Michael Day, Jr. v. Johns Hopkins Health System
Opinion
Plaintiffs brought suit against Dr. Paul Wheeler and Johns Hopkins Health System et al. for Wheeler's actions as an expert witness in administrative hearings for the Federal Black Lung Program. This lawsuit included a federal claim under the Racketeer Influenced and Corrupt Organizations Act (RICO), Pub. L. No. 91-452, Title IX (1970) (codified at
I.
Congress enacted the Black Lung Benefits Act (BLBA) to compensate coal miners afflicted with pneumoconiosis, commonly known as black lung disease. Pub. L. No. 91-173 (1969) (codified at
The procedural path of the program is as follows. First, a district director from the Department of Labor completes a preliminary analysis of a miner's claim.
Appellants are the survivors of two coal miners who sought benefits under the BLBA, Michael Day and Junior Barr. All of the claims in this case stem from actions taken by Dr. Wheeler and his colleagues as part of the agency's adversary process. Day's proceedings began in 2004, while Barr filed for benefits four times between 1981 and 2010. Dr. Wheeler, along with his radiology unit at Johns Hopkins University, provided expert opinions to coal mine operators that opposed the miners' claims. He offered his opinion in both Day and Barr's hearings, concluding that neither suffered from black lung disease.
This appeal comes to us on a motion to dismiss for failure to state a claim. Fed. R. Civ. P. 12(b)(6). We therefore "accept as true all well-pled facts in the complaint."
SD3, LLC v. Black & Decker (U.S.) Inc.
,
Appellants contend, however, that Dr. Wheeler's systemic violation of international standards was not apparent until the Center for Public Integrity (CPI) published a critical report on the Johns Hopkins radiology unit in 2013. According to the CPI report, which is the foundation for the complaint in this case, Dr. Wheeler and his colleagues at Johns Hopkins were much less likely to find cases of black lung disease than other doctors. This made the unit a favorite of coal companies, which routinely used these opinions to defeat miners' claims. As asserted by CPI, Wheeler reviewed more than 1,500 cases and never once concluded that a claimant suffered from a severe case of black lung. See Chris Hamby et al., Ctr. for Pub. Integrity, Breathless and Burdened: Part 2 (Oct. 30, 2013).
The Department of Labor acted following the CPI report's publication. In 2014, the agency instructed its staff not to credit any evidence based on Dr. Wheeler's expert opinion in the absence of persuasive evidence challenging CPI's conclusions. DOL also encouraged coal miners who had been adversely affected by his testimony to refile for benefits. See U.S. Dep't of Labor, Office of Workers' Compensation Programs, BLBA Bulletin, No. 14-09 (June 2, 2014). Both Day and Barr were awarded posthumous benefits after the report was published. The survivors of both men allege that these benefits are less than would have been awarded if their claims had not been denied on the basis of Dr. Wheeler's testimony. This civil suit followed.
In their complaint, plaintiffs raised a federal RICO claim and state law claims for fraud, tortious interference with economic interests, negligent misrepresentation, and unjust enrichment. The district court dismissed each of their claims on the same ground-the Witness Litigation Privilege. In the view of the district judge, the privilege shielded the defendants from civil liability for their actions as expert witnesses during BLBA proceedings.
II.
Our law affords absolute immunity to those persons who aid the truth-seeking mission of the judicial system. This protection extends to judges, prosecutors and witnesses.
See
Pierson v. Ray
,
The Witness Litigation Privilege is a broad one. It applies to those who come forward of their own volition as well as those who are compelled,
see
Briscoe
,
to those who appear before administrative tribunals as well as those who appear in court,
compare
Butz v. Economou
,
As with any other privilege or immunity, there will of course be questions about its scope. Litigants may fight about who counts as a witness or whether proceedings are sufficiently judicial in character.
See, e.g.
,
Franklin v. Terr
,
No privilege comes without a cost. A privilege is a trade-off. It protects some admittedly bad actors in the hopes of achieving a much larger good. The reason for the witness privilege here is plain: the prospect of liability for those who participate in judicial proceedings would weaken "the ultimate fairness of the operation of the system itself."
Imbler v. Pachtman
,
The absolute protection of the privilege does not empower a witness to violate his oath with impunity, however. First, witness statements are routinely submitted to the "crucible of cross-examination," which has always served as the vehicle for discovering the truth in our judicial system.
See
Crawford v. Washington
,
All of these remedial measures share one critical feature: they place the decision to sanction the witness under the authority of a neutral officer-whether it be a judge, agency official, or prosecutor-rather than in the hands of a disgruntled adversary. Unlike a later collateral attack on witness testimony, however, the above measures deter and punish misleading statements without extending the conflict of one trial into future confrontations between a winning and losing party.
It requires no great feat of imagination to see where a civil action for damages against a witness would lead. Armed with a cause of action against opposing witnesses, both parties would use such actions to strafe those who testified for the other side. For "controversies sufficiently intense to erupt in litigation are not easily capped by a judicial decree. The loser in one forum will frequently seek another."
Butz
,
Any erosion of the common law immunity for witnesses would undermine the truth-seeking function of the initial proceeding, invite new claims by disgruntled litigants, and deter participation by those in a position to offer valuable testimony. The privilege has been around so long and recognized so widely for a reason: it helps the judicial system work.
III.
With these principles of the common law in mind, we now turn to the question of whether the privilege applies here. The appellants have raised both federal and state law claims. Despite some unnecessary invocations of the Supremacy Clause, preemption is not the dispositive issue in this case. The Witness Litigation Privilege is part of both federal common law and the state law of Maryland. The absolute immunity found in both bodies of law are coextensive.
Compare
O'Brien & Gere Eng'rs v. City of Salisbury
,
To resolve this case, therefore, requires answering two questions. First, we must decide whether Dr. Wheeler's actions, as alleged in the complaint, fall within the scope of the historic immunity. If they do, we must next determine whether the appellants' cause of action in some way displaces the common law privilege. We shall take these questions up in turn.
A.
The allegations made against Dr. Wheeler and his associates at Johns Hopkins fall squarely within the scope of the Witness Litigation Privilege. As an initial matter, the appellants do not question that the administrative proceedings here are quasi-judicial in nature. The Supreme Court has recognized that the need for witness immunity does not turn on a tribunal's "particular location within government."
Butz v. Economou
,
The allegations against Dr. Wheeler relate to testimony and opinions that he offered in the appellants' BLBA proceedings. Appellants offer several bases for finding that Dr. Wheeler's testimony in these proceedings was nonetheless outside the privilege. First, appellants suggest that Maryland law limits the absolute privilege to claims for defamation, while adopting a balancing test for other claims. This misreads the Maryland courts. The privilege for witnesses undoubtedly emerged from early defamation actions brought against witnesses for statements made during trial. This does not mean, however, that the privilege has less force in other contexts. The Maryland courts apply the privilege to any "words spoken or written in the course of or in connection to a judicial proceeding."
O'Brien v. Gere Eng'rs v. City of Salisbury
,
Appellants insist, however, that expert witnesses who appear voluntarily are less entitled to protection than eye witnesses or government agents. They also assert that witnesses who engage in deliberate fraud are less worthy of immunity than those who simply misstate the facts. No relevant citations are offered for these arguments because none are likely to exist. The dearth of authority is yet another indication that once the privilege attaches, it bars all civil claims stemming from the witness's participation before the tribunal. The fact that Dr. Wheeler appeared as an expert witness has no effect whatsoever on the question of witness immunity.
See, e.g.
,
Wilson v. Bernet
,
The cases offered by the appellants as support for a claim-specific balancing approach do nothing to advance their argument. The decision of the Maryland state court in
Adams
, for instance, actually expanded immunity to statements made "for possible use in connection with a pending judicial proceeding."
Adams v. Peck
,
The statements made by Dr. Wheeler as an expert in the administrative proceeding are within the privilege's scope. This fact alone is enough to resolve the state law causes of action, which offer no basis for displacing the common law immunity. The federal claim, however, arises under statute and we must now consider whether appellants' statutory cause of action abrogates the traditional immunity afforded to witnesses under common law.
B.
Appellants' sole federal claim arises under the civil cause of action created by the Racketeer Influenced and Corrupt Organizations Act (RICO), Pub. L. No. 91-452, Title IX (1970) (codified at
Congress frequently enacts statutes in harmony with the common law. Sometimes legislators borrow terms familiar to our common law tradition.
See, e.g.
,
Nationwide Mutual Ins. Co. v. Darden
,
The decision in
Briscoe
is instructive. In that case, the Supreme Court reasoned that
RICO's civil cause of action manifests no intention to displace the Witness Litigation Privilege. In enacting RICO, Congress stated that "it is the purpose of this Act to seek the eradication of organized crime in the United States." Organized Crime Control Act of 1970, Pub. L. No. 91-452, § 1. To further this purpose, RICO lists a range of prohibited "racketeering activities,"
Rather than develop a new category of prohibited acts, RICO borrowed other provisions of the federal criminal law to define "racketeering activities."
Given the complete absence of direction on the subject of witness immunity, as well as the explicit decision to not include perjury within the definition of racketeering activities, we cannot conclude that RICO abrogated witness immunity. As Judge Nelson wrote for the Sixth Circuit,
Section 1983 was not intended to abolish this immunity and we have been given no reason to suppose that RICO was intended to abolish it either. It would be anomalous, we think, if officials who are immune from suit for alleged violations of the Constitution itself should be denied immunity from suit for alleged violations of a statute that does not incorporate the Constitution-particularly a statute as amorphous as RICO.
Cullinan v. Abramson
,
Appellants contend that the abrogation of common law immunities should turn on the question of whether the statute is civil, criminal, or, like RICO, a "civil-criminal hybrid." App. Br. 28. But the particular nature or structure of the assertedly abrogating statute matters not. The dispositive point remains congressional intent and whatever the civil or criminal or "hybrid" nature of the statute, that intent must be clear. The point is especially salient with an issue like witness immunity when witness participation is essential in both civil and criminal proceedings. Courts have routinely addressed the question of whether a statute displaced common law protections without any suggestion that the principles of displacement varied with the nature of the statute the court was interpreting.
See
Briscoe
,
Appellants argue, however, that RICO's cross-reference in
The appellants' view finally misrepresents the intersection between RICO and the common law. With witness immunity fully intact, racketeering activities under RICO can still include acts to improperly influence witnesses, tamper with evidence, or bribe public officials. To the extent individuals are harmed in their "business or property" by these acts,
see
IV.
We thank our friend and colleague for his dissenting opinion, and especially for its reminder of the contribution coal miners have made and continue to make in support of our nation's welfare. The implications of our colleague's position, however, travel far beyond the coal fields, and the dissent has failed to come to grips with any of them.
All one can glean from the dissent is a deep indifference to the Witness Litigation Privilege and a willingness to abrogate that privilege to a degree that no court has before. Certainly no standard for the application of the privilege is provided, other than some general notion that "given the nature of this civil RICO claim" the immunity does not apply "to this litigation." Diss. Op. at 783, 784. This approach leaves witnesses at sea, disregarding the Supreme Court's repeated admonition that immunities require some clarity of application to serve their intended function.
See
Mitchell v. Forsyth
,
The dissent only arrives at such a precarious position by misreading the Supreme Court's cases, erroneously finding both an instruction to apply witness immunity in an ad hoc manner and an invitation to conclude that witness immunity has been abrogated by the most imprecise and opaque of signals. As authority for its vague case-specific approach, the dissent relies on two cases where the Court actually
expanded
common law immunities, one to witness testimony before a grand jury,
Rehberg v. Paulk
,
The difficulties with our friend's position regrettably do not end there. As the dissent understands it, the fact that some broad crimes included in RICO's definition of "racketeering activities"-such as mail fraud, bribery, or obstruction of justice-could conceivably reach witness conduct shows that the immunity has been abrogated in civil suits. These broad statutes, just like the open-ended language of
Even more disappointingly, the dissent's openness to collateral proceedings against witnesses prevents it from acknowledging that witness immunity might just serve a useful purpose or that unleashing a civil RICO claim against witnesses in the absence of any clear congressional authorization might entail a variety of adverse consequences. In particular, the dissent fails to acknowledge the incentive that disconsolate losing parties would have to go after a prevailing party's witness; the added incentive for both collateral actions and "settlement suits" that RICO's treble damages provision might inspire,
see
Now it may well be that the above considerations would not persuade Congress in any dispute over the immunity's abrogation. But it should at least persuade us to await a clear expression of intent to abrogate longstanding common law that is wholly absent from the statute as presently written. As we have noted in some detail above,
supra
at 776-77, RICO's list of proscribed acts fails to cross-reference
perjury, nor may its other provisions be read to defeat witness immunity. Congress could of course amend the statute in a pen stroke to reference acts of perjury, but it has not to date done so and we cannot read into a statute what is manifestly just not there.
See
United States v. Locke
,
Rather than acknowledge the protection of the Witness Litigation Privilege, appellants and our dissenting colleague offer a competing theory of witness immunity, applicable only in some cases, only for some witnesses, and only for certain acts. If a plaintiff seeks damages for a claim other than defamation, or against an expert witness who appeared voluntarily, or based on allegations of deliberate wrongdoing, then the privilege could be overcome by every judge's independent notions of good policy.
The uncertainty of such an approach would sound the death knell of the privilege. The accumulated wisdom of so many generations of courts and jurists testifies to the value of protecting witnesses, without whom our legal proceedings would bear no more than faint resemblance to their former selves. This is not to say that every witness is the embodiment of perfect recall or integrity, but only that the alternative suggested by appellants to the existing remedies and sanctions for flawed testimony would be far worse.
V.
For the foregoing reasons, the judgment of the district court is
AFFIRMED.
I write separately to explain my disagreement with the panel majority's decision to affirm the dismissal of the complaint. My position is predicated on two primary propositions. First, the majority's treatment of the civil RICO claim is fatally flawed and lacks supporting authority. In my view, the RICO allegations are compelling and should go forward in the district court. The majority's decision will leave America's coal miners and their families with no civil remedy for the criminal activities of Dr. Wheeler and his racketeering partners. Put succinctly, the majority has - on an ultra-thin record - unnecessarily expanded the so-called witness litigation privilege (the doctrine of "absolute witness immunity"), and then misapplied its expanded immunity principles to affirm the dismissal of the civil RICO claim. Second, notwithstanding the reluctance of federal courts to expand state law, the majority has applied its broad view of absolute witness immunity to the state law claims in the complaint and endorsed their dismissal as well. In these circumstances, I must dissent.
A.
According to the complaint - which we must accept as true - the civil RICO racketeering scheme carried on by the defendants was both sophisticated and complex. 1 It included the following:
• Wheeler and his fellow racketeers obtained B-reader accreditations under federal law, demonstrating workable knowledge of the International Labour Organization ("ILO") classification system for radiology and an ability to accurately apply it; 2
• As B-readers, Wheeler and his coschemers knew they were obligated to interpret radiographs according to the ILO classification system;
• Wheeler and his partners in crime intentionally disregarded the ILO classification system for interpreting coal miners' radiographs for the federal black lung program, and they falsely attributed positive readings to other causes and diseases, instead of correctly reporting evidence of coal workers' pneumoconiosis ;
• Wheeler has admitted that, notwithstanding his obligation to apply the ILO classification system as a B-reader, he purposefully rejected and ignored that system;
• Wheeler has asserted that he does not "care about the law," and he does not think it was appropriate for coal miners to be paid benefits just "because [miners had] masses and nodules," see J.A. 21; 3
• In exchange for submitting their false and fraudulent expert opinions that miners' radiographs were negative for evidence of black lung disease - when those radiographs were actually positive - Wheeler and his racketeering associates were paid premium and excessive fees, that is, "significant sums in excess of standard x-ray review fees," see J.A. 34;
• Wheeler and his coconspirators used the mails to receive radiographs and to send their false and deceptive interpretations to various employer companies - including Peabody Energy and Eastern Associated Coal - their lawyers, and administrative adjudicators;
• Despite rendering and reporting roughly 1500 radiograph interpretations, Wheeler and his racketeering partners never identified the most serious and obvious form of black lung, called "complicated coal workers' pneumoconiosis," for any claimant, even when other expert physicians found complicated coal workers' pneumoconiosis in approximately 390 of those 1500 radiographs ; 4 and
• In at least 280 of those cases, Wheeler and his coconspirators successfully deceived the adjudicators into erroneously determining that claimant coal miners did not have coal workers' pneumoconiosis when they, in fact, had that disease. As a result, those diseased miners were denied statutory black lung benefits to which they were entitled. 5
B.
The panel majority has erroneously framed the RICO claim as seeking to "punish misleading statements" or "sanctio[n] flawed testimony." See ante 773, 780. That gloss, however, distorts what Wheeler and his fellow racketeers actually did. These defendants were actually engaged in a RICO scheme and conspiracy - carried out through a RICO enterprise - to provide false and fraudulent information to parties, their lawyers, and others involved in black lung proceedings. And that false evidence was always intended to be used to deprive sick coal miners and their families of their statutory benefits.
The panel majority's analysis of absolute witness immunity suffers from faulty assumptions and untethered generalities, resulting in at least two fatal errors. 6 First, their analysis assumes that absolute witness immunity applies to the civil RICO allegations. Second, overlooking the principles and purposes of a civil RICO cause of action - which include the deterrence of criminal fraud schemes that impede the fair and proper functioning of commercial and governmental entities - the majority erroneously concludes that the RICO statutes do not abrogate the doctrine of absolute witness immunity in the context of this RICO claim.
1.
The panel majority's decision rests upon an overly expansive definition of absolute witness immunity. To support their broad definition, their opinion relies on several decisions that address civil rights claims under
Thirty-five years ago, in
Briscoe
, the Supreme Court confined its application of absolute witness immunity to claims being pursued under § 1983. The Court emphasized that "[t]he availability of a common-law action ... is inapposite because [the plaintiffs] present only the question of § 1983 liability for false testimony during a state court criminal trial."
See
Briscoe
,
Just six years ago, in
Rehberg v. Paulk
, the Supreme Court clarified its
Briscoe
rulings and emphasized that, at common law, absolute witness immunity applied only to defamation claims arising from testimony in judicial proceedings.
See
At common law, trial witnesses enjoyed a limited form of absolute immunity for statements made in the course of a judicial proceeding: They had complete immunity against slander and libel claims, even if it was alleged that the statements in question were maliciously false.
See
id
. The
Rehberg
Court contrasted the common law construction of absolute witness immunity with
Briscoe
's expansion of such immunity in the context of § 1983 claims. The Court explained that "
Briscoe
... held that the immunity of a trial witness sued under § 1983 is broader [than at common law]: In such a case, a trial witness has absolute immunity with respect to
any
claim based on the witness' testimony."
See
Given the nature of this civil RICO claim, the doctrine of absolute witness immunity simply does not apply. In other words, the RICO claim is not a claim precluded by such immunity. It arises from a series of fraudulent activities in furtherance of a sophisticated plan to deprive our nation's diseased coal miners - and their families - of the black lung benefits to which they are entitled. Of great importance, the majority has not referenced any precedent of this Court or the Supreme Court that has applied absolute witness immunity against civil RICO liability. Without tethering its view of absolute witness immunity to some controlling precedent, the majority has erroneously expanded that doctrine.
In so ruling, the majority expresses its concern that, if the plaintiffs are allowed to pursue the RICO claim, that effort will somehow result in improper "gamesmanship," with plaintiffs escaping an application of absolute witness immunity by alleging claims that do "not take the precise form of a defamation action." See ante 775. They are simply wrong in this regard. The plaintiffs' RICO claim is not some disguised and artfully pleaded attempt to litigate defamatory conduct under a different name. The RICO claim simply seeks a remedy for a statutorily outlawed fraudulent course of racketeering activity.
Specifically, the plaintiffs' RICO claim concerns Wheeler's and his coconspirators' acts of mail fraud and obstruction of justice that occurred prior to the submission of their false reports to black lung adjudicators. Even courts that have applied the more expansive principles of absolute witness immunity to § 1983 actions have recognized that such immunity does not "relate backwards" to non-testimonial acts occurring prior to testimony.
See
Spurlock v. Satterfield
,
Moreover, the rationale for according absolute witness immunity to defamatory statements does not apply to the racketeering activities - mail fraud and obstruction of justice - underpinning this civil RICO claim. Although exposing witnesses to defamation claims might cause them to be reluctant to testify (for fear of liability) or to distort testimony when they do, those concerns are not applicable here.
See
Briscoe
,
Despite the inapplicability of the rationale underlying absolute witness immunity to this litigation, the panel majority also asserts that permitting the RICO claim to go forward would "undermine the truth-seeking function" of adjudicative bodies. See ante 773. I am unable to fathom how the conspiratorial use of false and fraudulent expert reports - intended to mislead coal miners, coal companies, lawyers, and adjudicative bodies - can in any way contribute to the "truth-seeking function" of the adversarial process. Contrary to the majority's contention that permitting the RICO claim to proceed would distort the evidentiary process, it was Wheeler and his fellow racketeers who purposefully supplied falsehoods and misrepresentations about medical records in a concerted and repugnant effort to skew the adjudicatory outcomes of claims lodged by hundreds of coal miner victims. Those distortions should neither be sanctioned nor encouraged by the courts. Just as muddy water does not become clear with the addition of more dirt, adjudicatory proceedings to determine the truth will never be aided by the addition of intentional falsehoods and deceptions.
In 1991, the Supreme Court directly instructed the courts to "sparing[ly]" apply the doctrine of absolute immunity.
See
Burns
,
2.
The panel majority also mistakenly concludes that the RICO statutes do not abrogate the doctrine of absolute witness immunity in this setting. To suggest that Congress did not intend to abrogate such immunity in the RICO context, however, ignores both the text and purposes of the RICO statutes. First of all, RICO broadly punishes false statements given under oath.
See
Second, the panel majority's broad interpretation and application of absolute witness immunity contradicts and undermines Congress's desire to punish those involved in racketeering activities. The plaintiffs predicate this civil RICO claim upon, inter alia, multiple acts of mail fraud and obstruction of justice.
9
Congress has specifically provided that "any act which is indictable under ... section 1341 (relating to mail fraud)" constitutes racketeering activity.
See
In addition to undermining the statutory text, the panel majority misapprehends the strong and compelling public interest supporting the use of a civil RICO claim in the federal courts. The majority contends that the prospect of a perjury prosecution will deter witnesses from knowingly making false statements. They also say that, because RICO does not reference the perjury statute, Congress neither intended for RICO to cover false testimony nor explicitly abrogated the doctrine of absolute witness immunity. But Congress created the civil RICO cause of action to provide aggrieved individuals - like these diseased and deceased miners and their suffering families - with a civil remedy for racketeering activities.
See
Sedima, S.P.R.L. v. Imrex Co.
,
When a RICO scheme involves statutorily prohibited racketeering activities, the fact that the scheme includes the use of perjury does not serve as a bar to civil RICO relief.
See
Town of Kearny v. Hudson Meadows Urban Renewal Corp.
,
Nevertheless, where, as here, a fraudulent scheme falls within the scope of the federal mail fraud statute and the other elements of RICO are established, use of the mail fraud offense as a RICO predicate act cannot be suspended simply because perjury is part of the means for perpetrating the fraud . We do not doubt that where a series of related state court perjuries occurs, it will often be possible to allege and prove both a scheme to defraud within the meaning of the mail fraud statute as well as the elements of a RICO violation.
See
Eisen
,
Instead of permitting Wheeler and his racketeering partners to jump through an absolute immunity loophole, the RICO statutes render them civilly accountable for racketeering activities committed in furtherance of the civil RICO claim. The fact that the RICO claim involves false and fraudulent opinions and reports from Wheeler and his partners in crime does not entitle them to escape liability for using their expertise to prevent our hardworking coal miners from receiving black lung benefits that they are legally due. By barring the plaintiffs from pursuing their civil RICO claim, my good colleagues of the panel majority frustrate the proper use of the RICO statutes in civil proceedings such as this, and undermine the mandate "to serve the greater public interest" and the due administration of justice.
C.
The panel majority is also wrong with respect to the plaintiffs' state law claims. The majority presupposes that it is within our province to expand Maryland state law immunity principles to bar those claims as well. It is entirely inappropriate, however, for us to do that.
11
See
Washington v. Union Carbide Corp.
,
In any event, the panel majority has failed to properly analyze and apply the controlling Maryland legal principles. The Maryland courts are obliged to determine whether absolute witness immunity applies to testimony in administrative proceedings "on a case-by-case basis."
See
Offen v. Brenner
,
D.
Pursuant to the foregoing, I would vacate the district court's dismissal of the complaint, reinstate its five alleged claims, and remand for such other and further proceedings as may be appropriate. 12
I therefore respectfully dissent.
In reviewing a dismissal under Federal Rule of Civil Procedure 12(b)(6), we accept the complaint's factual allegations as true and draw all reasonable inferences in favor of the plaintiffs.
See
Singer v. Reali
,
Under the applicable regulations, a certified B-reader designation "means that the physician has demonstrated ongoing proficiency in evaluating chest radiographs... in the use of the ILO classification for interpreting chest radiographs for pneumoconiosis and other diseases."
See
Citations herein to "J.A. ----" refer to the contents of the Joint Appendix filed by the parties in this appeal.
The complaint incorporates a report from the Center for Public Integrity, which explains that Wheeler and his coconspirators were patently incorrect about the absence of complicated coal workers' pneumoconiosis disease in nearly thirty percent of the cases they reviewed. See Chris Hamby et al., Johns Hopkins Medical Unit Rarely Finds Black Lung, Helping Coal Industry Defeat Miners' Claims , The Center for Public Integrity (Oct. 30, 2013).
By their complaint, the plaintiffs seek to pursue a nationwide putative class action on behalf of all those "whose radiography were reviewed by Defendants, and were denied or lost [black lung ] benefits." See J.A. 27.
The courts have historically utilized several nomenclatures to describe the form of immunity accorded certain witnesses for their testimony. Although the majority generally refers to such immunity as the "witness litigation privilege," that term is a poor fit here. Under the complaint, Wheeler and his coconspirators have never been witnesses in anything. Indeed, they have never presented their false and fraudulent opinions from the witness stand in any courts or adjudicative proceedings. Nevertheless, I prefer the terminology used by the Supreme Court, that is, "absolute witness immunity."
See
Briscoe v. LaHue
,
My friends unfortunately mischaracterize my position - that absolute witness immunity does not apply here - as having "no standard." See ante 778. As they seek to explain it, my position is predicated on "some general notion" about the civil RICO claim that results in a "vague case-specific approach." See id . To the contrary, the standard I espouse is quite simple: If criminals participate in a scheme to create false and fraudulent expert witness reports intended to deceive an adjudicative body, and if they engage in racketeering activities to further that fraud scheme, they will not be shielded by the doctrine of absolute witness immunity. In other words, those schemers are not legitimate expert witnesses. They are simply criminals posing as expert witnesses, and in that circumstance are not entitled to absolute immunity. To allay any concern about this standard, lawyers hiring expert witnesses - including lawyers opposing black lung claimants - need only instruct their prospective experts not to violate the law.
Unfortunately, the panel majority has today expanded absolute witness immunity to an entirely new class of recipients - those expert witnesses who write false reports, but who never actually testify in any courts or adjudicative proceedings. This new class (Continued) of absolutely immune experts, however, today joins those public officials who have traditionally and properly been accorded absolute immunity by our judicial system, that is, legislators, judges, prosecutors, and the President. And those public officials are only protected by absolute immunity in those circumstances where they perform their official duties. Unlike the absolute immunity protecting such public officials, today's unwarranted extension of absolute immunity to criminal fraud schemes committed by so-called expert witnesses in no way "serve[s] the greater public interest."
See
Mangold
,
RICO requires the plaintiff to prove, inter alia, "a pattern of racketeering activity," which must include "at least two acts of racketeering activity," occurring within ten years of each other.
See
The majority's application of absolute witness immunity likewise subverts other provisions of RICO. RICO prohibits receiving and accepting bribes for the purpose of influencing sworn testimony.
See
If we were to remand the state law claims, the district court would be entitled to certify an unresolved controlling question to the high court of Maryland regarding the applicability of absolute witness immunity to the state law claims. See Md. Code Ann., Courts and Judicial Proceedings, § 12-603 (permitting Court of Appeals of Maryland to answer "a question of law certified to it by a court of the United States").
If we remanded, I recognize that there would likely be issues presented - heretofore raised but not addressed by the district court - regarding the legal sufficiency of the RICO claim. Those issues need not be decided in this appeal, but should be confronted and resolved by the district court in the first instance.
Reference
- Full Case Name
- Michael S. DAY, Jr., as Personal Representative and Administrator of the Estate of Michael S. Day, Sr. and on Behalf of All Others Similarly Situated; Christi Ann Jordan Jarrett, as Personal Representative and Administrator of the Estate of Junior McCoy Barr and on Behalf of All Others Similarly Situated, Plaintiffs - Appellants, v. JOHNS HOPKINS HEALTH SYSTEM CORPORATION, D/B/A the Johns Hopkins Hospital; The Johns Hopkins Hospital, Inc., D/B/A the Johns Hopkins Hospital; Johns Hopkins Imaging, LLC ; The Johns Hopkins University, D/B/A Johns Hopkins Hospital; Paul Wheeler, MD, Defendants - Appellees. National Black Lung Association, Amicus Supporting Appellant.
- Cited By
- 13 cases
- Status
- Published