Butz v. Economou

438 U.S. 478, 98 S. Ct. 2894, 57 L. Ed. 2d 895, 1978 U.S. LEXIS 132
CourtSupreme Court of the United States
DecidedJune 29, 1978
Docket76-709
StatusPublished
Cited by3,380 cases

This text of 438 U.S. 478 (Butz v. Economou) is published on Counsel Stack Legal Research, covering Supreme Court of the United States primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Butz v. Economou, 438 U.S. 478, 98 S. Ct. 2894, 57 L. Ed. 2d 895, 1978 U.S. LEXIS 132 (1978).

Opinions

Me. Justice White

delivered the opinion of the Court.

This case concerns the personal immunity of federal officials in the Executive Branch from claims for damages arising from their violations of citizens’ constitutional rights. Respondent1 filed suit against a number of officials in the Department of Agriculture claiming that they had instituted an investigation and an administrative proceeding against him in retaliation for his criticism of that agency. The District Court dismissed the action on the ground that the individual defendants, as federal officials, were entitled to absolute immunity for all discretionary acts within the scope of their authority. The Court of Appeals reversed, holding that the defendants were entitled only to the qualified immunity available to their counterparts in state government. Economou v. U. S. Department of Agriculture, 535 F. 2d 688 (1976). Because of [481]*481the importance of immunity doctrine to both the vindication of constitutional guarantees and the effective functioning of government, we granted certiorari. 429 U. S. 1089.

I

Respondent controls Arthur N. Economou and Co., Inc., which was at one time registered with the Department of Agriculture as a commodity futures commission merchant. Most of respondent’s factual allegations in this lawsuit focus on an earlier administrative proceeding in which the Department of Agriculture sought to revoke or suspend the company’s registration. On February 19, 1970, following an audit, the Department of Agriculture issued an administrative complaint alleging that respondent, while a registered merchant, had willfully failed to maintain the minimum financial requirements prescribed by the Department. After another audit, an amended complaint was issued on June 22, 1970. A hearing was held before the Chief Hearing Examiner of the Department, who filed a recommendation sustaining the administrative complaint. The Judicial Officer of the Department, to whom the Secretary had delegated his decisional authority in enforcement proceedings, affirmed the Chief Hearing Examiner’s decision. On respondent’s petition for review, the Court of Appeals for the Second Circuit vacated the order of the Judicial Officer. It reasoned that “the essential finding of willfulness . . . was made in a proceeding instituted without the eustomary warning letter, which the Judicial Officer conceded might well have resulted in prompt correction of the claimed insufficiencies.” Economou v. U. S. Department of Agriculture, 494 F. 2d 519 (1974).

While the administrative complaint was pending before the Judicial Officer, respondent filed this lawsuit in Federal District Court. Respondent sought initially to enjoin the progress of the administrative proceeding, but he was unsuccessful in that regard. On March 31, 1975, respondent filed a second [482]*482amended complaint seeking damages. Named as defendants were the individuals who had served as Secretary and Assistant Secretary of Agriculture during the relevant events; the Judicial Officer and Chief Hearing Examiner; several officials in the Commodity Exchange Authority;2 the Agriculture Department attorney who had prosecuted the enforcement proceeding; and several of the auditors who had investigated respondent or were witnesses against respondent.3

The complaint stated that prior to the issuance of the administrative complaints respondent had been “sharply critical of the staff and operations of Defendants and carried on a vociferous campaign for the reform of Defendant Commodity Exchange Authority to obtain more effective regulation of commodity trading.” App. 157-158. The complaint also stated that, some time prior to the issuance of the February 19 complaint, respondent and his company had ceased to engage in activities regulated by the defendants. The complaint charged that each of the administrative complaints had' been issued without the notice or warning required by law; that the defendants had furnished the complaints “to interested persons and others without furnishing respondent's answers as well”; and that following the issuance of the amended complaint, the defendants had issued a “deceptive” press release that “falsely indicated to the public that [respondent’s] financial resources had deteriorated, when Defendants knew that their statement was untrue and so acknowledge [d] previously that said assertion was untrue.” Ibid.4

The complaint then presented 10 “causes of action,” some [483]*483of which purported to state claims for damages under the United States Constitution. For example, the first “cause of action” alleged that respondent had been denied due process of law because the defendants had instituted unauthorized proceedings against him without proper notice and with the knowledge that respondent was no longer subject to their regulatory jurisdiction. The third “cause of action” stated that by means of such actions “the Defendants discouraged and chilled the campaign of criticism [plaintiff] directed against them, and thereby deprived the [plaintiff] of [his] rights to free expression guaranteed by the First Amendment of the United States Constitution.” 5

The defendants moved to dismiss the complaint on the ground that “as to the individual defendants it is barred by the doctrine of official immunity . . . .” Id., at 163. The defendants relied on an affidavit submitted earlier in the litigation by the attorney who had prosecuted the original administrative complaint against respondent. He stated that the Secretary of Agriculture had had no involvement with the case and that each of the other named defendants had acted “within the course of his official duties.” Id., at 142-149.

The District Court, apparently relying on the plurality opinion in Barr v. Matteo, 360 U. S. 564 (1959), held that the individual defendants would be entitled to immunity if they could show that “their alleged unconstitutional acts were [484]*484within the outer perimeter of their authority and discretionary.” App. to Pet. for Cert. 25a. After examining the nature of the acts alleged in the complaint, the District Court concluded: “Since the individual defendants have shown that their alleged unconstitutional acts were both within the scope of their authority and discretionary, we dismiss the second amended complaint as to them.” 6 Id., at 28a.

The Court of Appeals for the Second Circuit reversed the District Court’s judgment of dismissal with respect to the individual defendants. Economou v. U. S. Department of Agriculture, 535 F. 2d 688 (1976). The Court of Appeals reasoned that Barr v. Matteo, supra, did not “represen [t] the last word in this evolving area,” 535 F. 2d, at 691, because principles governing the immunity of officials of the Executive Branch had been elucidated in later decisions dealing with constitutional claims against state officials. E. g., Pierson v. Ray, 386 U. S. 547 (1967); Scheuer v. Rhodes, 416 U. S. 232 (1974); Wood v. Strickland, 420 U. S. 308 (1975). These opinions were understood to establish that officials of the Executive Branch exercising discretionary functions did not need the protection of an absolute immunity from suit, but only a qualified immunity based on good faith and reasonable grounds.

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Bluebook (online)
438 U.S. 478, 98 S. Ct. 2894, 57 L. Ed. 2d 895, 1978 U.S. LEXIS 132, Counsel Stack Legal Research, https://law.counselstack.com/opinion/butz-v-economou-scotus-1978.