make clear that a rule or policy need not be
adopted by statute or regulation promulgated by Congress to be "mandatory." See, e.g.,
Triestman, 470 F.3d at 472-77 (considering Bureau of Prison's "program statement" governing
availability of guard supervision to determine whether actions were discretionary).
Undoubtedly, federal agencies are given the discretion to adopt internal policies that mandate
particular conduct for their officers, and Plaintiffs challenge neither the validity of such
regulations nor the Supervisory Defendants' decision to implement them. Once the policy is
adopted, however, neither the agency nor its employees have the discretion to ignore this
directive. Bagner, 42 8 F. Supp. 2d at Il10-11.'17
16 See also Callahan v. United States' 329 F. Supp. 2d 404, 408 (S.D.N.Y. 2004) (considering U.S. Marshals
Service's internal policy statements); Gooden v. U.S. Dep't of the Interior, 339 F. Supp. 2d 1072, 1079 (D.N.D.
2004) (denying exception where agency training decisions violated internal policies); Dickerson v. United States,
875 F.2d 1577, 1581 (11 th Cir. 1989) (affirming district court finding that letter expressing internal policy is
sufficient to "specifically prescribe[] a course of action for [an employee] to follow" and refusing to dismiss FTCA
claims based on discretionary function exception); Caraballo v. United States, 830 F.2d 19, 22 (2d Cir. 1987)
(finding that, having taken discretionary decision to patrol, government still "had a non-discretionary duty to carry
[patrol] out in a non-negligent manner").
17 In United States ex rel. Accardi v. Shaughnessy, 347 U.S. 260, 267 (1954), the Supreme Court explained
that although a federal agency had discretion to decide whether to issue regulations to govern its conduct, it had no
21
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 29 of 48
The United States' relies on Irving v. United States for the proposition that if an
agency enjoys a broad delegation of authority, its internal mandatory guidelines need not be
followed. InRvig does not stand for that proposition. First, as the Government recognizes, see
Def.'s Br. at 11I- 12, the First Circuit rested its holding in Irving on the observation that the
agency's internal regulations mirrored the breadth of discretion in the enabling legislation; i e.
the agency's internal policy statements did nothing to narrow this discretion. See Irving v.
United States, 162 F.2d 154, 165 (1 st Cir. 1998). In contrast, the statutes, regulations, and
policies governing the training of the Raid Officers exhibit a progressive narrowing of the
agency's discretion: he enabling legislation grants DHS authority to establish training programs,
see 5 U.S.C. §§ 4103, 4118(c), the regulations predicate officers' authority upon the completion
of specified training programs, see 8 C.F.R. §§ 287.1l(g), 287.5, 287.8, and internal policy
charges the Supervisory Defendants with ensuring that raid officers' complete training, and that
such training remain adequate to accomplish specific purposes, see, e.g., Ex. B (Tangeman
Memo), at 3-5; Tenreiro Decl. Ex. F (U.S. Dep't of Homeland Sec., Immigration Customs
Enforcement Academy, "Fugitive Operations Training Course Description, Student
Requirements and Equipment List"), at 2.
Second, this misreading of Iringn unmasks the crux of the Government's
argument: because the delegation of authority to ICE to enforce the immigration laws grants
"complete and limitless discretion," (or "unambiguous and virtually unlimited discretion"),
discretion to ignore those regulations once they were in place. Thus, it held the Board of Immigration Appeals was
not permitted to exercise its own discretion in a manner contrary to existing federal regulations. Then, in Morton v.
Ruiz, 415 U.S. 199, 230-38 (1974), a unanimous Supreme Court extended the Accardi principle to the internal
procedures and policies of federal agencies, holding that the Bureau of Indian Affairs could not act pursuant to
criteria it had failed to publish, in violation of an internal Manual that required it to do so. In Singh v. U.S. Dep't of
Justice, 461 F.3d 290, 296-97 (2d Cir. 2006), the Second Circuit applied the Accardi-Morton line of cases to actions
by the Board of Immigration Appeals and ICE, holding that failure to follow their own established procedures was
reversible error.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 30 of 48
Def.'s Br. at 12, 15, the Government argues, it is free to ignore its internal, discretion-limiting
policies. This argument, if accepted, would render the discretionary function exception
practically limitless and the FTCA waiver meaningless. It would mean that whenever Congress
has delegated broad-based authority to a federal agency (virtually always) the agency would be
free to ignore other lower-level rules even if they clearly limit an agent's discretion, and would
be subject to suit only when there is no broad delegating regulation (practically never). Such
sweeping argument is nonsensical - nothing in the FTCA or Gaubert indicates that agents are
free to disregard mandatory agency directives based on a claim that Congress had granted broad
authority. Certainly, nothing in Second Circuit precedent - which requires compliance with
internal policy statements - turns on the breadth of the statutory grant of discretion. See
Triestman, 470 F.3d at 474-77.
Worse, the Government's reading of lri:ng is predicated on a nonsensical
proposition. The Government's entire argument that "informal" policy statements are irrelevant
rests on the existence of a document delegating authority to the ICE Office of Training and
Development ("OTD") over the supervision of training programs. That document, however, has
an effective date of August 27, 2007, more than two months after the Fair Haven raids of June
2007. See Tenreiro DecI. Ex. G (U.S. Immigration and Customs Enforcement Directive No. 8-
1.0, Unified Training Strategy and Functions of the Office of Training and Development, issued
Aug. 27, 2007). An August 2007 directive cannot determine the question of which policy
pronouncements are entitled to mandatory weight in June of 2007. Unfortunately for the
Government, it has been unable to set forth any timely directive that is contrary to the clear
directives established as part of ICE's official field manual through memoranda in 2003 and
2004, see Ex. B (Tangeman Memo); Tenreiro Decl. Ex. H (U.S. Dep't of Homeland Sec.,
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 31 of 48
Immigration and Customs Enforcement, DDFM Mem. from Acting Director Victor X. Cerda,
dated Dec. 10, 2004) ("Cerda Memo"), discussed in detail below.'18
Finally, as Gaubert recognizes and as the Second Circuit has held, when, as here,
an agency chooses to control certain officers through regulations while governing other officers
through internal policies, both mandates also must be consulted to determine whether the
officer's conduct was permitted. See Gaubert, 499 U.S. at 324 (requiring examination of internal
policies where "an agency .. . rel[ies] on internal guidelines rather than on published
regulations"); Bagner, 428 F. Supp. at 107 ("Governmental policy may be 'expressed or implied
by statute, regulation or agency guidelines,' both internal and published") (quoting Gaubert, 499
U.S. at 324). Here, DHS has chosen to control the actions of low-level immigration officers
through regulations while governing the Supervisory Defendants through internally adopted
policies. Compare 8 C.F.R. §§ 287.1(g), 287.5, 287.8 (prescribing conduct for raid officers) with
Tenreiro Deci. Ex. I (U.S. Dep't of Homeland Sec. Border and Transp. Sec. Directorate
Immigration and Customs Enforcement Office of Detention and Removal, DETENTION AND
DEPORTATION OFFICERS' FIELD MANUAL (2002)) ("DDFM") (prescribing conduct for
supervisors). Irving itself recognized that this distinction makes no difference - both directives
must be followed. See Irving, 162 F.3d at 165 (acknowledging that policies must be consulted
where "regulations define the conduct of a regional official but not of a subordinate. ... ).
18 Of course, reliance on the delegation of authority to the Assistant Secretary for U.S. Immigration and
Customs Enforcement, see Def.'s Br. Ex. 1, is insufficient. As the Government's brief itself recognizes, Irving
applies only when regulations at issue "squarely addressed the challenged conduct." Def.'s Br. at 1I. Here, the
delegation of authority does not speak to training programs for field officers or to a superior's duties in supervising,
recruiting, or training such officers. Moreover, even the untimely Directive establishing the OTD, Ex. G,
specifically limits OTD authority to ensure that "all training is provided in a manner consistent with DHS, ICE,
and/or Program Office policy," id. at Clause 7.3, of which the DDFM Memos are a part. In other words, even if the
OTD directive had been applicable at the time of the Fair Haven raids, which it was not, it still by its own terms
mandates compliance with broader DUS and ICE policy. Despite the Government's protestations to the contrary,
the Supervisory Defendants were required to abide by these mandatory directives.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 32 of 48
In any event, the Government overplays its hand in arguing that certain policy
statements upon which Plaintiffs rely are "informal" or that they were issued by "low-level"
individuals. The two documents at issue, one an August 2003 memorandum by Anthony
Tangeman, the Director of the ICE Office of Detention and Removal, see Ex. B (Tangeman
Memo), the other a December 2004 memorandum by Victor X. Cerda, the Acting Director of
such office, see Ex. H (Cerda Memo),'19 were both issued as a part of the "official" Detention and
Deportation Officers' Field Manual of ICE's predecessor. See Tenreiro Deci. Ex. I (DDFM).
The DDFM specifically states that it is "intended to be used in concert with several other
references"~ including the Immigration and Naturalization Act and Title 8 of the Code of Federal
Regulations. Id. The DDFM further contemplates that its contents will be "updated ...
incorporating new policies or procedures which may have been implemented through cables or
memoranda to field offices." Id. Indeed, the then-director of the DRO, Supervisory Defendant
Torres, recognized the importance of the DDFM and reminded all DRO Field Office Directors in
March 2006 that the manual "is the only approved source of DRO policy and procedures."
Tenreiro Decl. Ex. J (U.S. Dep't of Homeland Sec., Immigration and Customs Enforcement,
DDFM Mem. from Acting Director John P. Torres, dated Mar. 27, 2006), at 1 (emphasis added).
Accordingly, the Tangeman Memo is, on its terms, a change to Chapter 19, section 2 of the
DDFM, and the Cerda Memo is, likewise, a change to section 16 of that chapter. In light of this,
it is puzzling that the Government calls the memoranda, issued by the highest officers in the ICE
branch responsible for field enforcement of the immigration laws, and promulgated in
accordance with the procedures of ICE's "official" field manual, "informal" and "low-level." In
reality, these memoranda are identical to the internal manuals that the courts in Triestman,
19 The two memoranda deal generally with mandatory training requirements related to ground-level
enforcement of immigration laws.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 33 of 48
Banger, and other cases relied on to determine whether an agent's actions were discretionary,
and lead to the unequivocal conclusion that the Supervisory Defendants' choices were
constrained to follow them. Even more puzzling is the Government's bizarre suggestion that
ICE officers have discretion to ignore these self-labeled "official" directives.
For these reasons, the Supervisory Defendants' conduct is governed and
circumscribed by internal DHS and ICE policy. Because the Supervisory Defendants acted
outside of their delegated authority and out of compliance with these governing policies, they
cannot avail themselves of the discretionary function exception.
b. The Supervisory Defendants 'Negligent Hiring, Training, And
Supervision Of The Fair Haven Raids Was Not Discretionary Because
It Violated The Detention And Deportation Officers' Field Manual
The Supervisory Defendants' breached their supervisory and training duties on a
wide scale by violating mandatory NFOP policy which specifically required that the Supervisory
Defendants review and update training regimens as well as ensure that the Raid Officers receive
adequate training. Chapter 19, Section 2, of the DDFM provides that "supervisors will ensure
officers will receive all training, equipment, and leadership necessary to safely and effectively
conduct fugitive operations." Ex. B (Tangeman Memo), at 3-4. Chapter 19, Section 16 of the
DDFM further stipulates that team supervisors are required to maintain training records and
ensure compliance with mandatory training programs. See Ex. H (Cerda Memo). The
Supervisory Defendants did no such thing. 2 0
20 In particular, Supervisory Defendants McCaffrey and Sullivan directly supervised the raid and oversaw the
Fair Haven Raid Officers' violations of federal statutes, regulations, and policies. According to the Operational
Plan, the Hartford DRO Sub-Office served as the "primary command post for the duration of' the Fair Haven raids.
See Tenreiro Decl. Ex. K (U.S. Dep't of Homeland Sec., immigration and Customs Enforcement, DETENTION AND
REMOvAL OPERATIONS, DRO OPERATION ORDER: OPERATION RETURN TO SENDER (2007)), at 2. Supervisory
Defendant Sullivan acted as supervisor of the raids in his capacity as Assistant Field Office Director for the Hartford
sub-office.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 34 of 48
NFOP training materials also state that the Fugitive Operations Training Program
provided to members of NFOP raid teams "is being continually reviewed and updated to prepare
officers to be able to perform the duties of a law enforcement officer in the field." Ex. F at 1.
These internal directives impose a basic duty on the Supervisory Defendants to maintain and
update the training received by their subordinates to respond to patterns of illegal and
unauthorized conduct. Moreover, the Government concedes that the DDFM requires that "all
agents assigned to NFOP teams" attend the Fugitive Operations Training Program, Def.'s Br. at
9. See Ex. H (Cerda Memo). The Supervisory Defendants thus had no discretion not to ensure
that the Raid Officers had received adequate training, or not to review or update their training
regimens once it became clear to them that the Raid Officers were not properly equipped to
perform safe and effective field operations. 2 ' See Vickers v. United States, 228 F.3d 944, 952
(9th Cir. 2000) (holding that officials had no discretion to withhold a required investigation);
Appley Bros. v. United States, 164 F.3d 1164, 1172 (8th Cir. 1999) (same); Alinsky v. United
States, 156 F. Supp. 2d 908, 915 (N.D. 1ll. 2001) (holding supervisor's failure to train
subordinate in manner required by internal regulation was not discretionary). 22 Stated
differently, Plaintiffs do not challenge the adequacy of a particular program nor ask the Court to
21 See Compl. IT 278-285.
22 The list of regulations and policies that the Supervisory Defendants violated clearly puts the claims at issue
here outside the scope of the discretionary function exception and of the cases on which the Government relies. See
Def.'s Br. at 20 (citing Li, Saint-Gillen, and Curoco). In all three cases on which the Government purports to rely,
there is no indication that plaintiffs had alleged, as Plaintiffs do here, that the challenged actions were contrary to
specific policies. Thus, none of those cases concerned the Supreme Court's own limitation to the first prong of
Gaubert.
Nor do any of those cases create a per se rule that the torts of negligent hiring, supervision and training are
automatically precluded by the discretionary function exception. Saint-Guillen at most states in dicta that the torts
are "generally barred," Saint-Guillen, 657 F. Supp. 2d at 387, but the holding in that case actually rests on the
insufficiency of plaintiff s allegations. The Saint-Guillen plaintiff recited in one summary paragraph the elements of
the torts at issue, without specifying which actions she alleged fell outside the defendants' discretion. That is, of
course, a far cry from this case, where Plaintiffs have alleged that the Supervisory Defendants violated numerous
regulations and internal policies in their negligent hiring, supervision and training. See also supra. n. 13.
27
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 35 of 48
"second-guess" the desirability of a chosen system. Plaintiffs simply allege that the Supervisory
Defendants, under clear orders to establish a training program that would ensure that raids were
conducted "safely and effectively," and to ensure that raid officers attended such programs,
violated the law when they ignored these requirements.
In fact, similar language in internal agency policy documents as that at issue here
has been held to create mandatory obligations that demand compliance. In Aslakson v. United
Sates, the Eighth Circuit held that a voluntarily adopted agency rule requiring outdoor electrical
transmission wires to be maintained only "'as may be required for safety reasons" imposed a non-
discretionary duty upon the agency to hang the wires at a level that would avoid the risk of
accident. 790 F.2d 688, 690 (8th Cir. 1986). The agency was alerted by an internal review that
the wires were hung too low. Id. Although the agency was not required to hang the wires at any
particular height, the Court held that the agency violated this internal policy when it failed to
respond to the known risk that the wires posed a danger when hung twenty-eight feet above a
lake. Id. at 690-91, 693 ("The policy's mandate is clear; [the agency] must raise its power lines
if they constitute a safety hazard"). Under the Tangeman Memo, the Supervisory Defendants
were likewise required to provide FOT members all training and leadership necessary to "safely
and effectively conduct fugitive operations" and were alerted by an internal report that their
existing mandatory training programs were inadequate to achieve this purpose. See Ex. B
(Tangeman Memo), at 3-4; Tenreiro Decl. Ex. C (GIG Report), at 29-3 8. The Supervisory
Defendants' failure to mitigate the known risk that the Fair Haven raids could not be conducted
either effectively or safely with the existing training and supervision structures in place
constitutes a failure to comply with mandatory policy.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 36 of 48
c. The Supervisory Defendants 'Negligent Supervision Of The Fair
Haven Raids Was Not Discretionary Because It Violated Mandatory
NFOP Policy
Additionally, the Supervisory Defendants' negligent supervision is not protected
by the discretionary function exception because they acted in violation of internal NFOP policy
requiring them to notify the local Police Department of ICE's plan to conduct the raids. See
Tenreiro DecI. Ex. K (U.S. Dep't of Homeland Sec., Immigration and Customs Enforcement,
DETENTION AND REMOVAL OPERATIONS, DRO OPERATIONAL ORDER: OPERATION RETURN To
SENDER (2007)), at 2. The Operational Plan requiring them to do so was drafted by Supervisory
Defendant McCaffrey and reviewed and approved by Supervisory Defendants Sullivan,
Chadbourne, and Torres. See Tenreiro Decl. Ex. L (Deposition of Richard McCaffrey, Unidad
Latina en Accion v. U.S. Dep't of Homeland Sec., No. 3:07-cv- 1224 (D. Conn. Feb. 5, 2009))
("McCaffrey Depo."), at 52-53, 55-56. Importantly, approval of the Operational Plan and
authorization of the raid is predicated on the understanding that the Operational Plan would be
complied with .23 Id. at 55-56. Nothing in that provision contemplates that the Supervisory
Defendants may choose not to notify the local police; on the contrary, it prescribes a specific
course of conduct that the Supervisory Defendants were expected to follow. The Supervisory
Defendants thus had no discretion to withhold the required notification from the NHPD .2 Yet,
23 Internal correspondence among high-ranking ICE officials, including Supervisory Defendant Torres,
confirmed their understanding that the New Haven police would be notified. See Tenreiro Deci. Ex. M (Email from
Hugo R. Martinez to Mark T. Lenox, dated May 5, 2007 (8:12 PM EST)). Internal correspondence also indicates
that Supervisory Defendants McCaffrey and Torres regarded the Operational Plan as binding. See Tenreiro DecI.
Ex. N (Email from John Torres to Timothy S. Robbins, dated June 9, 2007 (9:23 AM EST)); Tenreiro Decl. Ex. 0
(Email from Richard L. McCaffrey to Scott A. Williams, dated May 9, 2007 (9:28 PM EST)).
24 As noted, the Government cannot argue that the mandatory NFOP policy should be disregarded as
"informal," given the clear case law that once an internal policy has been adopted by an agency in its discretion,
there is simply no discretion to disregard it. See. e.g., Triestman, 470 F.3d at 475; Caraballo, 830 F.2d at 20;
Bagne , 428 F. Supp. 2d at 113. Here, the Operational Plan had been fully adopted by the Boston Field Office of
DRO as of May 4, 2007. See Ex. M (reporting the formal approval of the Operational Plan). Accordingly the
Supervisory Defendants had no discretion to disregard it.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 37 of 48
despite this clear and mandatory requirement, the Supervisory Defendants failed to notify the
NHPD of the Fair Haven raids. See Compi. IT 247-48.2
B. The Challenged Actions Are Not Grounded In Policy
The Government's conduct also fails to qualify under the second Berkovitz-
Gaubert prong. This second prong will not be met when an action, even if relegated to the
unbounded choice of an agent, is "'not the kind of conduct that can be said to be grounded in the
policy of the regulatory regime."' King v. United States, 491 F. Supp. 2d 286, 297 (D. Conn.
2007) (quoting Gaubert, 499 U.S. at 324-25); Andrulonis v. United States, 952 F.2d 652, 655 (2d
Cir. 1991) ("[tlhere are obviously discretionary acts performed by a Government agent that are
within the scope of his employment but not within the discretionary fuinction exception because
these acts cannot be said to be based on the purposes that the regulatory regime seeks to
accomplish"). A policy of "discretion" in and of itself is not the kind of public-policy judgment
that is shielded by the discretionary function exception - i.e., the Government cannot bootstrap
its argument that it meets the second Gaubert prong by reciting the arguments it relies on to
establish the first. See Coulthurst v. United States, 214 F.3d 106, 110 (2d Cir. 2000) (rejecting
characterization that "would effectively shield almost all government negligence from suit,
because almost every act involves some modicum of discretion regarding the manner in which
one carries it out",).26
25 Plaintiffs expect that discovery in this case will reveal even further internal directives that limited the
Supervisory Defendants' discretion, but which the Supervisory Defendants violated in connection with the Fair
Haven raids. Such discovery is currently the subject of a Motion to Compel pending before this Court, see ECF No.
64, to which the Government has filed an untimely response. Se ECF No. .
26 Although the Government is entitled to a presumption that acts are grounded in policy if it can show that
they conformed to an applicable regulatory regime, see Andrulonis, 952 F.3d at 654, the presumption may be
rebutted if the court determines that the acts in question are not susceptible to policy analysis. See Gaubert, at 324-
25. In this case the Government is not entitled to the presumption in the first place because Plaintiffs have shown
that the alleged acts were not discretionary, for the reasons set forth in Part II.A. In any event, for the reasons set
30
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 38 of 48
1. The United States Fails To Articulate Clear Policies That The
Negligent Hiring, Supervision, And Training Decisions Were Meant
To Further
To meet its burden of establishing that the challenged actions were grounded on
permissible policy considerations, the United States must at a bare minimum clearly articulate
the public policies implicated by the acts at issue. See Andrulonis, 952 F.2d at 655 (foreclosing
the discretionary function exception where government failed to show a policy that "required, or
even encouraged" the official's negligent decision); Kig 491 F. Supp. 2d at 299 (finding
Government's decision to allow workers to continue working in a dangerous building was not
grounded in policy absent a "clearly defined policy" requiring them to do so).
Here, the United States has not even attempted to show that the flawed
supervision decisions at issue are meant to further any particular policy or policy objective. See
Def.'s Br. at 16-19, Indeed, it cannot: ICE's supervision and training decisions at issue were in
direct contravention to many of ICE's stated policies and foreseeably led to violations of the
Constitution. And it is hardly imaginable that ICE had a policy of permitting supervisors to
allow ill-trained agents to go into the field, given clear policy statements and regulatory
requirements to the contrary. See discussion supra Part II.A.2.
With respect to its training decisions, although the United States refers broadly to
generalized policy goals, these references are inadequate to establish that the Supervisory
Defendants' decisions were sufficiently grounded in policy. First, the Government cannot rely
on policy statements that are so generic that they "'.conceivably could go to any decision"' by
NFOP officials. King, 491 F. Supp. 2d at 299 (quoting Gotha v. United States, 115 F.3d 176,
181 (3d Cir. 1997)); see Gonzalez v. United States, 690 F. Supp. 251, 256 (S.D.N.Y. 1988)
forth herein, such presumption would be easily rebutted because the acts at issue are not susceptible to policy
analysis.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 39 of 48
("[T]he Government cannot escape the liability clearly envisioned by the statute by describing
the challenged decision as a 'policy' matter").
Second, the Government is not entitled to rest solely on existence of a regulation
governing the conduct at issue to show that the conduct in question was grounded in policy
considerations. See Andrulonis, 952 F.2d at 655. The United States argues that it is entitled to a
presumption that training policies exercised within the discretion conferred by a regulation
"involve[] consideration of the same policies which led to the promulgation of [such]
regulation[]," Def.s Br. at 13 (citing Gaubert, 499 U.S. at 324). Such argument, if taken to a
logical conclusion, would effectively collapse the second Gaubert prong into the first and shield
from liability any acts that are even remotely related to delegated authority. Fortunately, courts
have steadfastly rejected the Government's unabashed attempt to sweep all of the acts and
omissions in question "under the rug" of broad agency policy, thereby effectively insulating from
liability "virtually all" exercises of discretion by a government agent. Coulthurst, 214 F.3d at
106. Such a sweeping interpretation "would preclude liability for any and all acts arising out of
the regulatory programs of federal agencies." Alinsky, 156 F. Supp. 2d at 915.
More fundamentally, the Supreme Court in Gaubert has made explicit that the
existence of a regulation governing conduct does not mean that such conduct was pursuant to
public policy. Rather, the focus of the inquiry is whether "the nature of the actions taken and..
whether they are susceptible to policy analysis." Gaubert, 499 U.S. at 325. Where, as here,
Plaintiffs allege that ICE officers knew that the NFOP training program was wholly inadequate
to prevent FOT officers from engaging in frequent and egregious constitutional violations during
residential raids, Compl. T 300, allowed many FOT members to skip purportedly mandatory
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 40 of 48
training courses and still be selected to perform residential enforcement, id. T 302, and failed to
update the training programs as required by ICE's policies, see Ex. G, Plaintiffs' complaint
supports a finding that the decisions in question 2 7 are not the kind that are grounded in the policy
of the regulatory regime or susceptible to policy analysis.
In fact, it is "hardly conceivable" that the ICE officers' decision not to act in the
face of knowledge of the inadequacy of the existing training programs, and to authorize
residential raids by inadequately trained personnel in defiance not only of constitutional norms
but of agency guidelines, see discussion supra at pp. 26-3 0, is grounded in policy considerations.
ICE surely does not have "a policy to keep silent about obvious, easily-correctable dangers."
Andrulonis, 952 F.2d at 655. The Government's argument essentially boils down to the notion
that ICE, once having implemented training policies at their discretion. has made a "policy"
decision to avoid any modifications or corrective actions, even after being put on notice of such
blatant deficiencies in its program, and regardless of whether such non-action violates mandatory
regulations or the U.S. Constitution. This, the law does not countenance.
2. The Discretionary Function Exception Does Not Bar Claims That
Government Officials Carried Out Established Policies Negligently
The Government's arguments that the training programs implemented by ICE are
"steeped in policy judgments," Def.'s Br. at 14, are also insufficient because ICE supervisors
negligently implemented such programs. See Gaubert, 499 U.S. at 323. Unquestionably,
Gaubert decided that acts by lower level officials could implicate policy judgments, eschewing
27 The decision in question, which Plaintiffs challenge in this regard, is the ICE Supervisory Defendants'
failure to act to correct and mitigate the risks associated with the inadequate training - and not the decision to design
the training programs per se. Se Alinskiy, 156 F. Supp. 2d at 916 (Certain discretionary hiring decisions fell
"outside the discretionary function exception because they are not susceptible to policy analysis;" although agency
was conferred with much discretion in establishing the privatization program, the "relevant government action was
not the decision to privatize .... but rather the decision to delay the hiring ... in the face of an allegedly imminent
threat of harm to the ... public").
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 41 of 48
any distinction between high- and low-level actions as controlling the question of whether the
exception applied. Contrary to the Government's construction of "Gaubert's teachings," Def.'s
Br. at 18, however, Gaubert left open the argument that the second prong is not met if an official
carries out its policies negligently. See Gaubert, 499 U.S. at 325 n.7. Thus, after Gaubert, the
Second Circuit recognized a difference between the discretion to promulgate policy objectives
and the administration of an established policy in a negligent manner, the latter of which is not
shielded by the discretionary function exception. See Triestman v. Fed. Bureau of Prisons, 470
F.3d 471, 476 (2d Cir. 2006) (upholding jurisdiction over a claim that the agency ...enforced'
[its] policy inadequately, due to the negligent actions of its employees"); see also Lemke v. City
of Port Jervis, 991 F. Supp. 261, 265 (S.D.N.Y. 1998) (upholding allegations that government
inspector implemented inspection program negligently); Martin v. United States, 971 F. Supp.
827, 829 (S.D.N.Y. 1997) ("Plaintiff s claim ... goes not to the adoption of the policy but to its
implementation on the night in question").2
This reasoning applies with even greater force when decisions are taken in
disregard of particularly known risks. Such decisions, by definition, cannot be in furtherance of
28 In Andrulonis, the Second Circuit reaffirmed this distinction in light of Gaubert, having applied the
distinction in its prior decisions. See Caban v. United States, 671 F.2d 1230, 1232-35 (1982); Caraballo, 830 F.2d at
21. In Caban, the Second Circuit found that the activities of the I NS agents who detained appellant did not fall
within the exception as they were not grounded in policy. Explaining that the principal difficulty for courts in
applying the discretionary function exception is that "all federal employees exercise a certain amount of discretion
in the discharge of their responsibilities," the Second Circuit held that although the immigration officials were
vested with discretion by defining an applicant's entry right in terms of how he "appear(s)" to the immigration
officer and whether the officer is "satisfied" with his proof of entitlement to enter, the language of the regulation
does not "convert the discharge of prescribed responsibilities into 'decisions which involve a choice between
competing policy considerations."' Caban, 671 F.2d at 123 3 (citing Canadian Transp. Co. v. United States, 663
F.2d 1081, 1087 (D.C. Cir. 1980)). The Court thus differentiated between an action contesting the adoption of the
regulation, which may have been protected by the discretionary function exception, versus the failure to comply
with existing regulations in a competent manner. In line with Caban, in Caraballo, the Second Circuit explained that
the discretionary function exception cannot absolve the government of liability from negligent implementation of
actions it has decided to undertake. See Caraballo, 830 F.2d at 22 (holding that having decided to patrol recreational
area, Park Service is not shielded from liability for accidents resulting from its negligent patrolling).
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 42 of 48
any legitimate policy objective. See Andrulonis, 952 F.2d at 655; Wright v. United States, 866
F. Supp. 804 (S.D.N.Y. 1994). In Andrulonis, a scientist for the Centers for Disease Control
failed to warn about dangerous conditions in a laboratory conducting rabies experiments.
Interpreting the logical application of the second prong of the exception, the Second Circuit
rejected the notion that such reckless behavior could ever be grounded in policy, stating that "it
is hardly conceivable that the [agency] would ever have a policy to keep silent about obvious,
easily-correctable dangers." Andrulonis, 952 F.2d at 655. Likewise in Brown, the Court found
that while the macro-decisions of the Beach authorities to design beach safety procedures was
protected, it would not shield the decision of an employee who "disregard[ed] a substantial risk
of which he as uniquely aware." Brown v. United States, 661 F. Supp. 2d 341, 365 (E.D.N.Y.
2009); see Wrigh, 866 F. Supp. at 806 (finding that the exception is intended to protect public
policy decisions, but that the "[flailure to take any such steps where feasible is negligent and not
within the discretionary function exemption, even though the particular nature of the appropriate
steps is discretionary").
Here, the Supervisory Defendants' conduct was negligent because they had actual
knowledge of the extraordinary risk that the raids would cause constitutional and common law
violations, and yet allowed the raids to go forward. See Ex. C (OIG Report), at 29-3 8; Compl. TT
274-299, 309-310, 317-319. In light of these clear risks, the continuation of a practice or pattern
of negligent supervision and training without modification that addresses such risk is not
shielded from liability.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 43 of 48
3. The Supervisory Defendants' Actions Are Not Grounded In Policy
Because They Encouraged The Violations Of Several Federal Statutes
And DHS Regulations
The discretionary function exception does not apply to the Supervisory
Defendants' torts for yet another reason: the actions of the Supervisory Defendants, encouraged
and tolerated violations of several federal statutes and DHS regulations. Supervisory Defendants
McCaffrey and Sullivan directly supervised the Raid Officers throughout the entire course of the
raids, Compi. IT 37, 39, 58, 59, directing and permitting them to take actions that flagrantly
violated federal statutes and regulations. Connecticut law imposes liability upon negligent
supervisors for the foreseeable torts of their subordinates. See Seguro v. Cummiskey, 844 A.2d
224, 229 (Conn. App. Ct. 2004) (holding defendant liable under Connecticut law that imposes
liability on a negligent supervision theory for failure to prevent a known risk of harm to the
plaintiff); Seda v. Maxim Healthcare Servs., CV07501081 1, 2008 Conn. Super. LEXIS 916, at
**9-.1O (Conn. Super. Ct. Apr. 8, 2008) (denying motion to strike plaintiff s negligent
supervision claim because plaintiff s injury was foreseeably caused by "improper training and
supervision" by defendant). The Government thus cannot claim that approval and direct
participation in the Raid Officers' violations are remotely "susceptible to policy analysis."
Supervisory Defendants McCaffrey and Sullivan directed and permitted Plaintiffs
to be arrested without probable cause and their homes to be searched without warrants or
consent. Crucially, Plaintiffs were not included on any list of "targets" that Supervisory
Defendant McCaffrey drew from ICE databases. Compl. 64-65. Instead of confirming the
Plaintiffs' identities before the raid took place, Supervisory Defendants McCaffrey and Sullivan
directed their officers to invade the Plaintiffs' homes without knowing their names and to make
arrests for no apparent reason other than that, for instance, some Plaintiffs could not identify a
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 44 of 48
picture or a person named "Chavez." Id. TT 69-192. While the entire raid focused heavily on
Plaintiffs' Latino appearances and their residence in an immigrant neighborhood in New Haven,
the mere fact that the Plaintiffs may have appeared to the defendants to be non-U.S. citizens does
not constitute probable cause for their arrest. United States v. Karathanos, 531 F.2d 26, 30 (2d
Cir. 1976). Nothing in these circumstances provided Supervisory Defendants McCaffrey,
Sullivan, and their Raid Officer subordinates with probable cause to establish either of the
conjunctive factors required by the applicable regulations. 2 9 See 8 C.F.R. § 287.8(c)(i)-(ii);
Rajah v. Mukasey, 544 F.3d 427, 443-44 (2d Cir. 2008); see also Rodriguez v. United States,
542 F.3d 704, 711-12 (9th Cir. 2008).
In addition, the Raid Officers were required to identify themselves and notify the
Plaintiffs that they were under arrest. 8 C.F.R. § 287.8(c)(2)(iii)(A)-(B). Contrary to this
binding limitation, Supervisory Defendants McCaffrey and Sullivan ordered and permitted each
of the Plaintiffs to be handcuffed, led out of his home, and taken into ICE custody without
receiving one or both of these required notifications. See Rajah, 544 F.3d at 444 (finding
violation where no notification was given prior to "substantial questioning" by immigration
officers). Further, the officers were prohibited from using "threats" or "coercion" to induce
Plaintiffs to waive their rights or make a statement, a rule the Raid Officers were free to
disregard under their supervisors' negligent watch as they brandished weapons, blocked
entrances and exits, shouted at Plaintiffs in English, seized and destroyed their property, and
misinformed them of their rights in order to obtain access to their homes and intimidate them
29 Immigration officers are permitted to arrest individuals for immigration law violations without a warrant
only if the arresting officer has "reason to believe" that the arrested individual is both (1) present in the United
States illegally and (2) that the person is "likely to escape before a warrant can be obtained." 8 C.F.R. § 287.8(c)(i)-
(ii) (2009); see also 8 U.S.C. § 1357 (2006). The "reason to believe" requires the familiar standard of "probable
cause" needed for a criminal arrest. United States v. Sanchez, 635 F.2d 47, 63 (2d Cir. 1980).
37
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 45 of 48
into answering questions. See 8 C.F.R. § 287.8(c)(2)(vii); see Singh v. Mukasey, 553 F.2d 207,
215 (2d Cir. 2009); Compi. TT 69-192.
Defendants' unauthorized conduct continued once Plaintiffs were brought to the
DRO Office in Hartford. Compi. TT 174-192. During the post-arrest examination supervised by
Supervisory Defendants McCaffrey and Sullivan, officers were required to inform Plaintiffs of
their right to counsel, that they were at risk of removal, and that their statements could be used
against them in later proceedings. See 8 C.F.R. § 287.3(c); Singh, 553 F.2d at 215. None of
these required notices were timely given. Compi. TT 174-192. Binding policy statements
obliged the Raid Officers to inform the Plaintiffs that the availability of bond or personal
recognizance would be determined within hours of their arrest. See Ex. E (M-69), at 5.
Defendants did not provide this information. Compl. TT 174-192. Further, Supervisory
Defendants McCaffrey and Sullivan permitted Plaintiffs' examinations to be conducted by the
same officers who had arrested them, id. TT 174-190, contrary to the plain language of the DHS
regulation requiring examination by an officer "other than the arresting officer." 8 C.F.R.
§ 287.3(a); Chi Yuan Chen v. Gonzales, 224 F. App'x 116, 118 (2d Cir. 2007).
Because the United States cannot argue that it furthered any legitimate policy
objective by failing to abide by supervisory and training mandates, to allow immigration raids to
go forward in knowing violation of the Constitution and federal law, or to stand by and condone
flagrant violations of federal law the Government's argument fails the second Gaubert prong as
well.
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 46 of 48
CONCLUSION
For the foregoing reasons, the United States' Renewed Partial Motion to Dismiss
should be denied.
Dated: New York, New York
August 13, 2010
Respectfully submitted,
CLEARY GOTTLIEB STEEN & HAMILTON LLP
By: Mo C)-, y :c /
Thomas J_. (t 1765)/ r
A Member of the Firm
One Liberty Plaza
New York, New York 10006
(212) 225-2000
JEROME N. FRANK LEGAL SERVICES
Muneer I. Akmad, ct28 109
Michael J. Wishnie, ct27221
Yale Law School
P.O. Box 209090
New Haven, Connecticut 06520
Phone: (203) 432-4800
Attorneys for Plaintiffs Eduardo Diaz-Bernal,
Florente Baranda-Barreto, Edilberto Cedeilo-
Trujillo, Washington Colala-Pefiarreta, Julio Sergio
Paredes-Mendez, Cristobal Serrano-Mendez, Jose
Solano-Yangua, Silvino Truj illo-Mirafuentes,
Gerardo Trujillo-Morellano, Edinson Yangua-
Calva, And Amilcar Soto Velasquez;
Of Counsel:
Jennifer Gorskie
Jorge G. Tenreiro
Melissa Fernandez
Hedayat Heikal
Aliza Hochman
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 47 of 48
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF CONNECTICUT
DIAZ-BERNAL et al., x
Plainti~ffs, C.A. No. 3:09-cv- 1734 (SRU)
V.
MYER et l.,August 13, 2010
Defendants.
--------------------------------------------------- x
CERTIFICATE OF SERVICE
I hereby certify that on August 13, 2010, a copy of the foregoing Memorandum of
Law in Opposition to the United States' Renewed Partial Motion to Dismiss, Declaration of
Jorge G. Tenreiro, Esq., in support of Plaintiffs' Memorandum of Law in Opposition to United
States' Renewed Partial Motion to Dismiss, and the exhibits annexed thereto, was filed
electronically and served by mail on anyone unable to accept electronic filing. Notice of this
filing will be sent by e-mail to all parties by operation of the Court's electronic filing system or
by mail to anyone unable to accept electronic filing as indicated on the Notice of Electronic
Filing. Parties may access this filing through the Court's CMIECF System.
/ s/ Thomas J. Moloney
Thomas J. Moloney (ctl 1765)
CLEARY GOTTLIEB STEEN & HAMILTON LLP
One Liberty Plaza
New York, New York, 10006
Phone: (212) 225-2000
Fax: (212) 225-3999
E-mail: tmoloney@cgsh.com
Case 3:09-cv-01734-SRU Document 75 Filed 08/13/10 Page 48 of 48