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Cobb v. Brede
Plaintiffs Jonathan Cobb and Walter St. Clair initiated this lawsuit on August 31, 2010. Dkt. No. 1. Their pro se Complaint explained that their suit was "intended to expose a scheme put into motion" by Defendants1 to remove them as the elders (i.e., ministers) and corporate officers of the Menlo Park Congregation of Jehovah's Witnesses.2 Dkt. No. 1 ¶ 1. Plaintiffs alleged that Defendants were specifically liable for the following: "conspiracy, conspiracy to commit fraud, fraud, religious fraud, collusion, mail and wire fraud and defamation of character." Id. Plaintiffs stressed that they were not seeking any damages and only wished for "vindication through the courts so as to expose the fraud and restore their good names." Dkt. No. 1 ¶ 46.
On September 17, Plaintiffs filed an Amended Complaint that contained largely the same allegations as their original Complaint. Dkt. No. 4. Defendants moved to dismiss Plaintiffs' lawsuit on October 1. Dkt. No. 5. Before the Court could analyze this Motion, Plaintiffs filed their Second Amended Complaint ("SAC"). Dkt. No. 12. Because Plaintiffs were representing themselves, theCourt permitted this amendment and found that Defendants' Motion, which was based on Plaintiffs' earlier pleading, was moot. Dkt. No. 13. Even though Defendants were permitted to refile a motion to dismiss, they instead chose to file their Answer and commence discovery.
Defendants now move for summary judgment on Plaintiffs' entire lawsuit. Dkt. No. 114. Defendants' primary argument is that this Court has no jurisdiction over the ecclesiastical questions and controversies that are at the center of Plaintiffs' claims. Id. In considering this argument, the Court has reviewed the papers submitted by both parties and analyzed Plaintiffs' claims. This review has raised other jurisdictional problems with Plaintiffs' lawsuit, which, as discussed below, lead the Court to dismiss this action.3
The Court must first determine whether it has subject matter jurisdiction (i.e., the power to adjudicate this case). Federal courts are courts of limited jurisdiction that can only adjudicate certain matters: mainly those based on diversity of citizenship or a federal question. Schwarzer, Tashima & Wagstaffe, Cal. Prac. Guide: Fed. Civ. Pro. Before Trial, ¶ 2.2 (The Rutter Group 2011) (citing Kokkonen v. Guardian Life Ins. Co. of America, 511 U.S. 375, 377 (1994)). The lack of subject matter jurisdiction may be raised at any time and it can never be waived. Attorneys Trust v. Videotape Computer Prods., Inc., 93 F.3d 593, 594-95 (9th Cir. 1996). If the parties fail to raise the issue of subject matter jurisdiction, as they have done here,4 it must be raised by the district court sua sponte. Gilder v. PGA Tour, Inc., 936 F.2d 417, 421 (9th Cir. 1991) (); In re Disciplinary Action Against Mooney, 841 F.2d 1003, 1006 (9th Cir. 1988) (overruled on other grounds in Partington v. Gedan, 923 F.2d 686 (9th Cir. 1991)) ( ).
Here, Plaintiffs did not include a jurisdictional statement — as required by Federal Rule of Civil Procedure 8(a) and Civil Local Rule 3-5 — in any of their pleadings. Nonetheless, a review of these pleadings reveals that there is an issue with this Court's subject matter jurisdiction. For the Court to exercise diversity jurisdiction, the amount in controversy between the parties must exceed the sum or value of $75,000. 28 U.S.C. § 1332. Because Plaintiffs' lawsuit does not seek any damages, they have not met this threshold requirement. Moreover, jurisdiction cannot be based on diversity of citizenship because many of the Defendants are from the same state as Plaintiffs (California). See Schwarzer, Tashima & Wagstaffe, Cal. Prac. Guide: Fed. Civ. Pro. Before Trial, ¶ 2.1405 (The Rutter Group 2011) ( ).
Plaintiffs' alleged claims also do not invoke any federal questions. In their SAC, Plaintiffs refer to numerous causes of action — without discussing any of their elements — that they assume are valid federal claims (e.g., extortion, collusion, coercion, conspiracy to commit fraud, fraud, deceit, religious fraud, fraudulent misrepresentation, misrepresentation, personal enrichment, and defamation). See Dkt. No. 14. Disregarding that many of these causes of action are superfluous and not actionable, they also do not involve any federal questions since they are contract and tort-based claims that do not fall within the limited jurisdiction of federal courts. See Hunter v. United Van Lines, 746 F.2d 635, 644 (9th Cir. 1984) (). The only time Plaintiffs invoke a claim arising under federal law is when they allege violations of the "Mail and Wire Fraud Act" under "Federal Statutes 1341 and 1343." See, e.g., Dkt. No. 14 ¶¶ 5, 19. The Court assumes that Plaintiffs are referring to 18 U.S.C. §§ 1341 and 1343, which are the federal criminal statutes for mail and wire fraud. These criminal statutes, however, do not provide litigants with a private right of action. Wilcox v. First Interstate Bank, 815 F.2d 522, 533 (9th Cir. 1987) ();Napper v. Anderson, 500 F.2d 634, 636 (5th Cir. 1974) ().5
In their opposition papers, Plaintiffs make several references to "Civil RICO." While mail and wire fraud do not, standing alone, result in the right to file a federal lawsuit, together they may constitute the predicate acts required to bring a civil action pursuant to the RICO statute under 18 U.S.C. § 1962. See Sedima v. Imrex Co., 473 U.S. 479, 496 (1985). Plaintiffs' SAC, however, never asserts a RICO cause of action and only mentions RICO one time in its 36 pages of allegations. Dkt. No. 14 ¶ 6. Although Plaintiffs' pleadings are liberally construed because they are representing themselves, it is difficult for this Court to find that Plaintiffs have alleged a valid civil RICO claim based on this single reference. Such a determination, however, is not needed to decide this issue. Even if the Court were to conclude that Plaintiffs' sole RICO reference was sufficient to invoke a federal claim, or if Plaintiffs were permitted to once again amend their complaint to properly allege a RICO cause of action, this would not save Plaintiffs' lawsuit from dismissal.
The elements of a civil RICO claim are "(1) conduct (2) of an enterprise (3) through a pattern (4) of racketeering activity." Sedima, 473 U.S. at 496. Most importantly, parties only have standing to recover under RICO if they have been injured in their business or property. Id.; see also Diaz v. Gates, 420 F.3d 897, 900 (9th Cir. 2005) (); Izenberg v. ETS Servs., LLC, 589 F.Supp.2d 1193, 1204 (C.D. Cal. 2008) (); VRF Eye Specialty Group, PLC v. Yoser, 765 F.Supp.2d 1023, 1030 (W.D. Tenn. 2011) ().
Plaintiffs cannot meet this RICO standing requirement because they are not alleging their business or property was harmed. In their SAC, Plaintiffs are adamant that they are not seeking any damages.6 See Dkt. No. 14 ¶ 46 (). Instead, they only want to recover "their good names and the truth." Id.; see also ¶ 15 (). This type of claim is not actionable under RICO because there is no allegation of specific injury to Plaintiffs' business or property. Diaz, 420 F.3d at 900; see also Clark v. Conahan, 737 F.Supp.2d 239, 255 (M.D. Pa. 2010) () (emphasis added).7
Accordingly, even if this Court were to find that Plaintiffs' had pled a civil RICO cause ofaction in their SAC, such a claim would be dismissed. With the dismissal of any possible RICO allegations, Plaintiffs' only basis for invoking federal jurisdiction no longer exists, and the Court declines to exercise supplemental jurisdiction over any of Plaintiffs' remaining state law claims. See 28 U.S.C. § 1367(c)(3) (); see also Williams v. Aztar Indiana Gaming Corp., 351 F.3d 294, 300 (7th Cir. 2003) (...
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