McIntyre v. United States

336 F. Supp. 2d 87, 2004 U.S. Dist. LEXIS 20127, 2004 WL 2230406
CourtDistrict Court, D. Massachusetts
DecidedSeptember 30, 2004
Docket1:01-cr-10408
StatusPublished
Cited by12 cases

This text of 336 F. Supp. 2d 87 (McIntyre v. United States) is published on Counsel Stack Legal Research, covering District Court, D. Massachusetts primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
McIntyre v. United States, 336 F. Supp. 2d 87, 2004 U.S. Dist. LEXIS 20127, 2004 WL 2230406 (D. Mass. 2004).

Opinion

MEMORANDUM AND ORDER ON MOTIONS OF DEFENDANTS AH-EARN, CONNOLLY, FITZPATRICK, GREENLEAF, KENNEDY, MORRIS, AND RING FOR JUDGMENT ON THE PLEADINGS BASED ON QUALIFIED IMMUNITY

LINDSAY, District Judge.

TABLE OF CONTENTS

I. INTRODUCTION .94

II. FACTS. )

A. The Agents. g?

B. The Use of Informants by the FBI as Alleged in the Complaint. g

C. The Development of Bulger and Flemmi as Informants as Alleged in the Complaint.

D. Allegations that the Agents Shielded Bulger and Flemmi from Investigation and Prosecution. to 00

E. The Murder of McIntyre in 1984 as Alleged in the Complaint. CO CO
F. The Alleged Liability of the Agents. CO CO

III. DISCUSSION. r — 1

A. Standard for Consideration of the Motions. i — l

B. Qualified Immunity. i — (

C. Fourth Amendment. i — f

D. Substantive Due Process Rights of McIntyre. t — I

1. Conspiracy Claims. r — 1

r — 1

a. General Principles of Substantive Due Process. i — 1

b. Conscience-Shocking Conduct: The Touchstone of Arbitrary Executive Conduct. © 00

c. Violation of a Fundamental Right. O CO

i. Murder of McIntyre as Private Violence. H- 1 ©

(a) Governmental Restraint of Victim. I — t ©

(b) State-Created Danger . I — *• CO

ii. Murder of McIntyre as Government Action. I — 1 GR

(a) Attributing Conduct of the Informants to the Government. CO i-H i — l

(b) Governmental Participation in Private Conduct. fc-i — l i — l

*94 3. Violation by Connolly of the Clearly Established Substantive Due Process Rights of McIntyre. to to

4. Violation by Other Agents of the Clearly Established Substantive Due Process Rights of McIntyre ZD rH

E. Access to the Courts. 00 CO t — t

IV. CONCLUSION. .134

I. INTRODUCTION

This is an action brought by Emily and Christopher McIntyre (the “plaintiffs”), as co-administrators of the Estate of John L. McIntyre (the “Estate”), against James Ahearn, John J. Connolly, Jr., Robert Fitzpatrick, James Greenleaf, Roderick Kennedy, John M. Morris, and James A. Ring (collectively, the “agents,” all of whom were agents of the Federal Bureau of Investigation (“FBI”) at various times relevant to the complaint); the United States of America; and Kevin Weeks, James J. Bulger, and Stephen J. Flemmi, purported members of the Winter Hill Gang, an alleged criminal organization operating in the Greater Boston area. The complaint alleges that in 1984, McIntyre was murdered by Weeks, Bulger, Flemmi, or other members of the Winter Hill Gang. The complaint further alleges that the agents are liable for the murder of McIntyre because the agents chose to protect Bulger and Flemmi — - allegedly “top echelon” informants of the FBI— from prosecution, so that the agents could boost their own careers by using the information Bulger and Flemmi provided to them to investigate, arrest, and prosecute members of La Cosa Nostra (“LCN,” commonly known as the “Mafia”), a criminal organization that was a rival to the Winter Hill Gang. As part of his alleged efforts to shield Bulger and Flemmi from prosecution, Connolly, with the knowledge, assistance, or acquiescence of the other agents (except Ahearn), allegedly informed Bulger and/or Flemmi that McIntyre was providing the United States Drug Enforcement Administration (the “DEA”) with information that incriminated Bulger and Flemmi in criminal activity within DEA’s area of concern. According to the plaintiffs, the agents made, caused, or permitted this disclosure, knowing, or with deliberate indifference to the possibility, that Bulger and Flemmi would in turn murder McIntyre or cause him to be murdered. The plaintiffs also allege that all of the agents subsequently violated the constitutional rights of the Estate by engaging in “cover ups” of the murder of McIntyre and of numerous other criminal activities of Bulger and Flemmi. The agents allegedly engaged in this misconduct to preserve the status of Bulger and Flemmi as top echelon informants and to conceal the FBI’s corrupt relationship with them.

The complaint is in thirteen counts. 1 In counts IX through XII, the plaintiffs assert claims under Bivens v. Six Unknown Named Agents of Federal Bureau of Narcotics, 408 U.S. 388, 91 S.Ct. 1999, 29 L.Ed.2d 619 (1971) against various combinations of the agents for the deprivation of rights guaranteed by First, Fourth and Fifth amendments to the Constitution of the United States. The breakdown of these claims is as follows:

Count IX: This count alleges a violation of the Fourth Amendment right of McIntyre to be free from unreasonable seizure by the government. The claim *95 is asserted against all of the agents except Ahearn.
Count X: This count alleges a violation of the Fifth Amendment substantive due process right of McIntyre not to be deprived of his life or liberty by the government. The claim is asserted against all of the agents except Ahearn.
Count XA: This count alleges a violation of the Fourth and Fifth Amendment rights of McIntyre described in counts IX and X. The claim is asserted against Greenleaf and Ring under a theory of supervisory liability.
Count XI: This count alleges a conspiracy in violation of the Fourth and Fifth Amendment rights of McIntyre described in counts IX and X. The claim is asserted against all the agents.
Count XII: This count alleges a conspiracy to violate the First and Fifth Amendment right of the Estate to access to the courts. The claim is asserted against all the agents.

Before the court are the motions of all of the agents for judgment on the pleadings as to the Bivens claims, based on the defense of qualified immunity. On April 23, 2003, I ordered the agents moving for dismissal on the ground of qualified immunity to file a joint memorandum in support of their several motions to the extent that it was practicable to do so. McIntyre v. United States, Civ. No. 01-10408 (D.Mass. Apr. 23, 2003) (docket entry 280). An individual memorandum was to be filed only if the motion of an individual agent “raise[d] issues, with respect to qualified immunity, that are unique in his circumstances.” Id. Pursuant to this order, Ahearn, Fitzpatrick, Greenleaf, Kennedy, and Ring, together with four other agent defendants in related cases, 2

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Bluebook (online)
336 F. Supp. 2d 87, 2004 U.S. Dist. LEXIS 20127, 2004 WL 2230406, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mcintyre-v-united-states-mad-2004.