on 13 Apr 2013

Andricka STEWART, Plaintiff–Appellant v. WACO INDEPENDENT SCHOOL DISTRICT, Defendant–Appellee.

No. 11–51067.

-- March 14, 2013

Before HIGGINBOTHAM, ELROD, and HAYNES, Circuit Judges.

Steven Gregory White, Waco, TX, Martin J. Cirkiel, Cirkiel & Associates, P.C., Round Rock, TX, for Plaintiff–Appellant.Philip E. McCleery, Peter Kelley Rusek, Sheehy, Lovelace & Mayfield, Waco, TX, for Defendant–Appellee.

Plaintiff–Appellant Andricka Stewart appeals from the district court's dismissal of her civil-rights action against Defendant–Appellee Waco Independent School District (the “District”). She seeks review only of her claim under § 504 of the Rehabilitation Act of 1973, 29 U.S.C. § 794. Because Stewart states a claim under one theory of liability, we REVERSE and REMAND for proceedings consistent with this opinion.

I. Facts and Procedural History

Because this appeal arises from a dismissal for failure to state a claim, we presume the truthfulness of well-pled allegations. See, e.g., Davis ex rel. LaShonda D. v. Monroe Cnty. Bd. of Educ., 526 U.S. 629, 633, 119 S.Ct. 1661, 143 L.Ed.2d 839 (1999). This court reviews such cases de novo, construing facts “in the light most favorable to the non-movant.” Ill. Cent. R.R. Co. v. Cryogenic Transp., Inc., 686 F.3d 314, 316 (5th Cir.2012) (citation omitted). “Dismissal [is] appropriate if [the plaintiff] fail[s] to allege facts supporting a plausible claim or fail[s] to raise her right to relief above a speculative level.” Id. (citation omitted).

As alleged in her first amended complaint: Stewart “suffers from mental retardation, speech impairment, and hearing impairment” and qualifies as a person with a disability under the Americans with Disabilities Act and the Rehabilitation Act. During the relevant time period, Stewart attended A.J. Moore Academy, then a District high school, as a special-education student. After an incident involving sexual contact between Stewart and another student in November 2005, the District modified Stewart's Individualized Education Program (“IEP”) to provide that she be separated from male students and remain under close supervision while at school.

Nonetheless, the complaint alleges that Stewart was involved in three other instances of sexual conduct, which she characterizes as “sexual abuse,” over the next two years.1 In February 2006, a male student sexually abused Stewart in a school restroom. The District concluded that Stewart “was at least somewhat complicit” in the incident and suspended her for three days. In August 2006, school personnel allowed Stewart to go to the restroom unattended, and she was again sexually abused by a male classmate. Finally, in October 2007, a male student “exposed himself” to Stewart. The District suspended her again. In none of these instances, according to Stewart, did the District take any steps to further modify her IEP or to prevent future abuse.2

Stewart sued the District in state court, and the District removed on federal-question grounds.3 Relevant here, Stewart brings a claim under the Rehabilitation Act for the District's alleged “gross mismanagement” of her IEP and failure to reasonably accommodate her disabilities. She asserts that the suspensions meted out after the second and fourth incidents deprived her of educational benefits.

The district court dismissed Stewart's action in its entirety, concluding that her claims under § 504, the ADA, and Title IX failed because they attempted to hold the district liable for “the actions of a private actor.”4 Stewart filed a motion to reconsider, which the district court denied in a single-page order. She timely appealed.

On appeal, Stewart borrows from Title IX case law and contends that she can state a claim under § 504 for the District's deliberate indifference to disability-related student-on-student sexual assault, in addition to “gross mismanagement” of her IEP. She also characterizes her claim as one based on the District's “fail[ure] to provide her with the necessary accommodations to prevent repeated sexual abuse by her peers” and “plac[ing] her in a dangerous environment by failing to adhere to its own prescribed accommodations intended to protect her.”5

The District responds with three general arguments. It first contends that Stewart pleads no facts connecting the alleged sexual abuse solely to her disability. The District next argues that it was not deliberately indifferent because it investigated the alleged incidents and took action that it deemed appropriate under the circumstances. This argument notes that Stewart failed to directly allege that her disabilities contributed to the conduct underlying the two suspensions. Finally, the District asserts that Stewart fails to state a claim that the District acted in bad faith or with “gross misjudgment.” In the District's opinion, Stewart has essentially packaged a dispute over its legitimate disciplinary and educational decisions as a civil-rights action.

II. Guiding Principles

Section 504 provides that “no otherwise qualified individual with a disability in the United States, · shall, solely by reason of her or his disability, be excluded from the participation in, be denied the benefits of, or be subjected to discrimination under any program or activity receiving Federal financial assistance·” 29 U.S.C. § 794(a). This court has reviewed § 504 claims under the standard applicable to claims arising under the ADA. See, e.g., D.A. ex rel. Latasha A. v. Hous. Indep. Sch. Dist., 629 F.3d 450, 453 (5th Cir.2010) (citing, inter alia, Pace v. Bogalusa City Sch. Bd., 403 F.3d 272 (5th Cir.2005) (en banc)). “To establish a prima facie case of discrimination under the ADA, [a plaintiff] must demonstrate: (1) that she is a qualified individual within the meaning of the ADA; (2) that she was excluded from participation in, or was denied benefits of, services, programs, or activities for which [the school district] is responsible; and (3) that such exclusion or discrimination is because of her disability.” Greer v. Richardson Indep. Sch. Dist., 472 Fed.Appx. 287, 292 (5th Cir.2012) (unpublished) (citing Melton v. Dallas Area Rapid Transit, 391 F.3d 669, 671–72 (5th Cir.2004)). “The only material difference between the two provisions lies in their respective causation requirements.” Bennett–Nelson v. La. Bd. of Regents, 431 F.3d 448, 454 (5th Cir.2005) (citation omitted). Section 504 prohibits discrimination “solely by reason” of a disability, whereas the ADA applies even if discrimination is not “ ‘the sole reason’ for the exclusion or denial of benefits.” Id. (citation omitted).

Because § 504 and the ADA focus on discrimination, students with disabilities may use them to supplement avenues of recovery available under the Individuals with Disabilities in Education Act (“IDEA”), 20 U.S.C. § 1400, et seq. See D.A., 629 F.3d at 453 (citing Marvin H. v. Austin Indep. Sch. Dist., 714 F.2d 1348, 1356 (5th Cir.1983)). “[T]o establish a claim for disability discrimination, in [the] educational context, ‘something more than a mere failure to provide the “free appropriate education” required by [the] [IDEA] must be shown.’ ” Id. at 454 (quoting Monahan v. Nebraska, 687 F.2d 1164, 1170 (8th Cir.1982)) (last alteration in original). A plaintiff instead must “ ‘allege that a school district has refused to provide reasonable accommodations for the handicapped plaintiff to receive the full benefits of the school program.’ ” Id. (quoting Marvin H., 714 F.2d at 1356). This may be shown by “facts creating an inference of professional bad faith or gross misjudgment.” Id. at 455. Allegations that educational authorities “ ‘exercised professional judgment,’ ” even mistakenly, do not suffice unless they “ ‘depart grossly from accepted standards among educational professionals.’ ” Id. at 454–55 (quoting Monahan, 687 F.2d at 1171); cf. Youngberg v. Romeo, 457 U.S. 307, 323, 102 S.Ct. 2452, 73 L.Ed.2d 28 (1982) (“[T]he decision, if made by a professional, is presumptively valid·”).

III. Stewart Fails to Plead Student–on–Student Harassment

Stewart does not appeal the dismissal of her Title IX claim. She instead argues that she may state a § 504 claim under a theory of liability analogous to that applied to student-on-student sexual harassment claims under Title IX, given the two statute's similar operative language. See Brown v. Sibley, 650 F.2d 760, 767 (5th Cir.Unit A 1981) (noting similarities). The Sixth Circuit has deployed that approach in education-related § 504 cases. See, e.g., S.S. v. E. Ky. Univ., 532 F.3d 445, 453–56 (6th Cir.2008). Such analysis appears consonant with a bad-faith and gross-misjudgment standard,6 and also comports with the high standard applied in the context of a state actor's liability for constitutional claims based on third-party harms. See, e.g., Covington, 675 F.3d 849.

We need not decide the viability of such a cause of action here. Even if Stewart's Title IX-like theory of disability discrimination is actionable, she fails to plead facts sufficient to state such a claim. Plaintiffs may premise a Title IX claim against a school district based on student-on-student sexual harassment where the district “acts with deliberate indifference to known acts of harassment in its programs or activities.” Davis, 526 U.S. at 633, 119 S.Ct. 1661; see also id. at 641, 119 S.Ct. 1661 (noting that this “hold[s] the [state actor] liable for its own decision to remain idle in the face of known student-on-student harassment in its schools”).

The standard applied to such claims, however, is exceedingly high. “Deliberate indifference is an extremely high standard to meet” in and of itself. Domino v. Tex. Dep't. of Crim. Justice, 239 F.3d 752, 756 (5th Cir.2001). It “generally requires that a plaintiff demonstrate ‘at least a pattern of similar violations.’ ” Burge v. St. Tammany Parish, 336 F.3d 363, 370 (5th Cir.2003) (citation omitted). A discrimination claim based on student-on-student harassment requires even more: the “action will lie only for harassment that is so severe, pervasive, and objectively offensive that it effectively bars the victim's access to an educational opportunity or benefit.” Davis, 526 U.S. at 633, 119 S.Ct. 1661. That is, a school district's “response to the harassment or lack thereof [must be] clearly unreasonable in light of the known circumstances,” id. at 648, 119 S.Ct. 1661, such that the district's actions subjects the victim to further discrimination. Id. at 649, 119 S.Ct. 1661; see also Williams v. Bd. of Regents, 477 F.3d 1282, 1296 (11th Cir.2007) (holding that Davis requires plaintiffs to “allege that the Title IX recipient's deliberate indifference to the initial discrimination subjected the plaintiff to further discrimination,” an element not present in pleading deliberate indifference in municipal-liability cases).

Stewart's complaint falls short of this stringent standard.7 We assume without deciding that the abuse here qualifies as severe, pervasive, and objectively offensive behavior that effectively excluded Stewart from equal access to educational opportunities.8 The complaint's largely cursory allegations, however, provide little information on the “ ‘constellation of surrounding circumstances, expectations, and relationships' ” necessary to determine whether the District's responses were “clearly unreasonable” under the circumstances.

The complaint fails to address the harassers' identities and relationship to Stewart, the punishments meted out to the harassers, the nature of the abuse, the names and responsibilities of District personnel with knowledge of the harassment, the time-delay between the abuse and the District's response, the extent of Stewart's harm and exclusion from educational opportunities,9 the specific reasons why the District's responses were obviously inadequate, or the manner in which such responses likely made Stewart susceptible to further discrimination. Courts have found these factors, among others, relevant in the context of student-on-student harassment under Title IX. See, e.g., Davis, 526 U.S. at 651–53, 119 S.Ct. 1661; Pahssen v. Merrill Cmty. Sch. Dist., 668 F.3d 356, 364–65 (6th Cir.2012), cert. denied, ––– U.S. ––––, 133 S.Ct. 282, 184 L.Ed.2d 150 (2012); Rost v. Steamboat Springs RE–2 Sch. Dist., 511 F.3d 1114, 1122–24 (10th Cir.2008); Porto v. Town of Tewksbury, 488 F.3d 67, 73–76 (1st Cir.2007); Williams, 477 F.3d at 1295–99; Hawkins v. Sarasota Cnty. Sch. Bd., 322 F.3d 1279, 1287–89 (11th Cir.2003); Gabrielle M. v. Park Forest–Chicago Heights, Ill. Sch. Dist. 163, 315 F.3d 817, 823–25 (7th Cir.2003); Vance v. Spencer Cnty. Pub. Sch. Dist., 231 F.3d 253, 259–63 (6th Cir.2000); Murrell v. Sch. Dist. No. 1, Denver, Colo., 186 F.3d 1238, 1247–49 (10th Cir.1999).

The paucity of Stewart's complaint, moreover, contrasts to the detailed allegations made in other cases decided at the motion-to-dismiss stage. See Davis, 526 U.S. at 633–35, 119 S.Ct. 1661; Williams, 477 F.3d at 1288–91; Murrell, 186 F.3d at 1243–44 (student with disabilities). Stewart pleads four instances of abuse, to which the District responded initially by implementing IEP modifications and on two occasions by determining that Stewart was “complicit” in the misconduct and suspending her. We know little about the District's response to the third incident. Stewart complains that the District failed to modify her IEP and to eliminate future harassment, but she gives no explanation as to what actions were taken, even as she omits any suggestion that the District did nothing. In the absence of allegations relevant to at least some of the factors listed above, we are asked to infer that the District's responses were clearly unreasonable because it disciplined Stewart and the abuse did not end after the first three incidents.10

But, “the fact that measures designed to stop harassment prove later to be ineffective does not establish that the steps taken were clearly unreasonable in light of the circumstances known by [the district] at the time.” Porto, 488 F.3d at 74; see also Hawkins, 322 F.3d at 1287 (“[W]hether the [school] Board's actions were clearly unreasonable must be measured by what was known.”). Davis specifically counsels against requiring that districts must “purg[e] their schools of actionable peer harassment or that administrators must engage in particular disciplinary action[s]” in order to avoid being deliberately indifferent. 526 U.S. at 648, 119 S.Ct. 1661. Indeed, school districts have no obligation to accede to “particular remedial demands,” and “courts should refrain from second-guessing the disciplinary decisions made by school administrators.” Id.; see also Gabrielle M., 315 F.3d at 824–25. Yet, that is essentially what Stewart asks us to do, even while many facts crucial to her claim remain within her knowledge, but unpled. See Gabrielle M., 315 F.3d at 824–25 (“All that [the plaintiff] denies is the remedial effect of these steps, claiming that · [the harasser] continued to bother her. · [The plaintiff] misunderstands the law.”).

Even so, the complaint as it stands allows us to conclude that this is not a case where the school district responded “by merely investigating and absolutely nothing more.” Vance, 231 F.3d at 260, 261–62 (affirming jury verdict for student on Title IX peer-harassment claim where the school district responded to years of repeated, escalating, and serious incidents of sexual harassment by merely “talking” to the harassers); see also Williams, 477 F.3d at 1296–97 (reasoning that rape victim sufficiently pled deliberate indifference where the university waited eight months to hold a disciplinary hearing and eleven months to implement “corrective actions,” despite identifying the rapists as other students within days of the incident and having actual knowledge that the victim would not return to school so long as the rapists remained on campus); Murrell, 186 F.3d at 1247–49 (concluding that a high school student capable of functioning at only a first-grade level sufficiently pled deliberate indifference under Title IX by alleging that she was subjected to a month-long pattern of severe sexual assault, that specific school personnel had actual knowledge of the incidents but refused to discipline the harasser or inform the student's mother, and that the principal retaliated against the mother's complaints by suspending the disabled student, despite the student having suffered psychological harm requiring her hospitalization and assignment to home-bound services).

Accordingly, although the District's responses may leave something to be desired, the complaint provides insufficient facts to plausibly state that the District's responses were so clearly unreasonable as to rise to the level of deliberate indifference to actionable student-on-student harassment under Davis. Compare Porto, 488 F.3d at 74 (ruling that school district was not deliberately indifferent because remedial efforts to keep the victim and harasser separated occasionally proved ineffective; school district's failure to assign an aide to accompany victim to the bathroom “suggest[ed] only that [the district] may have been negligent”), with Doe ex rel. A.N. v. E. Haven Bd. of Educ., 200 Fed.Appx. 46, 49 (2d Cir.2006) (unpublished) (affirming jury verdict against school district in part because the jury reasonably could have concluded that the district was deliberately indifferent in waiting five weeks to take “concrete action” against student rapists who continued to harass the victim on a daily basis).

We believe this conclusion hews more faithfully to deliberate-indifference principles than the “inadequate” or “ineffective” response standard suggested in Vance, 231 F.3d at 261 (“Where a school district has actual knowledge that its efforts to remediate are ineffective, and it continues to use those same methods to no avail, such district has failed to act reasonably in light of the known circumstances.”). The ineffectiveness of a school district's actions may serve as a factor tending to show deliberate indifference under certain circumstances.11 In light of Davis's teaching, however, it cannot end the inquiry, even at the pleading stage. See Porto, 488 F.3d at 74 (“The test for whether a school should be liable · for student-on-student harassment is not one of effectiveness by hindsight.”). It also matters that the deliberate-indifference principles at play in a Title IX mode of analysis derive directly from those well-established in the § 1983 context. See Gebser v. Lago Vista Indep. Sch. Dist., 524 U.S. 274, 290–91, 118 S.Ct. 1989, 141 L.Ed.2d 277 (1998). Indeed, Vance acknowledges this doctrinal lineage and cites precedent holding that deliberate indifference requires knowledge of and an unreasonable response to “ ‘a substantial risk of serious harm.’ ” 231 F.3d at 260 (quoting Farmer v. Brennan, 511 U.S. 825, 847, 114 S.Ct. 1970, 128 L.Ed.2d 811 (1994)).

Stewart pleads no facts showing that the District knew its responses to each incident created an obvious and substantial risk of recurring abuse, and municipal-liability precedent precludes equating negligence with deliberate indifference. See, e.g., City of Canton v. Harris, 489 U.S. 378, 388 n. 7, 109 S.Ct. 1197, 103 L.Ed.2d 412 (1989) (distinguishing “gross negligence” from “deliberate indifference”); Thompson v. Upshur Cnty., 245 F.3d 447, 459 (5th Cir.2001) (“[D]eliberate indifference cannot be inferred merely from a negligent or even a grossly negligent response to a substantial risk of serious harm.” (citation omitted)); Varnado v. Lynaugh, 920 F.2d 320, 321 (5th Cir.1991) (deliberate indifference not shown by “ ‘[m]ere negligence, neglect or · malpractice’ ” (citation omitted)). Accordingly, Stewart does not state a § 504 claim for deliberate indifference to student-on-student harassment.

IV. Stewart's Claim for Gross Misjudgment Survives

Stewart may nonetheless state a § 504 claim based on the District's alleged refusal to make reasonable accommodations for her disabilities. Given the dearth of case law directly addressing this issue, we explain in detail below some considerations relevant to such claims.

A. Gross Misjudgment and Reasonable Accommodations

We begin by clarifying that bad faith or gross misjudgment are just alternative ways to plead the refusal to provide reasonable accommodations, an ambiguity potentially left open by our precedent in this area. See D.A., 629 F.3d at 454–55 (noting this circuit's “long-established rule” requiring a plaintiff to show that a district “ ‘refused to provide reasonable accommodations,’ ” but also considering whether the plaintiff showed bad faith or gross misjudgment (citation omitted)); Marvin H., 714 F.2d at 1356 & n. 13 (rejecting plaintiff's § 504 claim because the case did “not involve a refusal to provide services[,] but rather a disagreement over the correctness of the services provided”). In this view, it is immaterial whether the District explicitly refused to make reasonable accommodations; professionally unjustifiable conduct suffices.

A contrary interpretation would limit § 504 claims only to where a school district literally refuses to make an accommodation. Although such cases are clear violations of § 504,12 situations may arise where a district's course of action goes strongly against the grain of accepted standards of educational practice in ways that have nothing to do with affirmatively refusing a reasonable accommodation. For example, a district may exercise gross misjudgment in departing from an accommodation shown to be effective for a particular student in favor of a practice that achieves far less favorable outcomes, but nonetheless persists in the latter approach without adequate justification. Cf. Patterson v. Hudson Area Schs., 551 F.3d 438, 448 n. 7 (6th Cir.2009) (“[I]t is undisputed that [the district] was fully aware that use of the resource room in eighth grade impacted the amount of harassment that [the student] suffered and discontinuing the resource room in ninth grade correlated with a return to high levels of harassment. Thus, a reasonable jury could find that [the district] knew how to combat the harassment · and simply chose not to implement that known method of success.”).

Notably, a plaintiff also may plead gross misjudgment by alleging that a school district knew of his disabilities but failed to investigate disability-based discrimination and harassment complaints or to “take appropriate and effective remedial measures once notice of [the] harassment was provided to school authorities.” M.P. ex rel. K. v. Indep. Sch. Dist. No. 721, 439 F.3d 865, 868 (8th Cir.2006) (M.P.II ). In sum, a school district refuses reasonable accommodations under § 504 when it fails to exercise professional judgment in response to changing circumstances or new information, even if the district has already provided an accommodation based on an initial exercise of such judgment.

B. Distinguishing Gross Misjudgment from Deliberate Indifference

As the above discussion suggests, the gross-misjudgment inquiry borrows from deliberate-indifference doctrine. We emphasize, however, that the two theories are distinct. Deliberate indifference applies here only with respect to the District's alleged liability for student-on-student harassment under a Title IX-like theory of disability discrimination. See, e.g., Davis, 526 U.S. at 648, 119 S.Ct. 1661. On the other hand, “gross misjudgment”—a species of heightened negligence—applies to the District's refusal to make reasonable accommodations by further modifying Stewart's IEP, a claim traditionally cognizable in some fashion via the IDEA, the ADA, and the Rehabilitation Act. See Sellers ex rel. Sellers v. Sch. Bd., 141 F.3d 524, 529 (4th Cir.1998) (explaining that a gross-misjudgment standard applies where “plaintiffs allege a [§ ] 504 violation in the education context on the basis of negligence” (citing Monahan, 687 F.2d at 1170)).13 We adopted the gross-misjudgment approach in D.A., 629 F.3d at 454–55.14

Thus, although the inquiries have much in common, whether the District's actions were “clearly unreasonable” with respect to peer-occasioned disability harassment remains analytically separate from whether it acted with gross misjudgment as measured by professional standards of educational practice. Compare Davis, 526 U.S. at 648–53, 119 S.Ct. 1661 (Title IX liability for student-on-student sexual harassment obtains only when the harassment “is so severe, pervasive, and objectively offensive that it can be said to deprive the victims of access to the educational opportunities or benefits provided by the school.”), with D.A., 629 F.3d at 454–55 (The “ ‘exercise[ of] professional judgment’ ” is sufficient unless it “ ‘depart[s] grossly from accepted standards among educational professionals.’ ” (citation omitted)). Maintaining the distinction between these two separate claims comports with the Supreme Court's observation in Davis that the relationship between the harasser and the victim to some degree controls a school district's liability for the harassment. See Davis, 526 U.S. at 653, 119 S.Ct. 1661 (“The relationship between the harasser and the victim necessarily affects the extent to which the misconduct can be said to breach Title IX's guarantee of equal access to educational benefits and to have a systemic effect on a program or activity. Peer harassment, in particular, is less likely to satisfy these requirements than is teacher-student harassment.”).

C. Stewart's Gross–Misjudgment Claim

Returning to this dispute, the District insists that Stewart's complaint itself shows that the three additional incidents of sexual abuse do not state a gross-misjudgment claim. The District observes that § 504 does not “creat[e] ‘general tort liability for educational malpractice,’ ” D.A., 629 F.3d at 454, and notes that the three additional incidents occurred over a time period spanning eighteen months.15 The District also relies on the fact that it investigated the alleged incidents, contending that its responses prove that it was not deliberately indifferent. These arguments urge an impermissibly cramped view of the District's obligations under § 504.

We have likened the effort to provide reasonable accommodations to an exercise in “bilateral cooperation.” Brener v. Diagnostic Ctr. Hosp., 671 F.2d 141, 145 (5th Cir.1982) (Title VII context). The “obligation to engage in the interactive process extends beyond the first attempt at accommodation and continues when the [plaintiff] asks for a different accommodation or where the [defendant] is aware that the initial accommodation is failing and further accommodation is needed.” Humphrey v. Mem. Hosps. Ass'n., 239 F.3d 1128, 1138 (9th Cir.2001) (emphasis added).

Thus, however appropriate the District's initial response, it had an ongoing responsibility to calibrate Stewart's IEP to effectively address the behaviors it intended to prevent by keeping her separated from males and under close supervision. Under § 504, it is not enough that the District might have discharged its duty under a deliberate-indifference standard by taking remedial—but inadequate—action. See M.P. ex rel. K. v. Indep. Sch. Dist. No. 721, 326 F.3d 975, 982 (8th Cir.2003) (M.P.I ) (Deliberate indifference “is irrelevant if it can be shown that the District acted in bad faith or with gross misjudgment.”). At this early stage, we conclude that even if the District provided Stewart with reasonable accommodations when it initially modified her IEP, the three subsequent instances of alleged sexual abuse could plausibly support a finding that the modifications were actionably ineffective.16

Thus, on the record as it currently stands without the benefit of further discovery, we conclude that Stewart plausibly states a claim that the District committed gross misjudgment in failing to implement an alternative approach once her IEP modifications' shortcomings became apparent. She alleges that she was sexually abused on campus on three separate occasions after the District initially modified her IEP. Regardless of what role Stewart allegedly played in facilitating this misconduct, her IEP was designed to prevent such encounters, and Stewart can plausibly argue at this stage that its effective implementation would have obviated any need for discipline.17 The complaint also contains allegations that the District knew of specific aspects of the alleged abuse that could have given rise to further modifications. For example, the first two additional instances both involved Stewart's use of the restroom and effectively occurred only three months apart, assuming an intervening three-month summer break, supporting a plausible argument that the District could have modified Stewart's IEP to prohibit her from going to the restroom unattended. It is plausible that failing to further modify an IEP in such circumstances grossly departs from standard educational practice.

We caution that this opinion should not be read to make school districts insurers of the safety of special-needs students. We emphasize that courts generally should give deference to the judgments of educational professionals in the operation of their schools. See, e.g., Davis, 526 U.S. at 648, 119 S.Ct. 1661. This opinion neither alters that default rule nor lowers the high standards plaintiffs must satisfy to impose liability against school districts. Isolated mistakes made by harried teachers and random bad acts committed by students and other third-parties generally will not support gross-misjudgment claims. At this stage in the case, we cannot say definitively that this case involves only the latter.

Just as a pattern of constitutional violations increases the likelihood that a state actor has been deliberately indifferent, a district's continued use of ineffective or inadequate methods when confronted with multiple instances of a specific type of misconduct becomes less defensible over time. At some point, the failure to act appropriately becomes “ ‘such a substantial departure from accepted professional judgment, practice or standards as to demonstrate that the person responsible actually did not base the decision on such a judgment.’ ” Monahan, 687 F.2d at 1171 (quoting Youngberg, 457 U.S. at 323, 102 S.Ct. 2452). Given the repeated and specific instances of sexual misconduct here, whether and at what point the District crossed that line is a question better reevaluated after discovery. For pleading purposes, Stewart's gross-misjudgment theory raises more than a speculative claim for relief.

V. Stewart Need Not Have Exhausted Administrative Remedies

Before concluding, we address the dissenting opinion's contention—unaddressed by either party's briefs—that Stewart's claims necessarily fail because she did not exhaust them through the IDEA's administrative scheme. The dissenting opinion correctly observes that plaintiffs must administratively exhaust certain non-IDEA claims so long as they “seek[ ] relief that is also available under” the IDEA. 20 U.S.C. § 1415(l ). Similarly, we agree that merely demanding monetary damages—which are unavailable under the IDEA—does not automatically remove a claim from the IDEA's ambit. See, e.g., Payne v. Peninsula Sch. Dist., 653 F.3d 863, 873–74 (9th Cir.2011) (en banc) (noting that the First, Sixth, Seventh, Ninth, Tenth, and Eleventh Circuits all hold that a plaintiff cannot avoid IDEA exhaustion simply by seeking damages), cert. denied, ––– U.S. ––––, 132 S.Ct. 1540, 182 L.Ed.2d 161 (2012); Polera v. Bd. of Educ., 288 F.3d 478, 483–86 (2d Cir.2002) (drawing same conclusion from, inter alia, Fourth and Eighth Circuit case law). The IDEA makes “available” myriad remedies through its “related services” provision—many fairly characterized as compensatory—that go beyond day-to-day learning accommodations.18 See Charlie F. ex rel. Neil F. v. Bd. of Educ., 98 F.3d 989, 992–93 (7th Cir.1996). Plaintiffs therefore generally cannot insulate claims for monetary damages from administrative review by “artful pleading” if the damages would be used to obtain the same compensatory or other services “also available under” the IDEA. See Payne, 653 F.3d at 875 (describing three situations in which administrative exhaustion applies); cf. Charlie F., 98 F.3d at 991 (construing “ ‘relief available’ to mean relief for the events, condition, or consequences of which the person complains, not necessarily relief of the kind the person prefers”).

Ultimately, we disagree with the dissenting opinion for two reasons. As an initial matter, the District arguably forfeited administrative-exhaustion arguments. It failed to raise the issue on appeal or in its motion-to-dismiss briefing before the district court. Indeed, although the District pled IDEA exhaustion as an affirmative defense, it expressly disclaimed Stewart's eligibility for IDEA relief in its first motion to dismiss.19 Despite this, the dissenting opinion addresses administrative exhaustion sua sponte.20 The only basis for doing so would have to be an implicit conclusion—unstated and unexamined—that the IDEA considers the issue jurisdictional.21 Our sister circuits, however, are split on that very issue. Compare Payne, 653 F.3d at 870–71 (joining the Seventh and Eleventh Circuits in holding that IDEA exhaustion is not jurisdictional) and Charlie F., 98 F.3d at 991 (The “failure to exhaust administrative remedies does not deprive a court of jurisdiction; lack of exhaustion usually is waivable, as lack of jurisdiction is not.” (collecting Supreme Court precedent)), with Cave v. E. Meadow Union Free Sch. Dist., 514 F.3d 240, 245 (2d Cir.2008) (construing exhaustion as jurisdictional). We have declined to take sides in this debate, and we do so again today. See M.L. v. Frisco Indep. Sch. Dist., 451 Fed.Appx. 424, 427 (5th Cir.2011) (unpublished); Gardner v. Caddo Parish Sch. Bd., 958 F.2d 108, 112 (5th Cir.1992).22

We need not decide whether exhaustion in general in this area is jurisdictional because Stewart would avoid dismissal even if the IDEA obligated us to consider exhaustion sua sponte as a jurisdictional prerequisite. Although the IDEA contemplates the channeling of some § 504 claims through administrative review,23 see 20 U.S.C. § 1415(l ), Stewart's claim is not such a claim according to her complaint.24 See Payne, 653 F.3d at 874 (observing that IDEA exhaustion applies “only to the extent that the relief actually sought by the plaintiff could have been provided by the IDEA”); id. at 877 (“[W]e do not think, especially in the context of motions to dismiss or summary judgment motions, that it is proper for courts to assume that money damages will be directed toward forms of relief that would be available under the IDEA”).

As pled, Stewart's § 504 claim seeks monetary damages to hold the District accountable for exercising gross misjudgment in managing Stewart's IEP, a form of disability discrimination that allegedly caused her to suffer repeated instances of sexual abuse. She specifically seeks damages for past “physical pain,” “medical expenses,” and “physical impairment,” as well as past and future “mental anguish” and “mental health expenses.” It may be that the IDEA provides or could have provided some of the relief demanded in Stewart's complaint. But we cannot conclude on this record that Stewart actually seeks compensatory or prospective forms of educational relief or related services “also available under” the IDEA, 20 U.S.C. § 1415(l ), that “may be required to assist [her so that she can] benefit from special education,” Id. § 1401(26)(A). See Payne, 653 F.3d at 875 (“[W]hether a plaintiff could have sought relief available under the IDEA is irrelevant—what matters is whether the plaintiff actually sought relief available under the IDEA. In other words, when determining whether the IDEA requires a plaintiff to exhaust, courts should start by looking at a complaint's prayer for relief and determine whether the relief sought is also available under the IDEA. If it is not, then it is likely that § 1415(l ) does not require exhaustion in that case.”).25

These conclusions comport with those from other circuits that have recognized the inadequacy of IDEA remedies in analogous circumstances, even some that consider exhaustion jurisdictional. See M.P. II, 439 F.3d at 868 (excusing failure to exhaust in gross-misjudgment case because § 504 claim was “wholly unrelated to the IEP process”; plaintiff alleged that the school district “failed to provide him with accommodations in the educational environment; failed to investigate allegations of disability discrimination, student-against-student harassment, [and] hostile education environment ·; and failed to take appropriate and effective remedial measures”); Polera, 288 F.3d at 489–90 (suggesting that administrative exhaustion is futile where a “school has failed to implement services that were specified or otherwise clearly stated in an IEP”); Padilla ex rel. Padilla v. Sch. Dist. No. 1, 233 F.3d 1268, 1275 (10th Cir.2000) (Cases “that have required plaintiffs who seek damages to exhaust their IDEA administrative remedies have done so where the plaintiffs' alleged injuries were educational in nature and therefore presumptively redressable through the IDEA's administrative procedures.” (collecting cases)); Covington v. Knox Cnty. Sch. Sys., 205 F.3d 912, 917–18 (6th Cir.2000) (holding that exhaustion was futile where plaintiff had graduated, his injuries and the conditions giving rise to them occurred in the past, and the IDEA afforded no real relief); Witte v. Clark Cnty. Sch. Dist., 197 F.3d 1271, 1273, 1276 (9th Cir.1999) (allegations of past physical and psychological abuse and injury could not be remedied through the IDEA, as such injuries “typically are remedied through an award of monetary damages”), overruled in part on other grounds by Payne, 653 F.3d at 867.26

In short, Stewart's gross-misjudgment theory of liability—premised on sexual abuse fostered by the district's alleged disability discrimination—does not appear to seek damages “as a substitute for relief under the IDEA.” Payne, 653 F.3d at 877. “Under these narrow circumstances, · the IDEA's administrative remedies, oriented as they are to providing prospective educational benefits, [cannot] possibly begin to assuage · severe physical, and completely non-educational, injuries.” Padilla, 233 F.3d at 1274. Accordingly, we conclude that, at this pleading stage, Stewart need not have exhausted her § 504 claim under the IDEA before presenting it to the district court. See Payne, 653 F.3d at 871 (“Non–IDEA claims that do not seek relief available under the IDEA are not subject to the exhaustion requirement, even if they allege injuries that could conceivably have been redressed by the IDEA.”).27

Conclusion

Because Stewart plausibly states that the District acted with gross misjudgment in failing to further modify her IEP, we REVERSE the district court's dismissal of Stewart's § 504 claim and REMAND for proceedings consistent with this opinion. Because Stewart appealed only the dismissal of that claim, we do not address the district court's rulings as to her other claims.

Although the case may go forward to the extent indicated, we note that the pleading is not a model of detail. Thus, the district court remains free to order that Stewart replead in conformity with the guidance provided in this opinion to state at least those facts that are within her control. In line with Payne's “relief-centered” approach to exhaustion, moreover, the district court may reevaluate as the case proceeds whether each of Stewart's damage claims actually seeks IDEA relief. See 653 F.3d at 882. The burden for showing that exhaustion applies, however, falls to the District. See, e.g., id. at 884 (Callahan, J., concurring).

This is a suit for money damages against a school district for failing to modify or properly enforce Ms. Stewart's IEP to protect her from sexual contact with fellow students. In reversing the district court's dismissal, the panel majority permits Ms. Stewart to use § 504 of the Rehabilitation Act to enforce her IEP though she never exhausted her administrative remedies under the IDEA. The majority then misapplies § 504 to create tort liability for money damages against the school district. I respectfully dissent.

I.

Drawing upon a notion of “bilateral cooperation” from Title VII, the majority concludes that § 504 imposed on the school district “an ongoing responsibility to calibrate Stewart's IEP to effectively address the behaviors intended to be prevented by keeping her separated from males and under close supervision.” The majority reverses the dismissal below because Stewart's complaint—which devotes itself to chronicling the shortcomings of her IEP—“plausibly states that the [school] [d]istrict acted with gross misjudgment.” It reaches this holding “regardless of what role Stewart allegedly played in facilitating th[e] misconduct,” because “effective implementation [of Stewart's IEP] would have obviated any need for discipline.”

Yet for all the majority's focus on Stewart's IEP, it fails to recognize that the IEP is a creature, not of § 504, but of the IDEA, a quite distinct federal statute. True enough, the IDEA imposes an obligation on the school district to provide an appropriate education that entails furnishing those “related services” necessary to that end—here, amending and enforcing Ms. Stewart's IEP to keep her separated from her male classmates.1 The IDEA contains its own detailed remedial scheme—an “interactive process” between parents and school districts whose absence the majority bemoans.2 This process is enabled by congressional insistence that a disabled student exhaust her remedies before resorting to the courts, at least where she “seek[s] relief that is also available under” the IDEA.3

Here, neither the complaint nor the amended complaint suggests that Ms. Stewart's parents or guardians ever contacted the school district about any of the alleged instances of sexual abuse, much less the district's responses to them. Ms. Stewart nevertheless attempts to avoid exhaustion by requesting money damages. But at the heart of Ms. Stewart's lawsuit is a dispute over the content and implementation of her IEP, a matter that clearly falls within the purview of the IDEA and is capable of resolution through its administrative processes.4 Stewart's allegations leave little doubt on this point:

• [Paragraph 15:] In February 2006, even though [Stewart's] IEP dictated that she was to be kept separate from male classmates and was to be closely supervised, she was again sexually abused by another student, this time in the bathroom. Again, Waco ISD officials were aware of the incident but her IEP was unmodified and no additional steps were taken to protect [Stewart] from further sexual abuse.

• [Paragraph 16:] In August 2006, with [Stewart's] IEP still mandating that she be kept separate from male classmates and be closely supervised, she was permitted to go to the bathroom unattended· Unfortunately and unsurprisingly, [Stewart] was sexually abused in the bathroom by [a] male classmate. Waco ISD officials were again aware of this incident and again did not make any changes to [Stewart's] IEP or take any steps to ensure that she would not be sexually abused in the future.

• [Paragraph 17:] In October 2007, with [Stewart's] IEP still mandating that she be kept separate from male classmates and be closely supervised, she was again sexually abused by a male classmate who exposed himself to her. Again · school officials suspended [Stewart] from school, depriving her of an educational benefit.

• [Paragraph 21:] There is nothing indicating any efforts by Waco ISD to properly train and supervise Waco ISD staff in the effective implementation of [Stewart's] IEP. As a result, staff members repeatedly failed to follow the requirements of [Stewart's] IEP.

• [Paragraph 22:] Despite the determinations by school officials that [Stewart] was complicit in some of these instances of sexual abuse, there is nothing indicating that any sort of sexual education was contemplated by her ARD Committee and her IEP did not dictate any sort of education for [Stewart] in the inappropriateness of sexual contact at school.

• [Paragraph 26:] [Stewart] asserts that Waco ISD has violated [her] rights pursuant to [§ 504 of the] Rehabilitation Act. Defendant's practices and/or proposed actions, set out in detail above, have, together and separately, contributed to violating her rights under [§ 504].

• [Paragraph 27:] In addition and in the alternative, the failure of the school district to keep [Stewart] safe from a known harm while on campus constitutes a gross mismanagement of her educational plan and also a violation of the Rehabilitation Act thereby.

• [Paragraph 28:] Furthermore, the failure to train or supervise Waco ISD staff to ensure that [Stewart's] IEP was properly carried out constitutes a gross mismanagement of her education plan and a violation of the Rehabilitation Act thereby.

In such circumstances, the mere fact that Ms. Stewart prefers a monetary remedy does not exempt her from the statute's exhaustion requirement.5 For the same reason, Ms. Stewart's perfunctory allegation that exhaustion would be “futile” is unpersuasive.6

That we cannot know with certainty what Stewart's timely recourse to her IDEA remedies would have produced is inherent in the requirement of exhaustion. Perhaps those remedies would have avoided all that has followed, or perhaps they would have ultimately fallen short. But “parents cannot know that without asking, any more than we can.”7 The cardinal function of exhaustion is to “enable the agency to develop a factual record, to apply its expertise to the problem, to exercise its discretion, and to correct its own mistakes.”8 Other than in exceptional circumstances that clearly fall outside of the purview of the IDEA, we ought not allow litigants to short-circuit this inherently discretionary process with their own predictions as to what results it might have produced.9 Here, the allegations in Stewart's complaint leave me convinced “that at least in principle[,] relief is available under the IDEA.”10

The majority passes over the threshold question of exhaustion because the school district “failed to raise the issue on appeal or in its motion-to-dismiss briefing before the district court.” But we are reviewing the judgment of the district court and can affirm its dismissal on any ground raised below and supported by the pleadings.11 Here, Stewart pleaded exception to exhaustion. The district's answer not only denied those pleadings but asserted Stewart's failure to exhaust as an affirmative defense. The exhaustion issue was indisputably presented to the district court. We not only have the authority to affirm on that basis, but the duty, as the district court's judgment is plainly sound, albeit for reasons it did not reach.

The majority also suggests that exhaustion does not apply because Stewart seeks damages for past physical harms, not “prospective forms of educational relief or related services.” To the extent any injury suffered by Stewart as a result of the school district's alleged mismanagement of her IEP—physical or otherwise—cannot now be redressed through the IDEA's administrative processes, this result is itself the consequence of Stewart's failure to timely exhaust. To hold that a disabled student can avoid exhaustion simply by waiting to bring her damages claim until administrative remedies are no longer useful would gut the exhaustion requirement of all meaning.12

Congress has elected to channel disputes over the difficulties encountered in mainstreaming disabled children first to the school house, bringing parent and teacher to the conference table. The congressional judgment is that the overwhelming majority of disputes will be resolved in the process. If the effort fails to achieve the desired result, parents can resort to the courts. At that juncture, there is less reason to look forward, and more reason to look backward and allocate responsibility for a failure.

II.

Exhaustion aside, the majority is obligated to read § 504 in harmony with the IDEA and abide the statutes' differences. As the Supreme Court recognized in Smith v. Robinson, “Congress did not intend a handicapped child to be able to circumvent [the IDEA's] requirements or supplement [its] remedies · by resort to the general antidiscrimination provision of § 504.”13 This means that when an IEP is in place, its shortcomings must find their answer within the detailed remedial scheme under the IDEA unless those shortcomings are somehow of a meaningfully distinct character. That distinction inheres in the language of § 504 as read by the Supreme Court and this Circuit—it is triggered by a “refusal” by the school district to grant a disabled student's request for a reasonable accommodation.14

Several courts have gone a step further, substituting “gross misjudgment or bad faith” for refusal.15 But that was to address the reality that a literal insistence upon a request for accommodation could frustrate the core purpose of § 504—to prevent discrimination against persons with disabilities.16 It was not to expand the statute's reach. Accepting this judicial effort, if the congressionally stated liability of § 504 is not to be expanded to reach negligent conduct, then at the least, the words substituted for “refusal” must do no more than capture non-literal refusals. “Bad faith” appears to be fit for this surrogate task, with its draw upon intentionality. “Gross misjudgment” less so. And potentially devastatingly less so. It appears to be not a surrogate for refusal, but “a species of heightened negligence.” Yet as the majority correctly suggests, the level of culpability actionable under § 504 should be “consonant with” the “deliberate indifference” we require under the virtually identical discrimination prohibition of Title IX.17 As we observed in Brown v. Sibley, “[t]he overwhelming similarity of these · passages is no accident. Congress expressly modeled the discrimination prohibition contained in section 504 after the prohibitory language contained in · Title IX.”18

Here, the majority observes, Ms. Stewart's amended complaint alleges that the school district responded to the first incident of misconduct by modifying Stewart's IEP and the second and fourth by investigating the respective incidents and suspending her. Thus, the majority concludes, “although the District's responses may leave something to be desired, the complaint provides insufficient facts to plausibly state that the District's responses were so clearly unreasonable as to rise to the level of deliberate indifference.” But the majority continues on, drawing an inference of “bad faith or gross misjudgment” from the school district's alleged mismanagement of Stewart's IEP—now relying on “the three subsequent instances of alleged sexual abuse.” This, notwithstanding the fact that Stewart's “cursory” amended complaint, filed with time for discovery, is bereft of detail,

fail[ing] to address the harassers' identities and relationship to Stewart, the punishments meted out to the harassers, the nature of the abuse, the names and responsibilities of District personnel with knowledge of the harassment, the time-delay between the abuse and the District's response, the extent of Stewart's harm and exclusion from educational opportunities, the specific reasons why the District's responses were obviously inadequate, or the manner in which such responses likely made Stewart susceptible to further discrimination.

With all respect, the majority has in its application of controlling standards created tort liability for money damages, allowing Stewart to proceed on pleadings that, at best, state a plausible claim for oversight or negligence.19 It signifies that Ms. Stewart in her original complaint characterized the school district's failure to abide her IEP as “actionable negligence,” a characterization carefully omitted from the amended complaint.20

III.

Today, the majority allows parents unhappy with an IEP to bypass the comprehensive remedial scheme of the IDEA and sue under § 504 for money damages. It then misapplies § 504 to impose on schools a tort-like duty not to mismanage a disabled student's IEP. This unfortunate consequence defies precedent. I would hold that Ms. Stewart's failure to exhaust administrative remedies under the IDEA bars her from seeking money damages under § 504. Alternatively, I would hold that bad faith, gross misjudgment, and deliberate indifference all rest upon substantially identical levels of culpability—levels that approximate the discriminatory animus § 504 was intended to capture. On either wing, the district court's dismissal ought be affirmed.

HAYNES, Circuit Judge:


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IN RE: RENAISSANCE HOSPITAL GRAND PRAIRIE INCORPORATED, Debtor. First National Bank; Metrobank N.A., Appellees, v. Crescent Electric Supply Company; Hajoca Corporation, doing business as Easter & Sons Supply; Innovative Plumbing Services, Incorporated; Metropolitan Professional Electrical Services, Incorporated, doing business as Metro Electric, Appellants.

No. 12–10386.

-- April 05, 2013

Before STEWART, Chief Judge, and DAVIS and CLEMENT, Circuit Judges.

Eric Yollick, Yollick Law Finn. P.C., The Woodlands, TX, Charles L. Perry, Andrews Kurth, L.L.P., Dallas, TX, for Appellees.Misti L. Beanland, Timothy Allen Dunn Matthews, Stein, Shiels, Pearce, Knott, Eden & Davis, LLP, Gregory Alan Whittmore, Dallas, TX, Randyl S. Meigs, Brittani Wilmore Rollen, McDonald Sanders, P.C., Fort Worth, TX, for Appellants.

Plaintiffs–Appellants, Innovative Plumbing Services, Inc. (“IPS”) and Metropolitan Professional Electrical Services, Inc. (“MPES”) challenge the district court's final judgment, reversing and vacating the bankruptcy court's amended judgment, that their mechanics' liens on the property of Debtor, Renaissance Hospital Grand Prairie Inc. (“RHGP”)1 did not pertain to materials or labor supplied before September 1, 2006, the date on which Defendant–Appellee, MetroBank N.A. (“MetroBank”) perfected its deed of trust lien. Additional Plaintiffs–Appellants, Hajoca Corp. (“Hajoca”) and Crescent Electric Supply Co. (“Crescent”) challenge the bankruptcy court's determination that their mechanics' liens also did not pertain to materials or labor supplied before September 1, 2006, which the district court upheld.2 Additional Defendant–Appellee, First National Bank (“FNB”) is a party to this litigation as a participant in MetroBank's loan to RHGP.3

For the reasons provided herein, we AFFIRM the final judgment of the district court, which previously had reversed and vacated the amended judgment of the bankruptcy court.

I. BACKGROUND

A. Facts

On August 31, 2006, RHGP purchased an abandoned hospital site (the “Hospital”) with the proceeds of a secured $7,000,000 purchase money note from MetroBank. In order to perfect its deed of trust lien, MetroBank recorded the deed of trust and a security agreement in the Tarrant County, Texas land records on September 1, 2006.4

At the time of the purchase, RHGP intended to renovate the Hospital, which was without water supply or electrical power. To this end, RHGP contracted with IPS to provide plumbing services for the renovation project. Similarly, RHGP contracted with MPES to provide electrical services.5

To fund the renovation project, RHGP secured $26,000,000 in additional financing from MetroBank on February 6, 2007. The deed of trust secured both loans, which amounted to $34,033,053.37 as of the date of RHGP's bankruptcy petition. On February 14, 2007, MetroBank sold FNB an undivided participation in the loans.

On January 15, 2008, MPES recorded a mechanic's lien on the Hospital site in the Tarrant County land records. MPES did not pay its subcontractor, Crescent, for electrical materials used in the renovation project. Instead, on March 14, 2008, Crescent recorded its own mechanic's lien on the Hospital site.

On February 13, 2008, IPS recorded a mechanic's lien on the Hospital site in the Tarrant County land records. IPS did not pay its subcontractor, Hajoca, for plumbing materials used in the renovation project. Instead, on February 1, 2008, Hajoca recorded its own mechanic's lien on the Hospital site.

B. Proceedings Before the Bankruptcy Court

1. RHGP's Filing for Bankruptcy Protection

RHGP filed for reorganization under Chapter 11 of the U.S. Bankruptcy Code on August 21, 2008. On September 23, 2009, the bankruptcy court converted RHGP's case into a Chapter 7 liquidation. Thus, the Hospital renovation project never was completed.

2. The Bankruptcy Court's Compromise Order

a. MetroBank's Trustee's Sale

On January 2, 2009, RHGP and the Lenders jointly moved, pursuant to Federal Rule of Bankruptcy Procedure 9019, for the bankruptcy court's approval for the Lenders to foreclose on the Hospital. The bankruptcy court granted the joint motion and, on January 30, 2009, entered a compromise order that (i) lifted the automatic stay with respect to the Hospital; and (ii) allowed the Lenders to foreclose; but (iii) required the Lenders to credit bid the Hospital for at least $27,000,000. MetroBank conducted a trustee's sale in March 2009, in which it credit bid the Hospital for $27,000,000.

b. The Lenders' Objections to Liens Claimed by MPES, Crescent, and Hajoca

The bankruptcy court's compromise order additionally provided for the Lenders to file notice of their objections to any party claiming a superior interest in the proceeds of the trustee's sale. MPES, Hajoca, and Crescent, inter alios, claimed liens with priority over the deed of trust. Accordingly, on February 18, 2009, the Lenders filed notice of their objections.

Of note, IPS did not directly claim a lien. In 2008, IPS had assigned its lien to Hajoca in consideration for Hajoca forbearing its right to immediate suit for payment from IPS. While Hajoca did directly claim its own recorded lien, Hajoca did not assert its rights as IPS's assignee until later at trial.6

3. The Parties' Scheduling Agreement Concerning Priority–of–Liens Issues

In order to narrow the outstanding priority-of-liens issues for trial, the various parties reached a scheduling agreement. Pursuant to that agreement, the Lenders moved for partial summary judgment as to the date the deed of trust related back, and the Lien Claimants entered into stipulations regarding the dates that they first supplied visible materials or labor to the renovation project. The parties reached this agreement at a stage prior to the close of discovery. Counsel for MetroBank drafted the stipulations.

a. The Lien Claimants' Stipulations

i. IPS and Hajoca

IPS stipulated: “The date that [IPS] performed its first visible work or delivered its first visible materials (as defined by section 53.124 of the Texas Property Code and Texas case law) was on or after October 9, 2006 but before February 22, 2009.”

Hajoca similarly stipulated: “The date that [Hajoca] performed its first visible work or delivered its first visible materials (as defined by section 53.124 of the Texas Property Code and Texas case law) was on or after October 9, 2006 but before February 22, 2009.”

Misti Beanland, counsel for Crescent and Hajoca—but not IPS, executed both stipulations. In executing the stipulations, Beanland specifically referred to herself as “Counsel for Crescent Electric Supply Company, Hajoca Corporation d/b/a Easter & Sons Supply and Innovative Plumbing Services” in her signature block.7

ii. MPES and Crescent

MPES stipulated: “The date that [MPES] performed its first visible work or delivered its first visible materials (as defined by section 53.124 of the Texas Property Code and Texas case law) was before September 1, 2006.”

Crescent stipulated: “The date that [Crescent] performed its first visible work or delivered its first visible materials (as defined by section 53.124 of the Texas Property Code and Texas case law) was on or after September 2, 2006 but before October 9, 2006.”

Thus, all Lien Claimants other than MPES stipulated that they performed their first visible work or delivered their first visible materials after September 1, 2006.

b. MPES's Representations to Counsel for the Lenders and Response to MetroBank's Interrogatories

On February 5, 2009, counsel for MPES submitted a letter to counsel for the Lenders, in which MPES represented that it had “commenced work on the [hospital] project on or about September 18, 2006.” MPES added that “materials were first delivered to the project · on or about September 4, 2006.” In the letter, Counsel for MPES specifically linked MPES's above representations to the date that MPES's lien incepted: “[T]he inception of [MPES's] mechanic's and materialman's lien relates back to the date labor was first performed or materials were first delivered to the project.”

More than six months later, on September 11, 2009, MPES responded to interrogatories from MetroBank with a sworn statement from its President that MPES had “commenced construction on or about September 13, 2006.” Thus, MPES confirmed that it had not delivered materials or commenced labor before September 1, 2006.

MPES presently submits that it “timely supplemented” its interrogatory response, on November 20, 2009, to state instead that it had “[begun] work on the project” in June 2006.

4. The Bankruptcy Court's Disposition of the Lenders' Pre–Trial Motion for Partial Summary Judgment

On January 26, 2010, the bankruptcy court granted the Lenders' motion for partial summary judgment. The following issues remained for trial: (i) whether IPS or MPES had supplied visible materials or labor to the renovation project before September 1, 2006;8 and (ii) whether there had been a “general contractor arrangement” within the meaning of McConnell v. Mortgage Investment Co. and its progeny, 157 Tex. 572, 305 S.W.2d 280, 283–86 (Tex.1957), which would have allowed the various claimants' liens to relate back regardless.9

5. The Bankruptcy Court's August 2010 Trial Decision

After a five-day trial, conducted in April and May 2010, the bankruptcy court issued its decision on August 25, 2010.

The bankruptcy court determined, inter alia: (i) that IPS and MPES had supplied materials and labor before September 1, 2006 but, in light of their stipulations, Hajoca and Crescent had not; (ii) that there had been no general contractor arrangement; (iii) that Beanland's stipulation could not be imputed to IPS because IPS was not her client; and (iv) that Beanland had referred to herself as “Counsel for · [IPS]” in her signature block only because IPS had assigned its lien to Hajoca.

Accordingly, on October 12, 2010, the bankruptcy court entered its judgment, overruling the objections of the Lenders as to the priority of IPS and MPES's liens.

At the request of MPES, the bankruptcy court issued a decision on December 29, 2010 to amend its judgment, to allow for MPES to recover the amount of its lien jointly and severally from the Lenders. The bankruptcy court entered its amended judgment on January 31, 2011.

C. Proceedings Before the District Court

The Lenders appealed the bankruptcy court's decision—as to the priority of IPS and MPES's liens—to the district court. In a March 12, 2012 decision, In re Renaissance Hospital Grand Prairie, Inc., No. 4:11–cv–311–A, 2012 WL 826334 (N.D.Tex. Mar.12, 2012), the district court reversed the bankruptcy court as to the respective dates IPS and MPES had first supplied materials or labor.10

1. Texas's Statutory “Visible from Inspection” Requirement for the Inception of Mechanic's Liens

In holding that neither IPS nor MPES had supplied materials or labor before September 1, 2006, the district court noted that under Section 53.124 of the Texas Property Code:

(a) Except as [otherwise] provided · for purposes of Section 53.123, the time of inception of a mechanic's lien is the commencement of construction of improvements or delivery of materials to the land on which the improvements are to be located and on which the materials are to be used. (b) The construction or materials under Subsection (a) must be visible from inspection of the land on which the improvements are being made·

Tex. Prop.Code Ann. §§ 53.124(a)-(b) (West 2007) (emphasis added). Thus, any materials delivered or labor commenced would have had to be “visible from inspection.” In re Renaissance, 2012 WL 826334, at *5.

2. Additional Diversified Mortgage Requirements Pertaining to “Notice” for Secured Lenders

Moreover, the district court noted that under Section 53.123 of the Texas Property Code:

(a) Except as [otherwise] provided · a mechanic's lien attaches to the · [real] property in preference to any prior lien, encumbrance, or mortgage on the land on which it is located, and the person enforcing the lien may have the · property sold separately. (b) The mechanic's lien does not affect any lien, encumbrance, or mortgage on the land or improvement at the time of the inception of the mechanic's lien, and the holder of the lien, encumbrance, or mortgage need not be made a party to a suit to foreclose the mechanic's lien.

Tex. Prop.Code Ann. § 53.123 (West 2007). The district court explained that, in Diversified Mortgage Investors v. Lloyd D. Blaylock General Contractor, Inc., 576 S.W.2d 794 (Tex.1978), the Texas Supreme Court had interpreted the precursor to Section 53.123, when read together with the precursor to Section 53.124, to have “clearly provide[d] additional standards or conditions which must exist before a mechanic's lien is incepted. Diversified Mortg., 576 S.W.2d at 801.

With respect to the delivery of materials, Diversified Mortgage held that, in order to incept a lien, the material (i) must have been delivered to the construction site; (ii) must be “visible from inspection”; and (iii) must constitute “either · material which will be consumed during construction or · material which will be incorporated in the permanent structure.” Id. at 803. With respect to the commencement of labor, Diversified Mortgage held that, in order to incept a lien, the labor (i) must have been conducted on the construction site; (ii) must be “visible from inspection”; and (iii) must constitute “the placing of something of permanent value on the land,” rather than mere “preliminary or preparatory activities or structures.” In re Renaissance, 2012 WL 826334, at *6 (interpreting Diversified Mortg., 576 S.W.2d at 802).

The District Court surveyed the property law of other American jurisdictions before concluding that Diversified Mortgage was consistent with them in ensuring that secured lenders be provided sufficient notice of ongoing construction activities, that might give rise to future mechanic's liens, before those lenders were to provide potentially subordinate financing. See In re Renaissance, 2012 WL 826334, at *7–8.

3. The District Court's Application of the Above Standards

Applying the above standards, the district court reversed the bankruptcy court with respect to IPS and MPES. The district court held that any delivery of materials or commencement of labor, by IPS or MPES, was no more than “preliminary or preparatory” before September 1, 2006.

The district court further held that the bankruptcy court had failed to make findings as to the “visibility from inspection” of any materials delivered or labor commenced. However, rather than remand back to the bankruptcy court, the district court itself found that any materials delivered or labor commenced, by either IPS or MPES, had not been “visible from inspection.”11

As a separate ground for reversal, with respect to IPS, the district court observed that it would hold that Beanland's stipulation could be imputed to IPS on the basis of the privity of its assignment contract with Hajoca. See In re Renaissance, 2012 WL 826334, at *4 n. 9 (citing Sprint Commc'ns Co. v. APCC Servs., Inc., 554 U.S. 269, 285–92, 128 S.Ct. 2531, 171 L.Ed.2d 424 (2008)). Nevertheless, the district court noted that it did not have to make a definitive holding on the issue because it already had determined that IPS had not sufficiently delivered materials or commenced labor before September 1, 2006. See id. at *15.

The district court upheld the bankruptcy court with respect to Hajoca and Crescent.

Accordingly, the district court vacated the amended judgment of the bankruptcy court and entered final judgment in favor of the Lenders. The Lien Claimants timely appealed.

II. STANDARD OF REVIEW

A. Applicable Standard to the District Court in Reviewing the Bankruptcy Court

“When reviewing a bankruptcy court's decision in a ‘core proceeding,’ a district court functions as a appellate court and applies the standard of review generally applied in federal court appeals.” Matter of Webb, 954 F.2d 1102, 1103–04 (5th Cir.1992) (citation and footnote omitted). Under this standard of review, “[f]indings of fact, whether based on oral or documentary evidence, shall not be set aside unless clearly erroneous, and due regard shall be given to the opportunity of the bankruptcy court to judge the credibility of the witnesses.” Fed. R. Bankr.P. 8013. Factual findings “based on determinations regarding the credibility of witnesses” demand “even greater deference” because “only the trial judge can be aware of the variations in demeanor and tone of voice that bear so heavily on the listener's understanding of and belief in what is said.” Anderson v. Bessemer City, N.C., 470 U.S. 564, 575, 105 S.Ct. 1504, 84 L.Ed.2d 518 (1985) (citation omitted).

“A ‘core proceeding’ is one that invokes a substantive right provided by · the Bankruptcy Code · [or] is a proceeding that by its nature could arise only in the context of a bankruptcy case.” Webb, 954 F.2d at 1104 n. 1 (citation and internal quotation marks omitted). “Core proceedings include, but are not limited to · determinations of the validity, extent, or priority of liens.” 28 U.S.C. § 157(b)(2)(K) (2006).

The U.S. Supreme Court has construed the term “clearly erroneous” as follows:

Although the meaning of the phrase “clearly erroneous” is not immediately apparent, certain general principles · may be derived from our cases. The foremost of these principles · is that a finding is “clearly erroneous” when although there is evidence to support it, the reviewing court on the entire evidence is left with the definite and firm conviction that a mistake has been committed. This standard plainly does not entitle a reviewing court to reverse the finding of the trier of fact simply because it is convinced that it would have decided the case differently· If the [trial] court's account of the evidence is plausible in light of the record viewed in its entirety, the [reviewing] court · may not reverse it even though convinced that had it been sitting as the trier of fact, it would have weighed the evidence differently. Where there are two permissible views of the evidence, the factfinder's choice between them cannot be clearly erroneous.

Anderson, 470 U.S. at 573–74 (citations and internal quotation marks omitted).

“Generally, a bankruptcy court's findings of fact are reviewed for clear error and conclusions of law are reviewed de novo.” In re Gerhardt, 348 F.3d 89, 91 (5th Cir.2003) (citation omitted). However, for a “mixed question of law and fact,” the “factual premises” are reviewed for clear error but the ultimate “legal conclusion” is reviewed de novo. Whitehouse Hotel Ltd. P'ship v. C.I.R., 615 F.3d 321, 333 (5th Cir.2010) (citations omitted).12

B. Applicable Standard to This Court in Reviewing the District Court

This Court “review[s] the decision of a district court, sitting as an appellate court, by applying the same standards of review to the bankruptcy court's findings of fact and conclusions of law as applied by the district court.” Gerhardt, 348 F.3d at 91 (citation omitted).

III. DISCUSSION

A. Introduction

At issue is whether the bankruptcy court clearly erred in determining that IPS and MPES had supplied materials or labor before September 1, 2006, but Hajoca and Crescent had not. We find that it did.

In short, IPS's stipulation created a strong presumption that IPS had not supplied anything more than “preliminary or preparatory” materials or labor before September 1, 2006. The same can be said of MPES with respect to its representations to the Lenders' counsel and initial interrogatory response. Even on highly deferential Anderson /Webb review, the bankruptcy court's factual findings cannot overcome these presumptions.

Moreover, Hajoca and Crescent themselves have acknowledged that their claims are “derivative” to those of IPS and MPES. Therefore, Hajoca and Crescent's claims fall for the same reasons that IPS and MPES's claims do.

Accordingly, the bankruptcy court's determinations concerning IPS and MPES were clearly erroneous, but its determinations concerning Hajoca and Crescent were correct.

B. Analysis

1. Whether IPS Is Bound by Beanland's Stipulation

To recap, during the pre-trial partial summary judgment proceedings, IPS stipulated: “The date that [IPS] performed its first visible work or delivered its first visible materials (as defined by section 53.124 of the Texas Property Code and Texas case law) was on or after October 9, 2006 but before February 22, 2009.” Misti Beanland, counsel of record for Crescent and Hajoca—but not IPS, executed the stipulation. In executing the stipulation, Beanland specifically referred to herself as “Counsel for · Innovative Plumbing Services” in her signature block.

The bankruptcy court and district court differed as to how to treat this odd set of circumstances. The bankruptcy court noted that Beanland was not counsel for IPS, and therefore could not bind IPS with the stipulation. See 7 Am.Jur.2d Attorneys at Law § 147 (2013) (“A lawyer may not act beyond the scope of the contemplated representation without additional authorization from the client.”).

By contrast, the district court noted that it did not need to reach this stipulation issue. However, the district court added that, if it did, it would hold that Beanland's identical stipulation for Hajoca would bind IPS under Sprint, 554 U.S. at 285–92, on account of the privity of their assignment contract.

Our approach to this issue differs from that of either court below. It is grounded in the specific and unusual facts of this case. First, Beanland's stipulation is signed “Counsel for · Innovative Plumbing Services.” In and of itself, this is probative, especially since the record evidences no contemporaneous objection by IPS to Beanland's (i) characterization of herself as its counsel; or (ii) characterization of the date that IPS first supplied materials or labor.

Second, Glenn Smith, IPS's President, was Beanland's primary witness at trial with respect to proving the date that IPS first supplied materials or labor. Without Smith's testimony for Hajoca, Beanland would have had little evidence to present on this point. After all, IPS did not have alternative counsel during the bankruptcy proceedings. If not for Hajoca, there would have been no party with an interest in eliciting Smith's testimony. Yet, IPS too benefitted from Hajoca's prosecution of the assigned lien. Were Beanland unsuccessful for Hajoca, IPS still would be liable to Hajoca for Hajoca's costs as a subcontractor on IPS's contract with RHGP. In these unique circumstances, where the parties' interests were significantly aligned and IPS did not have record counsel of its own, Beanland in essence was IPS's counsel.

Finally, even in these Fifth Circuit proceedings, IPS has relied on Beanland's advocacy when it suits IPS's purposes. See, e.g., Oct. 5, 2012 Letter from IPS's Counsel (joining in and adopting large parts of Hajoca's reply brief in lieu of submitting its own reply brief). This is not consistent with a party sincerely contesting the imputation of Beanland's stipulation to it.

On these specific and unusual facts, the argument that Beanland could not bind IPS is unavailing. Accordingly, IPS is bound by Beanland's stipulation.13

2. Whether the Lien Claimants' Stipulations, Which Preceded the Close of Discovery, Were Limited to the Pre–Trial Partial Summary Judgment Proceedings

As documented above, IPS, Hajoca, and Crescent all entered into stipulations that they had not supplied materials or labor before September 1, 2006. The Lien Claimants argue that, because discovery had not yet closed, the stipulations were limited in applicability to the pre-trial partial summary judgment proceedings at hand and, therefore, are not conclusive.

However, we need not determine whether the stipulations are entirely conclusive. After all, at a minimum, the stipulations created strong presumptions that the stipulated work commencement/material delivery dates were correct. As explained below, IPS, Hajoca, and Crescent cannot overcome these strong adverse presumptions.14

3. The Effect of MPES's Representations to the Lenders' Counsel and Initial Response to MetroBank's Interrogatories

To recap once again, on February 5, 2009, counsel for MPES submitted a letter to counsel for the Lenders, in which MPES represented that it had “commenced work on the [Hospital] project on or about September 18, 2006.” MPES added that “materials were first delivered to the project · on or about September 4, 2006 .”

Furthermore, on September 11, 2009, MPES responded to interrogatories from MetroBank with a sworn statement from its President that MPES had “commenced construction on or about September 13, 2006.” Nevertheless, MPES presently submits that it “timely supplemented” its interrogatory response, on November 20, 2009, to state instead that it had “[begun] work on the project” in June 2006.

Similar to IPS, Hajoca, and Crescent, with their adverse stipulations, MPES cannot altogether escape its adverse representations to Lenders' counsel or its adverse initial interrogatory response. That MPES “timely supplemented” its interrogatory response with self-serving changes that wholly contradicted its initial response is of little moment. At a minimum, MPES's prior representations created the same strong presumption faced by the other Lien Claimants that it had not supplied materials or labor before September 1, 2006. While we acknowledge MPES's supplemental interrogatory response, it is of minimal credibility.

4. Whether IPS or MPES Can Overcome the Strong Adverse Presumptions Discussed Above

Neither IPS nor MPES can overcome the strong adverse presumptions discussed above, even on deferential clear error review of the bankruptcy court's decision. Both IPS and MPES point to factual findings by the bankruptcy court in support of its decision, and argue that those findings are entitled to deference. Those findings, and why they are not enough to overcome the above presumptions, can be summarized as follows.

a. Factual Findings Regarding IPS15

IPS submits that it supplied “copper, cast iron, and miscellaneous fillings” in order to “restor[e] water service” and “repair[ ] a bathroom” at the RHGP Hospital site at “the end of July or beginning of August 2006.” In support of this assertion, IPS cites to the trial testimony of Smith, IPS's President. IPS notes that the bankruptcy court found Smith to be credible, and found IPS's work to have been neither “preliminary” nor “preparatory.”

IPS concedes that it billed for this work on September 14, 2006. However, Smith testified at trial that it was IPS's standard practice not to bill until “two or three weeks after work had been completed.”

Smith conceded that IPS did not have a permit for this work, which he acknowledged would have been necessary had the work been part of the actual renovation project.16 Rather, IPS's work during this time period was limited to pre-renovation tasks such as evaluating the property for renovation suitability and restoring running water for use by future renovation workers.

In light of the strong presumption created by its stipulation, it is simply not enough for IPS to rest its case on Smith's conflicting testimony, as this testimony revealed that IPS's work was limited to pre-renovation tasks that would not remain in the building. That IPS did not bill for its work until September 14, 2006 only corroborates its stipulation that it did not commence work before September 1, 2006.

It was unreasonable for the bankruptcy court to give insufficient weight to IPS's stipulation, whether dispositive or merely persuasive, in favor of testimony from IPS's President that was not wholly to the contrary. It also was unreasonable for the bankruptcy court to credit IPS's work as anything other than “preliminary or preparatory” when IPS's own President, who the bankruptcy court deemed to be credible, had conceded in sworn testimony that IPS had not yet obtained the requisite permit for actual renovation work.17

b. Factual Findings Regarding MPES18

First, MPES submits that it attempted to repair a switchgear at the RHGP Hospital site, and made the decision to order a replacement switchgear, in August 2006. Second, MPES submits that it installed wiring to a “sump pump motor control center” at the site in June 2006. Third and finally, MPES submits that it repaired security lights at the site in August 2006.

In support of these assertions, MPES cites to the trial testimony of its President, Micky Cable, as well as to business records, including time sheets for employees and invoices for materials. MPES notes that the bankruptcy court found Cable to be credible, and credited MPES's business records. In doing so, the bankruptcy court found that MPES had first commenced construction or delivered materials to the RHGP Hospital site on June 8, 2006.

Notwithstanding the above, MPES concedes that it did not perform the actual replacement of the switchgear until after September 1, 2006. Furthermore, with respect to the installation of the wiring, MPES concedes that it did not procure the requisite permit for such a project, at least before September 1, 2006.

All things considered, MPES cannot overcome the strong adverse presumption created by its prior representations to the Lenders' counsel and its initial response to MetroBank's interrogatories. After all, as documented above, MPES did not perform the actual replacement of the switchgear until after September 1, 2006. Moreover, MPES did not procure a permit for the wiring installation.

As for MPES's evidence of business records that purportedly establish its work on the switchgear, wiring, and security lights, many of those records are labeled “estimates” rather than “invoices” or “orders,” and appear to refer to future rather than completed work. Even more significantly, all of the records are addressed to RHS generally, or to RHD rather than to RHGP.19 Records addressed to the wrong corporate entity have minimal if any probative value.

Especially in light of MPES's prior representations, it was not reasonable for the bankruptcy court to treat the above evidence as sufficient to establish a work commencement/materials delivery date before September 1, 2006. At best, like IPS, MPES engaged in evaluative, “preliminary or preparatory” work.20

Thus, even on deferential clear error review of the bankruptcy court's decision, neither IPS nor MPES can overcome the strong adverse presumptions detailed above. Despite the general proposition—set forth in Anderson and Webb—that factual findings grounded in trial-testimony credibility determinations are not to be disturbed, we must do so when, as here, we are “left with the definite and firm conviction that a mistake has been committed.” Anderson, 470 U.S. at 573 (citation and internal quotation marks omitted).

5. Hajoca and Crescent's “Derivative” Claims

Finally, as both Hajoca and Crescent acknowledge, their respective claims are “derivative” to IPS and MPES's claims. Since neither IPS nor MPES can establish that it had delivered materials or commenced labor before September 1, 2006, a priori, neither can Hajoca or Crescent. Moreover, just like IPS, both Hajoca and Crescent are saddled with strong adverse presumptions created by their respective stipulations.

Thus, the bankruptcy court clearly erred in determining that IPS and MPES had supplied materials or labor before September 1, 2006. The bankruptcy court correctly determined that Hajoca and Crescent had not supplied materials or labor before September 1, 2006.

IV. CONCLUSION

For the foregoing reasons, we AFFIRM the final judgment of the district court, which reversed and vacated the amended judgment of the bankruptcy court.

FOOTNOTES

1.  Renaissance Healthcare Systems, Inc. (“RHS”) is a distinct corporate entity to which RHGP is related. Another hospital related to RHS is Renaissance Hospital Dallas (“RHD”). In their briefs, the parties refer to RHGP and RHS indiscriminately. For simplicity, we refer to both as RHGP, except where it is necessary to distinguish between RHGP, RHD, and RHS.

2.  Collectively, we refer to IPS, MPES, Hajoca, and Crescent as the “Lien Claimants.”

3.  Collectively, we refer to MetroBank and FNB as the “Lenders.”

4.  The deed of trust contained a future advances clause.

5.  An additional electrical contractor named J.W. Electric, which is not a party to this appeal, also provided electrical services for the renovation project.

6.  Hajoca represents that its own recorded lien (in contrast to the lien assigned by IPS) is “derivative” to IPS's recorded lien (the assigned lien). Similarly, Crescent represents that its recorded lien is “derivative” to MPES's recorded lien.

7.  As discussed below, since IPS did not directly claim a lien, but Hajoca ultimately asserted its rights as IPS's assignee, the Lenders (on the one hand) and the Lien Claimants (on the other) presently dispute whether Beanland's stipulation, which she purports to have executed on behalf of Hajoca, can be imputed to IPS. MPES, which has separate counsel, is not a party to this specific sub-dispute.

8.  As documented above, Hajoca and Crescent stipulated that they had not supplied visible materials or labor before September 1, 2006. IPS did as well, but the bankruptcy court reserved judgment—as to whether Beanland's stipulation on behalf of Hajoca bound IPS—for its August 25, 2010 trial decision.

9.  No party has appealed the bankruptcy court's January 26, 2010 ruling on partial summary judgment.

10.  IPS had not directly participated in the bankruptcy court proceedings. Nevertheless (i) the bankruptcy court's decision had the potential to affect IPS's financial interests; (ii) the Lenders had designated IPS as a party-opponent in their subsequent district court brief; and (iii) IPS had filed a district court brief in response. In re Renaissance, 2012 WL 826334, at *1 n. 1. For these reasons, the district court permitted IPS to intervene in the proceedings. Id.

11.  As discussed below, it is evident that neither IPS nor MPES supplied cognizable materials or labor before September 1, 2006, whether “visible from inspection” or not. Therefore, we need not reach the issue of whether the district court should have remanded to the bankruptcy court to make the findings in the first instance.

12.  In light of the U.S. Supreme Court's decision in Stern v. Marshall, ––– U.S. ––––, 131 S.Ct. 2594, 2620, 180 L.Ed.2d 475 (2011), the parties dispute whether the district court should have applied de novo or clear error review to the bankruptcy court's lien inception date findings. The Lenders correctly note that Stern invalidated 28 U.S.C. § 157(b)(2)(C) (“Core proceedings include, but are not limited to · counterclaims by the estate against persons filing claims against the estate”), at least with respect to “state law counterclaim[s] that [are] not resolved in the process of ruling on a creditor's proof of claim.” 131 S.Ct. at 2620. Despite Stern's express instruction that its holding applied only “in one isolated respect,” the Lenders argue that the logic of Stern would apply equally to Section 157(b)(2)(K) ( · determinations of the validity, extent, or priority of liens).Were we to adopt the Lenders' reading of Stern, the appropriate standard of review for the bankruptcy court's factual findings, as to the respective dates IPS and MPES first supplied materials or labor, would be de novo rather than clear error. The Lenders' reading, however, is highly implausible. While Stern's “in one isolated respect” language may understate the totality of the encroachment upon the Judicial Branch posed by Section 157(b)(2), which enumerates a list of “core proceedings,” the determination of the priority of liens is not likely such an encroachment. See, e.g., In re Bigler LP, 458 B.R. 345, 370–71 & n. 24 (Bankr.S.D.Tex. Aug.19, 2011); In re Quality Props., LLC, Bankr.No. 10–42783, Adversary No. 10–40132, 2011 WL 6161010, at *4, 6 (Bankr.N.D.Ala. Nov.29, 2011) (unpublished).Nevertheless, the bankruptcy court's determination that IPS and MPES supplied materials or labor before September 1, 2006 cannot withstand either de novo or clear error review. Thus, we leave it for future courts to flesh out the effect of Stern more definitively.

13.  In light of the unique circumstances of this case, which make clear that Beanland's stipulation should be imputed to IPS, we need not make a categorical pronouncement as to when an attorney may bind a party who is not her “client” in the strictest sense of the word. Nor need we definitively reach the proposition, set forth in dicta by the district court, that under Sprint, 554 U.S. at 285–92, Beanland could have bound IPS merely on account of the privity of its assignment contract with Hajoca.First and foremost, Sprint is an opinion on the standing—both Article III and prudential—of an assignee to prosecute its assignor's claim. At present, it is enough for us to observe that, despite its arguably broad language, there is minimal written indication that Sprint extends into a generalized presumption of imputation, between assignor and assignee, based solely on the privity of their assignment contract.

14.  To be clear, the tension in this case is between the pre-trial paper record and the bankruptcy court's post-trial factual findings. Irrespective of the deference afforded a bankruptcy court's factual findings, those findings must reasonably outweigh any undisputed evidence in the paper record that pre-dated trial.

15.  For a more exhaustive discussion of the bankruptcy court's factual findings regarding IPS, see the district court opinion at In re Renaissance, 2012 WL 826334, at *11–14.

16.  While a contractor's failure to obtain a permit is not talismanic evidence that the contractor's work is merely “preliminary or preparatory,” it is probative evidence to that effect in the absence of countervailing evidence of comparable weight.

17.  In addition to the above-stated reasons why IPS cannot overcome the adverse presumption created by its stipulation, none of IPS's evidence, other than the conflicting testimony of Smith, sheds much light on whether its purported labor or delivery of materials would have been “visible from inspection.” Thus, even if IPS could overcome the adverse presumption created by its stipulation, which it cannot, it likely could not satisfy Texas's requirement of notice for secured creditors. See Diversified Mortg., 576 S.W.2d at 801–03; Tex. Prop.Code Ann. §§ 53.123, 53.124(a)-(b) (West 2007). That said, we need not reach the “visible from inspection” issue, which the bankruptcy court failed to address in the first instance.

18.  For a more exhaustive discussion of the bankruptcy court's factual findings regarding MPES, see the district court opinion at In re Renaissance, 2012 WL 826334, at *8–11.

19.  In addition to its work for RHGP, MPES performed work on a separate contract for RHD.

20.  As with IPS, in addition to the above-stated reasons why MPES cannot overcome the adverse presumption created by its prior representations, none of MPES's evidence, other than the conflicting testimony of Cable, sheds much light on whether its purported labor or delivery of materials would have been “visible from inspection.” Thus, even if MPES could overcome the adverse presumption created by its prior representations, which it cannot, it likely could not satisfy Texas's requirement of notice for secured creditors. See Diversified Mortg., 576 S.W.2d at 801–03; Tex. Prop.Code Ann. §§ 53.123, 53.124(a)-(b) (West 2007).

CARL E. STEWART, Chief Judge:


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Jamaal R. JOHNSON, Petitioner–Appellant v. Burl CAIN, Warden, Louisiana State Penitentiary, Respondent–Appellee.

No. 11–31121.

-- March 21, 2013

Before DAVIS, GRAVES, and HIGGINSON, Circuit Judges.

Mark David Plaisance, Esq., Thibodaux, LA, Petitioner–Appellant.Dylan C. Alge, Esq., District Attorney's Office, Baton Rouge, LA, for Respondent–Appellee.

Federal habeas petitioner Jamaal R. Johnson argues on appeal that his trial attorney interfered with his federal constitutional right to testify at his state trial for armed robbery and felon in possession of a firearm. Because Johnson disclaimed that argument during state habeas proceedings, we AFFIRM the district court's dismissal of his § 2254 petition as unexhausted.

FACTS AND PROCEEDINGS

Johnson was found guilty after a jury trial in Louisiana court of three counts of armed robbery and one count of felon in possession of a firearm. He was sentenced as a habitual offender to life imprisonment on the first armed robbery count, concurrent terms of 65 years' hard labor on the remaining two armed robbery counts, and a concurrent term of 15 years' hard labor on the felon-in-possession count. State v. Johnson, 951 So.2d 294, 297 (La.Ct.App.2006). His convictions and sentences were affirmed on direct appeal. Id . at 304.

In his state habeas petition, Johnson argued that his trial counsel interfered with his right to testify at trial. Nineteenth Judicial District Court Commissioner John M. Smart, Jr. recommended that the state habeas court grant Johnson a new trial on that basis. In response, the State of Louisiana filed a traversal1 to the commissioner's recommendation requesting that the state habeas court summarily dismiss Johnson's habeas petition, or, in the alternative, conduct an evidentiary hearing on his right-to-testify claim. After conducting an evidentiary hearing on that issue, the state habeas court denied Johnson relief on his Louisiana right-to-testify claim, concluding that he failed to make the showing required under State v. Hampton, 818 So.2d 720 (La.2002). The state habeas court did not evaluate whether Johnson was deprived of his federal constitutional right to testify. The Louisiana Court of Appeal for the First Circuit and Louisiana Supreme Court denied supervisory writs.

In his federal habeas petition, filed pursuant to 28 U.S.C. § 2254, Johnson re-asserted his right-to-testify claim. The State of Louisiana moved to dismiss Johnson's habeas petition on the grounds that the district court lacked jurisdiction to hear the claim because it was based on an alleged violation of state law, and reasoned, in the alternative, that even if Johnson's right-to-testify claim were based on an alleged violation of federal law, it was unexhausted, and thus procedurally defaulted, because it was not fairly presented to the Louisiana courts. On referral from the district court, Magistrate Judge Christine Noland issued a report and recommendation recommending that Johnson's federal habeas petition be dismissed with prejudice for failure to exhaust the federal claim in Louisiana courts. Over Johnson's objections, the district court adopted the report and recommendation, and dismissed the habeas petition with prejudice. Johnson timely appealed, and we granted him a certificate of appealability on the issue of whether the district court erred in concluding that his federal right-to-testify claim was unexhausted and procedurally defaulted.

STANDARD OF REVIEW

Whether a federal habeas applicant has exhausted state remedies is a question of law we review de novo. Morris v. Dretke, 413 F.3d 484, 491 (5th Cir.2005).

DISCUSSION

A federal habeas petition filed by a state prisoner shall not be granted unless the prisoner exhausts available state remedies. 28 U .S.C. § 2254(b)(1)(A); Morris, 413 F.3d at 490. The exhaustion requirement is satisfied when the substance of the federal claim is “fairly presented” to the highest state court on direct appeal or in state post-conviction proceedings, “even if the state court fails to address the federal claim,” Soffar v. Dretke, 368 F.3d 441, 467 (5th Cir.2004), or, if the federal claim is not fairly presented but the state court addresses it sua sponte, Jones v. Dretke, 375 F.3d 352, 355 (5th Cir.2004).

A claim is fairly presented when the petitioner “asserts the claim in terms so particular as to call to mind a specific right protected by the Constitution or alleges a pattern of facts that is well within the mainstream of constitutional litigation.” Kittelson v. Dretke, 426 F.3d 306, 315 (5th Cir.2005) (per curiam) (internal quotation marks omitted). “It is not enough that all the facts necessary to support the federal claim were before the state courts or that a somewhat similar state-law claim was made.” Wilder v. Cockrell, 274 F.3d 255, 259 (5th Cir.2001) (quoting Anderson v. Harless, 459 U.S. 4, 6, 103 S.Ct. 276, 74 L.Ed.2d 3 (1982)); see also Duncan v. Henry, 513 U.S. 364, 366, 115 S.Ct. 887, 130 L.Ed.2d 865 (1995) (per curiam) (holding that petitioner did not fairly present federal due process claim by bringing a “somewhat similar” but doctrinally distinct “miscarriage of justice” claim under the California Constitution); Gartrell v. Lynaugh, 833 F.2d 527, 529 (5th Cir.1987) (holding that petition presenting state-law sufficiency challenge fairly presented a federal sufficiency challenge because “the federal and state standards applicable to [petitioner]'s claims are identical, not merely ‘somewhat similar’ ”). “Rather, the petitioner must afford the state court a ‘fair opportunity to apply controlling legal principles to the facts bearing upon his constitutional claim.’ “ Bagwell v. Dretke, 372 F.3d 748, 755 (5th Cir.2004) (quoting Anderson, 459 U.S. at 6).

In his pro se state habeas petition, Johnson characterizes his first claim as a “denial of the right to testify” protected by the Louisiana and United States Constitutions. In an opening section entitled “The Constitutional Right to Testify In One's Own Behalf,” he derives the federal right to testify from the Fifth Amendment's privilege against self-incrimination; the Sixth Amendment's right to compulsory process; and the Fourteenth Amendment's right to due process, citing as authority Rock v. Arkansas, 483 U.S. 44, 107 S.Ct. 2704, 97 L.Ed.2d 37 (1987). He goes on to explain that the federal right to testify is violated when defense counsel compels a criminal defendant to remain silent, citing as authority United States v. Teague, 953 F.2d 1525 (11th Cir.1992) (en banc). In the next section entitled “The Standard for Louisiana,” he turns to the Louisiana right to testify, which is guaranteed under Article I, Section 16 of the Louisiana Constitution and governed by the framework announced in State v. Hampton, 818 So.2d 720 (La.2002).2 Johnson concludes this section by noting, incorrectly, that “[t]he jurisprudence of both the U.S. Supreme Court and the La. Supreme Court is well-settled in that the denial of a fundamental rights is not amendable to harmless error.”3 In the ensuing section entitled “Argument,” Johnson maintains that he unequivocally communicated his desire to testify to defense counsel, who refused to allow him to take the stand and mislead him into believing that the decision was counsel's to make. Such facts, he contends, “rebut[ ] the presumption [established in Hampton ] that he waived his right to testify” and entitle him to relief. Johnson concludes by specifying that his petition “relies on the Louisiana Supreme Court's holding in State v. Hampton, 818 So.2d 720 and State v. Dauzart, 769 So.2d 1210”—Louisiana cases articulating the standard governing the Louisiana right to testify—“for a reversal of his conviction and sentence.” In summary, it appears as though Johnson initially intended to bring both federal and state claims for denial of the right to testify; erroneously assumed that the two rights were co-extensive; and, proceeding under that assumption, applied his facts under the Louisiana standard only.

Although precedent suggests that Johnson fairly presented his federal right-to-testify claim in his state habeas petition,4 we need not resolve that issue because even if he did so, the record reflects that he twice disclaimed that argument, first at the state evidentiary hearing and, later, in his application for supervisory writs to Louisiana's First Circuit Court of Appeal. At the evidentiary hearing, Johnson's counsel reiterated that Johnson's right-to-testify claim was based on Hampton, and Hampton alone: “The law on this is pretty clear, Hampton. Okay?” Specifically commenting on the State's recitation, in its traversal, of the Strickland standard governing the federal right to testify, counsel underscored that Johnson's right-to-testify claim “has nothing to do with the federal jurisprudence that the state has disclosed in their various papers they have filed.” Likewise, in his application for supervisory writs to the First Circuit Court of Appeal, Johnson again emphasized, “The application at bar is not based upon a claim of ineffective assistance of counsel nor is it subject to a harmless error analysis. The propriety of [trial counsel]'s trial tactics therefore has no bearing on the required analysis in this matter.”

We were presented with a similar set of facts in Daniel v. Cockrell, 283 F.3d 697 (5th Cir.2002), abrogated on other grounds by Glover v. United States, 531 U.S. 198, 121 S.Ct. 696, 148 L.Ed.2d 604 (2001). There, a Texas prisoner brought an ineffective assistance claim in his state habeas petition. Id. at 701. At the time, Texas did not require a showing of prejudice to establish ineffective assistance of counsel, so the state and federal rights, though parallel, were not co-extensive. Id. Although it appears that nothing prevented the petitioner from bringing state and federal ineffective assistance claims, he asserted only the state claim and “specifically disclaimed reliance on the federal ineffective assistance of counsel standard.” Id. After his state habeas petition was denied on the merits, petitioner sought to bring a federal ineffective assistance claim on federal habeas review. Id . The district court dismissed his habeas petition as unexhausted, and we affirmed, on the ground that petitioner never fairly presented a federal ineffective assistance claim to the Texas courts. Id.

We held in Daniel, and now reiterate, that a state habeas petitioner's disclaimer of an argument has the same effect as his failure to raise it in the first place. Id. The exhaustion requirement “reflects a policy of federal-state comity · designed to give the State an initial opportunity to pass upon and correct alleged violations of its prisoners' federal rights.” Anderson v. Johnson, 338 F.3d 382, 386 (5th Cir.2003) (quoting Picard v. Connor, 404 U.S. 270, 275, 92 S.Ct. 509, 30 L.Ed.2d 438 (1971)). By disclaiming reliance on a potential ground for habeas relief, a state habeas petitioner signals to the state courts that they need not pass judgment upon it. Allowing the petitioner to revive that claim in a federal habeas petition, without giving the state courts the initial opportunity to review it, would be inconsistent with comity interests and would subvert the primary purpose of the exhaustion requirement. Daniel, 283 F.3d at 697.

Johnson argues that it would be unfair to require a state habeas petitioner to bring a Strickland claim during state habeas proceedings to preserve that claim for federal habeas review:

A defendant denied the right to testify by his trial counsel would have to raise the lesser Strickland argument to preserve the right to federal relief and forgo the greater Louisiana protection of Hampton, or, argue for the greater protection of Hampton and then face, as Johnson, the claim of unexhaustion and procedural default.

But, as the State of Louisiana points out, it is not an either-or proposition. Nothing prevented Johnson from asserting that his trial counsel's conduct violated the Louisiana Constitution, under Hampton, and the Sixth Amendment to the United States Constitution, under Strickland. Post-conviction relief is available under Louisiana law when “[t]he conviction was obtained in violation of the constitution of the United States or the state of Louisiana.” La.Code Crim. Proc. art. 930.3(1) (emphasis added).

Where, as here, “a prisoner fails to exhaust state remedies and the court to which the prisoner would be required to present his claims in order to meet the exhaustion requirement would now find the claims procedurally barred due to the prisoner's own procedural default,”5 we are barred from reviewing those claims unless the petitioner “demonstrate[s] cause for the default and actual prejudice as a result of the alleged violation of federal law, or demonstrate[s] that failure to consider the claims will result in a fundamental miscarriage of justice.” Woodfox v. Cain, 609 F.3d 774, 793 (5th Cir.2010) (citing Coleman v. Thompson, 501 U.S. 722, 750, 111 S.Ct. 2546, 115 L.Ed.2d 640 (1991)) (internal quotation marks omitted); see also Hughes v. Dretke, 412 F.3d 582, 592 (5th Cir.2005) (clarifying that not just any cause will excuse default; a petitioner must show “good cause”).

Johnson lacks good cause for the default because the record reflects that he and his state habeas counsel were on notice that the federal and state rights to testify had different scopes and were governed by different standards, but elected to bring a state ineffective assistance claim and to forgo a federal ineffective assistance claim in order to focus the court's attention on the more expansive state right and the easier-to-satisfy Hampton standard .6 See Wiley v. Puckett, 969 F.2d 86, 102 (5th Cir.1992). Johnson likewise has not demonstrated that failure to consider his federal ineffective assistance claim would result in a fundamental miscarriage of justice: he does not disclose the subject of his proposed testimony and gives us no reason to believe that such testimony would have changed the trial's outcome. And, as Johnson's trial attorney stated under oath at the state evidentiary hearing, he advised Johnson not to testify because he perceived that they had a strong case without Johnson's testimony and surmised that Johnson would “absolutely not” have made a good witness in light of his inculpatory statements to the police and his three prior felony convictions for armed robbery. Taking everything into consideration, our confidence in the jury's verdict against him remains intact.

CONCLUSION

For the foregoing reasons, we conclude that Johnson's federal habeas petition is unexhausted and procedurally barred, and that Johnson has failed to demonstrate good cause for the default or that failure to consider his federal ineffective assistance claim would result in a fundamental miscarriage of justice. AFFIRMED.

FOOTNOTES

1.  Under Louisiana law, any party may “traverse” the findings and recommendations of a commissioner within ten days after transmittal of the proposed findings and recommendations. La.Rev.Stat. § 13:713(C)(3).

2.  Under Hampton, a defendant's silence at trial creates a presumption that he voluntarily waived the right to testify, which can be rebutted by (1) alleging specific facts from which the court could reasonably find that trial counsel told the defendant that he was legally forbidden to testify or otherwise compelled him to remain silent, and (2) demonstrating from the record that those specific factual allegations would be credible. 818 So.2d at 729–30. By contrast, claims of attorney interference with the federal right to testify are governed by the standard announced in Strickland v. Washington, 466 U.S. 668, 687, 104 S.Ct. 2052, 80 L.Ed.2d 674 (1984). United States v. Mullins, 315 F.3d 449, 452–53 (5th Cir.2002). To prevail under Strickland, a petitioner must establish that his counsel's performance was deficient, and the deficient performance prejudiced his defense. Id. at 453. It is deficient performance as a matter of law for defense counsel “to override the ultimate decision of a defendant to testify contrary to his advice.” Id. Conversely, “when the record is simply that the defendant knew of his right to testify and wanted to do so but counsel was opposed, [and the] defendant acquiesced in his lawyer's advice, · the only inquiry is whether that advice was sound trial strategy.” Id. at 453–54.

3.  Although the United States Supreme Court has characterized the federal right to testify as “fundamental,” Rock, 483 U.S. at 53 n. 10, claims involving attorney interference with that right are subject to harmless error review, Mullins, 315 F.3d at 452–53. Conversely, the denial of the Louisiana right to testify is structural error. Hampton, 818 So.2d at 729.

4.  The Supreme Court has instructed, albeit in dictum, that labeling a claim as federal, citing the federal source of that claim, or referencing a case deciding such a claim on federal grounds—all of which Johnson did here—is enough to satisfy the fair presentment requirement of AEDPA's exhaustion bar:A litigant wishing to raise a federal issue can easily indicate the federal law basis for his claim in a state-court petition or brief, for example, by citing in conjunction with the claim the federal source of law on which he relies or a case deciding such a claim on federal grounds, or by simply labeling the claim “federal.”Baldwin v. Reese, 541 U.S. 27, 32, 124 S.Ct. 1347, 158 L.Ed.2d 64 (2004). Following Baldwin, we have demanded less of state habeas petitioners seeking to raise a federal claim, exemplified by Taylor v. Cain, 545 F.3d 327 (5th Cir.2008), where we deemed a claim fair writ and presented although the petitioner “did not label his claim as a federal constitutional one,” because “his brief made the type of arguments that support a Confrontation Clause claim” and he cited two Louisiana cases mentioning the federal confrontation right. Id. at 333–34; see also Kittelson v. Dretke, 426 F.3d 306, 316–17 (5th Cir.2005) (holding that petitioner fairly presented federal confrontation and due process claims by invoking those concepts and citing the Sixth and Fourteenth Amendments).

5.  Absent certain exceptions not available here, an application for post-conviction relief may not be considered by a Louisiana court if it is filed more than two years after the judgment of conviction and sentence has become final. La.Code Crim. Proc. art. 930.8(A). Because Johnson's convictions and sentences became final in January 2007, he is barred from now filing a successive state habeas petition asserting a federal right-to-testify claim.

6.  The Nineteenth Judicial District Court of Texas denied Johnson post-conviction relief on his Hampton claim on the basis of its factual finding that Johnson initially wanted to testify and anticipated doing so, but, after being advised against it by his attorney, deferred to his attorney's judgment; and its corresponding legal conclusion that the record did not disclose “sufficient credible proof that the petitioner was forbidden or prohibited from testifying.”

HIGGINSON, Circuit Judge:


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Wallace BOUDREAUX, Plaintiff–Appellant v. TRANSOCEAN DEEPWATER, INC., Defendant–Appellee.

No. 12–30041.

-- March 14, 2013

Before HIGGINBOTHAM, CLEMENT, and HAYNES, Circuit Judges.

Wynn E. Clark, Esq., Gulfport, MS, Paul Maury Sterbcow, Esq., General Attorney, Lewis, Kullman, Sterbcow & Abramson, New Orleans, LA, Christopher Collins Van Cleave, Attorney, Corban Gunn & Van Cleave, Biloxi, MS, for Plaintiff–Appellant.John Anthony Scialdone, Esq., Todd Gregory Crawford, Esq., John Steven Garner, Esq., Fowler Rodriguez Valdes–Fauli, Gulfport, MS, for Defendant–Appellee.

Wallace Boudreaux sued Transocean Deepwater, Inc. to recover maintenance and cure for a back injury allegedly sustained on the job. Transocean successfully established a defense to liability under McCorpen v. Central Gulf Steamship Corp. and counterclaimed to recover benefits it had already paid to Boudreaux. The district court awarded summary judgment to Transocean on its counterclaim, concluding that Transocean's successful McCorpen defense automatically established its right to restitution—a right of action never before recognized in maritime law. We reverse and render.

I.

Boudreaux began working for Transocean in January 2005. He failed to disclose serious back problems in Transocean's pre-employment medical questionnaire, affirmatively answering “no” to several inquiries regarding any history of back trouble. Less than five months after his hire, Boudreaux claimed that he had injured his back while servicing equipment. As a consequence, Transocean paid the seaman maintenance and cure for nearly five years.

In April 2008, Boudreaux filed suit against Transocean alleging a right to further maintenance and cure and seeking punitive damages for Transocean's alleged mishandling of past benefits. During discovery, Transocean obtained evidence of Boudreaux's pre-employment history of back problems. Transocean filed an unopposed motion for partial summary judgment on Boudreaux's claim for further benefits, invoking McCorpen as a defense to maintenance and cure liability. Under McCorpen, a maritime employer does not owe maintenance and cure if it can establish that a seaman intentionally misrepresented or concealed a pre-existing medical condition that is material to the employment and is causally connected to the injury allegedly sustained.1

The district court granted Transocean's unopposed motion. Thereafter, Transocean filed a counterclaim to recover the maintenance and cure payments it had already made to Boudreaux. Transocean moved for summary judgment on the counterclaim, contending that its successful McCorpen defense automatically established its right to restitution under general maritime law. Prior to the district court's ruling on the motion, Transocean and Boudreaux reached a bracketed settlement that resolved all issues pending before the court, with the exception of Transocean's counterclaim. Under the settlement, Boudreaux is entitled to a lesser sum of money if Transocean succeeds on its counterclaim.

Though Transocean acknowledged that its restitution-via-McCorpen theory was novel, it urged the district court to fashion a new maritime right of action based on state law principles of fraud and unjust enrichment. In a thoughtful opinion, the district court agreed and awarded summary judgment to Transocean on its counterclaim, albeit without accepting Transocean's state-law theories. Boudreaux appeals.

II.

Transocean asks this Court to recognize a novel maritime cause of action, urging that an employer who establishes a McCorpen defense to maintenance and cure liability should thereby automatically gain an affirmative right to restitution for benefits previously paid. We decline the invitation.

A maritime employer's obligation to pay an injured seaman maintenance and cure is an essential part of the employment relationship, whether characterized as contractual or otherwise.2 In Still v. Norfolk & Western Railway Co., Justice Black's opinion for the Court clarified that a worker's fraud in procuring his employment does not vitiate the employment relationship, allowing him to maintain a suit for damages under the Federal Employers' Liability Act.3 Courts including ours have since recognized that Still's logic and congressionally rooted paternal policy applies with equal force to seamen.4 The McCorpen defense rests, if somewhat uneasily, alongside Still and progeny, permitting an employer to extricate itself from its maintenance obligation by demonstrating that the seaman “intentionally concealed” a material medical condition in obtaining his employment.5 Though most courts have accepted McCorpen, Transocean's novel attempt to invoke the case as an affirmative right of recovery finds virtually no support,6 and we are not inclined to accede.

The district court's concern with the egregious facts here is understandable, but the sweeping counterclaim it endorses would mark a significant retreat from our hoary charge to safeguard the well-being of seamen.7 Already, even without fraud, an employer may offset any Jones Act damages recovered by the seaman to the extent they duplicate maintenance and cure previously paid.8 This, if the employer “show[s] that the damages assessed against it have in fact and in actuality been previously covered.”9 Yet we are urged to strike a new balance and allow an employer who establishes a McCorpen defense to automatically recover prior maintenance, without requiring the employer to prove duplication and regardless of the outcome of the primary suit.10 In cases where no damages are recovered, or the award is insufficient to offset the seaman's restitution liability, the employer would gain an affirmative judgment against the seaman. Although most likely uncollectible, the judgment would stand as a serious impediment to the seaman's economic recovery, and its threat would have a powerful in terrorem effect in settlement negotiations.

Our concern with the district court's approach is heightened by the fact that McCorpen does not, as suggested, require the employer to establish that the seaman acted with a level of culpability akin to that required for common law fraud. Whereas fraud hinges on the subjective state of mind of the alleged wrongdoer,11 thus generally falling “within the realm of the trier of fact because it so depends on the credibility of witnesses,”12 this Court held in Brown v. Parker Drilling Offshore Corp. that McCorpen “does not require a finding of subjective intent [to conceal]” and is satisfied as a matter of law if the seaman “fails to disclose medical information in an interview or questionnaire that is obviously designed to elicit such information.”13 Applying this “objective” McCorpen test, the Brown panel overturned a jury verdict that the seaman had not intentionally concealed his medical history.14 In light of Brown, a restitution-via-McCorpen counterclaim would, in practice, threaten injured seamen with the specter of crushing liability for misstatements found material.15 With respect, such a result is inimical to the existing fabric of maritime law.

Transocean asks us to weigh again conflicting values—of protecting seamen from the dangers of the sea, and employers from dishonesty. While in this calculus, there is a stronger case for the employer if, under ordinary rules of scienter, a trier of fact determines that the seaman acted with subjective intent to defraud, we need not assess whether the district court made such findings in this case. We adhere to the balance that Justice Black struck fifty-one years ago in Still, a balance that has obtained to date. A seaman's fraudulent misrepresentation of his health history does not terminate the employment relationship, nor does it relieve the employer of its duties to the seaman should he suffer injury in its employ. As the seaman retains his damages remedy, his right to retain maintenance and cure already paid ought be an a fortiori case—after all, the obligation is unqualified and definite, and the employer's right to an offset against damages only weds the two.16 Both flow from injury suffered by the seaman during the course of his employment,17 and neither are lost by the seaman's fraud in securing his employ.

We are offered no reason to depart from precedent. There is only the change of advocates and judges, by definition irrelevant to the settling force of past jurisprudence—always prized but a treasure in matters maritime. All this against the cold reality that the sea has become no less dangerous, and the seaman no less essential to maritime commerce.

III.

We REVERSE the district court's order awarding summary judgment to Transocean on its counterclaim and RENDER judgement for Boudreaux.

This court is called upon to determine whether restitution is available upon a successful establishment of a McCorpen defense. Because I believe the requirements of restitution are satisfied in all cases in which a McCorpen defense is successfully established, I would answer that question in the affirmative.

Every employer who successfully establishes a McCorpen defense must demonstrate that a seaman made an intentional and willful misrepresentation and relied on that misrepresentation to seek benefits to which he was not entitled. Johnson, 544 F.3d at 301; Brown, 410 F.3d at 171, 174. In my view, this is sufficient to entitle an employer to restitution under the fundamental equitable principle that a person who has received something to which he is not entitled through willful concealment or misrepresentation must restore it to the person from whom he received it. See La. Civ.Code Art. 2299; Restatement (Third) of Restitution & Unjust Enrichment § 1 (“A person who is unjustly enriched at the expense of another is subject to liability in restitution.”). The district court eloquently stated, and I agree, that:

It is a rare rule of law, maritime in nature or otherwise, that denies relief to an aggrieved party in the face of willful misconduct. Even wards of the court must be forthright and truthful. The entitlements seamen enjoy are created with the contract of employment· [Boudreaux] has deprived himself of protection through his own wilful and deliberate misconduct and consequences should be considered. An opposite result would lead to a travesty of justice, encouraging mockery of the judicial process and denigration of the founding principles of admiralty based schemes that seek to promote the “combined objective of encouraging marine commerce and assuring the well-being of seamen.”

Boudreaux v. Transocean Deepwater, Inc., No. 08–1686, 2011 WL 5025268, at *6 (E.D.La. Oct.20, 2011) (quoting Aguilar v. Standard Oil Co., 318 U.S. 724, 727–28, 63 S.Ct. 930, 87 L.Ed. 1107 (1943)). Boudreaux presents no reason to depart from this general principle or the district court's well-reasoned opinion adopting it, and I can find none.

The only circuit court to consider this issue has adopted the position that restitution is available upon a successful establishment of a McCorpen defense. See Vitcovich v. Ocean Rover O.N., No. 94–35047, 106 F.3d 411, at *4 (9th Cir. Jan.14, 1997) (unpublished). And although some district courts in this circuit have declined to award restitution under McCorpen in the absence of guidance from this court, that position does not find widespread support across all circuits. See, e.g., Souviney v. John E. Graham & Sons, No. 93–0479, 1994 WL 416643, at *5 (S.D.Ala.1994) (unpublished) (“Because plaintiff intentionally concealed material facts about the very back injury for which he now seeks recovery against the defendant · as a matter of law, plaintiff is not entitled to receive maintenance and cure benefits. To the extent that such benefits have been paid by the defendant, the defendant is entitled to recover the amount of those benefits by way of judgment against the plaintiff.”); Quiming v. Int'l Pac. Enters., Ltd., 773 F.Supp. 230, 235–37 (D.Haw.1990) (granting a counterclaim for $30,000 of maintenance and cure after defendants established that the plaintiff was never legally entitled to receive the benefits); see also Bergeria v. Marine Carriers, Inc., 341 F.Supp. 1153, 1154–56 (E.D.Pa.1972) (“In addition to our finding that [a] counterclaim [for improperly paid maintenance and cure] is cognizable within the maritime jurisdiction, it must also be allowed as a contractual set-off.”).

The majority expresses concern that adopting this position will visit the hardship of restitution on a seaman absent a finding that the seaman subjectively intended to deceive. But that concern is based on an incorrect reading of our case law. It is undisputed that McCorpen requires a finding of intentional or willful concealment. Johnson, 544 F.3d at 301 (“[T]he McCorpen defense applies [only] when an injured seaman has ‘willfully concealed from his employer a preexisting medical condition.’ “ (quoting Brown, 410 F.3d at 171)). Although we have held that such intentionality can be demonstrated as a matter of law, this does not lessen the burden on the defendant to show that the seaman “intentionally misrepresented or concealed” medical information when he was called upon to reveal it. Brown, 410 F.3d at 171; see id. at 174–75.1

The majority also indicates that we should shy away from creating an automatic cause of action under McCorpen because “an employer may offset any Jones Act damages recovered by the seaman to the extent they duplicate maintenance and cure previously paid.” I disagree that this consideration is relevant to our analysis. The question of how much Transocean will recover is not before us in this appeal. And as recovery under McCorpen is essentially an equitable remedy, courts retain the power to apportion an award so as not to doubly-tax a seaman. It follows that so long as an employer satisfies its burden of showing “duplication” by successfully asserting a McCorpen defense, it should be entitled to restitution in whatever form is sufficient to render it whole under all the circumstances.

Eight years ago this court adopted a similar position under the rubric of Jones Act claims. In Withhart v. Otto Candies, L.L.C., the court began by acknowledging that “the purpose of the Jones Act,” like maintenance and cure, “was to benefit and protect seamen by enlarging, not narrowing, the remedies available to them.” 431 F.3d 840, 845 (5th Cir.2005). Nevertheless, this court held that shipowner-employers could assert negligence and indemnity claims against seamen for property damage caused by a seaman's negligence. Id. In the court's opinion, this cause of action would not narrow the remedies traditionally available to seaman under the Jones Act, and “the fact that seamen work under difficult conditions [was] not a reason to shield them from liability from negligence.” Id.

The same is true here. Just because honest seamen are entitled to avoid the hassles of complex workers' compensation schemes does not mean that seamen who intentionally or willfully conceal prior medical conditions are entitled to the same benefits. This court recognized as much in McCorpen, and has consistently applied that principle for over fifty years. This case is therefore distinguishable from Still, in which the Supreme Court held that an employee could recover under the Federal Employers' Liability Act even if the individual obtained his job by false representations. 368 U.S. at 44–45. Here, there is no question as to whether Boudreaux is entitled to the benefits of maintenance and cure as a result of his misrepresentations. He is not and was not, and I would therefore hold that Transocean is entitled to restitution. There is no reason to reject this general equitable principle in the face of willful and intentional misconduct engaged in on land by a non-maritime employee, simply because, by virtue of that very misconduct, the individual later obtained maritime employment and became unjustly enriched at the expense of his maritime employer.

I respectfully dissent.

PATRICK E. HIGGINBOTHAM, Circuit Judge:


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UNITED STATES of America, Plaintiff–Appellee v. Ruben VARGAS–OCAMPO, Defendant–Appellant.

No. 11–41363.

-- March 14, 2013

Before DAVIS, JONES and SMITH, Circuit Judges.

James Lee Turner, Assistant U.S. Attorney, Renata Ann Gowie, Assistant U.S. Attorney, Terri–Lei O'Malley, Assistant U.S. Attorney, U.S. Attorney's Office, Houston, TX, for Plaintiff–Appellee.Marjorie A. Meyers, Federal Public Defender, Molly Estelle Odom, Esq., Assistant Federal Public, Federal Public Defender's Office, Houston, TX, for Defendant–Appellant.

Appellant challenges one of two counts of his drug-trafficking conviction for insufficiency of evidence and the other for an erroneously submitted jury instruction. Finding no error, we affirm. We also clarify that because the Supreme Court has stated and repeatedly reaffirmed the constitutional test for sufficiency of the evidence to uphold a conviction, Jackson v. Virginia, 443 U.S. 307, 99 S.Ct. 2781, 61 L.Ed.2d 560 (1979), the statements inconsistent with Jackson that have appeared in some Fifth Circuit cases must be disavowed.

Background

The grand jury for the United States District Court for the Southern District of Texas, McAllen Division, filed a two-count indictment charging Ruben Vargas–Ocampo with possession with intent to distribute 100 kilograms or more of marijuana, in violation of 21 U.S.C. § 841(a)(1) and (b)(1)(B), and with conspiring to do the same, in violation of 21 U.S.C. §§ 846, 841(a)(1) and (b)(1)(B). The possession count also cited 18 U.S.C. § 2, which provides for the punishment of anyone who aids or abets a crime. Vargas–Ocampo was tried by jury. Vargas–Ocampo moved for a judgment of acquittal at the close of the government's case-in-chief and after the presentation of all the evidence, and the district court denied both motions. The jury found Vargas–Ocampo guilty on both counts, and the district court sentenced him to 78 months in prison. Vargas filed a timely appeal.

The following facts were developed at trial.

United States Customs and Border Protection Service (“CBP”) Agent Stewart Goodrich was patrolling the Rio Grande Valley by helicopter1 when he observed a pickup truck leaving the Rio Grande River headed north and two rafts moving south across the river toward Mexico. Agent Goodrich could see that the rafts were occupied.

Agent Goodrich dropped to an altitude between 150 and 200 feet and began following the truck. Agents Goodrich and Martinez–Baco could see that the truck's bed liner was too small and that there was about a six-inch gap between the walls of the truck bed and the liner. The agents could see what they believed to be packages of narcotics in the space in between. Agent Goodrich circled the helicopter around to in front of the truck, and he saw more packages in the passenger seat of the truck and that the driver appeared to be talking on a cell phone.

In the meantime, the agents had contacted CBP ground units. Agent Maibum was on patrol in a ground unit. Shortly before receiving the call, Agent Maibum had observed two men sitting in vehicles approximately one and a half miles apart. The two men remained at their respective locations and used their push-to-talk radios each time Agent Maibum passed them in his vehicle. He believed they were acting as scouts for drug smugglers and was making plans to investigate when he received the call from the helicopter agents.

Agent Maibum drove toward the location indicated by the helicopter agents (an area notorious for drug smuggling) and saw Vargas–Ocampo's truck.2 Agent Maibum began pursuing the truck and pulled to within 10–15 feet of it. Vargas–Ocampo drove the truck approximately another one-eighth of a mile before stopping by a fence. Vargas–Ocampo jumped the barbed-wire fence, ran through some thick brush, and disappeared into an open garage. Agent Maibum exited his vehicle and pursued Vargas–Ocampo on foot but fell trying to navigate his way past the barbed-wire fence, losing sight of Vargas–Ocampo. The helicopter agents informed Agent Maibum that Vargas–Ocampo had ducked into a nearby garage, and Agent Maibum found him there. Vargas–Ocampo was holding a push-to-talk radio and a cell phone. Vargas–Ocampo's phone rang many times after he was apprehended.

The agents retrieved the packages from the truck and discovered they contained marijuana. The agents ultimately found 84 packages totaling approximately 430 kilograms of marijuana. The registered owner of the truck was Maria Alvarez.

DISCUSSION

On appeal, the defendant first challenges the sufficiency of evidence to convict him of conspiracy. Because the issue of evidentiary sufficiency was preserved at trial, this court reviews the record de novo under the thirty-four year old standard of Jackson v. Virginia, 443 U.S. 307, 90 S.Ct. 2781 (1979). The essential question is whether, viewing the evidence and all reasonable inferences in the light most favorable to the prosecution, any rational trier of fact could have found the essential elements of the crime beyond a reasonable doubt. 443 U.S. at 319, 90 S.Ct. at 2789.

The Appellant adds to this standard, however, a caveat, gleaned from a few Fifth Circuit cases, that this court “must reverse a conviction if the evidence construed in favor of the verdict ‘gives equal or nearly equal circumstantial support to a theory of guilt and a theory of innocence of the crime charged.’ “ United States v. Jaramillo, 42 F.3d 920, 923 (5th Cir.1995) (citations omitted). This court has embroidered the Jackson standard further by stating that “[w]hen the evidence is essentially in balance, a reasonable jury must necessarily entertain a reasonable doubt.” United States v. Ortega Reyna, 148 F.3d 540, 543 (5th Cir.1998). Rarely have these glosses, founded on a concept of equipoise, led to reversal of a conviction on appeal,3 but they have been so frequently cited as to suggest confusion in our understanding of Jackson. See, e.g., United States v. Mudd, 685 F.3d 473, 479–80 (5th Cir.2012) (upholding conviction); United States v. Viscarra, 494 F.3d 490, 493–94 (5th Cir.2007) (upholding conviction); United States v. Mireles, 471 F.3d 551, 555–57 (5th Cir.2006) (upholding conviction); United States v. Valdez, 453 F.3d 252, 256–61 (5th Cir.2006) (upholding conviction); United States v. Rose, 449 F.3d 627, 630–32 (5th Cir.2006) (upholding conviction); United States v. Dean, 59 F.3d 1479, 1484–90 (5th Cir.1995) (upholding conviction). It is time to dispel the confusion.

The Supreme Court has never departed from the Jackson standard, which preserves the fact-finder's role as weigher of the evidence. As the Court explained in Jackson, “[t]his familiar standard gives full play to the responsibility of the trier of fact fairly to resolve conflicts in the testimony, to weigh the evidence, and to draw reasonable inferences from basic facts to ultimate facts .” 443 U.S. at 319, 90 S.Ct. at 2789. Moreover, a court “faced with a record of historical facts that supports conflicting inferences must presume-even if it does not affirmatively appear in the record-that the trier of fact resolved any such conflicts in favor of the prosecution, and must defer to that resolution.” 443 U.S. at 326, 90 S.Ct. at 2793. Jackson expresses no hierarchy of creditable evidence, whether direct or circumstantial, lay or expert or scientific. In particular, Jackson says nothing about the consequences for appellate review if a case is based on circumstantial evidence in equipoise, such that the prosecution and defense can each claim the benefit of inferences. Compare Peñeloza, 473 F.3d at 580–81 (“[B]ecause the circumstantial evidence equally supports a theory of innocence of the crime charged, we find that it is insufficient to sustain the jury's verdict of guilt.”) The Supreme Court's point is to confirm, as a matter of due process, that the fact-finder, having viewed the evidence in the lively context of trial with the defendant present, is best positioned to reach a rational verdict. The role of reviewing courts is accordingly limited.

That Jackson remains unadulterated for sufficiency questions is confirmed by no less than three recent Supreme Court decisions, each a per curiam reversal of a lower court's misapplication of the standard. In Coleman v. Johnson, ––– U.S. ––––, 132 S.Ct. 2060, 182 L.Ed.2d 978 (2012), the Court criticized a circuit court for its “fine grained factual parsing” of the evidence and erroneous use of state law to determine the distinction between mere speculation and a reasoned inference. The Court concluded, “the only question under Jackson is whether that finding [of guilt] was so insupportable as to fall below the threshold of bare rationality.” 132 S.Ct. at 2065. See also Cavazos v. Smith, ––– U.S. ––––, 132 S.Ct. 2, 7, 181 L.Ed.2d 311 (2012)(reversing habeas grant on ground that, under Jackson, “The jury decided that question [of guilt], and its decision is supported by the record.”); McDaniel v. Brown, 558 U.S. 120, 130 S.Ct. 665, 674, 175 L.Ed.2d 582 (2010)(while court of appeals acknowledged that it must review the evidence in the light most favorable to the prosecution, “the court's recitation of inconsistencies in the testimony shows it failed to do so.”)

Because we must operate on the premise that Jackson alone states the test for reviewing sufficiency of evidence supporting a conviction, the glosses that have appeared in our decisions, for whatever reason,4 must be excised. Such statements should no longer be relied upon in this court.

When confronted with these authorities, Appellant's response is to reiterate his arguments that for each incriminating inference from the circumstantial evidence of conspiracy—the presence and timing of rafts in the river when Vargas Ocampo's truck was located, the large amount of marijuana found in his truck, the proximity and actions of surveillance “scouts” for the drug transfer, Ocampo's use of a push-to-talk telephone and numerous calls received on his other phone—there is a benign explanation. But this is precisely the weighing of inferences that, under Jackson, the jury was entitled to perform. The elements of a drug conspiracy are (1) an agreement between two or more persons to violate the narcotics laws; (2) a defendant's knowledge of the agreement, and (3) his voluntary participation in the agreement. United States v. Misher, 99 F.3d 664, 667 (5th Cir.1996). Not infrequently, the elements must be inferred from evidence concerning the defendant's concert of action with others. While it is not enough to sustain a conspiracy conviction that the defendant was merely present in an atmosphere that reeks of something foul, that objection will not wash in this case. Nor is it enough that a defendant was in a mere buyer-seller relationship with others, United States v. Maseratti, 1 F.3d 330, 336 (5th Cir.1993), but again, this defendant was a link in the chain of importation and distribution. A circumstantial case is built upon reasonable inferences from all the relevant circumstances. And as this court has stated, “Circumstances, altogether inconclusive if separately considered, may, by their number and joint operation, especially when corroborated by moral coincidences, be sufficient to constitute conclusive proof.” United States v. Rodriguez–Mireles, 896 F.2d 890, 892 (5th Cir.1990). Appellant may present all his arguments why the circumstantial evidence adduced here was insufficient to support a rational jury's determination of guilt. But even if there was “equipoise,” a vague and subjective description in any event, the jury's final determination of guilt controls this court's review unless it was “so insupportable as to fall below the threshold of bare rationality.” Coleman, supra.

It should be clear that, based on the Jackson standard, this court finds the evidence, circumstantial though it is, sufficient in quantity and quality to convict Vargas–Ocampo of knowing, voluntary participation in a conspiracy to possess with intent to distribute marijuana.

Vargas–Ocampo additionally contends that the district court erred in giving an aiding and abetting instruction to the jury on the possession charge, because it was unsupported by the evidence. A district court has “substantial latitude in formulating a jury charge,” and may only be reversed for abuse of discretion. United States v. Carrillo, 660 F.3d 914, 925–26 (5th Cir.2011)(internal quotation marks and citation omitted). The court reasonably explained its lengthy aiding and abetting charge on the basis that a jury might think Vargas–Ocampo did not illegally possess the contraband if he did not package it and did not actually load it in his truck. Aiding and abetting is not a separate crime but (at least) an implicit charge in every indictment. United States v. Neal, 951 F.2d 630, 633 (5th Cir.1992). The court neither erred nor abused its discretion.

For these reasons, the conviction is AFFIRMED.

FOOTNOTES

1.  Agent Orlando Martinez–Baco was also in the helicopter.

2.  It is unknown what happened to the two men Agent Maibum observed.

3.  United States v. Reveles, 190 F.3d 678, 686 (5th Cir.1999) (reversing conviction on the basis that “a reasonable trier of fact would see virtually equal circumstantial evidence of incrimination and exoneration, and consequently would entertain a reasonable doubt”); United States v. Peñeloza, 473 F.3d 575, 580–81 (5th Cir.2006) ( “[B]ecause the circumstantial evidence equally supports a theory of innocence of the crime charged, we find that it is insufficient to sustain the jury's verdict of guilt.”); United States v. Stewart, 145 F.3d 273, 277–81 (5th Cir.1998) (reversing conviction where government's arguments required the court to “pile inference on inference”).

4.  See United States v. Bell, 678 F.2d 547, 550 (5th Cir.1982)(en banc). The concurring opinion may be the source of confusion, although Bell itself holds that Jackson is controlling whether the evidence is direct or circumstantial. 678 F.2d at 549 n. 3.

EDITH H. JONES, Circuit Judge:


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