                                                               FILED
                                                   United States Court of Appeals
                                                           Tenth Circuit

                                   PUBLISH             February 13, 2020
                                                      Christopher M. Wolpert
                      UNITED STATES COURT OF APPEALS      Clerk of Court

                                 TENTH CIRCUIT



ANDREW J. JOHNSON,

        Plaintiff-Appellant,

v.                                               No. 17-8089

ALAN W. SPENCER,

        Defendant-Appellee.

------------------------------

ROCKY MOUNTAIN INNOCENCE
CENTER,

        Amicus Curiae.


ANDREW J. JOHNSON,

        Plaintiff-Appellant,

v.                                               No. 17-8090

CITY OF CHEYENNE, a
governmental entity; DON PIERSON,
Chief of Police for the Cheyenne
Police Department; BILL STANFORD,
Cheyenne Police Detective, a/k/a
George W. Stanford; CHEYENNE
POLICE DEPARTMENT,

        Defendants-Appellees.
--------------------------------

ROCKY MOUNTAIN INNOCENCE
CENTER,

        Amicus Curiae.



ANDREW J. JOHNSON,

        Plaintiff-Appellant,

v.                                                     No. 17-8091

CITY OF CHEYENNE, a municipal
corporation; DOE 1, the personal
representative of the decedent’s estate
of George W. Stanford, an individual;
ALAN W. SPENCER, an individual;
DOES 2–20, inclusive,

        Defendants-Appellees.

--------------------------------

ROCKY MOUNTAIN INNOCENCE
CENTER,

      Amicus Curiae.




                   Appeals from the United States District Court
                            for the District of Wyoming
                         (D.C. No. 2:92-CV-00183-SWS)
                         (D.C. No. 2:91-CV-00129-SWS)
                         (D.C. No. 2:17-CV-00074-SWS)


                                          2
Robert P. Schuster, Robert P. Schuster P.C., Jackson, Wyoming (Bradley L. Booke,
Robert P. Schuster P.C., Jackson, Wyoming, and Thomas N. Long and Aaron J.
Lyttle, Long Reimer Winegar Beppler LLP, Cheyenne, Wyoming, and Laurence O.
Masson, Law Office of Laurence O. Masson, Berkeley, California, with him on the
briefs), for Plaintiff-Appellant.

Justin A. Daraie, Senior Assistant Attorney General (Peter K. Michael, Attorney
General, Daniel E. White, Deputy Attorney General, and Philip M. Donoho,
Assistant Attorney General, with him on the brief), Office of the Attorney General
for the State of Wyoming, Cheyenne, Wyoming, for Defendants-Appellees, Alan
W. Spencer and George W. Stanford.

Norman Ray Giles, Lewis Brisbois Bisgaard & Smith, LLP, Houston, Texas,
(William S. Helfand, Lewis Brisbois Bisgaard & Smith, LLP, Houston, Texas, and
J. Mark Stewart, Davis & Cannon, LLP, Cheyenne, Wyoming, with him on the
brief), for Defendant-Appellee, City of Cheyenne.

Elliot H. Scherker, Greenberg Traurig, P.A., Miami, Florida, filed an amicus curiae
brief for the Rocky Mountain Innocence Center in support of Plaintiff-Appellant.


Before HOLMES, McKAY, and CARSON, Circuit Judges.


HOLMES, Circuit Judge.


      In 2013, a Wyoming court declared Andrew Johnson actually innocent of

crimes for which he was then incarcerated. In 2017, after his release, Mr. Johnson

brought suit under 42 U.S.C. § 1983 against the City of Cheyenne, Wyoming

(“Cheyenne”), the Estate of Detective George Stanford (“the Estate”),1 and Officer


      1
              Detective Stanford died while Mr. Johnson was incarcerated. Aplt.’s
App., Vol. I, at 17 (Compl., filed Apr. 17, 2017). The caption for one of these appeals,
No. 17-8090, nonetheless still lists Detective Stanford as a defendant-appellee. Before

                                           3
Alan Spencer alleging that they were responsible for violations of his constitutional

rights that contributed to his conviction (“2017 Action”). While incarcerated,

however, Mr. Johnson had unsuccessfully brought similar suits against Cheyenne

and Detective Stanford in 1991 (“1991 Action”) and against Officer Spencer in

1992 (“1992 Action”). The central question on appeal is what effect the judgments

against Mr. Johnson in his 1991 and 1992 Actions have on his 2017 Action.

       Answering this question requires us to resolve two primary issues. First, in

addition to filing the 2017 Action, Mr. Johnson moved the district court under

Federal Rule of Civil Procedure 60(b) for relief from the judgments in the 1991 and

1992 Actions. The district court denied Mr. Johnson’s motions, and he asks us to

hold that the district court thereby erred. We conclude that the district court erred

in particular in denying him Rule 60(b)(6) relief, and so we vacate the orders

entered by the district court and remand for it to reconsider under the correct legal

rubric Mr. Johnson’s requests for Rule 60(b)(6) relief. We recognize, however,

that relief under Rule 60(b)(6) is discretionary; in remanding for further

proceedings, we express no view on how the district court should ultimately use its

discretion to resolve Mr. Johnson’s Rule 60(b)(6) motions.




filing his notice of appeal in that case, Mr. Johnson moved the district court to substitute
the Estate as the proper defendant, but the Estate opposed the motion and the district court
decided not to rule on it until we resolve this appeal. Whether the Estate should be
substituted for Detective Stanford has no impact on the outcome of the appeal.

                                             4
      Second, Cheyenne, the Estate, and Officer Spencer each moved the district

court under Federal Rule of Civil Procedure 12(b)(6) to dismiss the 2017 Action

because its claims are precluded by the judgments in the 1991 and 1992 Actions.

The district court granted those motions and denied Mr. Johnson’s later motions for

reconsideration of and relief from that dismissal. On appeal, Mr. Johnson argues

that even if the judgments in his 1991 and 1992 Actions are valid, the dismissal of

his 2017 Action was erroneous. He asks us to reverse the dismissal and allow the

2017 Action to proceed. Because our remand of Mr. Johnson’s 1991 and 1992

Actions for further consideration of his motions for Rule 60(b)(6) relief does not

actually grant him such relief—and the motions, themselves, do not “affect the

[underlying] judgment[s’] finality or suspend [their] operation,” FED . R. CIV . P.

60(c)(2)—we address the claim-preclusion issue that the defendants presented in

their 12(b)(6) motions, even though we acknowledge that the district court on

remand could conceivably grant Mr. Johnson Rule 60(b)(6) relief from those

judgments. And we affirm in part and reverse in part the district court’s dismissal

of the 2017 Action. More specifically, we affirm the dismissal of the claims

against Cheyenne and the Estate because the judgment in the 1991 Action—in

which they were the defendants—is entitled to claim-preclusive effect. We reverse,

however, the dismissal of the claims against Officer Spencer because the judgment

in the 1992 Action—in which he was the defendant—was not on the merits and,


                                           5
thus, is not entitled to claim-preclusive effect.

      In the following discussion, we set forth the background underlying this

appeal, address the Rule 60(b) arguments pertinent to the 1991 and 1992 Actions,

address the Rule 12(b)(6) arguments pertinent to the 2017 Action, and conclude by

briefly addressing an outstanding motion relating to the record on appeal (which we

deny as moot).

                                  I. BACKGROUND

A.     Factual Background 2

      Late one night in June 1989, Mr. Johnson ran into a female acquaintance at a

bar in Cheyenne and returned with her to the apartment that she shared with her

boyfriend, who was away at the time. They drank wine and smoked marijuana in

her living room, and Mr. Johnson used his driver’s license and picture I.D., which

were enclosed in a clear plastic sleeve, to separate marijuana leaves from their

stems and seeds for the joints that they smoked. Mr. Johnson and his female

acquaintance then left her apartment in her car and visited multiple bars in

downtown Cheyenne. Mr. Johnson, however, forgot his license and picture I.D. on

the coffee table in his acquaintance’s living room.

      The acquaintance eventually became sick and vomited in her car while Mr.



      2
            Except where noted, we take the following factual allegations from Mr.
Johnson’s complaint in his 2017 Action.

                                            6
Johnson was driving them to an after-hours club. When Mr. Johnson went inside

the club to get some paper towels to clean up her vomit, the acquaintance climbed

into the driver’s seat and drove herself home. Mr. Johnson returned to find that his

acquaintance and her car were gone. He then walked to his home, thirty-five

minutes away, and went to sleep.

      Later that night, from around 3:00 a.m. to 3:10 a.m., the acquaintance’s

downstairs neighbor heard aggressively loud, periodic knocking on the door to the

stairs leading to the acquaintance’s upstairs apartment. Eventually, she heard the

door’s glass window pane shatter, followed by footsteps crossing the broken glass

and walking upstairs to the acquaintance’s apartment. The neighbor heard the

intruder walking around the acquaintance’s apartment and then a woman screaming

what sounded like “No, no!” The neighbor immediately called the police. While

the neighbor was speaking to the police dispatcher, she heard the intruder walk

back down the stairs, over the broken glass, and out of the building, less than ten

minutes after breaking into the upstairs apartment.

      When Officer Spencer and Officer Phillip Raybuck of the Cheyenne Police

Department arrived about a minute later, they found the acquaintance whimpering

hysterically in her bathroom with the door ajar. The rest of the apartment was dark.

Officer Spencer later testified at trial that, when they asked the acquaintance to

come out of the bathroom, she screamed at them, and it took him a moment to


                                          7
realize that she was repeatedly asking, “Is he still here?” The officers searched her

apartment and found no one else. They told her that they were the only ones there

and she could open the bathroom door. Officer Spencer testified that the

acquaintance opened the door some more—revealing that her hair was mussed, her

eyes were wet and red, and her robe was half undone—and she repeatedly said, “He

hurt me.”

      According to Mr. Johnson, Officer Spencer must have taken his driver’s

license and picture I.D. off of the coffee table in the living room and, upon being

told by the acquaintance that a man had “hurt” her, showed them to her,

“prompting” her “to affirmatively assert Mr. Johnson was that man.” Officer

Spencer testified that it took him a while to understand what Mr. Johnson allegedly

did to the acquaintance because she was still choked up and crying, but that she

ultimately led him to believe that Mr. Johnson had sexually assaulted her.

      Officer Spencer took the acquaintance to a local hospital where she was

medically examined and had a sexual-assault kit performed, resulting in the

discovery of seminal fluid. Officer Raybuck then went through the acquaintance’s

apartment taking photographs of the crime scene. Some of these photographs were

provided to Mr. Johnson’s trial counsel, but others were not.

      Later that morning, Mr. Johnson was awakened by a police officer knocking

on his front door. The officer asked him if he had any knowledge about a burglary


                                          8
and sexual assault that had happened during the night. Mr. Johnson denied having

any knowledge of the crimes. The officer then arrested him and took him to jail.

      Detective Stanford investigated the acquaintance’s sexual-assault allegation.

He took biological samples from Mr. Johnson pursuant to a warrant and

interviewed the acquaintance at least three times. At trial, he testified that the

acquaintance called him two days after the sexual assault and told him that she had

found Mr. Johnson’s eyeglasses in her bedroom—the same eyeglasses, she said,

that he had worn at the bars they went to after leaving her apartment on the night

she was assaulted. Mr. Johnson claims that his glasses must have been “planted” in

the bedroom “by or on behalf of” the acquaintance.

      At trial, the acquaintance testified that Mr. Johnson broke into her apartment

and raped her. She also testified that Mr. Johnson had his I.D. card when they went

barhopping after leaving her apartment because he produced his card to enter one

of the bars. The prosecution, as mentioned, introduced testimony from Officer

Spencer and Detective Stanford about the driver’s license, picture I.D., and

eyeglasses that were found in the apartment. An expert witness for the prosecution

testified that, based on forensic testing, Mr. Johnson was “among the five percent

[of the population] who could have left the seminal fluid” recovered by the

acquaintance’s sexual-assault kit. Johnson v. State, 806 P.2d 1282, 1288 (Wyo.

1991). The jury convicted Mr. Johnson of aggravated burglary and first degree


                                           9
sexual assault. Id. at 1283. The Supreme Court of Wyoming affirmed his

conviction. Id. at 1291.

      Mr. Johnson remained imprisoned for twenty-four years. Then, in August

2013, he was declared actually innocent by a Wyoming court after improved DNA

testing revealed that the seminal fluid samples in the acquaintance’s sexual-assault

kit did not match his DNA but, rather, the DNA of the acquaintance’s then-

boyfriend. According to Mr. Johnson, the Cheyenne Police Department should not

have believed the acquaintance and her boyfriend when they told the police that the

boyfriend was out of town for work on the night she was sexually assaulted.

B.    Procedural Background

      1.     The 1991 Action

      While incarcerated, Mr. Johnson filed at least two federal civil-rights actions

in Wyoming federal district court against those he claimed were responsible for his

conviction. The first of these actions was a suit he filed in forma pauperis in 1991

against the City of Cheyenne and Detective Stanford, among other parties. Within

seven days of the filing of his original complaint, Mr. Johnson also filed a demand

for a jury trial. He then amended his complaint, alleging, inter alia, that Cheyenne

had failed to train its officers in proper methods of investigation and that Detective

Stanford had violated his constitutional rights during the investigation by, for

example, the manner in which the detective interrogated him.


                                          10
      About a month after the defendants answered his amended complaint, Mr.

Johnson requested a hearing on the complaint and a jury trial. The district court

granted him an evidentiary hearing, but denied him a jury trial. At the hearing, Mr.

Johnson objected to the court’s denial of a jury trial, but his objection was

overruled. Near the end of the hearing, the defendants argued that the case was

ripe for summary judgment, and the district court responded that they could move

for it. The district court also ordered the parties to submit proposed findings of

fact and conclusions of law. But before the district court entered any findings or

conclusions, the case was transferred to another district judge, who, in turn,

referred the case to a magistrate judge for a new evidentiary hearing. Mr. Johnson,

however, did not object to the new hearing. And it appears that he did not renew

his request for a jury trial before the new district judge.

      At the beginning of the new evidentiary hearing, the magistrate judge denied

the defendants’ motions for summary judgment, which they had filed after the first

evidentiary hearing, because there were genuine disputes of material fact. The

magistrate judge indicated that he would be making the relevant findings of fact

based on the evidence proffered at the hearing, and Mr. Johnson, again, did not

object. The magistrate judge then conducted a bench trial and issued Findings of

Fact and Recommendations, advising in the end “[t]hat [Mr. Johnson’s] complaint

be denied with prejudice.” Aplt.’s App., Vol. IV, at 834 (Findings of Fact and


                                           11
Recommendations on Evidentiary Hr’g, filed Oct. 2, 1992); see id., Vol. V, at 1170

(Tr. of Evidentiary Hr’g Proceedings, dated Aug. 11, 1992) (the magistrate judge

explaining to the parties that “[t]his is a trial”). Mr. Johnson filed objections to the

magistrate judge’s report. The district court overruled his objections and adopted

the magistrate judge’s recommendations, dismissing Mr. Johnson’s claims with

prejudice.

      Mr. Johnson appealed, and a panel of our court entered an order and

judgment affirming the district court’s judgment. Johnson v. City of Cheyenne

(Johnson I), No. 92-8079, 1993 WL 335802, at *4 (10th Cir. Aug. 26, 1993)

(unpublished). Importantly, we noted that “[n]one of the parties objected to the

procedure followed [i.e., the district court’s referral of the matter to the magistrate

judge and the magistrate judge’s holding of an evidentiary hearing concerning the

complaint and his subsequent issuance of proposed findings of fact and a

recommendation that the complaint be denied on the merits], and it is not raised as

an issue on appeal.” Id. at *1 n.4.

      2.     The 1992 Action

      While his 1991 Action was pending, Mr. Johnson filed another federal civil-

rights action—this time a 42 U.S.C. § 1983 suit against Officer Spencer. Mr.

Johnson alleged that Officer Spencer had violated his due-process rights “by

knowingly and willfully giv[ing] false testimony at [his original] jury trial” about


                                           12
the eyeglasses that his acquaintance said that he had worn and she had found in her

bedroom. Aplt.’s App., Vol. VI, at 1240 (Civil Rights Compl., filed Aug. 18,

1992). He also moved the district court for leave to proceed in forma pauperis.

      Before Officer Spencer filed any responsive document, the district court

entered an order sua sponte dismissing the complaint with prejudice as frivolous.

The court noted that in the 1991 Action it had “concluded there were no facts

justifying the plaintiff’s claims that his constitutional rights were violated” with

respect to the trial evidence about his eyeglasses, and that “[t]he present complaint

[wa]s simply another attempt by [him] to revisit the same claim that ha[d]

previously been dismissed.” Id. at 1257–58 (Order Dismissing Civil Rights Pet.,

filed July 20, 1993). The court reviewed the exhibits submitted with the complaint

and determined that they did not “establish[] even the slightest indication that

[Officer Spencer had] made false, or inconsistent[,] statements at the trial.” Id. at

1258. The court held that “Plaintiff ha[d] made no new argument in his complaint

and [that the] complaint [wa]s frivolous and completely devoid of merit.” Id.

(citing 28 U.S.C. § 1915(d) (1993)). The court then went on to hold that, “[e]ven

assuming [Mr. Johnson’s] constitutional rights were violated by” Officer Spencer,

any error was “harmless” in light of the strong evidence of guilt presented at Mr.

Johnson’s trial. Id. at 1258–59. The court described “the evidence and [Officer

Spencer’s challenged] testimony regarding the eyeglasses” as, “at best, extraneous


                                          13
and cumulative.” Id. at 1259. It then “dismissed [the complaint] with prejudice as

frivolous.” Id.

      On appeal, we affirmed, noting that the district court had “dismiss[ed] the

action as factually frivolous under 28 U.S.C. § 1915(d).” Johnson v. Spencer

(Johnson II), No. 93-8036, 1994 WL 249805, at *1 (10th Cir. June 6, 1994)

(unpublished). In doing so, we stated that “Mr. Johnson’s lawsuit is based upon an

indisputably meritless legal theory because a testifying police officer is entitled to

absolute immunity.” Id. (citation omitted). Thus, “[d]ismissal was appropriate.”

Id.

      3.     The 2017 Action

      After he was exonerated, Mr. Johnson filed a third federal civil-rights action,

i.e., the 2017 Action under § 1983. He alleged that Cheyenne, Detective Stanford,

Officer Spencer, and unnamed members of Cheyenne’s police department violated

his constitutional rights. In particular, he alleged that the defendants suppressed

photographs of the crime scene that would have exonerated him, failed to preserve

those photographs, fabricated evidence by prompting the acquaintance to identify

him as the intruder who broke into her apartment, and, as to Cheyenne, failed to

have adequate policies and training for its officers.

      In May 2017, Cheyenne and Officer Spencer separately moved to dismiss the

complaint, arguing, inter alia, that the claims against them were precluded by the


                                           14
judgments in the 1991 and 1992 Actions, respectively. The Estate later filed its

own motion to dismiss, raising, inter alia, claim preclusion with respect to the 1991

Action. The defendants each attached records from the prior proceedings to their

motions.

      In July 2017, the district court granted all three motions to dismiss. Johnson

v. City of Cheyenne, No. 2:17-CV-00074-SWS, 2017 WL 6551394, at *9 (D. Wyo.

July 27, 2017). “Although Defendants . . . raised several bases for dismissal of

Plaintiff’s claims against them,” the district court concluded that “res judicata, or

claim preclusion, bar[red] Plaintiff’s . . . action and [wa]s therefore dispositive of

Defendants’ motions to dismiss.” Id. at *5. In particular, the district court

concluded that both the 1991 and 1992 Actions had resulted in final judgments on

the merits against Mr. Johnson, had been between the same parties as the 2017

Action, and had concerned the same transaction as the 2017 Action. The district

court rejected Mr. Johnson’s argument that Heck v. Humphrey, 512 U.S. 477

(1994)—which held that prisoners may not bring a § 1983 action that calls into

question the lawfulness of their conviction until the conviction has been

invalidated—implied that the judgments against him in his 1991 and 1992 pre-Heck

Actions were not entitled to claim-preclusive effect because his underlying

conviction had not yet been invalidated. Id. at *7S8 (citing Heck). Although Mr.

Johnson had yet to respond to the Estate’s motion to dismiss, the court granted it,


                                           15
too, “because the res judicata analysis d[id] not differ and [wa]s equally dispositive

as to Detective Stanford.” Id. at *9 n.13.

      4.     Mr. Johnson’s Motions for Relief from All Three Judgments

      On August 1, 2017, Mr. Johnson filed in the district-court dockets for his

1991, 1992, and 2017 Actions identical motions to set aside the judgments in those

three cases pursuant to Rule 60. Later that month, he also filed a motion to alter or

amend the judgment in the 2017 Action under Rule 59. The district court denied

all of the motions. Johnson v. City of Cheyenne, No. 2:17-CV-00074-SWS, 2017

WL 6551397 (D. Wyo. Nov. 21, 2017); Johnson v. City of Cheyenne, Nos. 2:17-

CV-00074-SWS, 2:91-CV-00129-SWS & 2:92-CV-00183-SWS, 2017 WL 6551395

(D. Wyo. Nov. 14, 2017). In its orders denying the motions, the district court

rejected Mr. Johnson’s arguments that the judgments in the 1991 and 1992 Actions

were void or should otherwise be set aside, see 2017 WL 6551395, at *5–8, as well

as his additional arguments against the application of claim preclusion, see 2017

WL 6551397, at *4–5.

      Mr. Johnson timely appealed from the dismissal of his 2017 Action and the

denial of his motions in all three actions for post-judgment relief. He notified the

district court of the materials he thought the clerk of court should forward to us as

the record on appeal. The defendants objected to the inclusion of some of the

materials on the ground that the district court had not considered them in reaching


                                             16
its rulings. The district court agreed that Mr. Johnson had included in his notice

“various documents and transcripts” from his 1991 and 1992 Actions that were still

in storage at the Federal Records Center and the National Archives and, thus, “were

not presented to or considered by [the court] in making its rulings.” Aplt.’s App.,

Vol. VII, at 1395 (Order Regarding R. on Appeal, filed Jan. 17, 2018). The district

court nonetheless held that those records “[could] properly be included in the

record on appeal.” Id. Mr. Johnson then filed a letter in this court asking the

clerk’s office for guidance on how to include the archived records in his appendix.

The clerk’s office construed his letter as a motion to supplement the record with

documents not before the district court, and the letter (so construed) was referred to

the merits panel (i.e., this panel) for resolution.

                                   II. DISCUSSION

       The central question in this appeal is whether the judgments in the prior

litigation concerning Mr. Johnson’s conviction—i.e., the judgments in the 1991 and

1992 Actions—prevent him from bringing a new lawsuit—i.e., the 2017 Action—

against the same defendants after his exoneration. The answer turns on the

doctrine of claim preclusion.3 Claim preclusion “prevent[s] a party from litigating



       3
             “For purposes of clarity this court employs the term[] ‘claim
preclusion’ instead of ‘res judicata.’” Wilkes v. Wyo. Dep’t of Emp’t, 314 F.3d 501,
504 n.1 (10th Cir. 2002). We nonetheless recognize that legal authorities, including
some quoted or cited herein, also use the latter term.

                                            17
a legal claim that was or could have been the subject of a previously issued final

judgment.” Lenox MacLaren Surgical Corp. v. Medtronic, Inc., 847 F.3d 1221,

1239 (10th Cir. 2017) (quoting MACTEC, Inc. v. Gorelick, 427 F.3d 821, 831 (10th

Cir. 2005)). For claim preclusion to apply, “three elements must exist: (1) a [final]

judgment on the merits in an earlier action; (2) identity of parties or privies in the

two suits; and (3) identity of the cause of action in both suits.” Id. (alteration in

original) (quoting King v. Union Oil Co. of Cal., 117 F.3d 443, 445 (10th Cir.

1997)). “[E]ven if these three elements are satisfied, there is an exception to the

application of claim preclusion where the party resisting it did not have a ‘full and

fair opportunity to litigate’ the claim in the prior action.” Id. (quoting MACTEC,

427 F.3d at 831 & n.6).

      In Part A, we discuss Mr. Johnson’s attempt to set aside the judgments in his

1991 and 1992 Actions under Federal Rule of Civil Procedure 60(b). If he were

successful in doing so, there would be no prior judgments to preclude his 2017

Action; therefore, claim preclusion would not apply. We conclude that the district

court erred when it applied the wrong legal standard in denying Mr. Johnson Rule

60(b)(6) relief from the judgments in the 1991 and 1992 Actions. We, thus, vacate

and remand for further proceedings consistent with this opinion. We do not,

however, grant him Rule 60(b)(6) relief, nor do we express any view concerning

whether the district court should use its discretion on remand to grant his Rule


                                           18
60(b)(6) motions.

      Because the judgments in the 1991 and 1992 Actions are not disturbed by

our Rule 60(b)(6) ruling and, thus, remain in effect, we address in Part B whether

those judgments have claim-preclusive effect on the 2017 Action. We conclude

that the judgment in the 1991 Action—in which Detective Stanford and Cheyenne

were defendants—has claim-preclusive effect. But we conclude that the judgment

in the 1992 Action—in which Officer Spencer was the defendant—does not have

claim-preclusive effect because that case was not decided “on the merits.” We,

thus, do the following: (1) reverse the district court’s order granting Officer

Spencer’s Rule 12(b)(6) motion to dismiss the 2017 Action and remand for further

proceedings, and (2) affirm the district court’s order granting the Estate’s and

Cheyenne’s Rule 12(b)(6) motions to dismiss the 2017 Action.

      In Part C, we address Mr. Johnson’s outstanding motion to supplement the

record on appeal. We conclude that the motion is moot in light of the district

court’s order allowing Mr. Johnson to include the relevant documents in the record.

A.    Mr. Johnson’s Rule 60(b) Motions in the 1991 and 1992 Actions

      Federal Rule of Civil Procedure 60(b) “provides an ‘exception to finality’

that ‘allows a party to seek relief from a final judgment, and request reopening of

his case, under a limited set of circumstances.’” United Student Aid Funds, Inc. v.

Espinosa, 559 U.S. 260, 269–70 (2010) (citation omitted) (quoting Gonzalez v.


                                          19
Crosby, 545 U.S. 524, 528–29 (2005)). Mr. Johnson’s motions under that rule

sought relief from the final judgments in his 1991 and 1992 Actions under both

Rule 60(b)(4) and Rule 60(b)(6). Rule 60(b)(4) states that the court must relieve a

party from a judgment if “the judgment is void.” FED . R. CIV . P. 60(b)(4). Rule

60(b)(6) provides courts with the authority to relieve parties from a judgment for

any “reason that justifies relief.” FED . R. CIV . P. 60(b)(6).4 The district court

denied Mr. Johnson’s motions for Rule 60(b) relief under both provisions.

       We now examine whether the district court erred in doing so. Because relief


       4
              In full, Rule 60(b) provides:

              (b) Grounds for Relief from a Final Judgment, Order, or
              Proceeding. On motion and just terms, the court may relieve a party
              or its legal representative from a final judgment, order, or proceeding
              for the following reasons:
              (1) mistake, inadvertence, surprise, or excusable neglect;
              (2) newly discovered evidence that, with reasonable diligence, could
              not have been discovered in time to move for a new trial under Rule
              59(b);
              (3) fraud (whether previously called intrinsic or extrinsic),
              misrepresentation, or misconduct by an opposing party;
              (4) the judgment is void;
              (5) the judgment has been satisfied, released, or discharged; it is
              based on an earlier judgment that has been reversed or vacated; or
              applying it prospectively is no longer equitable; or
              (6) any other reason that justifies relief.

FED R. CIV. P. 60(b).

                                              20
under Rule 60(b)(4) is mandatory, we first address Mr. Johnson’s arguments that

the challenged judgments are “void.” We ultimately uphold the district court’s

rejection of those arguments. Next, we address his Rule 60(b)(6) arguments,

concluding that the district court’s rejection of those arguments rested on two legal

errors. But relief under Rule 60(b)(6) is discretionary, and, thus, it would be—at

the very least—imprudent for us to endeavor to resolve Mr. Johnson’s Rule

60(b)(6) motions in the first instance. We, therefore, vacate the district court’s

orders denying those motions and—without expressing any view about the

appropriate outcome—remand for further proceedings consistent with this opinion.

      1.     Rule 60(b)(4)

      “Rule 60(b)(4) . . . authorizes the court to relieve a party from a final

judgment if ‘the judgment is void.’” Espinosa, 559 U.S. at 270; accord Kile v.

United States, 915 F.3d 682, 686 (10th Cir. 2019). A judgment is void under Rule

60(b)(4) “only in the rare instance where [the] judgment is premised either on a

certain type of jurisdictional error or on a violation of due process that deprives a

party of notice or the opportunity to be heard.” Espinosa, 559 U.S. at 271. “If

voidness is found, relief is not a discretionary matter; it is mandatory.” V. T. A.,

Inc. v. Airco, Inc., 597 F.2d 220, 224 n.8 (10th Cir. 1979); accord Kile, 915 F.3d at

686. “We review de novo the district court’s ruling on a Rule 60(b)(4) motion.”

Kile, 915 F.3d at 686 (quoting United States v. Buck, 281 F.3d 1336, 1344 (10th


                                          21
Cir. 2002)).

      Here, Mr. Johnson makes both jurisdictional and due-process arguments for

relief. Thus, in reviewing the district court’s denial of Rule 60(b)(4) relief, we ask

whether the judgments in the 1991 and 1992 Actions are premised “[(1)] on a

certain type of jurisdictional error or [(2)] on a violation of due process that

deprives a party of notice or the opportunity to be heard.” Espinosa, 559 U.S. at

271. We conclude (a) that Mr. Johnson does not establish that a jurisdictional error

occurred and (b) that he has waived any due-process argument he might have had.

We, thus, affirm the district court’s denial of Rule 60(b)(4) relief.

               a.   The district court properly rejected Mr. Johnson’s Rule
                    60(b)(4) motions because, inter alia, the court had an
                    “arguable basis” to exercise jurisdiction in the 1991 and
                    1992 Actions.

      Mr. Johnson argues that both the 1991 and 1992 Actions were premised on

jurisdictional errors. More specifically, he argues that Heck v. Humphrey, which

the Supreme Court decided in 1994 after the district court entered judgment in both

the 1991 and 1992 Actions, demonstrates that the district court had no jurisdiction

to enter those judgments. He says that we should now recognize that the judgments

were void ab initio. This argument relies on multiple shaky premises. And we

conclude, among other things, that the district court had at least an “arguable basis”

to exercise jurisdiction over both actions. See Espinosa, 559 U.S. at 271. We,

thus, agree with the district court’s rejection of Mr. Johnson’s jurisdictional

                                           22
arguments for Rule 60(b)(4) relief.

      In Heck, the Supreme Court held that § 1983 plaintiffs alleging

“unconstitutional conviction or imprisonment,” or “other harm caused by actions

whose unlawfulness would render a conviction or sentence invalid, . . . must prove

that the conviction or sentence has been reversed on direct appeal, expunged by

executive order, declared invalid by a state tribunal authorized to make such

determination, or called into question by a federal court’s issuance of a writ of

habeas corpus.” 512 U.S. at 486–87. The Court stated that “[a] claim for damages

bearing that relationship to a conviction or sentence that has not been so

invalidated is not cognizable under § 1983.” Id. at 487 (second emphasis added).

Relying on that statement, we have said that “[w]hen a § 1983 claim is dismissed

under Heck,” i.e., because the plaintiff’s conviction has not yet been overturned or

otherwise invalidated, “the dismissal should be without prejudice.” Fottler v.

United States, 73 F.3d 1064, 1065 (10th Cir. 1996). Mr. Johnson, thus, argues that

because his conviction was not yet invalidated when he filed his 1991 and 1992

Actions, the district court did not have jurisdiction to entertain those suits;

accordingly, the court should have dismissed them without prejudice. We reject

Mr. Johnson’s Heck-based argument.

      We must first determine whether Heck and its interpretation of § 1983 even

apply to the district court’s judgment in the 1991 Action, considering that the


                                           23
judgment became final before Heck was decided. While it is true that “[a] judicial

construction of a statute is an authoritative statement of what the statute meant

before as well as after the decision of the case giving rise to that construction,”

Rivers v. Roadway Express, Inc., 511 U.S. 298, 312–13 (1994), that does not mean

that Heck’s interpretation of § 1983 must apply retroactively to void earlier final

judgments. After all, “retroactivity in civil cases must be limited by the need for

finality; once suit is barred by res judicata or by statutes of limitation or repose, a

new rule cannot reopen the door already closed.” James B. Beam Distilling Co. v.

Georgia, 501 U.S. 529, 541 (1991) (plurality opinion of Souter, J.) (citation

omitted); see Gray v. Phillips Petroleum Co., 971 F.2d 591, 596 (10th Cir. 1992)

(recognizing Justice Souter’s opinion “as controlling”); see also Reynoldsville

Casket Co. v. Hyde, 514 U.S. 749, 758 (1995) (“New legal principles, even when

applied retroactively, do not apply to cases already closed.”); Teague v. Lane, 489

U.S. 288, 308 (1989) (plurality opinion) (“[I]t has long been established that a final

civil judgment entered under a given rule of law may withstand subsequent judicial

change in that rule.”); cf. Anixter v. Home-Stake Prod. Co., 77 F.3d 1215, 1221

(10th Cir. 1996) (“[W]hen the Court applies a rule of law to litigants in the case

before it, the rule applies ‘with respect to all others not barred by procedural

requirements or res judicata.’” (emphasis added) (quoting James B. Beam

Distilling, 501 U.S. at 544)).


                                            24
      The claim-preclusion consequences of a final judgment are, in other words,

not “altered by the fact that the judgment may have been wrong or rested on a legal

principle subsequently overruled in another case.” Federated Dep’t Stores, Inc. v.

Moitie, 452 U.S. 394, 398 (1981); see also Aaron-Andrew P. Bruhl, Deciding When

to Decide: How Appellate Procedure Distributes the Costs of Legal Change, 96

CORNELL L. REV . 203, 211–12 (2011) (“A final judgment is no less final because it

is wrong, whether it was always wrong or just newly wrong. Although Rule 60 of

the Federal Rules of Civil Procedure permits reopening of final judgments in

certain circumstances, the mere incorrectness of a prior judgment in light of new

legal developments is ordinarily not enough.”). So even though Heck changed our

understanding of which claims are cognizable under § 1983, it did nothing to

disturb civil judgments entered under a prior understanding of the statute—at least

where those judgments, like the one in the 1991 Action, were undisputedly final

when Heck was decided. Therefore, on finality grounds alone, we may reject Mr.

Johnson’s invocation of Heck as to the judgment in the 1991 Action. As we will

see, however, there is another rationale that leads to the same outcome—a rationale

that applies not only to the 1991 Action, but also to the 1992 Action: specifically,

Mr. Johnson is not entitled to Rule 60(b)(4) relief from either judgment because the

district court acted with at least “arguable jurisdiction” in entering them.

      Reasoning that the judgment in the 1992 Action was still “open on direct


                                          25
review”5 when the Supreme Court decided Heck, Mr. Johnson argues that Heck at

least applies to that judgment. See Harper v. Va. Dep’t of Taxation, 509 U.S. 86,

97 (1993) (“When [the Supreme] Court applies a rule of federal law to the parties

before it, that rule is the controlling interpretation of federal law and must be given

full retroactive effect in all cases still open on direct review . . . .” (emphasis

added)). More specifically, he argues that the district court erred in not sua sponte

seeking out an exception to the mandate rule after we affirmed its dismissals, even

though none of the parties drew the court’s attention to Heck. However, even if the

district court erred in not considering the impact of Heck on its judgment in the

1992 Action, we conclude that any error would still not provide Mr. Johnson with a



      5
               The parties dispute whether Mr. Johnson is correct that the 1992 Action
was “open on direct review” when Heck was decided. The Supreme Court decided
Heck on June 24, 1994—after we issued our opinion in the 1992 Action on June 6,
1994, but before our mandate issued and Mr. Johnson’s time to file a petition for
certiorari expired. Compare FED . R. APP . P. 41(c) advisory committee’s note to
1998 amendment (“A court of appeals’ judgment or order is not final until issuance
of the mandate; at that time the parties’ obligations become fixed.”), with Bradley v.
Sch. Bd., 416 U.S. 696, 711 n.14 (1974) (“By final judgment we mean one where
‘the availability of appeal’ has been exhausted or has lapsed, and the time to petition
for certiorari has passed.” (quoting Linkletter v. Walker, 381 U.S. 618, 622 n.5
(1965))), and Bruhl, supra, at 211 (“[O]ur system typically draws the line [for
finality] at the conclusion of the direct appellate process, which occurs when the
period for filing a petition for certiorari expires . . . .”). Cf. 18A Charles Alan
Wright et al., FEDERAL PRACTICE AND PROCEDURE § 4432, Westlaw (database
updated Aug. 2019) (“[I]t is clear that definitions of finality cannot automatically be
carried over from appeals cases to preclusion problems.”). We need not resolve this
dispute, however. As explained infra, even assuming the 1992 Action was still open
on direct review when Heck was decided, Rule 60(b)(4) relief remains unavailable.

                                            26
basis for Rule 60(b)(4) relief.

       “Federal courts considering Rule 60(b)(4) motions that assert a judgment is

void because of a jurisdictional defect generally have reserved relief only for the

exceptional case in which the court that rendered judgment lacked even an

‘arguable basis’ for jurisdiction.” Espinosa, 559 U.S. at 271; accord Gschwind v.

Cessna Aircraft Co., 232 F.3d 1342, 1346 (10th Cir. 2000) (“There must be ‘no

arguable basis on which [the court] could have rested a finding that it had

jurisdiction.’” (alteration in original) (quoting Nemaizer v. Baker, 793 F.2d 58, 65

(2d Cir. 1986))); Baella-Silva v. Hulsey, 454 F.3d 5, 9–10 (1st Cir. 2006) (“[I]f the

record supports an ‘arguable basis’ for concluding that subject-matter jurisdiction

existed, a final judgment cannot be collaterally attacked as void.” (quoting Fafel v.

DiPaola, 399 F.3d 403, 411 (1st Cir. 2005))); cf. 18A Charles Alan Wright et al.,

FEDERAL PRACTICE AND PROCEDURE § 4427, Westlaw (database updated Aug.

2019) (“For the most part, a judgment entered by a federal court acting beyond its

subject-matter jurisdiction remains eligible for res judicata effects if there is no

other defect . . . .”).

       In the 1992 Action—as in the 1991 Action—the district court had at least an

“arguable basis” for jurisdiction for two main reasons. First, it is arguable whether

Heck’s limitation on § 1983 suits is jurisdictional. We have indicated—albeit in

dicta in a precedential decision and in unpublished cases—that Heck is not


                                           27
jurisdictional. Jiron v. City of Lakewood, 392 F.3d 410, 413 n.1 (10th Cir. 2004);

accord Coppinger v. Zavaras, 429 F. App’x 755, 756 n.1 (10th Cir. 2011)

(unpublished) (stating that Jiron had “not[ed] Heck is not jurisdictional and

proceed[ed] to evaluate the merits of the Heck-barred claims”); Marshall v.

Morton, 421 F. App’x 832, 836 n.4 (10th Cir. 2011) (unpublished) (similar); Orvis

v. Pleasant Grove City, 200 F. App’x 730, 732 n.1 (10th Cir. 2006) (unpublished)

(similar); see Polzin v. Gage, 636 F.3d 834, 837 (7th Cir. 2011) (per curiam) (“The

Heck doctrine is not a jurisdictional bar.”). And if Heck is not jurisdictional, the

district court would not have been obliged to assess sua sponte Heck’s impact on

the judgment in the 1992 Action (nor would we for that matter); rather, the

defendants would have needed to raise Heck as a defense, and the record shows no

sign that they did. Cf. Carr v. O’Leary, 167 F.3d 1124, 1126 (7th Cir. 1999) (“The

failure to plead the Heck defense in timely fashion was a waiver . . . .”).

       Second, even if Heck were jurisdictional, the district court at most would

have erred in discerning the applicability of its jurisdictional requirement to Mr.

Johnson’s § 1983 actions. But that is an insufficient basis for Rule 60(b)(4) relief.

As we have stated, “an erroneous interpretation of a jurisdictional statute does not

render the underlying judgment void.” Gschwind, 232 F.3d at 1346; see Jones v.

Giles, 741 F.2d 245, 248 (9th Cir. 1984) (“An error in interpreting a statutory grant

of jurisdiction is not . . . equivalent to acting with total want of jurisdiction and


                                            28
does not render the judgment a complete nullity.”); Kan. City S. Ry. Co. v. Great

Lakes Carbon Corp., 624 F.2d 822, 825 (8th Cir. 1980) (en banc) (“[E]rror in

interpreting a statutory grant of jurisdiction is not equivalent to acting with total

want of jurisdiction. Such an erroneous interpretation does not render the judgment

a complete nullity.”).

      In sum, because the judgment in the 1991 Action was final by the time that

Heck was decided, nothing about Heck’s changed understanding of § 1983 rendered

the judgment in that action void; consequently, the district court properly rejected

Mr. Johnson’s request for Rule 60(b)(4) relief on finality grounds alone.

Moreover, putting aside the question of finality, the district court still properly

denied him such relief in both the 1991 and 1992 Actions. Even if the district

court’s exercise of jurisdiction constituted error under Heck, it certainly was not the

sort of “plain usurpation of power” that would have rendered the judgments entered

in those actions void. Gschwind, 232 F.3d at 1346 (quoting Kan. City S. Ry. Co.,

624 F.2d at 825). The district court had at least an “arguable basis” to exercise

jurisdiction over both the 1991 and 1992 Actions; consequently, we have no trouble

rejecting Mr. Johnson’s jurisdictional argument for Rule 60(b)(4) relief.

             b.     Mr. Johnson waived his argument that the 1991 Action is
                    void because of a due-process violation

      Mr. Johnson also argues that the judgment in the 1991 Action is void




                                           29
because it is based on a violation of due process.6 In particular, he argues that the

adjudication of the 1991 Action denied him his right to a jury trial. Even assuming

that such a due-process argument is cognizable under Rule 60(b)(4), we conclude

that Mr. Johnson waived it by abandoning it in his direct appeal of the 1991

Action.

      As summarized above, Mr. Johnson requested a jury trial in the 1991 Action,

but his request was denied. Mr. Johnson appealed from the resulting judgment, but

did not contest the procedure the district court had used in reaching it, see Johnson

I, 1993 WL 335802, at *1 n.4 (“None of the parties objected to the procedure

followed, and it is not raised as an issue on appeal.”), and we affirmed the

dismissal. Mr. Johnson now argues that the procedure the district court used in the

1991 Action violated his due-process rights. We conclude, however, that his

failure to present that argument in his direct appeal “precludes him”—as the Estate

succinctly says—“from now setting aside the finality of the resultant judgment[]

under the auspices of [Rule] 60(b)(4).” Officer Aplees.’ Resp. Br. at 37.

      The Supreme Court has recognized that even “[t]he most basic rights . . .

[are] subject to waiver.” Peretz v. United States, 501 U.S. 923, 936 (1991). Here,

Mr. Johnson litigated his due-process concerns before the district court in the 1991



      6
            Mr. Johnson disclaims any due-process argument that the judgment in
the 1992 Action is void. See Aplt.’s Opening Br. at 50 n.17.

                                          30
Action but—be it through strategy or neglect—failed to raise them on appeal.

Because he failed to do so, any subsequent arguments that he advances based on

those concerns are properly deemed waived. See United States v. Gama-Bastidas,

222 F.3d 779, 784 (10th Cir. 2000) (noting that “[o]rdinarily, we will not review in

a second direct appeal an issue that underlies a previously affirmed conviction” and

that this “general rule” is based in part on the law-of-the-case doctrine under which

“findings made at one point during litigation become law of the case for subsequent

stages of that same litigation” (quoting United States v. Webb, 98 F.3d 585, 587

(10th Cir. 1996))); see also United States v. Sacko, 247 F.3d 21, 24 (1st Cir. 2001)

(ruling that, although the defendant “had every incentive to do so, [he] failed to

present [an] argument in his first appeal” and, thus, “cannot raise it here for the

first time” because “he may not revive in the second round an issue he allowed to

die in the first” (quoting United States v. Ticchiarelli, 171 F.3d 24, 32 (1st Cir.

1999))); United States v. Russ, 861 F.2d 184, 185 (8th Cir. 1988) (per curiam)

(noting that “[t]he parties frame their arguments in terms of the proper application

of the law-of-the-case doctrine,” and holding that the appellant “should have raised

th[e] issue [of the amount of the deficiency judgment] in his appeal from the initial

district court order finding him liable for the amount stated in the complaint, and

his failure to do so precludes further consideration of this claim”); Williamsburg

Wax Museum, Inc. v. Historic Figures, Inc., 810 F.2d 243, 250 (D.C. Cir. 1987)


                                          31
(“Under law of the case doctrine, a legal decision made at one stage of litigation,

unchallenged in a subsequent appeal when the opportunity to do so existed,

becomes the law of the case for future stages of the same litigation, and the parties

are deemed to have waived the right to challenge that decision at a later time. The

doctrine encompasses a court’s explicit decisions, as well as those issues decided

by necessary implication.” (citations omitted)).

       Mr. Johnson’s waiver of his due-process concerns about the 1991 Action

precludes him from receiving Rule 60(b)(4) relief on that basis now. As the

Supreme Court has stated, “a motion under Rule 60(b)(4) is not a substitute for a

timely appeal,” Espinosa, 559 U.S. at 270, and “Rule 60(b)(4) does not provide a

license for litigants to sleep on their rights,” id. at 275; see Lebahn v. Owens, 813

F.3d 1300, 1306 (10th Cir. 2016) (“[A] Rule 60(b) motion is not an appropriate

vehicle to advance new arguments or supporting facts that were available but not

raised at the time of the original argument.”). Here, it is beyond cavil that Mr.

Johnson’s due-process arguments were available but not raised in his appeal from

the judgment entered in the 1991 Action; after all, he raised the arguments before

the district court in that action.

       We, thus, conclude that Mr. Johnson’s failure to raise his objections to the

district court’s bench-trial procedure in the 1991 Action on direct appeal resulted in

waiver of his present argument that the resulting judgment is void under Rule


                                          32
60(b)(4) because it is based on a violation of due process.

                                          ***

      We recognize that some of the appellees argue that this should mark the end

of our Rule 60 analysis. They contend that because “the provisions of Rule 60 are

mutually exclusive” and Mr. Johnson’s arguments under Rule 60(b)(4) and Rule

60(b)(6) overlap, Mr. Johnson “must either succeed on his Rule 60(b)(4) argument,

or fail entirely.” Officer Aplees.’ Resp. Br. at 35; see id. (“Because Johnson urges

this Court to consider his request for relief under subsection (b)(4), the Court

cannot consider his arguments under Rule 60(b)(6).”). We disagree.

      To be sure, there is authority for the proposition that “clause (6) and clauses

(1) through (5) are mutually exclusive.” Liljeberg v. Health Servs. Acquisition

Corp., 486 U.S. 847, 863 n.11 (1988); see O’Dell v. Sun Ref. & Mktg. Co., No. 99-

5048, 2000 WL 339181, at *5 (10th Cir. Mar. 31, 2000) (unpublished) (“Relief

under 60(b)(6) is only appropriate when none of the first five clauses of the rule are

applicable.”). And we have said that “[a] Rule 60(b)(6) motion may not be used as

a vehicle to re-allege 60(b)(4) allegations.” Spitznas v. Boone, 464 F.3d 1213, 1225

n.11 (10th Cir. 2006). But that does not mean that failing to succeed under clause

(4) necessarily dooms every argument advanced under clause (6). The failure of

arguments under Rule 60(b)(4) does not tell us, for example, whether different

arguments may entitle the party to relief under Rule 60(b)(6). Cf. id. at 1225


                                          33
(directing district court to consider on remand whether a party, “not entitled to

relief under Rule 60(b)(4), is [nonetheless] entitled to relief under Rule 60(b)(6)”).

And while some of Mr. Johnson’s Rule 60(b)(4) and Rule 60(b)(6) arguments are

related, he raises distinct arguments under the latter clause. Cf. Zurich N. Am. v.

Matrix Serv., Inc., 426 F.3d 1281, 1293 (10th Cir. 2005) (“Parties moving for relief

under Rule 60(b) cannot simply throw in subsection (6) without any new arguments

and expect to obtain a new trial.”); Bros. Inc. v. W. E. Grace Mfg. Co., 320 F.2d

594, 609 (5th Cir. 1963) (“While the circumstances reflected by all of these papers

bear many of the earmarks of a mere plea for reopening for newly discovered

evidence under (2) or fraud under (3), it is something more,” namely, an invocation

of “60(b)(6).”). We, thus, consider Mr. Johnson’s request for Rule 60(b)(6) relief.

      2.     Rule 60(b)(6)

      Mr. Johnson argues that the district court made several legal errors in

denying him Rule 60(b)(6) relief. We agree that the district court made at least two

salient errors in denying such relief, and so we remand for the district court to

exercise its discretion in a manner consistent with this opinion. In the following

discussion, we (a) set out the standards governing Rule 60(b)(6) relief, (b) reject

the district court’s premise that Rule 60(b)(6) relief is available only in equitable

proceedings, (c) reject the district court’s conclusion that Mr. Johnson’s filing of

prior lawsuits barred Rule 60(b)(6) relief, and (d) decline to address Mr. Johnson’s


                                          34
remaining arguments because they would draw us into reviewing matters that we

leave to the district court in the first instance.

              a.      Standards Governing Rule 60(b)(6) Relief

       Rule 60(b)(6) allows federal courts to relieve a party from a judgment for

any reason—other than those in the five enumerated preceding categories—“that

justifies relief.” FED . R. CIV . P. 60(b)(6). “We have described Rule 60(b)(6) as a

‘grand reservoir of equitable power to do justice in a particular case.’” Kile, 915

F.3d at 687 (quoting Cashner v. Freedom Stores, Inc., 98 F.3d 572, 579 (10th Cir.

1996)). Although “the rule should be liberally construed when substantial justice

will thus be served,” McGraw v. Barnhart, 450 F.3d 493, 505 (10th Cir. 2006)

(quoting Pierce v. Cook & Co., 518 F.2d 720, 722 (10th Cir. 1975) (en banc)),

“relief under Rule 60(b)(6) is extraordinary and reserved for exceptional

circumstances,” id.

       “We review the district court’s decision to deny a Rule 60(b)(6) motion for

an abuse of discretion.” Kile, 915 F.3d at 688. “The denial of a 60(b)(6) motion

will be reversed only if we find a complete absence of a reasonable basis and are

certain that the decision is wrong.” Davis v. Kan. Dep’t of Corr., 507 F.3d 1246,

1248 (10th Cir. 2007) (quoting Zurich N. Am., 426 F.3d at 1293). The abuse-of-

discretion standard, however, “does not shelter a district court that makes an error

of law, because ‘[a] district court would necessarily abuse its discretion if it based


                                             35
its ruling on an erroneous view of the law.’” McLane Co. v. EEOC, 581 U.S. ___,

137 S. Ct. 1159, 1168 n.3 (2017) (quoting Cooter & Gell v. Hartmarx Corp., 496

U.S. 384, 405 (1990)); see Ungar v. Palestine Liberation Org., 599 F.3d 79, 86 (1st

Cir. 2010) (concluding that a district court’s legally erroneous “application of a

categorical rule [about when exceptional circumstances obtain under Rule 60(b)(6)]

was a per se abuse of discretion”). Thus, even in the context of the deferential

abuse-of-discretion standard, we review subsidiary legal questions de novo. See

Frontier Ref., Inc. v. Gorman-Rupp Co., 136 F.3d 695, 699 (10th Cir. 1998) (noting

that in the “context” of the abuse-of-discretion standard, we still “review de novo

purely legal questions”); see also United States v. Dixon, 901 F.3d 1170, 1176 n.2

(10th Cir. 2018) (“[E]ven under a deferential abuse-of-discretion standard, in the

instructional context, erroneous conclusions of law are effectively subject to de

novo review in any event.”); Harry T. Edwards & Linda A. Elliott, FEDERAL

STANDARDS OF REVIEW Ch. V.A, Westlaw (database updated Feb. 2018) (“[T]he

variety of matters committed to the discretion of district judges means that the

[abuse-of-discretion] standard is necessarily variable. It implies no single level of

scrutiny by the appellate courts.”).

      We focus our analysis on two salient legal errors Mr. Johnson has identified

in the district court’s Rule 60(b)(6) analysis.




                                           36
             b.      Rule 60(b)(6) relief extends to all civil actions generally.

      The district court abused its discretion by denying Mr. Johnson’s motions for

Rule 60(b)(6) relief based on a legally erroneous view of the difference between

law and equity. We reverse its denial of Rule 60(b)(6) relief and remand for the

district court to exercise the full and proper breadth of its discretion.

      In support of his argument before the district court for Rule 60(b)(6) relief,

Mr. Johnson cited multiple cases for the proposition that actual innocence can

present an extraordinary circumstance justifying relief. Some of the cases involved

habeas corpus proceedings. In distinguishing those cases, the district court stated:

             Habeas corpus proceedings are equitable in nature, while § 1983
             claims for damages are inherently not. Thus, while it may be
             appropriate for a court in equity to avoid res judicata to do justice,
             such arguments are unavailing in the § 1983 context.

Aplt.’s App., Vol. III, at 646 (Order Den. Pl.’s Rule 60 Mots., filed Nov. 14, 2017)

(citations omitted). On appeal, Mr. Johnson argues that this is an erroneous view

of the law and that the district court abused its discretion by basing its decision on

this rationale. We agree.

      Neither the Federal Rules of Civil Procedure, nor our cases, recognize the

district court’s proffered law-equity distinction. The language of Rule 60(b)(6) is

broad: it allows the district court to grant relief for “any other reason that justifies

relief.” FED . R. CIV . P. 60(b)(6). We see no basis for the district court’s law-

equity distinction on the Rule’s face, and the court offered none. And, while there

                                           37
was a time when the distinction between law and equity was crucial, “[t]he merger

of law [and] equity . . . is complete.” FED . R. CIV . P. 1 advisory committee’s note

to 2007 amendment; see SCA Hygiene Prods. Aktiebolag v. First Quality Baby

Prods., LLC, 580 U.S. ___, 137 S. Ct. 954, 960 (2017) (noting that “the separate

systems of law and equity were merged in 1938”). Thus, the Federal Rules of Civil

Procedure apply to “all civil actions and proceedings in the United States district

courts,” except as stated in a rule not relevant here. FED . R. CIV . P. 1; see FED . R.

CIV . P. 2 (“There is one form of action—the civil action.”); FED . R. CIV . P. 2

advisory committee’s note to 1937 adoption (note 2) (“Reference to actions at law

or suits in equity in all statutes should now be treated as referring to the civil action

prescribed in these rules.”).

      And so it is unsurprising that our cases demonstrate that Rule 60(b)(6) relief

is not limited to proceedings that are “equitable in nature.” Aplt.’s App., Vol. III,

at 646. For example, in McGraw v. Barnhart, we stated that counsel would be able

to use a Rule 60(b)(6) motion to seek a statutory fee award. 450 F.3d at 505

(“Substantial justice will be served by allowing counsel to seek § 406(b)(1) fees

under the authority of Rule 60(b)(6).”). Likewise, in Pierce v. Cook & Co., our en

banc court relied on Rule 60(b)(6) to set aside a judgment in a tort action. 518

F.2d at 723–24. And, analogously, we have used Rule 60(b)(1) to set aside a

judgment in a § 1983 case. See Wallace v. McManus, 776 F.2d 915, 917 (10th Cir.


                                            38
1985) (per curiam), superseded by rule, FED . R. APP . P. 4(a)(6) (1991). We, thus,

conclude that the district court legally erred in holding that its discretion to grant

Rule 60(b)(6) relief was cabined to “equitable” actions.

             c.     Plaintiffs are not barred from Rule 60(b)(6) relief simply
                    because they filed the lawsuit.

      The district court’s erroneous law-equity distinction was but one rationale

supporting its denial of Rule 60(b)(6) relief. As relevant here, the court also

reasoned that Mr. Johnson’s decisions to file the 1991 and 1992 Actions were

“free, calculated and deliberate choices.” Aplt.’s App., Vol. III, at 647 (quoting

Cashner, 98 F.3d at 580). And because “the broad power granted by [Rule

60(b)(6)] is not for the purpose of relieving a party from free, calculated, and

deliberate choices the party has made,” 11 Wright et al., supra, § 2864; accord

Cashner, 98 F.3d at 580, the court reasoned that Rule 60(b)(6) relief is improper in

this case. Aplt.’s App., Vol. III, at 647. We disagree.

      We do not believe that the mere act of having brought the lawsuit is the sort

of free, calculated, and deliberate choice that precludes Rule 60(b)(6) relief from

its judgment. After all, “the ‘whole purpose’ of Rule 60(b) ‘is to make an

exception to finality.’” Buck v. Davis, 580 U.S. ___, 137 S. Ct. 759, 779 (2017)

(quoting Gonzalez, 545 U.S. at 529). Indeed, were it correct that simply bringing

the action disqualifies a party from later receiving Rule 60(b)(6) relief, then

presumably the plaintiffs in those actions could never avail themselves of Rule

                                           39
60(b)(6) for relief from the resulting judgments. But the plain terms of the Rule

belie that notion because they provide no such limitation. Furthermore, we have

previously granted Rule 60(b)(6) relief to plaintiffs. See, e.g., Pierce, 518 F.2d at

723–24.

      The sort of “free, calculated, and deliberate choices” that may undermine a

party’s request for Rule 60(b)(6) relief are things like settlement agreements that

have not worked out for the party, see Kile, 915 F.3d at 688; Cashner, 98 F.3d at

580, or the party’s regretted decision not to appeal an adverse judgment, see

Ackermann v. United States, 340 U.S. 193, 197–98 (1950). Expressing no view on

whether Mr. Johnson is entitled to Rule 60(b)(6) relief from the judgments in the

1991 and 1992 Actions, we hold that the district court legally erred in concluding

that Mr. Johnson’s decisions to bring the 1991 and 1992 Actions were the sort of

“free, calculated, and deliberate choices” that foreclose Rule 60(b)(6) relief.

             d.     Remaining Arguments

      Mr. Johnson points to other purported errors in the district court’s denial of

Rule 60(b)(6) relief. The “different institutional competencies” of trial and

appellate courts make us reluctant in this case “to construct the fact-specific

balance that Rule 60(b)(6) demands.” Ungar, 599 F.3d at 87; see id. (“The district

court did not analyze the totality of the circumstances [in denying Rule 60(b)(6)

relief] but, rather, focused on what it improvidently believed to be a categorical bar


                                          40
to relief. Concluding, as we do, that this categorical rule does not apply in the

circumstances of this case, we vacate the orders appealed from and remand for

further proceedings consistent with this opinion. We take no view of the

appropriate outcome.”). Based on the two salient legal errors discussed herein, we

vacate the district court’s orders denying Rule 60(b)(6) relief. On remand, subject

to the guidance we have provided, the court may take a fresh look at Mr. Johnson’s

arguments for Rule 60(b)(6) relief and exercise its discretion in resolving them.

                                         * * *

      In sum, we affirm the district court’s orders denying Rule 60(b)(4) relief, but

vacate its orders denying Rule 60(b)(6) relief and remand for further proceedings.

As to the latter, we underscore that we do not take any position concerning whether

Mr. Johnson is entitled to Rule 60(b)(6) relief; we instead remand for the district

court to use the full and proper scope of its discretion in addressing that matter.

See id.7


      7
               In his Rule 60(b) motion for relief from the judgments in the 1991 and
1992 Actions, Mr. Johnson also argued for Rule 60(b) relief from the judgment in
the 2017 Action. See Aplt.’s App., Vol. II, at 369, 389–90 (Pl.’s Mem. in Supp. of
Mot. to Set Aside Js., filed Aug. 1, 2017). But, on appeal, he does not address the
district court’s resolution of those arguments aside from his broader arguments about
the district court’s dismissal of his 2017 Action under Rule 12(b)(6), discussed infra.
More specifically, he does not tell us what the district court did wrong in denying
him Rule 60(b) relief from the judgment in the 2017 Action. We, therefore, deem
any such argument abandoned and limit our discussion of the district court’s Rule
60(b) rulings to the 1991 and 1992 Actions. See, e.g., Nixon v. City & Cty. of Denver,
784 F.3d 1364, 1366 (10th Cir. 2015) (“The first task of an appellant is to explain to us

                                           41
       Although we remand for further proceedings on Mr. Johnson’s motions for

Rule 60(b)(6) relief, the underlying judgments in the 1991 and 1992 Actions are

not disturbed by this ruling, and thus remain in effect. See Lebahn, 813 F.3d at

1305 (“[A]n appeal from denial of Rule 60(b) relief ‘raises for review only the

district court’s order of denial and not the underlying judgment itself.’” (quoting

Stouffer v. Reynolds, 168 F.3d 1155, 1172 (10th Cir. 1999))); FED . R. CIV . P.

60(c)(2) (noting that the filing of a Rule 60(b) motion “does not affect the

judgment’s finality or suspend its operation”). Therefore, we proceed to address

Mr. Johnson’s challenge to the district court’s dismissal of the 2017 Action on the

ground that it is precluded by the judgments in the 1991 and 1992 Actions. Cf.

18A Wright et al., supra, § 4432 (“Civil Rule 60(c)(2) expressly provides that a

motion to vacate does not affect the finality of a judgment or suspend its operation,

so preclusion should not be suspended merely because such a motion is pending.”).8


why the district court’s decision was wrong.”); Bronson v. Swensen, 500 F.3d 1099, 1104
(10th Cir. 2007) (“An appellant’s opening brief must identify ‘appellant’s contentions and
the reasons for them, with citations to the authorities and parts of the record on which the
appellant relies.’” (emphasis added) (quoting FED. R. APP. P. 28(a)(9)(A) (2007))).
       8
              We recognize that if the district court uses its discretion on remand to
grant Mr. Johnson relief under Rule 60(b)(6) from the judgments in the 1991 and
1992 Actions, that would undercut the court’s dismissal of the 2017 Action, which
was based on the preclusive effect of those judgments. See FED . R. CIV . P. 60(b)(5)
(granting courts the authority to relieve parties from judgments “based on an earlier
judgment that has been reversed or vacated”); see also Manzanares v. City of
Albuquerque, 628 F.3d 1237, 1240 (10th Cir. 2010) (“[I]t is necessary that ‘the
present judgment [be] based on the prior judgment in the sense of res judicata or
collateral estoppel.’” (second alteration in original) (quoting Klein v. United States,

                                            42
B.    The Defendants’ Rule 12(b)(6) Motions in the 2017 Action

      In the following discussion, we address (1) our standard of review, (2) the

general framework governing claim-preclusion, and (3) how that law applies to the

1991 and 1992 Actions. We conclude that the district court correctly held that the

1991 Action has claim-preclusive effect on the 2017 Action, but erred in holding

that the 1992 Action has such effect. We, thus, affirm in part and reverse in part.

      1.     Standard of Review

      Generally, “[w]e review de novo the district court’s grant of the

[defendants’] motion to dismiss on . . . claim preclusion grounds.” Campbell v.

City of Spencer, 777 F.3d 1073, 1077 (10th Cir. 2014). While this much is

undisputed, Mr. Johnson argues that the district court erroneously converted the

motions to dismiss into motions for summary judgment by considering its prior

records as part of its claim-preclusion analysis. We consider this argument at the

outset because it could impact the scope and substance of our claim-preclusion

analysis. We conclude, however, that the district court could consider its prior

records without converting the motions into ones for summary judgment.

      Additionally, we independently address certain preservation issues latent in

Mr. Johnson’s appellate argument. Although Mr. Johnson forfeited his two main

challenges to the district court’s Rule 12(b)(6) rulings by failing to raise them in



880 F.2d 250, 258 n.10 (10th Cir. 1989))).

                                          43
that court when opposing the defendants’ 12(b)(6) motions, we nevertheless

conclude that Officer Spencer and the Estate have, themselves, forfeited any

preservation-related argument on this point by failing to raise it in their appellate

briefing. Therefore, as to those defendants, we exercise our discretion to apply the

usual de novo standard in our review of Mr. Johnson’s 12(b)(6) challenges.

Although the question of whether Cheyenne has failed to object to Mr. Johnson’s

lack of preservation of these challenges is less straightforward, we assume that Mr.

Johnson’s arguments against Cheyenne should also be reviewed de novo, as his

arguments fail in any event.

             a.     Consideration of Prior Court Records

      “If, on a motion under Rule 12(b)(6) . . . , matters outside the pleadings are

presented to and not excluded by the court, the motion must be treated as one for

summary judgment under Rule 56.” FED . R. CIV . P. 12(d). A district court,

however, may “take judicial notice of its own files and records, as well as facts

which are a matter of public record,” without converting a motion to dismiss into a

motion for summary judgment. Tal v. Hogan, 453 F.3d 1244, 1264 n.24 (10th Cir.

2006) (quoting Van Woudenberg ex rel. Foor v. Gibson, 211 F.3d 560, 568 (10th

Cir. 2000), abrogated on other grounds by McGregor v. Gibson, 248 F.3d 946, 955

(10th Cir. 2001) (en banc)). But we have stated that when a district court considers

its own files and records in ruling on a Rule 12(b)(6) motion, “[t]he documents may


                                           44
only be considered to show their contents, not to prove the truth of matters asserted

therein.” Id. (alteration in original) (quoting Oxford Asset Mgmt., Ltd. v. Jaharis,

297 F.3d 1182, 1188 (11th Cir. 2002)). Mr. Johnson contends that the district court

here considered its own records for the truth of the matters asserted and, thus, was

required to convert the defendants’ motions to dismiss into motions for summary

judgment. We disagree.

      The overarching concern with taking notice of judicial records for “the truth

of the matter asserted” is the improper admission of hearsay. See FED . R. EVID .

801(c) (“‘Hearsay’ means a statement that: (1) the declarant does not make while

testifying at the current trial or hearing; and (2) a party offers in evidence to prove

the truth of the matter asserted in the statement.” (emphasis added)). “When

offered to prove the facts stated, court records are hearsay; hence, they would be

admissible as evidence only if they satisfied some hearsay exception such as the

official records exception.” 21B Wright et al., supra, § 5106.4. But this concern is

inapplicable when a district court merely considers its records to determine what it

did in a prior case—i.e., as evidence of prior “judicial acts.” See id. (“Courts can

properly notice prior judicial acts for the purpose of acting upon them.”).

      It, thus, is unremarkable that courts frequently take judicial notice of prior

judicial acts found in records and files when evaluating the merits of a purported

claim-preclusion defense. See, e.g., St. Louis Baptist Temple, Inc. v. Fed. Deposit


                                           45
Ins. Corp., 605 F.2d 1169, 1172 (10th Cir. 1979) (“The doctrine of judicial notice

has been utilized, [s]ua sponte, when the defending party’s motion for summary

judgment is predicated on affirmative defenses such as [r]es judicata or collateral

estoppel, as in the case at bar.”); 21B Wright et al., supra, § 5106.4 (“The best-

known example [of courts properly noticing their prior judicial acts] is the use of

judicial records in ruling on a claim that the present case is barred or controlled by

res judicata . . . .” (footnote omitted)).

       Importantly, we and other courts have done so without transforming a

defendant’s motion to dismiss into a motion for summary judgment. See Campbell,

777 F.3d at 1080–82 (affirming the dismissal at the pleadings stage of a § 1983

claim on claim-preclusion grounds after reviewing proceedings from an earlier

adjudication and determining that the plaintiff could have raised her constitutional

claims in that adjudication, but did not do so); Morgan v. City of Rawlins, 792 F.2d

975, 979 (10th Cir. 1986) (reversing the Rule 12(b)(6) dismissal of a § 1983 action

because we were “satisfied, in the light of this record[, which included filings from

a prior state action], that substantive issues inherent in a § 1983 claim were not the

focus of the state hearing”); see also Ruiz v. Snohomish Cty. Pub. Util. Dist. No. 1,

824 F.3d 1161, 1167 (9th Cir. 2016) (reviewing the record of a prior proceeding to

interpret the court’s “ambiguous prior judgment” for purposes of claim preclusion

at the motion-to-dismiss stage); C.H. Robinson Worldwide, Inc. v. Lobrano, 695


                                             46
F.3d 758, 763–64 (8th Cir. 2012) (noting that “[o]ur interpretation of the phrase

‘face of the complaint . . . include[s] public records and materials embraced by the

complaint,’ and ‘material[s] attached to the complaint’” (alterations and omission

in original) (citation omitted) (quoting Noble Sys. Corp. v. Alorica Cent., LLC, 543

F.3d 978, 983 (8th Cir. 2008); then quoting Quinn v. Ocwen Fed. Bank FSB, 470

F.3d 1240, 1244 (8th Cir. 2006) (per curiam))); Giragosian v. Ryan, 547 F.3d 59,

66 (1st Cir. 2008) (stating that a district court may consider documents from prior

judicial adjudications when resolving a Rule 12(b)(6) motion to dismiss on claim-

preclusion grounds); Andrews v. Daw, 201 F.3d 521, 524 n.1 (4th Cir. 2000)

(noting that “when entertaining a motion to dismiss on the ground of res judicata, a

court may take judicial notice of facts from a prior judicial proceeding when the res

judicata defense raises no disputed issue of fact”).9

      To be sure, the district court—in reviewing the complaint in the 2017

Action—could not supplement the allegations in that complaint with, say, testimony

that a witness had provided in the 1991 Action. But, for example, it was entirely

proper for the district court to review its records to determine whether it had


      9
             We have also addressed this issue persuasively in an unpublished
decision. See Tri-State Truck Ins., Ltd. v. First Nat’l Bank of Wamego, 564 F. App’x
345, 347 (10th Cir. 2014) (unpublished) (“Generally res judicata is an affirmative
defense to be pleaded in the defendant’s answer. However, when all relevant facts
are shown by the court’s own records, of which the court takes notice, the defense
may be upheld on a Rule 12(b)(6) motion without requiring an answer.” (quoting
Day v. Moscow, 955 F.2d 807, 811 (2d Cir. 1992))).

                                          47
previously dismissed a claim as frivolous or on the merits. This is because the

latter use of judicial notice only takes notice of judicial acts. Here, the district

court relied on its records to determine what judicial acts it had taken in the 1991

and 1992 Actions, e.g., whether there was a trial on the merits, whether it had ruled

on any objections to the procedures used, and what statutory provision it relied on

in dismissing one of those lawsuits. This use of judicial notice accords with our

practice in cases like Campbell, 777 F.3d at 1080–82, and does not run afoul of the

restriction against taking judicial notice of court records for the truth of the matters

they assert, cf. Estate of Lockett ex rel. Lockett v. Fallin, 841 F.3d 1098, 1111 (10th

Cir. 2016) (“On a Rule 12(b)(6) motion to dismiss, when a court takes judicial

notice of another court’s opinion, it may do so not for the truth of the facts recited

therein, but for the existence of the opinion, which is not subject to reasonable

dispute over its authenticity.” (internal quotation marks omitted) (quoting Lee v.

City of Los Angeles, 250 F.3d 668, 690 (9th Cir. 2001))).

      We, thus, reject Mr. Johnson’s argument that the district court was required

to convert the motions to dismiss into motions for summary judgment.

             b.     Preservation Issues

      Mr. Johnson’s two main arguments on appeal for why the district court erred

in concluding that his claims in the 2017 Action were precluded by the judgments

in the 1991 and 1992 Actions were not raised in his Rule 12(b)(6) briefing before


                                            48
the district court. His first argument concerns whether he had a “full and fair

opportunity” to litigate those claims in the 1991 Action, and the second concerns

whether the 1992 Action resulted in a decision “on the merits.” Neither argument

was presented in Mr. Johnson’s responses to the defendants’ motions to dismiss.

Instead, Mr. Johnson first articulated those arguments in his post-judgment motions

to reconsider under Rules 59(e) and 60—which was too late. That is, he asserted

the arguments too late to preserve them for an appellate challenge to the district

court’s Rule 12(b)(6) rulings.10 See, e.g., Lyons v. Jefferson Bank & Tr., 994 F.2d

716, 722–23 (10th Cir. 1993) (concluding that “arguments . . . [that] were not

raised until a post-trial motion” were not “preserved for review” even though “the

trial court addressed the merits of these arguments”); Burnette v. Dresser Indus.,

Inc., 849 F.2d 1277, 1285 (10th Cir. 1988) (refusing to address an appellate

argument that the district court declined to consider because the litigant had first

raised it in a motion for reconsideration). Accordingly, for purposes of our review



      10
               A district court may, of course, deny Rule 59 and Rule 60 motions for
reconsideration because the motions only raise arguments that could have been made
earlier. See Nelson v. City of Albuquerque, 921 F.3d 925, 929 (10th Cir. 2019); Servants
of the Paraclete v. Doe, 204 F.3d 1005, 1012 (10th Cir. 2000). We would review such a
denial for an abuse of discretion. Servants of the Paraclete, 204 F.3d at 1009. Here,
however, we are reviewing the district court’s granting of the defendants’ Rule 12(b)(6)
motions, not the court’s subsequent denials of Mr. Johnson’s motions to reconsider that
decision. Although Mr. Johnson’s appeal challenges the district court’s denial of his Rule
60 motions as to the 1991 and 1992 Actions, he raises no argument about the denial of his
Rule 59(e) and 60(b) motions as to the 2017 Action.

                                           49
of the district court’s 12(b)(6) order, these arguments are forfeited and entitled to

no more than rigorous plain-error review. See, e.g., Richison v. Ernest Grp., Inc.,

634 F.3d 1123, 1130–31 (10th Cir. 2011).

      We nonetheless exercise our discretion to review these forfeited arguments

de novo. See Cox v. Glanz, 800 F.3d 1231, 1244 (10th Cir. 2015) (“[T]he decision

regarding what issues are appropriate to entertain on appeal in instances of lack of

preservation is discretionary.” (quoting Abernathy v. Wandes, 713 F.3d 538, 552

(10th Cir. 2013))). Officer Spencer and the Estate both forfeited the issue of Mr.

Johnson’s own forfeiture by failing to argue his lack of preservation in their

appellate briefing. See United States v. Rodebaugh, 798 F.3d 1281, 1314 (10th Cir.

2015) (noting that “even if the government had somehow waived or forfeited Mr.

Rodebaugh’s forfeiture, we would be left with dueling ‘waivers/forfeitures,’”

requiring us “to decide whose waiver/forfeiture to overlook”); Cook v. Rockwell

Int’l Corp., 618 F.3d 1127, 1138–39 (10th Cir. 2010) (engaging in de novo review

where the appellees “themselves failed to adequately present any . . . forfeiture

argument in their appellate brief” and thereby “forfeited any forfeiture argument

they may have on this issue”); see also Niemi v. Lasshofer, 728 F.3d 1252, 1262

(10th Cir. 2013) (“This is not to suggest that we cannot take notice on our own of a

forfeiture not timely raised by the opposing party, only that nothing compels that

course in this case.”). And, although Cheyenne obliquely invokes the plain-error


                                           50
standard in disputing certain of Mr. Johnson’s arguments, we decline to apply that

rigorous standard—insofar as Mr. Johnson’s two primary 12(b)(6) arguments

implicate Cheyenne—because even under a more lenient de novo review, which

ordinarily applies in the 12(b)(6) context, Mr. Johnson’s arguments fail.

      With our de novo standard of review thus settled, we now turn to the legal

principles governing the district court’s adjudication of the claim-preclusion

defenses.

      2.     Background Principles of Claim Preclusion

      Before proceeding further into our de novo review, we pause to frame the

applicable claim-preclusion doctrine. “The principle underlying the rule of claim

preclusion is that a party who once has had a chance to litigate a claim before an

appropriate tribunal usually ought not have another chance to do so.” Lenox

MacLaren Surgical, 847 F.3d at 1239 (quoting Stone v. Dep’t of Aviation, 453 F.3d

1271, 1275 (10th Cir. 2006)). “The preclusive effect of a federal-court judgment is

determined by federal common law.” Taylor v. Sturgell, 553 U.S. 880, 891 (2008).

We require defendants to prove three elements to prevail on this defense: “(1) a

[final] judgment on the merits in an earlier action; (2) identity of parties or privies

in the two suits; and (3) identity of the cause of action in both suits.” Lenox

MacLaren Surgical, 847 F.3d at 1239 (quoting King, 117 F.3d at 445). “In

addition, even if these three elements are satisfied, there is an exception to the


                                           51
application of claim preclusion where the party resisting it did not have a ‘full and

fair opportunity to litigate’ the claim in the prior action.” Id. (quoting MACTEC,

427 F.3d at 831 & n.6); see Kremer v. Chem. Constr. Corp., 456 U.S. 461, 481

n.22 (1982) (“While our previous expressions of the requirement of a full and fair

opportunity to litigate have been in the context of collateral estoppel or issue

preclusion, it is clear from what follows that invocation of res judicata or claim

preclusion is subject to the same limitation.” (emphasis added)).

      Although we have at times “characterized the ‘full and fair opportunity to

litigate’ as a fourth requirement of res judicata,” we have since clarified that “the

absence of a full and fair opportunity to litigate is more appropriately treated as an

exception to the application of claim preclusion when the three referenced

requirements are met.” MACTEC, 427 F.3d at 831 n.6; accord Yapp v. Excel

Corp., 186 F.3d 1222, 1226 n.4 (10th Cir. 1999) (citing Kremer, 456 U.S. at 481

n.22, for the proposition that this opportunity to litigate is a “limitation” on the

application of claim preclusion).

      In this case, Mr. Johnson concedes that the district court correctly ruled that

the second and third elements of claim preclusion are satisfied here. See Aplt.’s

Reply Br. at 7 n.2 (declining to “dispute that the same parties and transaction

elements are satisfied”). Thus, the judgments in the 1991 and 1992 Actions will

have claim-preclusive effect against Mr. Johnson so long as they were “on the


                                           52
merits” and he had a “full and fair opportunity to litigate.” Although Mr. Johnson

argues that the 1992 Action did not provide him with a “full and fair opportunity to

litigate,” we do not address the merits of that argument because, as explicated

below, we agree with his contention that the district court erred in holding that the

judgment in that action was “on the merits.” The 1992 Action, accordingly, should

not have been given claim-preclusive effect. As for the 1991 Action, Mr. Johnson

does not argue that the district court erred in concluding that it had entered a

judgment “on the merits.” Consequently, we take up below solely the question of

whether Mr. Johnson had a “full and fair opportunity to litigate” his claims in the

1991 Action. See Nixon, 784 F.3d at 1366 (stating that an appellant who does not

explain why the district court erred in its ruling waives the issue). We conclude

that he did have such an opportunity. We, thus, affirm that aspect of the district

court’s claim-preclusion determination.

      3.     Application

      In the following discussion, as indicated, we focus on whether the 1991

Action provided Mr. Johnson with a “full and fair opportunity to litigate” and

whether the 1992 Action was adjudicated “on the merits.” As to the 1991 Action,

we conclude that Mr. Johnson had a “full and fair opportunity to litigate” his

claims because the decision to conduct a bench trial that ostensibly deprived him of

that opportunity presented a procedural issue that he had a full and fair opportunity


                                          53
to litigate before the district court, but then waived on appeal, even though he

could have fully and fairly litigated it there as well. As to the 1992 Action, in

contrast, we conclude that Mr. Johnson correctly contends that the action was not

adjudicated “on the merits” because the district court expressly dismissed it as

frivolous under the then-applicable 28 U.S.C. § 1915(d). Accordingly, we affirm

the district court’s dismissal of the claims precluded by the 1991 Action—i.e.,

those against the Estate and Cheyenne—but reverse its dismissal of the claims

ostensibly precluded by the 1992 Action—i.e., those against Officer Spencer.

             a.      The 1991 Action is entitled to claim-preclusive effect.

      The parties dispute whether the 1991 Action is entitled to claim-preclusive

effect and, more specifically, whether it constituted a “full and fair opportunity to

litigate.” Mr. Johnson also argues that, even if the 1991 Action might give rise to

claim preclusion, Cheyenne and the Estate have failed to muster legally sufficient

proof to establish this.11 We reject both arguments and, thus, uphold the district

court’s dismissal of the claims against Cheyenne and the Estate, i.e., the parties to

the 1991 Action.12

      11
              Mr. Johnson similarly argues that Officer Spencer failed to prove claim
preclusion with respect to the 1992 Action. Because we conclude that the district court
erred in holding that this judgment was “on the merits”—and, thus, in giving it claim-
preclusive effect—we need not address that argument to resolve this appeal.
      12
             Mr. Johnson does not argue that the claim-preclusive effect of the 1991
Action on the claims against the Estate is any different than it would have been on
the claims against Detective Stanford, had he survived. And Mr. Johnson, as noted,

                                           54
                    i.     The “Full and Fair Opportunity to Litigate”
                           Requirement

      The “full and fair opportunity to litigate” inquiry is a “narrow exception”

that “applies only where the requirements of due process were not afforded—where

a party shows ‘a deficiency that would undermine the fundamental fairness of the

original proceedings.’” Lenox MacLaren Surgical, 847 F.3d at 1243 (citation

omitted) (citing Crocog Co. v. Reeves, 992 F.2d 267, 270 (10th Cir. 1993); then

quoting Nwosun v. Gen. Mills Rests., Inc., 124 F.3d 1255, 1257 (10th Cir. 1997)).

“The fairness of the prior proceeding ‘is determined by examining any procedural

limitations, the party’s incentive to fully litigate the claim, and whether effective

litigation was limited by the nature or relationship of the parties.’” Id. (quoting

Nwosun, 124 F.3d at 1257–58). Here, Mr. Johnson argues, as he did in support of

his request for Rule 60(b)(4) relief, that the district court’s decision in the 1991

Action to convene a bench trial instead of a jury trial was a procedural limitation

that denied him a “full and fair opportunity to litigate” his claims. Aplt.’s Opening

Br. at 18. We disagree.

      As we mentioned, the procedural limitation at issue here—i.e., the denial of

a jury trial—is a matter that Mr. Johnson fully litigated before the district court in

the 1991 Action and could have fully challenged on appeal, but failed to do. More



concedes that the “same parties” element of claim preclusion is satisfied here. See
Aplt.’s Reply Br. at 7 n.2.

                                           55
specifically, after the district court denied Mr. Johnson’s motion for a jury trial and

started to conduct an evidentiary hearing on his complaint instead, Mr. Johnson

objected to that procedure in court. The district court overruled the objection.

After his case was assigned to a new district judge, that judge entered judgment for

the defendants following a bench trial held about 10 months after the evidentiary

hearing. Mr. Johnson appealed from the district court’s judgment. Although he

could have challenged the process that the district court afforded him, he failed to

do so. See Johnson I, 1993 WL 335802, at *1 n.4 (“None of the parties objected to

the procedure followed, and it is not raised as an issue on appeal.”). The judgment

in the 1991 Action then became final; any procedural challenges Mr. Johnson could

have raised against it were waived by his failure to present them on appeal. See,

e.g., Sacko, 247 F.3d at 24; Gama-Bastidas, 222 F.3d at 784.

      As the governing authorities make clear, it is enough for full-and-fair-

opportunity-to-litigate purposes that the litigant had a full and fair opportunity to

contest the procedural obstacle that ostensibly barred meaningful consideration of

his claims. Mr. Johnson had that opportunity here. In this regard, our decision in

Hanley v. Four Corners Vacation Properties, Inc., is instructive. See 480 F.2d 536

(10th Cir. 1973). In Hanley, the plaintiffs-appellants argued that a prior state

judgment “was void and subject to collateral attack because of the lack of service

of process.” Id. at 538 (applying federal due-process principles to analyze the


                                          56
claim-preclusive effect of a Colorado judgment). The defendants-appellees

defended the prior judgment on the ground that “the due process issue [pertaining

to the alleged defect in service of process] was fully litigated [previously] in [state

court,] culminating in a judgment” against the plaintiffs-appellants. Id. at 537.

The district court “sustained the defense,” holding that the prior judgment should

be accorded claim-preclusive effect. Id. We affirmed, stating that “[i]t is . . . well

settled that where the issue of due process has been litigated and a final judgment

entered, the determination of that issue, right or wrong, is res judicata.” Id. at 538.

In reaching that holding, we reasoned that the plaintiffs-appellants’ due-process

concerns were litigated in state court, where “[a]n adequate remedy was available

through the state appellate process.” Id. And we concluded that the plaintiffs-

appellants “have had their day in court on these issues and a final judgment entered

thereon. They cannot relitigate them in federal court.” Id.

      As in Hanley, so too here. Mr. Johnson had a full and fair opportunity to

litigate the alleged procedural limitation—i.e., the denial of a jury trial—before the

district court in the 1991 Action, and, after the court entered judgment, he had a

full and fair opportunity to challenge the court’s procedures on appeal before that

judgment became final. The fact that he did not present a procedural challenge on

appeal does nothing to diminish the opportunity that he had to do so; he simply lost

his chance. Like the plaintiffs-appellants in Hanley, Mr. Johnson “had [his] day in


                                           57
court on th[is] issue[] and a final judgment entered thereon.” Id. The district

court, therefore, properly determined that he could not “relitigate” the issue in the

2017 Action. Id.

      Moreover, other authorities—within and without our circuit—accord with

this conclusion. See In re Griego, 64 F.3d 580, 584–85 (10th Cir. 1995) (relying

on Hanley in rejecting, on claim-preclusion grounds, a party’s “argu[ment] that res

judicata should not apply because her attorneys’ negligence [had] denied her an

opportunity to be heard before entry of” a prior judgment, reasoning that the party

had litigated “the issue of her attorneys’ negligence in her motion for relief from

[the] judgment and reconsideration” and that the state trial and appellate courts had

“considered and rejected this issue,” precluding it from being “relitigated”); 18

Wright et al., supra, § 4415 (“[I]t is only in special circumstances, in which the

denial of due process could not reasonably be rectified in the first action, that an

exception should be made to claim preclusion.” (emphasis added)); cf. Stan Lee

Media, Inc. v. Walt Disney Co., 774 F.3d 1292, 1297 (10th Cir. 2014) (“We have

found a party ‘cannot now complain that it did not have a full and fair opportunity

to litigate the issue [when] [i]t asked the [prior] court to decide the issue in its

brief, and it argued its position extensively’ in the prior proceeding.” (alterations in

original) (quoting Murdock v. Ute Indian Tribe of Uintah & Ouray Reservation,




                                           58
975 F.2d 683, 690 (10th Cir. 1992)) (addressing issue preclusion)).13

      In sum, it is clear to us that Mr. Johnson cannot escape from the claim-

preclusive effect of the 1991 Action based on a procedural argument that was

previously litigated and adjudicated in that action and that he had an opportunity to

appeal before that judgment became final. Consequently, we reject Mr. Johnson’s

contention that the 1991 Action did not provide him with a “full and fair

opportunity to litigate.”

                    ii.     Cheyenne and the Estate carried their burden on the
                            claim-preclusion defense.

      Mr. Johnson also contends that, even if the 1991 Action could give rise to

claim preclusion, Cheyenne and the Estate have failed to muster legally sufficient

proof to establish this. We reject this argument.

      Mr. Johnson argues that “even if the 1991 . . . Action[] could give rise to


      13
              In urging us to reject Mr. Johnson’s full-and-fair-opportunity-to-litigate
argument, Cheyenne relies on the view that Mr. Johnson waived it by “voluntarily
participat[ing]” in the bench trial in the 1991 Action and also by failing to raise his
argument on direct appeal. Aplee. Cheyenne’s Resp. Br. at 28–29. The Estate and
Officer Spencer make related arguments, albeit in response to Mr. Johnson’s Rule
60(b)(4) argument. Officer Aplees.’ Resp. Br. at 36–37. We credit that Mr. Johnson
waived the argument by failing to raise it in the 1991 Action’s direct appeal; as is
evident, it plays a role in our analysis above. But, for purposes of reviewing the
district court’s determination of claim preclusion, we find more specific guidance in
Hanley and related authorities. We, of course, may affirm on any ground supported
by the record. See, e.g., Safe Sts. All. v. Hickenlooper, 859 F.3d 865, 879 (10th Cir.
2017) (“[W]e of course ‘can affirm a lower court’s ruling on any grounds adequately
supported by the record, even grounds not relied upon by the district court.’”
(quoting Elwell v. Byers, 699 F.3d 1208, 1213 (10th Cir. 2012))).

                                          59
claim preclusion, appellees failed to prove claim preclusion [in their Rule] 12(b)(6)

motions.” Aplt.’s Opening Br. at 34 (capitalization and bolding omitted). As a

threshold matter, we note that much of this argument appears based on the fact that

the district court relied on facts not included in the complaint, but we have already

explained that the district court’s judicial notice of its own records was permissible.

Further, because Mr. Johnson is only challenging the district court’s claim-

preclusion ruling with respect to the 1991 Action on the ground that he was not

given a “full and fair opportunity to litigate” his claims there, we most

appropriately view his current lack-of-proof argument through that limited lens.

      That said, we recognize that Mr. Johnson’s argument appears to grow out of

the lack of clarity in our earlier cases about whether the full-and-fair-opportunity-

to-litigate factor should be classified as an “element[]” of, or an “exception” to,

claim preclusion; we have clarified that it is the latter. See MACTEC, 427 F.3d at

831 & n.6. Mr. Johnson, however, effectively rejects this clarification and suggests

that the district court did not properly allocate the burden of proof—specifically,

the burden of persuasion—on Cheyenne and the Estate with respect to the fair-and-

full-opportunity-to-litigate factor. See Aplt.’s Opening Br. at 35 (contending that

“[t]here are no recognized exceptions” to claim preclusion and that the district

court “failed to impose the correct 12(b)(6) burdens”).

      It is beyond cavil that claim preclusion is an affirmative defense, as to which


                                          60
the defendant bears the burden of proof. See, e.g., Taylor, 553 U.S. at 907 (“Claim

preclusion, like issue preclusion, is an affirmative defense.”); Pelt v. Utah, 539

F.3d 1271, 1283 (10th Cir. 2008) (“Generally, claim preclusion is an affirmative

defense and it is incumbent upon the defendant to plead and prove such a

defense.”); FED . R. CIV . P. 8(c)(1) (listing “res judicata” as an affirmative defense).

But at least arguably in our precedential decisions, we have effectively allocated to

“the party seeking to avoid preclusion” the burden of proof as to the full-and-fair-

opportunity-to-litigate exception. See MACTEC, 427 F.3d at 831; see also Lenox

MacLaren Surgical, 847 F.3d at 1243–46 (holding that the plaintiff’s claims were

barred because the defendants had “satisfied” the “requisite elements of claim

preclusion” and the plaintiff had not shown that “the full and fair opportunity

exception” applied). Moreover, a panel of our court has expressly done so in an

unpublished decision. See Sullivan v. DaVita Healthcare Partners, Inc., 780 F.

App’x 612, 615 (10th Cir. 2019) (unpublished) (expressly rejecting the contention

that the defendant “had the burden to plead and prove” the full-and-fair-

opportunity-to-litigate factor). Be that as it may, we need not definitively opine

here on this burden-of-proof question because the district court, in fact, placed the

burden of proof for the full-and-fair-opportunity factor—including the burden of

persuasion—on the defendants. See Aplt.’s App., Vol. III, at 664 (Order Den. Pl.’s

Rule 59(e) Mot., filed Nov. 21, 2017) (concluding that the defendants had


                                           61
“satisfactorily established the elements and factors for application of

res judicata . . . , including a full and fair opportunity to litigate, which [Mr. Johnson]

failed to rebut” (footnote omitted)). Insofar as Mr. Johnson suggests that the court’s

observation that he “failed to rebut” the defendants’ proof demonstrates that the court

actually placed the burden of proof on him, see Aplt.’s Opening Br. at 35 (quoting that

language), we disagree. Instead of treating the full-and-fair-opportunity factor as

an exception to preclusion, the district court viewed it as one of “‘four’ res judicata

elements” that the defendants had “the burden of showing.” Aplt.’s App., Vol. III,

at 663. The court, therefore, made its observation that Mr. Johnson did not rebut

the defendants’ proof in the context of its express statement that it had held the

defendants to “the burden of showing . . . that [Mr. Johnson] had a full and fair

opportunity to litigate the claims in the prior suits.” Id. at 663–64. Accordingly,

Mr. Johnson has no basis to object to the district court’s allocation of the burden of

proof as to the full-and-fair-opportunity-to-litigate factor because the court allocated

the burden as he desired.

       Lastly, Mr. Johnson fails to support his argument that the district court erred

“by applying a preponderance-of-evidence burden of persuasion standard[,] rather

than the correct beyond-reasonable-doubt standard[,]” with any citation to Tenth

Circuit authority in the Rule 12(b)(6) context. See Aplt.’s Opening Br. at 35–37.

His out-of-circuit cases, moreover, do not support his argument, either. At best,


                                              62
they evince a not uncommon “policy of resolving doubts against an assertion of

claim preclusion,” 18 Wright, supra, § 4406 n.19; see ITOFCA, Inc. v. MegaTrans

Logistics, Inc., 322 F.3d 928, 933 (7th Cir. 2003) (Ripple, J., concurring) (noting

the purported view of “many courts” that “doubts are resolved against preclusion”

(quoting In re Associated Vintage Grp., Inc., 283 B.R. 549, 562 (B.A.P. 9th Cir.

2002))), and a hesitance to find the requirements of claim preclusion satisfied in

the 12(b)(6) context unless “the facts are admitted or are not controverted or are

conclusively established so that nothing further can be developed by a trial of the

issue,” Larter & Sons, Inc. v. Dinkler Hotels Co., 199 F.2d 854, 855 (5th Cir.

1952); see SBT Holdings, LLC v. Town of Westminster, 547 F.3d 28, 36 (1st Cir.

2008). To persuade us that a heightened burden of proof applies here, on-point

authority in the Rule 12(b)(6) context would be especially important (if not

necessary) given that “[t]he normal burden of persuasion in a civil case requires

only that [the] party prove the fact by a ‘preponderance of the evidence.’” 21B

Wright et al., supra, § 5122; see Tech. Licensing Corp. v. Videotek, Inc., 545 F.3d

1316, 1327 (Fed. Cir. 2008) (noting “the usual civil law standard of preponderance

of the evidence”). Mr. Johnson has provided us with none. Therefore, we cannot

accept his beyond-a-reasonable-doubt argument.

      In sum, we reject Mr. Johnson’s argument that Cheyenne and the Estate have

failed to muster legally sufficient proof to establish claim preclusion as to the 1991


                                          63
Action.

                    iii.   Heck v. Humphrey Redux

      Mr. Johnson also returns to an iteration of his Heck argument. He argues

that, under Heck, he could not have brought the claims in his 2017 Action until he

was exonerated in 2013 and so the district court erred in deeming those claims

precluded by his earlier actions. Aplt.’s Opening Br. at 28–30. Like his earlier

argument—that Heck invalidated the judgments entered in the 1991 and 1992

Actions—this invocation of Heck also fails.

      Mr. Johnson’s argument starts with Heck’s teaching that, to determine

whether a prisoner’s conviction has prevented his § 1983 claim pertaining to that

conviction from accruing, courts “must consider whether a judgment in favor of the

plaintiff would necessarily imply the invalidity of his conviction or sentence.” 512

U.S. at 487. “[I]f it would, the complaint must be dismissed unless the plaintiff

can demonstrate that the conviction or sentence has already been invalidated.” Id.

Mr. Johnson adds to those principles from Heck our statement in Lenox MacLaren

Surgical that “claim preclusion does not bar subsequent litigation of new claims

based on facts the plaintiff did not and could not know when it filed its complaint.”

847 F.3d at 1244. Combining Heck and Lenox MacLaren Surgical, Mr. Johnson

reasons that “[s]ince invalidation of [his] conviction[] was a non-existent fact at the

time of [his] prior actions, he could not have brought his present claims in [those]


                                          64
prior actions.” Aplt.’s Opening Br. at 29. He, in other words, argues that his

claims did not begin accruing until he was exonerated. Id.

      But this argument runs into similar problems as those discussed above.

Regardless of whether the district court in the 1991 Action should have held—even

before Heck was decided—that Mr. Johnson’s claims were not cognizable under

§ 1983, the 1991 Action nonetheless adjudicated Mr. Johnson’s claims against

Detective Stanford and Cheyenne. Following his appeal, the judgment in that case

became final, and that final judgment will have claim-preclusive effect on the 2017

Action if the elements of preclusion are met. Because Mr. Johnson concedes that

the district court correctly ruled that the second and third elements of claim

preclusion are satisfied here, see Aplt.’s Reply Br. at 7 n.2 (declining to “dispute

that the same parties and transaction elements are satisfied”), the 1991 Action will

have claim-preclusive effect so long as it was “on the merits” and provided a “full

and fair opportunity to litigate.” Lenox MacLaren Surgical, 847 F.3d at 1239. But

Mr. Johnson does not argue that the district court erred in concluding that the 1991

Action was “on the merits,” and we have already rejected his argument that the

action did not provide a “full and fair opportunity to litigate.” And so the judgment

in the 1991 Action has precluded claims like those in the 2017 Action from the

time it became final.

      The Supreme Court’s later opinion in Heck did nothing to disturb the parties’


                                          65
reliance on that final judgment: “once suit is barred by res judicata or by statutes of

limitation or repose, a new rule cannot reopen the door already closed.” James B.

Beam Distilling, 501 U.S. at 541 (plurality opinion of Souter, J.); see Moitie, 452

U.S. at 401 (“[P]ublic policy dictates that there be an end of litigation; that those

who have contested an issue shall be bound by the result of the contest, and that

matters once tried shall be considered forever settled as between the parties.”

(quoting Baldwin v. Iowa State Traveling Men’s Ass’n, 283 U.S. 522, 525 (1931)));

accord United States ex rel. Garibaldi v. Orleans Par. Sch. Bd., 397 F.3d 334, 339

n.27 (5th Cir. 2005) (“Generally speaking, final civil judgments having the effect

of res judicata . . . are not voided or affected by a subsequent change in the

decisional law on which they were based.” (citing James B. Beam Distilling, 501

U.S. at 541)).

      We, thus, reject Mr. Johnson’s argument that the claims in the 2017 Action

were not precluded by the 1991 Action because they were not cognizable under

§ 1983 until after he was exonerated.

                    iv.    The District Court’s Ruling on the Estate’s Rule
                           12(b)(6) Motion before Briefing Had Closed

      Finally, Mr. Johnson argues that the district court erred by granting the

Estate’s Rule 12(b)(6) motion to dismiss before his time to respond to it had

elapsed. The Estate filed its Rule 12(b)(6) motion on July 21, 2017—more than

two months after the other defendants. The district court then granted the Estate’s

                                           66
motion on July 27, 2017—at the same time that it granted the other defendants’

motions to dismiss—even though Mr. Johnson had not yet responded to it. The

local rules gave Mr. Johnson fourteen days to respond to the motion, but also stated

that the district court could rule on the motion at any time. See D. Wyo. Civ. R.

7.1(a) (2017) (“Nothing in this rule precludes the Court from ruling on a motion at

any time after it is filed.”); id. R. 7.1(b)(2)(A) (providing parties with 14 days for a

motion response). In ruling on the Estate’s motion, the district court explained that

it “f[ound] it appropriate to rule on the Estate’s motion despite Plaintiff not having

an opportunity to respond because the res judicata analysis d[id] not differ [from

the analysis applicable to Cheyenne] and [wa]s equally dispositive as to Detective

Stanford.” Aplt.’s App., Vol. II, at 365 n.13 (Order Granting Mots. to Dismiss,

filed July 27, 2017).

      Mr. Johnson argues this was reversible error, but we disagree. “[A]lthough

we disfavor . . . dismissals before the losing party has an opportunity to respond,

this court has held that such a ‘dismissal under Rule 12(b)(6) is not reversible error

when it is patently obvious that the plaintiff could not prevail on the facts alleged

and allowing [her] an opportunity to amend [her] complaint would be futile.’”

Knight v. Mooring Capital Fund, LLC, 749 F.3d 1180, 1190 (10th Cir. 2014)

(alterations in original) (quoting McKinney v. Okla. Dep’t of Human Servs., 925

F.2d 363, 365 (10th Cir. 1991)); see id. (rejecting the argument “that the dismissal


                                           67
decision was premature because the district court granted defendants’ motion to

dismiss before [the plaintiff’s] deadline to file a motion to remand to state court

and before her response period expired”). Such a dismissal does not violate due

process because “[a] litigant whose complaint has been dismissed with prejudice

could file a motion to alter or amend the judgment under Rule 59(e) or for relief

from the judgment under Rule 60(b),” and “can also bring an appeal.” Curley v.

Perry, 246 F.3d 1278, 1284 (10th Cir. 2001).

      As the district court explained, the claim-preclusion defense applicable to

Cheyenne applied equally to the Estate. And the court had already received Mr.

Johnson’s briefing challenging that defense in his response to Cheyenne’s motion

to dismiss. See Aplt.’s App., Vol. II, at 300S03 (Pl.’s Suppl. Br. in Opp’n to Defs.’

Mots. to Dismiss, filed July 7, 2017) (arguing that the judgment dismissing the

1991 Action is void). Accordingly, based on the district court’s rejection of Mr.

Johnson’s arguments against Cheyenne’s motion to dismiss based on claim

preclusion, the court effectively determined that “it [wa]s patently obvious that

[Mr. Johnson] could not prevail on the facts alleged” in his complaint concerning

the Estate, either. Knight, 749 F.3d at 1190 (quoting McKinney, 925 F.2d at 365).

Furthermore, guided by Knight’s rubric, we conclude that the district court did not

commit reversible error because “allowing [Mr. Johnson] an opportunity to amend

[his] complaint would [have] be[en] futile.” Id.


                                          68
      The district court expressly addressed the substance of the futility issue when

it subsequently denied Mr. Johnson Rule 59 relief. The court concluded that

amendment was futile because Mr. Johnson “could not have alleged any facts” that

would fix his claim-preclusion problem. Aplt.’s App., Vol. III, at 658. We deem

this ruling correct and sound. Indeed, Mr. Johnson has still not explained how any

amendment to his 2017 complaint could cure the fact that the judgment in the 1991

Action precluded his claims against the Estate. See Knight, 749 F.3d at 1190S91

(holding that “any further opportunity to amend would be futile because

[plaintiff’s] claims would still be barred” by issue preclusion); cf. Hawg Tools,

LLC v. Newsco Int’l Energy Servs., Inc., 758 F. App’x 632, 638 (10th Cir. 2018)

(unpublished) (“We agree with the district court’s ruling that claim preclusion

made further consideration of Hawg’s conversion claim futile.”). Thus, even if Mr.

Johnson had been permitted to raise what he claims would have been “important

arguments” against the Estate’s motion to dismiss, Aplt.’s Opening Br. at 41, the

district court would have properly rejected them on claim-preclusion grounds based

on the factual averments of his complaint. And even if he had properly sought at

that time to amend his complaint, that effort would have been futile.

      In arguing for a contrary result, Mr. Johnson points us to Cooper v. United

States Penitentiary, 433 F.2d 596 (10th Cir. 1970) (per curiam), but that case is

distinguishable. There, the district court “erred in accepting, as fact, the ex parte


                                          69
statement of the United States concerning plaintiff’s non-compliance with [an

administrative exhaustion requirement] and in not allowing plaintiff an opportunity

to meet both the asserted deficiency in pleading and the assumption and contention

that his claim was intended to be, and was capable only of being, cognizable under

the Tort Claims Act.” Id. at 597. Cooper reasoned that “[t]he court cannot know,

without hearing the parties, whether it may be possible for [plaintiff] to state a

claim entitling him to relief, however strongly it may incline to the belief that he

cannot.” Id. (quoting Harmon v. Superior Court, 307 F.2d 796, 798 (9th Cir.

1962)). Cooper, however, is distinguishable. As noted, the district court did hear

from Mr. Johnson when it considered his arguments challenging Cheyenne’s claim-

preclusion defense—which was in all material respects the same as the Estate’s

claim-preclusion defense—and the court properly rejected those arguments. And,

though Cooper appears to have allowed for the possibility that the plaintiff could

cure “the asserted deficiency in pleading,” id., here we agree with the district court

that any effort by Mr. Johnson to amend his complaint would have been futile.

Aplt.’s App., Vol. III, at 658 (“The Court finds Plaintiff could not have alleged any

facts to ‘plead around’ res judicata; so, it was within the Court’s discretion to

dismiss the complaint without leave to amend.”). Accordingly, Mr. Johnson’s

reliance on Cooper is misplaced.

                                          ***


                                           70
      In sum, we hold that the claims in the 2017 Action against Cheyenne and the

Estate are precluded by the 1991 Action. We, thus, affirm the dismissal of those

claims.

             b.     The 1992 Action is not entitled to claim-preclusive effect.

      With respect to the 1992 Action, Mr. Johnson primarily disputes the first

element of claim preclusion, i.e., whether there was “a [final] judgment on the

merits.” Lenox MacLaren Surgical, 847 F.3d at 1239 (alteration in original)

(quoting King, 117 F.3d at 445). We recount the relevant procedural history before

agreeing with Mr. Johnson that the 1992 Action was not adjudicated “on the

merits” and, therefore, did not have claim-preclusive effect on the 2017 Action.

We, thus, reverse the district court’s dismissal of the claims against Officer

Spencer—the only defendant in the 1992 Action—and remand for further

proceedings on those claims. Because we conclude that the 1992 Action was not

adjudicated “on the merits,” we need not entertain Mr. Johnson’s separate argument

that the 1992 Action did not afford him a “full and fair opportunity to litigate.”

                    i.    Relevant Procedural History

      Mr. Johnson’s 1992 Action was a § 1983 suit alleging that Officer Spencer

violated his due-process rights by providing false testimony about his eyeglasses at

his criminal trial. The district court dismissed the complaint sua sponte with

prejudice as frivolous, (1) noting that in the 1991 Action it had “concluded there


                                          71
were no facts justifying the plaintiff’s claims that his constitutional rights were

violated” and (2) holding that “[t]he present complaint [wa]s simply another

attempt by plaintiff to revisit the same claim that has previously been dismissed.”

Aplt.’s App., Vol. VI, at 1257–58. The court reviewed the exhibits that Mr.

Johnson had submitted with his complaint and concluded that they did not

“establish[] even the slightest indication that [Officer Spencer] made false, or

inconsistent statements at the trial.” Id. at 1258. The court, in conclusion,

observed that Mr. Johnson had “made no new argument in his complaint” and, thus,

held that his complaint was “frivolous and completely devoid of merit.” Id. (citing

28 U.S.C. § 1915(d) (1993)).14

      Further, the district court stated that “[e]ven assuming [Mr. Johnson’s]

constitutional rights were violated by [Officer Spencer], . . . it was harmless error.”

Id. The court held in particular that “no reasonable possibility existed to believe

the evidence of [Mr. Johnson’s] eyeglasses . . . might have contributed to his

conviction” because there was other evidence—viz., the acquaintance’s


      14
             The then-existing version of the in forma pauperis statute
provided in relevant part that a district court “may dismiss the case . . . if
satisfied that the action is frivolous or malicious.” 28 U.S.C. § 1915(d)
(1993). In 1996, “[s]ubsection (d) was changed to (e),” Buchheit v. Green, 705
F.3d 1157, 1160 (10th Cir. 2012), which now provides that the court “shall”
dismiss the action at any time if it determines that it “is frivolous or
malicious,” id. (quoting 28 U.S.C. § 1915(e)(2)(B)); see Whitney v. New
Mexico, 113 F.3d 1170, 1172 n.3 (10th Cir. 1997) (“The provisions of 28
U.S.C. § 1915(d) have been recodified at 28 U.S.C. § 1915(e).”).

                                           72
identification of him, the presence of his driver’s license and picture I.D. in her

apartment, and the forensic evidence tying him to the seminal fluid preserved in the

acquaintance’s sexual-assault kit—that had established Mr. Johnson’s guilt. Id. at

1259. The court, thus, concluded that Officer Spencer’s trial testimony about Mr.

Johnson’s eyeglasses “was[,] at best, extraneous and cumulative.” Id. The court

then “dismissed [the complaint] with prejudice as frivolous,” noting that Mr.

Johnson had filed several related lawsuits, “all of which [we]re frivolous and

vexatious in nature.” Id. The court subsequently underscored the basis for its

action, after noting that it had “come to the attention of the court” that Mr.

Johnson’s in forma pauperis motion was still pending. Id. at 1260. The court

noted that it had recently determined that Mr. Johnson “ha[d] failed to present a

rational argument on the facts or law in support of his clam . . . and that the

complaint [wa]s frivolous and devoid of merit.” Id. (citing § 1915(d) (1993)).

“Therefore,” the court denied Mr. Johnson’s in forma pauperis motion. Id.

      On appeal from that judgment, we noted that the district court “dismiss[ed]

the action as factually frivolous” and affirmed on the ground that “Mr. Johnson’s

lawsuit is based upon an indisputably meritless legal theory because a testifying

police officer is entitled to absolute immunity.” Johnson II, 1994 WL 249805, at

*1 (citation omitted).




                                           73
                    ii.    The “On the Merits” Requirement

      As mentioned, a successful claim-preclusion defense requires “a [final]

judgment on the merits in [the] earlier action.” Lenox MacLaren Surgical, 847

F.3d at 1239 (first alteration in original) (emphasis added) (quoting King, 117 F.3d

at 445); accord Allen v. McCurry, 449 U.S. 90, 94 (1980) (“[A] final judgment on

the merits of an action precludes the parties or their privies from relitigating issues

that were or could have been raised in that action.” (emphasis added)). Mr.

Johnson argues that the 1992 Action was not an adjudication “on the merits”

because the suit was dismissed as frivolous. We agree.

      The Supreme Court settled this question in Denton v. Hernandez, 504 U.S.

25 (1992). There, the Court addressed “the appropriate inquiry for determining

when an in forma pauperis litigant’s factual allegations justify a § 1915(d)

dismissal for frivolousness.” Id. at 27. In doing so, the Court stated that

“[b]ecause a § 1915(d) dismissal is not a dismissal on the merits, but rather an

exercise of the court’s discretion under the in forma pauperis statute, the dismissal

does not prejudice the filing of a paid complaint making the same allegations.” Id.

at 34 (first and last emphases added); see Shabazz v. Askins, 980 F.2d 1333, 1334

(10th Cir. 1992) (“Although a district court can review the factual allegations to

determine whether they are clearly baseless, the court cannot address the merits of

a claim in dismissing it under § 1915(d) as frivolous.”); cf. Cedrins v. USCIS, 383


                                          74
F. App’x 811, 812 (10th Cir. 2010) (unpublished) (observing that we “do not reach

the merits of the appeal” when we dismiss it as frivolous under the now mandatory

provision set forth in § 1915(e)(2)(B)(i)).

       In the 1992 Action, the district court expressly relied on the then-existing

§ 1915(d) in dismissing Mr. Johnson’s claim as “frivolous and completely devoid

of merit.” Aplt.’s App., Vol. VI, at 1258 (citing 28 U.S.C. § 1915(d) (1993)). And

so, following Denton, we conclude that the district court’s dismissal of the 1992

Action was not “on the merits.” See 504 U.S. at 34.15

       Officer Spencer argues against this straightforward conclusion. He first

contends that while it is “[g]enerally” true that a § 1915(d) dismissal is not “on the

merits” when it is for factual frivolousness, the dismissal here should be deemed


       15
               We recognize that the district court purported to dismiss the 1992 Action
“with prejudice.” Aplt.’s App., Vol. VI, at 1259 (emphasis added). And such a dismissal
certainly may bespeak in certain settings a ruling on the merits. See, e.g., 9 Wright et al.,
supra, § 2373 (“[B]ecause an involuntary dismissal is an adjudication on the merits, it is,
in the phrase commonly used by the federal courts, ‘with prejudice.’”); cf. Brereton v.
Bountiful City Corp., 434 F.3d 1213, 1218 (10th Cir. 2006) (“[D]ismissals for lack of
jurisdiction should be without prejudice because the court, having determined that it lacks
jurisdiction over the action, is incapable of reaching a disposition on the merits of the
underlying claims.”). However, when given an opportunity to revisit its dismissal when
ruling on Mr. Johnson’s motion to proceed in forma pauperis, the district court explicitly
cited § 1915(d) and opined that Mr. Johnson’s “complaint [wa]s frivolous and devoid of
merit.” Aplt.’s App., Vol. VI, at 1260. And Denton specifically recognizes that—even
when it is with prejudice—such a dismissal “does not prejudice the filing of a paid
complaint making the same allegations” because it does not constitute “a dismissal on the
merits, but rather an exercise of the court’s discretion under the in forma pauperis
statute.” 504 U.S. at 34. Such a dismissal “could, however, have a res judicata effect on
frivolousness determinations for future in forma pauperis petitions.” Id.

                                             75
“on the merits” for claim-preclusion purposes because the district court additionally

determined that Mr. Johnson’s claims were not legally meritorious because any

error was harmless. Officer Aplees.’ Resp. Br. at 17–20. We reject this argument.

The old § 1915(d) allowed district courts to dismiss a complaint as frivolous when

it “lack[ed] an arguable basis either in law or in fact.” Neitzke, 490 U.S. at 325.

Although the Court in Denton emphasized that § 1915(d) provided courts with “the

unusual power to pierce the veil of the complaint’s factual allegations,” Denton,

504 U.S. at 32 (quoting Neitzke, 490 U.S. at 327), thereby deviating from the Rule

12(b)(6) standard of largely “accept[ing] without question the truth of the

plaintiff’s allegations,” the Court ultimately drew no distinction between § 1915(d)

dismissals for legal frivolity and those for factual frivolity when it stated that “a

§ 1915(d) dismissal is not a dismissal on the merits.” Id. at 32, 34. While Denton

itself specifically addressed a factually frivolous complaint, its rule that § 1915(d)

dismissals are not on the merits contemplated § 1915(d) dismissals generally, i.e.,

dismissals based on both legal and factual frivolity. Cf. Brown v. Briscoe, 998 F.2d

201, 204 (4th Cir. 1993) (per curiam) (reiterating, in the context of a district

court’s dismissal of a legally frivolous claim, Denton’s rule that “the dismissal sua

sponte under the in forma pauperis statute is without prejudice to the plaintiff

filing a suit paying the full filing costs and service fees”).

      Denton created a simple rule applying to all dismissals for frivolousness


                                           76
under the pre-1996 § 1915(d), regardless of whether the frivolousness was legal or

factual, and we apply that rule here. The district court explicitly based its dismissal

on § 1915(d). Although the court appended to the end of its order a one-paragraph

discussion of the harmlessness of any purported error, that discussion did not

transform the dismissal into a merits adjudication. Because the 1992 Action was

not adjudicated on the merits, it has no preclusive effect on Mr. Johnson’s paid

complaint in the 2017 Action.

      Officer Spencer also cites Bell v. Hood, 327 U.S. 678, 682 (1946), for the

proposition that if a court “exercise[s] its jurisdiction to determine that the

allegations in the complaint do not state a ground for relief, then dismissal of the

case would be on the merits, not for want of jurisdiction.” See Officer Aplees.’

Resp. Br. at 18, 20. But that general proposition in Bell does not address whether

frivolousness determinations are on the merits, as the very next sentence makes

clear. See Bell, 327 U.S. at 682 (indicating that one of the “exceptions” to that

proposition is “that a suit may sometimes be dismissed for want of jurisdiction

where the alleged claim . . . is wholly insubstantial and frivolous”). Therefore, we

conclude that this proposition in Bell does nothing to limit the breadth of Denton’s

relevant pronouncement.

      Relatedly, Officer Spencer relies on the Ninth Circuit’s statement that “a

dismissal for failure to state a claim under Rule 12(b)(6) is a ‘judgment on the


                                           77
merits’ to which res judicata applies.” Stewart v. U.S. Bancorp, 297 F.3d 953, 957

(9th Cir. 2002). But that uncontroversial statement simply has no application here.

The district court did not sua sponte dismiss the claim at issue here pursuant to

Rule 12(b)(6); it expressly invoked § 1915(d). See Shabazz, 980 F.2d at 1335

(noting that Rule 12(b)(6) “requires application of a different standard than

§ 1915(d)”); see also Cochran v. Morris, 73 F.3d 1310, 1315 (4th Cir. 1996) (en

banc) (“[T]he sua sponte nature of the court’s dismissal was consistent with a

ruling under § 1915(d) rather than Rule 12(b)(6), since sua sponte dismissals are

freely permitted under the former provision.”). Stewart’s discussion of Rule

12(b)(6) therefore has nothing to contribute to Denton’s interpretation of § 1915(d).

      Finally, the parties dispute whether an order with two holdings, one “on the

merits” and one not, can have claim-preclusive effect. But we need not wade into

this dispute.16 Notwithstanding the district court’s discussion of harmlessness, its


      16
                 Some courts have held that “[w]hen a district court’s ruling rests
on alternative grounds, at least one of which is based on the inability of the
court to reach the merits, the judgment should not act as a bar in a future
action.” Remus Joint Venture v. McAnally, 116 F.3d 180, 184 n.5 (6th Cir.
1997); accord Pizlo v. Bethlehem Steel Corp., 884 F.2d 116, 119 (4th Cir.
1989) (“Had the district court dismissed [a suit] on alternative grounds, one
procedural and one substantive, res judicata would not prevent the litigating of
[a later suit].”); see also Restatement (Second) of Judgments § 20 cmt. e (A M .
L A W I N S T . 1982), Westlaw (database updated Oct. 2019) (“A dismissal may be
based on two or more determinations, at least one of which, standing alone,
would not render the judgment a bar to another action on the same claim. In
such a case, if the judgment is one rendered by a court of first instance, it
should not operate as a bar.”). We note, however, that a recent dissenting

                                          78
judgment in the 1992 Action was expressly and solely bottomed on a dismissal

under § 1915(d) (1993). The court did not purport to rule on the merits, but instead

dismissed under § 1915(d) on frivolousness grounds. And Denton settles the

question that such dismissals are not on the merits. See 504 U.S. at 34; see also

United States v. Nixon, 919 F.3d 1265, 1273 (10th Cir. 2019) (observing that we

consider ourselves bound by Supreme Court dicta almost as firmly as by its

holdings). This is not a case where the district court made two holdings—one on

the merits and one not—and so the claim-preclusive effects of such a circumstance

are not before us.

      In sum, because it was not an adjudication on the merits, we conclude that

the 1992 Action cannot operate with claim-preclusive effect on the 2017 Action.

We, thus, reverse the district court’s order dismissing the 2017 Action’s claims

against Officer Spencer. Because we reverse that order based on the “on the

merits” element of claim preclusion, we need not and do not address whether the

district court’s order was also erroneous because it determined that the 1992 Action

provided Mr. Johnson with a “full and fair opportunity to litigate.”

      4.     Leave to Amend



opinion joined by four Members of the Supreme Court criticized the Second
Restatement’s adoption of a related rule in the issue-preclusion context. See
Herrera v. Wyoming, ___ U.S. ___, 139 S. Ct. 1686, 1710–11 (2019) (Alito, J.,
dissenting) (criticizing Restatement (Second) of Judgments § 27 cmt. i). As
noted, we have no occasion to opine on this matter.

                                         79
       Mr. Johnson argues that the district court erred because it did not grant him

leave to amend. Because we are reversing the dismissal of the claims against

Officer Spencer, we address only whether the district court should have given Mr.

Johnson leave to amend the claims against the Estate and Cheyenne. Although the

district court justified its denial of leave to amend on other bases, we may affirm

on any ground supported by the record, see, e.g., Knight, 749 F.3d at 1186, and we

reject this contention of error in straightforward fashion on the ground that Mr.

Johnson never properly moved for leave to amend.17

       “[W]e generally review for abuse of discretion a district court’s denial of

leave to amend a complaint,” but “when [a] denial is based on a determination that

amendment would be futile, our review for abuse of discretion includes de novo

review of the legal basis for the finding of futility.” United States ex rel. Polukoff

v. St. Mark’s Hosp., 895 F.3d 730, 740 (10th Cir. 2018) (internal quotation marks

omitted) (quoting Cohen v. Longshore, 621 F.3d 1311, 1314 (10th Cir. 2010)).

       A district court may deny leave to amend when “a plaintiff fails to file a


       17
               As we discussed supra, in upholding the district court’s decision to dismiss
Mr. Johnson’s complaint against the Estate without permitting him to respond to the
Estate’s motion to dismiss, any attempt by Mr. Johnson to amend his complaint’s
averments against the Estate would have been futile. This itself would have provided a
substantive basis for the district court to deny Mr. Johnson leave to amend his claims
against the Estate—if he had properly moved to amend. But, as explicated infra, he did
not do so. And, in light of the straightforward disposition that we craft related to this
failure, we need not opine further on this or other alternative justifications supportive of
the district court’s denial of leave to amend.

                                             80
written motion and instead ‘merely suggest[s] she should be allowed to amend if

the court conclude[s] her pleadings [a]re infirm.’” Warnick v. Cooley, 895 F.3d

746, 755 (10th Cir. 2018) (alterations in original) (quoting Garman v. Campbell

Cty. Sch. Dist. No. 1, 630 F.3d 977, 986 (10th Cir. 2010)); accord Albers v. Bd. of

Cty. Comm’rs, 771 F.3d 697, 706 (10th Cir. 2014) (“[N]ormally a court need not

grant leave to amend when a party fails to file a formal motion.” (quoting Calderon

v. Kan. Dep’t of Soc. & Rehab. Servs., 181 F.3d 1180, 1186 (10th Cir. 1999))).

And we have repeatedly held that “a bare request to amend in response to a motion

to dismiss is insufficient to place the court and opposing parties on notice of the

plaintiff’s request to amend and the particular grounds upon which such a request

would be based.” Albers, 771 F.3d at 706; see Glenn v. First Nat’l Bank, 868 F.2d

368, 371 (10th Cir. 1989) (“[W]e hold that Appellant did not move the court for

leave to amend the complaint and therefore the district judge committed no error in

not ruling thereon. A naked request for leave to amend asked for as alternative

relief when a party has the unexercised right to amend is not sufficient.”).

      Mr. Johnson’s responses to the defendants’ motions to dismiss concluded by

stating the following: “If the Court disagrees [with his arguments against

dismissal], Plaintiff respectfully hereby requests leave to file and serve a First

Amended Complaint curing the pleading deficiencies the Court sees.” Aplt.’s

App., Vol. I, at 254 (Pl.’s Memo. in Opp’n to Def. Spencer’s Mot. to Dismiss, filed


                                           81
June 9, 2017); accord id. at 270 (Pl.’s Mem. in Opp’n to Def. Cheyenne’s Mot. to

Dismiss, filed June 9, 2017). Mr. Johnson’s brief in support of his Rule 59(e)

motion stated that he “has now filed and served pleadings presenting facts and

arguments that collectively make a good faith showing that [he] can plead around

all three defendants’ res judicata/claim preclusion defenses.” Id., Vol. II, at 503

(Mem. in Supp. of Rule 59(e) Mot., filed Aug. 24, 2017). He did not cite any

specific filings, however. And the docket for the 2017 Action shows that he never

moved for leave to file an amended complaint, nor did he file an amended

complaint. See Oral Arg. at 13:59S14:03 (Judge: “When did you proffer your

amended complaint?” Counsel: “We did not.”).

      It is well-settled under our cases that these drive-by requests to amend the

complaint do “not rise to the status of a motion.” Glenn, 868 F.2d at 370; accord

Albers, 771 F.3d at 706. They did not provide the district court with any specific

allegations that it could weigh against the flaws that it had found in Mr. Johnson’s

complaint. As such, “the district judge was not obliged to consider the matter,

[and, thus,] he committed no error.” Glenn, 868 F.2d at 370; accord Warnick, 895

F.3d at 755. Accordingly, we conclude that Mr. Johnson’s failure to move for

leave to amend his 2017 complaint undermines this claim of error.

                                        * * *

      In sum, we affirm the district court’s dismissal of the 2017 Action’s claims


                                          82
as precluded by the 1991 Action—i.e., those against the Estate and Cheyenne—but

reverse the district court’s dismissal of the 2017 Action’s claims as precluded by

the 1992 Action—i.e., those against Officer Spencer.

C.    Motion to Supplement the Record

      Finally, after filing his notice of appeal, Mr. Johnson filed a letter in this

court requesting procedural assistance in assembling his appendix. Our clerk’s

office interpreted this letter as a motion to supplement the record. To the extent

the letter sought to supplement the record, we deny that motion as moot because the

district court already issued an order allowing Mr. Johnson to include the relevant

materials in the record.

      We agree with Mr. Johnson that our starting point is the district court’s order

allowing him to include the additional documents and transcripts from the 1991 and

1992 Actions in the record. Federal Rule of Appellate Procedure 10(e) allows

district courts to supplement the record in certain circumstances. See, e.g., United

States v. Kelly, 535 F.3d 1229, 1241 n.10 (10th Cir. 2008). That rule provides, as

relevant, that “[i]f anything material to either party is omitted from or misstated in

the record by error or accident, the omission or misstatement may be corrected and

a supplemental record may be certified and forwarded . . . by the district court

before or after the record has been forwarded.” FED . R. APP . P. 10(e)(2)(B).

      After filing his notices of appeal, Mr. Johnson filed a notice in the district


                                          83
court setting forth the materials that the clerk of court should forward to us as the

record on appeal. The defendants objected to some of the materials on the ground

that the district court did not consider them in making its challenged rulings. The

district court agreed that Mr. Johnson had included in his notice “various

documents and transcripts” from his 1991 and 1992 Actions that were located at the

Federal Records Center and the National Archives and, thus, “were not presented to

or considered by [the court] in making its rulings.” Aplt.’s App., Vol. VII, at 1395.

The district court nonetheless held that those records “may properly be included in

the record on appeal,” overruling the defendants’ objections. Id. We construe this

as an order under Federal Rule of Appellate Procedure 10(e)(2)(B).

      Mr. Johnson then filed a letter in this court seeking advice on how to include

the archived records from the 1991 and 1992 Actions in his appendix. The clerk’s

office construed his letter as “a motion to supplement the record on appeal with

material which was not before the district court” and ordered appellees to respond

to the motion. Order No. 10529878 at 2 (10th Cir. Jan. 19, 2018). Despite the

district court’s order that the records “may properly be included in the record on

appeal,” Aplt.’s App., Vol. VII, at 1395, the Estate, Officer Spencer, and Cheyenne

all opposed the motion, arguing that this Court should “limit[] the record on appeal

to only those materials before the District Court when it made its decision.” Id. at

1406 (Individual Defs.’ Resp. to Appellant’s Mot. to Suppl. the R. on Appeal, filed


                                           84
Jan. 29, 2018); see also id. at 1400 (Cheyenne’s Opp’n to Appellant’s Mot. to

Suppl. the R. on Appeal, filed Jan. 29, 2018) (same).

       Mr. Johnson filed a reply wherein he reiterated that the district court had

already allowed him to include the archived records from the 1991 and 1992

Actions in his appendix. A motions panel and the clerk’s office collectively

referred the original letter, the responses, and the reply to the merits (i.e., our)

panel for decision. Additionally, subject to this decision, our clerk’s office

directed Mr. Johnson to “include these materials in his appendix.” Id. at 1417

(Order, filed Feb. 8, 2018).

       While Cheyenne, Officer Spencer, and the Estate have made various

arguments—in response to Mr. Johnson’s letter—about why it was error for the

district court to have granted this motion, the fundamental problem is that they did

not cross-appeal the district court’s order. See Greenlaw v. United States, 554 U.S.

237, 244–45 (2008) (“This Court, from its earliest years, has recognized that it

takes a cross-appeal to justify a remedy in favor of an appellee.”); 15A Wright et

al., supra, § 3904 (“[T]he appellee may not attack the decree with a view either to

enlarging his own rights thereunder or of lessening the rights of his adversary,

whether what he seeks is to correct an error or to supplement the decree with

respect to a matter not dealt with below.” (quoting United States v. Am. Ry. Express

Co., 265 U.S. 425, 435 (1924))); Martinez v. Carson, 697 F.3d 1252, 1259 (10th


                                            85
Cir. 2012) (“Because Defendants failed to file a notice of appeal within thirty days

following the dismissal of their first post-judgment motion, we must dismiss the

cross-appeal for lack of jurisdiction.”); cf. Allen v. Minnstar, Inc., 8 F.3d 1470,

1473 (10th Cir. 1993) (“As noted, Allen separately appeals the district court’s

denial of his motion to supplement the record . . . .”); Duha v. Agrium, Inc., 448

F.3d 867, 881 (6th Cir. 2006) (“Agrium has filed a cross-appeal, seeking reversal

of the district court’s denial of Agrium’s motion to supplement the record with

Agrium’s proffered materials.”). We, thus, lack jurisdiction to afford the

defendants any relief based on their arguments—raised only in response to Mr.

Johnson’s letter to our clerk’s office—that the district court erred in ordering that

he may supplement the record with the archived materials.

      Because the district court authorized Mr. Johnson to include those documents

in the record on appeal, we deny as moot his separate request to this court to add

those same records to his appendix. See United States v. Kutz, 702 F. App’x 661,

665 (10th Cir. 2017) (unpublished) (“[T]he Government’s Motion to Supplement is

moot with respect to the Plea Agreement, which is already part of the record.”).

                                 III. CONCLUSION

      We acknowledge the terrible reality that Mr. Johnson must have faced during

the twenty-four years that he was wrongly incarcerated. As the Supreme Court has

stated, however, the doctrine of claim preclusion “serves vital public interests


                                           86
beyond any individual judge’s ad hoc determination of the equities in a particular

case.” Moitie, 452 U.S. at 401. Thus, for the reasons we have provided, in the

2017 Action, Case No. 17-8091, we affirm the dismissal of the claims against the

Estate and Cheyenne, but reverse the dismissal of the claims against Officer

Spencer and remand for further proceedings consistent with this opinion. In both

the 1991 and 1992 Actions, Case Nos. 17-8089 and 17-8090, we vacate only the

district court’s order denying Rule 60(b)(6) relief and remand for proceedings

consistent with this opinion. We deny as moot Mr. Johnson’s pending motion to

supplement the record.18




      18
              We also grant Rocky Mountain Innocence Center’s motions for leave to
file an amicus brief.

                                         87
