ORDER
O’KELLEY, Chief Judge.
This case is presently before the court on Defendant Urrea’s motion for summary judgment. The court conducted a hearing on this motion on February 21, 1989, after which it took the matter under advisement. After carefully considering the motion, briefs, evidence and arguments of counsel, the court grants summary judgment in favor of Defendant Urrea for the reasons set forth below.
Summary Judgment
At the outset, the court notes that summary judgment is proper only when “the pleadings, depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any, show that there is no genuine issue as to any material fact, and that the moving party is entitled to summary judgment as a matter of law.” Fed.R.Civ.P. 56(c). Because the procedure deprives parties of a trial on the issues, the court must be careful to ensure that only those claims for which there is no need for a factual determination as to any material fact are disposed of by summary judgment.
Celotex v. Catrett,
477 U.S. 317, 106 S.Ct. 2548, 91 L.Ed.2d 265 (1986). The summary judgment procedure, however, is not regarded as a “disfavored procedural shortcut, but rather as an integral part of the Federal Rules as a whole, which are designed ‘to secure the just, speedy and inexpensive determination of every action.’ Fed.Rule Civ.Proc. 1.”
Id.
Summary judgment will not lie when sufficient evidence exists to cause a reasonable jury to return a verdict for the non-moving party.
Anderson v. Liberty Lobby, Inc.,
477 U.S. 242, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986). The standard for evaluating summary judgment motions mirrors the standard for a directed verdict under Federal Rule of Civil Procedure 50(a).
Id.
at 2511, 106 S.Ct. at 25. Hence, the trial court may grant summary judgment only when there can be but one reasonable conclusion as to judgment under the applicable law.
Id.
With these fundamental notions in tow, the court turns to the instant motion.
Factual Background
The parties have stipulated to the following facts for purposes of this motion. Plaintiff Sylvia Daniel (“Daniel”) is the president of Plaintiff S.W. Daniel, Inc. (“SWD”), a federally licensed Georgia corporation which manufactures and sells firearms, machine guns, noise suppressors, and related component parts. Defendant Peter Urrea (“Agent Urrea”) is a special agent of the Bureau of Alcohol, Tobacco and Firearms (“ATF”). The instant case arises out of Agent Urrea’s investigation and prosecution of Daniel and SWD for federal firearms offenses.
On July 18, 1984, Agent Urrea applied to a United States Magistrate for the Northern District of Georgia for a warrant to search the business premises of SWD in Atlanta, Georgia. Urrea supported this application with an eleven-page affidavit, which the plaintiffs contend contains false statements, omissions of material facts, and was otherwise made with reckless disregard for the truth and submitted in bad faith. The magistrate relied solely upon this affidavit in finding probable cause, and issued the warrant on July 18, 1984.
On July 19,1984, Agent Urrea and several other government agents searched the premises of SWD, seized thousands of items and documents, and threatened several SWD employees that he was going to put SWD out of business. The documents formed the basis of a subsequent criminal prosecution of Daniel and SWD.
The criminal case terminated in November of 1986 after Daniel pled guilty to a misdemeanor offense and the numerous felony charges against both Daniel and SWD were dismissed.
The plaintiffs maintain that Agent Urrea engaged in a series of actions designed to interfere with their business and contractual relations during the pendency of the criminal prosecution. These actions include the following: (1) the search and seizure itself; (2) Agent Urrea’s October 1985 agreement with Jud Hall, an SWD supplier, that if Hall would refrain from supplying firearm parts to SWD for two years, Hall would not be prosecuted in the criminal proceedings against the plaintiffs;
(3) Urrea’s October 1984 instructions to Jim Weaver, editor of the periodical
Shotgun News,
to submit SWD’s proposed advertisements to Agent Urrea for prior approval, and to print only those advertisements which Urrea approved; and (4) Agent Urrea’s alleged false testimony during an October 1986 pretrial hearing in the criminal action, such testimony perpetuating the prosecution of that criminal action.
The plaintiffs filed a three-count
Bivens
action on April 26, 1988, alleging that Agent Urrea’s conduct violated their constitutional rights under the Fourth and Fifth Amendments and injured their business and its reputation.
Bivens v. Six Unknown Named Agents of the Federal Bureau of Narcotics,
403 U.S. 388, 91 S.Ct. 1999, 29 L.Ed.2d 619 (1971). Count I seeks recovery for Agent Urrea’s bad faith and malicious securing of a search warrant, his search and seizure of SWD on July 19, 1984, and his subsequent support of the criminal prosecution of SWD and Daniel. Count II seeks recovery specifically for illegal search and seizure, claiming that Agent Urrea’s affidavit states inadequate facts to create probable cause to believe that SWD was engaged in illegal activity. Finally, Count III is an action for malicious interference with business and contractual relations.
Discussion
Agent Urrea maintains that all three counts are barred by the two-year statute of limitations period set forth in O.C.G.A. § 9-3-33.
The plaintiffs have argued that the Counts I and II are timely under the four-year limitations period of O.C.G.A. § 9-3-30,
and that Count III is timely pursuant to the four-year period set forth in O.C.G.A. § 9-3-32.
Accordingly, the court must determine the appropriate limitations period for these
Bivens
actions.
Congress has not provided a statute of limitations for
Bivens
actions. When Congress has declined to provide a limitations period for a federal cause of action, the court must borrow the applicable period from the forum state.
See Board of Regents v. Tomanio,
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ORDER
O’KELLEY, Chief Judge.
This case is presently before the court on Defendant Urrea’s motion for summary judgment. The court conducted a hearing on this motion on February 21, 1989, after which it took the matter under advisement. After carefully considering the motion, briefs, evidence and arguments of counsel, the court grants summary judgment in favor of Defendant Urrea for the reasons set forth below.
Summary Judgment
At the outset, the court notes that summary judgment is proper only when “the pleadings, depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any, show that there is no genuine issue as to any material fact, and that the moving party is entitled to summary judgment as a matter of law.” Fed.R.Civ.P. 56(c). Because the procedure deprives parties of a trial on the issues, the court must be careful to ensure that only those claims for which there is no need for a factual determination as to any material fact are disposed of by summary judgment.
Celotex v. Catrett,
477 U.S. 317, 106 S.Ct. 2548, 91 L.Ed.2d 265 (1986). The summary judgment procedure, however, is not regarded as a “disfavored procedural shortcut, but rather as an integral part of the Federal Rules as a whole, which are designed ‘to secure the just, speedy and inexpensive determination of every action.’ Fed.Rule Civ.Proc. 1.”
Id.
Summary judgment will not lie when sufficient evidence exists to cause a reasonable jury to return a verdict for the non-moving party.
Anderson v. Liberty Lobby, Inc.,
477 U.S. 242, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986). The standard for evaluating summary judgment motions mirrors the standard for a directed verdict under Federal Rule of Civil Procedure 50(a).
Id.
at 2511, 106 S.Ct. at 25. Hence, the trial court may grant summary judgment only when there can be but one reasonable conclusion as to judgment under the applicable law.
Id.
With these fundamental notions in tow, the court turns to the instant motion.
Factual Background
The parties have stipulated to the following facts for purposes of this motion. Plaintiff Sylvia Daniel (“Daniel”) is the president of Plaintiff S.W. Daniel, Inc. (“SWD”), a federally licensed Georgia corporation which manufactures and sells firearms, machine guns, noise suppressors, and related component parts. Defendant Peter Urrea (“Agent Urrea”) is a special agent of the Bureau of Alcohol, Tobacco and Firearms (“ATF”). The instant case arises out of Agent Urrea’s investigation and prosecution of Daniel and SWD for federal firearms offenses.
On July 18, 1984, Agent Urrea applied to a United States Magistrate for the Northern District of Georgia for a warrant to search the business premises of SWD in Atlanta, Georgia. Urrea supported this application with an eleven-page affidavit, which the plaintiffs contend contains false statements, omissions of material facts, and was otherwise made with reckless disregard for the truth and submitted in bad faith. The magistrate relied solely upon this affidavit in finding probable cause, and issued the warrant on July 18, 1984.
On July 19,1984, Agent Urrea and several other government agents searched the premises of SWD, seized thousands of items and documents, and threatened several SWD employees that he was going to put SWD out of business. The documents formed the basis of a subsequent criminal prosecution of Daniel and SWD.
The criminal case terminated in November of 1986 after Daniel pled guilty to a misdemeanor offense and the numerous felony charges against both Daniel and SWD were dismissed.
The plaintiffs maintain that Agent Urrea engaged in a series of actions designed to interfere with their business and contractual relations during the pendency of the criminal prosecution. These actions include the following: (1) the search and seizure itself; (2) Agent Urrea’s October 1985 agreement with Jud Hall, an SWD supplier, that if Hall would refrain from supplying firearm parts to SWD for two years, Hall would not be prosecuted in the criminal proceedings against the plaintiffs;
(3) Urrea’s October 1984 instructions to Jim Weaver, editor of the periodical
Shotgun News,
to submit SWD’s proposed advertisements to Agent Urrea for prior approval, and to print only those advertisements which Urrea approved; and (4) Agent Urrea’s alleged false testimony during an October 1986 pretrial hearing in the criminal action, such testimony perpetuating the prosecution of that criminal action.
The plaintiffs filed a three-count
Bivens
action on April 26, 1988, alleging that Agent Urrea’s conduct violated their constitutional rights under the Fourth and Fifth Amendments and injured their business and its reputation.
Bivens v. Six Unknown Named Agents of the Federal Bureau of Narcotics,
403 U.S. 388, 91 S.Ct. 1999, 29 L.Ed.2d 619 (1971). Count I seeks recovery for Agent Urrea’s bad faith and malicious securing of a search warrant, his search and seizure of SWD on July 19, 1984, and his subsequent support of the criminal prosecution of SWD and Daniel. Count II seeks recovery specifically for illegal search and seizure, claiming that Agent Urrea’s affidavit states inadequate facts to create probable cause to believe that SWD was engaged in illegal activity. Finally, Count III is an action for malicious interference with business and contractual relations.
Discussion
Agent Urrea maintains that all three counts are barred by the two-year statute of limitations period set forth in O.C.G.A. § 9-3-33.
The plaintiffs have argued that the Counts I and II are timely under the four-year limitations period of O.C.G.A. § 9-3-30,
and that Count III is timely pursuant to the four-year period set forth in O.C.G.A. § 9-3-32.
Accordingly, the court must determine the appropriate limitations period for these
Bivens
actions.
Congress has not provided a statute of limitations for
Bivens
actions. When Congress has declined to provide a limitations period for a federal cause of action, the court must borrow the applicable period from the forum state.
See Board of Regents v. Tomanio,
446 U.S. 478, 483-84, 100 S.Ct. 1790, 1794-95, 64 L.Ed.2d 440 (1980). Under
Tomanio,
courts were left with the arduous and largely unguided task of determining which of a state’s limitation periods applied to claims most analogous to the federal claim. Recently, in
Wilson v. Garcia,
471 U.S. 261, 105 S.Ct. 1938, 85 L.Ed.2d 254 (1985), the Supreme Court determined that the state limitation period applicable to personal injury actions should be applied to all actions brought pursuant to 42 U.S.C. § 1983, thereby greatly simplifying the court’s task in determining the appropriate limitations period in § 1983 cases. Applying
Wilson,
this circuit has identified O.C.G.A. § 9-3-33, Georgia’s two-year personal injury statute of limitations period, as the appropriate period for § 1983 purposes.
Mullinax v. McElhen
ney,
817 F.2d 711 (11th Cir.1987).
Bivens
actions are similar to § 1983 actions, the distinguishing characteristic between the two being that
Bivens
applies to constitutional deprivations by federal as opposed to state actors. Hence, it would appear logical to apply the teachings of
Wilson
to
Bivens
actions. However, neither the Supreme Court nor any panel of this circuit has addressed the issue of the applicability of
Wilson
to
Bivens.
At issue, therefore, is whether the
Wilson
mandate for § 1983 cases should apply to
Bivens
actions as well.
The decision in
Wilson
was chiefly a response to a concern that uncertainty regarding the appropriate statute of limitations period in § 1983 actions results in “useless litigation on collateral matters.”
Wilson,
471 U.S. at 275, 105 S.Ct. at 1946. The Court further noted that this uncertainty and the attendant litigation “[obstructs] the legislative purpose to create an effective remedy for the enforcement of federal civil rights.”
Id.
The judicial purpose from which
Bivens
sprang is likewise obstructed by uncertainty regarding the applicability of a limitations period. In fact, disregarding the governmental entity involved, a properly alleged
Bivens
action is virtually identical to its legislative counterpart under § 1983; each is designed to afford federal remedies for violations of federal constitutional rights. It therefore appears clear to the court that both § 1983 and
Bivens
actions should be governed by the same limitations period.
The court therefore concludes, as has virtually every appellate court addressing the issue,
that the teachings of
Wilson
should be applied to
Bivens
actions as well.
The plaintiffs alternatively argue that if the court finds that
Wilson
should be applied to
Bivens
actions, such application should be prospective and not retroactive. Determining the merit, if any, of the plaintiffs’ argument requires application of the principles set forth in
Chevron Oil v. Huson,
404 U.S. 97, 104-06, 92 S.Ct. 349, 354-55, 30 L.Ed.2d 296 (1971).
See also Williams v. City of Atlanta,
794 F.2d 624, 626 (11th Cir.1986).
Huson
establishes a three-part test for resolving issues of retroactive application of new rules of law:
First, the decision to be applied nonretro-actively must establish a new principle of law, either by overruling clear past precedent on which litigants may have relied, or by deciding an issue of first impression whose resolution was not clearly foreshadowed. Second, it has been stressed that “we must ... weigh the merits and demerits in each case by looking to the prior history of the rule in question, its purpose and effect, and whether retrospective operation will further or retard its operation.” Finally, we have weighed the inequity imposed by retroactive application, for “[w]here a de-
cisión of this Court could produce substantial inequitable results if applied retroactively, there is ample basis in our cases for avoiding ‘injustice or hardship’ by holding nonretroactivity.”
Huson,
404 U.S. at 106-07, 92 S.Ct. at 355-56 (citations omitted).
Turning to the instant case, the plaintiffs have failed to direct the court’s attention to any Georgia federal opinions which applied a four-year limitations period to
Bivens
actions in general, or to Fourth or Fifth Amendment
Bivens
actions specifically, nor is the court aware of any such decisions. In fact, the sole 11th Circuit opinion passing on the applicable limitations period in a
Bivens
action did not disturb the district court’s finding that the two-year period for personal injury actions was applicable.
Hawthorne v. Wells,
761 F.2d 1514 (11th Cir.1985).
Hence, there is no showing that application of the two-year limitations period would alter clear precedent that the plaintiffs may have relied upon.
Furthermore, even if the most analogous limitations period under
pre-Wilson
law was longer than two years, it was unreasonable for the plaintiffs to wait longer than two years to file their complaint in light of the dearth of decisional law supporting their argument in favor of a longer period, particularly when
Wilson
and
Hawthorne
indicated a contrary result.
Williams,
794 F.2d at 627.
Moving to the second prong, failure to give retroactive application of
Wilson
will subvert the beneficial effect of uniformity in application of limitations periods to
Bivens
actions.
Cf. Williams,
794 F.2d at 627 (same analysis as to § 1983). Finally, under the third prong, the court concludes that application of
Wilson
to this case would not visit an inequitable result upon the plaintiffs. There is simply no decisional law from this circuit supporting their argument for application of a longer limitations period, and the two sentinel cases,
Wilson
and
Hawthorne,
were decided long before the two-year period would have expired. Hence, as mentioned above, the plaintiffs were simply unjustified in waiting longer than two years to file this action. Accordingly, the court concludes that
Wilson
should be retroactively applied to
Bivens
actions, and therefore dismisses Counts I and II, which the plaintiffs concede accrued more than two years from the date of filing of the complaint.
The plaintiffs, however, alternatively maintain that Count III, which is an action for malicious interference with business and contractual relations,
is not
barred even under a two-year limitations period. Count III alleges that Agent Urrea engaged in a series of illegal activities which began in July of 1984 and continued through November of 1986 when the underlying criminal prosecution was terminated. One of these acts of misconduct— Agent Urrea’s alleged false testimony during an October 1986 pretrial hearing in the criminal action — occurred less than two years from the filing of the complaint. Hence, the plaintiffs assert that Count III alleges a continuing tort which ended less than two years before filing of the complaint.
As an initial matter, the court notes that the alleged false testimony of Agent Urrea during the pretrial hearing is irrelevant in determining when a cause of action accrued, inasmuch as Agent Urrea is absolutely immune from liability for his testimony as a witness.
Briscoe v. LaHue,
460 U.S. 325, 103 S.Ct. 1108, 75 L.Ed.2d 96 (1983). What remains for determination, however, is whether Agent Urrea’s earlier actions in seizing documents, foreclosing a supplier and censuring magazine advertisements constituted a continuing tort. This is a question of federal as opposed to state law.
Wilson,
471 U.S. at 269, 105 S.Ct. at 1943;
Mullinax v. McElhenney,
817 F.2d 711, 716 (11th Cir.1987).
As is the case with malicious prosecution, a cause of action for a continuing tort accrues when the wrongful conduct terminates.
See Havens Realty Corp. v. Coleman,
455 U.S. 363, 380-81, 102 S.Ct. 1114, 1125-26, 71 L.Ed.2d 214 (1982). The continuing tort principle addresses itself to persistent wrongful conduct, not mere persistent injury accruing from an earlier wrong.
Delaware State College v. Ricks,
449 U.S. 250, 258, 101 S.Ct. 498, 504, 66 L.Ed.2d 431 (1980) (no continuing tort in Title VII case; the time of decision to deny tenure, and not later date of ouster, is relevant);
Ward v. Caulk,
650 F.2d 1144, 1147 (9th Cir.1981) (similar result). Typical examples of the types of on-going wrongs that properly may be characterized as continuing torts include persistent denials of medical care and conduct constituting a pattern of mistreatment.
See, e.g., Neel v. Rehberg,
577 F.2d 262 (5th Cir.1978) (refusal to provide medical treatment, shower, telephone and visiting privileges to prisoner constitutes a continuing tort);
Donaldson v. O’Connor,
493 F.2d 507, 529 (5th Cir.1974),
vacated and remanded on other grounds,
422 U.S. 563, 95 S.Ct. 2486, 45 L.Ed.2d 396 (1975) (refusal to provide psychiatric care to individual civilly committed to state mental hospital is a continuing tort). Other wrongs which cause harm into the future, but nevertheless result from a single act of misconduct, are not continuing torts in the absence of continuing illegal acts.
See, e.g., McCune v. City of Grand Rapids,
842 F.2d 903, 906 (6th Cir.1988) (false arrest).
Applying these principles to the instant case, the court concludes that the alleged wrongful search and seizure, together with Agent Urrea’s alleged coercion of the plaintiffs’ supplier and advertiser, do not constitute a continuing tort. Agent Urrea searched the premises of SWD in July of 1984, and allegedly threatened the
Shotgun News
editor in October of 1984 and SWD’s supplier in October of 1985. However, there is no evidence that he further threatened the supplier or magazine editor, and it is therefore clear that he engaged in no further actionable misconduct to perpetuate the harm caused by the initial wrongful acts. Although it may be true that Agent Urrea could have attempted to call off the prosecution and to eliminate the threats to the supplier and the magazine editor, these steps would only have served to mitigate the harm initially occasioned by earlier misconduct. Accordingly, the court concludes that Count III does not allege a continuing tort, and is therefore dismissed as barred by the two-year statute of limitations.
Conclusion
Accordingly, after careful consideration, the court grants summary judgment in favor of Defendant Urrea and against the plaintiffs, and dismisses the case.
IT IS SO ORDERED.