EDMONDSON, Circuit Judge:
The issue in this interlocutory appeal is whether certain Alabama officials are entitled to qualified immunity for their acts involving the Holyland, a religious community. Because Plaintiffs have failed to demonstrate that a defendant violated clearly established federal law, we reverse and instruct the district court to grant each individual defendant summary judgment based on qualified immunity. We remand for further proceedings on claims which are not foreclosed by the granting of qualified immunity.
I. Facts
The Foys and the Granthams are married couples with minor children who belong to Christ Temple Church and live in “The Holy-land” — property in Sumter County, Alabama, which the Church owns. When the Toy’s daughter, Teresa, was 15 she became friends with Angela Smith, an adult who lived and worked at the Holyland. Teresa’s school work and overall comportment deteriorated, and she eventually ran away from home. After three days living outside the Holyland at Angela’s aunt’s house, Teresa returned to her family.
Upon her return, Teresa was spanked with a belt by her father; her arm was bruised when she dropped her hands to cover her rear. About a week later, Teresa ran away again — this time accompanied by another Holyland youth, Monica Sandifer. After spending the first night away at a house close to the Holyland, the two went to Angela’s aunt’s house. Angela told her aunt to send the girls to an abandoned store. The Sumter County Department of Human Resources (“DHR”) received a tip that two teenagers who had run away from the Holy-land were at the store.
DHR employees (and defendants below) Iola Williams and Charlotte Boatright went to the store and picked up the two girls. The girls said they had run away from the Holyland; Teresa, who was crying, told Defendants that she had been hit by her father with a belt — she also displayed the bruises on her arm. Monica described being pinched on her breast by a Holyland staffer. The girls alleged other children — naming specifically the Grantham children — were also abused at the Holyland.
Teresa told Defendants that she did not want to see her parents or return to the Holyland; she did not want to have her parents contacted. Monica asked Defendants to call her mother who lived in Missis
sippi. Williams told Teresa that her parents had to be contacted because of the abuse allegations and to tell them that their daughter was safe. Williams called the Holyland but was told that the Foys were not in. Williams left her name and phone number so that the Foys could call.
Teresa and Monica were taken by Williams to a medical doctor for a physical exam. The doctor reported that Teresa told him that she did not want to go back to the Holyland. In addition, Teresa said she would kill herself if she had to go back. The doctor also said he observed the bruises on Teresa’s arm and said' that he observed marks on Monica’s breast.
Teresa was placed in foster care. About 10 days after Teresa was picked up, a “72-hour hearing” was held before Judge Harda-way. (Judge Hardaway had signed a “pickup” order for Teresa the day before.) Defendant Williams, herself, was notified of the 30 April hearing on 29 April. She called the Holyland to notify Teresa’s parents. Teresa’s mother attended the hearing with an appointed lawyer. At the hearing, Teresa testified and also talked with Judge Harda-way privately; she informed Judge Harda-way that she did not wish to return to the Holyland and said she did not want to have contact with her parents. Teresa’s mother was not allowed to talk to Teresa before or during the hearing. Just over a week later, the Juvenile Court held another hearing; and the court gave temporary custody of Teresa to DHR.
Monica was picked up by her mother; but Teresa remained in foster care. While in foster care, Teresa was permitted telephone contact with her mother. Defendants Boat-right and Williams called Teresa on the phone and also drove Teresa to counseling sessions. In her later deposition, Teresa testified that Defendants Boatright and Williams (as well as another DHR worker, Ms. Widemon) were supportive and told her that things were going to be all right. Initially, the Foys had little contact with their daughter; but Teresa eventually decided that she wanted to see her mother, and DHR employees set up meetings between the two. In August 1993, Teresa returned to her parents.
Meanwhile, DHR, filed a June 1993 petition (called the “Grantham ease”) in Juvenile Court seeking to investigate allegations that 17 children living in the Holyland had been abused. In October, a court ordered the children to be produced; and DHR conducted videotaped interviews with the children. By November 1993, the interviews were completed and soon thereafter DHR moved to dismiss the Grantham case.
In December 1993, Defendant Hornsby, Commissioner of the Department of Human Resources, conducted a multi-agency meeting about the Holyland. State and County officials discussed the Holyland’s sewage system, a fire on the Holyland’s grounds, the application of child labor laws to the Holy-land, and reports of child abuse. The different agencies discussed their contacts with and responsibilities for the Holyland. The agencies also prepared memoranda about the concerns raised at the meeting. The record does not show that this meeting spurred acts by state officials directed against the Holy-land or its residents.
Plaintiffs sued various state officials connected with DHR under section 1983. Plaintiffs alleged that the state official defendants were prejudiced against the Holyland and its residents and had denied them the rights “of Freedom of Religion and the free exercise of their religion and their right to freedom of association and freedom of speech as guaranteed under the Constitution of the United States.” Plaintiffs also alleged equal protection violations. Defendants moved for summary judgment based on qualified immunity, but the district court denied this motion. Defendants took this interlocutory appeal.
II. Discussion
Claims for money damages against government officials in their individual capacity involve substantial costs not only for the individual official — who incidentally may be innocent — but for society in general. “These social costs include the expenses of litigation, the diversion of official energy from pressing public issues, and the deterrence of able citizens from acceptance of public office. Finally, there is the danger that fear of being sued will ‘dampen the ardor of all but the most resolute, or the most irresponsible [public officials], in the unflinching discharge of their duties.’ ”
Harlow v. Fitzgerald,
457 U.S. 800, 814, 102 S.Ct. 2727, 2736, 73 L.Ed.2d 396 (1982) (citations omitted).
The qualified immunity defense is the public servant’s (and society’s) strong shield against these dangerous costs.
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EDMONDSON, Circuit Judge:
The issue in this interlocutory appeal is whether certain Alabama officials are entitled to qualified immunity for their acts involving the Holyland, a religious community. Because Plaintiffs have failed to demonstrate that a defendant violated clearly established federal law, we reverse and instruct the district court to grant each individual defendant summary judgment based on qualified immunity. We remand for further proceedings on claims which are not foreclosed by the granting of qualified immunity.
I. Facts
The Foys and the Granthams are married couples with minor children who belong to Christ Temple Church and live in “The Holy-land” — property in Sumter County, Alabama, which the Church owns. When the Toy’s daughter, Teresa, was 15 she became friends with Angela Smith, an adult who lived and worked at the Holyland. Teresa’s school work and overall comportment deteriorated, and she eventually ran away from home. After three days living outside the Holyland at Angela’s aunt’s house, Teresa returned to her family.
Upon her return, Teresa was spanked with a belt by her father; her arm was bruised when she dropped her hands to cover her rear. About a week later, Teresa ran away again — this time accompanied by another Holyland youth, Monica Sandifer. After spending the first night away at a house close to the Holyland, the two went to Angela’s aunt’s house. Angela told her aunt to send the girls to an abandoned store. The Sumter County Department of Human Resources (“DHR”) received a tip that two teenagers who had run away from the Holy-land were at the store.
DHR employees (and defendants below) Iola Williams and Charlotte Boatright went to the store and picked up the two girls. The girls said they had run away from the Holyland; Teresa, who was crying, told Defendants that she had been hit by her father with a belt — she also displayed the bruises on her arm. Monica described being pinched on her breast by a Holyland staffer. The girls alleged other children — naming specifically the Grantham children — were also abused at the Holyland.
Teresa told Defendants that she did not want to see her parents or return to the Holyland; she did not want to have her parents contacted. Monica asked Defendants to call her mother who lived in Missis
sippi. Williams told Teresa that her parents had to be contacted because of the abuse allegations and to tell them that their daughter was safe. Williams called the Holyland but was told that the Foys were not in. Williams left her name and phone number so that the Foys could call.
Teresa and Monica were taken by Williams to a medical doctor for a physical exam. The doctor reported that Teresa told him that she did not want to go back to the Holyland. In addition, Teresa said she would kill herself if she had to go back. The doctor also said he observed the bruises on Teresa’s arm and said' that he observed marks on Monica’s breast.
Teresa was placed in foster care. About 10 days after Teresa was picked up, a “72-hour hearing” was held before Judge Harda-way. (Judge Hardaway had signed a “pickup” order for Teresa the day before.) Defendant Williams, herself, was notified of the 30 April hearing on 29 April. She called the Holyland to notify Teresa’s parents. Teresa’s mother attended the hearing with an appointed lawyer. At the hearing, Teresa testified and also talked with Judge Harda-way privately; she informed Judge Harda-way that she did not wish to return to the Holyland and said she did not want to have contact with her parents. Teresa’s mother was not allowed to talk to Teresa before or during the hearing. Just over a week later, the Juvenile Court held another hearing; and the court gave temporary custody of Teresa to DHR.
Monica was picked up by her mother; but Teresa remained in foster care. While in foster care, Teresa was permitted telephone contact with her mother. Defendants Boat-right and Williams called Teresa on the phone and also drove Teresa to counseling sessions. In her later deposition, Teresa testified that Defendants Boatright and Williams (as well as another DHR worker, Ms. Widemon) were supportive and told her that things were going to be all right. Initially, the Foys had little contact with their daughter; but Teresa eventually decided that she wanted to see her mother, and DHR employees set up meetings between the two. In August 1993, Teresa returned to her parents.
Meanwhile, DHR, filed a June 1993 petition (called the “Grantham ease”) in Juvenile Court seeking to investigate allegations that 17 children living in the Holyland had been abused. In October, a court ordered the children to be produced; and DHR conducted videotaped interviews with the children. By November 1993, the interviews were completed and soon thereafter DHR moved to dismiss the Grantham case.
In December 1993, Defendant Hornsby, Commissioner of the Department of Human Resources, conducted a multi-agency meeting about the Holyland. State and County officials discussed the Holyland’s sewage system, a fire on the Holyland’s grounds, the application of child labor laws to the Holy-land, and reports of child abuse. The different agencies discussed their contacts with and responsibilities for the Holyland. The agencies also prepared memoranda about the concerns raised at the meeting. The record does not show that this meeting spurred acts by state officials directed against the Holy-land or its residents.
Plaintiffs sued various state officials connected with DHR under section 1983. Plaintiffs alleged that the state official defendants were prejudiced against the Holyland and its residents and had denied them the rights “of Freedom of Religion and the free exercise of their religion and their right to freedom of association and freedom of speech as guaranteed under the Constitution of the United States.” Plaintiffs also alleged equal protection violations. Defendants moved for summary judgment based on qualified immunity, but the district court denied this motion. Defendants took this interlocutory appeal.
II. Discussion
Claims for money damages against government officials in their individual capacity involve substantial costs not only for the individual official — who incidentally may be innocent — but for society in general. “These social costs include the expenses of litigation, the diversion of official energy from pressing public issues, and the deterrence of able citizens from acceptance of public office. Finally, there is the danger that fear of being sued will ‘dampen the ardor of all but the most resolute, or the most irresponsible [public officials], in the unflinching discharge of their duties.’ ”
Harlow v. Fitzgerald,
457 U.S. 800, 814, 102 S.Ct. 2727, 2736, 73 L.Ed.2d 396 (1982) (citations omitted).
The qualified immunity defense is the public servant’s (and society’s) strong shield against these dangerous costs. Qualified immunity protects government officials performing discretionary functions from civil trials (and the other burdens of litigation, including discovery) and from liability if their conduct violates no clearly established statutory or constitutional rights of which a reasonable person would have known.
Harlow,
457 U.S. at 817-19, 102 S.Ct. at 2738. According to the Supreme Court, the
Harlow
standard “purged qualified immunity doctrine of its subjective components,”
Mitchell v. Forsyth,
472 U.S. 511, 517, 105 S.Ct. 2806, 2810, 86 L.Ed.2d 411 (1985), and “rejected the inquiry into state of mind in favor of a wholly objective standard,”
Davis v. Scherer,
468 U.S. 183, 191, 104 S.Ct. 3012, 3017, 82 L.Ed.2d 139 (1984). As the Supreme Court has written just this year, “Harlow adopted this criterion of ‘objective legal reasonableness,’ rather than good faith, precisely in order to ‘permit the defeat of insubstantial claims without resort to trial.’ ”
Behrens v. Pelletier,
— U.S. -, -, 116 S.Ct. 834, 838, 133 L.Ed.2d 773 (1996) (citations omitted). “Objective legal reasonableness is the touchstone.”
Lassiter v. Alabama A & M Univ.,
28 F.3d 1146, 1150 (11th Cir.1994) (en banc).
Once the qualified immunity defense is raised, plaintiffs bear the burden of showing that the federal rights allegedly violated were clearly established.
See Barts v. Joyner,
865 F.2d 1187, 1190 (11th Cir.1989) (citing
Mitchell,
472 U.S. at 526-28, 105 S.Ct. at 2816). This burden is not easily discharged: “That qualified immunity protects government actors is the usual rule; only in exceptional cases will government actors have no shield against claims made against them in their
individual capacities.” Lassiter,
28 F.3d at 1149. Plaintiffs cannot carry their burden of proving the law to be clearly established by stating constitutional rights in general terms.
Dartland v. Metropolitan Dade County,
866 F.2d 1321, 1323 (11th Cir.1989). We conclude from our review of Plaintiffs’ pleadings, briefs, and the record that they have asserted two kinds of constitutional claims which require discussion: family privacy and discrimination on the basis of religion.
A. Discrimination
As we understand it, Plaintiffs say that placing (and keeping) Teresa in foster care, interviewing the children in the Grant-ham case, and holding the multi-departmental meeting of state officials violated their constitutional rights because Defendants acted as they did out of a hostility toward the religious teachings of the Christ Temple Church. Because Plaintiffs argue that their First Amendment and equal protection rights have been violated by disparate treatment on the basis of religion, discriminatory purpose is something which Plaintiffs must prove to prevail.
See General Bldg. Contractors Ass’n v. Pennsylvania,
458 U.S. 375, 390-92, 102 S.Ct. 3141, 3150, 73 L.Ed.2d 835 (1982) (observing that Equal Protection clause can be violated only by “purposeful discrimination”);
see also Church of Scientology v. City of Clearwater,
2 F.3d 1514, 1525 (11th Cir.1993) (“Religious groups and their members that are singled out for discriminatory government treatment ... have standing to seek redress in federal courts”);
Jones v. White,
992 F.2d 1548, 1573 (11th Cir.1993) (“To prevail on an equal protection claim that a facially neutral statute is being applied unequally, purposeful discrimination must be shown”) (quotation marks omitted).
Defendants’ first response to this charge is that the record supports no finding of discriminatory intent. But, we accept that Plaintiffs have presented a triable issue of fact on whether Defendants were motivated by a hostility toward the religion at the Holyland. In addition, we, for now, resolve this disputed issue by making an assumption in Plaintiffs’ favor. So, the question becomes whether this assumption — that is, Defendants’ acts were motivated some by prejudice against Plaintiffs’ religion — is a bar to immunity.
Sometimes a plaintiff has avoided summary judgment based on qualified immunity when an issue of fact existed about whether the defendants acted with subjective discriminatory intent where discriminatory intent was an element of the constitutional tort.
See, e.g., McMillian v. Johnson,
88 F.3d 1554 (11th Cir.1996);
Ratliff v. DeKalb County,
62 F.3d 338 (11th Cir.1995). Immunity (at the summary judgment stage) was denied despite Harlow’s admonition that qualified immunity requires not a subjective inquiry, but an objective inquiry. Our former decisions, however, must not be understood to rule out qualified immunity wherever discriminatory intent appears in the summary judgment record even if discriminatory intent is an element of the underlying constitutional tort.
Qualified immunity is too important a right of public servants and too important a public policy to be nullified so easily. The Supreme
Court has not instructed us to drop qualified immunity (with its test of objective reasonableness) from cases in which discriminatoiy intent is an element of the underlying tort.
Cf. Anderson v. Creighton,
483 U.S. 635, 645-46, 107 S.Ct. 3034, 3042, 97 L.Ed.2d 523 (1987)
(“Harlow
clearly expressed the understanding that the general principle of qualified immunity it established would be applied ‘across the board.’ ”). So, whenever a public officer is sued for money damages in his individual capacity for violating federal law, the basic qualified immunity question looms unchanged: Could a reasonable officer have believed that what the defendant did might be lawful in the circumstances and in the light of the clearly established law?
When public officials do their jobs, it is a good thing. Qualified immunity is a real-world doctrine designed to allow local officials to act (without always erring on the side of caution) when action is required to discharge the duties of public office.
See Davis v. Scherer,
468 U.S. 183, 196, 104 S.Ct. 3012, 3020, 82 L.Ed.2d 139 (1984) (“[Ojfficials should not always err on the side of caution.”). For many public servants, a failure to act can have severe consequences for the citizenry. For example, if child welfare officials fail to act, the death or serious permanent injury of a child could be the result.
As we decide this ease, we cannot forget the purpose of qualified immunity. The qualified immunity defense functions to prevent public officials from being intimidated— by the threat of lawsuits which jeopardize the official and his family’s welfare personally — from doing their jobs. Qualified immunity can be a muscular doctrine that impacts on the reality of the workaday world as long as judges remember that the central idea is this pragmatic one: officials can act without fear of harassing litigation only when they can reasonably
anticipate
— before they act or do not
act
— if
their
conduct will give rise to damage liability for them.
Davis,
468 U.S. at 195, 104 S.Ct. at 3019-20. If objective observers cannot predict — at the time the official acts — whether the act was lawful or not, and the answer must await full adjudication in a district court years in the future, the official deserves immunity from liability for civil damages.
See Elder v. Holloway,
510 U.S. 510, 513-15, 114 S.Ct. 1019, 1022, 127 L.Ed.2d 344 (1994). This lesson is at the heart of the rule of qualified immunity.
That state officials can act lawfully even when motivated by a dislike or hostility to certain protected behavior by a citizen is well established.
See Mt. Healthy v. Doyle,
429 U.S. 274, 97 S.Ct. 568, 50 L.Ed.2d 471 (1979). That state officials can be motivated, in part, by a dislike or hostility toward a certain protected class to which a citizen belongs and still act lawfully is likewise well established.
See Vil. of Arlington Hts. v. Metro. Housing Dev.,
429 U.S. 252, 269-71, 97 S.Ct. 555, 566 n. 21, 50 L.Ed.2d 450 (1977). For example, state officials act lawfully despite having discriminatory intent, where the record shows they would have acted as they, in fact, did act even if they had lacked discriminatory intent.
Mt. Healthy,
429 U.S. at 286-87, 97 S.Ct. at 576.
The
Mt. Healthy
doctrine is part of the law and, when the concept is presented by a defendant’s argument, must not be overlooked in the qualified immunity analysis.
Where discriminatory intent is an element of the tort and the summary judgment record seems to show that discriminatory intent might have played a part in the state official’s acts, the existence of the
Mt. Healthy
doctrine complicates and, therefore, can cloud the question of whether the official acted lawfully or unlawfully in the circumstances. This cloud, in turn, raises the possibility that even conduct which might ultimately be found to be unlawful was objectively reasonable when it was done.
One trigger to the doctrine’s application depends upon whether the record establishes that the defendant, in fact, did possess a substantial lawful motive for acting as he did act. At least when an adequate lawful motive is present, that a discriminatory motive might also exist does not sweep qualified immunity from the field even at the summary
judgment stage. Unless it, as a legal matter, is plain under the specific facts and circumstances of the case that the defendant’s conduct — despite his having adequate lawful reasons to support the act — was the result of his unlawful motive, the defendant is entitled to immunity. Where the facts assumed for summary judgment purposes in a case involving qualified immunity show mixed motives (lawful
and
unlawful motivations) and pre-existing law does not dictate that the merits of the case must be decided in plaintiff’s favor, the defendant is entitled to immunity.
Given the undisputed facts in this case, the
Mt. Healthy
idea does obscure the answer for the question of whether Defendants acted lawfully or unlawfully in the circumstances.
Applying the usual summary judgment rules (Rule 56[c], [d]), the record does show Defendants had, in fact, cause to understand that Teresa was possibly being mistreated. The record also shows Defendants were, in fact, aware of information that would warrant investigation of other children. These justifications for acting are lawful.
See Myers v. Morris,
810 F.2d 1487, 1462-63 (8th Cir.1987);
Watterson v. Page,
987 F.2d 1, 8 (1st Cir.1993);
see also
Part II.B. No jury could find that it would have been unlawful for a child custody worker to do as Defendants did
if
the worker lacked discriminatory intent. More important, no jury could find that reasonable child custody workers would never have done the things defendants did but for a discriminatory intent. In addition, the record makes it clear that Defendants’ acts were actually motivated by lawful considerations without which they would not have acted.
So, unless it was already clearly established when Defendants acted that no child custody worker could lawfully act — that is, do what Defendants did — to protect children in the circumstances of this case if the worker also acted, in part, out of hostility toward the parent’s religion, Defendants are entitled to immunity. On the question of the legal consequences of the facts (proved in favor of defendants and assumed in favor of plaintiffs) in this case, Plaintiffs point us to no cases (and we have found none) which would have clearly established as a matter of law that child custody workers cannot act lawfully under these circumstances — even when we accept that the circumstances do include substantial prejudice by the officials against Plaintiffs on account of Plaintiffs’ religious beliefs.
In the circumstances, no clear legal standard could firmly direct Defendants when the time to act or not to act was upon them. Because, given the circumstances and the state of the law, a reasonable child custody worker could have considered Defendants’ conduct arguably proper even if Defendants were motivated in substantial part by unlawful motives, Defendants’ conduct was objectively reasonable for the purposes of qualified immunity. Defendants are entitled to summary judgment based on qualified immunity on this disparate treatment claim.
B. Family Liberty
Plaintiffs have alleged violations of their right to “freedom of association,” which we construe to include a claim that their rights to preserve their family unit have been violated.
See Lehr v. Robertson,
463 U.S. 248, 258, 103 S.Ct. 2985, 2991-92, 77 L.Ed.2d 614 (1983) (“[t]he relationship of love and duty in a recognized family unit is an interest in liberty entitled to constitutional protection”). Plaintiffs also allege a free exercise violation. Family-oriented liberty rights can involve the right to raise children in accordance with certain religious teachings.
See Prince v. Massachusetts,
321 U.S. 158, 166, 64 S.Ct. 438, 442, 88 L.Ed. 645 (1944).
To prevail on a claim about family privacy, parents need to prove that a state actor interfered with a protected liberty interest without sufficient justification. This constitutional tort requires no element of intent. For example, no showing need be made that the state official acted out of a hostility toward the family unit or toward protected religious behavior engaged in by the family.
Cf. Canas-Segovia v. INS,
902 F.2d 717, 723 n. 12 (9th Cir.1990),
vacated on other grounds,
502 U.S. 1086, 112 S.Ct. 1152, 117 L.Ed.2d 401 (1992) (observing that equal protection cases are different from freedom of religion cases because equal protection cases “require[] proof of discriminatory intent”). So, as we have discussed in note 5, the qualified immunity question on this claim is whether
any
reasonable officer (that is, one without hostility toward Plaintiffs’ religion or family) could have acted as these Defendants acted without violating federal law.
Family relationships are an area of state concern, and the state has a compelling interest in removing children who may be abused.
See Myers v. Morris,
810 F.2d 1437, 1462 (8th Cir.1987). Likewise, “[t]he right to family integrity clearly does not
include a constitutional right to be free from child abuse investigations.”
Watterson v. Page,
987 F.2d 1, 8 (1st Cir.1993). Violations of the right to family association are determined by a balancing of competing interests.
Manzano v. South Dakota Dep’t of Social Servs.,
60 F.3d 505 (8th Cir.1995). So, state officials who act to investigate or to protect children where there are allegations of abuse almost never act within the contours of “clearly established law.”
See Frazier v. Bailey,
957 F.2d 920, 931 (1st Cir.1992). Thus, it is no surprise that state officials who investigate allegations of child abuse and in so doing disrupt a family have been entitled to qualified immunity.
See, e.g., Thomason v. SCAN Volunteer Services,
85 F.3d 1365 (8th Cir.1996);
Manzano,
60 F.3d at 511;
Watterson,
987 F.2d at 8;
Frazier,
957 F.2d at 931;
Myers,
810 F.2d at 1462;
Backlund v. Barnhart,
778 F.2d 1386 (9th Cir.1985) (foster parents claim free exercise right to use corporal punishment).
Here, the record is undisputed that Teresa (1) alleged abuse by her parents, (2) had bruises on her arm, (3) said she did not wish to return to her parents, and (4) threatened suicide. Monica also alleged abuse which was supported by the doctor’s exam. And, each girl alleged that they were not the only children abused by Holyland adults. (We do not conclude the record proves child abuse, in fact.) Under the circumstances, no clearly established right to family privacy has been shown to have been violated by the conduct of Defendants. This conclusion is so even if the investigation and custody determination procedures were not “textbook perfect.”
See Manzano,
60 F.3d at 513 (citing
Watterson,
987 F.2d at 8). As such, the district court should have granted the Defendant’s motion for summary judgment on these claims (as well as all others).
In sum, we reverse the order denying Defendants summary judgment based on qualified immunity. We remand and instruct that the district court grant each individual defendant summary judgment from the claims which seek to hold an individual defendant personally liable for money. The only issue in this appeal is the issue of qualified immunity; so, we also remand for further proceedings.
REVERSED AND REMANDED.