Order Dismissing Complaint 1-26-23 in Smith V Trump
Order Dismissing Complaint 1-26-23 in Smith V Trump
Order Dismissing Complaint 1-26-23 in Smith V Trump
I.
This case is another civil action before this court seeking redress for the events of
January 6, 2021. Much like prior cases, Plaintiffs in this matter are U.S. Capitol Police Officers
who were at the U.S. Capitol on January 6th. 1 See Blassingame v. Trump, No. 21-cv-858-APM
(D.D.C.); Moore v. Trump, No. 22-cv-10-APM (D.D.C.); Tabron v. Trump, No. 22-cv-11-APM
(D.D.C.); Kirkland v. Trump, No. 22-cv-34-APM (D.D.C.). Their allegations and claims are in all
material respects similar to those made in earlier suits. Much like the predecessor cases, these
Plaintiffs assert claims under (1) 42 U.S.C. § 1985(1), (2) 42 U.S.C. § 1986, and (3) the District of
Columbia Bias-Related Crimes Act, D.C. CODE § 22-3704, as well as common law claims of
What is unique about this case is the number and type of named defendants. The earlier
actions focused mainly on former President Donald J. Trump and attempted to hold him liable for
the events of January 6th. Those actions included a few individual defendants and some groups.
1
Plaintiffs in this action are Conrad Smith, Danny McElroy, Byron Evans, Governor Latson, Melissa Marshall,
Michael Fortune, Jason Deroche and Reginald Cleveland. Am. Compl., ECF No. 89, ¶¶ 11–18.
Case 1:21-cv-02265-APM Document 179 Filed 01/26/23 Page 2 of 22
See Thompson v. Trump, No. 21-cv-400-APM (D.D.C.) (also naming Rudolph Giuliani, the Oath
Keepers, Proud Boys International, Warboys LLC, and Enrique Tarrio); Swalwell v. Trump, 21-
cv-586-APM (D.D.C.) (also naming Donald Trump, Jr., Representative Mo Brooks, and Giuliani).
Plaintiffs in this matter, however, have named many more individual defendants—20 in total,
including President Trump. They also have named six entity defendants. 2
Many but not all Defendants have moved to dismiss the complaint.3 The arguments they
raise are in large part duplicative of those the court already considered and addressed in Thompson
v. Trump, No. 21-cv-400-APM, 2022 WL 503384 (D.D.C. Feb. 18, 2022). Because of this
substantial overlap, the court in this memorandum opinion will fully address only those arguments
that are made for the first time by these Defendants. For those arguments that are the same as
those asserted previously, the court simply will reference the Thompson opinion and fully
II.
President Trump raises the same arguments he has in other cases for why the complaint
must be dismissed against him at the threshold: (1) he is absolutely immune from suit for the acts
2
The individual Defendants in this action include: (1) President Trump; (2) Ali Alexander; (3) Brandon J. Straka; and
(4) Roger J. Stone, Jr. The other individual Defendants are all alleged to be associated with a militia group. From the
Proud Boys, the complaint names (5) Enrique Tarrio; (6) Ethan Nordean; (7) Joseph. R. Biggs; (8) Zachary Rehl;
(9) Charles Donohoe; and (10) Dominic Pezzola. From the Oath Keepers, it names (11) Stewart Rhodes; (12) Thomas
E. Caldwell; (13) Jessica Watkins; and (14) Kelly Meggs. And, from the Three Percenters, it names (15) Alan
Hostetter; (16) Russell Taylor; (17) Erik Scott Warner; (18) Felipe Antonio Martinez; (19) Derek Kinnison; and
(20) Ronald Mele. In addition to these 20 named defendants, Plaintiffs name 10 “John Doe” individual defendants.
Plaintiffs also bring suit against the following entity defendants: (1) Donald J. Trump for President, Inc.; (2) Make
America Great Again PAC; (3) Stop the Steal LLC; (4) Proud Boys; (5) Proud Boys International, LLC; and (6) Oath
Keepers.
3
The defendants who have moved to dismiss (in the order in which they appear on the docket) are: (1) Ethan Nordean,
ECF No. 95; (2) Derek Kinnison, ECF No. 96; (3) Felipe Martinez, ECF No. 97; (4) Brandon J. Straka, ECF No. 98;
(5) Roger Stone, ECF No. 100; (6) Zachary Rehl, ECF No. 102; (7) President Trump, Donald J. Trump for President,
Inc., and Make America Great Again PAC, ECF No. 103; (8) Kelly Meggs, ECF No. 110; (9) Thomas Caldwell,
ECF No. 115 [hereinafter Caldwell Mem.]; (10) Ronald Mele, ECF No. 117; and (11) Ali Alexander, ECF No. 120.
All other Defendants have either filed an answer or not yet appeared. The court notes that Defendant Caldwell’s
motion, in large part, joins in the other motions. Caldwell Mem. at 1. He also provides a list of 36 single-sentence
reasons why the claims must be dismissed. Id. at 1–2. The court does not consider these undeveloped arguments.
2
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alleged, and (2) the political question doctrine, res judicata and collateral estoppel, and the
Impeachment Judgment Clause all bar judicial review of the claims against him. Defs.’ Mot. to
Dismiss, ECF No. 103, Defs.’ Mem. in Supp. of their Mot., ECF No. 103-1 [hereinafter Trump
Defs.’ Mem.], at 9–22. The court rejects all of these arguments, except as to one claim, for the
same reasons it did in Thompson. See Thompson, 2022 WL 503384, at *11–24. As it did in
Thompson, the court will dismiss the § 1986 claim against President Trump on immunity grounds.
III.
Two Defendants, Stone and Mele, argue that Plaintiffs lack constitutional standing because
they have not plausibly alleged the essential element of causation. Def. Roger Stone’s Mot. to
Dismiss Compl., ECF No. 76 [hereinafter Stone Mot.], Mem. of P. & A. in Supp. of Def’s Mot.,
ECF No. 76 [hereinafter Stone Mem.], at 6–7; Def. Ronald Mele’s Mot. to Dismiss the Am.
Compl., ECF No. 117 [hereinafter Mele Mem.], at 6. But these arguments misunderstand the
standing inquiry. When assessing Article III standing, courts must assume the merits of the
plaintiff’s claims. Est. of Boyland v. Dep’t of Agric., 913 F.3d 117, 123 (D.C. Cir. 2019). The
court therefore must start from the premise that Defendants did participate in the alleged
conspiracies and did aid and abet the common law torts of assault and battery. Viewed in that
Defendants Nordean and Kinnison argue that Plaintiffs lack standing because they do not
have the right to seek redress for injuries to third parties. Def. Nordean’s First Mot. to Dismiss
the Am. Compl., ECF No. 95 [hereinafter Nordean Mem.], at 8–10; Def. Kinnison’s First Mot. to
Dismiss the Am. Compl., ECF No. 96 [hereinafter Kinnison Mem.], at 6–8. This argument rests
on a misunderstanding of the claims asserted under § 1985(1), § 1986, and the District of Columbia
3
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Bias-Related Crimes Act (“BRCA”). It is true that the conspiracies allegedly targeted various
political actors to prevent them from performing their duties on January 6th. But what Plaintiffs
seek to remedy is not the injuries of those actors but their own.
statutory standing to advance the claims—that is, that Plaintiffs lack a cause of action—they are
also wrong. See also Def. Straka’s Mot. to Dismiss Pls. Am. Compl., ECF No. 98 [hereinafter
Straka Mem.], at 10–13 (arguing that to be actionable the § 1985(1) conspiracy must be directed
“at the officer’s duties”). Section 1985 authorizes a “party” that is “injured in his person or
property” to bring suit to recover damages for such injury against any “one or more of the
1986 provides that a person who neglects or refuses to act “shall be liable to the party
injured . . . for all damages caused by such wrongful act.” And the BRCA provides a remedy for
“any person who incurs injury” as a result of the violation of the Act. D.C. CODE § 22-3704(a).
As injured persons, Plaintiffs plainly have statutory standing to assert these claims.
IV.
Defendants Donald J. Trump for President, Inc. (“Trump Campaign”) and Make America
Great Again PAC (“Trump PAC”) maintain that the court lacks personal jurisdiction over them.
Trump Defs.’ Mem. at 31–34. But this contention plainly fails; at a minimum, the court has
specific jurisdiction over the Trump Campaign because it is alleged to have “planned and
organized the January 6 rally” and “helped plan [for a] march” after the rally, which “the event
permit prohibited.” Am. Compl., ECF No. 89, ¶ 84. Plaintiffs allege that the rally and unpermitted
march were essential elements of the conspiracy that led to their injuries. See, e.g., id. ¶ 116
(alleging the Trump Campaign “retweeted several tweets referring to the event as a march”), id.
4
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¶ 126 (alleging that the rally attendees who marched to the Capitol were used as a “cover and to
reinforce [Individual Defendants] so they could overwhelm law enforcement”). Those allegations
are sufficient to establish specific jurisdiction over the Trump Campaign under the District of
Columbia long-arm statute. See D.C. CODE § 13-423(a)(1) (“transacting any business in the
District of Columbia”), id. § 13-423(a)(3) (“causing tortious injury in the District of Columbia by
As for the Trump PAC, it is unclear to the court whether it is a successor organization to
the Trump Campaign or a separate entity. The Trump Campaign and the Trump PAC concede
that “[t]hey are, in essence, the same legal entity filed under the same [Federal Election
Commission] number.” Trump Defs.’ Mem. at 34. Yet, at the same time, they say that “the
transition from the Campaign to Make America Great Again PAC took place after all the alleged
actions in this case.” Id. If the Trump PAC is a true successor entity to the Trump Campaign,
then the court would have personal jurisdiction over it; if it is a separate entity, it is doubtful that
the court does, as Plaintiffs have not alleged any conduct by the PAC (presumably because it did
not exist as of January 6th). Given the lack of clarity regarding the relationship between the two
entities, it would be premature to dismiss the Trump PAC from this action.
V.
Several Defendants argue that all claims must be dismissed against them because they rest
exclusively on First Amendment protected activities. See Trump Defs.’ Mem. at 24–31; Stone
Mem. at 22–28; Nordean Mem. at 26–30; Kinnison Mem. at 22–26; Def. Martinez’s First Mot. to
Dismiss the Am. Compl., ECF No. 97 [hereinafter Martinez Mem.], at 1–2; Def. Rehl’s Mot. to
Dismiss the Am. Compl. for Failure to State a Claim, ECF No. 102 [hereinafter Rehl Mem.], at
5
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29–34; Mele Mem. at 19–24; Mot. of Def. Alexander to Dismiss Pls.’ Am. Compl., ECF No. 120
[hereinafter Alexander Mem.], at 20–22. 4 The court agrees with some Defendants but not others.
As to President Trump, the court rejects his First Amendment defense for the same reasons
With respect to Nordean, Kinnison, Martinez, Rehl, and Mele, each is alleged to have
engaged in acts other than protected expression. Nordean and Rehl, for example, purportedly
organized and planned with other Proud Boys to attack the Capitol. Am. Compl. ¶ 99 (alleging
Nordean and Rehl were part of the “Ministry of Self Defense,” which “was intended to help
coordinate the Capitol Attack”). They also were among the first people to break through the
security perimeter on the west side of the Capitol and charge towards the building. Id. ¶¶ 125–
126. Kinnison and Martinez are alleged to have coordinated with others in advance of January
6th, and they were among the rioters on the Upper West Terrace. Id. ¶¶ 99, 101, 134. Mele is
alleged to have, before January 6th, (1) joined a chat whose alleged purpose was to “organize a
group of fighters to have each other’s backs and ensure that no one will trample on our rights,” id.
¶ 99(a), (2) brought weapons and tactical gear to Washington, D.C., id. ¶ 101, and (3) made his
way to the Upper West Terrace, where he posted a video proclaiming, “We stormed the Capitol,”
The court reaches a different conclusion as to Stone and Alexander. The court views them
much the way it did Giuliani and Trump Jr. in Thompson. See 2022 WL 503384, at *46–47. None
of their alleged speech is unprotected expression under Brandenburg v. Ohio, 395 U.S. 444, 447
(1969) (holding that speech falls outside the First Amendment if it is “directed to inciting or
4
Defendant Martinez has filed what is in effect a “me too” brief, joining Defendant Kinnison’s brief. See Martinez
Mem. at 1. Accordingly, the court cites to Martinez’s brief only when he has made a fact-specific argument about
himself.
6
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producing imminent lawless action and is likely to incite or produce such action”) (emphasis
added). Moreover, neither is alleged to have participated in the attack on the Capitol on January
6th nor done anything in support of the alleged conspiracy other than engage in protected
expression. Plaintiffs allude to Stone’s interactions with the Proud Boys and Oath Keepers, id.
¶¶ 86, 98, but these allegations do not allege any unlawful activity by Stone with respect to these
groups. Alexander also is alleged to have had contacts with the Proud Boys, but not for any
unlawful purpose. Id. ¶ 103(d) (alleging Alexander “spoke with Proud Boys about
accommodations in Washington, D.C.”). Accordingly, the court dismisses all claims against Stone
and Alexander. 5
VI.
In this section, the court addresses various arguments made by Defendants for why
Plaintiffs have failed to state a claim under § 1985(1). The court does not consider in this section
whether Plaintiffs have adequately alleged a conspiracy; that discussion comes in Section VII
below.
Defendants Nordean, Kinnison, and Martinez, as well as the Trump Defendants, argue that
Plaintiffs cannot sustain a claim under § 1985(1) because Members of Congress are not protected
officials under that section. Nordean Mem. at 11–13; Kinnison Mem. at 9–11; Trump Defs.’ Mem.
at 35–37. The court rejects that argument for the reasons stated in Thompson, 2022 WL 503384,
at *25–28.
The same Defendants also contend that Plaintiffs fail to state a § 1985(1) claim because
Washington, D.C., does not qualify as a “State or Territory” for purposes of the statute. The
5
The Trump Campaign says in passing that “[t]he First Amendment rights to the freedom of speech and the freedom
to petition for redress of grievances would preclude [the claims] even if [they] were true ([they] are not).” Trump
Defs.’ Mem. at 33. The court declines to address this wholly underdeveloped argument.
7
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D.C. Circuit, however, stated in McCord v. Bailey that the District is a “State or Territory” for
purposes of § 1985(2). 636 F.2d 606, 617 n.15 (D.C. Cir. 1980). The same must be true for
§ 1985(1), which employs the same “State or Territory” language. Defendants dismiss footnote 15
in McCord as “dicta,” Def. Nordean’s Reply to Pls.’ Opp’n to Nordean’s Mem., ECF No. 130
[hereinafter Nordean Reply], at 7, but even if it is, McCord’s rationale is persuasive. The McCord
court followed the direction of the Supreme Court in District of Columbia v. Carter that the
meaning of the term “State or Territory” “may vary to meet the purposes of the law.” 409 U.S.
418, 420–21 (1973). Defendants are therefore wrong that the term’s meaning rests solely on the
“plain meaning of the text.” Nordean Reply at 7. Considering the purposes of § 1985(2), the court
in McCord stated, “[a] rationale that would justify establishing the District as a conspiracy enclave
is difficult to conceive.” 636 F.2d at 617 n.15. Even if this court is not bound by McCord’s
Defendants Meggs and Rehl assert that a plaintiff can file suit under § 1985(1) only if the
conspirators are state actors. In other words, because Defendants are private citizens, they cannot
have conspired under § 1985(1) as a matter of law. Def. Meggs’ Mot. to Dismiss Am. Compl.,
ECF No. 110 [hereinafter Meggs Mem.], at 20–24; Rehl Mem. at 14–18. The plain text of the
statute, however, provides a private right of action against “persons” and “conspirators.” 42 U.S.C.
§ 1985. And the Supreme Court has said about the similarly worded § 1985(3), “the words of the
statute fully encompass the conduct of private persons.” Griffin v. Breckenridge, 403 U.S. 88, 96
The same two defendants assert that a claim under § 1985(1) requires the pleading of
discriminatory animus. Meggs Mem. at 25–27; Rehl Mem. at 14–17. Discriminatory animus is
not, however, an element of a § 1985(1) claim. Bryant v. Mil. Dep’t of Mississippi, 597 F.3d 678,
8
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688 (5th Cir. 2010) (“A cause of action under § 1985(1) requires no allegation of racial or class-
based discriminatory animus.”); Stern v. U.S. Gypsum, Inc., 547 F.2d 1329, 1340 (7th Cir. 1977)
(rejecting assertion that a § 1985(1) claim requires pleading and proving “invidious animus”).
Relatedly, Defendants Nordean and Kinnison contend that Plaintiffs’ claim is really one
that should be brought under § 1985(3) because that section prohibits interference with “the federal
voting process.” Nordean Mem. at 15–17; Kinnison Mem. at 13–15. Defendants posit that
because Plaintiffs cannot allege invidious discrimination as required by § 1985(3), they have
improperly styled their claim as one under § 1985(1). Nordean Mem. at 15; Kinnison Mem. at 14.
But this argument makes little sense. Plaintiffs are not alleging that Defendants conspired to
deprive them of “equal protection of the laws, or of equal privileges and immunities under the
laws,” 42 U.S.C. § 1985(3); rather, their claim is premised on injury arising from an alleged
conspiracy to interfere with federal actors in the performance of their duties, which is what
§ 1985(1) bars. As already discussed, a civil action is available to Plaintiffs because they are
VII.
The court now turns to the argument raised by nearly all Defendants: that Plaintiffs have
failed to plead a plausible conspiracy to support a claim under § 1985(1). See Nordean Mem. at
17–21; Kinnison Mem. at 15–18; Straka Mem. at 9–10; Meggs Mem. at 24–27; Rehl Mem. at 28–
29; Mele Mem. at 11–13. Curiously, the only Defendants that have not advanced that contention
are the Trump Defendants. See Trump Defs.’ Mem. at 35–37 (arguing that Plaintiffs have failed
to state a claim only because Members of Congress are not federal officials protected under
§ 1985(1)). So, the court does not evaluate the adequacy of the conspiracy pleading as to the
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A.
Before considering the specific allegations, the court first addresses the assertion made by
Defendants Nordean and Meggs that the intracorporate conspiracy doctrine defeats the alleged
conspiracy as a matter of law. Nordean Mem. at 20–21; Meggs Mem. at 26. According to them,
applying the doctrine here means that they cannot have conspired with other members of their
respective groups—Nordean with other Proud Boys and Meggs with other Oath Keepers. Under
the intracorporate conspiracy doctrine, “an agreement between or among agents of the same legal
entity, when the agents act in their official capacities, is not an unlawful conspiracy.” Ziglar v.
Abbasi, 137 S. Ct. 1843, 1867 (2017). The parties dispute whether the intracorporate conspiracy
doctrine applies to civil rights statutes, and the circuits are split on the question. See id. at 1868
(“There is a division in the courts of appeals, moreover, respecting the validity or correctness of
642 F.3d 1122, 1130–31 (D.C. Cir. 2011) (detailing split of authorities but not deciding the
question). The court need not pick a side on that legal dispute, however, because it is apparent
that the underlying rationale for the doctrine does not apply in this case.
Even those circuits that hold the intracorporate conspiracy doctrine applies to civil rights
conspiracies have recognized exceptions. See Bowie, 642 F.3d at 1130. One exception is “where
the corporate agents’ actions were either unauthorized or motivated by ‘an independent personal
stake in achieving the corporation’s illegal objective.’” Id. (quoting Buschi v. Kirven, 775 F.2d
1240, 1252 (4th Cir. 1985)). That exception applies here. Nordean and Meggs not only conspired
with other members of their groups to advance the group’s illegal objectives but acted also to
accomplish their own unlawful objectives. Notably, both Nordean and Meggs stand individually
charged with obstructing an official proceeding and aiding and abetting others in doing the same,
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and Meggs has now been convicted. See Indictment, United States v. Nordean, 21-cr-175-TJK,
ECF No. 380, at 25; Indictment, United States v. Rhodes, 22-cr-15-APM, ECF No. 167, at 34;
Verdict Form, ECF No. 410. “The intracorporate conspiracy doctrine was created to shield
corporations and their employees from conspiracy liability for routine, collaborative business
decisions that are later alleged to be discriminatory.” Kivanc v. Ramsey, 407 F. Supp. 2d 270, 275
(D.D.C. 2006) (internal quotation marks and citation omitted). Defendants’ alleged acts on
January 6th are far from the “routine, collaborative business decisions” the doctrine was designed
to protect.
Defendants’ argument fails for a second reason: Each is alleged to have conspired with
others outside of their organizations. Am. Compl. ¶ 100 (asserting that, on December 19, 2020,
Meggs sent through social media a message stating he had “organized an alliance” between the
Proud Boys, Oath Keepers, and others, and said that the groups had “decided to work together”);
id. ¶ 170(a) (alleging that all Defendants conspired with one another). The intracorporate
conspiracy doctrine does not, of course, apply to conspiracies involving persons outside the
organization.
B.
In Thompson, the court set forth the principles of civil conspiracy and now incorporates
them here. Thompson, 2022 WL 503384, at *30. Critically, it is important to remember that to
plead a civil conspiracy, a plaintiff “need not show that the members entered into any express or
formal agreement, or that they directly, by words spoken or in writing, stated between themselves
what their object or purpose was to be, or the details thereof, or the means by which the object or
purpose was to be accomplished.” Id. (internal quotation marks omitted). Some Defendants have
argued that the absence of an express or formal agreement defeats the conspiracy claim. See, e.g.,
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Mele Mem. at 12–13 (arguing that Plaintiffs “do not identify an actual meeting, discussion, or
document that evidences any communication, let alone a conspiratorial agreement between
Mr. Mele and the other defendants”). That is not a correct statement of the law.
who acted with other members of their groups. The facts, if true, establish that Nordean and Rehl
coordinated among themselves and others, and jointly, with others, attacked the Capitol building.
Am. Compl. ¶¶ 99(d), 105, 125–126. Similarly, Kinnison, Martinez, and Mele are accused of
coordinating among themselves and others prior to January 6th to bring weapons and tactical gear
to Washington, D.C., id. ¶¶ 99(a), 101, and the three made their way to the Upper West Terrace,
id. ¶¶ 134, 140(e). Meggs is alleged to have participated with others in extensive planning and
preparation for January 6th, id. ¶¶ 100–104, and to have entered the Capitol building with other
Oath Keepers, id. ¶¶ 135, 195, 215. These allegations are sufficient to establish a conspiracy as to
Defendants say that the alleged larger conspiracy involving President Trump is far-fetched.
The court in Thompson explained why it is at least plausible that the President joined in a § 1985(1)
conspiracy with well-known militia groups, such as the Proud Boys and Oath Keepers. 2022 WL
503384, at *33–36. The conspiracy alleged in this case involving the President and the individual
The court holds, however, that Plaintiffs have not alleged sufficient facts to establish Straka
was part of the § 1985(1) conspiracy. Straka’s alleged conspiratorial acts primarily involve
protected First Amendment activities. Am. Compl. ¶ 72(a) (speaking to a rally in Detroit two
months before January 6th); id. ¶ 108 (appearing at a rally on January 5th, although no words are
attributed to him). Unlike other Defendants, Plaintiffs do not allege that Straka planned and
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prepared with others to come to Washington, D.C., on January 6th. And, although Plaintiffs allege
that Straka encouraged unidentified individuals to attack the Capitol building, id. ¶ 127, they do
not contend that he engaged in those acts as part of any group or organized effort. These allegations
VIII.
Up next is Plaintiffs’ claim under § 1986 (Count II). To sustain a § 1986 claim, the
defendant must have the “power to prevent or aid in preventing the commission” of the wrongful
act. 42 U.S.C. § 1986 (emphasis added). As the court observed in Thompson, “[f]ew courts appear
to have addressed [the ‘power’] element, but those finding the requisite power to be present have
done so where the defendant was a government official or employee with some formal authority
to act.” 2022 WL 503384, at *38. Because neither Giuliani nor Trump Jr. possessed any “formal
authority to act,” the court in Thompson dismissed the § 1986 claim against them. Id.
Plaintiffs maintain that § 1986 reaches beyond those persons “who have some sort of
formal authority.” Pls.’ Omnibus Mem. of Law in Opp’n to Mots. to Dismiss, ECF No. 118
[hereinafter Pls.’ Opp’n], at 34. The court does not disagree. The court did not mean to imply in
Thompson that only those persons acting under color of law can be held liable under § 1986.
See Vietnamese Fishermen’s Ass’n v. Knights of Ku Klux Klan, 518 F. Supp. 993, 1007 (S.D. Tex.
1981) (observing that “since the language authorizes suit against ‘every person’ there is no
However, it cannot be true that merely being a participant in the § 1985(1) conspiracy also
makes one liable under § 1986. The statute imposes liability on persons both “having knowledge
that any of the wrongs conspired to be done . . . are about to be committed” and “having power to
prevent or aid in preventing the commission of the same.” 42 U.S.C. § 1986. So, it cannot be that
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every person who acquires knowledge of the wrong as a participant also possesses the power to
prevent it. If that were the case, the “power” element would be rendered superfluous.
Plaintiffs’ examples of what the movants could have done to prevent or aid in preventing
the harms proves the point. Plaintiffs assert that movants “each had the power to prevent or aid in
preventing the harms by, among other things, (1) not attacking the Capitol; (2) telling their
followers and fellow attackers not to attack the Capitol; and (3) informing law enforcement of the
plan to attack the Capitol.” Pls.’ Opp’n at 34. But examples (1) and (3) are acts that could have
been performed by any co-conspirator, regardless of role, because such person would have
knowledge of the wrongs about to be done. And as for (2), urging others to refrain from acting
would only be effective in preventing the wrong if the person had the power to direct others to act.
To give meaning to the full text of the statute, the court thinks that to hold a private
individual responsible under § 1986, the person must be someone with actual authority to compel
others to act or refrain from acting. That approach is consistent with what Reconstruction-era
legislators would have understood the term “power” to mean. See Noah Webster, A DICTIONARY
OF THE ENGLISH LANGUAGE 300 (Rev. ed. 1856) (defining “power” to mean, among other things,
OF THE ENGLISH LANGUAGE 328 (1867) (defining “power” to mean, among other things,
government, exercising control”). It means that the leader of the conspiracy or someone of higher
rank within the conspiracy would qualify, but a mere foot solider would not. See Lac du Flambeau
Band of Lake Superior Chippewa Indians v. Stop Treaty Abuse-Wis., Inc., 759 F. Supp. 1339, 1352
(W.D. Wis. 1991) (finding a likelihood of success on the merits that an organization’s
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spokesperson had violated § 1986 in part because the “facts . . . tend[ed] to show [his] leadership
Here, Plaintiffs do not allege sufficient facts to plausibly establish that Nordean, Rehl,
Caldwell, Meggs, Martinez, Kinnison, or Straka had the kind of role in their respective
organizations that granted them the authority to direct others not to act. Nordean is alleged to be
an “Elder of [Proud Boys International, LLC]” and “president of his PROUD BOYS local
chapter.” Am. Compl. ¶ 30. Rehl is described as a “member” and “president of his local PROUD
BOYS chapter.” Id. ¶ 32. The complaint makes no allegations that would explain the power of
an “Elder” or president of a local chapter. Defendant Tarrio, on the other hand, is clearly
designated to be the “leader of PROUD BOYS.” Id. ¶ 29. Similarly, with respect to the Oath
Keepers, Caldwell is alleged to have “conspired with” the Oath Keepers, and Meggs is alleged to
be a “member of OATH KEEPERS.” Id. ¶¶ 37, 38. Rhodes, by contrast, is identified as the
“President and Director of OATH KEEPERS.” Id. ¶ 36. And Martinez, Kinnison, and Mele are
each said to be “a member of the Three Percenters.” Id. ¶¶ 43–45. Straka’s only affiliation is as
“a promoter for STOP THE STEAL.” Id. ¶ 24. Thus, none of the moving Defendants is alleged
to have had the requisite “power” to be held liable under § 1986, and thus that claim is dismissed
as to each of them.
IX.
A.
Having addressed Plaintiffs’ federal claims, the court moves to Plaintiffs’ District of
Columbia law claims, starting with their statutory claim under the District of Columbia Bias-
Related Crimes Act (“BRCA”) (Count III). That statute provides a civil cause of action for, as
relevant here, “any person who incurs injury to his or her person or property as a result of an
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perceived . . . political affiliation of a victim of the subject designated act,” “[i]rrespective of any
criminal prosecution or the result of a criminal prosecution.” D.C. CODE § 22-3704. The statute
including . . . assault . . . and . . . inciting . . . assault.” D.C. CODE § 22-3701(2). Defendant Mele
argues that Plaintiffs have failed to plead “prejudice” based on “political affiliation of a victim”
because “[a] staunch political disagreement over a contentious issue, and activities arising from it
cannot be considered bias against a political affiliation as pled here.” Mele Mem. at 16.
The court suggested that the BRCA claim alleged in Thompson suffered from this same
shortcoming. 2022 WL 503384, at *48. There, Plaintiff Swalwell alleged that President Trump
was “motivated by [Swalwell’s] political affiliation as a political opponent of Donald Trump.” Id.
(alteration in original). The court observed that “[t]he term ‘affiliation’ is undefined in the statute;
its ordinary meaning is ‘the state of belonging to a particular religious or political group.’
Opposing the President of the United States would not seem to fit that definition.” Id. (quoting
webster.com/dictionary/affiliation). The court did not, however, dismiss the BRCA claim because
Here, Defendant Mele asserts the argument that President Trump did not in Thompson, and
the court will dismiss the claim for the reasons stated in Thompson. The term “affiliation” means
visited Sept. 21, 2022)). Plaintiffs here allege that the “victims of Defendants’ criminal acts were
Democratic members of Congress, some Republican members of Congress, and Vice President
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Pence, whom Defendants perceived to be endorsing Democrats Joe Biden and Kamala Harris by
announcing the election results.” Am. Compl. ¶ 188. This allegation makes clear that Defendants’
“prejudice” was not based on “political affiliation,” as the statute requires—after all, both
Democrats and Republicans are considered victims. Rather, their alleged “prejudice” was based
on the opinion that they shared with President Trump, however misguided, that the presidential
election had been stolen. The BRCA claim therefore does not rest on “an accused’s prejudice
based on the actual or perceived . . . political affiliation of a victim of the subject designated act.”
B.
Plaintiffs’ common law claims for battery (Count IV) and assault (Count V) are next.
These claims rest on an aiding and abetting theory of liability. Am. Compl. ¶¶ 201, 207. The court
incorporates the principles for aiding and abetting liability it set forth in Thompson. 2022 WL
503384, at *50–51.
The court already has held that facts similar to those alleged here make out a plausible basis
for aiding-and-abetting liability against President Trump. See Thompson, 2022 WL 503384, at
*50. As for Defendant Trump Campaign, it is not clear whether Plaintiffs allege that President
Trump is an agent for the campaign, such that his acts can be imputed to the campaign. The court
will not assume that he is. Plaintiffs contend that Defendant Trump Campaign aided and abetted
the alleged assault and battery because it “organized and promoted the January 6 rally, and
encouraged attendees to use any means necessary to prevent certification.” Pls.’ Opp’n at 45–46.
But organizing and promoting the rally did not substantially assist those who assaulted and battered
these Plaintiffs, and Plaintiffs point to no statement made by any campaign official on January 6th
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that might be viewed as “[s]uggestive words . . . [that] plant[ed] the seeds of action.” Halberstam
As for the individual movants, the court holds that Plaintiffs have made out a plausible
claim of aiding-and-abetting liability. Plaintiffs have not alleged that any individual Defendant
knew of or participated in the specific assault of any Plaintiff. The facts alleged, however, establish
that these Defendants would have been aware that other rioters were assaulting law enforcement
officers. They also establish that these Defendants provided substantial assistance to those who
assaulted Plaintiffs by their actions at the Capitol on January 6th. Nordean and Rehl are alleged
to be among the first people to breach the outer security perimeter at the Capitol grounds.
Am. Compl. ¶¶ 125–126. Meggs is alleged to have entered the Capitol building with multiple
Oath Keepers, adding to the chaos inside. Id. ¶¶ 135, 215. Although Caldwell did not enter the
building, he was on the Capitol grounds and claimed afterwards to have been an “instigator” and
“rabble rouser.” Id. ¶ 140(a). Martinez and Kinnison are alleged to have breached barricaded
areas on the Lower and Upper West Terraces, where some of the most violent fighting occurred
between rioters and police officers. Id. ¶ 134. And Straka is alleged to have yelled directions and
encouragement to other rioters and directed others to take a protective shield from a Capitol Hill
police officer. Id. ¶ 127. These Defendants were not “[m]ere[ly] presen[t]”; they plausibly
provided substantial assistance to those who assaulted Plaintiffs by breaching security lines,
encouraging others to storm the building, and organizing large groups of individuals to overwhelm
C.
The court now arrives at Plaintiffs’ final claim of common law negligence. That claim is
premised on a “negligence per se” theory: specifically, that a criminal statute supplies the standard
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of care and a violation of law constitutes negligence. Am. Compl. ¶¶ 213–218 (citing three
criminal statutes); see Marusa v. District of Columbia, 484 F.2d 828, 834 (D.C. Cir. 1973) (setting
forth “guidelines for determining whether violation of a criminal statute can create civil liability”).
One Defendant, Mele, argues that this claim fails because none of the statutes Plaintiffs cite are
the type of criminal statute that District of Columbia law would recognize to support a negligence
Under District of Columbia law, a “violation of a criminal statute can create civil liability.”
Marusa, 484 F.2d at 834. Courts, at a minimum, must make three inquiries: “[1] the law or
regulation should be one designed to promote safety; [2] the plaintiff must be ‘a member of the
class to be protected’ by the statute; and [3] the defendant must be a person upon whom the statute
imposes specific duties.” Id.; see also McNeil Pharm. v. Hawkins, 686 A.2d 567, 579 (D.C. 1996).
Importantly, the statute offered to establish a standard of care “must not merely repeat the common
law duty of reasonable care, but must set forth ‘specific guidelines to govern behavior.’” McNeil
Pharm., 686 A.2d at 579 (quoting Joy v. Bell Helicopter Textron, Inc., 999 F.2d 549, 558 (D.C.
Cir. 1993)). For instance, in District of Columbia v. Mitchell, the plaintiff alleged a violation of a
statute requiring that the D.C. Department of Corrections be “responsible for the safekeeping, care,
protection, instruction, and discipline” of inmates at the Lorton Reformatory, but the court held
that “[w]e see nothing in the statute—certainly no specifics—that could give rise to a claim of
negligence per se.” 533 A.2d 629, 639 (D.C. 1987); see also Joy, 999 F.2d at 558 (holding that
aviation regulation that “simply restates the general common law duty that pilots should exercise
reasonable care” did not require a negligence per se instruction). By contrast, in Marusa, the court
held that a law making it a criminal offense to serve alcohol to persons who are intoxicated or
6
Although only Mele raised this argument, because the issue is a legal one and applies equally to all movants, the
court considers it as if raised by all movants.
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appear to be intoxicated met the criteria for a negligence per se theory. 484 F.2d at 833–35. The
court reasoned that, as applied there, the statute imposed a duty on tavern owners meant to protect
The three criminal statutes on which Plaintiffs rely more closely resemble those at issue in
Mitchell and Joy than Marusa. D.C. CODE § 22-1322 provides that whoever “willfully
engages . . . [or] incites or urges other persons to engage in a riot” of five or more persons is subject
to criminal penalties. Am. Compl. ¶¶ 213–214. D.C. Code § 10-503.16(b)(6) bars individuals
from “willfully and knowingly . . . engag[ing] in any act of physical violence upon the United
States Capitol Grounds or within any of the Capitol Buildings.” Am. Compl. ¶¶ 215–216. And
knowingly . . . engage in an act of physical violence in the Grounds or any of the Capitol
Buildings.” Am. Compl. ¶¶ 217–218. None of these statutes imposes “specific guidelines to
govern behavior.” Rather, they are generally drawn statutes applicable to all and prohibit certain
X.
Defendants Nordean and Kinnison contend that, under Colorado River Water
Conservation District v. United States, 424 U.S. 800 (1976), the court should abstain from
adjudicating this matter in favor of the criminal cases filed against these Defendants and others.
Nordean Mem. at 31; Kinnison Mem. at 26–27. In those cases, they argue, Plaintiffs can recover
§ 3663. But Colorado River abstention does not apply here as that doctrine involves the limited
circumstances in which federal courts defer to state court proceedings. See Colo. River, 424 U.S.
at 817; Edge Inv., LLC v. District of Columbia, 927 F.3d 549, 552 (D.C. Cir. 2019).
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Defendants also suggest that the court should apply “first-to-file” principles in dismissing
this action in favor of the criminal cases. But “first-to-file” has no application here. Those
principles are meant to promote comity and orderly administration of justice where multiple suits
between the same parties involving the same causes of action are filed in different federal courts.
See Washington Metro. Area Transit Auth. v. Ragonese, 617 F.2d 828, 830 (D.C. Cir. 1980). It has
XI.
Having addressed the arguments for dismissal of claims, the court now takes up
Defendant Meggs contends that Plaintiffs cannot seek injunctive relief because, in essence,
they lack standing to do so. Meggs Mem. at 16–19. The court agrees. To obtain injunctive relief,
a plaintiff must establish that they are “likely to suffer future injury” from the conduct at issue.
City of Los Angeles v. Lyons, 461 U.S. 95, 105 (1983). That requires a showing that the plaintiff
“face[s] an imminent threat of future injury.” In re Navy Chaplaincy, 697 F.3d 1171, 1175 (D.C.
Cir. 2012). Here, Plaintiffs fear that they “will face the same harm in 2025, if not sooner, as they
did in 2021, when they seek to protect Congress’s certification of the 2024 presidential election.”
Pls.’ Opp’n at 85. Anticipating an injury more than two years into the future is the opposite of
“insufficient to demonstrate the imminent threat of future injury necessary to support standing to
Lastly, in footnotes, Defendants Nordean and Kinnison contend that Plaintiffs cannot
recover punitive damages for a violation of § 1985(1). Nordean Mem. at 21 n.7; Kinnison Mem.
at 18 n.6. Because Defendants have not sufficiently developed these arguments, the court will
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deny the request to dismiss the claim for punitive damages. They may, however, raise the matter
XII.
The Motion to Dismiss Count I as to the claims arising under 42 U.S.C. § 1985(1) is
GRANTED as to Defendants Straka, Stone, and Alexander, and DENIED as to all other moving
Defendants;
The Motion to Dismiss Count II as to claims arising under 42 U.S.C. § 1986 is GRANTED
The Motion to Dismiss Count III as to claims arising under the BRCA is GRANTED as to
Defendants Trump Campaign, Stone, and Alexander, and DENIED as to all other moving
Defendants;
Defendants Trump Campaign, Stone, and Alexander, and DENIED as to all other moving
Defendants;
moving Defendants.
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