Justia U.S. 7th Circuit Court of Appeals Opinion Summaries

Articles Posted in Constitutional Law
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Carrillo was involved in an extramarital relationship with Noeller. Carrillo’s family reported that Noeller called Carrillo, accused her of seeing someone else, and threatened her life; Noeller later came to her mother’s Mexico City house, where he shot and killed her. Noeller maintains that he ended their relationship after finding out about her family’s affiliation with the Los Pepes gang and Zetas drug cartel. He says that after the murder, he received warnings that Carrillo’s mother had hired hitmen to kill him. Noeller fled for the U.S. with his wife and children, who are U.S. citizens. Noeller's family members provided affidavits describing incidents after he left, in which gang members came to their homes looking for Noeller, threatened them, and beat them. During removal proceedings, 8 U.S.C. 1182(a)(6)(A)(i), Noeller sought asylum, withholding of removal, and protection under the Convention Against Torture. Immigration judges twice denied his applications. Noeller’s BIA appeal was pending when Mexico submitted its extradition request. Noeller challenged the warrant issued in Mexico by an “Amparo proceeding,” which is “similar to habeas corpus ... to review and annul unconstitutional judicial decisions.” Noeller claims that the court in Mexico suspended the warrant. Mexico’s government contends that the original arrest warrant remains enforceable. The district court granted extradition. Noeller sought habeas corpus relief. The Seventh Circuit affirmed the denial of relief. Mexico submitted a valid request for extradition, which U.S. courts must honor. Noeller’s challenges to that request are “beyond the narrow role for courts in the extradition process.” View "Noeller v. Wojdylo" on Justia Law

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GEFT began building a digital billboard on its Westfield, Indiana property without the requisite city sign permit. The ordinance prohibits “off-premise signs” directing attention to a specific business, product, service, entertainment, or any other activity offered, sold, or conducted elsewhere and prohibits “pole signs” that are not attached to or supported by any building. GEFT did obtain a state permit but believed Westfield’s sign standards ordinance contained unconstitutional content‐based speech restrictions. GEFT stopped installing the billboard when a contract attorney working for Westfield threatened to arrest GEFT’s representatives. The district court denied GEFT’s motion for an injunction and granted Westfield’s motion. The Seventh Circuit affirmed. GEFT had challenged the constitutionality of the ordinance under the First Amendment, but its preliminary injunction motion focused solely on its due process claim. There is no constitutional procedural due process right to state‐mandated procedures; the fact that the Stop Work Notices did not comply with ordinance procedures cannot support a procedural due process claim. Neither local nor state law authorizes the arrest of anyone violating a municipal ordinance; even if the attorney is considered an employee of Westfield, GEFT has no evidence Westfield authorized those threats or could have predicted he would make them. Although the threats of arrest were inappropriate, they “are a far cry from the type of conduct recognized as conscience‐shocking” for purposes of a substantive due process claim. View "GEFT Outdoors, LLC v. Westfield" on Justia Law

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Indiana requires all inmates convicted of a sex offense to complete the Sex Offender Management and Monitoring (INSOMM) program. INSOMM requires inmates to identify which illegal sexual acts they committed and how often. Based on their offense history, participants are sorted into risk groups for group therapy sessions. Higher‐risk groups must complete more hours of therapy. In therapy, participants must fill out workbooks that require them to describe all past acts of sexual violence and abuse, regardless of whether they were ever charged for those offenses. Participants enjoy neither immunity nor confidentiality for the disclosures. Inmates may not opt out of any part of INSOMM and must respond fully to all questions. A counselor who suspects that a participant has been deceptive or less than forthcoming may order polygraph testing. Failure to participate satisfactorily in INSOMM is a Major Conduct disciplinary violation. For a first offense, inmates are denied the opportunity to accrue good‐time credits to which they would otherwise be entitled by statute. Continuing violations are punishable by revocation of already‐acquired good‐time credits. Lacy filed a class action under 28 U.S.C. 2254. The Seventh Circuit affirmed that the disclosures required by INSOMM and the penalties imposed for non‐participation, taken together, amount to a violation of his Fifth Amendment right to be free from compelled self‐incrimination. View "Lacy v. Butts" on Justia Law

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Convicted of bank robbery in 2015, 18 U.S.C. 2113(a), Bonds was sentenced to 60 months’ imprisonment. The evidence against him included the testimony of an FBI Latent Print Operations Unit fingerprint examiner, Glass, that Bonds’s fingerprints appeared on the demand notes used in the robberies. In 2004 the Unit incorrectly identified Mayfield as a person whose fingerprints suggested involvement in a terrorist bombing in Spain. Bonds wanted to use this episode to illustrate the potential for mistakes in the “analysis, comparison, evaluation, and verification” (ACE-V) method. The district judge permitted Bonds to cross-examine Glass about the reliability of the ACE-V method and to present other evidence suggesting that the approach is more error-prone than jurors might believe. Evidence about one particular error, the judge concluded, would be more distracting and time-consuming than its incremental value could justify. The Seventh Circuit affirmed, rejecting a Confrontation Clause argument. Presenting jurors with details of one wrongful imprisonment (especially on a mistaken charge of terrorism) would appeal to emotion rather than to reason. Bonds had ample opportunity to supply the jury with evidence about the reliability of the ACE-V method, including changes made in the last decade. In 2016, the President’s Council of Advisors on Science and Technology concluded that changes in ACE-V have bolstered its accuracy. The summary provides the defense bar with paths to cross-examine witnesses who used the ACE-V approach. View "United States v. Bonds" on Justia Law

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The Illinois Firearm Concealed Carry Act requires an applicant for a concealed-carry license to show that he is not a clear and present danger to himself or a threat to public safety and, within the past five years, has not been a patient in a mental hospital, convicted of a violent misdemeanor or two or more violations of driving under the influence of drugs or alcohol, or participated in a residential or court-ordered drug or alcohol treatment program, 430 ILCS 66/10(a)(4), 66/25(3), 66/25(5); 430 ILCS 65/4, 65/8. These standards are identical for residents and nonresidents. State police conduct an extensive background check for each applicant. During the five-year licensing period, state police check all resident licensees against the Illinois Criminal History Record Inquiry and Department of Human Services mental health system daily. The law mandates that physicians, law enforcement officials, and school administrators report persons suspected of posing a clear and present danger to themselves or others within 24 hours of that determination. Monitoring compliance of out-of-state residents is limited by Illinois’s inability to obtain complete, timely information about nonresidents, so Illinois issues licenses only to nonresidents living in states with licensing standards substantially similar to Illinois standards. The Seventh Circuit upheld the law in a challenge by nonresidents, as respecting the Second Amendment without offending the anti-discrimination principle at the heart of Article IV’s Privileges and Immunities Clause. View "Culp v. Raoul" on Justia Law

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Cherry drove into a Markham, Illinois parking lot to obtain cocaine that his supplier had just picked up at O’Hare airport. Unbeknownst to Cherry, his supplier had been arrested picking up the cocaine and was cooperating with DEA agents. Cherry was arrested mid‐deal and eventually sentenced to 240 months’ imprisonment. The Seventh Circuit affirmed, rejecting Cherry’s arguments that the agents lacked probable cause to arrest him and search his vehicle and failed to preserve exculpatory evidence. The informant did not have any history of cooperation but was not an anonymous tipster. He was implicating himself in a drug deal and was motivated to cooperate. Agents obtained significant detailed information that was corroborated as events unfolded. With respect to the car search, the court upheld a finding that the drugs were in plain view after Cherry opened the door while trying to flee. In any case, agents were entitled to open the door to conduct a limited protective sweep, so the drugs were admissible under the inevitable discovery doctrine. Regarding an officer’s sale of his personal camera, which had been used to photograph the evidence, the court noted that the defense never sought to inspect the camera or its metadata until long after the suppression hearing nor did Cherry ask the government to preserve the data. In any case, any debate about the order in which the photographs were taken and whether the bag was opened or closed was irrelevant. View "United States v. Cherry" on Justia Law

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Officer Sweeney pulled Lewis over for following too closely. Sweeney processed a warning while Lewis, who seemed unusually nervous, sat in the squad car. After learning Lewis was on federal supervised release for a cocaine conviction, Sweeney requested a drug‐sniffing dog roughly 5 minutes into the stop. About 10 minutes and 50 seconds after Lewis pulled over, Sweeney handed him a warning. About 10 seconds later, a drug‐sniffing dog and its handler approached Lewis’s car. The dog alerted. Sweeney searched Lewis’s car and found heroin. Lewis was charged with possession with intent to distribute heroin. The Seventh Circuit affirmed the denial of his motion to suppress. The officer had lawful grounds to initiate the traffic stop; it is irrelevant whether Lewis actually committed a traffic offense because Sweeney had a reasonable belief that he did so. Officer Sweeney did not unjustifiably prolong the traffic stop past the time reasonably required to complete the mission of issuing a warning; any delay beyond the routine traffic stop to allow the dog to sniff was justified by independent reasonable suspicion. View "United States v. Lewis" on Justia Law

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Gaston, an Illinois prisoner, first complained about pain in his left knee in May 2009. Drugs did not help. After some delay, Gaston saw an orthopedic surgeon in September 2010. An MRI exam was approved but not conducted until February 2011. In August 2011, Gaston had arthroscopic surgery. While Gaston’s left knee was healing, Wexford (the corporation that provides prison medical care) delayed approving an MRI of his right knee; one knee had to be sound before treatment of the other. In May 2012 Gaston had an MRI exam on the right knee. It showed serious problems. Another arthroscopic surgery occurred in October 2012. This did not bring relief. Arthroplasty (knee replacement) was delayed while specialists determined whether Gaston’s pulmonary and cardiology systems would handle the strain but took place in February 2015 and was successful. Gaston claimed that the delays while waiting for surgeries reflect deliberate indifference to his pain so that the pain became a form of unauthorized punishment in violation of the Eighth Amendment. Defendants offered evidence that the delays could be chalked up to a preference for conservative treatment before surgery and never to any desire to injure Gaston or indifference to his pain. The district court granted summary judgment to the individual defendants, ruling that none acted (or delayed acting) with the state of mind required for culpability. The Seventh Circuit affirmed and affirmed judgment in favor of Wexford. Private corporations, when deemed to be state actors in suits under 42 U.S.C. 1983, are not subject to vicarious liability. Wexford could be liable for its own unconstitutional policies, but the policies to which Gaston pointed, reflected medical judgment rather than a constitutional problem. View "Gaston v. Ghosh" on Justia Law

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Wisconsin amended its state constitution to permit state‐funded transportation of private and parochial students. Under Wis. Stat. 121.54, if a school district operating within a metropolitan area where other public transportation is available to schoolchildren exercises the "city option," there must “be reasonable uniformity" regardless of whether students attend public or private schools. The Milwaukee district (MPS) has public city-wide schools, which offer special courses; attendance‐area schools, which draw only from a particular neighborhood; and nonattendance-area schools, which do not offer special classes but serve students from outside the area.MPS Policy provides free transportation for high schoolers only if they live two or more miles from their school and more than one mile from public transportation. Students who attend citywide or nonattendance‐area schools are governed by “Racial Balance, Modernization, Overload, and Lack of Facility” rules, making any student assigned to a school farther than two miles from her home eligible for free transportation, regardless of proximity to public transportation. Private schools must submit lists of students eligible to receive busing by May 15. There is no notification deadline for public schools. On May 14, St. Joan, a private school, submitted a 62-name list; on September 29, it added six names. MPS refused to bus any of the students because each lived within one mile of public transportation, and the later‐added students were disclosed after the deadline.The Seventh Circuit affirmed the dismissal of a suit under 42 U.S.C. 1983. Rational bases exist for the differences in busing eligibility. MPS has legitimate interests in reducing overcapacity in crowded attendance‐area schools and in expanding special program access. MPS students who attend citywide or nonattendance‐area schools are more likely to have to travel farther than students who go to attendance‐area schools. The court remanded with respect to the deadline. View "St. Joan Antida High School Inc. v. Milwaukee Public School District" on Justia Law

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Garcia was convicted of distributing a kilogram of cocaine to co-defendant Cisneros, 21 US.C. 841. The government offered no direct evidence that Garcia possessed or controlled cocaine, drug paraphernalia, large quantities of cash, or other unexplained wealth. There was no admission of drug trafficking by Garcia, nor any testimony from witnesses that Garcia distributed cocaine. Instead, the government secured this verdict based upon a federal agent’s opinion testimony purporting to interpret several cryptic intercepted phone calls between Garcia and Cisneros, a known drug dealer. In those calls, the defendants talked about "work" and a "girl" in a bar, and made statements like “the tix have already walked more that, that way.” The Seventh Circuit reversed, stating that: This case illustrates the role trial judges have in guarding the requirement of proof beyond a reasonable doubt in criminal cases. While the government’s circumstantial evidence here might have supported a search warrant or perhaps a wiretap on Garcia’s telephone, it simply was not sufficient to support a verdict of guilty beyond a reasonable doubt for distributing cocaine. View "United States v. Garcia" on Justia Law