Respondent, while an inmate in a Missouri reformatory for
youthful first offenders, was harassed, beaten, and sexually
assaulted by his cellmates. He brought suit under 42 U.S.C. § 1983
in Federal District Court against petitioner, a guard at the
reformatory, and others, alleging that his Eighth Amendment rights
had been violated. Because of petitioner's qualified immunity, as a
prison guard, from § 1983 liability, the trial judge instructed the
jury that respondent could recover only if petitioner was guilty of
"gross negligence" or "egregious failure to protect" respondent.
The judge also charged the jury that it could award punitive
damages in addition to actual damages if petitioner's conduct was
shown to be "a reckless or callous disregard of, or indifference
to, the rights or safety of others." The District Court entered
judgment on a verdict finding petitioner liable and awarding both
compensatory and punitive damages. The Court of Appeals
affirmed.
Held:
1. Punitive damages are available in a proper case under § 1983.
While there is little in the legislative history of § 1 of the
Civil Rights Act of 1871 (from which § 1983 is derived) concerning
the damages recoverable for the tort liability created by the
statute, the availability of punitive damages was accepted as
settled law by nearly all state and federal courts at the time of
enactment. Moreover, this Court has rested decisions on related
issues on the premise that punitive damages are available under §
1983. Pp.
461 U. S.
34-38.
2. A jury may be permitted to assess punitive damages in a §
1983 action when the defendant's conduct involves reckless or
callous indifference to the plaintiff's federally protected rights,
as well as when it is motivated by evil motive or intent. The
common law, both in 1871 and now, allows recovery of punitive
damages in tort cases not only for actual malicious intent, but
also for reckless indifference to the rights of others. Neither the
policies nor the purposes of § 1983 require a departure from the
common law rule. Petitioner's contention that an actual intent
standard is preferable to a recklessness standard because it is
less vague, and would more readily serve the purpose of deterrence
of future egregious conduct, is unpersuasive.
Cf. Gertz v.
Robert Welch, Inc., 418 U. S. 323. Pp.
461 U. S.
38-51.
Page 461 U. S. 31
3. The threshold standard for allowing punitive damages for
reckless or callous indifference applies even in a case, such as
here, where the underlying standard of liability for compensatory
damages is also one of recklessness. There is no merit to
petitioner's contention that actual malicious intent should be the
standard for punitive damages because the deterrent purposes of
such damages would be served only if the threshold for those
damages is higher in every case than the underlying standard for
liability in the first instance. The common law rule is otherwise,
and there is no reason to depart from the common law rule in the
context of § 1983. Pp.
461 U. S.
51-55.
663 F.2d 778, affirmed.
BRENNAN, J., delivered the opinion of the Court, in which WHITE,
MARSHALL, BLACKMUN, and STEVENS, JJ., joined. REHNQUIST, J., filed
a dissenting opinion, in which BURGER, C.J., and POWELL, J.,
joined,
post, p.
461 U. S. 56.
O'CONNOR, J., filed a dissenting opinion,
post, p.
461 U. S.
92.
JUSTICE BRENNAN delivered the opinion of the Court.
We granted certiorari in this case, 456 U.S. 924 (1982), to
decide whether the District Court for the Western District of
Missouri applied the correct legal standard in instructing the jury
that it might award punitive damages under 42 U.S.C. § 1983 (1976
ed., Supp. V). [
Footnote 1] The
Court of Appeals for the Eighth Circuit sustained the award of
punitive damages.
Wade v. Haynes, 663 F.2d 778 (1981). We
affirm.
Page 461 U. S. 32
I
The petitioner, William H. Smith, is a guard at Algoa
Reformatory, a unit of the Missouri Division of Corrections for
youthful first offenders. The respondent, Daniel R. Wade, was
assigned to Algoa as an inmate in 1976. In the summer of 1976, Wade
voluntarily checked into Algoa's protective custody unit. Because
of disciplinary violations during his stay in protective custody,
Wade was given a short term in punitive segregation and then
transferred to administrative segregation. On the evening of Wade's
first day in administrative segregation, he was placed in a cell
with another inmate. Later, when Smith came on duty in Wade's
dormitory, he placed a third inmate in Wade's cell. According to
Wade's testimony, his cellmates harassed, beat, and sexually
assaulted him.
Wade brought suit under 42 U.S.C. § 1983 against Smith and four
other guards and correctional officials, alleging that his Eighth
Amendment rights had been violated. At trial, his evidence showed
that he had placed himself in protective custody because of prior
incidents of violence against him by other inmates. The third
prisoner whom Smith added to the cell had been placed in
administrative segregation for fighting. Smith had made no effort
to find out whether another cell was available; in fact, there was
another cell in the same dormitory with only one occupant. Further,
only a few weeks earlier, another inmate had been beaten to death
in the same dormitory during the same shift, while Smith had been
on duty. Wade asserted that Smith and the other defendants knew or
should have known that an assault against him was likely under the
circumstances.
During trial, the District Judge entered a directed verdict for
two of the defendants. He instructed the jury that Wade could make
out an Eighth Amendment violation only by showing "physical abuse
of such base, inhumane and barbaric proportions as to shock the
sensibilities." Tr. 639. Further, because of Smith's qualified
immunity as a prison
Page 461 U. S. 33
guard,
see Procunier v. Navarette, 434 U.
S. 555 (1978), the judge instructed the jury that Wade
could recover only if the defendants were guilty of "gross
negligence" (defined as "a callous indifference or a thoughtless
disregard for the consequences of one's act or failure to act") or
"[e]gregious failure to protect" (defined as "a flagrant or
remarkably bad failure to protect") Wade. Tr. 641-642. He
reiterated that Wade could not recover on a showing of simple
negligence.
Id. at 644.
The District Judge also charged the jury that it could award
punitive damages on a proper showing:
"In addition to actual damages, the law permits the jury, under
certain circumstances, to award the injured person punitive and
exemplary damages, in order to punish the wrongdoer for some
extraordinary misconduct, and to serve as an example or warning to
others not to engage in such conduct."
"If you find the issues in favor of the plaintiff, and if the
conduct of one or more of the defendants is shown to be
a
reckless or callous disregard of, or indifference to, the rights or
safety of others, then you may assess punitive or exemplary
damages in addition to any award of actual damages."
". . . The amount of punitive or exemplary damages assessed
against any defendant may be such sum as you believe will serve to
punish that defendant and to deter him and others from like
conduct."
Id. at 643 (emphasis added).
The jury returned verdicts for two of the three remaining
defendants. It found Smith liable, however, and awarded $25,000 in
compensatory damages and $5,000 in punitive damages. The District
Court entered judgment on the verdict, and the Court of Appeals
affirmed.
Wade v. Haynes, 663 F.2d 78 (1981).
In this Court, Smith attacks only the award of punitive damages.
He does not challenge the correctness of the instructions
Page 461 U. S. 34
on liability or qualified immunity, nor does he question the
adequacy of the evidence to support the verdict of liability for
compensatory damages.
II
Section 1983 is derived from § 1 of the Civil Rights Act of
1871, 17 Stat. 13. It was intended to create "a species of tort
liability" in favor of persons deprived of federally secured
rights.
Carey v. Piphus, 435 U. S. 247,
435 U. S. 253
(1978);
Imbler v. Pachtman, 424 U.
S. 409,
424 U. S. 417
(1976). We noted in
Carey that there was little in the
section's legislative history concerning the damages recoverable
for this tort liability, 435 U.S. at
435 U. S. 255.
In the absence of more specific guidance, we looked first to the
common law of torts (both modern and as of 1871), with, such
modification or adaptation as might be necessary to carry out the
purpose and policy of the statute.
Id. at
435 U. S.
253-264. We have done the same in other contexts arising
under § 1983, especially the recurring problem of common law
immunities. [
Footnote 2]
Page 461 U. S. 35
Smith correctly concedes that "punitive damages are available in
a
proper' § 1983 action. . . ." Carlson v. Green,
446 U. S. 14,
446 U. S. 22
(1980); Brief for Petitioner 8. Although there was debate about the
theoretical correctness of the punitive damages doctrine in the
latter part of the last century, the doctrine was accepted as
settled law by nearly all state and federal courts, including this
Court. [Footnote 3] It was
likewise generally established that individual public officers were
liable for punitive damages for their misconduct on the same basis
as other individual defendants. [Footnote 4] See also Scott v. Donald,
165 U. S. 58,
165 U. S. 77-89
(1897) (punitive damages for constitutional tort). Further,
although the precise issue of the availability of punitive damages
under § 1983 has never come squarely
Page 461 U. S. 36
before us, we have had occasion more than once to make clear our
view that they are available; indeed, we have rested decisions on
related questions on the premise of such availability. [
Footnote 5]
Page 461 U. S. 37
Smith argues, nonetheless, that this was not a "proper" case in
which to award punitive damages. More particularly, he attacks the
instruction that punitive damages could be awarded on a finding of
reckless or callous disregard of or indifference to Wade's rights
or safety. Instead, he contends that the proper test is one of
actual malicious intent -- "ill will, spite, or intent to injure."
[
Footnote 6] Brief for
Petitioner 9.
Page 461 U. S. 38
He offers two arguments for this position: first, that actual
intent is the proper standard for punitive damages in all cases
under § 1983; and second, that even if intent is not always
required, it should be required here because the threshold for
punitive damages should always be higher than that for liability in
the first instance. We address these in turn.
III
Smith does not argue that the common law, either in 1871 or now,
required or requires a showing of actual malicious intent
Page 461 U. S. 39
for recovery of punitive damages.
See Tr. of Oral Arg.
5-6, 9. [
Footnote 7]
Perhaps not surprisingly, there was significant variation (both
terminological and substantive) among American jurisdictions in the
latter 19th century on the precise standard to be applied in
awarding punitive damages -- variation that was exacerbated by the
ambiguity and slipperiness of such common terms as "malice" and
"gross negligence." [
Footnote
8] Most of the
Page 461 U. S. 40
confusion, however, seems to have been over the degree of
negligence, recklessness, carelessness, or culpable indifference
that should be required -- not over whether actual intent
Page 461 U. S. 41
was essential. On the contrary, the rule in a large majority of
jurisdictions was that punitive damages (also called exemplary
damages, vindictive damages, or smart money) could be awarded
without a showing of actual ill will, spite, or intent to
injure.
This Court so stated on several occasions, before and shortly
after 1871. In
Philadelphia, W. & B.R.
Co. v. Quigley, 21 How. 202 (1859), a diversity
libel suit, the Court held erroneous an instruction that authorized
the jury to return a punitive award, but gave the jury virtually no
substantive guidance as to the proper threshold. We described the
standard thus:
"Whenever the injury complained of has been inflicted
maliciously or wantonly, and with circumstances of contumely or
indignity, the jury are not limited to the ascertainment of a
simple compensation for the wrong committed against the aggrieved
person. But the malice spoken of in this rule is not merely the
doing of an unlawful or injurious act. The word implies that the
act complained of was conceived in the spirit of mischief,
or
of criminal indifference to civil obligations."
Id. at
62 U. S. 214
(emphasis added). [
Footnote
9]
Page 461 U. S. 42
The Court further explained the standard for punitive damages in
Milwaukee & St. Paul R. Co. v. Arms, 91 U. S.
489 (1876), a diversity railroad collision case:
"Redress commensurate to such [personal] injuries should be
afforded. In ascertaining its extent, the jury may consider all the
facts which relate to the wrongful act of the defendant, and its
consequences to the plaintiff; but they are not at liberty to go
farther, unless it was done wilfully,
or was the result of that
reckless indifference to the rights of others which is equivalent
to an intentional violation of them. In that case, the jury
are authorized, for the sake of public example, to give such
additional damages as the circumstances require. The tort is
aggravated by the evil motive, and on this rests the rule of
exemplary damages."
Id. at
91 U. S.
493.
". . . To [assess punitive damages], there must have been some
wilful misconduct,
or that entire want of care
Page 461 U. S. 43
which wold raise the presumption of a conscious indifference
to consequences."
Id. at
91 U. S. 495
(emphasis added). The Court therefore held erroneous a jury
instruction allowing a punitive award on "gross negligence"; it
concluded that the latter term was too vague, and too likely to be
confused with mere ordinary negligence, to provide a fair standard.
It remanded for a new trial. [
Footnote 10]
Page 461 U. S. 44
Ten years later, the Court in dictum suggested that perhaps even
gross negligence would suffice after all, at least in some
cases:
"For injuries resulting from a neglect of duties, in the
discharge of which the public is interested, juries are also
permitted to assess exemplary damages. These may be perhaps
considered as falling under the head of cases of gross negligence,
for any neglect of duties imposed for the protection of life or
property is culpable, and deserves punishment."
Missouri Pacific R. Co. v.Humes, 115 U.
S. 512,
115 U. S. 521
(1885).
See also Minneapolis & St. Louis R. Co. v.
Beckwith, 129 U. S. 26,
129 U. S. 34
(1889) ("culpable negligence"). [
Footnote 11]
Page 461 U. S. 45
The large majority of state and lower federal courts were in
agreement that punitive damages awards did not require a showing of
actual malicious intent; they permitted punitive awards on
variously stated standards of negligence, recklessness, or other
culpable conduct short of actual malicious intent. [
Footnote 12]
Page 461 U. S. 46
The same rule applies today. The Restatement (Second) of Torts
(1979), for example, states:
"Punitive damages may be awarded for conduct that is outrageous,
because of the defendant's
Page 461 U. S. 47
evil motive
or his reckless indifference to the rights of
others."
§ 908(2) (emphasis added);
see also id., Comment b.
Most cases under state common law, although varying in
Page 461 U. S. 48
their precise terminology, have adopted more or less the same
rule, recognizing that punitive damages in tort cases may be
awarded not only for actual intent to injure or evil motive, but
also for recklessness, serious indifference to or disregard for the
rights of others, or even gross negligence. [
Footnote 13]
The remaining question is whether the policies and purposes of §
1983 itself require a departure from the rules of tort common law.
As a general matter, we discern no reason why a person whose
federally guaranteed rights have
Page 461 U. S. 49
been violated should be granted a more restrictive remedy than a
person asserting an ordinary tort cause of action. Smith offers us
no persuasive reason to the contrary.
Smith's argument, which he offers in several forms, is that an
actual intent standard is preferable to a recklessness standard
because it is less vague. He points out that punitive damages, by
their very nature, are not awarded to compensate the injured party.
See Newport v. Fact Concerts, Inc., 453 U.
S. 247,
453 U. S.
266-267 (1981);
Electrical Workers v. Foust,
442 U. S. 42,
442 U. S. 48
(1979);
Gertz v. Robert Welch, Inc., 418 U.
S. 323,
418 U. S.
349-350 (1974). He concedes, of course, that deterrence
of future egregious conduct is a primary purpose of both § 1983,
see Newport, supra, at
453 U. S. 268;
Owen v. City of Independence, 445 U.
S. 622,
445 U. S. 651
(1980);
Robertson v. Wegmann, 436 U.
S. 584,
436 U. S. 591
(1978), and of punitive damages,
see Newport, supra, at
453 U. S. 268;
Restatement (Second) of Torts § 908(1) (1979). But deterrence, he
contends, cannot be achieved unless the standard of conduct sought
to be deterred is stated with sufficient clarity to enable
potential defendants to conform to the law and to avoid the
proposed sanction. Recklessness or callous indifference, he argues,
is too uncertain a standard to achieve deterrence rationally and
fairly. A prison guard, for example, can be expected to know
whether he is acting with actual ill will or intent to injure, but
not whether he is being reckless or callously indifferent.
Smith's argument, if valid, would apply to ordinary tort cases
as easily as to § 1983 suits; hence, it hardly presents an argument
for adopting a different rule under § 1983. In any event, the
argument is unpersuasive. While,
arguendo, an intent
standard may be easier to understand and apply to particular
situations than a recklessness standard, we are not persuaded that
a recklessness standard is too vague to be fair or useful. In the
Milwaukee case,
91 U. S. 489
(1876), we adopted a recklessness standard rather than a gross
negligence standard precisely because recklessness would better
serve the need for adequate clarity and fair application.
Almost
Page 461 U. S. 50
a century later, in the First Amendment context, we held that
punitive damages cannot be assessed for defamation in the absence
of proof of "knowledge of falsity or reckless disregard for the
truth."
Gertz, 418 U.S. at
418 U. S. 349.
Our concern in
Gertz was that the threat of punitive
damages, if not limited to especially egregious cases, might
"inhibit the vigorous exercise of First Amendment freedoms,"
ibid. -- a concern at least as pressing as any urged by
Smith in this case. Yet we did not find it necessary to impose an
actual intent standard there. Just as Smith has not shown why §
1983 should give higher protection from punitive damages than
ordinary tort law, he has not explained why it gives higher
protection than we have demanded under the First Amendment.
More fundamentally, Smith's argument for certainty in the
interest of deterrence overlooks the distinction between a standard
for punitive damages and a standard of liability in the first
instance. Smith seems to assume that prison guards and other state
officials look mainly to the standard for punitive damages in
shaping their conduct. We question the premise; we assume, and
hope, that most officials are guided primarily by the underlying
standards of federal substantive law -- both out of devotion to
duty and in the interest of avoiding liability for compensatory
damages. At any rate, the conscientious officer who desires clear
guidance on how to do his job and avoid lawsuits can and should
look to the standard for actionability in the first instance. The
need for exceptional clarity in the standard for punitive damages
arises only if one assumes that there are substantial numbers of
officers who will not be deterred by compensatory damages; only
such officers will seek to guide their conduct by the punitive
damages standard. The presence of such officers constitutes a
powerful argument
against raising the threshold for
punitive damages.
In this case, the jury was instructed to apply a high standard
of constitutional right ("physical abuse of such base, inhumane and
barbaric proportions as to shock the sensibilities"). It was also
instructed, under the principle of
Page 461 U. S. 51
qualified immunity, that Smith could not be held liable at all
unless he was guilty of "a callous indifference or a thoughtless
disregard for the consequences of [his] act or failure to act," or
of "a flagrant or remarkably bad failure to protect" Wade. These
instructions are not challenged in this Court, nor were they
challenged on grounds of vagueness in the lower courts. Smith's
contention that this recklessness standard is too vague to provide
clear guidance and reasonable deterrence might more properly be
reserved for a challenge seeking different standards of liability
in the first instance. As for punitive damages, however, in the
absence of any persuasive argument to the contrary based on the
policies of § 1983, we are content to adopt the policy judgment of
the common law -- that reckless or callous disregard for the
plaintiff's rights, as well as intentional violations of federal
law, should be sufficient to trigger a jury's consideration of the
appropriateness of punitive damages.
See Adickes v. S. H. Kress
& Co., 398 U. S. 144,
398 U. S. 233
(1970) (BRENNAN, J., concurring and dissenting).
IV
Smith contends that, even if § 1983 does not ordinarily require
a showing of actual malicious intent for an award of punitive
damages, such a showing should be required in this case. He argues
that the deterrent and punitive purposes of punitive damages are
served only if the threshold for punitive damages is higher in
every case than the underlying standard for liability in the first
instance. In this case, while the District Judge did not use the
same precise terms to explain the standards of liability for
compensatory and punitive damages, the parties agree that there is
no substantial difference between the showings required by the two
instructions; both apply a standard of reckless or callous
indifference to Wade's rights. Hence, Smith argues, the District
Judge erred in not requiring a higher standard for punitive
damages, namely, actual malicious intent.
This argument incorrectly assumes that, simply because the
instructions specified the same
threshold of liability
for
Page 461 U. S. 52
punitive and compensatory damages, the two forms of damages were
equally available to the plaintiff. The argument overlooks a key
feature of punitive damages -- that they are never awarded as of
right, no matter how egregious the defendant's conduct.
"If the plaintiff proves sufficiently serious misconduct on the
defendant's part, the question whether to award punitive damages is
left to the jury, which may or may not make such an award."
D. Dobbs, Law of Remedies 204 (1973) (footnote omitted).
[
Footnote 14] Compensatory
damages, by contrast, are mandatory; once liability is found, the
jury is required to award compensatory damages in an amount
appropriate to compensate the plaintiff for his loss. [
Footnote 15] Hence, it is not
entirely accurate to say that punitive and compensatory damages
were awarded in this case on the same standard. To make its
punitive award, the jury was required to find not only that Smith's
conduct met the recklessness threshold (a question of ultimate
fact), but
also that his conduct merited a punitive award
of $5,000 in addition to the compensatory award (a discretionary
moral judgment).
Page 461 U. S. 53
Moreover, the rules of ordinary tort law are once more against
Smith's argument. There has never been any general common law rule
that the threshold for punitive damages must always be higher than
that for compensatory liability. On the contrary, both the First
and Second Restatements of Torts have pointed out that,
"in torts like malicious prosecution that require a particular
antisocial state of mind, the improper motive of the tortfeasor is
both a necessary element in the cause of action and a reason for
awarding punitive damages. [
Footnote 16]"
Accordingly, in situations where the standard for compensatory
liability is as high as or higher than the usual threshold for
punitive damages, most courts will permit awards of punitive
damages without requiring any extra showing. Several courts have so
held expressly. [
Footnote
17] Many other courts, not directly addressing the congruence
of compensatory and punitive thresholds, have held that punitive
damages are available on the same showing of fault as is required
by the underlying tort in, for example, intentional infliction of
emotional distress, [
Footnote
18] defamation of a public official
Page 461 U. S. 54
or public figure, [
Footnote
19] and defamation covered by a common law qualified immunity.
[
Footnote 20]
This common law rule makes sense in terms of the purposes of
punitive damages. Punitive damages are awarded in the jury's
discretion "to punish [the defendant] for his outrageous conduct
and to deter him and others like him from similar conduct in the
future." Restatement (Second) of Torts § 908(1) (1979). The focus
is on the character of the tortfeasor's conduct -- whether it is of
the sort that calls for deterrence and punishment over and above
that provided by compensatory awards. If it is of such a character,
then it is appropriate to allow a jury to assess punitive damages;
and that assessment does not become less appropriate simply because
the plaintiff in the case faces a more demanding standard of
actionability. To put it differently, society has an interest in
deterring and punishing
all intentional or reckless
invasions of the rights of others, even though it sometimes
Page 461 U. S. 55
chooses not to impose any liability for lesser degrees of fault.
[
Footnote 21]
As with his first argument, Smith gives us no good reason to
depart from the common law rule in the context of § 1983. He argues
that too low a standard of exposure to punitive damages in cases
such as this threatens to undermine the policies of his qualified
immunity as a prison guard. The same reasoning would apply with at
least as much force to, for example, the First Amendment and common
law immunities involved in the defamation cases described above. In
any case, Smith overstates the extent of his immunity. Smith is
protected from liability for mere negligence because of the need to
protect his use of discretion in his day-to-day decisions in the
running of a correctional facility.
See generally Procunier v.
Navarette, 434 U. S. 555
(1978);
Wood v. Strickland, 420 U.
S. 308 (1975). But the immunity on which Smith relies is
coextensive with the interest it protects. [
Footnote 22] The very fact that the privilege is
qualified reflects a recognition that there is no societal interest
in protecting those uses of a prison guard's discretion that amount
to reckless or callous indifference to the rights and safety of the
prisoners in his charge. Once the protected sphere of privilege is
exceeded, we see no reason why state officers should not be liable
for their reckless misconduct on the same basis as private
tortfeasors. [
Footnote
23]
Page 461 U. S. 56
V
We hold that a jury may be permitted to assess punitive damages
in an action under § 1983 when the defendant's conduct is shown to
be motivated by evil motive or intent, or when it involves reckless
or callous indifference to the federally protected rights of
others. We further hold that this threshold applies even when the
underlying standard of liability for compensatory damages is one of
recklessness. Because the jury instructions in this case are in
accord with this rule, the judgment of the Court of Appeals is
Affirmed.
[
Footnote 1]
Rev.Stat. § 1979, amended, 93 Stat. 1284. Section 1983 reads in
relevant part:
"Every person who, under color of any statute, ordinance,
regulation, custom, or usage, of any State or Territory or the
District of Columbia, subjects, or causes to be subjected, any
citizen of the United States or other person within the
jurisdiction thereof to the deprivation of any rights, privileges,
or immunities secured by the Constitution and laws, shall be liable
to the party injured in an action at law, suit in equity, or other
proper proceeding for redress."
[
Footnote 2]
Briscoe v. LaHue, 460 U. S. 325
(1983);
Newport v. Fact Concerts, Inc., 453 U.
S. 247 (1981);
Procunier v. Navarette,
434 U. S. 555
(1978);
Imbler v. Pachtman, 424 U.
S. 409 (1976);
Wood v. Strickland, 420 U.
S. 308 (1975);
Scheuer v. Rhodes, 416 U.
S. 232 (1974);
Pierson v. Ray, 386 U.
S. 547 (1967);
Tenney v. Brandhove,
341 U. S. 367
(1951).
JUSTICE REHNQUIST's dissent faults us for referring to modern
tort decisions in construing § 1983. Its argument rests on the
unstated and unsupported premise that Congress necessarily intended
to freeze into permanent law whatever principles were current in
1871, rather than to incorporate applicable general legal
principles as they evolve.
Post at
461 U. S. 65-68;
see also post at
461 U. S. 92-93
(O'CONNOR, J., dissenting). The dissents are correct, of course,
that, when the language of the section and its legislative history
provide no clear answer, we have found useful guidance in the law
prevailing at the time when § 1983 was enacted; but it does not
follow that that law is absolutely controlling, or that current law
is irrelevant. On the contrary, if the prevailing view on some
point of general tort law had changed substantially in the
intervening century (which is not the case here), we might be
highly reluctant to assume that Congress intended to perpetuate a
now-obsolete doctrine.
See Carey v. Piphus, 435 U.
S. 247,
435 U. S.
257-258 (1978) ("[O]ver the centuries, the common law of
torts has developed a set of rules to implement the principle that
a person should be compensated fairly for injuries caused by the
violation of his legal rights. These rules, defining the elements
of damages and the prerequisites for their recovery, provide the
appropriate starting point for the inquiry under § 1983 as well")
(footnote omitted);
Adickes v. S. H. Kress & Co.,
398 U. S. 144,
398 U. S.
231-232 (1970) (BRENNAN, J., concurring and dissenting);
Pierson, supra, at
386 U. S. 555
(citing modern authority for "the prevailing view in this
country");
Wood, supra, at
420 U. S.
318-319, and n. 9;
Tenney, supra, at
341 U. S. 375,
and n. 5. Indeed, in
Imbler, we recognized a common law
immunity that first came into existence 25 years after § 1983 was
enacted, 424 U.S. at
424 U. S.
421-422. Under the dissents' view,
Imbler was
wrongly decided.
[
Footnote 3]
See, e.g., the cases cited in nn.
8 and |
8 and
S. 30fn12|>12,
infra; Day v.
Woodworth, 13 How. 363 (1852);
Philadelphia, W. & B.R.
Co. v. Quigley, 21 How. 202 (1859);
Milwaukee
& St. Paul R. Co. v. Arms, 91 U. S.
489 (1876);
Missouri Pacific R. Co. v. Humes,
115 U. S. 512
(1885);
Barry v. Edmunds, 116 U.
S. 550 (1886);
Minneapolis & St. Louis R. Co. v.
Beckwith, 129 U. S. 26
(1889);
Scott v. Donald, 165 U. S. 58
(1897).
[
Footnote 4]
E.g., Nightingale v. Scannell, 18 Cal. 315, 324-326
(1861);
Friend v. Hamill, 34 Md. 298, 314 (1871);
Lynd
v. Picket, 7 Minn. 184, 200-202 (1862);
Parker v.
Shackelford, 61 Mo. 68, 72 (1875);
Rodgers v.
Ferguson, 36 Tex. 544 (1871);
see, e.g., Stinson v.
Buisson, 17 La. 567, 572-573 (1841);
Nagle v.
Mullison, 34 Pa. 48 (1859);
Von Storch v. Winslow, 13
R.I. 23, 24-25 (1880).
Cf. Brewer v. Watson, 71 Ala. 299,
307 (1882).
See also e.g., Lane v. Yamamoto, 2 Haw.App.
176,
628
P.2d 634 (1981);
Wilson v. Eagan, 297 N.W.2d
146, 148-150 (Minn.1980).
[
Footnote 5]
In
Newport v. Fact Concerts, Inc., supra, for example,
we held that a municipality (as opposed to an individual defendant)
is immune from liability for punitive damages under § 1983. A
significant part of our reasoning was that deterrence of
constitutional violations would be adequately accomplished by
allowing punitive damages awards directly against the responsible
individuals:
"Moreover, there is available a more effective means of
deterrence. By allowing juries and courts to assess punitive
damages in appropriate circumstances against the offending
official, based on his personal financial resources, the statute [§
1983] directly advances the public's interest in preventing
repeated constitutional deprivations. In our view, this provides
sufficient protection against the prospect that a public official
may commit recurrent constitutional violations by reason of his
office."
Id. at
453 U. S.
269-270 (footnote omitted). Similarly, in
Carlson v.
Green, 446 U. S. 14
(1980), we stated that punitive damages would be available in an
action against federal officials directly under the Eighth
Amendment, partly on the reasoning that since such damages are
available under § 1983, it would be anomalous to allow punitive
awards against state officers but not federal ones.
Id. at
446 U. S. 22,
and n. 9.
See also Adickes v. S. H. Kress & Co.,
supra, at
398 U. S. 233
(BRENNAN, J., concurring and dissenting);
Carey v. Piphus,
supra, at
435 U. S. 257,
n. 11;
Johnson v. Railway Express Agency, Inc.,
421 U. S. 454,
421 U. S. 460
(1975) (punitive damages available under 42 U.S.C. § 1981).
JUSTICE REHNQUIST's dissent, without squarely denying that
punitive damages are available under § 1983, does its best to cast
doubt on the proposition. It argues that the phrase "for redress"
at the end of the section means that Congress intended to limit
recovery to compensatory damages.
Post at
461 U. S. 85;
see n 1,
supra. This novel construction is strained; a more
plausible reading of the statute is that the phrase "or other
proper proceeding for redress" is simply an expansive alternative
to the preceding phrases "action at law" and "suit in equity,"
intended to avoid any unwanted technical limitations that might
lurk in the other phrases.
Next, JUSTICE REHNQUIST points to two other statutes enacted in
1863 and 1870 that provided expressly for punitive remedies.
Post at
461 U. S. 85-86.
Neither of these statutes enacted a punitive damages remedy as
such, although they did create other forms of punitive civil
remedies. The Act of March 2, 1863, § 3, 12 Stat. 698, created a
civil fine for fraudulent military claims, apparently intended to
stimulate suit by private attorneys general. The Act of July 8,
1870, § 59, 16 Stat. 207, was the treble damages provision of the
revised patent code. These statutes do not support JUSTICE
REHNQUIST's speculation that Congress acted expressly when it
intended to approve punitive damages, since both statutes created
new remedies not available at common law; moreover, they undercut
his argument that Congress was hostile to punitive civil remedies
in favor of private parties.
Finally, JUSTICE REHNQUIST argues that Congress would not likely
have approved "this often-condemned doctrine" in the 1871 Civil
Rights Act.
Post at
461 U. S. 84.
This speculation is remarkable, to say the least, given that
Congress did approve a punitive civil remedy in an 1870 Civil
Rights Act. Act of May 31, 1870, § 2, 16 Stat. 140 (creating
private cause of action for fixed penalty on behalf of persons
suffering racial discrimination in voting registration).
Cf. 1889 Colo. Sess. Laws 64 (enacting punitive damages
statute, including awards for "wanton and reckless disregard," five
years after state court held against doctrine). At any rate, the
punitive damages debate, though lively, was by no means one-sided.
See, e.g., Missouri Pacific R. Co. v. Humes, supra, at
115 U. S.
521-523;
Linsley v. Bushnell, 15 Conn.225,
235-237 (1842);
Frink & Co. v. Coe, 4 Greene 555,
559-560 (Iowa 1854);
Chiles v. Drake, 59 Ky. 146, 152-153
(1859);
Lynd v. Picket, supra, at 200-201;
Taylor v.
Grand Trunk R. Co., 48 N.H. 304, 320 (1869),
overruled,
Fay v. Parker, 53 N.H. 342 (1872);
Mayer v. Frobe, 40
W.Va. 246, 22 S.E. 58 (1895);
Cosgriff Brothers v. Miller,
10 Wyo.190, 236-237,
68 P. 206,
216-217 (1902).
See also Tillotson v. Cheetham, 3 Johns.
56, 63-64 (N.Y. 1808) (Kent, C.J.).
[
Footnote 6]
Smith uses the term "actual malice" to refer to the standard he
would apply. While the term may be an appropriate one, we prefer
not to use it, simply to avoid the confusion and ambiguity that
surrounds the word "malice."
See n 8,
infra. Indeed, as Smith recognizes, this
Court has used the very term "actual malice" in the defamation
context to refer to a recklessness standard. Brief for Petitioner
8-9,
see Cantrell v. Forest City Publishing Co.,
419 U. S. 245,
419 U. S.
251-252 (1974);
New York Times Co. v. Sullivan,
376 U. S. 254,
376 U. S. 280
(1964).
We note in passing that it appears quite uncertain whether even
JUSTICE REHNQUIST's dissent ultimately agrees with Smith's view
that "ill will, spite, or intent to injure" should be required to
allow punitive damages awards. JUSTICE REHNQUIST consistently
confuses, and attempts to blend together, the quite distinct
concepts of
intent to cause injury, on one hand, and
subjective consciousness of risk of injury (or of
unlawfulness) on the other. For instance, his dissent purports to
base its analysis on the "fundamental distinction" between
"wrongful motive, actual intention to inflict harm
or
intentional doing of an act known to be unlawful," versus
"very careless or negligent conduct,"
post at
461 U. S. 60-61
(emphasis added). Yet in the same paragraph, the dissent
inaccurately recharacterizes the first element of this distinction
as "acts that are intentionally harmful," requiring "inquiry into
the actor's subjective motive and purpose."
Post at
461 U. S. 63-64.
Consciousness of consequences or of wrongdoing, of course, does not
require injurious intent or motive; it is equally consistent with
indifference toward or disregard for consequences. This confusion
of standards continues throughout the opinion. JUSTICE REHNQUIST's
dissent frequently uses such phrases as "intent to injure" or "evil
motive"; yet at several points it refers more broadly to
"subjective mental state" or like phrases, and expressly includes
consciousness (as opposed to intent) in its reasoning.
Post at
461 U. S. 63, n.
3,
461 U. S. 71-72,
n. 7,
461 U. S. 72-73.
More telling, perhaps, is its citation of cases and treatises,
which frequently and consistently includes authority supporting (at
most) a consciousness requirement, rather than the "actual intent"
standard for which the opinion purports to argue elsewhere.
See, e.g., post at
461 U. S. 76-77,
n. 10,
461 U. S. 78-84,
n. 12.
If JUSTICE REHNQUIST does indeed mean to propose a standard
reaching subjective consciousness as well as actual injurious
intent, one wonders why the instructions given in this case,
supra at
461 U. S. 33, do
not meet his standard. It is hard to see how Smith could have
disregarded or been indifferent to the danger to Wade unless he was
subjectively conscious of that danger. If JUSTICE REHNQUIST stands
by his "fundamental distinction" and his use of authority, then, he
has no apparent reason to dissent from our judgment.
[
Footnote 7]
Indeed, the District Judge's instruction on punitive damages in
this case was drawn with only slight alteration from a standard
jury instruction manual under Missouri state law.
See Tr.
576-577; Tr. of Oral Arg. 9, 42-43.
[
Footnote 8]
This terminological difficulty seems to be responsible in some
degree for the dissent's error in asserting that intent was the
majority rule in 1871,
post at
461 U. S. 68-84.
In particular, the dissent argues that "malice," "wantonness," and
"willfulness" denoted actual ill will or intent to cause injury.
See nn.
10 12 infra; post at
461 U. S. 60-64,
n. 3,
461 U. S. 73, n.
8,
461 U. S. 76-77,
n. 10,
461 U. S. 78-84,
n. 12.
See also n.
6
supra, (dissent's confusion of knowledge with intent);
n 9,
infra (concerning
"criminal indifference"). With regard to "malice," the assumption
is dubious at best; with regard to "wantonness" and "willfulness,"
it is just plain wrong.
"Malice," as used by courts and lawyers in the last century, was
a hopelessly versatile and ambiguous term, carrying a broad
spectrum of meanings.
See generally, e.g., 2 J.
Sutherland, Law of Damages § 394 (3d ed. J. Berryman, 1903); 25
Cyclopedia of Law and Procedure 1666-1669 (1907). As the dissent
correctly states,
post at
461 U. S. 60-64,
n. 3, in some instances (especially when it was modified by terms
such as "actual" or "express," or in criminal law, where terms were
generally more strictly construed than in civil law), it meant what
the dissent says it meant -- actual ill will, spite, or intent to
injure. On the other extreme, in tort law, it was often used
without modification to mean what was sometimes called "implied
malice" -- a purely fictional malice that was conclusively presumed
to exist whenever a tort resulted from a voluntary act, even if no
harm was intended. The term was sometimes, though not often, used
in this fictional sense as a ground for punitive damages.
E.g.,
Childers v. San Jose Mercury Printing & Publishing Co.,
105 Cal. 284, 289, 38 P. 903, 904-905 (1894). In other cases, it
was explained to mean an intent to do the act that caused the
injury, as opposed to intent to cause the injury itself.
E.g.,
Goetz v. Ambs, 27 Mo. 28, 32-33 (1858). More commonly, in the
punitive damages context, the term meant something in between
fictional malice and actual injurious intent --
"that form of malice . . . where, without 'deliberate mind' or
'formed design,' the offender has been so grossly and recklessly
negligent, so wantonly indifferent to another's rights, that he
should be required to pay damages in excess of mere compensation as
a punishment and example."
Press Pub. Co. v. McDonald, 63 F. 238, 246 (CA2 1894).
Accord, e.g., 62 U. S. W. &
B.R. Co. v. Quigley, 21 How. 202,
62 U. S. 214
(1859);
South & N. A. R. Co. v. McLendon, 63 Ala. 266,
273-275 (1879);
Yerian v. Linkletter, 80 Cal. 135, 138, 22
P. 70, 71 (1889) (Paterson, J., concurring);
Cameron v.
Bryan, 89 Iowa 214, 219, 56 N.W. 434 (1893);
Lynd v.
Picket, 7 Minn. at 200-202.
There was considerably less ambiguity or confusion concerning
the meaning of "wantonness" in tort law:
"Wanton means reckless -- without regard to the rights of
others. . . . Wantonly means causelessly, without restraint, and in
reckless disregard of the rights of others. Wantonness is defined
as a licentious act of one man towards the person of another,
without regard to his rights; it has also been defined as the
conscious failure by one charged with a duty to exercise due care
and diligence to prevent an injury after the discovery of the
peril, or under circumstances where he is charged with a knowledge
of such peril, and being conscious of the inevitable or probable
results of such failure."
30 American and English Encyclopedia of Law 2-4 (2d ed.1905)
(footnotes omitted). The last sentence of that definition could
have been written with this case in mind.
See also e.g.,
40 Cyclopedia of Law and Procedure 292-295 (1912). The word was
used with the same meaning in the punitive damages context.
See, e.g., Texarkana Gas & Electric Light Co. v. Orr,
59 Ark. 215, 224, 27 S.W. 66, 68 (1894);
Welch v. Durand,
36 Conn.182, 184-185 (1869);
Southern Kansas R. Co. v.
Rice, 38 Kan. 398, 403-404, 16 P. 817, 820 (1888).
Finally, "willfulness" did not mean intent to cause injury, but
only voluntary action:
"Wilful . . . generally, as used in courts of law, implies
nothing blamable, but merely that the person of whose action or
default the expression is used is a free agent, and that what has
been done arises from the spontaneous action of his will. It
amounts to nothing more than this: that he knows what he is doing,
and intends to do what he is doing, and is a free agent. And
wilfully does not imply that an act done in that spirit was
necessarily a malicious act. . . ."
30 American and English Encyclopedia of Law 529-530 (2d ed.1905)
(footnote omitted).
"Wilful neglect or negligence has been defined as that degree of
neglect arising where there is a reckless indifference to the
safety of human life, or an intentional failure to perform a
manifest duty to the public, in the performance of which the public
and the party injured had an interest."
Id. at 535 (footnote omitted).
See also e.g.,
40 Cyclopedia of Law and Procedure 944-947 (1912). Again, the
punitive damages cases bear this reading out.
Cameron,
supra, at 219, 56 N.W. at 434;
Goetz, supra, at
32-33;
Chiles v. Drake, 59 Ky., at 152-155;
Peoria
Bridge Assn. v. Loomis, 20 Ill. 235, 251 (1858).
[
Footnote 9]
JUSTICE REHNQUIST's dissent reads this statement as a
requirement of actual intent,
post at
461 U. S. 68-69.
This misreading depends in part on the faulty assumption,
see n 8,
supra, that "malice" always meant intent to injure
(
post at
461 U. S. 68) --
a reading particularly inappropriate in light of the Court's
express definition of malice as including "criminal indifference."
As for the latter point, JUSTICE REHNQUIST reasons that the term
"criminal indifference" must include an element of actual malicious
intent. This surprising interpretation of the word "indifference"
rests on the unstated and demonstrably false premise that intent to
cause injury was always an element of crime. Not only were there
crimes of recklessness or negligence (such as reckless homicide),
but even crimes of intent commonly required only intent to do the
criminal act (and, in some cases, knowledge that the injury would
likely follow), rather than actual ill will or purpose to inflict
an injury.
See, e.g., 1 J. Bishop, Commentaries on
Criminal Law §§ 313-322 (5th ed. 1872); J. May, Law of Crimes §§
30, 31, 232, 233 (2d ed. J. Beale, 1893);
see also, e.g.,
Model Penal Code § 2.02 (Tent. Draft No. 4, 1955). The case law
clearly illustrates that "criminal" did not mean "with injurious
intent" in the punitive damages context.
E.g., Hopkins v.
Atlantic & St. L. R. Co., 36 N.H. 9, 18-19 (1857),
overruled on other grounds, Fay v. Parker, 53 N.H. 342
(1872);
Brooke v. Clark, 57 Tex. 105, 112-114 (1880);
Meibus v. Dodge, 38 Wis. 300, 310-311 (1875).
JUSTICE REHNQUIST also cites
Day v.
Woodworth, 13 How. 363,
54 U. S. 371
(1852), in support of an actual intent requirement.
Post
at
461 U. S. 70.
The language used in that case ("wanton and malicious, or gross and
outrageous") was precisely the precedent that the Philadelphia
Court was exegeting in the passage quoted in text, when it held
that "malice" includes "criminal indifference." Moreover, the
Day case did not present any issue of punitive damages;
the Court discussed them merely as a sidelight to the costs and
fees issue presented.
[
Footnote 10]
As with
Philadelphia, n 9,
supra, JUSTICE REHNQUIST's dissent reads
this case as imposing a requirement of actual malicious intent, on
the assumption that, when the Court said "indifference to
consequences," it really meant "intent to cause consequences," and
when it said "recklessness," it really meant "bad motive or intent
to injure."
Post at
461 U. S. 70-73.
This textual alchemy is untenable. For one thing, JUSTICE
REHNQUIST's analysis of the case reflects the confusion in his
dissent of motive with consciousness,
see n 6,
supra; post at
461 U. S. 71-72,
n. 7. Moreover, the Milwaukee Court did not say, or come close to
saying, that recklessness is
identical to intent, or that
it is material only as
evidence of intent; rather, it said
that recklessness is "
equivalent" to intent, meaning that
the two are equally culpable and deserving of punishment and
deterrence. 91 U.S. at
91 U. S. 493.
This also explains the Court's reference, two sentences later, to
"evil motive,"
ibid. JUSTICE REHNQUIST's great reliance on
this sentence confuses the
standard for punitive damages
with the
rationale for them. Plainly, read in context,
what the Court meant is that punitive damages are justified by the
moral culpability of evil intent, or by the "equivalent"
culpability of "reckless indifference to the rights of others."
See also Cowen v. Winters, 96 F. 929, 934-935 (CA6 1899);
Alabama G. S. R. Co. v. Hill, 90 Ala. 71, 80, 8 So. 90, 93
(1890);
Memphis & C. R. Co. v. Whitfield, 44 Miss.
466, 494-495 (1870);
Thirkfield v. Mountain View Cemetery
Assn., 12 Utah 76, 82, 41 P. 564, 565 (1895). The contrary
reading adopted by JUSTICE REHNQUIST's dissent is flatly
inconsistent with the Court's reiteration of the rule, 91 U.S. at
91 U. S. 495
(emphasis added): "that entire want of care which would raise the
presumption of a
conscious indifference to consequences."
Try as he might, JUSTICE REHNQUIST cannot transform indifference,
conscious or otherwise, into intent.
JUSTICE REHNQUIST also relies on a four-sentence capsulization
by the Reporter of Decisions of our unreported decision in
Western Union Telegraph Co. v. Eyser, 91 U.
S. 495, decided the same day. While the Reporter's
summary does speak of the absence of "intentional wrong,"
id. at
91 U. S. 496, the
factual context suggests that the basis of decision was the jury
instruction that ordinary negligence would warrant punitive
damages, combined with the fact that the defendant had taken some
affirmative (though insufficient) steps to avoid injury to
passersby. Thus, in context, the reference to "intentional wrong"
is entirely consistent with the
Milwaukee decision's test
of "conscious indifference"; the defendant in
Western
Union was not indifferent to injury, but instead plainly
intended to
avoid injury.
[
Footnote 11]
In two other cases, the Court reaffirmed the
Philadelphia "criminal indifference" standard and the
Milwaukee "reckless indifference" standard.
Barry v.
Edmunds, 116 U.S. at
116 U. S. 563;
Denver & R. G. R. Co. v. Harris, 122 U.
S. 597,
122 U. S.
609-610 (1887).
JUSTICE REHNQUIST's dissent relies on two later decisions of
this Court, neither of which supports it.
Post at
461 U. S. 74-75.
In
Lake Shore & M. S. R. Co. v. Prentice, 147 U.
S. 101 (1893), the issue was whether a corporation could
be liable in punitive damages for the tort of its employee. The
Court, reasoning largely from general principles of
respondeat
superior, held that such vicarious liability could exist only
when the employer had authorized or ratified the tort. In so doing,
however, it expressly reaffirmed as "well settled" the general
standard announced in the
Philadelphia case, including
liability for "criminal indifference." 147 U.S. at
147 U. S. 107.
JUSTICE REHNQUIST cites a passage quoting from one state case
suggesting an intent requirement,
post at
461 U. S. 74,
but he omits to mention the court's extensive quotations from
Philadelphia and
Milwaukee, 147 U.S. at
147 U. S.
112-113, and its express approval of and quotation from
other state cases stating unequivocally that an employer can be
liable for its own recklessness in hiring unfit employees,
id. at
147 U. S.
114-116.
See also n 9,
supra. In
Scott v. Donald, 165 U.S.
at
165 U. S. 71-90,
the issue was whether there was a sufficient amount in controversy.
The Court held that allegations of "intentional, malicious and
repeated interference" with federally protected rights,
id. at
165 U. S. 89,
were enough, if proved, to warrant punitive damages. The Court
undertook no statement of a general standard for punitive damages
beyond noting the unsurprising principle that such damages are
awardable on proof of actual evil motive,
id. at
165 U. S. 86.
Under the allegations, of course, no question of liability for less
culpable conduct was presented.
[
Footnote 12]
In the often-cited case of
Welch v. Durand, 36 Conn.182
(1869), for example, the court held that punitive damages were
proper where the defendant's pistol bullet, fired at a target,
ricocheted and hit the plaintiff:
"In what cases then may smart money be awarded in addition to
the damages? The proper answer to this question . . . seems to be,
in actions of tort founded on the malicious or wanton misconduct or
culpable neglect of the defendant. . . ."
"In this case, the defendant was guilty of wanton misconduct and
culpable neglect. . . . It is an immaterial fact that the injury
was unintentional, and that the ball glanced from the intended
direction. . . . [I]f the act is done where there are objects from
which the balls may glance and endanger others, the act is wanton,
reckless, without due care, and grossly negligent."
Id. at 185. In
Frink & Co. v. Coe, 4
Greene 555 (Iowa 1854), punitive damages were awarded against a
stage company for employing a known drunkard as a driver, the court
saying:
"In a case of gross negligence on the part of a stage
proprietor, such as the employment of a known drunken driver, and
where a passenger has been injured in consequence of such
negligence, we think exemplary damages should be entertained."
* * * *
"If a stage proprietor or carrier is guilty of gross negligence,
it amounts to that kind of gross misconduct which will justify a
jury in giving exemplary damages, even where an '
intent or
design' to do the injury does not appear."
Id. at 559 (emphasis in original).
Maysville &
Lexington R. Co. v. Henrick, 76 Ky. 122 (1877), held that the
trial court correctly refused to instruct the jury that "willful or
intentional wrong" was required to award punitive damages in a
railroad accident case, remarking:
"The absence of slight care in the management of a railroad
train, or in keeping a railroad track in repair, is gross
negligence; and to enable a passenger to recover punitive damages,
in a case like this, it is not necessary to show the absence of all
care, or 'reckless indifference to the safety of . . . passengers,'
or 'intentional misconduct' on the part of the agents and officers
of the company."
Id. at 127 (ellipsis in original).
Accord, e.g.,
Cowen v. Winters, 96 F. at 934-935;
Press Pub. Co. v.
McDonald, 63 F. at 245-247;
Morning Journal Assn. v.
Rutherford, 51 F. 513, 514-515 (CA2 1892);
Fotheringham v.
Adams Express Co., 36 F. 252, 253-254 (CC ED Mo. 1888);
United States v. Taylor, 35 F. 484, 488 (CC SD Ala. 1888);
Malloy v. Bennett, 15 F. 371, 373-374 (CC SDNY 1883);
Berry v. Fletcher, 3 F. Cas. 286, 288 (No. 1,357) (CC Mo.
1870);
Alabama G. S. R. Co. v. Arnold, 80 Ala. 600, 608, 2
So. 337, 342 (1886);
Texarkana Gas & Electric Light Co. v.
Orr, 59 Ark. at 224, 27 S.W. at 68;
Dorsey v.
Manlove, 14 Cal. 553, 555-556 (1860);
Florida Railway
& Navigation Co. v. Webster, 25 Fla. 394, 419-420, 5 So.
714, 719 (1889);
Jacobus v. Congregation of Children of
Israel, 107 Ga. 518, 521, 33 S.E. 853, 855 (1899);
Drohn
v. Brewer, 77 Ill. 280, 282-283 (1875);
Citizens' St. R.
Co. v. Willoeby, 134 Ind. 563, 569-570, 33 N.E. 627, 629
(1893);
Sawyer v. Sauer, 10 Kan. 466, 470 (1872);
Goddard v. Grand Trunk R. Co., 57 Me. 202, 218 (1869);
Lynd v. Picket, 7 Minn. at 200-202;
Memphis & C.
R. Co. v. Whitfield, 44 Miss. at 494-495, 500;
Buckley v.
Knapp, 48 Mo. 152, 161-162 (1871);
Caldwell v. New Jersey
Steamboat Co., 47 N.Y. 282, 296 (1872);
Sullivan v. Oregon
Railway & Navigation Co., 12 Ore. 392, 404-406, 7 P. 508,
517 (1885) (dictum);
Lake Shore & M. S. R. Co. v.
Rosenzweig, 113 Pa. 519, 543-544, 6 A. 545, 552-553 (1886);
Hart v. Charlotte, C. & A. R. Co., 33 S.C. 427,
435-436, 12 S.E. 9, 10 (1890);
Haley v. Mobile & O. R.
Co., 66 Tenn. 239, 242-243 (1874);
Brooke v. Clark,
57 Tex., at 112-114;
Thirkfield v. Mountain View Cemetery
Assn., 12 Utah at 82, 41 P. at 564-565;
Earl v.
Tupper, 45 Vt. 275, 286-287 (1873) (dictum);
Borland v.
Barrett, 76 Va. 128, 132-134 (1882);
Pickett v.
Crook, 20 Wis. 358, 359 (1866);
Union Pacific R. Co. v.
Hause, 1 Wyo. 27, 35 (1871).
JUSTICE REHNQUIST's assertion that a "solid majority of
jurisdictions" required actual malicious intent,
post at
461 U. S. 84, is
simply untrue. In fact, there were fairly few jurisdictions that
imposed such a requirement, and fewer yet that adhered to it
consistently. JUSTICE REHNQUIST's attempt to establish this
proposition with case citations,
post at
461 U. S. 78-84,
n. 12, does not offer him substantial support. Because the point is
not of controlling significance,
see n 2,
supra, we will not tarry here to
analyze his citations case-by-case or State-by-State, but will only
summarize the main themes.
Several of JUSTICE REHNQUIST's cases actually offer unequivocal
support for the rule that punitive damages are available on a
showing of negligence, recklessness, disregard for or indifference
to the rights of others, and various other standards short of
actual ill will or injurious intent. In this same vein, JUSTICE
REHNQUIST continues to try to equate consciousness or knowledge
with actual ill will or intent to injure,
see n 6,
supra.
Other cases do not clearly support either JUSTICE REHNQUIST's
view or ours. Some of these contain contradictory language in their
formulations, indicating that the present distinction perhaps did
not occur to the writers. Others support JUSTICE REHNQUIST's rule
only if one makes the questionable assumption,
see nn.
8 9 supra, that terms like "malice," "wantonness,"
and "criminal" always meant actual intent to injure. Still others
simply ruled on collateral questions (such as the admissibility of
evidence of bad motive or of good faith) without purporting to
state any general standard for punitive damages. Some were
apparently limited to particular classes of torts. A comparison of
this class of cases with those cited
supra, this note,
reveals that, in many instances, other decisions of the same courts
clear up any ambiguity in favor of a recklessness or negligence
standard.
A third class of cases are those in which the courts simply
affirmed awards of punitive damages based on evidence of, or jury
instructions requiring, actual malicious intent, without discussing
whether a lesser showing might also be adequate. Often the cases in
this category involved assault and battery or similar torts, where
the facts presented little problem of negligence or recklessness.
See also n 11,
supra. As with the previous category, many of the same
courts spoke more directly in other cases, making it clear that
injurious intent was
not required.
Finally, even of those comparatively few cases that do seem to
support JUSTICE REHNQUIST's view, many are of debatable authority.
In nearly every State, there was at least some late 19th-century
authority supporting awards on less than ill will or intent to
injure. Admittedly, in a few States, this was the less accepted
view, but in a substantial majority of jurisdictions, the
prevailing rule (as evidenced by the cases cited
supra,
this note, and numerous other cases not listed here) was that no
such actual malicious intent was required.
[
Footnote 13]
Loch Ridge Construction Corp. v. Barra, 291 Ala. 312,
280 So. 2d
745 (1973);
Sturm, Ruger & Co. v.
Day, 594 P.2d 38
(Alaska 1979),
modified on other grounds, 615 P.2d 621
(1980), and
627 P.2d 204
(1981);
Huggins v. Deinhard, 127 Ariz. 358, 621 P.2d 45
(App.1980);
White v. Brock, 41 Colo. App. 156,
584 P.2d
1224 (1978);
Collens v. New Canaan Water Co., 155
Conn. 477, 234 A.2d 825 (1967);
Sheats v.
Bowen, 318 F.
Supp. 640 (Del.1970) (Delaware law);
Spar v.
Obwoya, 369
A.2d 173 (D.C.1977);
Adams v.
Whitfield, 290 So. 2d 49
(Fla.1974);
Randall v. Ganz, 96 Idaho 785, 537 P.2d 65
(1975);
Pendowski v. Patent Scaffolding Co., 89 Ill.App.3d
484, 411 N.E.2d 910 (1980),
appeal denied (Ill.1981);
Meyer v. Nottger, 241 N.W.2d 911
(Iowa 1976);
Ford v. Guarantee Abstract & Title Co.,
220 Kan. 244,
553 P.2d 254
(1976);
Pettengill v. Turo, 159 Me. 350,
193 A.2d
367 (1963);
American Laundry Machine Industries v.
Horan, 45 Md.App. 97,
412 A.2d 407 (1980);
Bailey v. Graves, 411 Mich. 510,
309 N.W.2d
166 (1981);
Huebsch v. Larson, 291 Minn. 361,
191 N.W.2d
433 (1971);
Mississippi Power Co. v. Jones, 369 So.'2d
1381 (Miss.1979);
Stenson v. Laclede Gas Co., 553 S.W.2d
309 (Mo.App.1977);
Butcher v. Petranek, 181 Mont. 358, 593
P.2d 743 (1979);
Berg v. Reaction Motors Division, 37 N.J.
396,
181 A.2d
487 (1962);
Robison v. Katz, 94 N.M. 314,
610 P.2d
201 (App.),
cert. denied, 94 N.M. 675, 615 P.2d 992
(1980);
Soucy v. Greyhound Corp., 27 App.Div.2d 112, 276
N.Y.S.2d 173 (1967);
Newton v. Standard Fire Insurance
Co., 291 N.C. 105,
229 S.E.2d
297 (1976);
Dahlen v. Landis, 314 N.W.2d
63 (N.D.1981);
Leichhmer v. American Motors Corp., 67
Ohio St.2d 456, 424 N.E.2d 568 (1981);
Smith v.
Johnston, 591 P.2d 1260
(Okla.1978);
Focht v. Rabada, 217 Pa.Super. 35, 268 A.2d
157 (1970);
Sherman v. McDermott, 114 R.I. 107,
329
A.2d 195 (1974);
King v. Allstate Insurance Co., 272
S.C. 259,
251 S.E.2d
194 (1979);
Hannahs v. Noah, 83 S.D. 296,
158 N.W.2d
678 (1968);
Inland Container Corp. v.
March, 529
S.W.2d 43 (Tenn.1975);
Shortle v. Central Vermont Public
Service Corp., 137 Vt. 32,
399 A.2d 517
(1979);
Wangel v. Ford Motor Co., 97 Wis.2d 260,
294 N.W.2d
437 (1980).
[
Footnote 14]
See also e.g., Restatement (Second) of Torts § 908,
Comment d (1979); J. Ghiardi & J. Kircher, Punitive Damages Law
and Practice § 5.38 (1981); C. McCormick, Law of Damages 296
(1935); W. Prosser, Law of Torts 13 (4th ed.1971); K. Redden,
Punitive Damages § 3.4(A) (1980);
Chuy v. Philadelphia Eagles
Football Club, 595 F.2d 1265, 1277-1278, n. 15 (CA3 1979) (en
banc).
[
Footnote 15]
The instructions in this case recognized this difference in
treatment. The jury was instructed:
"If you find the issues in favor of the plaintiff, then you
must award the plaintiff such sum as you believe will
fairly and justly compensate the plaintiff for any damages you
believe he sustained as a direct result of the conduct of the
defendants. . . . "
"In addition to actual damages, the law
permits the
jury, under certain circumstances, to award the injured person
punitive and exemplary damages. . . . "
"If you find the issues in favor of the plaintiff, and if the
conduct of one or more of the defendants is shown to be a reckless
or callous disregard of, or indifference to, the rights or safety
of others, then you
may assess punitive or exemplary
damages in addition to any award of actual damages."
Tr. 642-643 (emphasis added).
[
Footnote 16]
Restatement of Torts § 908, Comment c (1939); Restatement
(Second) of Torts § 908, Comment c (1979).
Although there is general agreement with the broad principle of
§ 908, Comment c, there is authority suggesting that the tort of
malicious prosecution may have been a poorly chosen illustration of
it.
See, e.g., Adams v. Whitfield, 290 So. 2d 49
(Fla.1974);
Jordan v. Sauve, 219 Va. 448,
247 S.E.2d
739 (1978).
[
Footnote 17]
Huggins v. Deinhard, 127 Ariz., at 359-360, 621 P.2d at
46-47;
Fletcher v. Western National Life Insurance
Co., 10 Cal. App. 3d
376, 404,
89 Cal. Rptr.
78, 95 (1970);
Sere v. Group Hospitalization,
Inc., 443
A.2d 33, 37-38 (D.C.1982);
Meyer v. Nottger, 241
N.W.2d at 922;
Newton v. Standard Fire Insurance Co., 291
N.C., at 112, 229 S.E.2d at 301-302 (dictum);
Hall v. May
Department Stores Co., 292 Ore. 131, 144-145,
637 P.2d
126, 134-135 (1981);
Chuy v. Philadelphia Eagles Football
Club, supra, at 1276-1278 (CA3 1979) (en banc) (Pennsylvania
law);
Johnson v. Woman's Hospital, 527
S.W.2d 133, 141-142 (Tenn.App.),
cert. denied
(Tenn.1975).
[
Footnote 18]
See, e.g., Fletcher v. Western National Life Insurance Co.,
supra; Sere v. Group Hospitalization, Inc., supra; Cape
Publications, Inc. v. Bridges, 387 So. 2d 436 (Fla.App.1980);
Meyer v. Nottger, supra; Hall v. May Department Stores Co.,
supra; Chuy v. Philadelphia Eagles Football Club, supra, (en
banc) (Pennsylvania law).
See also Johnson v. Woman's Hospital,
supra, (tort of outrageous conduct).
Contra, Knierim v.
Izzo, 22 Ill. 2d
73,
174 N.E.2d
157 (1961).
[
Footnote 19]
See, e.g., Davis v. Schuchat, 166 U.S.App.D.C. 351, 510
F.2d 731 (1975) (District of Columbia law);
Fopay v.
Noveroske, 31 Ill.App.3d 182, 334 N.E.2d 79 (1975);
Goldwater v. Ginzburg, 414 F.2d 324 (CA2 1969) (New York
law);
Sprouse v. Clay Communication, Inc., 158 W.Va. 427,
211 S.E.2d
674 (1975) (dictum).
See also Cape Publications, Inc. v.
Bridges, supra, (false light).
In citing the cases in this footnote and in
n 20,
infra, we intimate no view on any
First Amendment issues they may raise.
[
Footnote 20]
E.g., Pirre v. Printing Developments,
Inc., 468 F.
Supp. 1028 (SDNY) (Connecticut and New York law),
affirmance order, 614 F.2d 1290 (CA2 1979);
Weenig v.
Wood, 169 Ind.App. 413,
349 N.E.2d
235 (1976);
Stuempges v. Parke, Davis &
Co., 297 N.W.2d
252 (Minn.1980);
Snodgrass v. Headco Industries,
Inc., 640 S.W.2d
147 (Mo.App.1982);
Miller v. Lear Siegler,
Inc., 525 F. Supp.
46 (Kan.1981) (Oklahoma law).
See also n19,
supra.
[
Footnote 21]
"Moreover, after
Carey, punitive damages may be the
only significant remedy available in some § 1983 actions where
constitutional rights are maliciously violated but the victim
cannot prove compensable injury."
Carlson, 446 U.S. at
446 U. S. 22, n.
9.
[
Footnote 22]
As we noted
supra at
461 U. S. 33-34,
Smith does not challenge the instruction on qualified immunity. We
therefore assume for purposes of this case that the instruction was
correct.
See generally, e.g., Procunier v. Navarette,
434 U. S. 555
(1978).
[
Footnote 23]
We reject JUSTICE REHNQUIST's argument,
post at
461 U. S. 92,
that it somehow makes a difference that this suit was brought in
federal court -- as though it were inappropriate or unseemly that
federal courts dare to enforce federal rights vigorously. Indeed,
one wonders whether JUSTICE REHNQUIST would complain as loudly if
this § 1983 suit had been brought in state court, as it could have
been. Although JUSTICE REHNQUIST casts his argument as an attack on
meddling by federal courts, the true thrust of his complaint seems
to be against federal
law --
i.e., the Civil
Rights Act of 1871. We have explained at length why we think that
the policies of that statute call for our holding today.
JUSTICE REHNQUIST, with whom THE CHIEF JUSTICE and JUSTICE
POWELL join, dissenting.
This case requires us to determine what degree of culpability on
the part of a defendant in an action under 42 U.S.C. § 1983 (1976
ed., Supp. V) will permit an award of punitive damages. The
District Court instructed the jury that it could award punitive
damages in favor of the plaintiff if it concluded that the
defendant's conduct constituted "reckless or callous disregard of,
or indifference to, the rights or safety of others." In my view, a
forthright inquiry into the intent of the 42d Congress and a
balanced consideration of the public policies at issue compel the
conclusion that the proper standard for an award of punitive
damages under § 1983 requires at least some degree of bad faith or
improper motive on the part of the defendant.
Page 461 U. S. 57
The Court rejects a "wrongful intent" standard, instead
requiring a plaintiff to show merely "reckless . . . indifference
to the federally protected rights of others." The following
justifications are offered by the Court for this result: first, the
rule in "[m]ost cases [decided in the last 15 years] under state
common law" is "more or less" equivalent to a recklessness
standard; second, the Court asserts that a similar rule
"prevail[ed] at the time when § 1983 was enacted"; and finally,
there is an "absence of any persuasive argument" for not applying
existing state tort rules to the federal statutory remedies
available against state and local officials under § 1983. In my
opinion none of these justifications, taken singly or together,
supports the Court's result. First, the decisions of state courts
in the last decade or so are all but irrelevant in determining the
intent of the 42d Congress, and thus, the meaning of § 1983.
Second, the Court's characterization of the common law rules
prevailing when § 1983 was enacted is both oversimplified and
misleading; in fact, the majority rule in 1871 seems to have been
that some sort of "evil intent" -- and not mere recklessness -- was
necessary to justify an award of punitive damages. Third, the
Court's inability to distinguish a
state court's award of
punitive damages against a state officer from a
federal
court's analogous action under §§ 1983 and 1988 precludes it from
adequately assessing the public policies implicated by its
decision. Finally, the Court fails utterly to grapple with the
cogent and persuasive criticisms that have been offered of punitive
damages generally.
I
Before examining these points, however, it is useful to consider
briefly the purposes of punitive damages. A fundamental premise of
our legal system is the notion that damages are awarded to
compensate the victim -- to redress the injuries that he
or she
actually has suffered. D. Dobbs, Law of Remedies §
3.1 (1973); C. McCormick, Law of Damages
Page 461 U. S. 58
1 (1935). In sharp contrast to this principle, the doctrine of
punitive damages permits the award of "damages" beyond even the
most generous and expansive conception of actual injury to the
plaintiff. This anomaly is rationalized principally on three
grounds. First, punitive damages "are assessed for the avowed
purpose of visiting
a punishment upon the defendant."
Id. at 275 (emphasis added); Dobbs,
supra, § 3.9,
at 205; K. Redden, Punitive Damages § 2.1 (1980);
Electrical
Workers v. Foust, 442 U. S. 42,
442 U. S. 48
(1979). Second, the doctrine is rationalized on the ground that it
deters persons from violating the rights of others.
Ibid.
Third, punitive damages are justified as a "bounty" that encourages
private lawsuits seeking to assert legal rights.
Ibid.
Despite these attempted justifications, the doctrine of punitive
damages has been vigorously criticized throughout the Nation's
history. Countless cases remark that such damages have never been
"a favorite of the law." [
Footnote
2/1] The year after § 1983 was enacted, the New Hampshire
Supreme Court declared:
"The idea of [punitive damages] is wrong. It is a monstrous
heresy. It is an unsightly and unhealthy excrescence, deforming the
symmetry of the body of the law."
Fay v. Parker, 53 N.H. 342, 382 (1872). [
Footnote 2/2] Such remarks reflect a number
of deeply held reservations regarding punitive damages, which can
only be briefly summarized here.
Page 461 U. S. 59
Punitive damages are generally seen as a windfall to plaintiffs,
who are entitled to receive full compensation for their injuries --
but no more. Even assuming that a punitive "fine" should be imposed
after a civil trial, the penalty should go to the State, not to the
plaintiff -- who, by hypothesis, is fully compensated. Moreover,
although punitive damages are "quasi-criminal,"
Huber v.
Teuber, 10 D.C. 484, 490 (1877), their imposition is
unaccompanied by the types of safeguards present in criminal
proceedings. This absence of safeguards is exacerbated by the fact
that punitive damages are frequently based upon the caprice and
prejudice of jurors. Walther & Plein, Punitive Damages: A
Critical Analysis, 49 Marq.L.Rev. 369 (1965). We observed in
Electrical Workers v. Foust, supra, at
442 U. S. 50-51,
n. 14, that "punitive damages may be employed to punish unpopular
defendants," and noted elsewhere that "juries assess punitive
damages in wholly unpredictable amounts bearing no necessary
relation to the actual harm caused."
Gertz v. Robert Welch,
Inc., 418 U. S. 323,
418 U. S. 350
(1974). Finally, the alleged deterrence achieved by punitive
damages awards is likely outweighed by the costs -- such as the
encouragement of unnecessary litigation and the chilling of
desirable conduct -- flowing from the rule, at least when the
standards on which the awards are based are ill-defined. Long,
Punitive Damages: An Unsettled Doctrine, 25 Drake L.Rev. 870
(1976).
Because of these considerations, a significant number of
American jurisdictions refuse to condone punitive damages awards.
See, e.g., Killibrew v. Abbott
Laboratories, 359 So.
2d 1275 (La.1978);
Burt v. Advertiser Newspaper Co.,
154 Mass. 238, 28 N.E. 1 (1891) (Holmes, J.);
Miller v.
Kingsley, 194 Neb. 123, 124,
230 N.W.2d 472,
474 (1975);
Vratsenes v. New Hampshire Auto, Inc., 112
N.H. 71, 73, 289 A.2d 66, 68 (1972);
Pereira v. International
Basic Economy Corp., 95 P. R. R. 28 (1967);
Maki v.
Aluminum Building Products, 73 Wash. 2d
23, 25,
436 P.2d
186, 187
Page 461 U. S. 60
(1968).
See also Murphy v. Hobbs, 7 Colo. 541, 5 P. 119
(1884) (no punitive damages at common law). Other jurisdictions
limit the amount of punitive damages that may be awarded, for
example, to the plaintiff's attorney's fees,
see Triangle Sheet
Metal Works, Inc. v. Silver, 154 Conn.116, 222 A.2d 220
(1966), or otherwise,
Riggs v. Fremont Insurance Co., 85
Mich.App. 203, 270 N.W.2d 654 (1978).
Nonetheless, a number of States do permit juries to award
punitive damages in certain circumstances. Historically, however,
there has been little uniformity among the standards applied in
these States for determining on what basis a jury might award
punitive damages.
See, e.g., Owen, Punitive Damages in
Products Liability Litigation, 74 Mich.L.Rev. 1257, 1283, and n.
135 (1976); Ellis, Fairness and Efficiency in the Law of Punitive
Damages, 56 S.Cal.L.Rev. 1, 52-53 (1982) ("the law of punitive
damages is characterized by a high degree of uncertainty that stems
from the use of a multiplicity of vague, overlapping terms");
Duckett v. Pool, 34 S.C. 311, 325, 13 S.E. 542, 547
(1891);
Lynd v. Picket, 7 Minn. 184, 200 (1862).
One fundamental distinction is essential to an understanding of
the differences among the various standards for punitive damages.
Many jurisdictions have required some sort of wrongful motive,
actual intention to inflict harm or intentional doing of an act
known to be unlawful -- "express malice," "actual malice," "bad
faith," "wilful wrong" or "ill will." [
Footnote 2/3]
Page 461 U. S. 61
Other States, however, have permitted punitive damages awards
merely upon a showing of very careless or negligent conduct by the
defendant -- "gross negligence," "recklessness,"
Page 461 U. S. 62
or "extreme carelessness." [
Footnote
2/4] In sharp contrast to the first set of terms noted above,
which connote a requirement of actual ill will towards the
plaintiff, these latter phrases import only a degree of negligence.
This distinction between
Page 461 U. S. 63
acts that are intentionally harmful and those that are very
negligent, or unreasonable, involves a basic difference of kind,
not just a variation of degree. W. Prosser, Law of Torts § 34, p.
185 (4th ed.1971); Restatement (Second) of
Page 461 U. S. 64
Torts § 500, Comment f (1965). The former typically demands
inquiry into the actor's subjective motive and purpose, while the
latter ordinarily requires only an objective determination of the
relative risks and advantages accruing to society from particular
behavior.
See id. § 282.
The importance of this distinction is reflected in what one
court, speaking not many years before the time § 1983 was enacted,
said:
"[I]n morals, and the eye of the law, there is a vast difference
between the criminality of a person acting mistakenly from a worthy
motive, and one committing the same act from a wanton and malignant
spirit, and with a corrupt and wicked design."
Simpson v. McCaffrey, 13 Ohio 508, 522 (1844). The Ohio
court, applying this distinction, held that punitive damages could
only be awarded where some "evil motive"
Page 461 U. S. 65
was involved.
Ibid. Oliver Wendell Holmes identified
precisely the same distinction between intentionally injurious
conduct and careless conduct:
"Vengeance imports a feeling of blame, and an opinion, however
distorted by passion, that a wrong has been done. [E]ven a dog
distinguishes between being stumbled over and being kicked."
O. Holmes, The Common Law 3 (1881). [
Footnote 2/5] It is illuminating to examine the Court's
reasoning with this distinction in mind.
II
At bottom, this case requires the Court to decide when a
particular remedy is available under § 1983. Until today,
ante at
461 U. S. 34-35,
n. 2, the Court has adhered, with some fidelity, to the scarcely
controversial principle that its proper role in interpreting § 1983
is determining what the 42d Congress intended. That § 1983 is to be
interpreted according to this basic principle of statutory
construction, 2A C. Sands, Sutherland on Statutory Construction §
45.05 (4th ed.1972), is clearly demonstrated by our many decisions
relying upon the plain language of the section.
See, e.g.,
Parratt v. Taylor, 451 U. S. 527,
451 U. S. 534
(1981);
Maine v. Thiboutot, 448 U. S.
1,
448 U. S. 4
(1980);
Owen v. City of Independence, 445 U.
S. 622,
445 U. S. 635
(1980). The Court's opinion purports to pursue an inquiry
Page 461 U. S. 66
into legislative intent, yet relies heavily upon state court
decisions decided well after the 42d Congress adjourned,
see
ante at
461 U. S. 48, n.
13. I find these cases unilluminating, at least in part because I
am unprepared to attribute to the 42d Congress the truly
extraordinary foresight that the Court seems to think it had. The
reason our earlier decisions interpreting § 1983 have relied upon
common law decisions is simple: members of the 42d Congress were
lawyers, familiar with the law of their time. In resolving
ambiguities in the enactments of that Congress, as with other
Congresses, it is useful to consider the legal principles and rules
that shaped the thinking of its members. The decisions of state
courts decided well after 1871, while of some academic interest,
are largely irrelevant to what members of the 42d Congress intended
by way of a standard for punitive damages.
In an apparent attempt to justify its novel approach to
discerning the intent of a body that deliberated more than a
century ago, the Court makes passing reference to our decisions
relating to common law immunities under § 1983. These decisions
provide no support for the Court's analysis, since they all plainly
evidence an attempt to discern the intent of the 42d Congress,
albeit indirectly, by reference to the common law principles known
to members of that body. In
Tenney v. Brandhove,
341 U. S. 367
(1951), one of our earliest immunity decisions, we phrased the
question whether legislators were immune from actions under § 1983
as follows:
"Did Congress, by the general language of its 1871 statute, mean
to overturn the tradition of legislative freedom achieved in
England by Civil War and carefully preserved in the formation of
State and National Governments here? Did it mean to subject
legislators to civil liability for acts done within the sphere of
legislative activity?"
Id. at
341 U. S. 376.
More recently, in
Newport v. Fact Concerts, Inc.,
453 U. S. 247,
453 U. S. 258
(1981), we said:
Page 461 U. S. 67
"It is by now well settled that the tort liability created by §
1983 cannot be understood in a historical vacuum. . . . One
important assumption underlying the Court's decisions in this area
is that members of the 42d Congress were familiar with common law
principles, including defenses previously recognized in ordinary
tort litigation, and that they likely intended these common law
principles to obtain, absent specific provisions to the
contrary."
Likewise, our other decisions with respect to common law
immunities under § 1983 clearly reveal that our consideration of
state common law rules is only a device to facilitate determination
of congressional intent. [
Footnote
2/6] Decisions from the
Page 461 U. S. 68
1970's, relied on by the Court, are almost completely irrelevant
to this inquiry into legislative intent.
III
The Court also purports to rely on decisions, handed down in the
second half of the last century by this Court, in drawing up its
rule that mere recklessness will support an award of punitive
damages. In fact, these decisions unambiguously support an actual
malice standard. The Court rests primarily on
Philadelphia, W. & B.R.
Co. v. Quigley, 21 How. 202 (1859), a diversity
tort action against a railroad. There, we initially observed that
in "certain actions of tort," punitive damages might be awarded,
and then described those actions as "[w]henever the injury
complained of has been inflicted maliciously or wantonly, and with
circumstances of contumely or indignity."
Id. at
62 U. S. 214.
As discussed previously,
461 U.S.
30fn2/3|>n. 3,
supra, it was relatively clear at
the time that "malice" required a showing of actual ill will or
intent to injure. Perhaps foreseeing future efforts to expand the
rule, however, we hastened to specify the type of malice that would
warrant punitive damages:
"the malice spoken of in this rule is not merely the doing of an
unlawful or injurious act. The word implies that the act complained
of
was conceived in the spirit of mischief, or of criminal
indifference to civil obligations."
21 How. at
62 U. S. 214
(emphasis added). It would have been difficult to have more clearly
expressed the "actual malice" standard. We explicitly rejected an
"implied malice" formulation, and then mandated inquiry into the
"spirit" in which a defendant's act was "conceived."
The Court does not address the requirement, explicitly set forth
in
Quigley, that punitive damages depend on the spirit in
which an act was conceived. Instead, focusing only on the words
"criminal indifference,"
ante at
461 U. S. 41-42,
n. 9, the Court
Page 461 U. S. 69
suggests that the use of this phrase indicates that
Quigley established no requirement of wrongful intent.
This is unlikely. An authority on criminal law in the 1870's
wrote:
"In no one thing does criminal jurisprudence differ more from
civil more than in its different doctrine concerning the intent.
The law, seeking justice between man and man, frequently holds one
to the civil consequences of his act, though he neither intended
the act, nor suffered himself to be influenced by an evil mind,
producing it unintended. . . . But the different nature of the
criminal law admits of no such distinction; for crime proceeds only
from a criminal mind. . . . "
* * * *
". . . There is only one criterion by which the guilt of men is
to be tested. It is whether the mind is criminal. . . . It is
therefore a principle of our legal system, as probably it is of
every other, that the essence of an offense is the wrongful intent,
without which it cannot exist."
1 J. Bishop, Criminal Law §§ 286-287 (5th ed. 1872).
Of course, as the Court notes, there are crimes based on
reckless or negligent conduct; it reasons from this that the
"criminality" requirement in
Quigley is not confined to
cases where persons act with wrongful intent. Yet the requirement
of "criminal" spirit is far more sensibly interpreted, not as
incorporating every possible twist and turn of criminal law, but as
reflecting "a principle of our legal system . . . that the essence
of an offence is the wrongful intent." 1 Bishop,
supra, §
287. Indeed, the Court's argument proves far too much: if we are to
assume that the reference to "criminal indifference" in
Quigley was meant, as the Court argues, to incorporate
every possible mental state that justifies the imposition of
criminal sanctions, then punitive damages would be available for
simple negligence. Plainly our decision in
Quigley does
not stand for this remarkable proposition.
Page 461 U. S. 70
Even assuming some ambiguity in our decision in
Quigley, however, the careful discussion of punitive
damages in
Day v.
Woodworth, 13 How. 363,
54 U. S. 371
(1852), dispels any doubts. While the Court dismisses this
treatment as "merely . . . a sidelight,"
ante at
461 U. S. 42, n.
9, in
Quigley, we evidently thought otherwise: in addition
to citing and relying explicitly on
Day, see 21 How. at
62 U. S.
213-214, we also drew our punitive damages standard from
that case.
Ibid. Day made it perfectly clear that
punitive damages cannot be awarded absent actual evil motive. It
reasoned that punitive damages are predicated on the "malice,
wantonness, oppression, or outrage of the defendant's conduct," and
stated the following standard:
"In actions of trespass, where the injury has been wanton and
malicious or gross and outrageous, courts permit juries to add to
the measured compensation of the plaintiff which he would have been
entitled to recover,
had the injury been inflicted without
design or intention, something further by way of punishment or
example."
13 How. at
54 U. S. 371
(emphasis added). Elsewhere in
Day, we explained that
punitive damages are awarded because of "moral turpitude or
atrocity."
Ibid. It is obvious from these references that
we understood the terms "malice" and "wantonness" as requiring that
a defendant have acted with evil purposes or intent to do injury.
It was with this understanding of the phrases in question that the
Quigley Court framed its rule, and, with this background,
any fair reading of that decision could not avoid the conclusion
that the Court intended to create an actual malice requirement.
Our decisions following 1871 indicate yet more clearly that we
adhered to an actual malice or intent to injure requirement in
punitive damages actions. In
Milwaukee & St. Paul R. Co. v.
Arms, 91 U. S. 489
(1876), a verdict against a railroad in a diversity action was
reversed because the jury was erroneously charged that it might
award punitive damages on
Page 461 U. S. 71
a finding of "gross negligence." The
Arms Court first
expressed reservations regarding the entire doctrine of punitive
damages, remarking that, since "the question of intention is always
material in an action of tort" in fixing compensatory damages,
permitting punitive damages based on the same element posed the
threat of double recovery. Nonetheless, acknowledging that the
remedy had been approved in
Day and
Quigley, the
Court concluded that the rule set forth in those decisions should
be followed. After quoting the passage in
Quigley,
discussed above, rejecting an implied malice and adopting an actual
intent to injure standard, the Court said:
"[The rule permitting punitive damages is] applicable to suits
for personal injuries received through the negligence of others.
Redress commensurate to such injuries should be afforded. In
ascertaining its extent, the jury may consider all the facts which
relate to the wrongful act of the defendant, and its consequences
to the plaintiff; but they are not at liberty to go farther, unless
it was done wilfully, or was the result of that reckless
indifference to the rights of others which is equivalent to an
intentional violation of them. . . . The tort is aggravated by
the evil motive, and on this rests the rule of exemplary
damages."
91 U.S. at
91 U. S. 493
(emphasis added). Read in context, this language strongly suggests
that an actual malice standard was intended. The rule of exemplary
damages "rests" on a defendant's "evil motive," and, while
"reckless indifference" may justify some awards of punitive
damages, it may do so only in "that" class of "reckless
indifference . . . which is equivalent to an
intentional
violation" of the plaintiff's rights.
Ibid. (emphasis
added).
This interpretation of the opinion in
Arms is the only
reading that can be squared with the holding of that case.
[
Footnote 2/7] The
Page 461 U. S. 72
Court held that it was error to give an instruction that "gross
negligence" would support a finding of punitive damages. This
instruction was condemned because "gross negligence" is "a relative
term," and "a word of description, and not of definition."
Id. at
91 U. S. 495.
The Court regarded "gross negligence" as too imprecise and
ill-defined a standard to support the extraordinary remedy of
punitive damages. Given this, it is more than a little peculiar to
read the
Arms opinion as supporting the recklessness
standard embraced by the Court.
A leading authority on the law of torts has written that
there
"is often no clear distinction at all between ['recklessness']
and 'gross' negligence, and the two have tended to merge and take
on the same meaning, of an aggravated form of negligence. . .
."
W. Prosser, Law of Torts § 34, p. 185 (4th ed.1971);
see
also 461 U.S.
30fn2/3|>n. 3,
supra. Given the virtual identity of
the two standards, a Court that held that "gross negligence" was
too imprecise a standard to warrant a punitive damages award would
not likely have intended its dicta to be read as adopting
"recklessness" as an alternative standard. In contrast, a standard
of culpability demanding inquiry into the wrongful mental state of
the defendant -- "evil motive,"
Page 461 U. S. 73
"conceived in the spirit of mischief, or of criminal
indifference," or "design or intention" to do injury -- is
different in kind, not just degree, from the "very careless"
standard explicitly rejected by the
Arms Court. This
standard is a significant step away from the "relative" and
ill-defined terms of "description" that the Court thought so
unsatisfactory; it seems obvious that the
Arms Court meant
to take just such a step.
Moreover, the meaning of the
Arms decision was made
abundantly clear in a case decided the same day
Arms was
handed down. In
Western Union Telegraph Co. v. Eyser,
91 U. S. 495
(1876), the Court reversed a decision of the Supreme Court of the
Territory of Colorado holding that on "no view of the evidence was
the court below justified in instructing the jury that exemplary
damages could be recovered." The Reporter of Decisions
explained:
"The [defendant's] omission to . . . give some other proper
warning . . . was an act of negligence, entitling the plaintiff to
compensatory damages. But there was nothing to authorize the jury
to consider the omission as
willful: on the contrary, the
evidence rebuts every presumption that there was
any
intentional wrong."
Id. at
91 U. S. 496
(emphasis added). [
Footnote 2/8]
The defendant in the case, who left electrical wires strung several
feet above the ground across a city street in Denver without any
real warning, may well have been reckless; certainly, as in fact
occurred, a jury could have reached this conclusion. But this was
irrelevant: in order to recover punitive damages, an "intentional
wrong" is what was needed.
Page 461 U. S. 74
Perhaps, by minute dissection of stray clauses in a few of the
foregoing decisions, combined with a studied refusal to confront
the plain intent underlying phrases like "evil motive," "design and
intention," and "intentional wrong," one could discern some shadowy
rule of liability resting on recklessness.
Ante at
461 U. S. 39-48.
Ninety years ago, however, the Court, after an exhaustive analysis
of the foregoing decisions, explicitly and unambiguously reached
precisely the opposite conclusion. In
Lake Shore & M. S. R.
Co. v. Prentice, 147 U. S. 101
(1893), the Court considered whether punitive damages were properly
awarded against a railroad in a diversity action. The Court noted
that the law on the subject was "well-settled,"
id. at
147 U. S. 107,
and paraphrased the
Quigley standard: the jury may award
punitive damages
"if the defendant has acted wantonly, or oppressively, or with
such malice as implies a spirit of mischief or criminal
indifference to civil obligations."
147 U.S. at
147 U. S. 107.
Then, as it had in
Day and
Arms, the Court
explained this formulation, observing that a "
guilty
intention on the part of the defendant is
required in
order to charge him with exemplary or punitive damages." 147 U.S.
at
147 U. S. 107
(emphases added). In addition, the Court quoted, with plain
approval, the following statements of the New Jersey Supreme Court
in
Haines v. Schultz, 50 N.J.L. 481, 484, 14 A. 488, 489
(1888):
"The right to award [punitive damages] rests primarily upon the
single ground -- wrongful motive. . . . It is the wrongful personal
intention to injure that calls forth the penalty. To this wrongful
intent knowledge is an essential prerequisite."
147 U.S. at
147 U. S. 110.
The Court went on to note that "criminal intent [is] necessary to
warrant the imposition of [punitive] damages,"
id. at
147 U. S. 111,
and elsewhere wrote that "wanton, malicious or oppressive intent"
and "unlawful and criminal intent," were required for the award of
such damages.
Ibid.; id. at
147 U. S. 114.
Prentice simply leaves no question that actual wrongful
intent, not just recklessness, was required for a
Page 461 U. S. 75
recovery of punitive damages, and, in addition, that this was
what "well-settled" law always had required. [
Footnote 2/9]
And once again, in
Scott v. Donald, 165 U. S.
58,
165 U. S. 86
(1897), we made it completely clear that actual malice was a
prerequisite to a recovery of punitive damages. In
Scott,
we held that a complaint alleging a constitutional tort stated
facts sufficient to support a claim for punitive damages. In so
holding we carefully analyzed our prior decisions respecting
punitive damages beginning with
Day and continuing through
Prentice. We repeated and applied the "well-settled" rule
contained in those cases:
"Damages have been defined to be the compensation which the law
will award for an injury done, and are said to be exemplary and
allowable in excess of the actual loss where a tort is aggravated
by
evil motive, actual malice, deliberate violence or
oppression."
165 U.S. at
165 U. S. 86
(emphasis added). The point could not be clearer. The Court today
fashions a federal standard for punitive damages,
see 42
U.S.C. § 1988 (1976 ed., Supp. V), yet steadfastly refuses to
follow those of our decisions speaking to that point. If it did, it
would adopt a standard requiring "evil motive, actual malice,
deliberate violence or oppression."
Ibid.
In addition, the decisions rendered by state courts in the years
preceding and immediately following the enactment of § 1983 attest
to the fact that a solid majority of jurisdictions took the view
that the standard for an award of punitive damages
Page 461 U. S. 76
included a requirement of ill will. [
Footnote 2/10] To be sure, a few jurisdictions followed
a broader standard; a careful review of the decisions at the time
uncovers a number of decisions
Page 461 U. S. 77
that contain some reference to "recklessness." And equally
clearly, in more recent years, many courts have adopted a standard
including "recklessness" as the minimal degree of culpability
warranting punitive damages. [
Footnote 2/11]
Most clear of all, however, is the fact that, at about the time
§ 1983 was enacted, a considerable number of the 37 States
Page 461 U. S. 78
then belonging to the Union required some showing of wrongful
intent before punitive damages could be awarded. [
Footnote 2/12] As the cases set out in the margin
reveal, it is but a statement
Page 461 U. S. 79
of the obvious that "evil motive" was the general standard for
punitive damages in many States at the time of the 42d
Congress.
Page 461 U. S. 80
In short, a careful examination of the decisions available to
the Members of the 42d Congress reveals a portrait different in
important respects from that painted by the Court. While
Page 461 U. S. 81
a few jurisdictions may have adopted a more lenient, if less
precise, standard of recklessness, the majority's claim that the
prevailing standard in 1871 was one of recklessness simply
Page 461 U. S. 82
cannot be sustained. The decisions of this Court, which were
likely well known to federal legislators, supported an
animus requirement. As we said in
Day v.
Woodworth, 13
Page 461 U. S. 83
How. 363 (1852), and
Philadelphia, W. & B.R.
Co. v. Quigley, 21 How. 202 (1859), a "spirit of
mischief " was necessary for an award of punitive damages. Among
the States,
Page 461 U. S. 84
there were many approaches to the imposition of punitive
damages, with a variety of standards prevailing throughout the
Nation. Nonetheless, a solid majority of jurisdictions followed the
rule that punitive damages require some element of "evil motive,"
"wickedness," or "formed design to injure and oppress." Thus, if we
are to adhere to the principle, consistently followed in our
previous decisions, that the members of the 42d Congress intended §
1983 to reflect existing common law rules, it is very likely that
wrongful animus was a prerequisite for an award of punitive
damages.
IV
Even apart from this historical background, I am persuaded by a
variety of additional factors that the 42d Congress intended a
"wrongful intent" requirement. As mentioned above, punitive damages
are not, and never have been, a favored remedy. In determining
whether Congress, not bound by
stare decisis, [
Footnote 2/13] would have embraced this
often-condemned doctrine, it is worth considering the judgment of
one of the most respected commentators in the field regarding the
desirability of a legislatively enacted punitive damages
remedy:
"It is probable that, in the framing of a model code of damages
today for use in a country unhampered by
Page 461 U. S. 85
legal tradition, the doctrine of exemplary damages would find no
place."
C. McCormick, Law of Damages 276 (1935).
In deciding whether Congress heeded such advice, it is useful to
consider the language of § 1983 itself -- which should, of course,
be the starting point for any inquiry into legislative intent.
Section 1983 provides:
"Every person who, under color of any statute, ordinance,
regulation, custom, or usage, of any State . . . subjects, or
causes to be subjected, any citizen of the United States or other
person within the jurisdiction thereof to the deprivation of any
rights, privileges, or immunities secured by the Constitution and
laws, shall be liable to the party injured in an action at law,
suit in equity, or other proper proceeding
for
redress."
(Emphasis added.)
Plainly, the statutory language itself provides absolutely no
support for the cause of action for punitive damages that the Court
reads into the provision. Indeed, it merely creates "liab[ility] to
the party injured . . . for redress." "Redress" means "[r]eparation
of, satisfaction or compensation for, a wrong sustained or the loss
resulting from this." 8 Oxford English Dictionary 310 (1933). And,
as the Court concedes, punitive damages are not "reparation" or
"compensation"; their very purpose is to punish, not to compensate.
If Congress meant to create a right to recover punitive damages,
then it chose singularly inappropriate words: both the reference to
injured parties and to redress suggests compensation, and not
punishment.
Other statutes roughly contemporaneous with § 1983 illustrate
that, if Congress wanted to subject persons to a punitive damages
remedy, it did so explicitly. For example, in § 59, 16 Stat. 207,
Congress created express punitive damages remedies for various
types of commercial misconduct. Likewise, the False Claims Act, §
5, 12 Stat. 698, provided a civil remedy of double damages and a
$2,000 civil forfeiture penalty for certain misstatements to the
Government. As one
Page 461 U. S. 86
Court of Appeals has remarked: "Where Congress has intended [to
create a right to punitive damages,] it has found no difficulty in
using language appropriate to that end."
United Mine Workers v.
Patton, 211 F.2d 742, 749 (CA4 1954). And yet in § 1983 one
searches in vain for some hint of such a remedy. [
Footnote 2/14]
In the light of the foregoing indications, it is accurate to say
that the foundation upon which the right to punitive damages under
§ 1983 rests is precarious, at the best. Given the extraordinary
diffidence and obliqueness with which the right was granted -- if
it was -- it seems more than a little unusual to read that grant as
incorporating the most expansive of the available views as to the
standard for punitive damages. Given the legislative ambiguity, the
sensible approach to the problem would be an honest recognition
that, if we are to infer a right to punitive damages, it should be
a restrained one, reflecting the Legislature's approach in creating
the right. And surely, the right ought to be limited by the view of
punitive damages that the Members of the 42d Congress would have
had -- not by what some state courts have done a century later.
An intent requirement, unlike a recklessness standard, is
logically consistent with the underlying justification for punitive
damages. It is a fundamental principle of American law that penal
consequences generally ought to be imposed only where there has
been some sort of wrongful
animus creating
Page 461 U. S. 87
the type of culpability warranting this treatment. As we said in
Morissette v. United States, 342 U.
S. 246,
342 U. S.
250-251 (1952):
"A relation between some mental element and punishment for a
harmful act is almost as instinctive as the child's familiar
exculpatory 'But I didn't mean to.'"
This principle
"is as universal and persistent in mature systems of law as
belief in freedom of the human will and a consequent ability and
duty of the normal individual to choose between good and evil."
Id. at
342 U. S. 250.
Indeed, as indicated previously, 19th-century decisions
consistently justified the imposition of a quasi-criminal "fine" by
reference to the "wickedness" or "evil" conduct of the defendant,
just as Oliver Wendell Holmes drew a sharp distinction between
accidentally and intentionally kicking an animal. Given that
punitive damages are meant to punish, it is difficult to believe
that Congress would have departed from the "instinctive,"
"universal and persistent" linkage in our law between punishment
and wrongful intent.
V
Finally, even if the evidence of congressional intent were less
clear-cut, I would be persuaded to resolve any ambiguity in favor
of an actual malice standard. It scarcely needs repeating that
punitive damages are not a "favorite of the law,"
see
supra at
461 U. S. 58,
owing to the numerous persuasive criticisms that have been leveled
against the doctrine. The majority reasons that these arguments
apply to all awards of punitive damages, not just to those under §
1983; while this is of course correct, it does little to reduce the
strength of the arguments, and, if they are persuasive, we should
not blindly follow the mistakes other courts have made.
Much of what has been said above regarding the failings of a
punitive damages remedy is equally appropriate here. It is
anomalous, and counter to deep-rooted legal principles and
common-sense notions, to punish persons who meant no harm, and to
award a windfall, in the form of punitive damages, to someone who
already has been fully compensated.
Page 461 U. S. 88
These peculiarities ought to be carefully limited -- not
expanded to every case where a jury may think a defendant was too
careless, particularly where a vaguely defined, elastic standard
like "reckless indifference" gives free reign to the biases and
prejudices of juries. In short, there are persuasive reasons not to
create a new punitive damages remedy unless it is clear that
Congress so intended.
This argument is particularly powerful in a case like this,
where the uncertainty resulting from largely random awards of
punitive damages will have serious effects upon the performance by
state and local officers of their official duties. [
Footnote 2/15] One of the principal
themes of our immunity decisions is that the threat of liability
must not deter an official's "willingness to execute his office
with the decisiveness and the judgment required by the public
good."
Scheuer v. Rhodes, 416 U.
S. 232,
416 U. S. 240
(1974). To avoid stifling the types of initiative and decisiveness
necessary for the "government to govern,"
Dalehite v. United
States, 346 U. S. 15,
346 U. S. 57
(1953) (Jackson, J., dissenting), we have held that officials will
be liable for compensatory damages only for certain types of
conduct. Precisely the same reasoning applies to liability for
punitive damages. Because punitive damages generally are not
subject to any relation to actual harm suffered, and because the
recklessness standard is so imprecise, the remedy poses an even
greater threat to the ability of officials to take decisive,
efficient action. After the Court's decision, governmental
officials will be subjected to the possibility of damages awards
unlimited by any harm they may have caused or the fact they acted
with unquestioned good faith: when swift action is demanded, their
thoughts likely will be on personal financial consequences that may
result from their conduct -- but whose limits they cannot predict
-- and not upon their
Page 461 U. S. 89
official duties. It would have been difficult for the Court to
have fashioned a more effective Damoclean sword than the
open-ended, standardless, and unpredictable liability it creates
today. [
Footnote 2/16]
Moreover, notwithstanding the Court's inability to discern them,
there are important distinctions between a right to
Page 461 U. S. 90
damages under § 1983 and a similar right under state tort law. A
leading rationale seized upon by proponents of punitive damages to
justify the doctrine is that "the award is . . . a covert response
to the legal system's overt refusal to provide financing for
litigation." D. Dobbs, Law of Remedies 221 (1973); K. Redden,
Punitive Damages § 2.4(C) (1980). Yet 42 U.S.C. § 1988 (1976 ed.,
Supp. V) provides not just a "covert response" to plaintiffs'
litigation expenses, but an explicit provision for an award to the
prevailing party in a § 1983 action of "a reasonable attorney's fee
as part of the costs." By permitting punitive damages as well as
attorney's fees, § 1983 plaintiffs, unlike state tort law
plaintiffs, get not just one windfall but two -- one for them and
one for their lawyer. This difference between the incentives that
are present in state tort actions and those in § 1983 actions makes
the Court's reliance upon the standard for punitive damages in the
former entirely inapposite: in fashioning a new financial lure to
litigate under § 1983, the Court does not act in a vacuum, but, by
adding to existing incentives, creates an imbalance of inducements
to litigate that may have serious consequences. [
Footnote 2/17]
Page 461 U. S. 91
The staggering effect of § 1983 claims upon the workload of the
federal courts has been decried time and again. The torrent of
frivolous claims under that section threatens to incapacitate the
judicial system's resolution of claims where true injustice is
involved; those claims which truly warrant redress are in a very
real danger of being lost in a sea of meritless suits. Yet,
apparently oblivious to this, the Court today reads into the
silent, inhospitable terms of § 1983 a remedy that is designed to
serve as a "bounty" to encourage private litigation. Dobbs,
supra, at 221. In a time when the courts are flooded with
suits that do not raise colorable claims, in large part because of
the existing incentives for litigation under § 1983, it is
regrettable that the Court should take upon itself, in apparent
disregard for the likely intent of the 42d Congress, the
Legislative task of encouraging yet more litigation. [
Footnote 2/18] There is a limit to what
the federal judicial system can bear.
Page 461 U. S. 92
Finally, by unquestioningly transferring the standard of
punitive damages in state tort actions to federal § 1983 actions,
the Court utterly fails to recognize the fundamental difference
that exists between an award of punitive damages by a federal
court, acting under § 1983, and a similar award by a state court
acting under prevailing local laws. While state courts may choose
to adopt such measures as they deem appropriate to punish officers
of the jurisdiction in which they sit, the standards they choose to
adopt can scarcely be taken as evidence of what it is appropriate
for a federal court to do.
See Edelman v. Jordan,
415 U. S. 651,
415 U. S. 677,
n.19 (1974). When federal courts enforce punitive damages awards
against local officials they intrude into sensitive areas of
sovereignty of coordinate branches of our Nation, thus implicating
the most basic values of our system of federalism. Moreover, by yet
further distorting the incentives that exist for litigating claims
against local officials in federal court, as opposed to state
courts, the Court's decision makes it even more difficult for state
courts to attempt to conform the conduct of state officials to the
Constitution.
I dissent.
[
Footnote 2/1]
See, e.g., Williams v. Bone, 74 Idaho 185, 189, 259
P.2d 810, 812 (1953);
Jolley v. Puregro Co., 94 Idaho 702,
709, 496 P.2d 939, 946 (1972);
Cays v. McDaniel, 204 Ore.
449,
283 P.2d
658 (1955);
First National Bank of Des Plaines v. Amco
Engineering Co., 32 Ill.App.3d 451, 455, 335 N.E.2d 591, 594
(1975).
See also the numerous cases cited at 25 C.J.S.,
Damages § 117(1), p. 1114, n. 18.5 (1966).
[
Footnote 2/2]
See also Spokane Truck & Dray Co. v. Hoefer, 2
Wash. 45, 56, 25 P. 1072, 1075 (1891) ("we believe that the
doctrine of punitive damages is unsound in principle, and unfair
and dangerous in practice . . .");
Roose v. Perkins, 9
Neb. 304, 315 (1879).
[
Footnote 2/3]
See the cases cited in
461 U.S.
30fn2/12|>n. 12,
infra. Decisions handed down at
the time the 42d Congress deliberated leave little question that,
when a court required a showing of malice in order to recover
punitive damages, an inquiry into the actual mental state of the
defendant -- his motives, intentions, knowledge, or design -- was
required. The Court reasons that, when used in connection with
punitive damages, "malice" really meant something akin to
recklessness. The cases simply do not support the claim. The term
"malice" often was prefaced with the qualifiers "actual" or
"express."
See, e.g., Barlow v. Lowder, 35 Ark. 492, 496
(1880);
Barnett v. Reed, 51 Pa.190, 191 (1865);
Boardman v. Goldsmith, 48 Vt. 403, 407, 411 (1875);
Ogg v. Murdock, 25 W.Va. 139, 146-147 (1884). When it was
not, the context in which it was used virtually always makes it
completely clear that an inquiry into the actual intentions and
motives of the defendant was required before punitive damages could
be awarded.
See, e.g., Brewer v. Watson, 65 Ala. 88, 96-97
(1880);
Kelly v. McDonald, 39 Ark. 387, 393 (1882);
Davis v. Hearst, 160 Cal. 143, 163-164, 116 P. 530,
539-540 (1911) ("malice of evil motive");
Huber v. Teuber,
10 D.C. 484, 489-491 (1871);
Jeffersonville R. Co. v.
Rogers, 38 Ind. 116, 124-125 (1871);
Curl v. Chicago, R.
I. & P. R. Co., 63 Iowa 417, 428-429, 19 N.W. 308 (1884);
Lynd v. Picket, 7 Minn. 184 (1862);
Carli v. Union
Depot, Street R. & T. Co., 32 Minn. 101, 104, 20 N.W. 89,
90 (1884);
Winter v. Peterson, 24 N.J.L. 524, 529 (1854);
Haines v. Schultz, 50 N.J. L. 481, 484-485, 14 A. 488, 489
(1888);
Causee v. Anders, 20 N.C. 246, 248 (1839);
Wirdham v. Rhame, 11 S.C.L. 283 (1858). And, even standing
alone, the term generally was understood to require inquiry into
the defendant's mental state:
"In malicious injuries, the injurer foresees the specific evil
result and wills it either explicitly or implicitly; in negligent
injuries, he may foresee a probable danger and may rashly risk the
consequences, without being chargeable with a malicious
intent."
"F. Wharton, Law of Negligence § 15 (1874)."
Of course, there was a "technical," 19 American and English
Encyclopedia of Law 623 (2 ed.1901), definition of the term that
had little to do with actual ill will, but which permitted such a
mental state to be presumed from the mere occurrence of an injury.
This virtually never was the basis for an award of punitive
damages: if it had been, such damages would have been available in
every tort action, which never was the rule in any jurisdiction.
The Court does not seriously argue otherwise.
Moreover, malice was often the standard employed in jury
instructions.
E.g., Hays v. Anderson, 57 Ala. 374 (1876);
Coleman & Newsome v. Ryan, 58 Ga. 132, 134 (1877);
Jeffersonville R. Co. v. Rogers, supra; Lynd v. Picket, supra;
Morely v. Dunbar, 24 Wis. 183 (1869). There is not the
slightest question that a jury of lay persons would have understood
the phrase as requiring actual ill will, desire to injure, or other
improper motive on the part of the defendant. "Malice" was defined
by a dictionary published at the approximate time § 1983 was
enacted as "extreme emnity of heart; a disposition to injure others
unjustly for personal gratification or from a spirit of revenge;
spite; deliberate mischief." Stormonth's English Dictionary 584
(1885).
See also Webster's Dictionary 804 (1869);
Worcester's Dictionary 873 (1860); 2 Abbott's Law Dictionary 72
(1879) ("a malignant design of evil . . . is the idea attached to
the word in popular use"). In short, the available authorities
demonstrate that, for purposes of punitive damages at the time of
the 42d Congress, "malice" imported an actual ill will, intent, or
improper motive requirement.
In a few cases decided roughly contemporaneously with the
enactment of § 1983, the terms "wanton" and "willful" were used,
together with other phrases, to define the proper standard for an
award of punitive damages. The Court finds little "ambiguity or
confusion" surrounding these terms, and concludes that they clearly
indicate a "recklessness" standard. The cases and commentators
disagree. As one treatise flatly states: "[T]he term
wanton'
has no peculiar legal signification. It has various meanings,
depending on the connection in which it is used." 40 Cyclopedia of
Law and Procedure 292-293 (1912). The "connection in which
[`wanton'] is used," ibid., in punitive damages cases
virtually always reveals that the word was merely an alternative
phrasing of the evil motive requirement. See, e.g., Pike v.
Dilling, 48 Me. 539 (1861); Wilkinson v. Drew, 75 Me.
360, 363 (1883); Devine v. Rand, 38 Vt. 621 (1866);
Boutwell v. Marr, 71 Vt. 1, 11, 42 A. 607, 610 (1899). In
the few cases where context does not make clear what was meant by
"wanton," several considerations suggest that it was likely that an
inquiry into the motives and intentions of the defendant was
intended. As a general proposition, when used in criminal contexts,
wanton meant that "the act done is of a wilful, wicked purpose." 30
American and English Encyclopedia of Law 3 (2d ed.1905). In
deciding whether to impose the "quasi-criminal" punishment of
punitive damages, this meaning likely would have been that intended
by courts using the phrase.
Moreover, as used in a jury instruction -- as occasionally was
the case,
see, e.g., Jeffersonville R. Co. v. Rogers,
supra, at 124-125;
Pike v. Dilling, supra -- the term
would have been understood by laymen to require some sort of evil
or dissolute intention.
See Stormonth's English Dictionary
1146 (1885); Webster's Dictionary 1490 (1869); Worcester's
Dictionary 1645 (1860). "Wantonly" most frequently was defined as
"lewdly," which in turn was regarded as synonymous with "wickedly."
Webster's Dictionary 768 (1869); Worcester's Dictionary 834 (1860).
The Court's claim that decisions predicating punitive damages on
wantonness reflected a recklessness standard is unfounded. The word
had no fixed meaning, and decisions using it must be examined
individually; to the extent the phrase did have a common meaning,
it was, particularly in the context of punitive sanctions, one
implying some sort of bad intent.
Likewise, the Court's conclusion regarding the meaning of
decisions using the phrase "willful" is unduly simplified. Like
"wanton," the phrase had no fixed meaning, 29 American and English
Encyclopedia of Law 114-117 (1895); for the meaning intended in a
particular context, reference must be had to the decisions at
issue,
see n.
461 U.S.
30fn2/12|>12,
infra. If one must generalize,
criminal law again is useful, given the "quasi-criminal" character
of punitive damages: "the word, as ordinarily used, means not
merely voluntarily, but with bad purpose," 29 American and English
Encyclopedia of Law 114 (1895). Even more important, however, is
the fact that "willful" seldom, if ever, was an independent
standard; rather, "willful injury" or "willfully illegal conduct"
were the typical contexts in which the phrase appeared. As to
these, even apart from the surrounding language of the punitive
damages decisions, it was clear that "[t]o constitute wilful injury
there must be design, purpose, intent to do wrong and inflict the
injury." 30 American and English Encyclopedia of Law 536 (2d
ed.1905). And, of course, a "willful trespass" or other misdeed
meant an intentionally wrongful act.
Id. at 525-529. Thus,
in jurisdictions using the term "willfully," the question generally
was whether the defendant knowingly and intentionally harmed the
plaintiff, or, alternatively, intentionally committed an act he
knew to be tortious or unlawful. In both these cases, inquiry into
the wrongful motive of the defendant plainly was demanded; of
course, recklessness does not satisfy this requirement.
The Court's discussion of the term "willful negligence" is of
little relevance to the common law standard for punitive damages.
The phrase seldom was used, particularly in the punitive damages
context, and when it was, it justifiably encountered vigorous
criticism. As one court remarked, the phrase "willful neglect" made
as much sense as "guilty innocence."
Kelly v. Malott, 135
F. 74 (CA7 1905). Faced with what appeared to be a
self-contradictory term, the likely reaction of juries, courts, and
Members of the 42d Congress would have been to focus on the
unequivocal intent and malice requirements common at the time. In
short, whatever general statements may have been made in some
treatises regarding "wanton" and "willful," in determining the
meaning of the terms in this context, a more careful inquiry is
demanded. As the foregoing discussion and the cases discussed
infra demonstrate, that inquiry makes it clear that the
Court's recklessness standard was seldom used at the time of the
enactment of § 1983.
[
Footnote 2/4]
"Recklessness" generally was defined as "heedlessness" or
"negligence," while synonyms included "careless." Stormonth's
English Dictionary 832 (1885). In strict legal terms, recklessness
is conduct somewhat more dangerous -- and therefore unreasonable --
than merely negligent conduct,
see Restatement (Second) of
Torts § 500 (1965); despite this distinction, it is plain that
recklessness is different from intentionally harmful conduct not
just in this type of degree, but in kind,
ibid., Comment
f.
Undoubtedly, the recklessness or objective unreasonableness of
particular conduct will be evidence of the intent of the actor,
see 461 U.S.
30fn2/8|>n. 8,
infra. This point has been
recognized by commentators on the subject. In 1 J. Sutherland, Law
of Damages (1882), for example, the author states the general rule
that
"[t]here is . . . a marked difference legally, as there is
practically, between a tort committed with and without malice;
between a wrong done in the assertion of a supposed right, and one
wantonly committed. . . . "
Id. at 716. The author, however, also observed that
"such recklessness or negligence
as evinces malice or
conscious disregard of the rights of others" will support a
punitive damages award.
Id. at 724 (emphasis added). It is
a far different thing to say, as Sutherland does, that the
defendant's recklessness is relevant to ascertaining ill will than
it is to say, as the Court does, that this lack of care
itself justifies punitive damages.
[
Footnote 2/5]
The same point was made in
Wise v. Daniel, 221 Mich.
229, 233, 190 N.W. 746, 747 (1922), where the court wrote:
"If a cow kicks a man in the face, the consequent physical hurt
may equal that from a kick in the face with a hob-nailed boot, but
the 'cussedness' of the cow raises no sense of outrage, while the
malicious motive back of the boot kick adds materially to the
victim's sense of outrage. If a man employs spite and venom in
administering a physical hurt, he must not expect his maliciousness
to escape consideration when he is cast to make compensation for
his wrong."
See also Inman v. Ball, 65 Iowa 543, 546, 22 N.W. 666,
668 (1885) ("To warrant a jury in inflicting damages by way of
punishment, it should appear that the act complained of was a
willful or malicious wrong. . . . This is a very different state of
mind and purpose from that of a person who has no more than good
reason to believe his act is wrongful").
[
Footnote 2/6]
See also Briscoe v. LaHue, 460 U.
S. 325,
460 U. S. 337,
460 U. S. 345
(1983) ("[N]o evidence that Congress intended to abrogate the
traditional common law witness immunity in § 1983 actions," and
"[i]n 1871, common law immunity for witnesses was well settled");
Imbler v. Pachtman, 424 U. S. 409,
424 U. S.
417-418 (1976) ("
Tenney squarely presented the
issue of whether the Reconstruction Congress had intended to
restrict the availability in § 1983 suits of those immunities which
historically, and for reasons of public policy, had been accorded
to various categories of officials");
Procunier v.
Navarette, 434 U. S. 555,
434 U. S. 561
(1978) ("Although the Court has recognized that, in enacting §
1983, Congress must have intended to expose state officials to
damages liability in some circumstances, the section has been
consistently construed as not intending wholesale revocation of the
common law immunity afforded government officials");
Carey v.
Piphus, 435 U. S. 247,
435 U. S. 255
(1978) ("The Members of the Congress that enacted § 1983 did not
address directly the question of damages, but the principle that
damages are designed to compensate persons for injuries caused by
the deprivation of rights hardly could have been foreign to many
lawyers in Congress in 1871");
Wood v. Strickland,
420 U. S. 308,
420 U. S.
316-318 (1975) (relying upon common law tradition).
Our decision in
Pierson v. Ray, 386 U.
S. 547,
386 U. S.
553-554 (1967), was based squarely on an attempt to
determine what the 42d Congress intended in enacting § 1983. Chief
Justice Warren wrote:
"Few doctrines were more solidly established at common law than
the immunity of judges from liability for damages for acts
committed within their judicial jurisdiction, as this Court
recognized when it adopted the doctrine, in
Bradley v.
Fisher, 13 Wall. 335 (1872)."
Similarly, our decision in
Imbler v. Pachtman, supra,
at
424 U. S. 421,
was
"predicated upon a considered inquiry into the immunity
historically accorded the relevant official at common law
and the interests behind it."
(Emphasis added.)
[
Footnote 2/7]
Elsewhere in the
Arms opinion, the Court stated that an
award of punitive damages is available only where there was "some
wilful misconduct, or that entire want of care which would raise
the presumption of a
conscious indifference to
consequences." 91 U.S. at
91 U. S. 495
(emphasis added). The Court notes the problems in transforming
"indifference . . . into intent,"
ante at
461 U. S. 43-44,
n. 10, without confronting the equally difficult task of
transforming "conscious[ness]" into inadvertence. Plainly, the
question whether a defendant was "conscious" of a certain fact
demands inquiry into his subjective mental state, not merely an
objective determination of the reasonableness of his conduct. As
others have observed: "When willfullness enters, negligence steps
out. The former is characterized by advertence, and the latter by
inadvertence."
Christy v. Butcher, 153 Mo.App. 397, 401,
134 S.W. 1058, 1059 (1911). Yet, on reflection, the
Arms
formulation need not be regarded as self-contradictory: reckless
and negligent conduct may be considered, and are highly probative,
in determining whether to award punitive damages. They serve,
however, as evidence of "willful misconduct," "evil motive," or a
conscious choice to impose known injury on another, not as
the standard for liability itself.
[
Footnote 2/8]
This Court's understanding of the term "willfully" was clearly
stated in
Felton v. United States, 96 U. S.
699,
96 U. S. 702
(1878), where, in an action to recover a $1,000 penalty from a
distiller, the Court said: "Doing or omitting to do a thing
knowingly and willfully implies not only a knowledge of the thing,
but a determination with a bad intent. . . ." Likewise, it quoted
with approval from a Massachusetts decision stating that
"willfully" ordinarily means "not merely
voluntarily,' but with
a bad purpose." Ibid. See also 461 U.S.
30fn2/3|>n. 3, supra.
[
Footnote 2/9]
The Court does not attempt to explain the unequivocal and
repeated statements in
Prentice regarding the necessity of
showing "guilty intention." It relies instead on the Court's
quotation from a state case that observed in passing that punitive
damages have been assessed on "evidence of such willfullness,
recklessness or wickedness . . . as amounted to criminality." 147
U.S. at
147 U. S. 115.
Not only is this statement at best ambiguous, but the Court
mentioned the state case only in its discussion of principles of
respondeat superior, not in its earlier discussion of the
standard for punitive damages.
[
Footnote 2/10]
Legal treatises in use in the 1870's do not support the
majority's assertion that punitive damages could be awarded on a
showing of gross negligence, recklessness, or serious indifference
to the rights of others. Instead, they support the rather
unsurprising proposition that, among the courts of the several
States in the late 1870's, several views regarding punitive damages
had evolved. Addison's Treatise on the Law of Torts says,
"in all cases of
malicious injuries and trespasses
accompanied by personal insult, or oppressive and cruel
conduct, juries are told to give what are called exemplary
damages."
2 C. Addison, Law of Torts 645 (1876) (emphasis added). The
treatise continues:
"Wherever the wrong or injury is of a grievous nature, done with
a high hand, or is accompanied with deliberate intention to injure,
or with words of contumely and abuse, and by circumstances of
aggravation, the jury"
may award punitive damages.
Ibid. In a footnote,
Addison indicates that "malice" has been interpreted in several
ways, including "an intention to set at defiance the legal rights
of others," "wantonness or a willful disregard of the rights of
others," "such a wanton character that it might properly be said to
be willful," and "a disregard for the rights of others."
Id. at 646-647, n. 1. Plainly, as discussed in greater
detail below, different States applied different rules, and that is
all the treatise writer purported to say.
A similar pattern is followed in other hornbooks popular at the
time. The authors make reference to some decisions articulating an
actual ill-will standard, while citing as well to decisions
accepting a recklessness rule.
Compare J. Deering, Law of
Negligence § 415, text accompanying n. 1 (1886),
with id.
at text accompanying n. 7; G. Field, Law of Damages § 78 (1876)
("The rule we have furnished not only requires that the act done
should be injurious, and that actual loss be sustained thereby to
the plaintiff, but also that it be willfully injurious. The
animus of the wrongdoer is an important question to be
considered in such cases, as it is in criminal cases. The wrong
must be intended, and the result of a spirit of mischief,
wantonness, or of criminal indifference to civil obligations, or
the rights of others, from which malice may well be inferred"),
with id., § 84 at 91, n. 4 (gross negligence applied in an
Iowa case); F. Hilliard, Law of Remedies for Torts 598-599 (2d ed.
1873) (detailing different standards prevailing); 2 S. Thompson,
Law of Negligence 1264-1265 (1880) (noting conflicting views
regarding intent requirement).
Moreover, Professor Greenleaf, one of the most respected legal
commentators of his time, entirely denied the existence of any
doctrine of punitive damages. 2 S. Greenleaf, Law of Evidence § 253
(15th ed. 1892). While his view has prevailed in a substantial
minority of American jurisdictions,
see supra, in many
States it concededly has not been followed. Its importance for our
purposes, however, lies in the fact that it was the considered
judgment of a respected scholar, published and available at the
time § 1983 was enacted. Likewise, in 1 J. Sutherland, Law of
Damages (1882), the author notes that "bad motive" is necessary for
an award of punitive damages, while permitting such a motive to be
inferred from proof of negligent or reckless conduct.
Id.
at 716, 724. Similarly, Judge Mayne's Treatise on Damages indicated
that the applicable standard for an award of punitive damages
required some sort of improper motive. J. Mayne, Law of Damages 41
(1856).
[
Footnote 2/11]
See the cases cited by the Court,
ante at
461 U. S. 48, n.
13. In this regard, it is useful to consider a position commonly
held in 1871, and not infrequently followed today. A number of
States adhered to the requirement that actual ill will towards a
victim was the standard for punitive damages, but permitted jurors
to infer this mental state from the character of the tortfeasor's
conduct.
E.g., Malone v. Murphy, 2 Kan. 250, 263 (1864)
(jury "may infer malice from want of probable cause, but they are
not bound so to infer it");
Lyon v. Hancock, 35 Cal. 372,
376 (1868) ("Malice . . . is generally to be inferred from facts
and circumstances");
Farwell v. Warren, 51 Ill. 467, 472
(1869) ("actuated by malice" which may be inferred from "wanton,
willful or reckless disregard");
Addair v. Huffman, 156
W.Va. 592,
195 S.E.2d
739 (1973);
Columbus Finance, Inc. v. Howard, 42 Ohio
St.2d 178, 327 N.E.2d 654 (1975). As one lower court described it,
"fraud, oppression or malice" are necessary to recover punitive
damages, but these elements "may be inferred from acts constituting
such gross negligence as to warrant the inference of or be deemed
equivalent to an evil intent."
Schuman v.
Chatman, 184 Okla. 224,
227,
86 P.2d 615,
618 (1938). It is important to appreciate, however, that there is a
fundamental distinction between the
standard for punitive
damages and the
evidence the jury may rely upon in meeting that
standard. To say that reckless behavior may, with other
evidence, permit the jury to infer a particular mental state is not
to say, as the Court does, that reckless behavior alone satisfies
the punitive damages claimant's standard of proof.
[
Footnote 2/12]
See, e.g., Roberts v. Heim, 27 Ala. 678, 683 (1855)
("the law allows [punitive damages] whenever the trespass is
committed in a rude, aggravating, or insulting manner, as malice
may be inferred from these circumstances");
Brewer v.
Watson, 65 Ala. at 96-97 ("it is clear . . . that where [a
public] officer acts in good faith, he is not liable to exemplary
damages"; "there can clearly be no recovery of exemplary . . .
damages, without proof of" acts committed "maliciously, and with
intent to injure");
Hays v. Anderson, 57 Ala. at 378;
Barlow v. Lowder, 35 Ark. at 496 (instruction that
"exemplary damages [are] allowed as a punishment for torts
committed with fraud, actual malice, or deliberate violence or
oppression" held a "textbook principle");
Kelly v.
McDonald, 39 Ark. at 393 ("Exemplary damages ought not to be
given unless in cases of intentional violation of another's right
or when a proper act is done with an excess of force or violence,
or with a malicious intent to injure another in his person or
property");
Ward v. Blackwood, 41 Ark. 295, 299-301 (1883)
(emphasis added) (punitive damages denied because "there was
brk:
no evidence of previous malice, nor of deliberate cruelty, only
of hot blood and a
certain recklessness"; charge requiring
"a wanton and willful manner, and under circumstance of outrage,
cruelty and oppression, or with malice" approved);
Dorsey v.
Manlove, 14 Cal. 553, 558 (1860) (holding that absence of "bad
faith," "wanton or malicious motives," or "willfully unjust or
oppressive" conduct barred punitive damages; reference in dicta to
"reckless disregard" not applied);
Nightingale v.
Scannell, 18 Cal. 315, 325 (1861);
Lyon v. Hancock, supra;
Davis v. Hearst, 160 Cal. at 163-164, 116 P. at 539-540
("malice of evil motive" necessary to recover punitive damages in
California);
Doroszka v. Lavine, 111 Conn. 575, 150 A. 692
(1930) (reviewing cases limiting punitive damages to amount of
attorney's fees);
Dibble v. Morris, 26 Conn. 416, 426-427
(1857) ("settled" that jury can award "vindictive [damages] in
proportion to the degree of malice or wantonness evinced by the
defendant");
Welch v. Durand, 36 Conn. 182 (1869) (special
rule for ultrahazardous activities);
Dalton v. Beers, 38
Conn. 529 (1871);
Huber v. Teuber, 10 D.C. at 489-491
(punitive damages "are sometimes allowable . . . as punishment of a
quasi-criminal character for the wantonness and malice which
inspired the wrong of the defendant"; "malignant motives" and
"improper motive" required);
Yahoola River Mining Co. v.
Irby, 40 Ga. 479, 482 (1869) ("bona fide belief" by defendant
that he was acting lawfully bars punitive damages);
Green v.
Southern Express Co., 41 Ga. 515 (1871) (jury charge requiring
"a desire to injure the accused" approved);
Coleman &
Newsome v. Ryan, 58 Ga. at 134, 135 (instruction that jury
might award "vindictive damages, if they believed that the conduct
of [the defendant] was malicious, and for the purpose of breaking
up plaintiff's business");
Jeffersonville R. Co. v.
Rogers, 38 Ind. at 124-125 (charge requiring "the spirit of
oppressive malice or wantonness" approved);
Moore v.
Crose, 43 Ind. 30, 34-36 (1873) (punitive damages award
reversed since "[t]here [were] no elements of malice, insult, or
deliberate oppression in the case . . . [and] appellant was acting
under the belief that he had a valid right");
Thomas v.
Isett, 1 Greene 470, 475 (Iowa 1848) ("wanton, rude, and
aggravating manner, indicating malice or a desire to injure" needed
for punitive damages);
Frink & Co. v. Coe, 4 Greene
555, 559 (Iowa 1854) (special rule for common carriers);
Brown
v. Allen, 35 Iowa 306, 311 (1872) (instruction that
brk:
malice-in-law would support punitive damages reversed; "This was
clearly erroneous. It is an abrogation of the distinction between a
simple trespass and its consequences and a malicious one justifying
exemplary damages. A simple trespass, because unlawful, might be,
under the instruction, visited with punitive damages however
honestly the defendants may have believed they had the lawful right
to take possession of the property in question");
Fuller v.
Chicago & N.W. R. Co., 31 Iowa 187, 204 (1871);
Curl
v. Chicago, R. I. & P. R. Co., 63 Iowa at 428-429, 19 N.W.
308 (instruction permitting punitive damages if defendant
"willfully used unnecessary force" held improper: "This instruction
is erroneous in that it does not make the recovery of exemplary
damages dependent upon malice of the wrongdoer. It holds that the
willful use of unnecessary force is a ground for allowing exemplary
damages. An act willfully done may not be accompanied by malice,
that is, a spirit of emnity, malevolence or ill will, with a
desire to harm and a disposition to injure");
Inman v.
Ball, 65 Iowa at 465, 22 N.W. at 668 (Rothrock, J.) ("To
warrant a jury in inflicting damages by way of punishment, it
should appear that the act complained of was a willful or malicious
wrong.
There must be a purpose or intent to harass, oppress, or
injure another. This is a very different state of mind and purpose
from that of a person who has no more than good reason to believe
his act is wrongful");
Wentworth v. Blackman, 71 Iowa
255, 256-257, 32 N.W. 311, 311-312 (1887) (Rothrock, J.) (reversing
award of punitive damages; "malicious act," which demands inquiry
into defendant's "motives," required);
Cameron v. Bryan,
89 Iowa 214, 56 N.W. 434 (1893) (Rothrock, J.) ("willful and
malicious" conduct necessary);
Stinson v. Buisson, 17 La.
567, 572 (1841) ("redress in damages should . . . be proportioned
to the injury sustained, unless it be where they are given as an
example to deter others from similar conduct in future, and really
for the purpose of punishing men for their bad motives and
intentions");
Biggs v. D'Aquin Bros., 13 La.Ann. 21, 22
(1858) (no punitive damages awardable against party acting in "good
faith");
Wilkinson v. Drew, 75 Me. at 363 (while punitive
damages are recoverable "in case, as well as trespass," to recover
them, jury must find "that the act or omission of the defendant was
willful and wanton," with "wantonly" explicitly defined as
"indicating wicked intent");
Pike v. Dilling, 48 Me. at
543 (court approves instruction that punitive damages are awardable
if defendant acted "wantonly," quoting statement requiring that
defendant acted "
under the influence of actual malice, or with
the intention to injure the plaintiff'"); Schindel v.
Schindel, 12 Md. 108, 122-123 (1858) ("The man who, from bad
and malicious intentions, commits a trespass, ought, in justice,
to
brk:
be dealt with more harshly than one who acts from no vicious
feelings, but ignorantly");
Baltimore & Ohio R. Co. v.
Blocher, 27 Md. 277, 287 (1867);
Zimmerman v. Helser,
32 Md. 274, 278 (1869) (no punitive damages unless the defendant
acts by "mere
pretence for the purpose of perpetrating a
wrong");
Friend v. Hamill, 34 Md. 298, 304-307, 314 (1870)
("malice, ill-will or corruption" necessary for punitive damages);
Ellis v. Brockton Publishing Co., 198 Mass. 538, 542, 84
N.E. 1018, 1019 (1908) (punitive damages have not been and are not
recoverable);
Hyatt v. Adams, 16 Mich. 180, 198-199 (1867)
(refusal to charge that "if from the evidence no evil motive be
imputed to the defendant, then the rule of compensation is fixed by
law, and . . . exemplary damages are not allowable," reversed);
Goetz v. Ambs, 27 Mo. 28, 32-33 (1858) ("[I]ntention . . .
only becomes material in considering the question of exemplary
damages. If the injury is not intentional, but results simply from
a want of proper care, nothing more should be recovered than will
compensate for the actual damage. . . . [But if] willfulness -- a
wrongful act, done intentionally . . ." exists, punitive damages
are available);
McKeon v. Citizens' R. Co., 42 Mo. 79, 87
(1867) (neither recklessness nor gross negligence supports punitive
damages, which "can be given, if ever in a civil case, only in
cases where the injury is intentionally, willfully, and maliciously
done");
Lynd v. Picket, 7 Minn. at 201 (instruction that,
if defendants, knowing plaintiff's property "to be exempt, wilfully
and maliciously attached [it with] the purpose of harassing and
oppressing" him, then punitive damages are awardable explicitly
approved as indicating "the facts necessary to be proved in order
to justify [the jury] in giving exemplary damages"; "malice"
includes acts defendant "know[s]" are "wrong and unlawful");
Carli v. Union Depot, Street R. & T. Co., 32 Minn. at
104, 20 N.W. at 90 (punitive damages "properly awarded only where
the trespass appears to have been wanton, willful, or malicious, --
a conscious violation of the [plaintiff's] rights");
Whitfield
v. Whitfield, 40 Miss. 352, 366-367 (1866) (punitive damages
require "malice, fraud, oppression, or wilful wrong"; no punitive
damages if defendant "acts in good faith, and with no intent
injuriously to affect plaintiff's rights");
Memphis &
Charleston R. Co. v. Whitfield, 44 Miss. 466, 488 (1870)
(actual intent rule "modified somewhat in . . . application,
particularly to passenger carriers by steam");
Fay v.
Parker, 53 N.H. 342 (1872) (no prior decision adopts rule of
punitive damages; doctrine rejected entirely);
Winter v.
Peterson, 24 N.J.L. at 529 (if official acted "not only . . .
without authority, but maliciously, he was liable to exemplary
damages"; "maliciously" means "from improper motives");
Haines
v. Schultz, 50 N.J.L. 481, 484485, 14 A. 488-489 (1888)
(punitive damages "res[t] primarily on a single ground -- wrongful
motive. . . . [I]t is the wrongful personal intention to injure
that calls forth the penalty"; "punitive damages res[t] upon a
wrongful motive of the defendant");
King v. Patterson, 49
N.J.L. 417, 419-420, 9 A. 705, 706 (1887) (while "malice" may not
always mean actual ill will, when awarding punitive damages,
"malicious motive was required");
Causee v. Anders, 20
N.C. at 248 (punitive damages proper where defendant was "actuated
by malice and a total disregard of the laws");
Louder v.
Hinson, 49 N.C. 369, 371 (1857) (charge requiring desire "to
wreak their vengeance" on the plaintiffs and "harass and insult
them" approved);
Roberts v. Mason, 10 Ohio St. 277,
279-280 (1859);
Simpson v. McCaffrey, 13 Ohio 508, 522
(1884) (punitive damages available "for the wicked, corrupt, and
malignant motive and design, which prompted [the guilty party] to
the wrongful act");
Rayner v. Kinney, 14 Ohio St. 283, 287
(1863) (exemplary damages are "a punishment which should only
attach to a wrongful intention. [W]here no wrongful intention is
found, there is no just ground for the punishment of the
defendant");
Barnett v. Reed, 51 Pa. at 191, 196
(instruction that, absent "actual malice or design to injure, the
rule is compensatory damages; but where actual malice exists, a
formed design to injure and oppress, the jury may give
brk:
vindictive damages," termed "unexceptionable");
M'Cabe v.
Morehead, 1 Watts & Serg. 513, 516 (Pa. 1841);
Herdic
v. Young, 55 Pa. 176, 177 (1867);
McDevitt v. Vial, 7
Sadler 585, 590, 11 A. 645, 648-649 (Pa. 1887) (charge requiring "a
high handed spirit, and a disposition to oppress and do wrong"
approved);
Herreshoff v. Tripp, 15 R.I. 92, 94, 23 A. 104,
105 (1885) (punitive damages "only when the defendant has acted
maliciously or in bad faith");
Windham v. Rhame, 11 S.C.L.
at 285-287 (where evidence "show[s] a malicious motive, . . .
damages may be awarded not only to recompense the plaintiff, but to
punish the defendant"; jury must "ascertain if the act be the
result of accident or negligence, or of deliberate and evil
purpose," and in latter instance, where injury results from
"malfeasance," "an amount beyond the pecuniary loss should be
given, by way of punishment"; "motive," "malicious purpose," and
"intention" dispositive; statement that punitive damages require
showing that defendant "malevolently with a view to harass, vex and
insult the plaintiff" quoted with approval);
Cole v.
Tucker, 6 Tex. 266, 268 (1851) (punitive damages if "fraud,
malice, or wilful wrong" or "a desire to injure" exist);
Neill
v. Newton, 24 Tex. 202, 204 (1859) (failure to allege
"aggravated circumstances of misrepresentation and deception" bars
punitive damages);
Bradshaw v. Buchanan, 50 Tex. 492, 494
(1878) (punitive damages award reversed because "there is no
evidence tending to show that appellants were actuated by malice .
. . or that they [acted] wantonly, or with the intent to vex,
harass, injure, or oppress him. On the contrary, the evidence
strongly tends to show that they were actuated by no such motive");
Parsons v. Harper, 57 Va. 64, 78 (1860) (dictum; if an
"act were done without malice, the party might not be liable to
exemplary and vindictive damages");
Virginia Railway &
Power Co. v. House, 148 Va. 879, 886, 193 S.E. 480, 482 (1927)
("well settled" law requires reversing punitive damages award
because there was no evidence of "any malicious or willful wrong");
Borland v. Barrett, 76 Va. 128 (1882) (punitive damages no
different from compensatory damages in Virginia);
Devine v.
Rand, 38 Vt., at 626 (emphasis added) (Since punitive damages
"depen[d]
entirely upon the character and purpose of the
defendant's acts, the usual evidence must be admissible to
ascertain the disposition and intention which prompted them";
punitive damages depend on "wickedness and willfulness");
Lombard v. Batchelder, 58 Vt. 558, 559-560, 5 A. 511, 512
(1886) ("malicious," "improper," and "evil" motive necessary);
Boutwell v. Marr, 71 Vt. at 11, 42 A. at 610 ("wanton
desire to injure");
Earl v. Tupper, 45 Vt. 275, 287-288
(1873) (after discussing rule in some States, court holds that
punitive damages are "to be governed wholly by the malice or
wantonness of the defendant");
Hoadley v. Watson, 45 Vt.
289, 292 (1873) (punitive damages available "on account of the bad
spirit and wrong intention of the defendant");
Boardman v.
Goldsmith, 48 Vt. at 407, 411 (instruction requiring that
defendant "acted with express malice, intending to injure or
disgrace the plaintiff" approved);
Ogg v. Murdock, 25
W.Va. at 146-147 (approves, as "correct rule," statement
brk:
"when . . . there is no actual malice or design to injure, the
rule is to allow compensatory damages; but when actual malice
exists, a formed design to injure and oppress, the jury may give
vindictive damages"; holds "there being no proof of an intent to
injure and oppress the plaintiff, the jury were not authorized to
find that the defendant was actuated by malice, and consequently
they were not justified in giving vindictive damages");
McWilliams v. Bragg, 3 Wis. 424, 431 (1854) ("where . . .
injury is inflicted under circumstances of aggravation, insult or
cruelty, with vindictiveness and malice" punitive damages
available);
Barnes v. Martin, 15 Wis. *240, *245 (1862)
(punitive damages not awardable "unless the jury should find that
the acts [of the defendant] were without apparent cause, and
proceeded from wanton or malicious motives");
Morely v.
Dunbar, 24 Wis. 183, 186-187 (1869) (charge requiring
"aggravation, insult, or cruelty, with vindictiveness or malice"
approved; "malice" and "motive" are basis for punitive damages);
Hooker v. Newton, 24 Wis. 292, 293 (1869) (approving
charge requiring malice and intent to injure);
Hamlin v.
Spaulding, 27 Wis. 360, 364 (1870) (defendant must act "in bad
faith, and, if not with actual malice, at least for the purpose of
serving some ulterior object outside of the administration of
criminal justice");
Pickett v. Crook, 20 Wis. 358 (1866)
(not followed outside context of failure to control vicious
animals);
Topolewski v. Plankinton Packing Co., 143 Wis.
52, 70, 126 N.W. 554, 560 (1910) ("the court has uniformly held
that punitory damages are not allowable at all without the element
of malice[;] the defendant [must have] acted with bad intent of
some sort").
The Court's treatment of law prevailing in 1871 relies
principally upon state court decisions from the 1880's and 1890's.
These cases are admittedly somewhat more relevant to what the 42d
Congress intended than the 20th-century cases cited by the Court;
particularly if they explain prior decisions, these cases may
reflect a well-settled understanding in a particular jurisdiction
of the law regarding punitive damages. Yet decisions handed down
well after 1871 are considerably
less probative of
legislative intent than decisions rendered before or shortly
subsequent to the enactment of § 1983: it requires no detailed
discussion to demonstrate that a Member of the 42d Congress would
have been more influenced by a decision from 1870 than by one from
the 1890's. Accordingly, the bulk of the cases cited by the Court
must be ignored; they simply illustrate the historical shift in
legal doctrine, pointed out in text, from an actual intent standard
to a recklessness standard. If the Court is serious in its
attention to 19th-century law, analysis must focus on the common
law as it stood at the time of the 42d Congress. Here,
notwithstanding the Court's numerous attempts to explain why
decisions do not mean what they plainly say, it remains clear that,
in a majority of jurisdictions, actual malice was required in order
to recover punitive damages.
[
Footnote 2/13]
In 1864, the Kansas Supreme Court, although bound by prior
precedent, agreed with Professor Greenleaf's condemnation of
punitive damages,
see 461 U.S.
30fn2/10|>n. 10,
supra, and said "were the question
an open one, we should be inclined to [compensation only]."
Malone v. Murphy, 2 Kan. at 261.
See also Sullivan v.
Oregon Railway & Navigation Co., 12 Ore. 392, 7 P. 508
(1885).
[
Footnote 2/14]
I agree with the Court's conclusion that the Act of May 31,
1870, § 2, 16 Stat. 140, is "revealing." That statute, like § 1983,
was a Reconstruction civil rights statute. It created a private
cause of action for persons suffering from racial discrimination in
voting registration, and explicitly allowed recovery of a $500
civil penalty by the person aggrieved. Similar provision for
recovery of punitive damages is conspicuously absent from § 1983.
Likewise, the Act clearly conditions the award of damages on a
knowing violation of the civil rights laws. It is difficult to see
what comfort the Court derives from the section. It merely
demonstrates that, when Congress wished to impose punitive damages
on a party, it did so explicitly, and, even then, required more
than recklessness.
[
Footnote 2/15]
This is not a new concern,
see, e.g., Brewer v. Watson,
65 Ala. at 96-97 (absent an actual malice standard for punitive
damages, "few men fit for such positions could be induced to accept
public trusts of this character").
[
Footnote 2/16]
The Court relies all but exclusively on the notion that a
recklessness standard for punitive damages is necessary to deter
unconstitutional conduct by state officials. The issue is a little
more complicated. The deterrence the Court pursues necessarily is
accompanied by costs: as our decisions regarding common law
immunities explicitly recognize,
see cases cited in
461 U.S.
30fn2/6|>n. 6,
supra, the imposition of personal
liability on officials gravely threatens their initiative and
judgment, and scarcely serves to make public positions attractive
to competent, responsible persons. While constitutional rights are
high on our scale of values, so is an effective performance of the
countless basic functions that modern governments increasingly have
come to perform. In fashioning a punitive damages standard, we
should seek to achieve that level of deterrence that is most worth
the costs it imposes.
The Court, however, simply ignores the potential costs of the
standard it embraces. This single-minded desire to deter
unconstitutional official actions would not logically stop at
recklessness; awarding punitive damages on the basis of mere
negligence, or on a strict liability basis, might result, in the
short term, in even less unconstitutional conduct. Yet, just as
with the Court's recklessness standard, this deterrence would come
at too costly a price. The Court is unable to give any reason,
related to achieving deterrence at a cost sensibly related to
benefits obtained, for its choice of a recklessness standard. It
offers no response to the obvious distinctions between the standard
for punitive damages in state law tort actions and that in § 1983
actions, where § 1988 provides attorney's fees and where issues of
federalism are involved. It does not even attempt to discuss the
plainly relevant question whether insurance may be obtained against
punitive damages awards.
While fully recognizing that the issue is a complex one, in my
judgment, the dangers that accompany the vague recklessness
standard adopted by the Court far outweigh the deterrence achieved
thereby. Recklessness too easily shades into negligence,
particularly when the defendant is an unpopular official -- whether
because of his official actions or for more invidious reasons.
Punitive damages are not bound by a measure of actual damages, so
when a jury does act improperly, the harm it may occasion can be
great. These threats occur in an area -- the provision of
governmental services -- where it is important to have efficient,
competent public servants. I fear that the Court's decision poorly
serves this goal, and that in the end, official conduct will be
less useful to our citizens, not better.
[
Footnote 2/17]
In this respect, Congress' attitude towards punitive damages as
revealed by its treatment of the subject in the Civil Rights Act of
1968 is highly illuminating. There, in marked contrast to § 1983,
Congress explicitly included a right to punitive damages; notably,
however, that right was limited to recoveries of $1,000. 42 U.S.C.
§ 3612(c). While Congress may have thought punitive damages
appropriate in some cases, it recognized the dangers that such a
remedy creates -- unfairness to defendants, stifling of initiative
of state officials, comity concerns, and, perhaps most alarmingly,
an open-ended incentive to litigate in a field where other such
incentives already exist.
See, e.g., 42 U.S.C. § 1988
(1976 ed., Supp. V).
Petitioner did not argue, and the Court properly does not
decide, whether the $1,000 limit in 42 U.S.C. § 3612(c) also should
apply in actions under § 1983. It seems likely that it would. While
the Court does not say so, its opinion seems to derive its punitive
damages remedy from "the laws of the United States," concluding
sub silentio that they "are suitable to carry [§ 1983]
into effect." 42 U.S.C. § 1988 (1976 ed., Supp. V). (This follows
from the Court's apparent view that, for example, in one of the
several States where punitive damages are not available, a § 1983
plaintiff could recover such damages, thus indicating that it is
not "the common law . . . of the State wherein the court having
jurisdiction of such civil or criminal cause is held," § 1988, that
the Court is applying.) If, therefore, we are to apply a punitive
damages remedy "in conformity with the laws of the United States,"
then the most relevant law is 42 U.S.C. § 3612(c), limiting
punitive damages in certain civil rights actions to $1,000.
[
Footnote 2/18]
The case is materially different from our decision in
Patsy
v. Board of Regents, 457 U. S. 496
(1982), where our previous decisions strongly suggested that
exhaustion of state administrative remedies is not required under §
1983. Here, our previous statements as to the standard for a
recovery of punitive damages are inconsistent with the Court's
formulation. In
Carey v. Piphus, 435 U.S. at
435 U. S. 257,
n. 11, we implied that the absence of "malicious intention" would
preclude an award of punitive damages. And, as discussed above, the
standard for punitive damages recoveries in constitutional tort
actions was that the case involve "a tort . . . aggravated by evil
motive, actual malice, deliberate violence or oppression."
Scott v. Donald, 165 U. S. 58,
165 U. S. 86
(1897).
JUSTICE O'CONNOR, dissenting.
Although I agree with the result reached in JUSTICE REHNQUIST's
dissent, I write separately because I cannot agree with the
approach taken by either the Court or JUSTICE REHNQUIST. Both
opinions engage in exhaustive, but ultimately unilluminating,
exegesis of the common law of the availability of punitive damages
in 1871. Although both the Court and JUSTICE REHNQUIST display
admirable skills in legal research and analysis of great numbers of
musty cases, the results do not significantly further the goal of
the inquiry: to establish the intent of the 42d Congress. In
interpreting § 1983, we have often looked to the common law as it
existed in 1871, in the belief that, when Congress was silent on a
point, it intended to adopt the principles of the common law with
which it was familiar.
See, e.g., 453 U.
S. Fact Concerts,
Page 461 U. S. 93
Inc., 453 U. S. 247,
453 U. S. 258
(1981);
Carey v. Piphus, 435 U. S. 247,
435 U. S. 255
(1978). This approach makes sense when there was a generally
prevailing rule of common law, for then it is reasonable to assume
that Congressmen were familiar with that rule and imagined that it
would cover the cause of action that they were creating. But when a
significant split in authority existed, it strains credulity to
argue that Congress simply assumed that one view, rather than the
other, would govern. Particularly in a case like this one, in which
those interpreting the common law of 1871 must resort to
dictionaries in an attempt to translate the language of the late
19th century into terms that judges of the late 20th century can
understand,
see ante at
461 U. S. 39-41,
n. 8;
461 U. S. 61-64,
nn. 3, 4, and in an area in which the courts of the earlier period
frequently used inexact and contradictory language,
see
ante at
461 U. S. 45-47,
n. 12, we cannot safely infer anything about congressional intent
from the divided contemporaneous judicial opinions. The battle of
the string citations can have no winner.
Once it is established that the common law of 1871 provides us
with no real guidance on this question, we should turn to the
policies underlying § 1983 to determine which rule best accords
with those policies. In
Fact Concerts, we identified the
purposes of § 1983 as preeminently to compensate victims of
constitutional violations and to deter further violations. 453 U.S.
at
453 U. S. 268.
See also Robertson v. Wegmann, 436 U.
S. 584,
436 U. S.
590-591 (1978);
Carey v. Piphus, supra, at
435 U. S.
254-257, and n. 9. The conceded availability of
compensatory damages, particularly when coupled with the
availability of attorney's fees under § 1988, completely fulfills
the goal of compensation, leaving only deterrence to be served by
awards of punitive damages. We must then confront the close
question whether a standard permitting an award of unlimited
punitive damages on the basis of recklessness will chill public
officials in the performance of their duties more than it will
deter violations of the Constitution, and whether the availability
of punitive damages for reckless violations of the Constitution in
addition to attorney's fees will create an
Page 461 U. S. 94
incentive to bring an ever-increasing flood of § 1983 claims,
threatening the ability of the federal courts to handle those that
are meritorious. Although I cannot concur in JUSTICE REHNQUIST's
wholesale condemnation of awards of punitive damages in any
context, or with the suggestion that punitive damages should not be
available even for intentional or malicious violations of
constitutional rights, I do agree with the discussion in
461 U. S. Since
awards of compensatory damages and attorney's fees already provide
significant deterrence, I am persuaded that the policies counseling
against awarding punitive damages for the recklessness of public
officials outweigh the desirability of any incremental deterrent
effect that such awards may have. Consequently, I dissent.